Deeming Tobacco Products To Be Subject to the Federal Food, Drug, and Cosmetic Act, as Amended by the Family Smoking Prevention and Tobacco Control Act; Restrictions on the Sale and Distribution of Tobacco Products and Required Warning Statements for Tobacco Products, 28973-29106 [2016-10685]
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Part III
Department of Health and Human Services
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Food and Drug Administration
21 CFR Parts 1100, 1140, and 1143
Deeming Tobacco Products To Be Subject to the Federal Food, Drug, and
Cosmetic Act, as Amended by the Family Smoking Prevention and
Tobacco Control Act; Restrictions on the Sale and Distribution of Tobacco
Products and Required Warning Statements for Tobacco Products; Final
Rule
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Federal Register / Vol. 81, No. 90 / Tuesday, May 10, 2016 / Rules and Regulations
Products, Food and Drug
Administration, 10903 New Hampshire
Ave., Silver Spring, MD 20993, 877–
287–1373, AskCTP@fda.hhs.gov.
SUPPLEMENTARY INFORMATION:
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Parts 1100, 1140, and 1143
Table of Contents
[Docket No. FDA–2014–N–0189]
RIN 0910–AG38
Deeming Tobacco Products To Be
Subject to the Federal Food, Drug, and
Cosmetic Act, as Amended by the
Family Smoking Prevention and
Tobacco Control Act; Restrictions on
the Sale and Distribution of Tobacco
Products and Required Warning
Statements for Tobacco Products
AGENCY:
Food and Drug Administration,
HHS.
ACTION:
Final rule.
The Food and Drug
Administration (FDA) is issuing this
final rule to deem products meeting the
statutory definition of ‘‘tobacco
product,’’ except accessories of the
newly deemed tobacco products, to be
subject to the Federal Food, Drug, and
Cosmetic Act (the FD&C Act), as
amended by the Family Smoking
Prevention and Tobacco Control Act
(Tobacco Control Act). The Tobacco
Control Act provides FDA authority to
regulate cigarettes, cigarette tobacco,
roll-your-own tobacco, smokeless
tobacco, and any other tobacco products
that the Agency by regulation deems to
be subject to the law. With this final
rule, FDA is extending the Agency’s
‘‘tobacco product’’ authorities in the
FD&C Act to all other categories of
products that meet the statutory
definition of ‘‘tobacco product’’ in the
FD&C Act, except accessories of such
newly deemed tobacco products. This
final rule also prohibits the sale of
‘‘covered tobacco products’’ to
individuals under the age of 18 and
requires the display of health warnings
on cigarette tobacco, roll-your own
tobacco, and covered tobacco product
packages and in advertisements. FDA is
taking this action to reduce the death
and disease from tobacco products. In
accordance with the Tobacco Control
Act, we consider and intend the
extension of our authorities over
tobacco products and the various
requirements and prohibitions
established by this rule to be severable.
DATES: This rule is effective August 8,
2016. See section IV of this document
regarding compliance dates for certain
provisions.
FOR FURTHER INFORMATION CONTACT:
Gerie Voss or Katherine Collins, Office
of Regulations, Center for Tobacco
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SUMMARY:
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Executive Summary
I. Background
II. Legal Authority
A. Summary of Legal Authority
B. Responses to Comments Regarding Legal
Authority
III. Use of Premarket Pathways for Newly
Deemed Products
A. Background: The Three Pathways To
Market a New Tobacco Product
B. Interpretation of Substantial
Equivalence
C. Comments on the Grandfather Date
D. Impact of Premarket Requirements
E. Clinical Studies and PMTAs
F. Premarket Pathways and Continuum of
Risk
G. Other Comments
IV. Implementation
A. Effective Date for Rule
B. Compliance Periods for Certain
Provisions
C. Policy for Certain Regulatory
Requirements for All Manufacturers of
Newly Deemed Products
D. Compliance Policy Regarding Certain
Provisions and Small-Scale Tobacco
Product Manufacturers
V. Premarket Review Requirements and
Compliance Policy
A. Compliance Policy for Premarket
Review Requirements
B. Responses to Comments Regarding
Compliance Periods for Premarket
Review Requirements
VI. Components, Parts, and Accessories
A. Definitions
B. Discussion of Requirements Associated
With Components and Parts
VII. Regulation of Cigars and Selection of
Option 1
A. Health Risks of Premium Cigars
B. Youth and Young Adults Use Premium
Cigars
C. Patterns of Use Do Not Preclude Users
From Experiencing Negative Health
Effects
D. Responses to Other Cigar Comments
VIII. Regulation of Electronic Nicotine
Delivery Systems (Including
E-Cigarettes) and the Continuum of
Nicotine-Delivering Products
A. Terminology
B. Prevalence
C. Toxicity and Nicotine in E-Liquid and
Aerosol
D. Quality Control
E. Misperceptions
F. Use as a Cessation Product
G. Modified Risk Claims
H. Dual and Polytobacco Use
I. Applicability of Section 901
J. Definitions
K. Sottera Decision
IX. Effect of Deeming Rule on Vape Shop
Manufacturers
A. Premarket Requirements (Sections 910
and 905)
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B. Ingredient Listing and HPHC
Requirements (Sections 904 and 915)
C. Registration and Product Listing
(Section 905)
D. Tobacco Health Document Submissions
(Section 904)
E. Office of Small Business Assistance
X. Regulation of Other Categories of Products
A. Nicotine in Newly Deemed Products
B. Dissolvables
C. Gels
D. Pipe Tobacco
E. Waterpipe Tobacco
F. Additional Novel and Future Tobacco
Products
XI. Additional Automatic Provisions
Applicable to Newly Deemed Products
A. Sections 902 and 903—Adulteration and
Misbranding
B. Sections 904 and 915—Ingredient
Listing and Reporting of HPHCs
C. Section 905—Registration and Listing
D. Section 911—Elimination of Low, Light,
and Mild, and Other Unauthorized
Modified Risk Claims
E. Section 919—User Fees
F. Tobacco Control Act section 102—
Prohibition Against Free Samples
XII. Requests for Additional Regulations
Applicable to Newly Deemed Products
A. Ban on Flavored Tobacco Products
B. Additional Access Restrictions
C. Nicotine Exposure Warnings
XIII. Severability
XIV. Description of the Final Rule—Part 1100
A. Section 1100.1—Scope
B. Section 1100.2—Requirements
C. Section 1100.3—Definitions
XV. Description of the Final Rule—Part 1140
A. Section 1140.1—Scope
B. Section 1140.2—Purpose
C. Section 1140.3—Definitions
D. Section 1140.10—General
Responsibilities of Manufacturers,
Distributors, and Retailers
E. Section 1140.14—Additional
Responsibilities of Retailers
F. Comments and Responses Regarding
Minimum Age and Identification
Requirements
G. Comments and Responses Regarding
Vending Machines
XVI. Description of the Final Rule—Part 1143
A. Section 1143.1—Definitions
B. Section 1143.3—Required Warning
Statement Regarding Addictiveness of
Nicotine
C. Section 1143.5—Required Warning
Statements for Cigars
D. Section 1143.7—Language Requirements
for Required Warning Statements
E. Section 1143.9—Irremovable or
Permanent Required Warning Statements
F. Section 1143.11—Does Not Apply to
Foreign Distribution
G. Section 1143.13—Effective Date
H. Comments and Responses Regarding
Required Warning Statements
XVII. National Environmental Policy Act
XVIII. Analysis of Impacts
XIX. Paperwork Reduction Act of 1995
A. Responses to Comments Regarding
Proposed Collection of Information
B. Existing Burdens Associated With
Tobacco Products Currently Subject to
the FD&C Act (i.e., Cigarettes, Cigarette
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Tobacco, Roll-Your-Own Tobacco, and
Smokeless Tobacco) With Approved
OMB Control Numbers
C. Burdens Associated With Tobacco
Products Currently Subject to the FD&C
Act But Not Yet Approved by OMB
D. New Collections of Information That
Apply Only to Deemed Products
XX. Executive Order 13132; Federalism
XXI. Executive Order 13175; Tribal
Consultation
XXII. References
Executive Summary
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Purpose of the Rule
Cigarettes, cigarette tobacco, roll-yourown tobacco, and smokeless tobacco
were immediately covered by FDA’s
tobacco product authorities in chapter
IX of the FD&C Act (21 U.S.C. 387
through 387u) when the Tobacco
Control Act went into effect. For other
kinds of tobacco products, the statute
authorizes FDA to issue regulations
‘‘deeming’’ them to be subject to such
authorities. Consistent with the statute,
once a tobacco product is deemed, FDA
may put in place ‘‘restrictions on the
sale and distribution of a tobacco
product,’’ including age-related access
restrictions and advertising and
promotion restrictions, if FDA
determines the restrictions are
appropriate for the protection of the
public health. This final rule has two
purposes: (1) To deem all products that
meet the definition of ‘‘tobacco
product’’ under the law, except
accessories of a newly deemed tobacco
product, and subject them to the tobacco
control authorities in chapter IX of the
FD&C Act and FDA’s implementing
regulations; and (2) to establish specific
restrictions that are appropriate for the
protection of the public health for the
newly deemed tobacco products. In
accordance with section 5 of the
Tobacco Control Act, we consider and
intend the extension of our authorities
over tobacco products and the various
requirements and prohibitions
established by this rule to be severable.
FDA is taking this action to reduce the
death and disease from tobacco
products. Deeming all ‘‘tobacco
products’’ (including components and
parts but excluding accessories of the
newly deemed products) to be subject to
the FD&C Act will result in significant
benefits for the public health. The final
rule defines ‘‘component or part’’ and
‘‘accessory’’ to provide additional
clarity as to which products are subject
to FDA’s tobacco product authority.
With respect to these definitions, FDA
notes that ‘‘component’’ and ‘‘part’’ are
separate and distinct terms within
chapter IX of the FD&C Act. However,
for purposes of this final rule, FDA is
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using the terms ‘‘component’’ and
‘‘part’’ interchangeably and without
emphasizing the distinction between the
terms. FDA may clarify the distinctions
between ‘component’ and ‘part’ in the
future. Specifically, ‘‘Component or
Part’’ means ‘‘any software or assembly
of materials intended or reasonably
expected: (1) To alter or affect the
tobacco product’s performance,
composition, constituents or
characteristics; or (2) to be used with or
for the human consumption of a tobacco
product. The term excludes anything
that is an accessory of a tobacco
product.’’ Components and parts of the
newly deemed tobacco products, but not
their related accessories, are included in
the scope of this final rule. The
following is a nonexhaustive list of
examples of components and parts used
with electronic nicotine delivery
systems (ENDS) (including e-cigarettes):
E-liquids; atomizers; batteries (with or
without variable voltage); cartomizers
(atomizer plus replaceable fluid-filled
cartridge); digital display/lights to
adjust settings; clearomisers, tank
systems, flavors, vials that contain eliquids, and programmable software.
Similarly, the following is a
nonexhaustive list of examples of
components and parts used with
waterpipe tobacco: Flavor enhancers
and the vials in which they are
contained; hose cooling attachments;
water filtration base additives
(including those which are flavored);
flavored waterpipe tobacco charcoals
and the wrappers or boxes that contain
the charcoals; and bowls, valves, hoses,
and heads.
FDA is defining ‘‘accessory’’ to mean
‘‘any product that is intended or
reasonably expected to be used with or
for the human consumption of a tobacco
product; does not contain tobacco and is
not made or derived from tobacco; and
meets either of the following: (1) Is not
intended or reasonably expected to
affect or alter the performance,
composition, constituents, or
characteristics of a tobacco product or
(2) is intended or reasonably expected to
affect or maintain the performance,
composition, constituents, or
characteristics of a tobacco product but
(i) solely controls moisture and/or
temperature of a stored product or (ii)
solely provides an external heat source
to initiate but not maintain combustion
of a tobacco product.’’ Examples of
accessories are ashtrays, spittoons,
hookah tongs, cigar clips and stands and
pipe pouches, because they do not
contain tobacco, are not derived from
tobacco, and do not affect or alter the
performance, composition, constituents,
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or characteristics of a tobacco product.
Examples of accessories also include
humidors or refrigerators that solely
control the moisture and/or temperature
of a stored product and conventional
matches and lighters that solely provide
an external heat source to initiate but
not maintain combustion of a tobacco
product. An electric heater or charcoal
used for prolonged heating of waterpipe
tobacco is not an accessory because it is
maintaining the combustion of the
tobacco. Accessories of newly deemed
tobacco products are not included
within the scope of this final rule,
although accessories of cigarettes,
cigarette tobacco, roll-your-own tobacco,
and smokeless tobacco remain subject to
FDA’s tobacco product authorities. FDA
is not regulating accessories of newly
deemed tobacco products because
accessories, unlike components or parts,
are expected to have little direct impact
on the public health.
This final deeming rule affords FDA
additional tools to reduce the number of
illnesses and premature deaths
associated with tobacco product use.
For example, FDA will be able to obtain
critical information regarding the health
risks of newly deemed tobacco
products, including information derived
from ingredient listing submissions and
reporting of harmful and potentially
harmful constituents (HPHCs) required
under the FD&C Act. As of the effective
date, persons who own or operate a
domestic establishment engaged in the
manufacture, preparation,
compounding, or processing of tobacco
products (hereinafter, ‘‘manufacturing
establishments’’) will be subject to the
registration requirements. FDA will thus
receive information on the location and
number of manufacturing
establishments, which will allow the
Agency to establish effective
compliance programs. In addition, this
rule authorizes FDA to take enforcement
action against manufacturers who sell
and distribute products with
unsubstantiated modified risk tobacco
product (MRTP) claims, or false or
misleading claims on their labeling or
advertising, thus allowing for betterinformed consumers and helping to
prevent the use of misleading
campaigns targeted to youth
populations. It will also prevent from
entering the market new tobacco
products that are not appropriate for the
protection of public health, are not
substantially equivalent to a valid
predicate product, or are not exempt
from substantial equivalence (SE).
Finally, the newly deemed tobacco
products may be subject to future
regulations that FDA determines are
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appropriate for the protection of public
health.
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Summary of the Major Provisions of the
Regulatory Action
The final rule has two main sections:
(1) Deeming provisions and (2)
additional provisions to protect public
health.
Deeming Provisions—After thorough
review of the comments and the
scientific evidence, FDA has concluded
that Option 1 (including all cigars,
rather than a subset) more effectively
protects the public health and,
therefore, has made that the scope of the
final rule. Accordingly, this final rule
deems all products meeting the
statutory definition of ‘‘tobacco
product,’’ except accessories of the
newly deemed tobacco products, to be
subject to FDA’s tobacco product
authorities under chapter IX of the
FD&C Act. Section 201(rr) of the FD&C
Act (21 U.S.C. 321(rr)), as amended by
the Tobacco Control Act, defines the
term ‘‘tobacco product,’’ to mean ‘‘any
product made or derived from tobacco
that is intended for human
consumption, including any
component, part, or accessory of a
tobacco product (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product)’’ and
does not mean ‘‘an article that is a drug
under subsection (g)(1), a device under
subsection (b), or a combination product
described in section 353(g) of this
title.’’ 1 Products that meet the statutory
definition of ‘‘tobacco products’’
include currently marketed products
such as dissolvables not already
regulated by FDA, gels, waterpipe
tobacco, ENDS (including e-cigarettes, ehookah, e-cigars, vape pens, advanced
refillable personal vaporizers, and
electronic pipes), cigars, and pipe
tobacco.
In addition, this final rule deems any
additional current and future tobacco
products that meet the statutory
definition of ‘‘tobacco product,’’ except
accessories of such newly deemed
products, to be subject to FDA’s
authorities under chapter IX of the
FD&C Act. For example, FDA envisions
that there could be tobacco products
developed in the future that provide
1 FDA notes that some products falling within the
FD&C Act’s definition of ‘‘tobacco product’’ may
not be considered tobacco products for Federal
excise tax purposes (see 26 U.S.C. 5702(c)).
Taxation of tobacco products, as defined by the
Internal Revenue Code, falls under the jurisdiction
of the U.S. Department of the Treasury/Alcohol and
Tobacco Tax and Trade Bureau (TTB). Neither
FDA’s act of ‘‘deeming’’ nor any other FDA
regulations directly affect the taxation of any
tobacco product.
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nicotine delivery through means (e.g.,
via dermal absorption or intranasal
spray) similar to currently marketed
medicinal nicotine products, but which
are not drugs or devices. These products
would be ‘‘tobacco products’’ and
subject to FDA’s chapter IX authorities
in accordance with this final deeming
rule.
Upon the effective date of this final
rule (i.e., 90 days from the date of
publication), the newly deemed
products will be subject to the same
FD&C Act provisions and relevant
regulatory requirements to which
cigarettes, cigarette tobacco, roll-yourown tobacco, and smokeless tobacco are
subject, with respect to the following:
(1) Enforcement action against
products determined to be adulterated
or misbranded (other than enforcement
actions based on lack of a marketing
authorization during an applicable
compliance period);
(2) Required submission of ingredient
listing and reporting of HPHCs;
(3) Required registration of tobacco
product manufacturing establishments
and product listing;
(4) Prohibition against sale and
distribution of products with modified
risk descriptors (e.g., ‘‘light,’’ ‘‘low,’’
and ‘‘mild’’ descriptors) and claims
unless FDA issues an order authorizing
their marketing;
(5) Prohibition on the distribution of
free samples (same as cigarettes); and
(6) Premarket review requirements.
These actions will improve the public
health by affording FDA critical
information regarding the health risks of
such products; preventing new products
from entering the market unless such
marketing is appropriate for the
protection of public health, the products
are found substantially equivalent to a
valid predicate product, or the products
are found exempt from the SE
requirements; and preventing the use of
unsubstantiated modified risk claims,
which may mislead consumers and lead
them to initiate tobacco product use or
to continue using tobacco when they
would otherwise quit.
Additional Provisions—In addition to
the provisions in the FD&C Act and
implementing regulations that apply
automatically to the newly deemed
products, FDA has the authority to
invoke its other authorities under the
Tobacco Control Act in regulating these
products. At this time, under section
906(d) of the FD&C Act (21 U.S.C.
387f(d)), FDA is establishing three
restrictions for covered tobacco
products: (1) Requirement for a
minimum age of purchase; (2)
requirement for health warnings for
product packages and advertisements
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(which FDA is also applying to cigarette
tobacco and roll-your-own tobacco); and
(3) prohibition of vending machine sales
of such products, unless the vending
machine is located in a facility where
the retailer ensures that individuals
under 18 years of age are prohibited
from entering at any time. The term
‘‘covered tobacco products’’ is defined
as those products deemed to be subject
to the FD&C Act under section 1100.2 of
title 21 of the Code of Federal
Regulations (CFR), other than a
component or part that is not made or
derived from tobacco. We have slightly
modified the definition of ‘‘covered
tobacco products’’ from the notice of
proposed rulemaking (NPRM) to clarify
that components or parts that are
‘‘covered tobacco products’’ include not
only those that contain tobacco or
nicotine, but also those that contain any
tobacco derivative (i.e., we have
changed the NPRM definition, which
excluded ‘‘any component or part of a
tobacco product that does not contain
nicotine or tobacco,’’ to exclude ‘‘any
component or part of a tobacco product
that is not made or derived from
tobacco’’ as stated in this final rule).
Effective Dates—The deeming
provisions (i.e., those provisions that
automatically apply to newly deemed
products) and minimum age and
identification and vending machine
restrictions are effective 90 days from
the date of publication of the final rule.
The health warning requirements are
effective 24 months from the date of
publication of the final rule, with an
additional 30-day period in which a
manufacturer may continue to introduce
into interstate commerce existing
inventory manufactured before the
effective date that does not contain the
required warning statements on
packaging.
This means that:
• After the effective date, no
manufacturer, packager, importer,
distributor, or retailer of cigarette
tobacco, roll-your-own tobacco, cigars,
or other covered tobacco products may
advertise any such product if the
advertisement does not comply with
this rule;
• After the effective date, no person
may manufacture for sale or distribution
within the United States any such
product the package of which does not
comply with this rule;
• Beginning 30 days after the effective
date, a manufacturer may not introduce
into domestic commerce, any such
product, irrespective of the date of
manufacture, if its package does not
comply with this rule (i.e., noncompliant products manufactured prior
to the effective date may not be
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distributed for retail sale after 30 days
following the effective date);
• After the effective date, a distributor
or retailer may not sell, offer to sell,
distribute, or import for sale or
distribution within the United States
any such product the package of which
does not comply with this regulation,
unless the covered tobacco product was
manufactured prior to the effective date;
and
• After the effective date, however, a
retailer may sell covered tobacco
products in packages that do not have
a required warning if the retailer
demonstrates it falls outside the scope
of this rule as described in 21 CFR
1143.3(a)(3) and 1143.5(a)(4).
Compliance Policy for Premarket
Review—Manufacturers of newly
deemed products that are ‘‘new tobacco
products’’ as defined in section
910(a)(1) of the FD&C Act will be
required to obtain premarket
authorization of their products through
one of three pathways—SE., exemption
from SE., or premarket tobacco product
applications (sections 905 and 910 of
the FD&C Act). As stated in the NPRM,
we understand that, for some newly
deemed tobacco products, particularly
novel products, there may not be
appropriate predicate products that
were on the market on February 15,
2007, to support a SE claim.
Accordingly, in the NPRM, FDA
contemplated a compliance period of 24
months after the effective date of the
final rule for the submission of
applications for all newly deemed, new
tobacco products under all three
marketing pathways—premarket
tobacco applications (PMTAs), SE
reports, and SE exemption requests.2
FDA carefully considered numerous
comments regarding the contemplated
compliance period. Many comments
expressed concern that newly deemed,
new tobacco products would remain
available and could continue to be
marketed indefinitely without scientific
review. Other comments expressed
concern, and some submitted data,
regarding the effect that flavors have on
youth and young adult use of tobacco
products. FDA also received comments
and data regarding the potential for
some net public health benefits that
could accrue if flavored ENDS remain
available. After carefully considering all
of these comments, FDA here
announces a revised compliance policy
as well as the final rule. (Agency
2 Although the NPRM did not explicitly include
SE exemption requests as one of the marketing
pathways that applicants could utilize within a
compliance period, FDA did intend for its
contemplated 24-month compliance period to be
available for all marketing pathways.
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compliance/enforcement policies are
not subject to the requirements that
govern notice-and-comment rulemaking.
Prof’ls & Patients for Customized Care v.
Shalala, 56 F.3d 592 (5th Cir. 1995) (a
compliance policy guide is not a
substantive rule and not subject to the
Administrative Procedure Act’s (APA)
notice-and-comment rulemaking);
Takhar v. Kessler, 76 F.3d 995, 1002
(9th Cir. 1996) (FDA compliance policy
guides were not required to go through
notice-and-comment procedures). But
because the relevant time periods are of
obvious interest, FDA laid out its
anticipated compliance policy in the
NPRM, and for similar reasons, is
announcing its revised compliance
policy here, rather than in a separate
guidance document.) As a result of
FDA’s compliance policy, we expect
that many manufacturers will keep their
products on the market beyond the
effective date of this final rule.
However, if a manufacturer of a product
is unable to support an SE claim for its
product (e.g., is unable to identify a
valid predicate, or does not submit an
SE report with a valid predicate within
the compliance period, or does not
receive authorization within a
continued compliance period) and does
not obtain authorization under one of
the other available marketing pathways
before the end of an applicable
compliance period, such products
remaining on the market will be subject
to enforcement (e.g., seizure, injunction)
for failure to have a marketing
authorization under sections 905 and
910 of the FD&C Act.
FDA’s NPRM included detailed
requests for comments on different
possible compliance policy approaches.
79 FR at 23175–77. FDA received many
comments on these compliance-policy
issues. For example, comments jointly
submitted by 24 health and medical
organizations stated that the
contemplated 24-month compliance
period and indefinite period of
continued marketing during FDA review
included in the NPRM would prolong
the public’s exposure to products that
contain nicotine, a highly addictive
substance, and that do not meet the
statutory standard for the grant of a
marketing order (Comment No. FDA–
2014–N–0189–79772.). They stated that
this approach would allow
manufacturers to market the newly
deemed products in ways that appeal to
youth and to manipulate the content of
these products in uncontrolled ways for
an indefinite period (id.). Ranking
minority members of the Energy and
Commerce Committee, Health
Subcommittee, and Oversight and
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28977
Investigations Subcommittee, U.S.
House of Representatives also called for
a more protective compliance period
than the one contemplated in the
NPRM, arguing that the proposed
compliance period ‘‘puts the nation’s
youth at risk’’ (Comment No. FDA–
2014–N–0189–80119). Further, a
network of tobacco control policy and
legal specialists expressed concern
regarding the effect of continued
marketing of tobacco products that have
not been reviewed under the applicable
public health standards of the Tobacco
Control Act (Comment No. FDA–2014–
N–0189–81044). FDA also received
comments suggesting that the agency
should stagger the compliance periods
for different product classes based on
the continuum of risk, with ENDS
having a longer compliance period than
other product classes (e.g., Comment
No. FDA–2014–N–0189–81859;
Comment No. FDA–2014–N–0189–
10852). FDA also received comments
and new data regarding the effect of
flavored tobacco products on youth and
young adult use.
FDA understands that the appeal of
flavors and use of flavored tobacco
products have an important role in the
initiation and continued use of tobacco
products, and in the health risks
associated with use of these products.
Based on all of these comments, we
have determined that exercising
enforcement discretion indefinitely
could put youth and young adults at
risk for tobacco-related death and
disease. However, we recognize that the
availability of alternatives to traditional
tobacco flavors in some products (e.g.,
ENDS) may potentially help some adult
users who are attempting to transition
away from combusted products.
Furthermore, at least some flavored
combusted products are likely to be
‘‘grandfathered’’ and therefore would
remain on the market regardless of the
compliance period provided in the
preamble. Taking into consideration all
of the comments on the compliance
period and flavors, we are establishing
staggered compliance periods. This
approach will enable FDA to balance
concerns regarding the extended
availability of all newly deemed, new
tobacco products without scientific
review, concerns regarding flavored
tobacco products’ appeal to youth, and
emerging evidence that some adults may
potentially use certain flavored tobacco
products to transition away from
combusted tobacco use. FDA is
establishing staggered initial
compliance periods based on the
expected complexity of the applications
to be submitted, followed by continued
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compliance periods for FDA review
such that our exercise of enforcement
discretion will end twelve months after
each initial compliance period. In other
words, manufacturers of all newly
deemed, new tobacco products will
have a 12-, 18- or 24-month initial
compliance period in which to prepare
applications for marketing
authorization, as well as a 12-month
continued compliance period after those
dates in which to obtain authorization
from FDA (resulting in total compliance
periods of 24, 30, or 36 months). After
the close of the continued compliance
period, products will be subject to
enforcement unless they are
grandfathered or are the subject of a
marketing authorization order. FDA’s
revised compliance policy for premarket
review—resulting in products remaining
on the market while manufacturers seek
review but also contemplating an end to
the continued compliance policy—will
balance the public health concerns
raised in the comments, allow the
Agency to more efficiently manage the
flow of incoming applications, and
encourage high-quality premarket
submissions from applicants.
According to this revised compliance
policy, for newly deemed products that
are on the market on the effective date
of this final rule and were not on the
market on February 15, 2007, FDA is
providing a 12-month initial compliance
period for manufacturers to submit (and
FDA to receive) an SE exemption
request, an 18-month initial compliance
period for manufacturers to submit (and
FDA to receive) SE applications, and a
24-month initial compliance period for
manufacturers to submit (and FDA to
receive) a PMTA.
If manufacturers submit (and FDA
receives) the applications during their
respective compliance periods, FDA, for
a certain period of time as discussed in
the following paragraph, intends to
continue the compliance policy and
does not intend to initiate enforcement
action for these products remaining on
the market without FDA authorization.
For newly deemed tobacco products
using the SE Exemption pathway, this
continued compliance period (i.e., the
time during which FDA does not intend
to enforce the premarket review
requirements) will close 24 months after
the effective date of part 1100 of this
final deeming rule (i.e.,12 months after
the 12-month initial compliance period
closes for submission and receipt of SE
exemption requests). The earlier
submission period for the SE exemption
pathway is intended to allow the
manufacturer time to consider other
pathways if the exemption request is
denied or if FDA refuses to accept the
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request if, for example, the application
is incomplete. For newly deemed
tobacco products using the SE pathway,
this continued compliance period will
close 30 months after the effective date
of part 1100 of this final deeming rule
(i.e., 12 months after the 18-month
initial compliance period closes for
submission and receipt of SE Reports).
For newly deemed tobacco products
using the PMTA pathway, this
continued compliance period will close
36 months after the effective date (i.e.,
12 months after the 24-month
compliance period closes for
submission and receipt of PMTAs). Any
such newly deemed tobacco product for
which an application under one of the
three marketing pathways has not been
submitted within 24 months from the
effective date of part 1100 of this final
deeming rule will not benefit from this
continued compliance policy and will
be subject to enforcement as of that date.
In addition, once the respective
continued compliance period ends for
products with applications submitted
according to this policy, products
remaining on the market without
premarket authorizations in effect, even
if the product has a pending application
that was originally submitted by its
respective initial compliance deadline
set forth previously in this document,
will be subject to enforcement.
However, if at the time of the
conclusion of the continued compliance
period, the applicant has provided the
needed information and review of a
pending marketing application has
made substantial progress toward
completion, FDA may consider, on a
case-by-case basis, whether to defer
enforcement of the premarket
authorization requirements for a
reasonable time period.
Regarding concerns as to the inability
to use the SE pathway for certain
products, FDA notes that an applicant
may use as a predicate any tobacco
product commercially marketed in the
United States as of February 15, 2007,
or previously found substantially
equivalent (note that we interpret the
phrase ‘‘as of’’ February 15, 2007, as
meaning that the tobacco product was
commercially marketed (other than
exclusively in test markets) in the
United States on February 15, 2007. If
your tobacco product had been
commercially marketed in the United
States before February 15, 2007, but was
not commercially marketed on that date,
it is not a grandfathered product and
may not be commercially marketed
unless you obtain a marketing
authorization under section 910 of the
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FD&C Act).3 This may possibly include
a predicate that is in a different category
or subcategory than the new product
that is the subject of the SE report.
While FDA currently does not have a
policy that limits comparisons to the
same category, we do see cross-category
comparisons as more challenging for an
applicant and we may express
limitations on such comparisons in the
future, if they become warranted as we
gain experience regulating newly
deemed products. FDA also is
continuing to research e-cigarettes, other
ENDS, and heated cigarette products
that likely were on the market ‘‘as of’’
(i.e., on) February 15, 2007.
Additionally, FDA has determined that
some e-cigarettes and other ENDS were
manufactured in 2006 and commercially
marketed in the United States in early
2007. In particular, we have identified
an ENDS product that may have been on
the market on February 15, 2007. This
product may possibly be able to serve as
a valid predicate for purposes of the SE
pathway. The burden of demonstrating
that a valid predicate exists rests with
the manufacturer submitting a SE
report. To facilitate the determination
that a product is eligible to serve as a
valid predicate, any individual who has
evidence that an e-cigarette or other
ENDS was commercially marketed in
the United States on February 15, 2007,
may submit a stand-alone grandfather
submission to FDA (See final guidance,
‘‘Establishing That a Tobacco Product
Was Commercially Marketed in the
United States as of February 15, 2007’’
(79 FR 58358, September 29, 2014)).
(Based on FDA’s experiences to date,
and since stand-alone grandfather
submissions are purely voluntary, FDA
does not anticipate that many
manufacturers will make such
submissions, but this option is
available.) Regardless of the predicate
selected for comparison, manufacturers
are responsible for providing scientific
data adequate to demonstrate that, in
the case of an SE report, the
characteristics of the new product are
the same as the predicate or, if the
characteristics are different, that these
differences do not cause the new
product to raise different questions of
public health. We encourage interested
parties to review the applications FDA
3 FDA Guidance states that ‘‘[i]f you cannot
provide documentation specifically dated on
February 15, 2007, FDA suggests you provide
documentation of commercial marketing for a
reasonable period of time before and after February
15, 2007.’’ Guidance for Industry entitled
‘‘Establishing That a Tobacco Product Was
Commercially Marketed in the United States as of
February 15, 2007 (79 FR 58358, Sept. 29, 2014),
The guidance also provides examples of sources of
evidence, e.g., bills of lading.
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posts on https://www.fda.gov for
examples of products that do not raise
different questions of public health
when compared with the specified
predicate product.
Vape Establishments Acting as
Manufacturers—Several comments
asked FDA to clarify whether e-cigarette
retail stores and vape establishments are
considered ‘‘tobacco product
manufacturers’’ under the FD&C Act. In
response, FDA has explained that
establishments that mix or prepare eliquids or create or modify aerosolizing
apparatus for direct sale to consumers
are tobacco product manufacturers
under the definition set forth in the
FD&C Act and, accordingly, are subject
to the same legal requirements that
apply to other tobacco product
manufacturers.
Revisions to Health Warning
Requirements—FDA is finalizing this
deeming rule with a few changes to the
proposed health warning requirements
for newly deemed products. For
example, FDA has slightly revised the
nicotine warning statement to read:
‘‘WARNING: This product contains
nicotine. Nicotine is an addictive
chemical.’’ The alternative warning
statement for products that do not
contain nicotine (i.e., no nicotine at
detectable levels) is revised to read:
‘‘This product is made from tobacco.’’
We have also provided additional
language explaining the process for selfcertifying that the product does not
contain nicotine, which must be
submitted to FDA, and the
recordkeeping recommendations for this
self-certification. E-liquids that do not
contain tobacco or nicotine or are not
derived from tobacco or nicotine do not
meet the definition of ‘‘covered tobacco
product,’’ as described throughout this
final rule, and will not be required to
carry an addiction warning or to submit
a self-certification. In addition, we have
added language to clarify that the
warning statements on packages must be
printed in at least 12-point font size to
be conspicuous and legible.
Further, we have added a provision to
indicate that a product package too
small or otherwise unable to
accommodate a label with sufficient
space to bear such information will be
exempt from the requirements to place
the warning statement directly on
packages (as required in § 1143.3(a)(1)),
as long as the warning requirements
enumerated in § 1143.3(a)(2) and (d) are
met. For instance, for small packages,
the warning statement must appear on
the two principal display panels on the
outer carton or other outer container or
wrapper or on a tag otherwise
permanently affixed to the tobacco
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product package. This required warning
must be printed using the same
specifications in § 1143.3(a)(1) and (2)
(which provide the specifications for the
addiction warning). In such cases, the
carton, outer container, wrapper, or tag
would serve as one of the principal
display panels.
Reproductive Health Warning for
Cigars—In the proposed deeming rule,
FDA proposed to require four of the five
warnings already included on most
cigar packages and in most cigar
advertisements as a result of settlement
agreements between the Federal Trade
Commission (FTC) and the seven largest
U.S. cigar manufacturers (hereinafter,
‘‘FTC consent decrees’’). (See, e.g., In re
Swisher International, Inc., Docket No.
C–3964.) FDA did not propose to
require the fifth warning (SURGEON
GENERAL WARNING: Tobacco Use
Increases the Risk of Infertility,
Stillbirth and Low Birth Weight), but
asked for comments regarding this
decision. Upon further consideration,
FDA has decided to require a fifth
warning regarding reproductive health
effects and cigar use specifically, which
reads ‘‘WARNING: Cigar use while
pregnant can harm you and your baby.’’
This requirement is supported by
existing scientific evidence and is
appropriate for the protection of the
public health. However, because the
general statement ‘‘Tobacco smoke
increases the risk of infertility, stillbirth
and low birth weight’’ is also a true
statement, and because scientific
evidence demonstrates that cigar smoke
is similar in content and effects to
cigarette smoke, FDA is allowing the use
of the reproductive health warning
required by the FTC consent decrees as
an optional alternative to the fifth FDA
warning. FDA expects that providing
the optional alternative will benefit
entities bound by the FTC consent
decrees.
Nicotine Exposure Warning and
Child-Resistant Packaging—After
reviewing the comments, FDA
recognizes the importance of alerting
consumers to, and protecting children
from, the hazards from ingestion of, and
eye and skin exposure to, e-liquids
containing nicotine. Toward that end,
FDA issued an advance NPRM
(ANPRM) prior to this deeming rule (80
FR 51146 (2015)), seeking comments,
data, research, or other information that
may inform regulatory actions FDA may
take with respect to a nicotine exposure
warning and child-resistant packaging.
In addition, elsewhere in this issue of
the Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
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means of addressing the premarket
authorization requirements for newly
deemed ENDS products, including
recommendations for exposure
warnings and child-resistant packaging
that would help to support a showing
that the marketing of a product is
appropriate for the protection of public
health.
Requests for Additional Regulations
Applicable to Newly Deemed Products—
In the NPRM, FDA noted that, once the
products were deemed, the Agency
could issue additional regulations
applicable to newly deemed products,
including product standards under
section 907 of the FD&C Act (21 U.S.C.
387g). FDA received many suggestions
for additional regulations that should
apply to the newly deemed products.
FDA is taking these comments under
advisement and considering whether to
issue NPRMs for such provisions.
Compliance Policy Regarding Certain
Provisions and Small-Scale Tobacco
Product Manufacturers—In the NPRM,
FDA requested comment on the ability
of small manufacturers of newly
deemed tobacco products to fully
comply with the requirements of the
FD&C Act and how FDA might be able
to address those concerns. Considering
the comments and FDA’s finite
enforcement resources, the Agency’s
view is that those resources may not be
best used in immediately enforcing
certain provisions of this rule against
certain manufacturers that are smallscale tobacco product manufacturers
and that may need additional time to
comply with certain requirements of the
FD&C Act. Generally, for purposes of
this new compliance policy in which
FDA is specifying additional periods of
time for such manufacturers to comply
with certain provisions (i.e., additional
time to respond to SE deficiency letters,
an additional six-month compliance
period for the tobacco health document
submission requirements, and
additional time to submit ingredient
listings, as discussed in Section IV.D).
As with manufacturers generally, these
small-scale tobacco manufacturers will
also benefit from additional assistance
with their marketing applications,
including: a Regulatory Health Project
Manager so that they have a single point
of contact in FDA’s Center for Tobacco
Products (CTP’s) Office of Science (OS)
for questions about their marketing
applications; an appeals process for
denial of marketing applications (of
which one small business has already
taken advantage); and staff from CTP’s
Office of Compliance and Enforcement
(OCE), who assist such businesses in
helping them to identify documents that
may be used to establish that their
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predicate products were on the market
on February 15, 2007. Further, CTP’s
OCE will continue to assist small-scale
tobacco product manufacturers in their
submission of rotational warning plans
for FDA approval and to provide a
system to assist such businesses in
navigating the regulatory requirements
of FDA. FDA considers a ‘‘small-scale
tobacco product manufacturer’’ to be a
manufacturer of any regulated tobacco
product that employs 150 or fewer fulltime equivalent employees and has
annual total revenues of $5,000,000 or
less. In formulating our thinking on
what a small-scale tobacco product
manufacturer is for purposes of this
policy, FDA has considered all available
data on employment, revenues,
production volume and other details of
operation for current manufacturers of
newly deemed products. FDA considers
a manufacturer to include each entity
that it controls, is controlled by, or is
under common control with. To help
make FDA’s individual enforcement
decisions more efficient, a manufacturer
may voluntarily submit information
regarding employment and revenues.4
Policy for Certain Regulatory
Requirements for All Manufacturers of
Newly Deemed Products—Although
FDA maintains that all of the automatic
provisions are important given that all
tobacco products have inherent risks,
FDA recognizes that compliance with
many of the automatic provisions may
be challenging at first for entities that
are new to Federal public health
regulation. In addition, FDA expects
that it will obtain necessary information
from its regulation of finished tobacco
products. As a result, FDA has
established a compliance policy for
premarket submission and for obtaining
authorization with respect to certain
components and parts of newly deemed
tobacco products. We note that FDA
also intends to issue a guidance
regarding HPHC reporting under section
904(a)(3), and later a testing and
reporting regulation as required by
section 915, with enough time for
manufacturers to report given the 3-year
compliance period for HPHC reporting.
Section 904(a)(3) requires the
submission of a report listing all
constituents, including smoke
constituents identified as harmful or
potentially harmful (HPHC) by the
Secretary. Section 915 requires the
testing and reporting of the constituents,
ingredients, and additives the Secretary
determines should be tested to protect
the public health. The section 915
testing and reporting requirements
apply only after FDA issues a regulation
implementing that section, which it has
not yet done. Until these testing and
reporting requirements have been
established, newly deemed tobacco
products (and currently regulated
tobacco products) are not subject to the
testing and reporting provisions found
under section 915. As noted elsewhere
in this document, FDA does not intend
to enforce the reporting requirements
under section 904(a)(3) for newly
deemed products before the close of the
3-year compliance period, even if the
HPHC guidance and the section 915
regulation are issued well in advance of
that time.
Severability—In accordance with
section 5 of the Tobacco Control Act,
FDA considers and intends the
extension of its authorities over all
tobacco products and the various
requirements and prohibitions
established by this rule to be severable.
It is FDA’s interpretation and position
that the invalidity of any provision of
this rule shall not affect the validity of
any other part of this rule. In the event
any court or other lawful authority were
to temporarily or permanently
invalidate, restrain, enjoin, or suspend
any provision of this final rule, FDA
would conclude that the remaining
parts continue to be valid. As stated in
section 5 of the Tobacco Control Act, if
certain applications of this rule to
persons or circumstances (discussed in
the preamble or otherwise) are held to
be invalid, application of such
provisions to any other person or
circumstance will not be affected and
will continue to be enforced. Each
provision of the rule is independently
supported by data and analysis as
described or referenced in this preamble
and, if issued separately, would remain
a proper exercise of FDA authority.
Costs and Benefits
This final rule deems all products
meeting the statutory definition of
‘‘tobacco product,’’ except accessories of
a newly deemed tobacco product, to be
subject to chapter IX of the FD&C Act.
This final rule also finalizes additional
provisions that would apply to certain
newly deemed products as well as to
certain other tobacco products. Once
deemed, tobacco products become
subject to the FD&C Act and its
implementing regulations. The FD&C
Act requirements that will apply to
newly deemed products include
establishment registration and product
listing, ingredient listing, HPHC testing
and reporting, premarket submissions
prior to the introduction of new
products, and labeling requirements.
Free samples of newly deemed tobacco
products will also be prohibited. The
additional provisions of this final rule
include minimum age and identification
requirements, vending machine
restrictions, and required warning
statements for packages and
advertisements.
TABLE 1—SUMMARY OF QUANTIFIED COSTS OVER 20 YEARS
[$ million]
Lower bound
(3%)
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Present Value of Private Sector Costs ....
Present Value of Government Costs 1 .....
Present Value of Total Costs ...................
Annualized Value of Private Sector Costs
Annualized Value of Government Costs 1
Annualized Value of Total Costs .............
517.7
204.6
722.3
34.8
13.8
48.5
Primary
(3%)
Upper bound
(3%)
783.7
204.6
988.2
52.7
13.8
66.4
Lower bound
(7%)
1,109.8
204.6
1,314.4
74.6
13.8
88.3
450.4
145.7
596.1
42.5
13.8
56.3
Primary
(7%)
670.9
145.7
816.5
63.3
13.8
77.1
Upper bound
(7%)
939.8
145.7
1,085.4
88.7
13.8
102.5
1 FDA costs represent an opportunity cost, but this rule will not result in changes to overall FDA accounting costs, the size of the Federal budget, or the total amount of tobacco industry user fees.
4 FDA notes that our current thinking regarding
‘‘small-scale tobacco product manufacturer’’ for
purposes of this compliance policy differs from
definitions of ‘‘small manufacturer’’ or ‘‘small
tobacco product manufacturer’’ that pertain in
several other contexts, including definitions
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established by the Small Business Administration
or the Tobacco Control Act’s definition of a ‘‘small
tobacco product manufacturer.’’ FDA notes that its
current thinking reflects an evaluation of all
available data regarding manufacturers of newly
deemed tobacco products, as well as careful review
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of the potentially unique interests of the smallest
tobacco product manufacturers as considered in
light of the Agency’s statutory obligations regarding
the protection of public health.
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The direct benefits of making each of
the newly deemed tobacco products
subject to the requirements of chapter IX
of the FD&C Act are difficult to quantify,
and we cannot predict the size of these
benefits at this time. Table 1
summarizes the quantified costs of this
final rule over 20 years. For the reasons
provided in the preamble and analysis
of impacts, FDA has concluded that the
benefits of the final rule justify the
costs. Among other effects, new
products will be subject to an evaluation
to ensure they meet the appropriate
public health standard for the pathway
before they can be marketed, labeling
cannot contain misleading statements,
and FDA will be made aware of the
ingredients in newly deemed tobacco
products. If, without the final rule, new
products would pose substantially
greater health risks than those already
on the market, the premarket
requirements made effective by this
final rule would keep such products
from appearing on the market and
worsening the health effects of tobacco
product use. The warning statements
required by this final rule will help
consumers better understand and
appreciate the risks and characteristics
of tobacco products.
I. Background
Cigarettes, cigarette tobacco, roll-yourown tobacco, and smokeless tobacco
were immediately covered by FDA’s
tobacco product authorities in chapter
IX of the FD&C when the Tobacco
Control Act went into effect. For other
tobacco products, the statute authorized
FDA to issue regulations ‘‘deeming’’
them to be subject to such authorities.
Consistent with the statute, once a
tobacco product is deemed, FDA may
put in place ‘‘restrictions on the sale
and distribution of a tobacco product,’’
if FDA determines the restrictions are
appropriate for the protection of the
public health (21 U.S.C. 387f(d)(1)).
The Surgeon General has long
recognized that the addictive nature of
tobacco products is due to the presence
of highly addictive nicotine that can be
absorbed into the bloodstream (see, e.g.,
Ref. 1 at 6–9). While the amount of
nicotine delivered and the means
through which it is delivered can either
reduce or enhance nicotine’s potential
for abuse and physiological effects (Ref.
2 at 113), nicotine is addictive. In
general, the quicker the delivery, rate of
absorption, and attainment of peak
concentrations of nicotine, the greater
the potential for addiction (id.).
The Surgeon General reported that
‘‘most people begin to smoke in
adolescence and develop characteristic
patterns of nicotine dependence before
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adulthood’’ (Ref. 3). These youth
develop physical dependence and
experience withdrawal symptoms when
they try to quit smoking (id.). As a
result, addiction to nicotine is often
lifelong (Ref. 4), and youth and young
adults generally ‘‘underestimate the
tenacity of nicotine addiction and
overestimate their ability to stop
smoking when they choose’’ (Ref. 5). For
example, in a study of over 1,200 sixth
grade students who inhaled tobacco
products, 58.5 percent had lost
autonomy over their tobacco use (i.e.,
had difficulty trying to quit) (Ref. 6).
One survey also revealed that ‘‘nearly 60
percent of adolescents believed that
they could smoke for a few years and
then quit’’ (Ref. 7). Research conducted
in animal models has indicated that
exposure to substances such as nicotine
can disrupt prenatal brain development
and may have long-term consequences
on executive cognitive function and on
the risk of developing a substance abuse
disorder and various mental health
problems as an adult (Ref. 8), and this
exposure to nicotine can also have longterm results on decreasing attention
performance and increasing impulsivity
which could promote the maintenance
of nicotine use behavior (id.).
The Surgeon General also emphasizes
that ‘‘nicotine addiction develops as a
neurobiologic adaptation to chronic
nicotine exposure,’’ suggesting that the
pattern of tobacco product use (e.g.,
frequency of using the product) is a
factor in the facilitation of nicotine
addiction (Ref. 9 at 112). The Surgeon
General also noted ‘‘all forms of nicotine
delivery do not pose an equal risk in
establishing and maintaining addiction’’
and this may be because the
pharmacokinetics of various nicotine
containing products differ (id.). The
FDA-approved nicotine patch is an
example of slow absorption and once-aday dosing which results in minimal
potential for addiction (Ref. 2 at 113). In
1988, the Surgeon General recognized
that the ultimate levels of nicotine
absorbed into the blood from tobacco
products on the market at that time can
be similar in magnitude regardless of
the product forms used to deliver
nicotine (Ref. 1). For example, research
has shown that oral use of smokeless
tobacco products that do not emit smoke
results in ‘‘high venous concentrations
of nicotine equal to those for use of
cigarettes’’ (Ref. 2 at 113).
FDA believes that the inhalation of
nicotine (i.e., nicotine without the
products of combustion) is of less risk
to the user than the inhalation of
nicotine delivered by smoke from
combusted tobacco products. However,
limited data suggest that the
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pharmacokinetic properties of inhaled
nicotine can be similar to nicotine
delivered by combusted tobacco
products. Thus, inhaled nicotine from a
non-combustible product may be as
addictive as inhaled nicotine delivered
by combusted tobacco products.
Researchers recognize that the effects
from nicotine exposure by inhalation
without combustion are likely not
responsible for the high prevalence of
tobacco-related death and disease in this
country (Refs. 10, 11). Although
nicotine itself has not been shown to
cause the chronic disease associated
with tobacco use, the 2014 Surgeon
General’s report noted that there are still
risks associated with nicotine (Ref. 9 at
111). For example, nicotine at high
enough doses has acute toxicity (id.).
Research in animal models have
demonstrated that nicotine exposure
during fetal development may have
lasting adverse consequences for brain
development (id.). Nicotine also
adversely affects maternal and fetal
health during pregnancy, contributing to
multiple adverse outcomes such as
preterm delivery and stillbirth (id.;
citing Refs. 12, 13). Further, data from
studies of mice also suggest that
nicotine exposure during adolescence
may have lasting adverse consequences
for brain development (id.). Some
studies in animal models also have
found that nicotine can have
detrimental effects on the
cardiovascular system and potentially
disrupt the central nervous system
(Refs. 14, 15).
‘‘Since the 1964 Surgeon General’s
report, comprehensive tobacco control
programs and policies have been proven
effective for controlling tobacco use’’
(Ref. 9 at 36). Accordingly, FDA is
issuing this final rule to serve two
purposes: (1) To deem products that
meet the definition of ‘‘tobacco
product’’ under the law, except
accessories of newly deemed tobacco
products, and subject them to the
tobacco control authorities in the FD&C
Act; and (2) to establish specific
restrictions that are appropriate for the
protection of the public health for the
newly deemed tobacco products. To
satisfy these purposes, FDA proposed
two options (Option 1 and Option 2),
which provided two alternatives for the
scope of the deeming provisions and,
consequently, the application of the
additional specific provisions. Under
Option 1, all products meeting the
definition of a ‘‘tobacco product,’’
except accessories of newly deemed
tobacco products, would be deemed.
Option 2 was the same as Option 1,
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except a subset of cigars known as
‘‘premium cigars’’ would be excluded.
Currently, tobacco products
unregulated by FDA are widely
available and come in many forms,
including cigars, pipe tobacco,
waterpipe tobacco, liquids (e-liquids)
for ENDS (the most popular of which
are electronic cigarettes, but also
include e-hookah, e-cigars, vape pens,
personal vaporizers, and electronic
pipes), liquid nicotine that is made or
derived from tobacco, nicotine gels, and
certain dissolvable tobacco products
(i.e., dissolvable products that do not
currently meet the definition of
‘‘smokeless tobacco’’ in section 900(18)
of the FD&C Act (21 U.S.C. 387(18))
because they do not contain cut, ground,
powdered, or leaf tobacco and instead
contain nicotine extracted from
tobacco). Upon implementation of this
final rule, currently unregulated tobacco
products and future products meeting
the definition of ‘‘tobacco product’’
under section 201(rr) (except accessories
of newly deemed tobacco products) will
be subject to chapter IX of the FD&C
Act.
FDA issued a proposed deeming rule
on April 25, 2014 (79 FR 23142). We
received over 135,000 comments on the
NPRM. Comments were received from
tobacco product manufacturers,
retailers, academia, medical
professionals, local governments,
advocacy groups, and consumers. To
make it easier to identify comments and
our responses, the word ‘‘Comment,’’ in
parentheses, will appear before each
comment, and the word ‘‘Response,’’ in
parentheses, will appear before each
response. We have numbered the
comments to make it easier to
distinguish between comments; the
numbers are for organizational purposes
only and do not reflect the order in
which we received the comments or any
value associated with them. We have
combined similar comments under one
numbered comment. In addition to the
comments specific to this rulemaking
that we address in the following
paragraphs, we received many general
comments expressing support or
opposition to the rule and separate
provisions within the rule. These
comments express broad policy views
and do not address specific points
related to this rulemaking. Therefore,
these general comments do not require
a response. Other comments outside the
scope of this rulemaking also have not
been addressed here. The remaining
comments, as well as FDA’s responses,
are included in this document.
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II. Legal Authority
A. Summary of Legal Authority
As set forth in the preamble to the
NPRM (79 FR 23142 at 23145), the
Tobacco Control Act provided FDA with
the authority to regulate tobacco
products by, among other things, adding
chapter IX to the FD&C Act. Section 901
of the FD&C Act (21 U.S.C. 387a)
provides that this new chapter (Chapter
IX—Tobacco Products) applies to all
cigarettes, cigarette tobacco, roll-yourown tobacco, and smokeless tobacco
and to any other tobacco products that
the Secretary of Health and Human
Services by regulation deems to be
subject to this chapter. In accordance
with section 901 of the FD&C Act, FDA
issued a NPRM to extend FDA’s
‘‘tobacco product’’ authorities to
products that meet the statutory
definition of ‘‘tobacco product’’ in
section 201(rr) of the FD&C Act,5 except
the accessories of these tobacco
products, and provided two separate
options as to the scope of cigar products
that would be deemed subject to FDA’s
tobacco authorities. FDA is selecting
Option 1 deeming all tobacco products,
including premium cigars, except the
accessories of the newly deemed
products, with this final rule.
In addition, section 906(d)(1) of the
FD&C Act authorizes FDA to require
restrictions on the sale and distribution
of a tobacco product, if the Agency
determines that ‘‘such regulation would
be appropriate for the protection of the
public health.’’ FDA has determined
that the additional restrictions included
with this final rule (i.e., minimum age
and identification requirements,
vending machine restrictions, and
health warning statements) are
‘‘appropriate for the protection of the
public health.’’
These authorities are supplemented
by section 903 of the FD&C Act (21
U.S.C. 387c), which provides, among
other things, that a tobacco product is
misbranded unless the manufacturer,
packer, or distributor thereof includes in
all advertisements and other descriptive
printed matter issued or caused to be
issued by the manufacturer, packer, or
distributor with respect to that tobacco
product a brief statement of the uses of
the tobacco product and relevant
warnings, precautions, side effects, and
contraindications (section 903(a)(8)(B)(i)
5 Section 201(rr) of the FD&C Act defines
‘‘tobacco product,’’ in relevant part, as any product
made or derived from tobacco that is intended for
human consumption, including any component,
part, or accessory of a tobacco product (except for
raw materials other than tobacco used in
manufacturing a component, part, or accessory of a
tobacco product). 21 U.S.C. 321(rr).
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of the FD&C Act). Section 903(a)(7)(B) of
the FD&C Act also provides that a
tobacco product is misbranded if it is
sold or distributed in violation of a
regulation prescribed under section
906(d) of the FD&C Act.
In addition, section 701(a) of the
FD&C Act (21 U.S.C. 371(a)) provides
FDA with authority to issue regulations
for the efficient enforcement of the
FD&C Act.
B. Responses to Comments Regarding
Legal Authority
FDA received comments on a wide
range of legal issues, including FDA’s
authority to deem tobacco products
subject to the FD&C Act and
constitutional issues that may be
implicated by the NPRM. FDA carefully
considered these comments and
concludes that the Agency has authority
to deem the tobacco products covered
under this final rule. FDA is not aware
of other legal concerns from comments
that prevent the Agency from taking the
actions included in this final rule. A
summary of comments regarding legal
authority, and FDA’s responses, follows.
1. Section 901 Authority
(Comment 1) Generally, the comments
did not challenge FDA’s authority under
section 901 of the FD&C Act, but at least
one comment argued that section 901
does not grant FDA the authority to
deem, ‘‘in a sweeping manner,’’ all
products (excluding accessories) that
meet the statutory definition of ‘‘tobacco
product.’’ The comment argued that
Congress intended to grant FDA
discretion to deem products only on a
product-by-product basis, or at best, a
category-by-category basis, and that
FDA lacks authority to ‘‘simply swallow
all extant and future tobacco products
up in its authority[.]’’
(Response) FDA disagrees. Section
901 grants FDA the authority to deem
‘‘any . . . tobacco products that the
Secretary by regulation deems to be
subject to [chapter IX of the FD&C Act].’’
There is no provision in the statute that
restricts FDA’s authority to deem all
tobacco products that meet the statutory
definition or requires FDA to deem
products on an individual or product
category basis.
The comment did not provide a basis
for the claim that Congress intended to
restrict FDA’s deeming authority to
piecemeal deeming of specific
categories of products and no such
restrictions exist. FDA believes that
deeming tobacco products on a product
or category basis would create
regulatory loopholes, substantial delay
(at the risk to public health), and
significantly impede FDA’s ability to
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create a comprehensive regulatory
scheme.
Even if there was ambiguity in the
wording of section 901, which FDA
does not believe there is, FDA would be
entitled to deference on this
interpretation of the statute (Chevron
U.S.A., Inc. v. Natural Res. Def. Council,
Inc., 467 U.S. 837, 842–45 (1984),
quoting Morton v. Ruiz, 415 U.S. 199,
231 (1974) (‘‘We have long recognized
that considerable weight should be
accorded to an executive department’s
construction of a statutory scheme it is
entrusted to administer, and the
principle of deference to administrative
interpretations . . .’’)).
(Comment 2) At least one comment
questioned whether section 901 of the
FD&C Act provides authority to deem
future tobacco products under the new
rule. Specifically, the comment argued
that a ‘‘tobacco product’’ must exist at
the time the rule takes effect for it to be
subject to ‘‘deeming’’ under the rule.
(Response) FDA disagrees. The term
‘‘tobacco product’’ is defined in section
201(rr) of the FD&C Act, 21 U.S.C.
321(rr), to mean ‘‘any product made or
derived from tobacco that is intended
for human consumption, including any
component, part, or accessory of a
tobacco product (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product),’’ and
excluding drugs, devices, and
combination products as defined under
the FD&C Act. The definition has no
temporal element, and nothing in the
statute limits FDA’s deeming authority
to products or categories of products
that are currently marketed. Contrary to
Congress’s intention in enacting the
statute, the proposed interpretation
would substantially impede FDA’s
ability to protect the public health.
Indeed, FDA’s ability to regulate new
products would be further delayed by
months or even years after the
introduction of each new product, as the
Agency would have to initiate a
rulemaking to deem each new product
before existing regulations would apply.
Such an interpretation would frustrate
the intent underlying the Tobacco
Control Act and endanger the public
health.
Moreover, we note that the Agency is
not simply creating a rule to apply to
theoretical products with completely
unknown risks that will be developed in
the future. Instead, FDA is finalizing
this rule to include all ‘‘tobacco
products’’ within the scope of its
regulatory authority based on the
potential harm posed by existing
products and the Agency’s experience
with the regulation of such products
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(which have all been made or derived
from tobacco). This experience has
shown us that it would be easier for
manufacturers and more protective for
public health for a company to know
(prior to development and marketing)
that its product must be reviewed and
authorized by FDA in order to be offered
for sale in the United States.
(Comment 3) A number of comments
contended that section 901(g) of the
FD&C Act requires FDA to consult with
other Federal Agencies before
promulgating a new rule under chapter
IX of the FD&C Act.
(Response) FDA agrees that section
901(g) requires FDA to ‘‘endeavor to
consult with other Federal Agencies, as
appropriate.’’ FDA consulted with other
Federal Agencies during the Federal
Agency review process required by
Executive Order 12866, satisfying its
requirement under section 901(g).
2. FDA’s Exercise of Authority
(Comment 4) Some comments, largely
from the ENDS industry, argued that
FDA is required to establish that
deeming will benefit public health, and
that insufficient evidence exists to do
so. Specifically, they argued that FDA is
unable to quantify the health risks of
certain products (namely, e-cigarettes) 6
without multiple long-term studies, and
that currently such studies do not exist.
A few comments cited the public health
standard in section 906(d) of the FD&C
Act as authority for these claims.
(Response) FDA disagrees. These
comments attempted to impose a
standard for the application of FDA’s
deeming authority that is not created by
statute or otherwise. Under section
901(b), chapter IX of the FD&C Act shall
apply to all cigarettes, cigarette tobacco,
roll-your-own tobacco, and smokeless
tobacco and to any other tobacco
products that the Secretary by
regulation deems to be subject to this
chapter (emphasis added). The only
pertinent limitations on the scope of
FDA’s deeming authority are the
definition of ‘‘tobacco product’’ set forth
in section 201(rr) of the FD&C Act and
a provision regarding tobacco growers
and similar entities and tobacco leaf that
is not in the possession of a
manufacturer of tobacco products in
section 901(c)(2) of the FD&C Act.
FDA disagrees with the comments
that argued that the standard set forth in
6 FDA notes that most comments referred to ‘‘ecigarettes’’ when discussing ENDS products.
Therefore, FDA refers to ‘‘e-cigarette’’ in the
comment summaries. Because FDA’s responses
generally apply to all ENDS products (the most
popular of which are electronic cigarettes, but also
includes e-hookah, e-cigars, vape pens, personal
vaporizers, and electronic pipes), FDA’s responses
to the comments generally use the term ‘‘ENDS.’’
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section 906(d) of the FD&C Act applies
to the act of deeming tobacco products.
Sections 901 and 906(d)(1) provide FDA
with separate authorities. Section 901
gives FDA the authority to deem
additional products to be subject to
chapter IX. Once products are subject to
chapter IX, FDA can use other
authorities in chapter IX, such as
section 906(d), to take regulatory action
with respect to such products. By its
own language, section 906(d) applies to
regulations FDA issues requiring
restrictions on the sale and distribution,
including restrictions on the access to,
and the advertising and promotion of, a
tobacco product; therefore, the standard
in section 906(d)(1) applies only to the
additional regulations issued by FDA
under section 906(d) (such as the
minimum age and identification
requirements and vending machine
restrictions this rule is promulgating in
§ 1140.14, and the health warning
requirements in §§ 1143.3 and 1143.5)
and not to deeming itself or the
provisions in the statute that apply
automatically to newly deemed
products.
Although FDA is not required to meet
a particular public health standard to
deem tobacco products, regulation of
the newly deemed products will be
beneficial to public health. The Agency
has concluded, based on scientific data,
that the newly deemed products should
be regulated due to their potential for
public harm (e.g., 79 FR at 23154–
23158) and regulation is necessary to
learn more about that potential. Greater
regulatory certainty created by
premarket authorizations should help
companies to invest in creating novel
products, with greater confidence that
improved products will enter the market
without having to compete against
equally novel, but more dangerous
products. For example, a company
wishing to invest the additional
resources needed to ensure that its ecigarette is designed and manufactured
with appropriate methods and controls
will be more likely to do so if the
product is not competing against
products that are more cheaply and
crudely made, yet appear to be identical
to the consumer. Over time, since the
‘‘appropriate for the protection of the
public health’’ standard involves
comparison to the general tobacco
product market, FDA believes the
employment of the premarket
authorities could create incentives for
producers to develop products that are
less dangerous when consumed, less
likely to lead to initiation of tobacco
use, and/or easier to quit.
Further, FDA’s premarket review of
the newly deemed products will
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increase product consistency. For
example, FDA’s oversight of the
constituents of e-cigarettes cartridges
will help to ensure quality control
relative to the chemicals and their
quantities being aerosolized and
inhaled. At present, there is significant
variability in the concentration of
chemicals amongst products—including
variability between labeled content and
concentration and actual content and
concentration (e.g., Refs. 16, 17, 18, 19,
20). Without a regulatory framework,
users who expect consistency in these
products may instead be subject to
significant variability in nicotine
content among products, raising
potential public health and safety
issues. Implementation of the premarket
review requirements also will allow
FDA to monitor product development
and changes and to prevent more
harmful or addictive products from
reaching the market.
In addition, as FDA discussed in the
NPRM, deeming all tobacco products
will provide FDA with critical
information regarding the health risks of
the products including information
derived from ingredient listing
submissions and reporting of HPHCs
required under the FD&C Act (79 FR
23142 at 23148). Obtaining this
information is particularly important
given the addictiveness of nicotine and
the toxicity associated with tobacco
products. Given that ‘‘[e]xposure to
secondhand tobacco smoke has been
causally linked to cancer, respiratory,
and cardiovascular diseases, and to
adverse effects on the health of infants
and children,’’ this information will be
helpful in further assessing the toxicity
of the newly deemed tobacco products
(Ref. 9 at 7).7
Many of these comments also argued
that FDA’s acknowledgment that it does
‘‘not currently have sufficient data . . .
to determine what effects e-cigarettes
have on the public health’’ is an
admission that FDA does not know, and
cannot determine, whether regulation of
these products will benefit public
health. FDA disagrees. That language
follows the statement, ‘‘some have
advanced views that certain new
tobacco products that are
noncombustible . . . may be less
hazardous, at least in certain respects,
than combustible products . . . ,’’ and
refers to the lack of evidence supporting
such asserted benefits (79 FR 23142 at
23144). Whether ENDS generally may
eventually be shown to have a net
7 As stated in the 2014 Surgeon General’s Report,
‘‘the burden of death and disease from tobacco use
in the United States is overwhelmingly caused by
cigarettes and other combusted tobacco products’’
(Ref. 9 at 7).
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benefit on or harm to public health at
the population level—and there have
not yet been long-term studies
conducted to support either claim at
this time—regulation of ENDS will still
benefit public health. The 2014 Surgeon
General’s Report also notes that
‘‘[f]urther research with attention to
their individual and population-level
consequences will be helpful to fully
address these questions. However, the
promotion of noncombustible products
is much more likely to provide public
health benefits only in an environment
where the appeal, accessibility,
promotion, and use of cigarettes and
other combusted tobacco products are
being rapidly reduced’’ (Ref. 9 at 874).
FDA noted in the NPRM that many
public health benefits will flow from
deeming tobacco products (including ecigarettes and other ENDS). Even if a
category of products were to prove
generally beneficial, individual
products within that category may raise
concerns. For example, some products
may be particularly attractive to youth
or deliver unexpected high levels of
toxicants. In addition, once all tobacco
products are deemed, any manufacturer
seeking to market its product as a
modified risk tobacco product (MRTP)
will be required to provide
substantiation and obtain an order from
FDA before making such claims, where
it is currently not subject to such
requirements under the FD&C Act. More
generally, regulation and product
review allows the Agency to help ensure
the public health is protected. FDA’s
regulatory tools, including the
adulteration and misbranding
provisions in sections 902 (21 U.S.C.
387b) and 903 of the FD&C Act as
applied to newly deemed products, will
help to protect consumers by subjecting
all tobacco products to certain basic
requirements, such as that their labeling
and advertising not be false or
misleading. FDA will be able to take
enforcement action against any tobacco
products that do not meet these
requirements. Further, implementation
of the requirements regarding premarket
applications, SE reports, and exemption
requests (sections 905 and 910 of the
FD&C Act (21 U.S.C. 387e and 387j,
respectively)) will increase product
consistency and help protect the public
health from adverse impacts. For
example, although there is currently
variability in the concentrations of
chemicals in e-liquids, FDA oversight of
the constituents in e-liquids and ENDS
will help to ensure quality control over
the types and quantities of chemicals
being aerosolized and inhaled (79 FR
23142 at 23149). Once deemed, the
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Tobacco Control Act authorizes FDA to
impose certain types of restrictions that
it has determined are appropriate to the
protection of public health. Under this
authority, FDA is imposing certain
restrictions for ENDS and other
products, such as minimum age
requirements.
The need for deeming is further
confirmed by the continued dramatic
rise in youth and young adult use of
tobacco products such as e-cigarettes
and waterpipe tobacco, and continued
youth and young adult use of cigars
(mainly cigarillos). As discussed in the
NPRM, e-cigarettes are widely available
in retail outlets such as kiosks in
shopping malls and on the Internet and
their online popularity has surpassed
that of snus which has been on the
market far longer than e-cigarettes (Ref.
21).
Recent studies show a dramatic rise in
the use of ENDS products. The Centers
for Disease Control and Prevention
(CDC) and FDA analyzed data from the
2011–2014 National Youth Tobacco
Surveys (NYTS) and found that current
(past 30 day) e-cigarette use among high
school students increased nearly 800
percent from 1.5 percent in 2011 to 13.4
percent in 2014 (Ref. 22). In 2014, a total
of 24.6 percent of high school students
reported current use of a tobacco
product (id.). Among all high school
students, e-cigarettes (13.4 percent)
were the most common tobacco
products used (id.). This increase was
not limited to any one demographic
group; e-cigarettes were the most
commonly used product among high
school non-Hispanic whites, Hispanics,
and persons of non-Hispanic other races
(id.). E-cigarettes (3.9 percent) were also
the tobacco product used most
commonly by middle school students
(id.). From 2011 to 2014, statistically
significant nonlinear increases were
observed among high school students
for current e-cigarette use (1.5 percent to
13.4 percent) (id.). Among middle
school students, statistically significant
increases were observed from 2011 to
2014 (id.). In 2014, an estimated 4.6
million middle and high school
students currently used any tobacco
product (i.e., cigarettes, cigars,
smokeless tobacco, e-cigarettes,
hookahs, tobacco pipes, snus,
dissolvable tobacco, and bidis), of
which an estimated 2.2 million students
currently used two or more tobacco
products. Overall, in 2014, 2.4 million
middle and high school students
reported current use of e-cigarettes (id.).
The data also demonstrated that when
use of all tobacco products was
considered in aggregate, there was no
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change in overall current tobacco use
among middle and high school students.
Another recently published study
found that ninth grade students who
reported having ever used e-cigarettes at
the baseline assessment were
approximately 2.7 times more likely
than non-e-cigarette users to have
started smoking combusted tobacco
products (cigarettes, cigars, waterpipe
tobacco) and 1.7 times more likely to
have started smoking conventional
cigarettes 6 to 12 months later (Ref. 23).
While this study indicates that ecigarette users are more likely than none-cigarette users to also use combusted
tobacco products 12 months later, it
cannot be determined by the research
findings if such users would have used
combusted tobacco products regardless
of e-cigarette use. Researchers noted that
some teens are more likely to use ecigarettes prior to combustible tobacco
products for several reasons including
the availability of e-cigarettes in flavors
attractive to youth (id.).
In terms of young adult and adult use
of e-cigarettes, evidence from the most
recent studies on ENDS use among
young adults and adults indicates that
among adults who had never smoked
cigarettes, prevalence of ever e-cigarette
use was highest among young adults
aged 18 to 24 and decreased with
increasing age (Ref. 24). However,
current cigarette smokers and recent
former smokers (i.e., those who quit
smoking within the past year) were
more likely to use e-cigarettes than longterm former smokers (i.e., those who
quit smoking more than 1 year ago) and
adults who had never smoked. Current
cigarette smokers who had tried to quit
in the past year were also more likely to
use e-cigarettes than those who had not
tried to quit (id.). It is noted that it
cannot be determined by the research
findings: (1) Whether former cigarette
smokers who now exclusively use ecigarettes would not have ceased
smoking cigarettes regardless of ecigarette use; and (2) whether the ecigarette use preceded quitting or the
quitting occurred first and then was
followed by later e-cigarette use.
The data from the 2011 through 2014
NYTS also show that high school
students’ use of waterpipe tobacco more
than doubled during this time period. In
fact, researchers observed substantial
increases in waterpipe tobacco use
among both middle and high school
students from 2011 through 2014
culminating in an estimated 1.6 million
waterpipe tobacco youth users in 2014
(Ref. 22). From 2013 to 2014, prevalence
almost doubled for high school students
from 5.2 percent (770,000) to 9.4 percent
(1.3 million) and more than doubled for
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middle school students from 1.1 percent
(120,000) to 2.5 percent (280,000) (id.).
These findings are consistent with
earlier research on older youths and
young adults discussed in the comments
stating that waterpipe tobacco use
continues to increase in popularity,
particularly among college students,
with as many as 40 percent reporting
ever using waterpipe tobacco and 20
percent reporting current use (i.e., use
within the past 30 days) on some college
campuses (Refs. 25, 26).
Likewise, youth continue to use
cigars. Data from the 2014 NYTS
indicate that 8.2 percent (1,200,000) of
high school students and 1.9 percent
(220,000) of middle school students had
smoked cigars (including cigars,
cigarillos, or little cigars) in the past 30
days (Ref. 22). Nineteen percent of
students in 8th, 10th, and 12th grades
participating in the Monitoring the
Future study in 2014 also reported
smoking small or little cigars (which
represents a decrease from 23.1 percent
in 2010, but it is unclear if subjects
misidentified cigars as cigarettes during
the study) (Ref. 27). In addition, the
2014 National Survey on Drug Use and
Health (NSDUH) found that more than
2,500 youth under the age of 18 smoke
their first cigar each day, nearly as many
as those who smoke their first cigarette
each day (more than 2,600) (Ref. 28).
Nevertheless, data on youth cigar use
from the Youth Risk Behavior
Surveillance System (YRBSS) shows
that current cigar use among youth (i.e.,
use of a cigar, cigarillo, or little cigar on
at least one day during the last 30 days)
has declined between 1997 and 2013 (22
percent to 12.6 percent); however, no
statistically significant change was
observed between 2011 (13.1 percent)
and 2013 (12.6 percent) (Ref. 29).
(Comment 5) At least one comment
argued that the rule violates the APA, 5
U.S.C. 706, saying that it requires FDA
to provide ‘‘the specific basis for [its]
conclusion and the data on which each
of [its] critical assumptions is based’’
(quoting Ranchers Cattlemen Action
Legal Fund United Stockgrowers of
America, No. 04–cv–51, 2004 WL
1047837 at *7 (D. Mont. Apr. 26, 2004),
and FDA failed to do so.
(Response) FDA disagrees. The
unpublished district court case quoted
in the comment was reversed by the
Ninth Circuit on exactly this point (415
F.3d 1078 (9th Cir. 2005)). The Ninth
Circuit stated the correct standard: ‘‘All
that is required is that the agency have
‘considered the relevant facts and
articulated a rational connection
between the facts found and the choices
made’ ’’ (id. at 1093). See Citizens to
Preserve Overton Park, Inc. v. Volpe,
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401 U.S. 402, 416 (1971); Motor Vehicle
Mfrs. Ass’n of U.S., Inc. v. State Farm
Mut. Auto. Ins. Co., 463 U.S. 29, 42–43
(1983).
In any event, the NPRM contains
substantial explanation of FDA’s
reasoning in proposing this rule,
including over 190 citations to scientific
literature, and the NPRM and the final
rule’s supplementary information
contain many pages explaining the data
and comments considered, the
conclusions drawn from the literature,
and FDA’s rationale for the final rule,
fully satisfying the Administrative
Procedure Act (APA).
(Comment 6) A few comments
objected that FDA did not discuss the
possibility of illicit markets in the
proposed deeming rule, stating that FDA
is required to consider the consequences
of illicit markets under section 907(b)(2)
of the FD&C Act.
(Response) FDA disagrees. Section
907(b)(2) does not apply to deeming, but
rather applies only to the promulgation
of regulations establishing tobacco
product standards under section 907 of
the FD&C Act. In any event, the Agency
cannot refuse to act in furtherance of the
public health because some individuals
might violate the law. Nevertheless,
FDA authority over the newly deemed
tobacco products will give it means to
determine which products are legally on
the market and which are counterfeit or
otherwise illegally marketed and to take
enforcement action against
manufacturers who sell and distribute
illegal products. The Tobacco Control
Act gives the Agency these and other
authorities, such as section 920 of the
FD&C Act (21 U.S.C. 387t), to help
address illicit tobacco products.
3. Constitutional Issues
The Tobacco Control Act includes
provisions restricting tobacco product
marketing. As discussed in this
document, some of these provisions
apply to all products covered by the
statute—including the newly deemed
products—and others authorize FDA to
impose additional restrictions. We
received comments that argue that some
of the restrictions this final rule imposes
on newly deemed products violate the
First Amendment.
a. Free Samples of Tobacco Products
(Comment 7) A few comments
questioned the constitutionality of the
ban on the distribution of free samples
of tobacco products. (See
§ 1140.16(d)(1)).) First, the comments
argued that distributing free samples is
a form of commercial speech that is
protected by the First Amendment and
that the ban is unconstitutional as
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applied to the newly deemed products.
Citing Central Hudson Gas and Electric
Corp. v. Public Services Commission,
447 U.S. 557, 566 (1980), the comments
argued that, accordingly, FDA must
show that the ban is narrowly tailored
to directly and materially advance a
substantial State interest and that FDA
failed to do so. The comments stated
that while the court in Discount
Tobacco City & Lottery v. United States,
674 F.3d 509 (6th Cir. 2012), cert.
denied sub nom. Am. Snuff Co., LLC v.
United States, 133 S. Ct. 1996 (2013)
(‘‘Discount Tobacco’’), upheld the
Tobacco Control Act’s sampling ban on
cigarettes, the evidence the court used
to uphold that ban does not support the
same ban for the newly deemed tobacco
products. They argued that FDA has
presented no evidence that samples of
these products lead to youth initiation
and, therefore, the Agency would not be
advancing a legitimate government
interest with this ban. Additionally,
they suggested that even if the ban did
advance a legitimate government
interest, FDA could achieve the same
results through less restrictive means,
such as by allowing samples in qualified
adult-only facilities, as FDA does with
smokeless tobacco.
(Response) FDA disagrees that the ban
on free samples is unconstitutional.
First, although FDA acknowledges that
in Discount Tobacco, 674 F.3d at 538–
39, the Sixth Circuit treated the
distribution of free samples as a form of
commercial speech, FDA continues to
believe that distribution of free samples
is conduct not speech. Provisions that
regulate conduct without a significant
expressive element do not implicate the
First Amendment. See Arcara v. Cloud
Books, Inc., 478 U.S. 697, 706–07
(1986). Additionally, a free sample ban
is akin to a price restriction (i.e., tobacco
products cannot be free)—a ‘‘form[ ] of
regulation that would not involve any
restriction on speech.’’ 44 Liquormart,
Inc. v. Rhode Island, 517 U.S. 484, 507
(1996) (opinion of Stevens, J.).
Therefore, the free sample provision
regulates the distribution of a product,
and there is no First Amendment right
to distribute free samples of a tobacco
product.
Second, even if the distribution of free
samples does implicate the First
Amendment, as the Sixth Circuit
concluded, the court went on to uphold
the constitutionality of the restriction on
free samples of tobacco products.
Discount Tobacco, 674 F.3d at 541. In
Discount Tobacco, as here, the
manufacturers of tobacco products
argued that the government failed to
show that the ban would directly and
materially advance the government
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interest of decreasing use of tobacco
products by youth. The manufacturers
further argued that even if the sampling
ban were effective, there are less
restrictive methods of preventing youth
tobacco use (id. at 538, 541). The Sixth
Circuit rejected both arguments, and
held that the government ‘‘presented
extensive documentation that free
samples of tobacco products are [an]
‘easily accessible source of these
products to young people,’ . . . and
freely obtainable, even with the tobacco
industry’s ‘voluntary codes that
supposedly restrict distribution of free
samples to underage persons’’’ id. at 541
(quoting 61 FR 44396 at 44460, 45244–
45 & nn. 1206–08 (August 28, 1996)).
The Court further held that free samples
‘‘may serve as the best advertisement of
all for a product that is physiologically
addictive, and socially attractive to
youth’’ (id.).
The comments do not attempt to
distinguish Discount Tobacco. Here,
where there is a substantial government
interest in preventing youth access to all
tobacco products, and the newly
deemed products, like the products
considered by the Sixth Circuit Court of
Appeals, are also ‘‘physiologically
addictive, and socially attractive to
youth,’’ Discount Tobacco is directly on
point. As we stated in the NPRM, the
prohibition against free samples will
eliminate a pathway for youth to access
tobacco products, which can help in
reducing youth initiation and therefore
short-term and long-term morbidity and
mortality resulting from these products.
Youth are uniquely susceptible to
biological, social, and environmental
influences to use and become addicted
to tobacco products. See section X.A. As
FDA recognized as early as 1995, ‘‘[f]ree
samples give young people a ‘risk-free
and cost-free way to satisfy their
curiosity’ about tobacco products, and,
when distributed at cultural or social
events, may increase social pressure on
young people to accept and to use the
free samples’’ (60 FR 41314 at 41326
(quoting Ref. 30). For these reasons, we
believe it is critical to prohibit the
distribution of free samples of newly
deemed tobacco products, which are
highly addictive and can lead to a
lifetime of tobacco use, with attendant
adverse health consequences.
FDA received comments noting
extensive sampling of some newly
deemed products in venues that may
attract youth, including:
• The major sellers of e-cigarettes
distribute free samples in venues likely
to attract large audiences.
• At least eight e-cigarette companies
promote their products through
sponsored or sampling events, many of
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which appear to be youth-oriented (Ref.
31).
• In 2012 and 2013 alone, 6 ecigarette companies sponsored or
provided free samples at 348 events,
many of which were music festivals and
motorsport events geared toward young
people—including Grand Prix auto
racing events (id.).
• Field research in Oregon found that
e-cigarette retailers include the
opportunity to sample the wide variety
of flavored nicotine cartridges in their
sales pitches with test stations for free
sampling (Comments of Oregon Health
Authority, FDA–2014–N–0189–76358).
As described above and in the NPRM,
the free sample provision will address
distribution of newly deemed tobacco
products at venues such as these.
Contrary to the assertions in the
comments, FDA does not believe that it
could achieve the same results by
allowing samples of newly deemed
products in qualified adult-only
facilities, as FDA does with smokeless
tobacco. In section 102(a)(2)(G) of the
Tobacco Control Act (21 U.S.C. 387a–
1(a)(2)(G)), Congress required FDA to
reissue the final 1996 rule (published in
the Federal Register of August 28, 1996,
61 FR 44396), with several changes,
including the addition of a narrow
exception to the free sample ban to
allow for distribution of smokeless
tobacco products in qualified, adultonly facilities (QAOFs). This exception
is very prescriptive and operates only in
very limited instances (e.g., where the
product is distributed in a specific type
of temporary enclosed structure with
age verification by a law enforcement
officer or a security guard licensed by a
governmental entity, and with the
amount of smokeless tobacco per adult
consumer subject to specific portion
requirements). If FDA were to extend
this exception, in whole or in part, to
other tobacco products (when Congress
explicitly extended the free sample ban
to cigarettes and all ‘‘other tobacco
products,’’ which would include all
future deemed tobacco products and
laid out the qualified adult-only facility
exception only for smokeless), FDA
would have to justify such an exception
in light of the potential adverse public
health impact of allowing free samples
and determine the particular parameters
of the exception as appropriate for
newly deemed tobacco products. This
would include, at a minimum,
parameters relating to type of facility,
means of access, type(s) of tobacco
products distributed, and portion sizes
for each type of tobacco product for
which FDA is creating an exception.
Newly deemed products have been
largely unregulated and their markets,
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particularly for novel noncombustible
products such as ENDS, are dynamic.
Comments did not provide evidence
demonstrating that the distribution of
free samples of newly deemed tobacco
products would be consistent with
protecting public health. While there is
evidence suggesting that distribution of
tobacco products is harmful (e.g., courts
have expressed concern that free
samples can provide young people with
easy access to tobacco products), FDA
has not yet obtained product-specific
evidence and, therefore, cannot set
limits for the quantities or portion sizes
of products taken away from a QAOF
that are commensurate with the current
exception for smokeless tobacco
products. Therefore, QAOFs could still
allow for access to tobacco products in
a manner that will have a negative
public health impact.
Prohibiting free samples is a minor
restriction on distribution, and tobacco
product manufacturers, distributors, and
retailers remain free to inform
consumers about their products. The
free sample prohibition does not
interfere with the ability of a
manufacturer, distributor or retailer to
communicate truthful and
nonmisleading information to adult
consumers. We further address this
prohibition and respond to additional
comments in section XI.F.
(Comment 8) Some comments
recommended that FDA exempt ecigarettes from the prohibition on free
samples. In the alternative, the
comments recommended that FDA
restrict the circumstances in which free
samples may be given to adult
consumers. For example, comments
suggested that FDA require age
verification for each recipient of a free
sample and limit the amount of free
products that recipients may take away
from an event in which samples are
distributed.
(Response) We disagree for the
reasons discussed in the response to the
previous comment. As stated in the
NPRM, prohibiting free samples
eliminates a pathway to tobacco
products for youth, which can help to
reduce initiation and thus decrease
morbidity caused by use of tobacco
products (79 FR 23142 at 23149). In
addition, the United States Court of
Appeals for the Sixth Circuit previously
recognized that FDA has provided
‘‘extensive’’ evidence that free tobacco
samples constitute an ‘‘easily accessible
source’’ for youth (Discount Tobacco
City & Lottery, Inc. v. United States, 674
F.3d 509, 541 (6th Cir. 2012) (citing 61
FR 44396 at 44460, August 28, 1996),
cert. denied sub nom. Am. Snuff Co.,
LLC v. United States, 133 S. Ct. 1966
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(2013)). With the growth in the use of
ENDS, particularly by youth (see section
VIII.B), a free sample prohibition is
necessary to reduce youth access to
ENDS and possibly a transition to
combusted tobacco products (see Ref.
23).
b. Modified Risk Tobacco Products
Section 911 of the FD&C Act (21
U.S.C. 387k) prohibits the introduction
or delivery for introduction into
interstate commerce of any MRTP
without an FDA order in effect under
section 911(g). An MRTP is a tobacco
product that is sold or distributed for
use to reduce harm or the risk of
tobacco-related disease associated with
commercially marketed tobacco
products; this includes tobacco
products, the product label, labeling, or
advertising of which represents that it is
less harmful or presents a lower risk of
disease than other tobacco products.
(Comment 9) A comment from one
tobacco company argued that section
911 is unconstitutional on its face. This
comment argued, at length, that FDA’s
oversight of claims that a particular
tobacco product is safer than others
violates the First Amendment—even as
applied to currently regulated products,
such as cigarettes.
(Response) Comments addressed to
the facial constitutionality of a statute
are generally outside the scope of an
agency’s rulemaking authority. Am.
Meat Inst. v. U.S. Dep’t of Agric., 760
F.3d 18, 25 (D.C. Cir. 2014) (en banc)
(‘‘We do not think the constitutionality
of a statute should bobble up and down
at an administration’s discretion.’’).
That said, FDA disagrees with the
challenges against section 911’s
constitutionality. The Sixth Circuit
considered and unanimously rejected
the same argument in Discount
Tobacco, 674 F.3d at 531–37, and the
Supreme Court denied the
manufacturers’ petition for a writ of
certiorari (133 S. Ct. 1966 (2013)). As
the Sixth Circuit explained, section 911
requires that a manufacturer establish
health claims for particular tobacco
products to FDA before marketing,
rather than allow only post-market
review of such claims (674 F.3d at 537
(‘‘it would be a virtual impossibility to
unring the bell of misinformation after
it has been rung’’)). This provision does
not ‘‘infringe significantly on
noncommercial speech’’ since it leaves
‘‘untouched’’ manufacturers’ ‘‘ability to
make ‘direct comments on public
issues’ ’’ (id. at 533 (citation omitted)).
Instead, the court held, what section 911
restricts is commercial speech, since it
applies to consumer-directed claims
regarding a manufacturer’s specific
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products (id.). That restriction on
commercial speech, the court held, is
constitutional under Central Hudson
Gas & Electric Corp. v. Public Service
Commission, 447 U.S. 557 (1980): It
advances a substantial government
interest in preventing inaccurate and
harmful health claims about tobacco
products of the sort that the industry
has made for many decades, and it is
sufficiently tailored because it concerns
only consumer-targeted speech about
tobacco products’ health effects or
contents and is no more extensive than
warranted. Discount Tobacco, 674 F.3d
at 534–37. FDA observes that this
comment did not address Discount
Tobacco’s holding or the Sixth Circuit’s
analysis.
(Comment 10) A few comments
argued that section 911 may violate the
First Amendment if it is applied to ban
descriptions of e-cigarettes and other
noncombustible products as
‘‘smokeless’’ or ‘‘smoke-free.’’
(Response) FDA has carefully
considered the comments that argued
that noncombusted products, including
ENDS, should be permitted to use the
terms ‘‘smokeless’’ and smoke-free’’ to
describe their products. We note that
section 911 provides that ‘‘No smokeless
tobacco product shall be considered to
be [an MRTP] solely because its label,
labeling, or advertising uses the
following phrases to describe such
product and its use: ‘smokeless tobacco,’
‘smokeless tobacco product,’ ‘not
consumed by smoking,’ ‘does not
produce smoke,’ ‘smokefree’ [and four
more similar terms].’’ However, this
provision only applies to ‘‘smokeless
tobacco,’’ which is explicitly defined in
the FD&C Act as ‘‘any tobacco product
that consists of cut, ground, powdered,
or leaf tobacco and that is intended to
be placed in the oral or nasal cavity’’
(section 900(18) of the FD&C Act). ENDS
do not fall within that definition.
Moreover, in contrast to ENDS,
consumption of ‘‘smokeless tobacco
products,’’ as defined, does not require
the use of heat, inhalation of the
product into the lungs, or exhalation of
constituents into the close environment.
FDA is also aware that some e-cigarettes
are heated to a high enough level to
cause combustion of the e-liquid. For
these reasons, and until FDA obtains
product-specific evidence, the Agency
will evaluate an ENDS manufacturer’s
use of ‘‘smokeless’’ or ‘‘smoke-free’’
(and similar descriptive terms) on a
case-by-case basis, and the Agency will
continue to apply the MRTP provisions
in a manner consistent with the statute
and Constitution. This case-by-case
approach to ‘‘smokeless,’’ ‘‘smoke-free,’’
and similar terms is appropriate as
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4. Required Warning Labels
This final rule requires advertising
and packaging warnings for newly
deemed covered tobacco products and
for cigarette tobacco and roll-your-own
tobacco, as authorized by Section 906(d)
of the FD&C Act, 21 U.S.C. 387f (d).
Packaging and advertising for all newly
deemed products other than cigars must
display an addictiveness warning that
states: ‘‘WARNING: This product
contains nicotine. Nicotine is an
addictive chemical.’’ (Subject to certain
requirements, the manufacturer of a
product that does not contain nicotine
may use an alternative warning that
states: ‘‘This product is made from
tobacco.’’) Packaging and advertising for
cigars must display either the
addictiveness warning, or one of five
others specified in the rule.
The final rule requires the warnings to
appear on at least 30 percent of the two
principal display panels of the package,
and at least 20 percent of the area of
advertisements. These are the same
warning sizes Congress established for
smokeless tobacco in the Tobacco
Control Act: At least 30 percent of
smokeless-tobacco packaging’s two
principal panels, and at least 20 percent
of the area of each advertisement. 15
U.S.C. 4402(a)(2)(A), (b)(2)(B). In the
same Act, Congress prescribed an even
larger size for cigarette warnings: 50
percent of the front and rear panels of
cigarette packaging (and the same 20
percent size for cigarette
advertisements) (15 U.S.C. 1333(a)(2),
(b)(2)). (The larger warning sizes
required for cigarettes have not yet been
implemented, because FDA’s initial
regulations implementing a graphics
component for cigarette warnings were
vacated by the DC Circuit Court of
Appeals in R.J. Reynolds Tobacco Co. v.
FDA, 696 F.3d 1205 (D.C. Cir. 2012),
overruled on other grounds by Am. Meat
Inst., 760 F.3d at 22–23.)
A detailed discussion of the warning
requirements appears in section XVI.
a. First Amendment Challenges
The required warnings are a form of
compelled disclosure, and are thus
subject to First Amendment scrutiny.
Milavetz, Gallop & Milavetz, P.A. v.
United States, 559 U.S. 229, 249 (2010);
Riley v. Nat’l Fed’n of the Blind of N.C.,
Inc., 487 U.S. 781, 797–98 (1988).
(Comment 11) Although the
comments generally did not dispute the
need for warning labels, some
commenters questioned the accuracy of
the addictiveness warning as applied to
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cigars, contending that cigar users do
not always inhale.
(Response) Nicotine is ‘‘one of the
most addictive substances used by
humans’’ (Ref. 7). ‘‘Because the
extension of First Amendment
protection to commercial speech is
justified principally by the value to
consumers of the information such
speech provides,’’ the manufacturers’
‘‘constitutionally protected interest in
not providing any particular factual
information in his advertising is
minimal.’’ Am. Meat Inst., 760 F.3d at
26 (quoting Zauderer v. Office of
Disciplinary Counsel, 471 U.S. 626, 651
(1985)).
Cigar packaging and advertisements
are required to display one of six
warnings, one of which is the
addictiveness warning. Research
indicates that most cigar smokers do
inhale some amount of smoke, even
when they do not intend to inhale, and
are not aware of doing so (Refs. 32, 33).
Even when cigar smokers do not breathe
smoke into their lungs, they are still
subject to the addictive effects of
nicotine through nicotine absorption
(Refs. 32, 34). This is because cigar
smoke dissolves in saliva, allowing the
smoker to absorb sufficient nicotine to
create dependence, even if the smoke is
not inhaled (Refs. 34, 35).
(Comment 12) A few comments
argued that the First Amendment
prohibits a requirement for covered
tobacco products to carry warning labels
that cover 30 percent of the two
principal display panels of the
packaging. These comments argued that
manufacturers have limited space on
packaging to communicate information
to consumers, including branding and
marketing information, and that
requiring manufacturers to dedicate 30
percent of that space for a warning is
unduly burdensome, because it prevents
manufacturers from using that space to
convey their own messages. The
comments argued that the warning label
presents a simple message that could be
relayed in a smaller space.
(Response) FDA disagrees. In
Discount Tobacco, the Sixth Circuit
considered and rejected the same First
Amendment arguments against the size
required by the Tobacco Control Act for
cigarette and smokeless tobacco
warnings. Discount Tobacco, 674 F.3d
at 567. The court found ample evidence
supporting the size requirements, and
held that the manufacturers failed to
show ‘‘that the remaining portions of
their packaging [were] insufficient for
them to market their products’’ (id. at
564–66, 567). The comments argued that
the requirement that the warning cover
30 percent of the two principal display
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panels is unduly burdensome and
would prevent manufacturers of newly
deemed products from communicating
information about their products. As in
Discount Tobacco, the comments failed
to substantiate that claim with evidence.
Nor did the comments provide evidence
that the same size requirements for
smokeless tobacco—which have been in
force since 2010—have unduly
burdened the speech of smokeless
tobacco manufacturers.
As the court explained in Discount
Tobacco, Congress required larger
warnings for smokeless tobacco and
cigarettes in the wake of the Surgeon
General’s conclusion that existing
warnings were ‘‘‘given little attention or
consideration by viewers’’’ and IOM’s
analysis showing that those warnings
‘‘‘fail[ed] to convey relevant information
in an effective way.’’’ Discount Tobacco,
674 F.3d at 562 (quoting Refs. 3, 7).
The comments contending that the
warning label size is burdensome or
unjustified are misplaced for the same
reasons identified by the Discount
Tobacco court. After emphasizing that
the relevant First Amendment standard
looks only to whether mandatory
warnings are reasonably related to the
government’s interest, Discount
Tobacco, 674 F.3d at 567 (citing
Zauderer v. Office of Disciplinary
Counsel, 471 U.S. 626, 651 (1985)), the
Sixth Circuit held that the required
cigarette warning labels, which were to
cover 50 percent of the two primary
panels of cigarette packs (far more than
the 30 percent required here), did not
violate the First Amendment because
‘‘[a]mple evidence supports the size
requirement for the new warnings . . .
and Plaintiffs have not shown that the
remaining portions of their packaging
are insufficient for them to market their
products.’’ (674 F.3d at 567; see also id.
at 530–31 (Clay, J., concurring in result)
(finding that the government
demonstrated that the Tobacco Control
Act’s size and placement requirements
satisfied Zauderer scrutiny).)
Article 11 of the Framework
Convention on Tobacco Control (FCTC),
evidence of a strong worldwide
consensus regarding a regulatory
strategy for addressing the serious
negative impacts of tobacco products,8
recognized the importance of having
warnings cover at least 30 percent of the
area of the two principal display panels.
The European Union (EU) requires that
health warnings comprise 30 percent of
the area on the front of the package and
40 percent on the back of the package
8 There are 180 parties to the WHO’s FCTC as of
November 2015. At this time, the United States is
a signatory but has not ratified this treaty.
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(2001/37/EC). Users are more likely to
recall warnings that are in a larger size
and that appear on the front/major
surfaces of the tobacco product package.
(Ref. 7). Before a warning label can help
a consumer better understand and
appreciate the risks against which it
warns, the consumer must notice and
pay attention to the warning. The
likelihood that a consumer will do so
depends upon warning’s size and
position. (Refs. 36, 37, 38, 39, 40).
Some comments sought to support
their First Amendment arguments
against the warning label sizes by citing
the D.C. Circuit’s decision in R.J.
Reynolds v. FDA, 696 F.3d 1205 (D.C.
Cir. 2012), which vacated specific
cigarette warnings previously issued by
FDA. However, the decision in Reynolds
was based on the graphics components
of the cigarette warnings, not their size.
Moreover, the reasoning of the Reynolds
panel decision was overtaken by the
D.C. Circuit’s more recent en banc
decision in American Meat Institute,
760 F.3d at 22–23.
FDA recognizes that the warning size
requirement for covered tobacco
products may present special
difficulties for products in particularly
small packages. To address this concern,
FDA has added subsection (d) to
§ 1143.4. Under § 1143.4(d), a product
that is too small or otherwise unable to
accommodate a label with sufficient
space to bear the required warning,
printed in the required font size, may
instead carry the warning on the carton
or other outer container or wrapper. In
cases where there is no carton or other
outer container or wrapper that is large
enough to carry the warning, the
product may carry the warning on a tag
firmly and permanently affixed to the
package.
FDA agrees that other warnings on
tobacco product packages, such as a
warning regarding the risk of nicotine
poisoning (as suggested by one
particular comment), may also provide
consumers with important health risk
information. Therefore, elsewhere in
this issue of the Federal Register, FDA
has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including recommendations for
exposure warnings that would help to
support a showing that a product is
appropriate for the protection of public
health. FDA also has issued an ANPRM
seeking comments, data, research, or
other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings
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and child-resistant packaging for certain
tobacco products. If FDA determines
that it is appropriate for the protection
of the public health to require such a
warning (in addition to the addiction
warning), FDA will consider at that time
whether it is necessary to change the
formatting requirements for the
addiction warning to ensure that all
warnings are clear and conspicuous.
b. Preemption of State Law Warning
Requirements
(Comment 13) A number of comments
sought an affirmative statement from
FDA that the NPRM preempts State and
local warning requirements. A few of
the comments directly referenced
California’s reproductive health warning
requirements for products containing
nicotine (a notice mandated by
Proposition 65). Many cited the explicit
preemption provisions that apply to
cigarettes and smokeless tobacco (see 15
U.S.C. 1334(b) and 4406(b)). One
manufacturer argued that it would be
arbitrary and capricious to subject the
newly deemed products to a patchwork
of Federal, State, and municipal
requirements, while cigarettes and
smokeless tobacco warning
requirements are uniform across States
and potentially less stringent. The
comment further argued that it would be
particularly unreasonable to subject
noncombusted products to State and
local labeling requirements because
(according to the comment)
noncombusted products are ‘‘safer than
cigarettes.’’
Taking the other side of the issue
were comments from public health
groups and a joint comment from 29
State Attorneys General who advocated
for an explicit statement that the NPRM
does not preempt State and local
warning requirements, including
California’s Proposition 65. At a
minimum, they suggested that FDA
change the heading of part 1143 from
‘‘Required Warning Statement’’ to
‘‘Minimum Required Warning
Statement’’ to indicate that the deeming
rule does not preclude other health
warnings.
(Response) Section 916(a)(1) of the
FD&C Act (21 U.S.C. 387p) expressly
preserves the authority of State and
local governments to, among other
things, enact and enforce laws regarding
tobacco products that are in addition to,
or more stringent than, requirements
established under chapter IX of the
FD&C Act. The preservation of State and
local governmental authority over
tobacco products is limited by section
916(a)(2) of the FD&C Act, which
expressly preempts any State or local
requirement that is different from, or in
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addition to, any requirement under
chapter IX of the FD&C Act relating to
tobacco product standards, premarket
review, adulteration, misbranding,
labeling, registration, good
manufacturing practices, or MRTPs.9
However, section 916(a)(2)(B) of the
FD&C Act states that the express
preemption provision in section
916(a)(2)(A) does not apply to
requirements relating to, among other
things, the sale, distribution, possession,
information reporting to the State,
exposure to, access to, the advertising
and promotion of, or use of, tobacco
products by individuals of any age. A
State or local statute is facially
preempted only if no set of
circumstances exists under which the
statute would be valid. (See Comm. of
Dental Amalgam Mfrs. & Distribs. v.
Stratton, 92 F.3d 807, 810 (9th Cir.
1996).) FDA notified State and local
jurisdictions about the potential impact
this rule could have on their
requirements. No State or local laws in
effect at the close of the public comment
period were identified that FDA
determined would be preempted by this
final rule.
With respect to the argument that it
would be arbitrary and capricious to
allow States and localities to subject
newly deemed products to different
warning requirements than cigarettes
and smokeless tobacco products, we
note that the preemptive effect depends
on the relevant statutes. The preemption
provisions of the Federal Cigarette
Labeling and Advertising Act of 1965
(FCLAA) (15 U.S.C. 1334) and the
Comprehensive Smokeless Tobacco
Health Education Act of 1986 (CSTHEA)
(15 U.S.C. 4406), which apply to
cigarettes and smokeless products,
respectively, are significantly different
from section 916 of the FD&C Act. For
example, the FCLAA and CSTHEA
provisions expressly preempt State and
local regulation of the content of
cigarette and smokeless product
advertisements, while section
916(a)(2)(B) of the FD&C Act exempts
State and local advertising restrictions
from preemption.
Separate and apart from the issue of
preemption, elsewhere in this issue of
the Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products, including
9 We note that while section 906(e) of the FD&C
Act refers to ‘‘good manufacturing practices,’’ FDA
refers to any regulations that could be issued under
section 906(e) as tobacco product manufacturing
practices.
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recommendations for exposure
warnings that would help support a
showing that a product is appropriate
for the protection of public health.
Additionally, FDA notes that some
ENDS product manufacturers have
voluntarily included exposure warnings
on their products. Accordingly, FDA has
changed the heading of part 1143 from
‘‘Required Warning Statements’’ to
‘‘Minimum Required Warning
Statements’’ in order to clarify that part
1143 is not intended to prevent tobacco
product manufacturers from including
truthful, non-misleading warnings on
their products’ packaging or
advertisements voluntarily or as a result
of FDA guidance.
III. Use of Premarket Pathways for
Newly Deemed Products
As stated in the proposed deeming
rule, manufacturers of newly deemed
products that are ‘‘new tobacco
products’’ as defined in section
910(a)(1) of the FD&C Act will be
required to obtain premarket
authorization of their products through
one of three pathways—SE., exemption
from SE., or premarket tobacco product
application (PMTAs) (sections 905 and
910 of the FD&C Act). The substantive
requirements of these provisions are set
by statute and, thus, have not changed
from the NPRM. However, FDA has
revised the compliance periods for
submitting premarket applications, as
discussed in section V.A.
As an initial matter, with this final
rule, we are also clarifying when FDA
will consider a document to have been
submitted for purposes of the
compliance periods for submission of
documents and data required by the
automatic provisions of the statute. In
the NPRM, we noted that the automatic
provisions require companies to submit
information to FDA, and we proposed
various compliance periods to provide
industry with time to make such
submissions (e.g., ‘‘the manufacturer
submits a 905(j) report for the product
by [effective date of part 1100 plus 24
months]’’). As previously discussed
publically (see https://www.fda.gov/
tobaccoproducts/newsevents/
ucm393894.htm), FDA generally relies
on the date of receipt of a submission
by FDA’s Document Control Center
(DCC) as the date that the document was
submitted (not the date that the
submitter sent it). The DCC has been
and will continue to be fully equipped
to receive tobacco product submissions
(including the number of submissions
expected at the close of compliance
periods). Therefore, regulated entities
should ensure that FDA’s DCC receives
any submission by the due date or end
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of compliance period. The time it takes
to review a premarket application is
dependent upon the type of application
and the complexity of the product. FDA
has taken many steps to reduce the
previous backlog and prevent further
backlogs of marketing applications
pending FDA review. FDA intends to
act as expeditiously as possible with
respect to all new applications, while
ensuring that statutory standards are
met. If an applicant wishes to discuss a
product application, the applicant may
request a meeting as set forth in FDA’s
final guidance entitled ‘‘Meetings with
Industry and Investigators on the
Research and Development of Tobacco
Products’’ (announced May 25, 2012, 77
FR 31368).
In addition, we are clarifying that
FDA distinguishes between a marketing
application that has been ‘‘filed,’’ one
that ‘‘has been accepted,’’ and one that
has been ‘‘submitted’’ to FDA. A
marketing application has been
‘‘submitted’’ when a complete
application is delivered and received
electronically, through the mail, or
through a courier to CTP’s Document
Control Center (DCC). Once a complete
PMTA application is submitted and
received by CTP’s DCC, FDA will have
180 days to consider the application as
described in section 910(c)(A) of the
Tobacco Control Act. A marketing
application ‘‘has been accepted’’ after
the Agency completes a preliminary
review and determined that the
application on its face contains
information required by the statutory
and/or regulatory provisions applicable
to that type of application. A marketing
application has been ‘‘filed’’ after the
Agency completes a threshold review
and has determined that a complete,
substantive review is warranted. This
filing review occurs only for a PMTA or
a modified risk application and results
in either a filing letter or a refusal to file
letter.
A. Background: The Three Pathways To
Market a New Tobacco Product
We received a large number of
comments addressing the pathways to
market a new tobacco product.
Comments from industry argued that the
review process for a new tobacco
product is simply too difficult—that the
standard is too high, and that the
burden of submitting an application is
too great. Many manufacturers of the
newly deemed products argued that the
two alternative pathways—SE and the
SE exemption—are not available to
them because there is no predicate to
which they can claim SE. We address
these comments in the following
sections.
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Under section 910 of the FD&C Act,
manufacturers must receive FDA’s
permission to market new, including
newly modified, tobacco products in the
United States. The provision applies to
all tobacco products covered by the
FD&C Act, however, those that were
commercially marketed in the United
States on February 15, 2007 (the
grandfather date) do not constitute new
tobacco products and therefore do not
require such premarket authorization.
See section 910(a) of the FD&C Act
(defining ‘‘new tobacco product’’ as any
tobacco product (including those
products in test markets) that was not
commercially marketed in the United
States as of February 15, 2007, or has
been modified since that date).
Products that were introduced or
modified after the grandfather date may
seek permission to market under one of
three pathways. The manufacturer may
submit a PMTA, which is an application
that requires the manufacturer to
provide information about the product,
including ingredients, additives,
properties, manufacture, processing,
labeling, and health risks, among other
things (section 910(b) of the FD&C Act).
FDA will grant permission to market the
new product if the PMTA shows that it
would be appropriate for the protection
of the public health, among other things
(section 910(c)(2) of the FD&C Act; see
also section 910(c)(4) (requiring FDA to
consider the risks and benefits to both
users and nonusers, and explicitly
requiring FDA to consider the effect of
marketing the product on the likelihood
that existing users of tobacco products
will stop using them, and the likelihood
that nonusers of tobacco products will
start)). Whether the marketing of a
product is appropriate for the protection
of the public health will be evaluated on
a case-by-case basis (in accordance with
Section 910(c)(4) of the FD&C Act) and
with consideration of the continuum of
risk of nicotine-delivering products. The
statute instructs FDA to base its findings
regarding whether marketing the
tobacco product would be appropriate
for the protection of public health on
well-controlled investigations, which
may include one or more clinical
investigations, where appropriate.
However, it also allows FDA to
authorize that its findings be made on
the basis of valid scientific evidence
other than controlled studies if FDA
finds such other evidence sufficient to
evaluate the tobacco product (section
910(c)(5) of the FD&C Act). We received
several comments addressing the
burden the PMTA application places on
manufacturers, including the expense
and time that clinical studies require.
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Elsewhere in this issue of the Federal
Register, FDA is announcing the
availability of a draft guidance, which
when final will provide the Agency’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including specific recommendations
concerning how to support a showing
that the marketing of a new tobacco
product is appropriate for the protection
of the public health.
The second pathway to market is the
SE pathway, which allows for a
manufacturer to apply for permission to
market a tobacco product that it
demonstrates is ‘‘substantially
equivalent’’ to a tobacco product that
was marketed on the grandfather date or
to a product previously found
substantially equivalent (the
‘‘predicate’’) (section 910(a)(2)(A) and
section 905(j) of the FD&C Act). To
receive marketing authorization under
the SE pathway, a manufacturer must
submit an application that shows that
the product to be marketed has the same
characteristics as the predicate tobacco
product or has different characteristics
and the information submitted contains
information, including clinical data if
deemed necessary by the Secretary, that
demonstrates that it is not appropriate
to regulate the product under section
910 because the product does not raise
different questions of public health
(section 910(a)(3)(A) of the FD&C Act).
The statute defines ‘‘characteristics,’’ for
this purpose, as the materials,
ingredients, design, composition,
heating source, or other features of a
tobacco product (section 910(a)(3)(B) of
the FD&C Act).
As new tobacco products continue to
evolve from the cigarettes and
smokeless tobacco that were on the
market on the grandfather date, the SE
pathway may not be available for some
new products. The availability of the SE
pathway for the newly deemed products
was the subject of many comments, with
some arguing that a different, later
grandfather date should be adopted, and
others arguing there should be no
change in the grandfather date and that
the newly deemed products should
proceed through the PMTA pathway if
no appropriate predicate is available.
Under the third pathway, a product
may be exempted from the SE
requirements if the only change to the
product is a minor change and that
change only involves a change to an
additive in a tobacco product that can
be sold under the FD&C Act, for which
an SE report is not necessary and where
the exemption is otherwise appropriate,
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as discussed in section 905(j)(3) of the
FD&C Act.
B. Interpretation of Substantial
Equivalence
(Comment 14) Some comments
argued that FDA should interpret
‘‘substantial equivalence’’ broadly so
that newly deemed products could
avoid what the comments characterize
as the more burdensome new tobacco
product application (PMTA) pathway
with a showing that the product has
some similar characteristics to the
predicate products.
(Response) FDA disagrees. SE is
explicitly defined in section 910(a)(3) of
the FD&C Act, which provides, in
relevant part, that the term
‘‘substantially equivalent’’ or
‘‘substantial equivalence’’ means that
the Secretary by order has found that
the tobacco product: (1) Has the same
characteristics as the predicate tobacco
product or (2) has different
characteristics and the information
submitted contains information,
including clinical data if deemed
necessary by the Secretary, that
demonstrates that it is not appropriate
to require a PMTA because the product
does not raise different questions of
public health. Section 910(a)(3)(B)
provides that the term ‘‘characteristics’’
means the materials, ingredients,
design, composition, heating source, or
other features of a tobacco product. A
product must have the same
characteristics—all of the same
characteristics—as the predicate
product, to be found substantially
equivalent under section 910(a)(3)(A)(i)
of the FD&C Act or if the new product
has different characteristics FDA must
find that the new product does not raise
different questions of public health
under section 910(a)(3)(A)(ii).
FDA notes that for newly deemed
products about which concerns have
been raised with respect to the
availability of an appropriate
predicate—e.g., e-cigarettes—many of
these products have entirely different
characteristics from traditional tobacco
products. As such, a manufacturer
would need to satisfy section
910(a)(3)(A)(ii) (i.e., demonstrate that
the new product does not raise different
questions of public health as compared
to the predicate). FDA is continuing to
research e-cigarettes, other ENDS, and
heated cigarette products that likely
were on the market on February 15,
2007, and is working to determine the
availability of such products for
comparison. FDA determined that some
e-cigarettes were manufactured in 2006
and introduced into the United States in
early 2007. In particular, we have
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identified a non-flavored e-cigarette
(also marketed as an ‘‘e-cigar’’) that may
have been on the market on February
15, 2007. This product may possibly be
able to serve as an appropriate predicate
for purposes of the SE pathway. The
burden of demonstrating that a valid
predicate exists rests with the
manufacturer submitting a SE report. To
facilitate the determination that a
product is eligible as a predicate for an
SE application, any individual who has
evidence that an e-cigarette or other
tobacco product was commercially
marketed in the United States on
February 15, 2007, is encouraged to
contact the Agency at 1–877–CTP–1373.
Regardless of the predicate selected for
comparison, manufacturers are
responsible for providing scientific data
adequate to demonstrate that, in the
case of an SE Report, the characteristics
are the same or, if the characteristics are
different, these differences do not cause
the new product to raise different
questions of public health. It should
also be noted that, where the predicate
and new products are in a different
category or subcategory, the evidence
needed to obtain marketing
authorization through the PMTA
pathway may be similar to gather and
submit than that needed for the SE
pathway. For example, as stated in the
NPRM, it is possible that an applicant
may not need to conduct any new
nonclinical or clinical studies for
PMTA, while in other cases, such as
where there is limited understanding of
a product’s potential impact,
nonclinical and clinical studies may be
required for market authorization. In
cases where no new nonclinical or
clinical studies are needed, the effort
associated with gathering and
submitting a PMTA may not be
materially greater than that for an SE
Report.
As stated earlier, the FD&C Act does
not place limitations on which pathway
manufacturers can use to seek market
authorization for a new product. Thus,
manufacturers may choose to submit
applications under any of the three legal
pathways. To obtain marketing
authorization under the PMTA pathway,
manufacturers are required to establish,
among other things, that permitting
their products to be marketed would be
appropriate for the protection of public
health. In establishing this,
manufacturers should take into account,
and FDA will consider, the ways in
which the new product is likely to be
used. For example, PMTAs for these
products should contain information on
whether the product is likely to be used
alone or together with other legally
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marketed tobacco products (such as
available delivery systems), as well as
the type and range of other products
with which it is likely to be used.
For example, where a manufacturer
seeks authorization of a new e-liquid to
be used with ENDS, the manufacturer
may need to provide evidence and
analysis of the product’s likely impact
when used in the range of delivery
systems available. Similarly, a
manufacturer seeking authorization of a
stand-alone apparatus component—
such as a heating coil or cartridge—may
need to provide evidence and analysis
of the product’s likely impact when
used together with the range of other
components and liquids available.
In the case of e-liquids, FDA expects
that it may be possible for
manufacturers to satisfy the statute by
demonstrating that marketing of the
liquid is appropriate for the protection
of public health as it may be used in any
of the legally available delivery systems.
While FDA recognizes that there may
remain some degree of uncertainty in
any such analysis, FDA expects that the
range of delivery system specifications
authorized by FDA will provide a
sufficiently specific spectrum of
possibilities, such that a meaningful
public health impact analysis can be
done.
In the case of ENDS hardware/
apparatus components, FDA expects
that it may be difficult for
manufacturers to make the showing
necessary to meet the statutory
standard, given the great extent of
possible variations in combinations of
hardware components, if all are
considered and sold separately. Thus,
with respect to apparatus, FDA expects
that manufacturers will be most
successful where authorization is sought
for entire delivery systems, rather than
individual components. In the case of
these complete delivery systems—
systems for which the application
covers all potential parts, including
customizable options as applicable, and
where labeling, instructions for use and/
or other measures are used to help
ensure use as intended—FDA expects
that the range of possible outcomes may
be narrow enough for the manufacturer
to demonstrate, and for FDA to assess,
public health impact.
(Comment 15) Some comments
asserted that under section
910(a)(3)(A)(ii) of the FD&C Act, certain
categories of products should easily
meet the SE standard because the
products, overall, are beneficial to
public health when compared to
traditional, combustible cigarettes.
(Response) The issue of whether a
product or certain categories of products
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may be beneficial to an individual is
different than whether a category of
products, overall, has a net positive
benefit on population health. As
explained in the NPRM, a category of
products may benefit some individual
tobacco users but may not have an
overall net population health benefit if
it leads to increased tobacco product
initiation or dual use. In any event, this
is a consideration relevant under the
PMTA standard, not the SE standard.
Under section 910(a)(3)(A)(ii), a
product can be found substantially
equivalent to a predicate product even
if it does not share all of the same
characteristics of the predicate, if the
information submitted contains
information, including clinical data if
deemed necessary by the Secretary, that
demonstrates that it is not appropriate
to require a new product application
because the product does not raise
different questions of public health as
compared to the predicate.
FDA will authorize the marketing of
products through the SE pathway that
meet the applicable standards in the
FD&C Act. However, the SE pathway is
a comparison between a new tobacco
product and a predicate identified by
the submitter, not an evaluation of
whether the product is appropriate for
the protection of the public health more
generally as would be conducted under
an application under section 910(b) (i.e.,
a PMTA). Therefore, some differences
between new and predicate products
may not be appropriate for an SE
Report, and the product instead is more
suited to seeking authorization using a
PMTA. Additionally, as the SE pathway
is a specific comparison between a
predicate and a new tobacco product, it
does not necessarily provide a pathway
to market for entire categories of
products. Rather, under section
910(a)(3)(A)(ii), an application for SE
must show that any differences in
characteristics between the product and
the predicate ‘‘do not raise different
questions of public health.’’
(Comment 16) A small number of
comments argued that newly deemed
products should be permitted to be
marketed under the SE pathway even if
they do not share the same
characteristics as the claimed predicate.
(Response) The statute does allow for
applicants to use the SE pathway for
new tobacco products that have
different characteristics than the
predicate product. To receive a
marketing authorization under the SE
pathway, these applicants must show
that the new product has different
characteristics and the information
submitted contains information,
including clinical data if necessary, to
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show that the product does not raise
different questions of public health
(section 910(a)(3)(A)(ii)).
(Comment 17) A few comments
argued that section 910(a)(3)(A)(ii)
allows for cross-category comparisons
(i.e., applicants may provide a
comparison to predicate products from
similar (but not identical) tobacco
product categories).
(Response) It is up to the
manufacturer to select an appropriate
predicate tobacco product and provide
the scientific evidence demonstrating
SE. If the manufacturer provides
scientific evidence and a rationale that
demonstrates to FDA that the new
product does not raise different
questions of public health than the
predicate (even though there are
differences from the predicate product),
FDA could issue an SE order. However,
manufacturers of cigars or ENDS would
have great difficulty showing that a
product is substantially equivalent to a
combusted cigarette or a smokeless
tobacco product. For example, if FDA
received an SE Report for a new product
that is an ENDS closed aerosol
generating apparatus and a predicate
product that is a filtered combusted
cigarette, then the product
characteristics between the new and
predicate products would be different.
Because of the differences in
characteristics in this example, a
significant amount of scientific evidence
would be needed to demonstrate that
the new product does not raise different
questions of public health. Such
evidence, as discussed in FDA’s 2011
Guidance titled ‘‘Section 905(j) Reports:
Demonstrating Substantial
Equivalence,’’ could include but would
not be limited to the following: (1)
Smoke yield data from HPHCs, (2)
actual use data demonstrating how
smoke topography compares between
the new and predicate products, (3)
actual use data demonstrating how the
amount of product use varies between
the new and predicate products (e.g.,
number of puffs per day), and (4)
marketing data indicating how
consumer perception (product appeal)
by youth differs between the new and
predicate products. In these cases, it
would be difficult to show that the
differences between the product and the
predicate product are such that the
product ‘‘does not raise a different
question of public health.’’
In addition, the evidence required to
make such a showing may be as
substantial or even greater than the
evidence required under the PMTA
pathway (section 910(b)), and the PMTA
pathway allows for different effects on
public health—as long as the applicant
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provides a demonstration that the
product is appropriate for the protection
of the public health. Nevertheless, there
is nothing in the statute to prohibit the
attempted use of cross-category
comparisons in an SE submission, but it
is the responsibility of the manufacturer
to provide appropriate and sufficient
evidence to support a finding of SE.
(Comment 18) A few comments from
industry argued that FDA should
interpret ‘‘substantial equivalence’’ as
the term is applied to medical devices
under section 510(k) of the FD&C Act
(21 U.S.C. 360(k)), which does not
require premarket review for what the
comments refer to as ‘‘even the slightest
change to a predicate.’’
(Response) FDA’s interpretation of SE
with respect to medical devices is based
on a different statutory section than is
applicable to tobacco products. FDA has
issued guidance interpreting SE within
the meaning of section 910 of the FD&C
Act.
C. Comments on the Grandfather Date
We received numerous comments on
the February 15, 2007, grandfather date
and the challenges it may present to
certain categories of the newly deemed
products. We address those comments
as follows.
Lack of Authority To Change the
Grandfather Date to a Later Date. As
stated in the NPRM, FDA has
determined that it lacks authority to
change the grandfather date, which is
set by statute (79 FR 23142 at 23174).
FDA specifically asked for comments on
our legal interpretation. We received a
large number of comments in response
to this statement, but none provided a
legal theory that would support
changing the date.
(Comment 19) A number of comments
argued that adoption of a later
grandfather date would be an acceptable
exercise of FDA’s discretion under
section 701(a) of the FD&C Act, which
provides FDA authority to issue
regulations ‘‘for the efficient
enforcement’’ of the statute. Others
argued that an alternative date would be
a permissible Agency interpretation of
the statute, subject to deference under
the Chevron doctrine. (See Chevron
U.S.A., Inc. v. NRDC, 467 U.S. 837
(1984).)
(Response) After careful consideration
of these comments, FDA concludes that
it lacks authority to change the
grandfather date for the newly deemed
products. The grandfather date is
prescribed in the statute. Section
910(a)(1)(A) of the FD&C Act states, in
pertinent part, that the term ‘‘new
tobacco product’’ means any tobacco
product (including those products in
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test markets) that was not commercially
marketed in the United States on
February 15, 2007. For purposes of the
SE pathway, the statute also clearly
states that a predicate product must be
commercially marketed (other than for
test marketing) in the United States on
February 15, 2007, in both section
910(a)(2)(A) and section 910(j)(1). FDA’s
authority is not so broad as to allow
FDA to issue a regulation that
contradicts a clear statutory provision.
Many comments cited examples of
FDA’s exercise of discretion to show
that FDA can and should exercise
discretion to change the grandfather
date. For example, comments pointed to
FDA’s decision to extend compliance
deadlines, as well as FDA’s guidance
informing industry that it does not
intend to take enforcement action
against manufacturers who make
tobacco blending changes without a
premarket submission for a new tobacco
product when such tobacco blending
changes are intended to address the
natural variation of tobacco (e.g.,
tobacco blending changes due to
variation in growing conditions).
However, the exercise of discretion
reflected in these examples did not
require FDA to contradict the clear
language of the Tobacco Control Act, as
changing the grandfather date would.
(Comment 20) A number of comments
argued that the February 15, 2007, date
in section 910 of the FD&C Act is simply
an anachronism, that the date was only
intended to apply to the initially
regulated products, and the fact that the
statutory language does not provide a
different date is simply a drafting error.
(Response) FDA disagrees and is
aware of no evidence supporting this
view. Congress carefully distinguished
those provisions of the statute that
would apply to all tobacco products
from those that would apply only to the
initially regulated products or, in some
cases, only to traditional cigarettes. (See,
e.g., section 102(a)(1) of the Tobacco
Control Act (requiring FDA to issue a
rule establishing restrictions on the sale
and distribution of cigarettes and
smokeless tobacco, with certain
different provisions for the two
categories of products).) If Congress had
intended that there be a later
grandfather date for tobacco products
deemed subject to the statute after its
date of enactment, it would have
provided one.
(Comment 21) Some comments
argued that application of the February
15, 2007, date is unfair to the
manufacturers of the newly deemed
tobacco products (particularly ecigarettes) because they were not on
notice of pending regulation and they
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contended that ‘‘all newly deemed
products will be forced from the
market.’’ Thus, they argue, decisions
were made to invest in an industry that
was presumed to be unregulated, and
now the industry must bear
unanticipated costs.
(Response) FDA disagrees with
comments stating that all newly deemed
products will be forced to be removed
from the market as some newly deemed
products will qualify as ‘‘grandfathered’’
products under the statute and any that
are not grandfathered will be able to
apply for premarket authorization. The
Tobacco Control Act plainly provides
for regulation of all tobacco products.
FDA also clearly stated its intention to
deem these products long before the
NPRM was published (see Unified
Agenda, Spring 2011, RIN 0910–AG38).
Therefore, manufacturers of the newly
deemed products have been on notice
for more than 4 years that these
products could and likely would be
regulated.
The ENDS industry has acknowledged
that it was aware of both FDA’s
intention to regulate ENDS and the
applicability of the Tobacco Control Act
to e-cigarettes and other ENDS, as
evidenced by the litigation in Smoking
Everywhere, Inc. v. Food & Drug
Administration, 680 F. Supp.2d 62
(D.D.C. 2010), affirmed by Sottera, Inc.
v. Food & Drug Administration, 627
F.3d 891 (D.C. Cir. 2010), which was
pending during the passage of the
Tobacco Control Act. When FDA
attempted to regulate e-cigarettes as a
drug-device combination, plaintiffs
Sottera (doing business as NJOY) and
Smoking Everywhere argued that
Congress intended for tobacco products,
including their own, to be subject to the
Tobacco Control Act and not to the drug
and device provisions of the FD&C Act.
The district court described plaintiffs’
position as follows: ‘‘In FDA v. Brown
and Williamson Tobacco Corp., the
Supreme Court held that tobacco
products, like traditional cigarettes, are
not subject to FDA regulation as a drug
or device. [529 U.S. 120 (2000).]
Because electronic cigarettes, as
marketed by plaintiffs, are the
functional equivalent of traditional
cigarettes, plaintiffs contend that FDA
cannot regulate their products [as
combination drug-device products].
They further contend that Congress’s
recent enactment of the [Tobacco
Control Act] supports their argument.
Under the [Act], FDA may now regulate
tobacco products, which the Act defines
as ‘‘any product made or derived from
tobacco that is intended for human
consumption,’’ . . . but it cannot
regulate those products as it would a
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drug or device under the FDCA[.] There
being no dispute that the nicotine in
plaintiffs’ electronic cigarettes is
naturally distilled from actual tobacco
and is intended for human
consumption, . . . plaintiffs assert that
their electronic cigarettes qualify as a
tobacco product and are therefore
exempt from regulation as a drug-device
combination.’’ (Smoking Everywhere v.
FDA, 680 F. Supp. 2d 62, 66–67 (D.D.C.
2010).)
The district court found that, ‘‘it is
apparent from Congress’s broad
definition of ‘tobacco product’ that it
intended the Tobacco Act’s regulatory
scheme to cover far more than the fixed
array of traditional tobacco products[.]’’
(Id. at 71.) ENDS manufacturers were
made especially aware of FDA’s
authority to deem their products and
subject them to the tobacco control
authorities of the FD&C Act when the
court noted that ‘‘. . . now that FDA has
regulatory power over electronic
cigarettes through the Tobacco Act, any
harm to the public interest or to third
parties caused by an injunction that
merely forbids FDA from regulating
electronic cigarettes as a drug-device
combination is greatly diminished.’’ (Id.
at 77–78.)
On appeal, the D.C. Circuit affirmed,
commenting that ‘‘the Tobacco Act
provides the FDA with regulatory
authority over tobacco products without
requiring therapeutic claims. . . . [T]he
act broadly defines tobacco products as
extending to ‘any product made or
derived from tobacco.’ ’’ Sottera, Inc. v.
Food & Drug Administration, 627 F.3d
891, 897 (D.C. Cir. 2010) (quoting 21
U.S.C. 321(rr)(1); emphases added by
the court). The D.C. Circuit went on to
state that ‘‘the [lower] court rightly
found that the FDA has authority under
the Tobacco Act to regulate electronic
cigarettes’’—authority that, it added,
was ‘‘unquestioned.’’ Id. at 898.
(Comment 22) Some comments
argued that FDA previously exercised
enforcement discretion to amend the
grandfather date of the reissued 1996
rule (published in the Federal Register
of August 28, 1996, 61 FR 44396) with
respect to use of a trade or brand name
of a nontobacco product for cigarettes or
smokeless tobacco products and argued
that FDA has the authority to take
similar action with respect to the SE
grandfather date.
(Response) FDA disagrees. In section
102 of the Tobacco Control Act,
Congress required FDA to reissue the
1996 final rule regarding cigarettes and
smokeless tobacco identical to the
original rule (61 FR 44396 at 44615
through 44618), with certain
enumerated exceptions. Congress did
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not list the grandfather date for the use
of nontobacco brand-names as one of
the exceptions. Nonetheless, the Agency
issued a compliance policy stating that
it did not intend to enforce the January
1, 1995, grandfather date for the use of
a nontobacco brand name while
considering what changes to the
regulation, if any, would be appropriate.
Section 102(a)(4) also gave FDA
authority to amend its own rule. On
November 17, 2011, FDA issued the
proposed brand name rule (76 FR
71281) seeking to exercise its authority
to amend the January 1, 1995, date that
was originally included in 21 CFR
897.16(a) to June 22, 2009, in
recognition of the fact that 14 years
elapsed since the publication of the
1996 final rule. Using the January 1995
date would have significantly changed
the provision, from one that was
intended to apply prospectively to one
that applies retroactively. The statute
does not give FDA similar authority to
change the provisions in section 910 of
the FD&C Act to amend the grandfather
date.
D. Impact of Premarket Requirements
(Comment 23) Numerous comments
argued that if the SE pathway is not
available for some newly deemed
products, manufacturers will have to
use the PMTA pathway, will not have
sufficient resources to complete PMTAs,
and will be forced to remove their
products from the market. Members of
the e-cigarette industry further argued
that removal of their products would be
detrimental to public health. However,
other comments expressed concern
regarding any delay in implementing
and enforcing the premarket review
requirements given the data showing the
growing use of the newly deemed
products, particularly among youth and
young adults.
(Response) As an initial matter, FDA
notes that the primary premarket
pathway for new tobacco products is the
premarket tobacco product application
pathway, and that the SE and SE
exemption pathways are exceptions to
that pathway, but manufacturers can
choose to submit applications under any
of the three pathways for which they
think they can meet the criteria in the
FD&C Act for marketing authorization
for a new product. See section
910(a)(2)(A) of the FD&C Act stating that
an order for a new tobacco product is
required unless the Secretary has issued
an order that the tobacco product is
substantially equivalent to tobacco
product commercially marketed. The SE
pathway is not intended to be available
to every product. Rather, by its terms,
the SE pathway is limited to products
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that can be shown to be substantially
equivalent to a product that was on the
market on the grandfather date. If that
showing cannot be made, the
appropriate premarket pathway is the
premarket tobacco product application
pathway.
To obtain marketing authorization
under the PMTA pathway,
manufacturers are required to establish,
among other things, that permitting
their products to be marketed would be
appropriate for the protection of public
health. In establishing this,
manufacturers should take into account,
and FDA will consider, the ways in
which the new product is likely to be
used. We also note that, elsewhere in
this issue of the Federal Register, FDA
has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products.
Should firms have specific questions
regarding application content and
information necessary to satisfy the
filing criteria under section 910(b) or
ways to reduce burden by reference to
another submission, they may contact
CTP’s OS at 1–877–CTP–1373.
For example, where a manufacturer
seeks authorization of a new e-liquid to
be used with ENDS, the manufacturer
may need to provide evidence and
analysis of the product’s likely impact
when used in the range of delivery
systems available. Similarly, a
manufacturer seeking authorization of a
stand-alone apparatus component—
such as a heating coil or cartridge—may
need to provide evidence and analysis
of the product’s likely impact when
used together with the range of other
components and liquids available.
In the case of e-liquids, FDA expects
that it may be possible for
manufacturers to satisfy the statute by
demonstrating that marketing of the
liquid is appropriate for the protection
of public health as it may be used in any
of the legally available delivery systems.
While FDA recognizes that there may
remain some degree of uncertainty in
any such analysis, FDA expects that the
range of delivery system specifications
authorized by FDA will provide a
sufficiently specific spectrum of
possibilities, such that a meaningful
public health impact analysis can be
done.
In the case of ENDS hardware/
apparatus components, FDA expects
that it may be difficult for
manufacturers to make the showing
necessary to meet the statutory
standard, given the great extent of
possible variations in combinations of
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hardware components, if all are
considered and sold separately. Thus,
with respect to apparatus, FDA expects
that manufacturers will be most
successful where authorization is sought
for entire delivery systems, rather than
individual components. In the case of
these complete delivery systems—
systems for which the application
covers all potential parts, including
customizable options as applicable, and
where labeling, instructions for use and/
or other measures are used to help
ensure use as intended—FDA expects
that the range of possible outcomes may
be narrow enough for the manufacturer
to demonstrate, and for FDA to assess,
public health impact.
FDA also notes that many comments
from the ENDS industry emphasized the
potential public health benefits of these
products in their comments on the
NPRM. For example, numerous industry
comments argued that restrictions on
access to the newly deemed products
would be detrimental to public health,
as the products may be less toxic than
conventional cigarettes and may be
successfully used as a cessation
product. FDA’s consideration of public
health benefits of products will be
included in FDA’s review of PMTAs
based on the evidence.
(Comment 24) A few comments
expressed concern that if manufacturers
would be forced to submit PMTAs
rather than SE applications, they would
need to conduct more animal studies to
meet PMTA requirements.
(Response) FDA shares an interest in
reducing the reliance on animal-based
studies, and the Agency is committed to
the three ‘‘Rs’’ of reduction, refinement,
and replacement in animal testing.
Although we are hopeful that in vitro
assays and computer models can
ultimately help to replace much of the
need for animal testing, there are still
many areas for which non-animal
testing is not yet a scientifically valid
and available option. FDA is committed
to addressing concerns raised regarding
use of animal testing methods, while
still ensuring that the Agency satisfies
its public health and patient safety
responsibilities and acts in accordance
with its governing statutes.
(Comment 25) One comment stated
that e-cigarettes have two variables—the
ratio of the propylene glycol to
vegetable glycerin and the level of
nicotine in the product—which would
result in many combinations and,
therefore, require submission of
numerous, very costly PMTAs for
products that have very minor
variations. In contrast, one comment
noted that the lower number of
ingredients in e-cigarettes means that
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less information will be required in
PMTAs for e-cigarettes than for other
products.
(Response) The requirements and
costs of a PMTA may vary based on the
type and complexity of the product.
Variations in the ratio of ingredients,
such as propylene glycol and glycerin,
would indicate that products have
different levels of each of these
ingredients. As stated in section
910(a)(1)(B) of the FD&C Act, any
change in an ingredient level, as with
additions or removal of ingredients,
yields a new tobacco product.
We also note that the statute requires
FDA to review PMTAs based on wellcontrolled investigations, ‘‘when
appropriate,’’ or other valid scientific
evidence sufficient to evaluate the
tobacco product. In addition, elsewhere
in this issue of the Federal Register,
FDA has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products.
Should firms have specific questions
regarding application content and
information necessary to satisfy the
filing criteria under section 910(b) or
ways to reduce burden by reference to
another submission, they may contact
CTP’s OS at 1–877–CTP–1373.
(Comment 26) Many comments stated
that a requirement to prepare PMTAs for
all of the many parts and components
that go into some of the newly deemed
tobacco products would create an
effective ban of these products.
(Response) The definition of a tobacco
product includes components and parts,
and these products are subject to the
automatic provisions of the FD&C Act,
including premarket authorization
requirements. However, at this time,
FDA intends to limit enforcement of the
premarket authorization provisions to
finished tobacco products. In this
context, a finished tobacco product
refers to a tobacco product, including all
components and parts, sealed in final
packaging intended for consumer use
(e.g., filters or filter tubes sold
separately to consumers or as part of
kits). For example, an e-liquid sealed in
final packaging that is to be sold or
distributed to a consumer for use in a
finished tobacco product will be subject
to enforcement if it is on the market
without authorization. In contrast, an eliquid that is sold or distributed for
further manufacturing into a finished
ENDS product is not itself a finished
tobacco product. At this time, FDA does
not intend to enforce the premarket
authorization requirements against such
e-liquids or other components and parts
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of newly deemed products that are sold
or distributed solely for further
manufacturing without a marketing
order.
(Comment 27) Many expressed
concern that requiring cigars to comply
with the PMTA requirements would
either force cigars off the market or
require them to mimic cigarettes in
uniformity of size, shape, and taste,
which would change the fundamental
nature of the cigar industry. At least one
comment stated that FDA should
eliminate the premarket and SE
application requirements for cigars and
instead implement a system by which
cigar manufacturers could introduce
new products to the market after
providing 90 days’ notice to FDA of
their intentions to do so.
(Response) FDA disagrees. Sections
905 and 910 of the FD&C Act establish
specific requirements that apply to new
tobacco products before they may be
marketed. Some cigars may be
grandfathered and other products may
have valid predicate products and may
be able to avail themselves of the SE
pathway to market. FDA generally
expects that cigars with blending
changes (other than blending changes to
address the natural variation of tobacco,
FDA’s policy for which is discussed in
the response to Comment 28) will be
able to successfully use the SE pathway
so long as the blending change does not
significantly raise levels of HPHCs in
the product (i.e., raising different
questions of public health). If a product
is unable to utilize the SE pathway and
is not eligible for an SE exemption, the
statute requires the product (including
limited or seasonal blends) to obtain a
marketing authorization through the
PMTA pathway. As explained
previously, the requirements of a
particular PMTA may also vary based
on the type and complexity of the
product. If an applicant wishes to
discuss a product application, the
applicant may request a meeting as set
forth in FDA’s final guidance entitled
‘‘Meetings with Industry and
Investigators on the Research and
Development of Tobacco Products’’
(announced May 25, 2012, 77 FR
31368).
(Comment 28) A number of comments
discussed the natural variability in the
tobacco used for cigars and pipe
tobacco, stating that because the
characteristics of tobacco used for each
of these products can vary from year to
year, manufacturers must use different
blends to create a consistent product.
Some comments expressed concerns
that each blending change could result
in a new product for which
manufacturers and importers would be
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required to submit a PMTA. They also
stated that this would be economically
unfeasible for limited editions and
special releases for cigars and pipe
tobacco. Others expressed concerns that
tobacco blending changes and natural
variations of the tobacco used in the
product, such as the number of ribs or
perforations in a cigar wrapper, may
produce different results for HPHC
testing of the same product. These
comments advocated that cigars and
pipe tobacco should be either excluded
from the ingredient listing, HPHC
listing, and premarket review
requirements or manufacturers should
be allowed to make tobacco blending
changes without being required to
submit a marketing application or
comply with HPHC testing and
reporting requirements.
(Response) FDA is aware that the
tobacco used to produce some of the
newly deemed products can naturally
vary from year to year. As stated in
section IV.C.1, FDA does not intend to
enforce the premarket authorization
requirements where manufacturers
make tobacco blending changes without
premarket authorization for tobacco
blending changes to address the natural
variation of tobacco (e.g., tobacco
blending changes due to variation in
growing conditions) in order to
maintain a consistent product. However,
FDA does intend to enforce the
premarket authorization requirement for
tobacco blending changes that are
intended to alter the chemical or
perception properties of the new
product (e.g., nicotine level, pH,
smoothness, harshness, etc.) compared
to the predicate product, and such
changes should be reported under 910
or 905(j). In addition, FDA intends to
issue a guidance regarding HPHC
reporting under section 904(a)(3), and
later a testing and reporting regulation
as required by section 915, with enough
time for manufacturers to report given
the 3-year compliance period for HPHC
reporting. As noted elsewhere in this
document, FDA does not intend to
enforce the reporting requirements
under section 904(a)(3) for newly
deemed products before the close of the
3-year compliance period, even if the
HPHC guidance is issued well in
advance of that time. Additionally,
changes made to the number of ribs or
perforations in a cigar wrapper as well
as any changes to ingredients or
additives, would result in a new tobacco
product (as stated in section
910(a)(1)(B)) and would require a
marketing application and authorization
under section 910 or 905(j). FDA
intends to enforce other applicable
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requirements (e.g., ingredient listing)
against manufacturers making blending
changes to address the natural variation
of tobacco.
(Comment 29) Some comments stated
that small companies are at a
competitive disadvantage compared to
larger companies because they do not
have the resources to complete PMTAs.
They feared that FDA’s premarket
requirements would force many
companies to remove their products
from the market and that, as a result,
cigarette use would increase. To address
these concerns, comments suggested
that FDA stagger requirements based on
the size of the business to protect small
businesses and spur innovation. They
stated that staggered compliance periods
could be based on the number of
employees in the business, number of
products the business has, and/or the
product’s placement on the continuum
of risk. In addition, some comments
stated that such staggered dates could be
based on FDA’s issuance of final PMTA
guidance for each product category,
which would allow for more meaningful
and complete submissions. They also
stated that, because such guidance
likely would include issues of first
impression, the Agency is required to
first issue the guidance in draft form
before issuing a final guidance. Some
comments stated that staggered PMTA
compliance periods may not be
sufficient to address the competitive
disadvantage of small companies
because they still would not have the
resources to complete a PMTA for each
of their new tobacco products.
Other comments believed that
premarket requirements should apply
equally to all manufacturers, regardless
of size, for several reasons. First, they
explained that the FD&C Act states that
the purpose of a PMTA is to ensure that
permitting marketing of a tobacco
product would be ‘‘appropriate for the
protection of the public health’’ (section
910(c)(2)(A)) and that this public health
purpose should outweigh concerns
regarding small businesses. The
comments noted that the public health
purpose of the Tobacco Control Act
does not differentiate between large and
small businesses. Second, they stated
that the public health concerns
presented by products of small
manufacturers are no less significant
than the public health concerns
presented by products of large
manufacturers. They also noted that
small manufacturers may lack the
quality control processes that they
believed large manufacturers already
have in place. They also noted that
many small businesses are e-cigarette
retail establishments that mix their own
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e-liquids, which can be accessible to
children and potentially subject to
tampering and, therefore, should not
receive additional time to comply with
critical automatic requirements. Third,
they stated that Congress did not intend
for small manufacturers to have
additional time to comply with all of the
automatic provisions under the law
once they are deemed. Instead, Congress
only intended that small manufacturers
receive additional time to comply with
good manufacturing practices under
section 906(e)(1)(B) of the FD&C Act and
testing requirements under section
915(d) (21 U.S.C. 387o). If Congress had
intended for small manufacturers to
receive additional time to comply with
other provisions, it would have
explicitly said so. Fourth, they stated
that FDA already provides adequate
assistance to small businesses with the
small business center (included as part
of CTP’s OCE) and frequent Webinar
programs, but other comments stated
that the small business center was not
properly organized and staffed.
(Response) FDA is announcing
multiple policies with this final rule
including a policy for ‘‘small-scale
tobacco product manufacturers’’
discussed in section IV.D. FDA is
announcing this policy, because ‘‘smallscale tobacco product manufacturers’’
do not have the same business
capabilities of larger businesses.
Moreover, FDA did not receive any
comments from large manufacturers
suggesting that they are in need of the
relief that is being provided for smallscale tobacco product manufacturers.
Congress also acknowledged the
potential disparity by requiring FDA to
establish the Office of Small Business
Assistance (OSBA) within CTP to assist
small tobacco product manufacturers
and retailers in complying with the law.
OSBA is available to assist
manufacturers with any questions
regarding statutory and regulatory
requirements and will continue to
provide support with respect to these
newly finalized regulations. Small
business owners may contact the OSBA
by calling 1–877–CTP–1373 or sending
a message to SmallBiz.Tobacco@
fda.hhs.gov. FDA intends to expand the
staffing for the OSBA to provide support
for manufacturers who are newly
regulated by FDA.
As discussed in the earlier section of
this final rule describing the purpose of
this rule, FDA will be able to obtain
critical information regarding the health
risks of newly deemed tobacco
products, including information derived
from ingredient listing submissions and
reporting of HPHCs. Because FDA did
not previously have regulatory authority
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over these products, it does not have
access to commercial confidential
information on materials, ingredients,
design, composition, heating source and
other features of these products. As FDA
gains experience regulating these newly
deemed tobacco products, the Agency
expects there will be more information
to aid manufacturers seeking premarket
determination that a tobacco product is
‘‘appropriate for the protection of public
health.’’ However, it would negatively
impact public health if FDA were to
significantly delay implementation of its
premarket requirement authorities after
issuance of this deeming rule. Such
delay could result in more youth
becoming addicted to nicotine. FDA
recognized that ENDS are different than
conventional tobacco products, and that
more specific guidance would be useful
to manufacturers in preparing premarket
applications. Therefore, FDA has made
available draft guidance, which when
final, will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products, including
recommendations that would help to
support a showing that the marketing of
a product is appropriate for the
protection of public health. FDA intends
to issue additional guidance in the
future.
E. Clinical Studies and PMTAs
(Comment 30) Comments expressed
concern about the need for costly
clinical studies to develop PMTAs that
satisfy the requirements under section
910 of the FD&C Act. They indicated
that FDA’s previous statements,
including language from draft guidance
that recommends the collection of
numerous types of data ranging from
chemistry to in vivo toxicology and
possible clinical trials, suggest the need
for costly studies that are redundant and
unnecessary. They also noted the
Government Accountability Office’s
(GAO’s) summary of this issue, which
stated ‘‘CTP’s guidance document for
the PMTA pathway states that PMTA
submissions should include data from
well-controlled studies demonstrating
that the tobacco product is appropriate
for the protection of the public health.
[According to CTP,] ’[d]ata from such
studies must address, for example, the
health risks associated with the product
in comparison to the health risks of
other products on the market and the
product’s effect on the likelihood that
current tobacco users will stop using
tobacco products’’’ (Ref. 41 at 18–19).
(Response) In the NPRM, FDA
included discussion intended to
supplement and clarify its earlier
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statements regarding clinical studies
needed for PMTAs (79 FR 23142 at
23176 and 23177). As we noted, FDA
expects that, in some cases, it may be
possible for an applicant to obtain a
PMTA marketing authorization order
without conducting any new
nonclinical or clinical studies where
there is an established body of evidence
regarding the public health impact of
the product. However, in cases where
there have been few or no scientific
studies of a product’s potential impact
on the public health, new nonclinical
and clinical studies may be required for
market authorization. In addition,
elsewhere in this issue of the Federal
Register, FDA is announcing the
availability of a draft guidance, which
when final will provide the Agency’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including the need for ‘‘clinical studies’’
for the purposes of preparing PMTAs for
ENDS.
(Comment 31) Several comments
suggested that section 910(c)(5)(B)
provides FDA with authority to develop
a flexible framework for PMTAs that
would not require well-controlled
investigations. They suggested the
following alternatives to the
requirement of well-controlled
investigations:
• Create a user registry for e-cigarette
users to input baseline demographic,
cessation and initiation, adverse
experiences, and followup data for
collection of real-world data;
• Identify clinical studies that will
constitute ‘‘valid scientific data’’ and
identify historical controls and
published literature suitable for
comparative purposes;
• Adopt a process similar to FDA’s
process for new medical devices, where
the product can undergo de novo review
to obtain a lower risk classification and
be subject to general controls and
specific controls (rather than the
premarket requirements under sections
905 and 910(d));
• Use a process similar to the
accelerated approval process for new
drugs for serious or life-threatening
illnesses, which bases approval on the
effect of the drug on a surrogate
endpoint; and
• Adopt a method similar to the
dietary supplement process, based on
registration, ingredient disclosures, and
good manufacturing practice (GMP)
compliance checks.
(Response) FDA is not implementing
these changes. Most of the approaches
in the comments are all implemented
under different statutory authorities that
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do not apply to tobacco products. FDA’s
responses to these individual
suggestions are discussed in the
following paragraphs.
• Create a user registry for e-cigarette
users to input baseline demographic,
cessation and initiation, adverse
experiences, and follow-up data for
collection of real-world data—
The data and information in a PMTA
must be sufficient to show that the
marketing of the specific new tobacco
product is ‘‘appropriate for the
protection of the public health’’ (section
910(c)(4) of the FD&C Act). This
information from a user registry would
not be sufficient on its own to support
a marketing application, but it could
provide additional real-time information
(e.g., adverse experiences that may
otherwise be gathered in more long-term
studies). If an applicant wishes to use a
registry or other alternatives, we
encourage it to request a meeting with
FDA to discuss these and other issues
before it prepares and submits an
application.
• Identify clinical studies that will
constitute ‘‘valid scientific data’’ and
identify historical controls and
published literature deemed suitable for
comparative purposes—
FDA does not have enough
information at this time to do this in a
manner that would be generally
applicable. It may be possible for an
applicant to submit information (e.g.,
published literature, marketing
information) with appropriate
information or data that would be
adequate scientific data for parts of the
application. This will likely be limited
to specific aspects of the PMTA
requirements (e.g., nonclinical work,
shelf life/stability, health risks based on
consumer information). If an applicant
wishes to use this or other alternatives,
we encourage them to request a meeting
with FDA to discuss these and other
issues in the context of a particular
product before they prepare and submit
an application.
• Adopt a process similar to FDA’s
process for new medical devices, where
the product can undergo de novo review
to obtain a lower risk classification and
be subject to general controls and
specific controls (rather than the
premarket requirements under sections
905 and 910(d))—
FDA is not authorized to deviate from
the premarket requirements of chapter
IX of the FD&C Act. The medical device
requirements in chapter V of the FD&C
Act apply to medical devices only, not
tobacco products as defined in section
201(rr) of the FD&C Act.
• Use a process similar to the
accelerated approval process for new
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drugs for serious or life-threatening
illnesses, which bases approval on the
effect of the drug on a surrogate
endpoint—
The purpose of the accelerated drug
approval process was to establish
procedures designed to expedite the
development, evaluation, and marketing
of new therapies intended to treat
persons with life-threatening and
severely debilitating illnesses,
especially where no satisfactory
alternative therapy exists. This is not
the case with a tobacco product. Section
910(b) of the FD&C Act requires that
specific contents be contained in a
PMTA. In addition, as stated in section
910(c)(4) of the FD&C Act, the data and
information in a PMTA must be
sufficient to show that the marketing of
a new tobacco product is ‘‘appropriate
for the protection of the public health.’’
FDA believes that an accelerated
premarket review process is neither
feasible nor appropriate for these
products at this time. However, if an
applicant believes it can demonstrate
that its new product is ‘‘appropriate for
the protection of public health’’ in an
accelerated fashion, we encourage it to
request a meeting with FDA to discuss
these and other issues before they
prepare and submit an application.
• Adopt a method similar to the
dietary supplement process, based on
registration, ingredient disclosures, and
GMP compliance checks—
As stated in section 910(c)(4) of the
FD&C Act, the data and information in
a PMTA must be sufficient to show that
the marketing of a new tobacco product
is ‘‘appropriate for the protection of the
public health.’’ The method suggested
in this comment would differ from the
process and standard outlined in
sections 905 and 910 of the FD&C Act
and, therefore, is inapplicable to tobacco
products.
The FD&C Act states that determining
whether a new product is appropriate
for the protection of the public health
shall be determined ‘‘when appropriate
. . . on the basis of well-controlled
investigations.’’ (section 910(c)(5)(A)).
However, section 910(c)(5)(B) of the
FD&C Act also allows the Agency to
consider other ‘‘valid scientific
evidence’’ if found sufficient to evaluate
the tobacco product. Thus, if an
application includes, for example,
information (e.g., published literature,
marketing information) with appropriate
bridging studies, FDA will review that
information to determine whether it is
valid scientific evidence sufficient to
demonstrate that the product is
appropriate for the protection of the
public health. If an applicant has
questions or other alternatives to well-
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controlled investigations it would like
to utilize, we recommend that it meet
with FDA to discuss the approach prior
to preparing and submitting an
application (see FDA guidance entitled
‘‘Meetings with Industry and
Investigators on the Research and
Development of Tobacco Products’’). We
also note that, elsewhere in the Federal
Register, FDA is announcing the
availability of a draft guidance, which
when final will provide the Agency’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products.
F. Premarket Pathways and Continuum
of Risk
(Comment 32) We received many
comments requesting that FDA provide
an expedited or abbreviated pathway for
those products that are on the less
harmful end of the continuum of risk
spectrum. Some comments stated that
noncombusted and nicotine delivery
products derived from, but not
containing, tobacco should be treated
differently than combusted products for
the purposes of premarket review and
that less harmful products need an
accelerated pathway to ensure
continued innovation. They also stated
that the different risks and benefits
associated with tobacco derived
nicotine delivery products make the
PMTA process and FDA’s draft PMTA
guidance inapplicable. Other comments
claimed that e-cigarettes and other
tobacco derived nicotine delivery
products are not tobacco products at all
and do not fit into the strict tobacco
product regulatory framework. The
comments also stated that an
abbreviated pathway should be based on
public participation to decide what
information is sufficient to determine
that the product is appropriate for the
protection of the public health without
impeding innovation.
Some comments also suggested that
FDA require a premarket notification or
report, similar to EU’s Tobacco Products
Directive, where the notification
certifies that the product has met
specific product standards, and the
Agency could approve the product
based on the certification.
At least one comment disagreed with
the idea of providing an expedited or
abbreviated pathway for some products,
stating that FDA will not know if the
products are less harmful until it
reviews the applications.
(Response) An ENDS is a tobacco
product as long as it meets the
definition of ‘‘tobacco product’’ under
section 201(rr) of the FD&C Act.
Regardless of the type of tobacco
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product (and its potential risks and
benefits), all tobacco products going
through the PMTA pathway must meet
all the requirements for a premarket
authorization in section 910 of the
FD&C Act before FDA can issue such an
authorization. In addition, we note that,
at this time, while there is general
evidence of harm for all classes of newly
deemed products, FDA has not yet
obtained product-specific evidence
regarding the various ENDS on the
market. Since ENDS products contain
nicotine, it is possible that such
products may result in overall public
health harm if individuals who would
not have initiated tobacco use in the
absence of ENDS ultimately graduate to
combusted products (though scientific
data regarding this hypothesis is
unclear) or use them in conjunction
with combusted products or if the users
would never have initiated tobacco use
absent the availability of ENDS. In
addition, nicotine use in any form is of
particular concern for youth and
pregnant women. On the other hand, if
ENDS promote transition from
combustible tobacco use among current
users, there could be a public health
benefit. The 2014 Surgeon General
Report notes that ‘‘[f]urther research
with attention to their individual and
population-level consequences will be
helpful to fully address these questions.
However, the promotion of
noncombustible products is much more
likely to provide public health benefits
only in an environment where the
appeal, accessibility, promotion, and
use of cigarettes and other combusted
tobacco products are being rapidly
reduced’’ (Ref. 9 at 873). FDA believes
that regulation of all tobacco products
will help to address these questions and
provide public health benefits.
(Comment 33) Many comments
expressed concern regarding the cost of
PMTAs for newly deemed products and
the effect that this requirement will
have on cigarette smokers who are
attempting to quit. They also disagreed
with FDA’s assertion that premarket
review will enhance innovation (79 FR
23142 at 23149), stating that the cost of
submitting PMTAs is more of a business
concern than competition with lower
quality products. They claimed that the
PMTA process would have the largest
negative impact on open system
apparatus, which some comments
believed are the most popular with
people who have achieved complete
substitution from conventional
cigarettes to e-cigarettes. The comment
suggests that the result would be that
newer e-cigarettes would not make it
onto the market, driving up prices, and
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driving adult consumers back to
conventional cigarettes.
(Response) The Tobacco Control Act
provides for three specific marketing
pathways for new tobacco products—
SE., SE exemption, and PMTA; it does
not provide alternative pathways.
Through the PMTA pathway, FDA will
ensure that only products that are
shown to be appropriate for the
protection of public health are
permitted to be marketed. Use of the
PMTA pathway also will allow FDA to
monitor product development and
changes and to prevent more harmful or
addictive products from reaching the
market. The PMTA pathway will
incentivize development of tobacco
products that pose less risk to human
health by limiting market access for
more-risky competitor products.
Furthermore, since the ‘‘appropriate for
the protection of the public health’’
standard involves comparison to the
general tobacco product market existing
at the time of an application, FDA
believes that, over time, the premarket
authorities will move the market toward
less-risky tobacco products.
A recently published paper by
Friedman (Ref. 42) looked at youth
smoking rates in states that enacted
early bans on sales of e-cigarettes to
minors. The author concluded, based on
state-level combusted cigarette smoking
data available through 2013, that the
decline in adolescent smoking rates
slowed in states that enacted restrictions
on access to ENDS by minors before
January 2013, relative to states that did
not. Some have interpreted the results of
the study as providing evidence that any
policies that restrict access to ecigarettes or regulate e-cigarettes could
increase consumption of combusted
tobacco products. However, the research
has several limitations that are
acknowledged in the study. First, the
survey data used in the study, from the
NSDUH, track changes in the prevalence
of cigarette smoking but lack
information available on e-cigarette use.
As such, the study does not establish
that youth switched directly from using
ENDS to smoking combusted cigarettes
after restrictions on sales of e-cigarettes
to minors were enacted, only that the
decline in prevalence of cigarette
smoking slowed in states where such
restrictions were enacted relative to
states that did not. Second, the fact that
the study examines a period very early
on in the development of the market for
ENDS products may also limit the
inferences that can be drawn for
substitution and dual usage patterns
that will emerge as the market matures.
Third, the ‘‘increase’’ in the prevalence
of youth smoking is relative to what
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would have been predicted from
ongoing trends; in both states that did
and states that did not enact restrictions,
the prevalence of youth smoking
continued to decline, just at a slower
rate in the states that enacted bans.
Finally, given these issues, FDA
acknowledges this paper as a first
attempt to study potential impacts of
youth ENDS access restrictions, but
more research will be necessary to
explore the potential effects of this rule
on product switching or dual usage.
(Comment 34) Some comments
suggested that FDA should establish a
monograph-like system to allow ecigarettes seeking to enter the market to
be compared to a baseline or ‘‘model’’
e-cigarette. In addition, a few comments
suggested that combustible product
manufacturers should also be able to
compare their products to a reference
product to ease SE burdens.
(Response) FDA disagrees as these
suggested alternatives are not consistent
with the Tobacco Control Act. Under
the SE pathway, FDA must determine if
the new tobacco product raises different
questions of public health than an
identified, and valid, predicate product.
To be an eligible predicate product
under section 910 of the FD&C Act, the
product must have been commercially
marketed in the United States on
February 15, 2007, or been previously
found substantially equivalent.
Moreover, elsewhere in this issue of
the Federal Register, FDA has made
available a final guidance to provide
information for manufacturers on how
to establish and reference a Tobacco
Product Master File (TPMF). We expect
reliance on TPMFs to increase efficiency
and reduce any burdens on
manufacturers. As discussed in section
IX, because of the nature of upstream
supply of many components for ENDS
products, especially e-liquids, FDA
anticipates that commercial incentives
will be sufficient to drive manufacturer
reliance on the system of master files.
We note that, at present, FDA
understands that, based on the Agency’s
review of publically available data, the
number of entities engaged in upstream
production of liquid nicotine and
flavors specifically developed for use
with e-liquids is small. Specifically,
based on internet searches and
information provided on firm Web sites,
FDA estimates that there are roughly
five to ten major pure liquid nicotine
suppliers, most of which claim to have
a significant market share.10 Several of
these companies already have master
files with FDA for their nicotine
products or report that they are ready to
file submissions to meet U.S. and EU
regulatory requirements. An online
search of flavor manufacturers revealed
many suppliers of flavorings that can be
added to food or other consumer
products; any of these products
potentially could be used as e-liquid
flavoring. However, FDA searches
identified only two to three flavor
houses that make flavoring specifically
for e-liquids.11 Given these realities of
the marketplace, FDA expects that the
master file system will be widely
appealing and widely utilized by the
ENDS industry.
(Comment 35) Comments suggested
that the ‘‘appropriate for the protection
of the public health’’ standard for
PMTAs was meant for those products
with well-established risks to
consumers and should not apply to ecigarettes. They suggested that FDA
establish a different standard for issuing
PMTA orders for e-cigarettes (i.e., that
the product is no more hazardous than
currently marketed tobacco products).
(Response) FDA disagrees with
comments suggesting the use of a
different standard for e-cigarettes and
other ENDS. Section 910(c)(4) specifies
the standard FDA is to apply in
deciding whether to issue a PMTA
marketing authorization order. That
section states that the product must be
‘‘appropriate for the protection of the
public health’’ which ‘‘shall be
determined with respect to the risks and
benefits to the population as a whole,
including users and nonusers of the
tobacco product, and taking into
account—(A) the increased or decreased
likelihood that existing users of tobacco
products will stop using such products;
and (B) the increased or decreased
likelihood that those who do not use
tobacco products will start using such
products.’’ FDA is not authorized to
deviate from this statutory standard.
(Comment 36) Some comments
recommended that FDA deem products
currently on the market without
subjecting those products to the statute’s
premarketing requirements. Similarly,
some comments argued that the
premarket requirements should not
apply to specific categories of products
(specifically, e-cigarettes and other
novel tobacco products), including
those that are introduced after the
enactment of the rule. They stated that
10 See, e.g., Ref. 43. FDA Internet searches
included review of Web sites identifying product
suppliers, such as www.thomasnet.com and
www.alibaba.com, as well as manufacturer Web
sites and news reports on the market.
11 FDA Internet searches included review of Web
sites identifying product suppliers, such as
www.thomasnet.com and www.alibaba.com, as well
as manufacturer Web sites and news reports on the
market.
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this large burden does not have a clear
benefit to public health.
(Response) The statute automatically
subjects deemed products to the
statutory requirements for ‘‘tobacco
products’’ in chapter IX of the FD&C
Act. Once deemed, the products are
subject to all statutory provisions that
apply to all tobacco products covered by
the FD&C Act. See section 901(b) of the
FD&C Act (‘‘This subchapter shall apply
to all cigarettes, cigarette tobacco, rollyour-own tobacco, and smokeless
tobacco and to any other tobacco
products that the Secretary by
regulation deems to be subject to this
subchapter.’’). Section 910, which
establishes the procedures that must be
followed before a new tobacco product
can be authorized for marketing, is one
of the statutory provisions that apply
automatically to all tobacco products,
including newly deemed products. FDA
believes that the premarket review
requirements will, in fact, benefit public
health, as discussed in the NPRM (79 FR
23142 at 23148 and 23149).
(Comment 37) Some comments stated
that FDA must get a better scientific
understanding of e-cigarettes before
finalizing the compliance period for
premarket review of these products. One
comment also proposed a system in
which FDA could create product
standards under section 907 of the
FD&C Act for the entire category of ecigarettes and then approve or reject
PMTAs for individual e-cigarettes based
upon whether they meet the standards.
(Response) FDA disagrees with
comments suggesting that the Agency
needs additional time before
determining an appropriate compliance
period for the premarket review
requirements for ENDS. As we have
stated throughout the document, FDA
has data regarding health harms
generally associated with all of the
categories of tobacco products regulated
under this rule (including ENDS). FDA
is regulating these products in
accordance with this knowledge. FDA
also disagrees with comments
suggesting that FDA can change the
statutory requirements and standards for
issuing PMTA orders. FDA’s revised
compliance policy for submission of
PMTAs and other premarket
submissions is discussed in section V.A.
(Comment 38) At least one comment
suggested that applicants be able to
utilize publications regarding scientific
understanding of e-cigarettes as harm
reduction products to support their
PMTAs.
(Response) FDA agrees that applicants
can include scientific literature as part
of their PMTA submission pursuant to
section 910(b)(1). In addition, elsewhere
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in this issue of the Federal Register,
FDA has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including the use of scientific literature.
(Comment 39) Comments
recommended that FDA issue PMTA
orders based only on HPHC data and
appeal to children, as well as a
manufacturer’s postmarketing
commitments to conduct long-term
studies regarding effects of e-cigarette
use (similar to the supplemental
application processes for new drug
applications (NDA) and device
premarket approval supplement regimes
codified in 21 CFR 314.70 and 814.39,
respectively). Comments also suggested
that FDA create a supplemental PMTA
for modifications and minor
modifications to tobacco products so
each product would not require a full
PMTA.
(Response) FDA disagrees. The
statutory authorities for FDA’s
regulation of drugs, devices, and
tobacco products are different. Section
506A of the FD&C Act (21 U.S.C. 356a)
authorizes FDA to utilize a
supplemental NDA process allowing
manufacturers to make manufacturing
changes to approved drugs and section
515 (21 U.S.C. 360e) allows device
manufacturers to supplement their
premarket approval applications for
modifications to products. Although
FDA does not have the same ability to
allow an applicant to obtain an
authorization and later supplement the
application (given the different statutory
scheme for tobacco products), FDA is
actively considering other opportunities
for efficiency and streamlining in the
PMTA process, consistent with its
mission to protect the public health.
(Comment 40) One comment
suggested that FDA publish guidance on
how the Agency will determine whether
an e-cigarette is substantially equivalent
to a predicate product. According to this
comment, the SE review should focus
on the aerosol delivered to the
consumer to determine whether a new
e-cigarette raises different questions of
public health.
(Response) FDA may issue guidances
for specific product categories at a later
date. However, FDA finds that the
available guidance for SE reports should
be sufficient to assist manufacturers in
preparing reports and to advise them of
the factors FDA considers when
assessing SE reports, as evidenced by
the fact that the agency has issued many
orders regarding SE to applicants that
have utilized the available guidance (for
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the most recent SE actions, see https://
www.fda.gov/TobaccoProducts/
Labeling/MarketingandAdvertising/
ucm435693.htm). Previously issued SE
orders were for products whose
applications may differ substantially
from those for the newly deemed
tobacco products. As required by
section 910(a)(3)(A) of the FD&C Act
and as stated in FDA’s guidance
documents, the Agency must consider
product characteristics when evaluating
SE reports. The constituents found in ecigarette aerosol are just some of the
characteristics that FDA will consider
when reviewing SE reports for ecigarettes. Other characteristics include
the materials, other ingredients, design,
composition, heating source, and other
features of the e-cigarette (see section
910(a)(3)(B)). We also encourage
prospective applicants to review the
applications FDA posts on www.fda.gov
for examples of products that have
different characteristics but do not raise
different questions of public health
when compared with the specified
predicate product.
(Comment 41) Some comments
provided several suggestions as to how
FDA can craft the PMTA process to
acknowledge the position of e-cigarettes
on the continuum of nicotine-delivering
products. For example, they indicated
that e-cigarettes should not need to
undergo a rigorous, comprehensive
premarket review process and, instead,
should be given an abbreviated pathway
that would allow FDA to achieve the
same objectives. For example, some
comments suggested that, in order to
streamline the process, a PMTA for an
e-cigarette should be required to contain
only the following: (1) A sample of the
product; (2) specimens of proposed
labeling; (3) a description of the
product’s principles of operation; (4)
ingredient listing for e-liquids; (5) a
description of methods of
manufacturing and processing; and (6) a
description of quality control and
product testing systems. They suggested
that FDA could require e-cigarettes to
comply with product standards once
they are established.
Other comments urged FDA to impose
strict regulations on the sale of ecigarettes, including extensive
premarket review, to ensure that future
generations are not burdened by
nicotine addiction. While some of these
comments noted that there may be
potential benefits to some individuals,
they believed the Agency cannot lower
its scientific standards, weaken its
requirements for rigorous science, or
change its requirements for evaluating
the public health impact of e-cigarettes.
To determine eligibility for expedited
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review or an abbreviated pathway, these
comments stated that FDA must
recognize that: (1) The use of any
tobacco product, including a wellregulated e-cigarette, poses a greater risk
than using no tobacco product; and (2)
the scientific evidence does not
demonstrate substantial reduction in
harm to an individual from e-cigarette
use if the consumer dual uses with
cigarettes, except when dual use is a
short-term pathway to quitting smoking
cigarettes.
(Response) Section 910(b) of the
FD&C Act lays out the specific elements
to be submitted in a PMTA and
910(c)(2)(A) specifies that FDA cannot
authorize the marketing of a product
where there is a lack of showing that the
marketing of a new tobacco product is
‘‘appropriate for the protection of the
public health.’’ The FD&C Act states
that this finding will be determined,
when appropriate, on the basis of wellcontrolled investigations (section
910(c)(5)(A)). However, section
910(c)(5)(B) of the FD&C Act also allows
the Agency to consider other ‘‘valid
scientific evidence’’ if found sufficient
to evaluate the tobacco product. Thus, if
an application includes, for example,
information (e.g., published literature,
marketing information) with appropriate
bridging studies, FDA will review that
information to determine whether it is
valid scientific evidence sufficient to
demonstrate that a product is
appropriate for the protection of the
public health. If an applicant has
questions or other alternatives to wellcontrolled investigations it would like
to utilize, we recommend that the
applicant meet with FDA to discuss the
approach prior to preparing and
submitting an application (see FDA
guidance ‘‘Meetings with Industry and
Investigators on the Research and
Development of Tobacco Products’’). In
addition, elsewhere in this issue of the
Federal Register, FDA has made
available ENDS PMTA draft guidance
which, when final, will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products.
(Comment 42) Given the differences
among newly deemed product
categories and the potential benefits
from these products, some comments
said that FDA should develop clear
guidance regarding the scientific
evidence the Agency will need to
review the safety and health impact of
these products and to accelerate the
review of marketing applications where
necessary.
(Response) To help provide clarity
regarding submission requirements for
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marketing applications, FDA has issued
several guidance documents, and is
finalizing other guidance documents,
regarding the evidence needed for SE
reports, including FDA draft guidance
entitled ‘‘Substantial Equivalence
Reports: Manufacturer Requests for
Extensions or to Change the Predicate
Tobacco Product’’ (79 FR 41292, July 15,
2014), and FDA guidance entitled
‘‘Establishing That a Tobacco Product
Was Commercially Marketed in the
United States as of February 15, 2007,’’
among others. FDA also has issued a
draft guidance entitled ‘‘Applications
for Premarket Review of New Tobacco
Products’’ (76 FR 60055, September 28,
2011). In addition, elsewhere in this
issue of the Federal Register, FDA has
made available draft guidance, which
when final will describe FDA’s current
thinking on some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products. If FDA determines that
additional guidance is necessary to help
manufacturers prepare marketing
applications, FDA will issue additional
guidance and publish a notice of
availability in the Federal Register.
(Comment 43) One comment stated
that, because there is a lack of scientific
evidence to show the health impact of
vapor products, applying the premarket
requirements to this category of
products is premature. Therefore, the
comment suggested that FDA exercise
enforcement discretion to delay
implementation of this requirement
until more evidence is available.
(Response) FDA has established a
compliance policy regarding the
premarket review requirements. This is
described in section V.A. As discussed
elsewhere in this document, we believe
the compliance period is appropriate,
and it takes into account the time for
firms to generate and submit the
information for a PMTA. The
requirements and costs of a PMTA may
vary based on the type and complexity
of the product. For example, where
there is limited understanding of a
product’s potential impact on public
health, nonclinical and clinical studies
may be required for market
authorization. In such case, the
requirements and cost of the PMTA
likely would be higher (and the review
time longer) than for a product in which
there is already substantial scientific
data on the potential public health
impact. This information provided as
part of premarket review (design,
ingredients, levels of HPHCs) will
provide critical information on these
products.
(Comment 44) One comment
suggested that FDA regulate e-cigarettes
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as an adult consumer product without
providing additional details.
(Response) It is unclear what this
comment envisioned by suggesting that
FDA regulate e-cigarettes as an adult
consumer product. Nevertheless, FDA
must regulate tobacco products in
accordance with the Tobacco Control
Act, including section 910 of the FD&C
Act, which states that in reviewing
PMTAs for new tobacco products, FDA
must consider whether the marketing of
such product is appropriate for the
protection of the public health, and that
this finding is to be determined with
respect to the risks and benefits to the
population as a whole, including users
and nonusers of the product, taking into
account—the increased or decreased
likelihood that existing users of tobacco
products will stop using such products;
and the increased or decreased
likelihood that those who do not use
tobacco products will start using such
products (section 910(c)(4) of the FD&C
Act). This public health standard
requires the Agency to consider the
impact of the products on the
‘‘population as a whole,’’ not simply the
adult population that may be using such
products.
(Comment 45) Some comments stated
that FDA regulations should support
manufacturers’ efforts to invest in
alternative tobacco products with the
potential to reduce harm.
(Response) The Agency continues to
support development of alternative
tobacco products with the potential to
reduce harm, and believes that the
PMTA, MRTP, and other regulatory
provisions will help foster the
development of tobacco products that
pose less risk to human health. In
addition, as a practical effect of the
Agency’s compliance policy for
premarket review of newly deemed
tobacco products, FDA expects that
many manufacturers, including those
with alternative tobacco products, will
continue to market their products
during preparation of submissions and
for the continued compliance period
afterward. The time it takes to review
premarket applications is dependent
upon the type of application and the
complexity of the product.
G. Other Comments
(Comment 46) A few comments
suggested that FDA review and
authorize marketing of products at the
ingredient level. For example, if a
tobacco product contained only
preauthorized ingredients, the product
could be marketed, possibly through
self-certification. If the product used
unapproved ingredients, the
manufacturer would be required to
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submit a PMTA containing information
on only those ingredients or meet
established testing guidelines. The
comments suggested that standards that
could be used to assess the ingredients
may include the U.S. Pharmacopeial
Convention (USP), FDA’s Generally
Recognized as Safe (GRAS) standards,
the New Drug Products Q3B(R2)
guidance; and the Food Chemicals
Codex or FDA Redbook of Foods.
(Response) FDA disagrees. Section
910 of the FD&C Act requires FDA to
evaluate the new tobacco product as a
whole to determine whether the
authorization of marketing of the
product is appropriate for the protection
of the public health. In addition, we
note that GRAS status for a food
additive does not mean that the
substance is GRAS when inhaled, since
GRAS status does not take inhalation
toxicity into account and applies only to
intended uses that may reasonably be
expected to result, directly or indirectly,
in its becoming a component or
otherwise affecting the characteristics of
any food (section 201(s) of the FD&C
Act.).
(Comment 47) A few comments
expressed concern as to the
contemplated compliance periods for
HPHC testing (with a proposed
compliance period of 3 years following
the effective date of the final rule) and
the contemplated 24-month compliance
period for marketing applications,
because applicants will need to submit
HPHC data with their PMTAs. They
requested that FDA delay its
enforcement of PMTA and SE
application requirements until it has
established an HPHC list and validated
methodology for individual products.
(Response) While applicants should
submit certain information about
HPHCs as part of their applications, the
requirement to submit HPHC listings
under section 904 of the FD&C Act (21
U.S.C. 387d) is separate and distinct
from the premarket review requirements
under section 910. HPHC information
submitted under section 904 will assist
FDA in assessing potential health risks
and determining if future regulations to
address a product’s health risks are
warranted. For PMTAs, FDA expects
that applicants will report the levels of
HPHCs as appropriate for each product,
so the reported HPHCs will differ among
different product categories. Elsewhere
in this issue of the Federal Register,
FDA has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including information regarding HPHCs.
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The Agency recommends that
manufacturers consult with CTP’s OS
about what is appropriate in the context
of a specific application.
FDA recognizes, however, that it
could be difficult for certain
manufacturers of the newly deemed
products (e.g., small businesses) to
comply with the section 904 HPHC
requirements for all of their currently
marketed products. For example,
contract laboratories may not be
prepared for the large volume of
requests for the testing of quantities of
the HPHCs for all brands and subbrands
of tobacco products marketed prior to
the effective date. Thus, we have
established a compliance period of 3
years for submission of this data under
section 904 for products on the market
as of the effective date. In addition, in
the context of all newly deemed
products considered in total, many
products may be grandfathered and will
thus not be required to obtain premarket
authorization through one of three
pathways—SE, exemption from SE, or
premarket tobacco product applications
(sections 905 and 910 of the FD&C Act).
Given that the number of newly deemed
products in total seeking PMTA orders
likely will be much smaller than the
total number of such tobacco products
on the market as of the effective date
(given that many products will be
grandfathered and that some products
may exit without submission of an
application), FDA expects that the
HPHC information submitted as part of
these PMTA applications can be
obtained within the 2-year submission
period for newly deemed tobacco
products. (FDA notes that the
proportion of products that may qualify
as grandfathered is likely to vary for
different product categories. For
example, the ENDS product category,
for which the market has changed
dramatically since 2007, is likely to
have a smaller proportion of
grandfathered products than some other
product categories.)
Moreover, elsewhere in this issue of
the Federal Register, FDA has made
available a final guidance to provide
information on how to establish and
reference a Tobacco Product Master File
(TPMF). FDA notes that we expect
reliance, to the extent applicable, on
TPMFs to increase efficiency and reduce
any burdens on manufacturers. As
discussed in section IX, because of the
nature of upstream supply of many
components for ENDS products,
especially e-liquids, FDA anticipates
that commercial incentives will be
sufficient to drive manufacturer reliance
on the system of master files. We note
that, at present, FDA understands, based
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on publically available information, that
the number of entities engaged in
upstream production of liquid nicotine
and flavors specifically developed for
use with e-liquids is in the range of
seven to thirteen entities (see earlier
discussion in response to comment 34).
Given the nature of the marketplace,
FDA expects that the master file system
will be widely appealing and widely
utilized by the ENDS industry.
(Comment 48) Several comments
noted that large numbers of tobacco
product manufacturers waited until
March 22, 2011 (the date that
provisional SE reports were due for the
original tobacco products subject to the
FD&C Act) to submit their SE reports.
They considered this an abuse of the
process and expressed concern that
manufacturers of newly deemed
products would act similarly,
particularly with a 24-month
compliance period. They suggested that
FDA expressly require companies to
meet all other requirements, including
ingredient reporting and quality
controls, to be able to avail themselves
of this extended compliance period.
Other comments stated that any
compliance period should be contingent
on FDA issuing orders on all pending
SE reports already submitted to the
Agency.
(Response) FDA understands
concerns about the Agency’s timely
review of applications given the influx
of SE reports that FDA received at the
close of the SE provisional period
(March 22, 2011). However, FDA has
taken several steps to address the
resulting backlog and to provide helpful
feedback to industry to encourage more
complete, streamlined submissions and
reviews, including: (1) Encouraging
teleconferences between the assigned
regulatory health project manager and
the applicant; (2) streamlining the SE
report review process by modifying the
preliminary review so that it focuses
only on administrative issues and
allowing submission deficiencies to be
communicated to the applicant more
quickly; (3) providing information on
FDA’s Web site about the three
pathways available to market products
(including SE) and developing public
Webinars to explain the Agency’s
processes; and (4) publishing guidance
documents. On March 24, 2014, FDA
announced that the Agency no longer
has a backlog of regular SE reports
awaiting review. The Agency is now
reviewing regular SE reports as they are
received. FDA expects that these steps
will help reduce the time it will take
FDA to review submissions for newly
deemed products. In addition, FDA has
specified end dates for the compliance
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periods for such products, after which
such products on the market without
authorization (even if applications
submitted during the relevant
compliance periods are still under
review) will be subject to enforcement.
We note that these staggered compliance
dates will help to manage the flow of
applications into FDA. If an applicant
wishes to discuss a product application,
the applicant may request a meeting as
set forth in FDA’s final guidance
entitled ‘‘Meetings with Industry and
Investigators on the Research and
Development of Tobacco Products’’
(announced May 25, 2012, 77 FR
31368).
(Comment 49) At least one comment
suggested that FDA should require
manufacturers that have not received
their marketing authorizations within 1
year after the effective date of the final
deeming to include a statement on their
packaging and labeling indicating that
the product is pending FDA evaluation
under the Tobacco Control Act.
(Response) FDA declines to issue
such a labeling requirement at this time.
We do not have evidence that the
statement will be appropriate for the
protection of the public health, as
determined with respect to the risks and
benefits to the population as a whole
(which is the standard for such a
requirement under section 906(d) of the
FD&C Act). FDA also is concerned about
consumer confusion or misconceptions
that could result from such a
requirement.
(Comment 50) At least one comment
suggested that application of premarket
review requirements to the newly
deemed products (namely, e-cigarettes)
is unnecessary, because the benefits that
would accrue as a result of deeming are
independent of the premarket review
provisions.
(Response) FDA disagrees. The
premarket provisions of the statute
apply automatically to deemed
products. While FDA outlined in the
NPRM a number of public health
benefits that would accrue as a result of
deeming products subject to chapter IX
as a whole (79 FR 23142 at 23148 and
23149), as explained in this document,
FDA believes that the public health
benefits that will accrue from the
premarket review provisions are
substantial. Implementation of these
provisions will allow FDA to monitor
product development and to prevent
potentially more harmful or addictive
products from reaching the market.
Premarket review is especially critical
given the changing nature of the ENDS
technology and industry and the
increasing interest in these products
from youth and young adults. FDA’s
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premarket review also will increase
product consistency. For example,
FDA’s oversight of the constituents of ecigarette and other ENDS cartridges will
help to ensure quality control relative to
the chemicals and their quantities being
aerosolized and inhaled. At present,
there is significant variability in the
concentration of chemicals among some
products—including variability between
labeled content and concentration and
actual content and concentration (see
section VIII.D). Without a regulatory
framework, users will be subject to
significant variability among products,
raising potential public health and
safety issues.
IV. Implementation
FDA’s proposal stated that part 1100,
deeming additional tobacco products to
be subject to chapter IX of the FD&C
Act, and the minimum age and
identification and vending machine
restrictions in part 1140 would be
effective 30 days after publication of the
final rule and listed compliance periods
for different requirements. FDA received
many comments regarding the proposed
effective date, compliance periods, and
other enforcement issues. A summary of
these comments and FDA’s responses
are included as follows.
A. Effective Date for Rule
FDA proposed that part 1100,
deeming products to be subject to the
chapter IX automatic provisions, and
the minimum age and identification and
vending machine restrictions in part
1140 be effective 30 days from the
publication date of the final rule. Based
on our review of comments, FDA is
finalizing this rule so that the automatic
provisions, minimum age provisions,
and vending machine restrictions will
be effective 90 days from the date of the
final rule’s publication, as explained in
this document. The compliance periods
for other sections are discussed in this
section.
(Comment 51) A few comments
expressed concern regarding the
effective date of the deeming provisions
in part 1100, which is also the effective
date of the minimum age and
identification regulations. They stated
that a 30-day effective date for the
minimum age and identification
regulations provides too small a
window of time for retailers to adjust
employee training curricula, train and
educate employees, raise awareness of
the new requirements, and adjust instore or point-of-sale job aids to ensure
compliance. These comments requested
a 6-month compliance period for both
the youth access and vending machine
provisions.
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(Response) FDA recognizes that
certain retailers may need more than 30
days to begin compliance with the
youth access and vending machine
restrictions included in this rule. For
example, ENDS retail establishments or
cigar retailers that have not previously
been subject to similar restrictions for
cigarettes and smokeless tobacco may
need additional time to implement these
regulations. To address these situations,
FDA is establishing a 90-day effective
date for this deeming provision and the
accompanying automatic provisions in
the FD&C Act, as well as the minimum
age and identification requirements and
vending machine restrictions. FDA does
not believe that a 6-month compliance
period is necessary to educate retailers
on these requirements given that many
retailers also sell products that are
currently subject to Federal and/or State
and local regulations regarding
minimum age and identification.
(Comment 52) Some comments
suggested that FDA delay the effective
dates of all deeming provisions until the
Agency can issue product standards
(under section 907) and good
manufacturing practice regulations
(under section 906(e)), as these are the
most important requirements for the
newly deemed products. They stated,
however, that all rulemaking on ecigarettes should be delayed until the
science is firmly established to allow for
more informed FDA decisionmaking.
(Response) FDA disagrees. As we
have stated throughout the document,
FDA has data regarding health harms
generally associated with all of the
categories of tobacco products regulated
under this rule (including ENDS). FDA
is regulating these products in
accordance with this knowledge. We
will continue to build upon our
product-specific knowledge through the
information we receive as a result of the
application of the FD&C Act’s automatic
provisions, such as ingredient reporting
and the reporting of HPHCs, to newly
deemed tobacco products. In addition,
as discussed in the NPRM, FDA believes
that many public health benefits will
accrue as a result of deeming these
products (79 FR 23142 at 23148 and
23149). It would not protect the public
health to forego implementation of these
provisions until FDA can issue final
product standards and tobacco product
manufacturing practice regulations. It is
also important to note that this final
deeming rule is a foundational rule that
enables FDA to issue future regulations
if FDA determines that they would be
appropriate for the protection of public
health.
(Comment 53) Comments stated the
NPRM is a ‘‘major rule’’ according to the
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Office of Information and Regulatory
Affairs, 5 U.S.C. 804(2) (1996), and the
Congressional Review Act mandates
that the rule cannot take effect until 60
days after the final rule is published in
the Federal Register (5 U.S.C. 801(a)(3)
(1996)). Therefore, they requested that
FDA change the effective date for this
rule and the compliance periods for
parts 1100 and 1140 to at least 60 days
following publication of the final rule.
(Response) FDA is providing a 90-day
effective date for parts 1100 and 1140
with this final rule.
B. Compliance Periods for Certain
Provisions
To avoid confusion about existing
dates in the FD&C Act that are based on
the date of enactment of the law and to
provide time for firms to comply with
provisions that require labeling changes
or information submissions to the
Agency, FDA proposed compliance
timeframes for certain provisions. The
final compliance dates are included in
tables 2 and 3.
(Comment 54) Comments requested
that FDA impose the same requirements
on the newly deemed products that
apply to currently regulated products,
including the same compliance periods
for all provisions and the same
marketing and advertising restrictions.
In addition, they stated that establishing
exemptions would create a significant
administrative burden for FDA, and that
a single, comprehensive plan would be
easier for industry to understand and for
the Agency to implement.
(Response) With this final rule, FDA
is deeming additional tobacco products
subject to its chapter IX tobacco
authorities. This means that newly
deemed products will be subject to all
provisions in the FD&C Act applicable
to ‘‘tobacco products’’ in the same way
that currently regulated tobacco
products are also subject to those
provisions. Under section 901, FDA is
authorized to deem products subject to
‘‘chapter IX,’’ not to particular
provisions of chapter IX. Thus, there are
no exemptions from particular
requirements for any product category
(although FDA is announcing
enforcement policies for certain
requirements and for small-scale
tobacco product manufacturers as
discussed throughout this document).
FDA is subjecting covered tobacco
products to the additional provisions
(i.e., age and identification
requirements, vending machine
restrictions, and health warning
requirements) discussed in this final
rule. If FDA later determines that further
marketing and advertising restrictions
for newly deemed products are
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appropriate and meet the applicable
standard in section 906(d), FDA will
follow the requirements of the APA to
implement such restrictions.
With respect to compliance periods,
FDA is providing different compliance
periods for certain automatic
requirements of the FD&C Act that are
generally similar to the timeframes
provided in the statute for currently
regulated products to meet certain
requirements after the law’s date of
enactment.
1. HPHC Reporting Requirements
(Section 904)
As of the effective date of this rule,
the ingredient listing and HPHC
reporting requirements of section 904
will apply to the newly deemed
products. To provide manufacturers
sufficient time to comply with these
requirements, FDA is providing
compliance periods for these
requirements as stated in table 3.
(Comment 55) Most comments agreed
with the compliance timeframes
included in table 1B of the NPRM, aside
from the HPHC requirements under
section 904(a)(3) (79 FR 23142 at 23172
through 23174). They argued that the
compliance period for testing and listing
of HPHCs was not sufficient for several
reasons, including: The costs associated
with compliance; the lack of clear
product-specific guidance; and the lack
of available independent laboratories to
complete the testing for the many small
businesses that would be affected by the
requirements.
(Response) The compliance period for
HPHC reporting under section 904(a)(3)
is the effective date of this rule plus 3
years. FDA intends to issue guidance
regarding HPHC reporting, and later a
testing and reporting regulation as
required by section 915, with enough
time for manufacturers to report given
this compliance period. Section
904(a)(3) requires the submission of a
report listing all constituents, including
smoke constituents, identified as
harmful or potentially harmful (HPHC)
by the Secretary. Section 915 requires
the testing and reporting of the
constituents, ingredients, and additives
the Secretary determines should be
tested to protect the public health. The
section 915 testing and reporting
requirements apply only after FDA
issues a regulation implementing that
section, which it has not yet done. Until
these testing and reporting requirements
have been established, newly deemed
tobacco products (and currently
regulated tobacco products) are not
subject to the testing and reporting
provisions found under section 915. As
noted elsewhere in this document, FDA
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does not intend to enforce the reporting
requirements under section 904(a)(3) for
newly deemed products before the close
of the 3-year compliance period, even if
the HPHC guidance is issued well in
advance of that time. In addition, at this
time, FDA also does not intend to
enforce this requirement in relation to
manufacturers of components and parts
used for incorporation into finished
tobacco products. In this context, a
finished tobacco product refers to a
tobacco product, including all
components and parts, sealed in final
packaging intended for consumer use
(e.g., filters or filter tubes sold
separately to consumers or as part of
kits). FDA considers an e-liquid to be a
finished tobacco product if sold
separately and not as part of an ENDS.
The Agency is committed to helping
industry better understand the tobacco
product review process and the
requirements of the law and will
continue holding public Webinars and
meetings with industry. FDA has also
published guidance on meetings with
industry; this has enabled FDA to have
many productive meetings to address
companies’ specific questions on their
development of tobacco products. In
addition, FDA intends to issue guidance
regarding HPHC reporting, and later a
testing and reporting regulation as
required by section 915, with enough
time for manufacturers to report given
the 3-year compliance period for HPHC
reporting. As noted elsewhere in this
document, FDA does not intend to
enforce the reporting requirements
under section 904(a)(3) for newly
deemed products before the close of the
3-year compliance period, even if the
HPHC guidance is issued well in
advance of that time.
2. Registration and Listing (Section 905)
As of the effective date of this rule,
those persons who own or operate
domestic manufacturing establishments
engaged in manufacturing newly
deemed tobacco products (including
those that engage in the blending of pipe
tobacco and the mixing of e-liquids as
discussed in section IX.C) will be
required to register with FDA and
submit product listings under section
905. This deeming rule will not require
foreign manufacturing establishments to
register their establishments or to list
their tobacco products in order to sell
them in the United States. However,
foreign manufacturing establishments
will be required to comply with the
registration and listing requirements of
section 905 of the FD&C Act after a
registration and listing rule is final and
effective. Because the compliance
period for registration and listing
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depends on the date of publication of
this final rule, FDA intends to revise the
current guidance (‘‘Registration and
Product Listing for Owners and
Operators of Domestic Tobacco Product
Establishments’’), which FDA expects to
issue within six months following the
effective date of the final deeming rule,
to clarify the compliance periods for
manufacturers of newly deemed tobacco
products.
(Comment 56) Most of those
comments regarding the registration and
listing requirements stated that the
contemplated compliance period was
sufficient, because these requirements
are not costly or time-consuming for
manufacturers, provided FDA’s
electronic submission system is working
effectively. A minority of comments
asked for a longer compliance period
that would be based on FDA published
guidance for individual product
categories that includes examples of
completed registration and listing forms.
Most of the comments also stated that
foreign and domestic companies should
be required to comply with registration
and listing requirements at the same
time to ensure fair and equal treatment
among each product category. They
stated that this was especially important
given that many of the novel products
are manufactured outside the United
States and that comprehensive
registration requirements will promote
equitable assessment and collection of
user fees.
(Response) FDA agrees with
comments stating that the contemplated
compliance period for registration and
listing is sufficient. To provide
additional assistance to newly deemed
product manufacturers, FDA intends to
provide examples of completed
registration and listing forms for each
major category of newly deemed
products at least 6 months before the
end of the compliance period. In
addition, in 2013, CTP adopted a new
electronic system, FDA Unified
Registration and Listing System
(FURLS), with capacity to accept
registration and listing submissions for
all FDA-regulated products, which has
and will continue to simplify the
process of submitting registration and
listing information, making it more
efficient for industry and providing
faster access to this information by both
FDA and industry. Unlike the previous
eSubmitter process, FURLS is an online
application that allows users to access
multiple databases simply by going to
the FURLS Web site and viewing and
updating their data at any time.
Questions regarding registration and
listing requirements can be directed to
CTP’s call center at 1–877–CTP–1373
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and to CTP’s Office of Small Business
Assistance, which is part of OCE.
Further, section 905 of the FD&C Act
requires FDA to issue a rule through the
notice and comment rulemaking process
in order to apply the registration and
product listing requirements to foreign
manufacturers—the requirements for
domestic manufacturers are
immediately implemented and do not
require a regulation. (Section 905(h) of
the FD&C Act.) FDA has announced its
intent to issue a rule regarding
registration and listing, including
application of the requirements to
foreign manufacturers, in the Unified
Agenda (RIN No. 0910–AG89).
3. Modified Risk (Section 911)
As of the effective date of this rule,
section 911 will automatically apply to
the newly deemed products. Among
other requirements, this section
prohibits the introduction or delivery
for introduction into interstate
commerce of MRTPs, including those
with certain specified descriptors
(‘‘light,’’ ‘‘low,’’ ‘‘mild,’’ or similar
descriptors) in the label, labeling, and
advertising of such products, unless
manufacturers submit a MRTP
application and receive FDA
authorization before marketing. The
basic requirement for premarket review
of MRTPs will apply immediately upon
the effective date. To provide
manufacturers sufficient time to comply
with the prohibition on products with
specified descriptors, FDA is providing
a compliance period for this
requirement, as stated in table 3.
(Comment 57) The comments
generally stated the 1-year compliance
period for section 911(b)(2)(A)(ii) was
sufficient, but some stated that it was
unnecessary for FDA to provide any
compliance period and that
manufacturers should begin complying
with these provisions upon the final
rule’s effective date.
(Response) FDA believes that the 12month period to comply with the
restrictions set forth in section
911(b)(2)(A)(ii) (after which a
manufacturer may not manufacture,
without an order in the effect, any
tobacco product which contains ‘‘light,’’
‘‘low,’’ or ‘‘mild,’’ or similar descriptors
on label, labeling, or advertising), and
the additional 30-day period where
manufacturers may continue to
distribute products into domestic
commerce, are consistent with the
effective dates originally included in the
Tobacco Control Act. Under section
911(b)(3), the prohibition on the
manufacture and distribution of tobacco
products containing ‘‘light,’’ ‘‘low,’’ or
‘‘mild,’’ or similar descriptors appearing
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29005
on labeling, labels, or advertising
(unless an order was issued authorizing
their marketing) took effect 12 months
after the date of enactment of the
Tobacco Control Act, and manufacturers
also had an additional 30 days after the
effective date to continue to introduce
these products with these descriptors
into domestic commerce. Additionally,
this compliance policy balances the
need to help consumers better
understand and appreciate the health
risks of these newly deemed tobacco
products while providing manufacturers
with sufficient time to revise the label,
labeling, and advertising as appropriate.
This compliance policy does not
extend to other MRTPs as defined in the
remaining sections of 911(b) (e.g.,
tobacco products of which the label,
labeling, or advertising explicitly or
implicitly represents that the product
presents a lower risk of tobacco-related
disease or is less harmful than one or
more other commercially marketed
tobacco products, the product or its
smoke contains a reduced level/presents
a reduced exposure to a substance, or
the product or its smoke does not
contain/is free of a substance; or action
taken by a manufacturer directed to
consumers through media or otherwise,
other than through the product’s label,
labeling, or advertising that would be
reasonably expected to result in
consumers believing that the tobacco
product or its smoke may present a
lower risk of disease or is less harmful
than one or more commercially
marketed tobacco products, or presents
a reduced level/exposure to
substance(s), or does not contain/is free
of a substance(s)). Just as these
provisions took effect immediately upon
the enactment of the Tobacco Control
Act for currently regulated products,
newly deemed products will be
expected to comply with these
provisions on the effective date of part
1100. The agency believes this is
necessary in order to ensure that
consumers better understand and
appreciate the health risks of newly
deemed products, particularly where a
product’s label, labeling, or advertising
makes express or implied claims of
reduced risk or less harm or that a
product has reduced levels of or is free
of a substance(s).
4. Required Warnings
(Comment 58) A few comments
suggested that manufacturers should be
required to implement the proposed
health warnings within 6 months
following the effective date of this rule.
One comment stated that the health
warnings should take effect no later
than 12 months from publication of the
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final rule. They stated that the delay in
implementing the health warnings has
the potential to continue to foster the
perception, particularly on the part of
youth, that e-cigarettes are safe products
and the misunderstanding that they
have been found to be safe and effective
cessation products. They also stated that
the shorter compliance period is
necessary to quickly make consumers
aware of the possibility of becoming
addicted to e-cigarettes.
(Response) FDA has considered the
comments and the time and resources it
will take for manufacturers to comply
with the health warnings requirements
and the need to provide these messages
to consumers and has determined that
the proposed effective date of 24 months
after publication of this rule for the
warning requirements in part 1143 is
appropriate.
5. Compliance Period Tables
The final compliance period table for
various provisions is included in this
document. (The compliance policy for
submission of premarketing
applications is discussed in section
V.A.) To clarify, effective dates differ
from compliance periods. While a
requirement is effective on a certain
date (here, the ‘‘effective date’’), for
many provisions, FDA is providing a
compliance period with additional time
during which FDA does not intend to
enforce compliance with the regulation.
We note that the compliance periods
and provisions for sections 904(a)(3)
and 904(a)(4) have been consistent with
FDA’s approach for currently marketed
tobacco products and FDA’s final
guidance entitled ‘‘Tobacco Health
Document Submission’’ (75 FR 20606,
April 20, 2010). In addition, FDA has
revised the compliance period for
section 903(a)(8) of the FD&C Act from
‘‘effective date of part 1100 PLUS 1
year’’ to ‘‘24 months after the
publication of this final regulation’’ so
that it is consistent with the effective
dates for the health warning
requirements in part 1143 of this final
rule.
TABLE 2—COMPLIANCE WITH VARIOUS AUTOMATIC PROVISIONS
FD&C Act citation
Compliance period
902(1)–(5), (8) ..........................................................................................
903(a)(1) ...................................................................................................
903(a)(6)–(7) .............................................................................................
904(c)(2), (3) .............................................................................................
905(i)(3) ....................................................................................................
911(a), 911(b) [with the exception of products sold or distributed using
the descriptors set forth in 911(b)(2)(A)(ii)].
919(a) .......................................................................................................
Effective
Effective
Effective
Effective
Effective
Effective
date
date
date
date
date
date
of
of
of
of
of
of
part
part
part
part
part
part
1100.
1100.
1100.
1100.
1100.
1100.
See FDA’s final rule revising the current user fee regulations published
concurrently with this final deeming rule.
TABLE 3—COMPLIANCE PERIODS FOR OTHER PROVISIONS
FD&C Act citation
Compliance period
903(a)(2) ....................................................
24 months after the publication of this final regulation.
* This is designed to match the 24 month effective date of the health warnings.
Effective date of part 1100 PLUS 1 year.
* This is designed to match the 1 year deadline in the FD&C Act for currently regulated products.
24 months after the publication of this final regulation.
* This is designed to match the 24 month effective date of the health warnings.
24 months after the publication of this final regulation.
* This is designed to match the 24 month effective date of the health warnings.
Effective date of part 1100 PLUS 6 months (products on the market as of the effective date) or 90
days before delivery for introduction into interstate commerce (products entering the market after
the effective date).
* This matches the timeframes provided in this section.
Effective date of part 1100 PLUS 3 years or, for products delivered for introduction into interstate
commerce later than 3 years after the effective date, 90 days before delivery for introduction into
interstate commerce (products entering the market after the effective date).
* This matches the timeframes provided in this section.
Effective date of part 1100 PLUS 6 months.
* This matches the timeframes provided in this section.
If the final rule publishes in the second half of the calendar year, FDA intends to issue a compliance
policy with a compliance period for registration that is no later than 6 months into the subsequent
calendar year.
* This matches the timeframes provided in this section.
Same compliance period as that for initial registration; see date specified for 905(b).
Effective date of part 1100 PLUS 2 years.
* This matches the timeframe provided in this section.
Use of ‘‘light,’’ ‘‘low,’’ and ‘‘mild’’ descriptors: Effective date of part 1100 PLUS 1 year (stop manufacture);
Effective date of part 1100 PLUS 13 months (stop distribution).
* This matches the timeframes provided in this section.
24 months after the publication of this final regulation.
* This is designed to match the 24 month effective date of the health warnings.
903(a)(3) ....................................................
903(a)(4) ....................................................
903(a)(8) ....................................................
904(a)(1), 904(c)(1) ...................................
904(a)(3) ....................................................
904(a)(4) ....................................................
905(b), (c), (d), (h) .....................................
905(i)(1) .....................................................
907(a)(1)(B) ...............................................
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911(a), (b)(1), (b)(2)(A)(ii), (b)(3) ...............
920(a)(1) ....................................................
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6. Other Enforcement Issues
(Comment 59) A few comments
expressed concern that this rule will
result in the growth of an illicit market
for certain newly deemed tobacco
products, particularly e-cigarettes and eliquids. They suggested that such an
illicit market could make products more
available and more attractive to youth
and young adults. They also feared that
this illicit market would worsen if FDA
were to ban certain e-liquid flavorings,
stating that the deeming rule (and/or a
ban on certain flavorings) would result
in consumers mixing their own eliquids, even though the comments
stated that most consumers are not
adept at handling or mixing chemicals.
These ‘‘do-it-yourself manufacturers,’’
as the comments referred to them,
would increase health risks, because
more individuals possessing pure
nicotine could lead to more accidental
poisonings and the possibility of
overdoses. Comments pointed to a
survey from an e-cigarette forum which
stated that ‘‘[a]bout 79 percent of
respondents said they would ’look to
the black market’ if products they use
’were banned tomorrow,’ while 14
percent said they would return to
smoking analog cigarettes’’ (e.g., Ref.
44).
Comments also expressed concern
that regulation will increase prices of
the newly deemed tobacco products and
consumers will turn to an illicit market
to obtain products for lower prices. For
example, they stated that some markets
for cigarettes (e.g., New York)
experience smuggling rates of beyond 50
percent, as consumers seek products for
lower costs. These comments expected
a similar result to occur after the
deeming rule becomes effective (see Ref.
45).
Further, they stated that this illicit
market would cause additional
problems like stifling innovation for
regulated companies, because
companies operating in the illicit
market would not be complying with
costly regulations and would be able to
take advantage of innovations elsewhere
in the world. They theorized that this
illicit market would favor very small
domestic producers over existing
medium-sized domestic manufacturers
with better quality control and safety
mechanisms.
In addition to concerns about ecigarettes, comments expressed
concerns about the potential for illicit
markets for other newly deemed
products. For example, they stated that
a final deeming regulation (without an
exemption for premium cigars) would
exacerbate the black market that already
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exists for premium Cuban cigars. The
comments also noted that those
involved in the waterpipe tobacco
industry already operate more
informally (e.g., without local
regulation) and, therefore, the deeming
regulation would cause more business
to be transacted in illicit markets. They
also expressed concern about the
development of a flourishing illicit
market if flavors were not permitted in
the deemed products.
(Response) FDA understands these
concerns, but believes that this rule will
not increase current illicit practices or
create new illicit markets, because FDA
is not banning any tobacco product with
this deeming rule. Even if some illicit
trade were to develop in an attempt to
evade the requirements of this rule, FDA
does not believe it would result in a
volume sufficient to outweigh the
public health benefits of the rule. FDA
authority over the newly deemed
tobacco products will give it means to
determine which products are legally on
the market and which are counterfeit or
otherwise illegally marketed. The
Tobacco Control Act gives the Agency
these and other authorities, such as
section 920 of the FD&C Act (21 U.S.C.
387t), to help address illicit tobacco
products.
In addition, FDA recently
commissioned a report from the
National Research Council and Institute
of Medicine Panel to help us better
understand and consider all aspects of
illicit tobacco markets (Ref. 46). This
report focused mainly on combustible
products, especially cigarettes, as they
are the subject of most illicit tobacco
trade. The relevance of those findings to
an assessment of the potential for illicit
trade in tobacco products more
generally in the United States, such as
ENDS products, is open to question.
Overall, illicit trade in cigarettes is
under 10 percent. It is not clear if illicit
trade in any of the newly deemed
products will be greater or less than that
observed for cigarettes. Evidence from
Canada shows the development of an
illicit market in ENDS products in that
particular context where the
government currently regulates all
nicotine-containing electronic smoking
products as medical devices under the
Food and Drugs Act, regardless of the
products’ health claims.12 Canada does,
however, have a legal market for the sale
of non-nicotine containing ENDS
products. Despite the fact that Health
Canada has not approved any nicotine12 ENDS and e-liquids that do not contain
nicotine can be legally sold in Canada. Health
Canada issued a Notice in 2009 regarding electronic
cigarette products that contain nicotine (Ref. 47).
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29007
containing ENDS products for sale or
importation in the country a 2015 ecigarette usage study (Ref. 48) showed
usage rates among Canadian
populations that were similar to those
among U.S. populations.
Despite the potential for some illicit
ENDS market activity to occur, FDA
emphasizes that the presence of an
illicit market does not affect its legal
authority to regulate such products and
that there is evidence that many ENDS
manufacturers will likely submit
premarket applications in the United
States.
Moreover, as stated previously, FDA
expects that the public health benefits
that likely will accrue as a result of this
final rule will be greater than the
negative effects that could result if there
were an increase in illicit markets. This
final deeming rule will afford FDA
additional tools to reduce the number of
illnesses and premature deaths
associated with tobacco product use.
For example, FDA will be able to obtain
critical information regarding the health
risks of newly deemed tobacco
products, including information derived
from ingredient listing submissions and
reporting of HPHCs required under the
FD&C Act. FDA will also receive
information on the location and number
of manufacturing establishments, which
will allow the Agency to establish
effective compliance programs. In
addition, because of this rule, FDA will
be able to take enforcement action
against manufacturers of newly deemed
products who make unsubstantiated
MRTP claims or false or misleading
claims about their products, thus
allowing for better-informed consumers
and helping to prevent the use of
misleading campaigns targeted to youth
populations. It will also prevent from
entering the market new products that
are not appropriate for the protection of
public health, are not substantially
equivalent to a valid predicate product,
or are not exempt from SE. Finally, the
newly deemed tobacco products may be
subject to future regulations that FDA
determines are appropriate.
FDA believes that this rule will not
stifle innovation but could, instead,
encourage it. The greater regulatory
certainty created by the premarket
review process may encourage
companies to invest in creating
potentially beneficial novel products,
with greater confidence that improved
products will not be competing against
equally novel, but more dangerous,
products. For example, a company may
be more willing to invest the additional
resources needed to ensure that its
product is designed and manufactured
with appropriate methods and controls.
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The PMTA pathway will incentivize
development of tobacco products that
pose less risk to human health by
limiting market access by riskier
competitor products. Furthermore, since
the ‘‘appropriate for the protection of
the public health’’ standard involves
comparison to the general tobacco
product market, FDA believes that, over
time, the premarket authorities will
move the market toward less risky
tobacco products.
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C. Policy for Certain Regulatory
Requirements for All Manufacturers of
Newly Deemed Products
FDA received many comments
expressing concern regarding the
regulatory and financial burdens
associated with certain automatic
provisions that will apply to newly
deemed products once this rule
becomes effective. In response to
comments, FDA has considered
instances in which the Agency has
implemented compliance policies for
currently regulated products.
Accordingly, the Agency is announcing
the following compliance policy with
respect to newly deemed products. As
with any such policy, the Agency will
review and revise this policy as
appropriate. If FDA were to change this
policy, the Agency would provide
notice to affected entities.
1. Substantial Equivalence
As provided in guidance for currently
regulated products (‘‘Demonstrating the
Substantial Equivalence of a New
Tobacco Product: Responses to
Frequently Asked Questions (Edition
2)’’ (80 FR 53810, September 8, 2015)),
FDA does not intend to enforce against
manufacturers who make tobacco
blending changes without a marketing
authorization if the tobacco blending
changes are intended to address the
natural variation of tobacco (e.g., due to
variation in growing conditions) in
order to maintain a consistent product.
However, FDA does intend to enforce
the premarket authorization
requirements for tobacco blending
changes that are intended to alter the
chemical or perception properties of the
new product (e.g., nicotine level, pH,
smoothness, harshness).
FDA does not intend to take
enforcement action for at least 30
calendar days from the date the not
substantially equivalent (NSE) order
issues for those products that are in a
retailer’s current inventory at a specific
retail location on the date FDA issues
the NSE order. This policy extends only
to tobacco products that are already in
a retail store that offers the products for
sale directly to adult consumers.
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FDA has provided guidance
(‘‘Demonstrating the Substantial
Equivalence of a New Tobacco Product:
Responses to Frequently Asked
Questions (Edition 2)’’) on currently
regulated tobacco products stating that a
change in supplier, where the new
supplier is used for the same ingredient,
additive, component, part, or material,
with identical specifications, would not
render a new tobacco product. This
guidance also will apply to newly
deemed products.
2. Reporting of HPHCs
FDA intends to issue guidance
regarding HPHC reporting, and later a
testing and reporting regulation as
required by section 915, with enough
time for manufacturers to report given
the 3-year compliance period for HPHC
reporting. Section 904 (a)(3) requires the
submission of a report listing all
constituents, including smoke
constituents, identified as harmful or
potentially harmful (HPHC) by the
Secretary. Section 915 requires the
testing and reporting of the constituents,
ingredients, and additives the Secretary
determines should be tested to protect
the public health. The section 915
testing and reporting requirements
apply only after FDA issues a regulation
implementing that section, which it has
not yet done. Until these testing and
reporting requirements have been
established, newly deemed tobacco
products (and currently regulated
tobacco products) are not subject to the
testing and reporting provisions found
under section 915. As noted elsewhere
in this document, FDA does not intend
to enforce the reporting requirements
under section 904(a)(3) for newly
deemed products before the close of the
3-year compliance period, even if the
guidance is issued well in advance of
that time. At this time, FDA also does
not intend to enforce this requirement
in relation to manufacturers of
components and parts used for
incorporation into finished tobacco
products. In the future, we intend to
evaluate if there are additional
constituents that are present in newly
deemed products and should be
included in the HPHC list for reporting.
FDA also intends to issue guidance to
further refine the list of reportable
HPHCs based on product class.
3. Tobacco Health Document
Submission
Although section 904(a)(4) sets out an
ongoing requirement to submit tobacco
health documents developed after June
22, 2009 (the date of enactment of the
Tobacco Control Act), FDA generally
does not intend to enforce the
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requirement with respect to all such
documents at this time, so long as a
specified set of documents is submitted
by the effective date plus 6 months.
FDA intends to publish additional
guidance that specifies the scope of
such health documents within three to
six months of the publication date of
this final rule, with sufficient advance
time for manufacturers and importers to
prepare their submissions.
FDA does intend to collect other
tobacco health documents developed
after June 22, 2009, but before doing so
the Agency will publish additional
guidance specifying the timing of
subsequent submissions. Note that,
despite this compliance policy with
respect to timeliness of submissions,
manufacturers and importers are still to
preserve all tobacco health documents
developed after June 22, 2009, for future
submissions to FDA. Failure to submit
tobacco health documents developed
after June 22, 2009, because of a failure
to preserve them after publication of
this rule will constitute a violation of
section 904(a)(4).
4. Compliance Policy for Components
and Parts
As discussed in section VI.B, at this
time FDA does not intend to enforce
certain requirements for components
and parts of newly deemed products
that are sold or distributed for further
manufacturing into finished tobacco
products.
D. Compliance Policy Regarding Certain
Provisions and Small-Scale Tobacco
Product Manufacturers
In the NPRM, FDA requested
comment on the ability of smaller
manufacturers of newly deemed tobacco
products to fully comply with the
requirements of the FD&C Act and how
FDA might be able to address those
concerns. Considering the comments
and FDA’s finite enforcement resources,
the Agency’s view is that those
resources may not be best used in
immediately enforcing the provisions of
this rule against certain manufacturers
that are small-scale tobacco product
manufacturers and that fail to comply
with certain requirements of the FD&C
Act. Therefore, FDA generally intends to
grant small-scale tobacco manufacturers
additional time to respond to SE
deficiency letters and to not bring
enforcement action against those smallscale tobacco product manufacturers
who submit ingredient listings within
12 months of the effective date of this
rule, and is granting small-scale tobacco
product manufacturers an additional
six-month compliance period for the
tobacco health document submission
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requirements. As with any such policy,
FDA will review and revise these
policies as appropriate. If FDA were to
change these policies, FDA would do so
consistent with its Good Guidance
Practices regulations.
For purposes of this compliance
policy, FDA generally considers a
‘‘small-scale tobacco product
manufacturer’’ to be a manufacturer of
any regulated tobacco product that
employs 150 or fewer full-time
equivalent employees and has annual
total revenues of $5,000,000 or less.
FDA considers a manufacturer to
include each entity that it controls, is
controlled by, or is under common
control with. To help make FDA’s
individual enforcement decisions more
efficient, a manufacturer may
voluntarily submit information
regarding all relevant factors, including
information regarding employment and
revenues. Interested manufacturers may
contact CTP’s call center at 1–877–CTP–
1373 for questions regarding this
compliance policy. We note that FDA’s
thinking regarding ‘‘small-scale tobacco
product manufacturer’’ differs from the
definition of ‘‘small tobacco product
manufacturer’’ in section 900(16) of the
FD&C Act.
FDA notes that our thinking regarding
what a ‘‘small-scale tobacco product
manufacturer’’ is for purposes of this
policy is designed to align with the
nature of the specific relief provided.
That is, the relief provided (as described
throughout this document) relates
generally to requirements for entities to
compile or report information. These
activities may require an investment of
employee time and/or financial
resources that is more challenging for
the smallest entities to achieve. For
these reasons, the threshold takes note
of both employee resources (FTEs) and
financial resources (annual revenues),
ensuring that those entities with the
most limited human and financial
resources are uniquely considered in
FDA’s decisions about enforcement of
these provisions, precisely because the
provisions may require resources not as
readily available to these entities.
Further, as stated elsewhere in this
document, in formulating its thinking,
FDA has considered all available data
on employment, revenues, production
volume and other details of operation
for current manufacturers of newly
deemed products. In addition, FDA
notes that its current approach reflects
a careful review of the potentially
unique interests of the smallest tobacco
product manufacturers as considered in
light of the Agency’s statutory
obligations regarding the protection of
public health.
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1. SE Extension Requests (Section
905(j))
4. Assistance With Marketing
Applications
Although information adequate to
make submissions should be available
to all manufacturers, we expect small
manufacturers to have more difficulty in
putting this information together in an
SE Report. FDA presently intends, for
the first 30 months following the
effective date of this rule, to grant
extensions to small-scale tobacco
product manufacturers for SE reports
that need additional time to respond to
SE deficiency letters. Extensions are not
automatically granted. Requests will be
considered on a case-by-case basis. Any
extensions granted are likely to be
limited in time—for example, where a
manufacturer normally might have 90
days to respond to a deficiency letter,
FDA will, for small-scale tobacco
product manufacturers, grant an
additional 30 days for such a response.
FDA encourages all small-scale tobacco
product manufacturers, especially those
with limited or no experience with the
SE pathway, to submit SE reports as
early as possible. FDA is not instituting
a similar policy for extension requests
related to PMTAs (nor is it providing
additional time for small-scale tobacco
product manufacturers to prepare
PMTAs) given the already-extended
compliance period for PMTAs, which
provides an additional 6 months to
submit a PMTA, discussed in section
V.A.
As with manufacturers in general,
these small-scale tobacco manufacturers
will also benefit from additional
assistance with their marketing
applications, including the designation
of a Regulatory Health Project Manager
so that they have a single point of
contact in CTP’s OS for questions about
their marketing applications. They will
also have access to an appeals process
in the event that FDA denies their
marketing applications (of which one
small business has already taken
advantage). Staff from CTP’s OCE also
will assist small-scale tobacco product
manufacturers with identifying the
types of documents that may be used to
establish that their predicate products
were on the market on February 15,
2007. This may include several calls or
correspondence with the manufacturer
as it submits different documents to the
Agency.
2. Tobacco Health Document
Submissions (Section 904(a)(4))
To address concerns of small-scale
tobacco product manufacturers
regarding the submission of certain
health documents, and in recognition of
FDA’s current enforcement priorities,
FDA, for an additional 6 months
following the end of the generally
applicable compliance period, intends
not to bring enforcement action against
those small-scale tobacco product
manufacturers who submit the required
information.
3. Ingredient Listing Submissions
(Section 904(a)(1))
FDA understands concerns that smallscale tobacco product manufacturers
may need additional time to comply
with section 904(a)(1)’s requirement that
manufacturers submit ingredient lists.
FDA presently intends not to bring
enforcement action against those smallscale tobacco product manufacturers
who submit section 904(a)(1)’s required
information within 12 months of the
effective date of this final rule.
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5. Assistance in Navigating Other
Regulatory Requirements
CTP’s OCE will continue to assist
small-scale tobacco product
manufacturers in submitting rotational
warning plans for FDA approval. These
plans provide the firm’s plan for how
the required warnings will be displayed
on the packaging and advertising for
their product, as required by 21 CFR
1143.5. This may include several calls
or correspondence with the small
business as it seeks approval from the
Agency.
CTP also has a system to assist small
businesses in navigating the regulatory
requirements of FDA. For example, the
Center has a Call Center that triages all
calls received from regulated industry.
The Center’s Office of Small Business
responds to hundreds of calls, emails
and correspondences from small
businesses every year to assist them in
answering their specific questions on
how to comply with the law.
V. Premarket Review Requirements and
Compliance Policy
Section 910 of the FD&C Act requires
FDA authorization in order to market a
new tobacco product. As described
elsewhere, the FD&C Act contains three
pathways for obtaining premarket
authorization: SE exemptions, SE
reports, and PMTAs.
Tobacco products that were on the
market on February 15, 2007, are
grandfathered and do not require
premarket authorization. However, as
described throughout this preamble,
these products are subject to the other
requirements of the statute.
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A. Compliance Policy for Premarket
Review Requirements
In the NPRM, FDA contemplated a
compliance period of 24 months
following the effective date for
submitting a premarket application (SE
exemption request, SE report, or
PMTA), with a continued compliance
period pending review of those
applications (79 FR 23142 at 23144). In
essence, the products would remain on
the market during this indefinite
compliance period until the agency
rendered a decision on an application or
the application was withdrawn.
Agency compliance/enforcement
policies are not subject to the
requirements that govern notice-andcomment rulemaking. Prof’ls & Patients
for Customized Care v. Shalala, 56 F.3d
592 (5th Cir. 1995) (a compliance policy
guide is not a substantive rule and not
subject to APA’s notice-and-comment
rulemaking); Takhar v. Kessler, 76 F.3d
995, 1002 (9th Cir. 1996) (FDA
compliance policy guides were not
required to go through notice-andcomment procedures). But because the
relevant time periods are of obvious
interest, FDA laid out its anticipated
compliance policy in the NPRM, and for
similar reasons, is announcing its
revised compliance policy here in the
preamble to the final rule, rather than in
a separate guidance document.
FDA has considered the comments
and data submitted in response to the
compliance policy in the NPRM. Some
comments expressed concern about the
extended availability of newly deemed,
new tobacco products without scientific
review. Others provided additional data
regarding youth and young adult use of
flavored tobacco products. In addition,
others comments discussed the
potential public health benefits from the
availability of certain flavored newly
deemed products (as discussed in
section VIII.F). Taking the diverse
comments on these issues, as well as the
uncertainty regarding the positive or
negative impact on public health from
products like ENDS, into account, FDA
has decided to implement the
compliance policy with staggered initial
compliance periods based on the
expected complexity of the applications,
followed by continued compliance
periods for FDA review, such that our
enforcement discretion will end twelve
months after each initial compliance
period. Under the policy described here
for the staggered compliance periods,
and while FDA is conducting its review
of marketing applications during the
continued compliance period, the
Agency does not intend to take
enforcement action against products
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remaining on the market for failure to
have a premarket authorization order.
The compliance periods are staggered
to improve efficiency for both FDA and
regulated entities given that the time it
takes to prepare premarket applications
is dependent upon the type of
application and complexity of the
product. FDA intends to act as
expeditiously as possible with respect to
all new applications, while ensuring
that statutory standards are met.
Further, if at the time of the conclusion
of the continued compliance period, the
applicant has provided the needed
information and review of a pending
marketing application has made
substantial progress toward completion,
FDA may consider, on a case-by-case
basis, whether to defer enforcement of
the premarket authorization
requirements for a reasonable time
period.
FDA’s revised compliance policy for
premarket review aims to balance the
public health concerns raised in the
comments, allow the Agency to more
efficiently manage the flow of incoming
applications, and encourage highquality premarket submissions from
applicants.
In accordance with the Tobacco
Control Act (sections 905 and 910 of the
FD&C Act), a new tobacco product may
be legally marketed only if FDA has
authorized its marketing under one of
the three premarket pathways described
throughout this document. As a result of
the compliance policy being announced,
we expect that manufacturers of certain
newly deemed, new tobacco products
will continue to market their products
without FDA authorization for certain
time periods.
1. FDA’s Revised Compliance Policy Is
Informed by Comments Submitted in
Response to the NPRM
FDA received many comments
responding to its detailed requests for
comment on possible compliance
approaches. 79 FR at 23175–77. Some
comments expressed concern that the
compliance policy for premarket review
described in the NPRM would permit
the continued marketing of tobacco
products that have not been reviewed
under the public health standards of the
Tobacco Control Act. For example,
comments jointly submitted by 24
health and medical organizations stated
that the contemplated 24-month
compliance period and indefinite period
of continued marketing during FDA’s
review included in the NPRM would
prolong the public’s exposure to
products that contain nicotine, a highly
addictive substance, and that do not
meet the statutory standard for the grant
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of a marketing order (Comment No.
FDA–2014–N–0189–79772.).
They also stated that this approach
would allow manufacturers to continue
to market the newly deemed products in
ways that appeal to youth and to
manipulate the content of these
products in uncontrolled ways for an
indefinite period (id.). They urged FDA
to forego its contemplated compliance
policy unless proper precautions are
taken to limit the time period these
products are allowed to remain on the
market pending FDA review and
authorization. In addition, they
expressed concern that manufacturers,
knowing that submission of an
application will permit them to market
products for years, have incentive to
submit numerous applications
(regardless of how incomplete or
deficient the applications).
A network of tobacco control policy
and legal specialists also expressed
concern regarding the effect of
continued marketing of new tobacco
products that have not been reviewed
under the applicable public health
standards of the Tobacco Control Act
(Comment No. FDA–2014–N–0189–
81044). This organization noted the
thousands of provisional SE reports
submitted in the last five days before the
statutory deadline, where such
applications pending FDA review are
‘‘being used as placeholders that will
allow the tobacco industry to continue
to introduce new products at will, rather
than following the proper legal
procedures established by the Tobacco
Control Act.’’ They proposed a staggered
timeline to submit applications under
the three marketing pathways and a
definite time period in which FDA
would no longer exercise enforcement
discretion with respect to premarket
review of these products, noting that
such an approach would incentivize
industry to generate high-quality,
complete applications within the initial
compliance period.
In addition, two large organizations
dedicated to the health of youth and
young adults urged FDA not to
implement a compliance period of any
length for products sold in
characterizing flavors other than tobacco
or any covered tobacco products that
use marketing practices known to
appeal to children and youth (Comment
No. FDA–2014–N–0189–67268;
Comment No. FDA–2014–N–0189–
79413.). Ranking minority members of
the Energy and Commerce Committee,
Health Subcommittee, and Oversight
and Investigations Subcommittee, U.S.
House of Representatives also called for
a more protective compliance period
than the one contemplated in the
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NPRM, arguing that the proposed
compliance period ‘‘puts the nation’s
youth at risk’’ (Comment No. FDA–
2014–N–0189–80119). These comments,
among others, all stressed the
attractiveness of these newly deemed
tobacco products to youth and young
adults and the need for a more
restrictive compliance policy to ensure
that FDA limits the continued marketing
of new tobacco products that have not
been reviewed under the public health
standards of the Tobacco Control Act.
Further, in response to FDA’s requests
for comments and data in the NPRM,
numerous comments included data,
research, and personal stories regarding
the impact of candy and fruit flavors in
tobacco products, including their appeal
to youth and young adults, youth
perceptions of flavored tobacco
products, and their potential effect on
transition from combusted tobacco
product use (particularly, comments
noted, in the case of adults using
flavored ENDS to attempt to switch
completely away from cigarette
smoking). In addition, many comments
urged FDA to take immediate action
regarding flavored tobacco products as a
result of increasing prevalence of
flavored product use, and new data
show continued growth in youth and
young adult usage of flavored tobacco
products.
In deciding upon a compliance policy
to announce with this final rule, FDA
considered all these comments and
sought to balance the Agency’s concern
about the continued marketing of new
tobacco products that have not been
reviewed by FDA, the potential harmful
impact of flavored tobacco products on
youth, and the possibility that some of
those products are playing a role in
helping some tobacco users transition
away from what is likely the most
harmful form of nicotine delivery for an
individual user, combusted tobacco
products. FDA considered adopting the
compliance policy as described in the
preamble to the NPRM or a compliance
policy that would provide different
compliance periods for flavored and
non-flavored tobacco products. FDA
also considered providing different
compliance periods for different
product categories. For example, certain
industry comments urged FDA to
stagger compliance dates for different
product categories, to delay compliance
until FDA publishes a final guidance for
each product category and to provide
ENDS manufacturers a lengthier
compliance period based on where they
purport to fit within the risk continuum
for nicotine-delivering products (e.g.,
Comment No. FDA–2014–N–0189–
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81859; Comment No. FDA–2014–N–
0189–10852).
In response to these comments, we
note that nicotine use in any form is of
particular concern for youth and
pregnant women. On the other hand,
some evidence suggests that ENDS may
potentially promote transition away
from combusted tobacco use among
some current users and it is possible
that there could be a public health
benefit. See also section III.F for
additional discussion of premarket
pathways and the continuum of
nicotine-delivering products. Based on
currently available scientific evidence,
this revised compliance policy strikes
an appropriate balance among various,
often competing, considerations.
2. FDA Is Announcing a Revised
Compliance Policy With Staggered
Timeframes and Continued Compliance
Periods
In the interest of public health and
taking into account the fact that there
are products already on the market that
will now be subject to premarket
review, and in light of the
considerations discussed in section 1
above, we have established the
following compliance policy for newly
deemed tobacco products. For those
newly deemed products that were on
the market on the effective date of this
final rule, but that were not on the
market on February 15, 2007, FDA is
providing two compliance periods: One
for submission and FDA receipt of
applications and one for obtaining
premarket authorization. Although such
products are subject to the premarket
review requirements of the FD&C Act,
FDA does not intend to initiate
enforcement action for failure to have
premarket authorization during the
respective compliance periods.
The compliance period for
submission and FDA receipt of
applications for newly deemed tobacco
products under the three premarket
pathways is as follows:
SE Exemption Requests—12 months from
the effective date of this final rule
SE Reports—18 months from the effective
date of this final rule
PMTAs—24 months from the effective date
of this final rule
FDA is adopting the staggered
timelines in this policy to account for
the possibility that applicants may need
additional time to gather information for
certain premarket submissions that may
require additional data. For example, if
a manufacturer plans to submit an SE
Exemption Request, the firm may only
need to identify the product, provide
certification statements, and gather
scientific information on the additive
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29011
change itself and any supporting
information demonstrating that the
change to the product is minor and an
SE Report is not necessary. This is less
information than that likely required for
a PMTA. We expect this policy will also
create a more manageable flow of
premarket applications for newly
deemed products. FDA expects that this
staggering of deadlines also will benefit
regulated industry, since it will allow
for greater efficiency of FDA review and
incentivize higher quality applications,
which will reduce review times for all
products. New products for which no
application has been submitted by 24
months from the effective date of this
rule will no longer be subject to this
compliance policy and will be subject to
enforcement.
Unless FDA has issued an order
denying or refusing to accept the
submission, products for which timely
premarket submissions have been
submitted will be subject to a continued
compliance period for 12 months after
the initial compliance period described
previously. For such products, FDA
does not intend to initiate enforcement
for failure to have premarket
authorization during this continued
compliance period, which is as follows:
SE Exemption Requests—24 months
from the effective date of this final rule
(12 months after the compliance period
for submission of such requests)
SE Reports—30 months from the
effective date of this final rule (12
months after the compliance period for
submission of such reports)
PMTAs—36 months from the effective
date of this final rule (12 months after
the compliance period for submission of
such requests).13
Once the continued compliance
period ends, new tobacco products on
the market without authorization will be
subject to enforcement. FDA will act as
expeditiously as possible with respect to
all new applications, while ensuring
that statutory standards are met. FDA
expects that this revised compliance
policy will encourage the submission of
high quality applications. By providing
a date in which the continued
compliance period ends, manufacturers
will have an incentive to submit a
complete application and respond
substantively and expeditiously to
questions raised during the review
process instead of an incomplete or
deficient application just to stay on the
market indefinitely. This staggered
13 In addition, we note that any new tobacco
product that was not on the market on the effective
date of the rule (i.e., 90 days after the publication
date) is not covered by this compliance policy and
will be subject to enforcement if marketed without
authorization after the effective date.
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compliance policy also will provide
FDA with a more manageable flow of
incoming applications to be reviewed,
allowing the agency to more quickly
make decisions on applications.
FDA believes the staggered
compliance periods will be sufficient for
manufacturers to provide high quality
applications. To help provide clarity
regarding submission requirements for
marketing applications, FDA has issued
several guidance documents, and is
finalizing other guidance documents,
regarding the evidence needed for SE
reports, including FDA draft guidance
entitled ‘‘Substantial Equivalence
Reports: Manufacturer Requests for
Extensions or to Change the Predicate
Tobacco Product’’ (79 FR 41292, July 15,
2014), and FDA guidance entitled
‘‘Establishing That a Tobacco Product
Was Commercially Marketed in the
United States as of February 15, 2007,’’
among others. FDA also has issued a
draft guidance entitled ‘‘Applications
for Premarket Review of New Tobacco
Products’’ (76 FR 60055, September 28,
2011). In addition, elsewhere in this
issue of the Federal Register, FDA has
made available draft guidance, which
when final will describe FDA’s current
thinking on some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products. If FDA determines that
additional guidance is necessary to help
manufacturers prepare marketing
applications, FDA will issue additional
guidance and publish a notice of
availability in the Federal Register.
Further, if at the time of the
conclusion of the continued compliance
period, the applicant has provided the
needed information and review of a
pending marketing application has
made substantial progress toward
completion, FDA may consider, on a
case-by-case basis, whether to defer
enforcement of the premarket
authorization requirements for a
reasonable time period.
B. Responses to Comments Regarding
Compliance Periods for Premarket
Review Requirements
(Comment 60) FDA received many
comments suggesting that we change the
proposed compliance period for
submitting marketing applications.
Some comments suggested that the
compliance period should be 24 months
from the date FDA either announces its
intent to no longer exercise enforcement
discretion regarding premarket
requirements or issues product-specific
guidance on the preparation of PMTAs
and the submission of HPHC testing
results. They suggested that the issuance
of the guidance documents be based
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upon the continuum of risk presented
by nicotine-delivering products. Other
comments suggested that we extend the
PMTA compliance period to 5 years
following the effective date of the final
rule to give manufacturers sufficient
time to complete the required testing.
(Response) FDA has already
published for public comment draft
guidance for industry regarding the
submission of PMTAs, which when
final will represent FDA’s current
thinking on this topic. In addition,
elsewhere in this issue of the Federal
Register, FDA has made available draft
guidance, which when final will
describe FDA’s current thinking
regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products. FDA is committed to helping
industry better understand the tobacco
product premarket review process and
will continue to hold public Webinars
and meetings with industry. FDA has
also published guidance on meetings
with industry, and FDA has had many
productive meetings to address
companies’ specific questions on the
development of tobacco products. As
FDA reviews product applications for
currently regulated and newly deemed
categories of products, we intend to
identify topics for which rulemaking or
more product specific guidance is
appropriate.
Moreover, along with finalizing this
rule, FDA is setting forth an initial 2year compliance period for the
submission of a PMTA for newly
deemed, new tobacco products,
followed by a continued compliance
period of up to 12 months for FDA to
review the application. FDA believes
that this will give sufficient time for
manufacturers of such products to
prepare high quality applications, and
for FDA to review new applications as
expeditiously as possible, while
ensuring that the statutory standards are
met. FDA’s compliance policy is further
described in section V.A of.
(Comment 61) Comments were split
as to whether the NPRM’s contemplated
premarket review compliance
timeframes (i.e., 24 months for
manufacturers to submit and for FDA to
receive a marketing application) should
apply to manufacturers of newly
deemed products. While many industry
comments sought additional time to
comply with these requirements, many
other comments suggested that the
reason Congress delayed application of
certain requirements to the currently
regulated products (e.g., cigarettes and
smokeless tobacco) was to account for
the creation, staffing, and training for a
new FDA center. In addition, they stated
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that manufacturers of the newly deemed
products cannot argue that they did not
have adequate notice that they would
need to comply with premarket
requirements given that the Unified
Agenda entry for the deeming proposal
published on July 7, 2011, and was
continually updated in subsequent
Unified Agenda entries. They argued
that establishing similar timeframes for
the newly deemed products only
benefits industry and is detrimental to
the public health.
(Response) FDA has considered these
comments and concludes that the
staggered compliance periods included
with this final rule are sufficient to
allow manufacturers of previously
unregulated tobacco products to submit
applications without unduly delaying
compliance. As stated elsewhere in this
document, FDA has taken several steps
to provide helpful feedback to industry
to encourage more complete,
streamlined submissions and reviews,
including: (1) Encouraging
teleconferences between the assigned
regulatory health project manager and
the applicant; (2) streamlining the SE
report review process by modifying the
preliminary review so that it focuses
only on administrative issues and
allowing submission deficiencies to be
communicated to the applicant more
quickly; (3) providing information on
FDA’s Web site about the three
pathways available to market products
(including SE) and developing public
Webinars to explain the Agency’s
processes; and (4) publishing guidance
documents. FDA intends to act as
expeditiously as possible with respect to
all new applications, ensuring that
statutory standards are met.
(Comment 62) One comment
suggested FDA allow for submission of
a confidential e-cigarette product report
in order to satisfy premarket review
requirements. Similarly, another
comment encouraged FDA to establish a
‘‘Tobacco Product Master File’’ (TPMF)
system similar to the Agency’s Drug
Master File (DMF) and Food Additive
Master File (FAMF) systems to allow for
e-cigarette/personal vaporizer and
e-liquid suppliers to submit confidential
product information (including
information on formulations, facilities,
processes, and articles used in the
manufacturing, processing, packaging,
and storing of ingredients used).
(Response) FDA does allow for the
submission and use of information to be
incorporated by reference similar to
master file programs for other FDAregulated products. In addition,
elsewhere in this issue of the Federal
Register, FDA has made available a final
guidance to provide information on how
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to establish and reference a TPMF.
TPMFs are expected to help applicants
of newly deemed products prepare
premarket and other regulatory
submissions because they can reference
information in TPMFs rather than
develop the information on their own.
Such a system would be especially
helpful in the area of newly deemed
tobacco products. Because of the nature
of upstream supply of many
components for ENDS products,
especially e-liquids, FDA anticipates
that commercial incentives will be
sufficient to drive manufacturer reliance
on the system of master files. We note
that, at present, FDA understands that,
based on publically available
information, the number of entities
engaged in upstream production of
liquid nicotine and flavors specifically
developed for use with e-liquids is
small, in the range of seven to thirteen
entities (see earlier discussion in
response to comment 34). Given the
nature of the marketplace, FDA expects
that the master file system will be
widely appealing and widely utilized by
the ENDS industry.
(Comment 63) At least one comment
stated that FDA should prioritize review
of applications for products currently on
the market over those seeking to enter
the market and that FDA should
establish clear review deadlines.
Another comment suggested that
priority should be given to those
products whose marketing is unlikely to
be seen by youth or is limited to existing
adult users of the product.
(Response) During the initial
implementation of the Tobacco Control
Act, FDA received a large number of
applications for currently marketed
tobacco products. For these provisional
products being reviewed through the SE
pathway, in order to appropriately
prioritize review, FDA performed a
public health impact evaluation of the
product’s potential to raise different
questions of public health. Currently
marketed products with the highest
potential to raise different questions of
public health were placed in the tier to
be reviewed first. If appropriate, FDA
may consider using a prioritization
method for newly deemed products.
FDA understands the value of
establishing timelines for review of
applications. For products not on the
market on the effective date, FDA
intends to establish review performance
goals in the future as it did with
currently regulated products.
(Comment 64) Some comments
suggested that FDA continue to employ
measures to ensure that completed SE
reports and PMTAs are submitted as
expeditiously as possible during the
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compliance period. They noted that
FDA currently employs a ‘‘refuse-toaccept’’ policy for SE applications that
allows FDA to make a threshold
determination as to whether an SE
application is sufficiently complete for
the Agency to review. They stated that
this policy will help to ensure that
manufacturers of the newly deemed
products do not try to unduly extend
the time that products are marketed
without FDA review of their
applications.
(Response) FDA agrees. FDA plans to
take all reasonable measures to ensure
that applications are reviewed in a
timely manner. FDA intends to continue
employing its ‘‘refuse-to-accept’’ policy
for SE Reports and other marketing
applications (including SE Exemption
Requests and PMTAs).
(Comment 65) Many comments
suggested that FDA should develop a
product category specific framework for
submission of PMTAs in light of the
large number of products for which
PMTAs will be required, the size and
cost of PMTAs, and FDA’s available
resources. The comments suggested that
the compliance period should be based
on the date FDA issues a category
specific guidance document. The
comments stated that, without category
specific guidance, the PMTA process
will effectively eliminate certain
tobacco product categories, including
the premium cigar industry. These
comments asserted that it was Congress’
intent to treat categories of tobacco
products differently, as shown by the
provisions banning flavored cigarettes,
providing special considerations
regarding menthol, establishing MRTP
provisions, and creating baseline
standards under sections 910 and 907.
(Response) As stated previously, the
statute specifies the premarket pathways
for tobacco products. Congress subjected
all new tobacco products to the same
premarket review requirements in
sections 905 and 910. FDA has taken
many steps to reduce and prevent
backlogs of marketing applications
pending FDA review and intends to act
as expeditiously as possible with
respect to all new applications, while
ensuring that statutory standards are
met. Elsewhere in this issue of the
Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products. FDA may issue
additional category specific guidance as
appropriate. FDA is committed to
helping industry better understand the
tobacco product premarket review
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process and will continue to hold public
Webinars and meetings with industry.
In the category of cigars, and for
premium cigars in particular, we expect
that some products will remain on the
market due to their status as
grandfathered products, and that others
will be able to make use of the SE
pathway.
(Comment 66) While many comments
stated that they needed additional time
to comply with premarketing
requirements, many other comments
stated that the contemplated 2-year
compliance period was too long. For
example, comments jointly submitted
by 24 health and medical organizations
stating that the contemplated 24-month
compliance period included in the
NPRM would prolong the public’s
exposure to products that contain
nicotine, a highly addictive substance,
and that, in their view, do not meet the
statutory standard for the grant of a
marketing order (Comment No. FDA–
2014–N–0189–79772.). They stated that
it would allow manufacturers to
continue to market the newly deemed
products in ways that appeal to youth
and to manipulate the content of these
products in uncontrolled ways for an
indefinite period (id.). These comments
also argued that a 2-year compliance
period will result in large numbers of
adolescents experimenting with newly
deemed products and becoming
established e-cigarette users or users of
other tobacco products. Some suggested
that FDA reduce the compliance period
to 6 months or 12 months and others
suggested different compliance periods
for SE reports, SE exemption requests,
and PMTAs. One comment stated that
FDA’s burden estimates show that the
PMTA process should take 18 months,
so the compliance period should not
extend beyond 18 months.
Alternatively, other comments stated
that there should not be any compliance
period for products because the PMTA
process was created to provide a higher
scrutiny of review for new products
with unknown health risks and a
compliance period is contrary to this
purpose. They also stated that a
compliance period would allow the
industry to flood the market place with
products and manufacturers would not
have an incentive to quickly develop
high-quality applications. In addition,
some comments suggested that FDA
should not provide a compliance period
for combusted products, such as pipe
tobacco or cigars, because there is no
parallel provision in the current statute
for such products.
Some comments also suggested that
manufacturers that sell flavored tobacco
products or that market tobacco
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products to children should not be
afforded any compliance period to
satisfy the premarket review
requirements of the FD&C Act (79 FR at
23176). For example, two large
organizations dedicated to the health of
youth and young adults urged FDA not
to grant a compliance period of any
length for products sold in
characterizing flavors other than tobacco
or any covered tobacco products that
use marketing practices known to
appeal to children and youth (Comment
No. FDA–2014–N–0189–67268;
Comment No. FDA–2014–N–0189–
79413.).
Many comments also stated that
manufacturers should not be able to
avail themselves of the compliance
period unless they agree to restrict their
marketing to adults. However, some
comments expressed concern as to how
such a restriction could be administered
in accordance with the First
Amendment. In addition, Ranking
minority members of the Energy and
Commerce Committee, Health
Subcommittee, and Oversight and
Investigations Subcommittee, U.S.
House of Representatives called for a
more protective compliance period than
the one contemplated in the NPRM,
arguing that a 24-month compliance
period ‘‘puts the nation’s youth at risk’’
(Comment No. FDA–2014–N–0189–
80119).
(Response) Once this rule takes effect,
it will be illegal to sell these tobacco
products to anyone under the age of 18.
This final deeming rule is foundational,
affording FDA with the authority to
issue other regulations restricting sales
and distribution, including advertising
and promotion, under section 906(d).
FDA struck a balance by revising the
initial compliance period for SE
exemption requests and SE reports to 12
and 18 months, respectively, and is
setting forth a 2-year compliance period
for manufacturers of newly deemed,
new tobacco products to submit (and
FDA to receive) a PMTA. FDA believes
that these time periods are sufficient for
manufacturers to prepare high quality
applications addressing the
requirements in the statute.
FDA has given extensive
consideration to having different
compliance periods for flavored and
non-flavored products. There is some
evidence suggesting that flavored
products pose a greater public-health
risk than non-flavored products. FDA
understands that the appeal of flavors
and use of flavored tobacco products
have an important role in the initiation
and continued use of tobacco products,
and in the health risks associated with
use of these products. Many comments
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and studies provided data and
information regarding youth and young
adult use of flavored tobacco products
in recent years. (E.g., Refs. 49, 50, 51,
52, 53, 54, 55, 56). And flavors appear
to encourage greater use. (E.g., Ref. 57;
Refs. 58, 59). The availability of
appealing flavors is a commonly cited
reason for use of non-combusted
products among young tobacco users.
(E.g., Refs. 60, 61)
However, several considerations
weigh against a shorter compliance
period for flavored products. There are
potential countervailing health
concerns. At least some flavored
combusted products (which are of
particular concern because they are
known to present similar risks to
cigarettes and are youth appealing) are
likely to be ‘‘grandfathered’’ and,
therefore, would remain on the market
regardless of the compliance period or
enforcement policy for newly deemed,
noncombusted flavored products. And,
in any event, comments suggested that
the availability of flavors in noncombusted tobacco products, such as
ENDS, are appealing to current smokers
of combusted products and may entice
smokers to consider switching to ecigarettes. (e.g., Comment No. FDA–
2014–N–0189–75088; Comment No.
FDA–2014–N–0189–79096). And FDA is
aware of emerging self-reports from
current and former cigarette smokers
supporting this claim. (See Refs. 62, 63.)
Section VIII.F below discusses the
preliminary evidence available to date
regarding effectiveness of ENDS to help
smokers transition from, or reduce their
consumption of, combusted tobacco
products. But at least some think that
flavor variety is very important. (See,
e.g., Ref. 63). More research, especially
longitudinal research, is needed to
understand how flavoring impacts
tobacco use over time (Ref. 64).
Finally, as with other tobacco
products that will be regulated under
this rule, FDA is cognizant of the
transition that will be required for
regulated entities. Several comments
expressed concern that even the
proposed 24-month compliance period
was not sufficient to submit complete
applications for all of their products.
For example, one comment noted that
most of the e-cigarette market ‘‘are small
and medium-sized businesses owned
and operated by individuals and
families [and] most, if not all of these
smaller enterprises lack the resources to
tackle such a high administrative
burden’’ associated with submitting
multiple PMTAs within the time period
(Comment No. FDA–2014–N–0189–
80496). Several comments also
expressed concern that the 24-month
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proposed compliance period would
benefit larger companies with more
resources to complete product
applications at the expense of small and
mid-size companies (e.g., Comment No.
FDA–2014–N–0189–76162). FDA notes
that a shorter period would have an
even greater impact on these businesses.
In light of these considerations, FDA
believes that a two-year compliance
period for flavored products, as with
other tobacco products, represents the
exercise of its enforcement discretion in
a way that strikes an appropriate
balance between providing industry
time to transition and protecting the
public health. Over time, FDA expects
to see additional data on the role of
certain flavored products in supporting
reduction in or abstinence from the use
of combusted products, as well as
further data on the role of flavored
products in youth initiation, use, and
dual use. Such data will help inform
FDA’s regulation of, and product
standards for, these and other tobacco
products.
In developing this compliance period,
FDA balanced three important public
health considerations: Concern about
the extended availability of newly
deemed, new tobacco products without
scientific review; concern about
flavored products’ youth appeal; and
preliminary data that some individuals
may potentially use such products to
transition away from combusted tobacco
use. Taking these factors into account,
and based on currently available
scientific evidence, FDA determined
that the compliance periods described
in Section V.A. strikes an appropriate
balance to protect public health. FDA is
establishing staggered compliance
periods based on the expected
complexity of the applications and
continued compliance periods for FDA
review such that our exercise of
enforcement discretion will end twelve
months after each initial compliance
period. In addition, FDA is announcing
that it intends in the future to issue a
proposed product standard that would,
if finalized, eliminate characterizing
flavors in all cigars including cigarillos
and little cigars.
Elsewhere in this issue of the Federal
Register, FDA has made available draft
guidance, which when final will
describe FDA’s current thinking
regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products. FDA recognizes that flavored
e-liquids are especially attractive to
youth and young adults. Attractiveness
to youth and young adults is an
important factor in evaluating whether
the marketing of a product is
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appropriate for the protection of the
public health. Manufacturers should
provide information on possible
toxicity, addictiveness, and appeal of
flavored tobacco products with their
premarket review applications.
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VI. Components, Parts, and Accessories
In the preamble to the NPRM, we
asked for comments, including
supporting facts, research, and other
evidence, regarding FDA’s proposal to
include components and parts of the
newly deemed products (but not
accessories) under the scope of this rule.
We also asked for comments as to
whether FDA should define components
and parts of tobacco products and how
those items might be distinguished from
accessories (79 FR 23142 at 23152 and
23153). After reviewing the comments,
FDA is finalizing this rule to include
components and parts of the newly
deemed products (but excluding
accessories of such products) within the
scope of this rule. FDA is also
explaining its current compliance policy
with respect to components and parts
and certain requirements that will
become effective with this deeming rule.
A. Definitions
In response to comments, FDA is
including definitions of ‘‘accessory’’ and
‘‘component or part’’ in parts 1100,
1140, and 1143. As stated in this final
rule, an ‘‘accessory’’ means any product
that is intended or reasonably expected
to be used with or for the human
consumption of a tobacco product; does
not contain tobacco and is not made or
derived from tobacco; and meets either
of the following:
(1) Is not intended or reasonably
expected to affect or alter the
performance, composition, constituents,
or characteristics of a tobacco product,
or
(2) Is intended or reasonably expected
to affect or maintain the performance,
composition, constituents, or
characteristics of a tobacco product but
(i) solely controls moisture and/or
temperature of a stored product; or (ii)
solely provides an external heat source
to initiate but not maintain combustion
of a tobacco product.
FDA has structured paragraph (2)(ii)
to ensure that coils and charcoal are not
encompassed by the definition of
‘‘accessory.’’
‘‘Composition,’’ as used in this
definition, means the manner in which
the materials, including, for example,
ingredients, additives, and biological
organisms, are arranged and integrated.
Examples of accessories are ashtrays,
spittoons, hookah tongs, cigar clips and
stands, and pipe pouches, because they
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do not contain tobacco and are not
derived from tobacco and do not affect
or alter the performance, composition,
constituents, or characteristics of a
tobacco product. Accessory examples
also include humidors that solely
control the moisture and/or temperature
of a stored product and a burner that
solely provides an external heat source
to initiate but not maintain combustion
of a tobacco product. As stated in the
NPRM, accessories of newly deemed
products are not deemed with this final
rule.
In addition, FDA is defining
‘‘component or part’’ to mean any
software or assembly of materials
intended or reasonably expected: (1) To
alter or affect the tobacco product’s
performance, composition, constituents,
or characteristics; or (2) to be used with
or for the human consumption of a
tobacco product. The definition
excludes anything that is an accessory
of a tobacco product.
We note that the term ‘‘material’’
means an assembly of ingredients,
including additives. Materials are
assembled to form components and
parts. For example, material could be
considered the glue or paper pulp for a
cigarette where the paper pulp includes
multiple ingredients (e.g., multiple
types of tobacco, water, and flavors)
assembled into the paper (or pulp
depending on the water content). A
material could be considered the plastic
in the mouthpiece of an ENDS
containing multiple ingredients and
additives assembled together to create a
product.
In determining whether software or an
assembly of materials might be
‘‘intended or reasonably expected’’ to
alter or affect the tobacco product’s
performance, composition, constituents,
or characteristics or to be used with or
for the human consumption of a tobacco
product (and, therefore, whether it is a
component or part), FDA is not bound
by the manufacturer or distributor’s
subjective claims of intent. Rather, FDA
can consider the totality of the
circumstances, including direct and
circumstantial objective evidence,
which encompasses a variety of factors
such as circumstances surrounding the
distribution of the product or the
context in which it is sold (see, e.g., 21
CFR 201.128 (drugs), 21 CFR 801.4
(devices); see also U.S. v. Travia, 180
F.Supp.2d 115, 119 (D.D.C. 2001)) and
sales data.
Some examples of materials intended
or reasonably expected to be used with
or for the human consumption of a
tobacco product are:
• Atomizers and cartomizers used
with ENDS;
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• water filtration base additives
(including those which are flavored)
used with waterpipe tobacco; and
• pouches or flavorings used with any
of the newly deemed products (whether
or not the pouch or flavoring contains
nicotine or tobacco).
Some examples of materials intended
or reasonably expected to alter or affect
the tobacco product’s performance,
composition, constituents, or
characteristics are:
• The cellophane wrapping or plastic
tube for a single cigar;
• a plastic bag or tin holding loose
pipe tobacco; and
• a glass or plastic vial container of eliquid.
Although these examples are materials
that are generally intended to prevent
unintended changes to the
characteristics of the tobacco product,
they are also intended or reasonably
expected to alter or affect the
performance, composition, constituents,
or characteristics of a tobacco product.
For example, these materials often leach
ingredients into the consumed product.
As some comments noted, with ENDS,
there is the potential for substances to
leach from the containing vial into the
e-liquid and these leachates may be
inhaled when the e-liquids are used as
intended, posing additional health risks
for consumers. They often can also
impact the moisture level or shelf life of
a tobacco product (e.g., whether a cigar
is in a hard pack or soft pack, and
whether pipe tobacco is in a plastic or
metal container). The moisture level of
a tobacco product, and changes to that
moisture level, can, for example,
significantly impact consumers’
exposure to nicotine and other
constituents. In some cases, menthol or
other ingredients may have been
applied to these materials in order to
have them become incorporated into the
consumed product.
FDA recognizes that in some
circumstances some assemblies of
materials can operate as both an aspect
of the package and a component or part
of the tobacco product. In such
situations, the Agency is only
examining a distinct subset of packaging
materials that function as a component
or part of a tobacco product by having
the potential to alter or affect the
tobacco product’s performance,
composition, constituents, or
characteristics. Packaging materials that
do not alter or affect, and are not
reasonably expected to alter or affect,
the tobacco product’s performance,
composition, constituents, or
characteristics are not components or
parts of a tobacco product. For example,
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a glass vial containing an e-liquid is a
component or part of the tobacco
product, whereas a hard plastic blister
pack in which the glass vial of e-liquid
is distributed and sold to consumers is
not.
FDA intends to seek additional public
comment and issue a rule or guidance
to provide further clarification on
assemblies of materials that are a
‘‘component or part’’ of a tobacco
product because they are intended or
reasonably expected to alter or affect the
tobacco product’s performance,
composition, constituents, or
characteristics or are intended or
reasonably expected to be used with or
for the human consumption of a tobacco
product.
Many comments specifically asked for
clarification and examples of which
objects used with waterpipe tobacco
would be considered components, parts,
and accessories. The following is a
nonexhaustive list of examples of
components and parts used with
waterpipe tobacco: Flavor enhancers;
hose cooling attachments; water
filtration base additives (including those
which are flavored); flavored hookah
charcoals; and bowls, valves, hoses, and
heads. The following is a nonexhaustive
list of objects used with waterpipe
tobacco that would likely be considered
accessories: Hookah glow balls, foil
pokers, shisha oyster forks, tongs, and
bags.
Many comments also sought
clarification and examples as to which
objects used with e-cigarettes would be
considered components, parts, and
accessories. The following is a
nonexhaustive list of examples of
components and parts of ENDS
(including e-cigarettes): Atomizers,
flavors used or intended to be used with
ENDS (with or without nicotine), eliquid solvents, tanks and tank systems,
batteries (with or without variable
voltage), coils, cartomizers, digital
display/lights to adjust settings,
clearomisers, and programmable
software. The following is a
nonexhaustive list of examples of
objects used with e-cigarettes or other
ENDS that would likely be considered
accessories: Screwdrivers and lanyards.
A summary of comments regarding
these issues, and FDA’s responses, is
included as follows.
(Comment 67) Many comments urged
FDA to define components, parts, and
accessories (particularly for e-cigarettes)
to standardize enforcement nationally,
prevent confusion in the marketplace
(including among retailers), close any
potential loopholes to circumvent
compliance, increase transparency, and
ensure inspectors are enforcing
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regulations, while also taking into
account retailers who are making a good
faith effort to comply with the law.
Many comments provided suggested
definitions for ‘‘component or part’’ and
‘‘accessory.’’ Other comments stated
that FDA should not define these
categories of products, because it is too
difficult to properly define such large
categories of products and any
definitions quickly would become
outdated.
(Response) FDA agrees that
definitions of component or part and
accessory would be appropriate and has
included definitions consistent with
factors noted in the proposal and
consideration of comments. Although
we indicated in the NPRM that
accessories are not expected to be used
with or for consumption of a tobacco
product, we also indicated our
expectation that accessories will have
little impact on the public health. While
the definition of accessory is different
than the description in the NPRM, based
on consideration of the comments, it
captures our original intent and the
classes of products that the Agency
views as accessories. The definitions of
component, part, and accessory, which
are discussed at the beginning of this
section VI.A of the document, are
included in §§ 1100.3, 1140.3, and
1143.1.
(Comment 68) Several comments
expressed concern about FDA’s
statement in the NPRM that the Agency
may consider rule revisions if FDA later
decides to extend its regulatory
authority to components and parts of
newly deemed tobacco products that do
not contain tobacco or nicotine. They
stated that the Tobacco Control Act does
not permit FDA to regulate such objects
if they do not employ tobacco as a raw
material.
(Response) FDA disagrees. To clarify,
FDA is finalizing its proposal to deem
all tobacco products, including all
components and parts, but excluding
accessories of newly deemed tobacco
products, to be subject to chapter IX of
the FD&C Act. However, the additional
restrictions (i.e., minimum age and
identification, vending, and health
warnings provisions) only apply to
‘‘covered tobacco products.’’ The health
warning provisions apply to ‘‘covered
tobacco products,’’ cigarette tobacco,
and roll-your-own tobacco. The term
‘‘covered tobacco products’’ includes all
newly deemed tobacco products except
those components and parts that are not
made or derived from tobacco.
FDA also disagrees that the FD&C Act
does not authorize FDA to regulate
products that do not employ tobacco as
a raw material. Section 901 of the FD&C
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Act states that chapter IX of the FD&C
Act applies to all cigarettes, cigarette
tobacco, roll-your-own tobacco, and
smokeless tobacco and to any other
tobacco products that the Secretary of
Health and Human Services by
regulation deems to be subject to
chapter IX. Section 201(rr) of the FD&C
Act defines ‘‘tobacco product,’’ in
relevant part, as any product made or
derived from tobacco that is intended
for human consumption, including any
component, part, or accessory of a
tobacco product (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product).
Therefore, the statute gives FDA
authority to deem additional tobacco
products, including all components,
parts, and accessories, except for raw
materials (other than tobacco) that go
into manufacturing of components,
parts, or accessories of a tobacco
product. Examples of such raw
materials would be unprocessed acacia
gum (taken from a tree and not
processed) and minted titanium dioxide
(used for whitening cigarette and
tipping paper). In this rule, FDA is not
deeming accessories to be subject to
chapter IX and, although it is deeming
all components and parts to be subject
to chapter IX, it is not applying the
additional restrictions (i.e., minimum
age and identification, vending, and
health warnings provisions) to
components and parts that are not made
or derived from tobacco. Nevertheless, if
FDA were to consider extending its
authority to accessories or to apply
additional restrictions to components or
parts, FDA would do so through the
rulemaking process.
(Comment 69) A few comments
expressed concern that the rule would
create incentives for manufacturers to
separate nicotine-containing
components from nonnicotinecontaining components to evade
regulatory requirements. They stated
that the rule would allow minors to
purchase nicotine delivery systems, as
long as they do not contain e-liquids,
and obtain the e-liquids from other
sources (e.g., friends, parents, online).
(Response) FDA understands these
concerns. However, this deeming rule
covers tobacco product components and
parts intended or reasonably expected to
be used with or for the human
consumption of a tobacco product. In
addition, as stated in § 1140.16, retailers
of newly deemed tobacco products may
not sell covered tobacco products
(through any medium, including the
Internet) to individuals under 18 years
of age. FDA will continue to actively
enforce the minimum age restriction for
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mail order and Internet sales, which
will help to reduce youth access to the
nicotine and tobacco containing
components, without which they cannot
use the other components of ENDS.
(Comment 70) Some comments stated
that the objects used in or with an ecigarette (including batteries, wire,
screws, silica) should be beyond the
scope of FDA’s authority, because they
do not become part of the tobacco
product until they are constructed by
the consumer. Others stated that FDA
should regulate these objects given
reports regarding the malfunctioning of
certain e-cigarette components (e.g.,
dangers of exploding batteries (Ref. 65))
and the fact that the e-liquid cannot be
consumed without each component
working in conjunction to deliver
nicotine to the consumer. These
comments asked FDA to clarify whether
the Agency will regulate only the
nicotine-containing cartridges in a line
of products that includes varying
degrees of nicotine including cartridges
advertised as nicotine free if they are
intended to be used with or for the
human consumption of a tobacco
product.
(Response) This final deeming rule
deems all tobacco products as they are
defined in section 201(rr) of the FD&C
Act, except accessories of newly
deemed products, but including
components and parts as defined in this
rule. The wires, screws, and silica meet
the definition of component or part, as
they are an assembly of materials
intended or reasonably expected to be
used with or for the human
consumption of a tobacco product and
are not accessories of a tobacco product.
FDA also remains concerned about
reports of exploding batteries. Batteries
that are co-packaged with other
components or parts of an ENDS (e.g.,
cartridges and tanks) or otherwise
intended or reasonably expected to be
used with or for the consumption of
ENDS are components or parts and
subject to FDA’s tobacco product
authorities. However, as noted
elsewhere in this document, for ENDS
hardware or delivery system
components or parts, such as batteries,
FDA expects that it may be difficult for
manufacturers to obtain premarket
authorization for such products, given
the great extent of possible variations in
combinations of hardware components,
if all considered and sold separately.
Thus, with respect to such apparatus,
FDA expects that manufacturers will be
most successful where authorization is
sought for entire delivery systems,
rather than individual components.
Elsewhere in this issue of the Federal
Register, FDA also has made available
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draft guidance, which when final will
represent some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products and will include FDA’s current
thinking regarding compliance with
existing voluntary standards for ENDS
batteries.
In addition, nicotine-containing
cartridges that include varying degrees
of nicotine are components or parts and
subject to FDA’s chapter IX authorities
because they constitute an assembly of
materials intended or reasonably
expected to be used with or for the
human consumption of a tobacco
product and do not constitute a tobacco
product accessory. Upon the effective
date of this final rule, FDA intends to
regulate the entire line of cartridges
(including cartridges that include
varying degrees of nicotine or those that
do not contain nicotine, if they meet the
definition of component or part).
(Comment 71) Several comments
urged FDA to include all e-liquids in the
minimum age and identification
requirements and vending machine
restrictions in the revised part 1140,
including e-liquids that do not contain
nicotine, because they are easily
accessible to minors online and can be
mixed with nicotine. In addition, they
suggested that FDA require the
proposed addiction warning on all
components or parts sold in conjunction
with e-liquid.
(Response) FDA disagrees. Under this
deeming rule, e-cigarettes that contain
nicotine cannot be sold to youth under
the age of 18. In addition, an e-liquid
with nicotine is a covered tobacco
product and, therefore, will be required
to have a health warning under part
1143. As previously discussed, an eliquid without nicotine is a component
(and subject to FDA’s tobacco control
authorities), if it is intended or
reasonably expected to be used with or
for the human consumption of a tobacco
product (e.g., with liquid nicotine) and
does not constitute a tobacco product
accessory, but an e-liquid that does not
contain nicotine or tobacco is not
required to carry a warning, nor is it
subject to the minimum age and
identification requirements and vending
machine restrictions under parts 1140
and 1143 because it is not a covered
tobacco product as defined by this rule.
Because components without nicotine
or tobacco are intended to be used with
a covered tobacco product, which
contains nicotine or tobacco, FDA
believes that it is appropriate to require
only the covered tobacco product to be
subject to the minimum age and
vending machine provisions and to
carry the warning. Moreover, if a
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warning is overused, there is the danger
that it will grow stale.
(Comment 72) One comment
disagreed with what it characterized as
FDA’s assertions that tobacco product
accessories do not pose a public health
risk or environmental risk and stated
that such objects are harmful to humans
and the food chain.
(Response) FDA wishes to clarify
language included in the NPRM
regarding accessories (79 FR 23142 at
23153). FDA did not propose, nor is it
stating in this final rule, that tobacco
product accessories do not pose any
public health risk. Instead, we indicated
that tobacco product accessories as
defined in the rule likely have less
(rather than ‘‘no’’) risk to the overall
public health, which we reiterate in this
final rule. FDA is regulating
components and parts (and not
accessories) of the newly deemed
products, so the Agency can better focus
its resources on those objects with a
greater likely impact on public health.
Similarly, FDA did not state that this
rule would not impact the environment.
Rather, the environmental analysis
included in the NPRM stated that the
impacts of this rule will not have a
significant impact on the human
environment according to the standard
imposed by the National Environmental
Policy Act, as stated in the proposed
environmental assessment (EA). The
final EA and Finding of No Significant
Impact (FONSI) are included in the
docket.
(Comment 73) The comments
suggested several different regulatory
approaches for components, parts, and
accessories. First, several comments
stated that FDA should weigh the
relative risks of these products and
impose the least burdensome
requirements necessary to effectively
manage or mitigate those risks. They
suggested that FDA treat these products
the way the Agency does with its review
of marketing applications. For example,
they noted that FDA’s draft and final
guidance documents on PMTAs and SE
reports explain that FDA does not
intend to enforce the requirements of
either section 910 or 905(j) of the FD&C
Act for components of regulated tobacco
products that are sold or distributed
solely for further manufacturing into
finished tobacco products because the
Agency anticipates ‘‘receiving relevant
information regarding such new tobacco
products in the PMTA submission for
the finished regulated tobacco
products’’ (citing draft guidance,
‘‘Applications for Premarket Review of
New Tobacco Products’’). Second, some
comments believed that manufacturers
of e-cigarette components and parts
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should be required to submit marketing
applications given the aerosols and
‘‘vapors’’ that consumers generate when
using certain components or parts.
Third, some comments stated that
instead of requiring manufacturers of
components and parts to comply with
the automatic requirements for the
newly deemed products, FDA should
require them to ensure that all of their
components and parts that contain
tobacco or tobacco derivatives are
shipped and packaged with labeling that
indicates that they are intended for
further manufacture.
(Response) At this time, FDA intends
to limit enforcement of the premarket
review requirements to finished tobacco
products. For purposes of this
compliance policy applicable to newly
deemed products, a finished tobacco
product refers to a tobacco product,
including all components and parts,
sealed in final packaging intended for
consumer use (e.g., filters or filter tubes
sold separately to consumers or as part
of kits). FDA does not at this time
intend to enforce these requirements for
components and parts of newly deemed
products that are sold or distributed
solely for further manufacturing into
finished tobacco products. In addition,
FDA does not believe that it is
warranted at this time to require
components and parts that contain
tobacco or tobacco derivatives to
include labeling that indicates they are
intended for further manufacture.
(Comment 74) Some comments stated
that FDA should regulate all
components, parts, and accessories, as
long as they have a foreseeable impact
on the public health. They believed that
omitting accessories from the scope of
the deeming rule ignores the clear
statutory language that explicitly
defines ‘‘tobacco product’’ to include
accessories.
(Response) FDA disagrees. Although
Congress included ‘‘accessories’’ within
the definition of ‘‘tobacco product’’ in
section 201(rr) of the FD&C Act, it did
not explicitly require that FDA include
all components, parts, and accessories
within the scope of its rule to deem
additional tobacco products under
section 901. Accessories, as defined in
this rule, likely have less risk to the
overall public health, and the benefits to
overall public health for deeming
accessories subject to FDA’s tobacco
product authorities are also likely less.
Therefore, FDA is excluding them from
the scope of this deeming rule.
(Comment 75) Some comments stated
that items also used for purposes other
than for tobacco use (i.e., a lighter or
matches that can be used to light
candles) should be classified as
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accessories and, therefore, not subject to
FDA’s chapter IX authorities. For
example, batteries used in advanced
personal vaporizers can be found in
laptop battery packs or cordless drill
packs. These comments also stated that
items such as lighters and batteries may
(or may not) be used in consumption of
a tobacco product or are regulated by
the Consumer Product Safety Act (as are
child-resistant lighters) and, therefore,
should not be subject to FDA’s tobacco
product authorities.
(Response) FDA agrees that it is not
necessary to regulate batteries that are
not intended or reasonably expected to
be used with a tobacco product under
its tobacco product authorities.
However, it is important that batteries
that are co-packaged with other parts of
an ENDS (e.g., cartridges and tanks) or
otherwise intended or reasonably
expected to be used with ENDS are
components subject to FDA’s tobacco
product authorities. FDA remains
concerned about reports of exploding ecigarette batteries and finds that
regulating them can help address these
problems. Toward that end, elsewhere
in this issue of the Federal Register,
FDA has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including compliance with existing
voluntary standards for ENDS batteries.
(Comment 76) Some comments stated
that walk-in humidors for cigars should
not be subject to FDA regulation
because they are important to retailers
and allow consumers to browse a
retailer’s stock and make a selection.
(Response) As discussed previously,
any item that is intended or reasonably
expected to be used with or for the
human consumption of a newly deemed
tobacco product; does not contain
tobacco or a tobacco derivative; and is
intended or reasonably expected to
affect or maintain the characteristics of
the newly deemed tobacco product but
solely controls moisture and/or
temperature of a stored newly deemed
tobacco product, is an accessory and
excluded from this deeming rule.
Therefore, unless the humidor is
designed to affect the tobacco product in
a manner other than controlling
moisture or temperature, such walk-in
cigar humidors are not subject to this
rule.
(Comment 77) A few comments
expressed concern that e-cigarette tanks
and cartridges would not be included
within the proposed vending machine
restrictions because they do not contain
nicotine at the time of sale. They said
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that such objects are not standardized
and that their quality, composition, and
safety are not regulated and, therefore,
they should be subject to FDA’s chapter
IX authorities.
(Response) FDA does not believe it is
necessary for tanks and cartridges that
do not contain nicotine or tobacco to be
subject to the vending machine
restrictions because they can only be
used to consume tobacco or nicotine
derived from tobacco with other
products that are subject to the
additional restrictions. However, FDA is
aware of the current lack of regulation
or standardization of tanks and
cartridges, which are components and
parts that FDA is deeming to be subject
to FDA’s chapter IX authorities with this
rule. After the effective date of this final
rule, FDA will have authority to issue
tobacco product manufacturing practice
regulations under section 906(e) of the
FD&C Act and product standards under
section 907 of the FD&C Act to address
the quality, composition, and safety of
these components and parts. FDA also
notes that these components and parts
will usually be subject to premarket
review, either by themselves, as
components and parts intended for
consumer use, or as components and
parts of products that undergo further
manufacturing for which the end
product will be subject to premarket
review.
(Comment 78) A few comments
expressed concern with FDA’s
characterization of objects used during a
waterpipe tobacco session (i.e., the
burners, holders, screens, and other
objects used with waterpipe tobacco).
They stated that all waterpipe burners
and holders can affect waterpipe
tobacco emissions, and noted that foil is
heated to the same extent as charcoal
during waterpipe use and, therefore, can
present a burning danger (Ref. 66). In
addition, the heating source, screen (or
aluminum foil), and hose can have a
significant impact on passive and active
exposure and smoking/puffing
behaviors and, therefore, should be
components or parts subject to chapter
IX of the FD&C Act.
(Response) FDA has included
definitions of ‘‘component,’’ ‘‘part,’’ and
‘‘accessory’’ with this final rule to
provide additional clarity regarding the
characterization of products used during
a waterpipe session. According to these
definitions, the screen (or aluminum
foil) and hoses that are co-packaged
with other parts of a hookah or
marketed, advertised, or otherwise
intended for use with a hookah are parts
or components and subject to FDA’s
tobacco product authorities. However,
for example, an external burner or
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heating source that is not incorporated
into the hookah would be an accessory,
provided that it does not contain
tobacco or a tobacco derivative and
solely provides an external heat source
to initiate but not maintain combustion
of a tobacco product. The holder also is
an accessory and not subject to chapter
IX of the FD&C Act.
(Comment 79) A few comments
suggested that charcoal or wood cinder
used with waterpipe tobacco should be
considered a tobacco product and
deemed under this regulation. They
explained that combustion of these
products produces toxicants and may
emit carcinogens, carbon monoxide,
polycyclic aromatic hydrocarbons, and
other cancer causing agents.
(Response) FDA finds that such
products are components or parts;
therefore, they are subject to FDA’s
chapter IX authorities. They are an
assembly of materials intended or
reasonably expected to be used with or
for the human consumption of a tobacco
product and are not accessories. As we
have noted throughout this document,
an accessory does not contain tobacco
and is not made or derived from
tobacco, and it meets one of the
following: (1) Is not intended or
reasonably expected to affect or alter the
performance, composition, constituents,
or characteristics of a tobacco product;
or (2) is intended or reasonably
expected to affect or maintain the
performance, composition, constituents,
or characteristics of a tobacco product
but (i) solely controls moisture and/or
temperature of a stored product; or (ii)
solely provides an external heat source
to initiate but not maintain combustion
of a tobacco product. Therefore, the
charcoal or wood cinder intended or
reasonably expected to be used with or
for the human consumption of
waterpipe tobacco are components or
parts. Further, charcoal and wood
cinders are not considered accessories
given that they: (1) Do not contain
tobacco and are not made or derived
from tobacco; and (2) are intended or
reasonably expected to alter the
characteristics of a tobacco product but
do not solely control moisture and/or
temperature of a stored product and do
not solely provide an external heat
source to initiate but not maintain
combustion. Instead, both charcoal and
wood cinder are used to maintain the
combustion of waterpipe tobacco.
(Comment 80) Many comments asked
for clarification as to whether certain
items associated with cigar use should
be termed ‘‘accessories,’’ including cigar
tip cutters, permeable humidor buttons,
removable tips, mouthpieces, removable
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filters, holders, lighters, ashtrays, and
cases.
(Response) FDA generally expects
cigar tip cutters, permeable humidor
buttons, holders, ashtrays, and cases
would be accessories that are not subject
to FDA regulation. In addition, as stated
in this section (discussing the
definitions of component or part and
accessory), for the purposes of this
regulation, any item that does not
contain tobacco or a tobacco derivative
and is not integrated in a tobacco
product, but rather solely provides an
external heat source, to initiate but not
maintain combustion of a tobacco
product (such as a lighter) is not subject
to this deeming rule. However,
removable tips, mouthpieces, and filters
are all intended to be used by adult
consumers in the human consumption
of a tobacco and do not meet the
definition of accessory, therefore, are
included within the scope of this final
rule.
(Comment 81) A few comments
expressed concern that vaporizers sold
separately without nicotine can be
modified or ‘‘hacked,’’ which
researchers found could increase toxins
and other dangerous components,
including formaldehyde (Ref. 67). They
stated that online videos show how to
‘‘hack’’ an e-cigarette, including how to
change the apparatus to increase the
temperature of the ‘‘vapor.’’ Because of
these concerns, they argued that such
items should be considered components
and parts and under FDA’s jurisdiction.
(Response) FDA agrees that vaporizers
are components or parts of a tobacco
product. These objects are an assembly
of materials intended or reasonably
expected to be used with or for the
consumption of a tobacco product and
do not constitute tobacco product
accessories. Therefore, they are tobacco
product components or parts and
subject to FDA’s chapter IX authorities.
FDA considers components or parts sold
directly to consumers to be finished
tobacco products. A finished tobacco
product refers to a tobacco product,
including all components and parts,
sealed in final packaging intended for
consumer use (e.g., filters or filter tubes
sold separately to consumers or as part
of kits). FDA remains concerned about
adverse events associated with ENDS
use and finds that regulating them can
help address these problems. Toward
that end, elsewhere in this issue of the
Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products.
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(Comment 82) One comment
requested that flavored rolling papers be
included as a newly deemed tobacco
product. Another comment claimed that
flavored papers should not be subject to
FDA’s tobacco control authorities,
because they do not pose a danger to
public health.
(Response) Rolling papers intended
for use with cigarette tobacco or rollyour-own tobacco are already subject to
FDA’s tobacco control authorities under
section 901 of the FD&C Act because
they are components of cigarettes and
cigarette tobacco. Upon the effective
date of this final rule, rolling papers
(including flavored papers) intended for
use with newly deemed tobacco
products would be tobacco product
components or parts and subject to
FDA’s chapter IX authorities.
B. Discussion of Requirements
Associated With Components and Parts
FDA received many inquiries about
how the automatic provisions associated
with deeming tobacco products would
apply to components and parts.
Components and parts of newly deemed
tobacco products are subject to all of the
automatic provisions included in the
FD&C Act, as further discussed as
follows.
1. Ingredient Listing (Sections 904(a)(1)
and 904(c)); Health Document
Submission (Section 904(a)(4)); and
Registration and Product Listing
(Section 905)
At this time, FDA intends to limit
enforcement to finished tobacco
products. A finished tobacco product
refers to a tobacco product, including all
components and parts, sealed in final
packaging intended for consumer use
(e.g., filters, filter tubes, e-cigarettes, or
e-liquids sold separately to consumers
or as part of kits). FDA does not at this
time intend to enforce these
requirements for components and parts
of newly deemed products that are sold
or distributed solely for further
manufacturing into finished tobacco
products.
2. SE Reports and PMTAs (Section
905(j) and 910)
At this time, FDA intends to limit
enforcement to finished tobacco
products. FDA does not at this time
intend to enforce these requirements for
components and parts of newly deemed
products that are sold or distributed
solely for further manufacturing into
finished tobacco products.
3. Reporting of HPHCs (Section 915)
At this time, FDA intends to limit
enforcement to finished tobacco
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products. See section IX for further
discussion of ENDS retail
establishments and the responsibilities
of upstream manufacturers for reporting
of HPHCs. The Agency is working to
determine an appropriate compliance
policy to deal with HPHCs for newly
deemed products (including e-liquids)
and is intending to issue guidance with
enough time for manufacturers to report
given the 3-year compliance period.
VII. Regulation of Cigars and Selection
of Option 1
As discussed in the preamble to the
NPRM (79 FR 23142 at 23150 through
23152), it has been suggested that
different kinds of cigars may have the
potential for varying effects on public
health. Accordingly, FDA proposed two
options for the categories of cigars to be
subject to this deeming rule. Option 1
proposed to deem all products meeting
the statutory definition of ‘‘tobacco
product,’’ except accessories of a
proposed deemed tobacco product, to be
subject to FDA’s tobacco product
authorities under chapter IX of the
FD&C Act. Option 2 proposed to deem
all products meeting the statutory
definition of ‘‘tobacco product,’’ except
accessories of a proposed deemed
tobacco product and a subset of cigars
referred to as ‘‘premium cigars’’ to be
subject to FDA’s tobacco product
authorities under chapter IX of the
FD&C Act. FDA notes that individual
hand rollers of cigars would be
considered manufacturers under chapter
IX of the FD&C Act, and subject to the
same requirements as other tobacco
product manufacturers.
(Comment 83) Some comments that
supported Option 1 stated that FDA
should regulate premium cigars, in part,
because they meet the statutory
definition of ‘‘tobacco product.’’
(Response) FDA agrees. All cigars,
including those referred to as premium
cigars, meet the definition of a ‘‘tobacco
product’’ under section 201(rr) of the
FD&C Act.
After thorough review of the
comments and the scientific evidence,
FDA has concluded that deeming all
cigars, rather than a subset, more
completely protects the public health
and therefore has adopted Option 1 in
the final rule. FDA has concluded that:
(1) All cigars pose serious negative
health risks, (2) the available evidence
does not provide a basis for FDA to
conclude that the patterns of premium
cigar use sufficiently reduce the health
risks to warrant exclusion, and (3)
premium cigars are used by youth and
young adults. The fact that some
premium cigar smokers might smoke
such products infrequently or report
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that they do not inhale does not negate
the adverse health effects of tobacco
smoke or demonstrate that cigars do not
cause secondhand smoke-related
disease in others. Therefore, we find
there is no appropriate public health
justification to exclude premium cigars
from the scope of the final deeming rule
and that it is appropriate to deem them.
A. Health Risks of Premium Cigars
Researchers estimate that regular cigar
smoking was responsible for
approximately 9,000 premature deaths
or almost 140,000 years of potential life
lost among adults 35 years or older in
2010 (Ref. 68). Cigar smoke contains
many of the same harmful constituents
as cigarette smoke and may have higher
levels of several harmful compounds
(Ref. 68, citing Ref. 69 at 55–104). All
cigar smokers have an increased risk of
oral, esophageal, laryngeal, and lung
cancer compared to non-tobacco users
(Refs. 35, 69). Among those who report
inhaling cigar smoke, there are
significantly elevated levels of many
types of cancer and other adverse health
effects, such as increased risk of heart
and pulmonary disease (Refs. 69, 70).
Cigar smokers also are at a marked
increase in risk for chronic obstructive
pulmonary disease (COPD) and
experience higher mortality risk from
COPD than nonsmokers (Refs. 70, 71). In
addition, cigar smokers have a higher
risk of fatal and nonfatal stroke than
nonsmokers (Ref. 72). All cigars produce
secondhand smoke, which causes
negative health effects such as heart
disease and lung cancer in bystanders
(Refs. 35, 69).
Nevertheless, we do note that the
2014 Surgeon General’s Report states
that when compared with persons who
smoke cigarettes, those who use cigars
exclusively have a lower risk for many
smoking-related diseases (Ref. 9 at 428
citing Ref. 69). Although smoke from
cigars contains the same toxic
substances as cigarette smoke, cigar
smokers generally smoke at a lower
frequency and tend not to inhale the
smoke, thus reducing (but not
eliminating) their exposure to its toxic
substances (id.). Former cigarette
smokers are more likely to inhale cigar
smoke than are primary cigar smokers
who have never smoked cigarettes (id.).
While most studies cited in this
section do not explicitly pertain to
premium cigars, the bulk of the
established data on the health effects of
cigar smoking is based on smokers of
traditional, large cigars and, therefore, is
applicable to the toxicity of premium
cigars given that they share the same
characteristics and are generally smoked
in similar ways.
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While exposure to higher levels of
cigar smoke for a longer period of time
increases the adverse health risks due to
cigar smoking (just as it does for
cigarettes), the Surgeon General has
stated that no amount of smoking is safe
(Ref. 2). Further, there are no data
indicating that premium cigar users are
not susceptible to health risks, as
discussed in section VII.C. FDA’s
responses to comments on the health
risks of premium cigars are included in
the following paragraphs.
(Comment 84) Proponents of Option 1
stated there is no public health
justification for exempting premium
cigars and that deeming premium cigars
will benefit the public health
immediately through the automatic and
additional provisions and the
imposition of future product standards.
They also stated that exempting
premium cigars would have a negative
impact on the public health.
(Response) FDA agrees. As stated in
the NPRM, there will be many public
health benefits associated with deeming
tobacco products (including products
referred to as premium cigars). For
example, the adulteration and
misbranding provisions in sections 902
and 903 of the FD&C Act, as applied to
the newly deemed products, will protect
consumers because FDA will be able to
take enforcement action against any
non-compliant tobacco product, such as
a product with false or misleading
labeling or advertising. In addition,
ingredient listings and reports of HPHCs
under sections 904 and 915 of the FD&C
Act will assist FDA in better
understanding the contents of regulated
products. That information would assist
FDA in assessing potential health risks
and determining if future regulations to
address the health risks posed by
particular products are warranted. With
application of the section 905
registration and listing requirements,
FDA will be able to conduct biennial
inspections of tobacco product
manufacturers. Further, implementation
of the premarket review provisions of
sections 905, 910, and 911 of the FD&C
Act will allow FDA to monitor product
development and changes and to
prevent more harmful or addictive
products from reaching the market.
Moreover, there were no data provided
to support the premise that there are
different patterns of use of premium
cigars and that these patterns result in
lower health risks.
(Comment 85) Some comments
argued that exempting premium cigars
from deeming would set a dangerous
precedent that it is appropriate for FDA
not to regulate certain tobacco products
by virtue of their potential for varying
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effects on public health. An exemption
could mislead consumers to believe that
premium cigars are safe, which
contradicts the available evidence that
all cigars are harmful and potentially
addictive. In addition, the current
population of premium cigar users
would be left unprotected, potentially
decreasing the likelihood that they
would quit, and leading more youth and
young adults to initiate use of premium
cigars or substitute products.
(Response) FDA agrees with these
comments. Accordingly, FDA has
selected Option 1 deeming all cigars,
rather than a subset, for the scope of this
final rule.
(Comment 86) Many comments that
supported Option 2 argued that
premium cigars do not present a public
health threat significant enough to
warrant regulation and that no evidence
was presented that regulation of
premium cigars would substantially
improve the public health. These
comments stated that premium cigars
represent a small portion of the tobacco
product and cigar markets (annual
premium cigar estimate in the United
States of 300 million units compared to
nearly 14 billion total cigar units and
nearly 300 billion cigarettes) (Ref. 73),
and there is no evidence that premium
cigars have the same health
consequences or habitual use patterns as
other tobacco products. They generally
relied on two studies, Funck-Brentano
et al. and Turner et al., to claim that
premium cigars deliver little nicotine to
users, by inhalation or oral absorption
(Refs. 74, 75). They also claimed that
cigars do not significantly elevate the
risk of addiction or death (Refs. 76, 77)
and stated that, in some studies, there
were a very small number of cancer
cases or deaths among cigar smokers
(Refs. 78, 79). They also noted the
nonsignificant odds ratios for those
consuming 1 to 2 cigars per day (Refs.
69, 79) and for the risk of lung cancer
and ‘‘tobacco-related cancers’’ among
exclusive cigar smokers (Ref. 80).
(Response) FDA disagrees with these
claims and finds that the cited studies
or critiques are not persuasive.
Regarding the claim that premium cigars
deliver little nicotine to users, the
Turner study (Ref. 75) was a study of
only 10 male hospital workers
conducted more than 30 years ago. The
findings of the Turner study, based on
carboxyhemoglobin and plasma nicotine
levels, suggested that former cigarette
smokers who occasionally smoked
cigars or regularly smoked pipes had
greater cigar smoke inhalation and
absorption than primary cigar and pipe
smokers (i.e., those who never smoked
cigarettes). This study also reported that
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average plasma nicotine concentrations
among primary cigar and pipe smokers
were somewhat elevated 60 minutes
into a cigar smoking session compared
with levels measured after smoking
abstinence (Ref. 75). Notwithstanding
the small sample size, the study results
still demonstrate that cigars deliver
nicotine to users.
Similarly, the Funck-Brentano et al.
study (Ref. 74) assessed biomarkers of
tobacco exposure and toxicity in a small
sample of cigar (corona-sized or larger
cigar) or pipe smokers (n = 30), cigarette
smokers (n = 28), and nontobacco users
(n = 30), making this small biomarker
study less persuasive. In fact, the study
authors state: ‘‘These results should not
be seen as a justification for the smoking
of pipes and cigars, which are clearly
associated with clinically significant
health hazards. We emphasize that we
cannot determine whether our results
are explained by the type of tobacco
smoked or by the different inhalation
pattern in pipe/cigar smokers and
cigarette smokers.’’
A recent analysis of biomarkers of
tobacco exposure among cigar smokers
used data from the 1999–2012 National
Health and Nutrition Examination
Survey, a nationally representative
survey (Ref. 81). The sample included
more than 220 primary cigar (i.e.,
current cigar/never cigarette) smokers
and more than 180 secondary cigar (i.e.,
current cigar/former cigarette) smokers
(id.). The researchers found that serum
cotinine concentrations among primary
(and secondary) cigar smokers were
substantially higher than in nontobacco
users in crude and adjusted analyses
(id.). In addition, adjusted analyses
showed that concentrations of NNAL (4(methylnitrosamino)-1-(3-pyridyl)-1butanol), blood cadmium, and lead were
also higher among primary (and
secondary) cigar smokers compared
with nontobacco users (id.). Therefore,
not only were the cited studies
unpersuasive, but this robust and recent
analysis contradicts those studies.
In addition, FDA did not find
persuasive studies cited in comments
for the proposition that cigars do not
significantly elevate the risk of
addiction or death. To support this
proposition, comments relied in part on
a study (Ref. 76) in which a panel
scored the worldwide harmfulness of 12
nicotine products using a multicriteria
decision analysis approach. Although
cigarettes ranked higher than either
little cigars and other cigars on an
aggregate harm score, the study found
cigar smoking does result in morbidity,
mortality, and dependence.
The other study used to support the
proposition that cigars are not a
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significant public health threat (Ref. 77)
found a significant association between
primary cigar or pipe smokers and lung
cancer mortality risk, which refutes the
claim that cigar use does not
significantly elevate the risk of death. In
addition, this study found an
association between COPD mortality
risk and secondary cigar or pipe
smoking (but not for primary cigar and
pipe smoking). Also, contrary to the
assertions of commenters, a recent
systematic review of cigar smoking and
mortality summarized the results of 22
published studies from 16 different
prospective cohorts and found that
primary cigar smoking was associated
with increased risk of mortality from all
causes, several types of cancers,
coronary heart disease, and aortic
aneurysm (Ref. 82). Mortality risks were
greater with increasing number of cigars
smoked per day and self-reported level
of inhalation, however, primary cigar
smokers reporting no inhalation still
had highly elevated mortality risks for
oral, esophageal, and laryngeal cancers
(id.). In addition, a recent study
estimated that in 2010 more than 9,000
premature deaths annually were
attributable to regular cigar smoking
(i.e., those who reported smoking cigars
on at least 15 of the past 30 days) (Ref.
68).
Moreover, FDA reviewed a study by
Boffetta et al. (Ref. 78), which
commenters relied upon to claim that a
very small number of cancer cases
existed among cigar smokers and,
therefore, premium cigars should not be
regulated. The Boffetta et al. study (id.)
used a case-control design to assess the
association between lung cancer risk
and cigar smoking. The authors
determined that the overall association
between primary cigar or cigarillo
smokers and lung cancer was significant
and found significant associations in all
but one area (id.). For all other
estimates, the results were statistically
significant. We also note that, despite
the relatively small number of cancer
cases in this study, it is only one part
of a larger body of evidence that
demonstrates the increased risk of
serious adverse health effects associated
with cigar smoking (Refs. 35, 69, 70, 71,
72, 77, 79, 83).
(Comment 87) Some comments stated
cigar smokers are not at risk of
becoming addicted to tobacco products
based on their use of cigars. Other
comments stated that certain attributes
of premium cigars increase the
likelihood for nicotine dependence,
including their size, the amount of
tobacco (and, therefore, nicotine) in the
cigar, and the longer amount of time
that it takes to smoke the cigar.
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Additionally, these comments suggested
that because cigar tobacco is more
alkaline than cigarette tobacco, nicotine
may be absorbed into the blood stream
more rapidly, even without inhaling
(Refs. 84, 85).
(Response) FDA agrees that all cigars
are potentially addictive. As discussed
in the preamble to the NPRM, a cigar
can contain as much tobacco as a whole
pack of cigarettes, and nicotine yields
from smoking a cigar can be up to eight
times higher than yields from smoking
a cigarette (79 FR 23142 at 23154).
Although the amount of nicotine taken
in by a cigar user depends on various
factors like how long the person smokes
the cigar, the number of puffs taken, and
the degree of inhalation, a leading
review of the science of cigar smoking
concluded that ‘‘[c]igars are capable of
providing high levels of nicotine at a
sufficiently rapid rate to produce clear
physiological and psychological effects
that lead to dependence, even if the
smoke is not inhaled’’ (Ref. 35). In
addition, regardless of whether
premium cigar smokers inhale, buccal
absorption of nicotine does occur, and
cigar smokers may also absorb nicotine
through the lips due to the alkalinity of
cigar tobacco (Refs. 86, 87). This
increased nicotine yield and absorption
increases the risk of nicotine addiction
from cigar smoking. Researchers
analyzing data from the NYTS found
that although the percentage of youth
reporting various measures of
dependence was lower for cigars than
for cigarettes or smokeless tobacco,
some youth did report some measures of
cigar addiction (Ref. 88). This study
found that 6.7 percent of middle and
high school students who only smoked
cigars also reported strong cravings for
a tobacco product during the past 30
days, and 7.8 percent reported
sometimes/often/always feeling irritable
or restless when not using tobacco—
which are measures of dependence (id.)
We note that the Surgeon General has
found that all forms of nicotine delivery
do not pose an equal risk in establishing
or maintaining nicotine addiction (Ref.
9).
(Comment 88) Many comments
remarked that premium cigars do not
pose the same adverse health effects as
cigarettes and other types of cigars
because most studies of cigar health
effects do not differentiate between
types of cigars. They claimed this lack
of evidence precludes conclusions about
the health effects of premium cigars
specifically.
(Response) The science is clear that
cigar use of all types can lead to
negative health effects, as discussed
throughout this section of the
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document. Thus, the contention that
studies are inconclusive about the
health effects of premium cigars because
they do not differentiate between types
of cigars is not persuasive.
All cigar use is harmful and
potentially addictive. Cigar smokers
have an increased risk of oral,
esophageal, laryngeal, and lung cancer
compared to nonsmokers (Refs. 35, 69).
Among those who report inhaling cigar
smoke, there are significantly elevated
levels of many types of cancer and other
health effects, such as increased risk of
heart and pulmonary disease (Refs. 69,
70). Cigar smokers also have a marked
increase in risk for COPD and
experience higher mortality risk from
COPD than nonsmokers (Refs. 70, 71). In
addition, cigar smokers have a higher
risk of fatal and nonfatal stroke than
nonsmokers (Ref. 72). All cigars produce
secondhand smoke, which causes
negative health effects such as heart
disease and lung cancer in bystanders
(Refs. 35, 69).
We note that the Surgeon General
reported in 2014 that, ‘‘[c]ompared with
persons who smoke cigarettes, smokers
who smoke pipes or cigars exclusively
have a lower risk for many smokingrelated diseases (internal citation
omitted). Smoke from pipes and cigars
contains the same toxic substances as
cigarette smoke, but those who use a
pipe or cigar usually smoke at a lower
frequency; observation indicates that
they tend not to inhale the smoke, thus
reducing their exposure to its toxic
substances (internal citations omitted).
Evidence indicates that former cigarette
smokers are more likely to inhale pipe
or cigar smoke than are primary pipe
and cigar smokers who have never
smoked cigarettes (internal citations
omitted)’’ (Ref. 9 at 428–429). However,
research indicates that most cigar
smokers do inhale some amount of
smoke, even when they do not intend to
inhale, and are not aware of doing so
(Refs. 32, 33).
Finally, FDA specifically sought
comment on how the potential different
patterns of use for premium cigars might
result in different or decreased health
impacts, but no such evidence was
submitted (see discussion in section
VII.C of document).
(Comment 89) Some comments
indicated that many cigar users,
including those who smoke premium
cigar brands, are also current or former
cigarette users, increasing their
exposure to toxic constituents and the
health risks of using combusted tobacco
products (Refs. 89, 90). Additionally,
they stated that these users are more
likely to inhale when they use cigars
and may smoke more cigars per day,
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significantly increasing their health
risks (Refs. 33, 91, 92, 93, 94).
(Response) FDA agrees. Given the
adverse health effects of all cigars, FDA
has selected Option 1 deeming all
cigars, rather than a subset, for the scope
of this final deeming rule.
(Comment 90) Some comments raised
concerns about dual and polyuse of
cigars and other tobacco products,
which is common among both adults
and youth (Refs. 90, 95). For example,
in one study, 35.1 percent of adult
premium cigar users, 58.3 percent of
cigarillo and other mass market cigar
users (i.e., those reporting their usual
cigar did not have a filter and the usual
brand was not premium), and 75.2
percent of little filtered cigar users also
smoked cigarettes (Ref. 90). Some
comments noted that multiple product
use is concerning because polytobacco
users are more likely to report
symptoms of nicotine dependence (Ref.
88).
(Response) As FDA stated in the
NPRM, we are concerned about the use
of multiple products, especially
combusted tobacco products.
B. Youth and Young Adults Use
Premium Cigars
Proponents of Option 2 have stated
that an exemption for premium cigars is
warranted because youth prefer
machine-made cigars (as opposed to
hand-rolled) given their low price,
flavoring, and easier availability.
However, although youth and young
adults have a higher use of cigarillos
and other mass market cigars, studies
indicate that they are also using
premium cigars.
(Comment 91) Many comments cited
data showing that among those age 12
and older, past month cigar use
decreased slightly from 5.4 percent in
2002 to 5.2 percent in 2012 after
peaking at 5.7 percent in 2004 (Ref. 89
at Figure 4.1). Among youth only (ages
12 to 17), cigar smoking prevalence
declined between 2004 (4.8 percent) and
2012 (2.6 percent) (Ref. 89 at Figure 4.1).
Trend data from the National Youth
Risk Behavior Survey also indicate that
cigar use among male high school
students, female students, and white,
black, and Hispanic students either
declined or remained stable from 1997
to 2011 (Ref. 9). Additionally, from 1997
to 2013, ‘‘a significant linear decrease
occurred overall in the prevalence of
current [youth] cigar use (22.0 percent–
12.6 percent)’’ (Ref. 96), which was
observed from data collected by the CDC
1997–2013 YRBS (Ref. 29). Accordingly,
they questioned whether FDA should be
regulating cigars.
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Other comments included data
indicating that youth cigar use has not
declined when compared to use of other
tobacco products. They noted that many
youth surveys show youth cigar
smoking to be higher than, or about the
same as, cigarette smoking. For
example, in 2013, among U.S. high
school males, the prevalence of current
(past 30 day) cigar smoking (16.5
percent) was comparable to current
(past 30 day) cigarette smoking (16.4
percent) (Ref. 96). Additionally, in 21
U.S. cities that conducted the 2013
YRBS, the prevalence of current cigar
smoking (8.6 percent) was comparable
to current cigarette smoking (7.7
percent) among high school students
(id.). In 2014, NYTS reported that
among high school Non-Hispanic black
students, 8.8 percent reported smoking
cigars in the past 30 days, whereas 4.5
percent reported smoking cigarettes in
the past 30 days (Ref. 22). In addition,
among high school males overall, the
prevalence of past 30 day cigar smoking
(10.8 percent) was comparable to past
30 day cigarette smoking (10.6 percent)
(id.). Measures of youth use of cigars
may underestimate prevalence due to
incorrect self-identification as a noncigar smoker and confusion between the
various cigar products (Refs. 97, 98, 99).
Accordingly, the comments supported
FDA’s regulation of all cigars.
(Response) FDA remains concerned
about the use of all tobacco products,
particularly combusted tobacco
products like cigars and cigarettes, and
remains most concerned about use by
youth and young adults given their
unique susceptibility to the
addictiveness of nicotine. Although
supporters of Option 2 relied upon
NSDUH data showing a decline in cigar
smoking prevalence among individuals
aged 12 to 17 from 2004 to 2012, the
NSDUH’s questions about ever and past
30-day use of cigars did not include
examples of specific brands. We note
that the Surgeon General’s 2014 report
states that ‘‘data from the 1997–2011
obtained from the National YRBS
indicate that current cigar use among
male high school students declined
from 1997–2005 and then remained
stable from 2005–2011. Among female
students, current cigar use declined
from 1997–2011.’’ (Ref. 9 at 736,
internal references omitted). The 2013
YRBS, a nationally representative
survey of 13,000 youths, indicated that
cigar use prevalence trends have
decreased from 1997–2013 for youth in
grades 9 through 12 (22 percent in 1997
to 12.6 percent in 2013) (Ref. 29).
Evidence suggests that some youth
may recognize the brand of cigar they
smoke, but not that it is a ‘‘cigar’’ in
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general terms and, therefore, may not
report their cigar use (Refs. 98, 100).
When examples of brand names were
added to the 2012 NYTS, there was a
pronounced increase from 2011 in
reported cigar smoking among nonHispanic black females (Ref. 100).
Among NYTS high school students
overall from 2000 to 2011, there was no
change in prevalence of cigar smoking
(Ref. 101). This lack of decline in cigar
smoking is a concern considering
cigarette smoking among high school
students did significantly decline over
these periods (id.). Among NYTS high
school students overall from 2011 to
2014, there was a decrease in prevalence
of current use of cigars from 11.6
percent to 8.2 percent (Ref. 22).
(Comment 92) The comments were
divided as to whether youth use
premium cigars. Some comments
provided data demonstrating youth use
of premium cigars. Others submitted
mainly informal industry surveys and
anecdotal evidence illustrating that the
majority of premium cigar users are
older adult males who smoke
infrequently and often in a celebratory
nature. A few other comments stated
that patterns of use studies are
inconclusive, because many studies do
not differentiate between premium
cigars and mass-market cigars.
(Response) Although youth and young
adults tend to smoke mass market cigar
brands, they are also using premium
cigars. In one study, researchers used
data from the 2010–2011 NSDUH and
Nielsen market scanner data to define a
study sample consisting of 6,678 past
30-day cigar smokers who reported
smoking a usual brand of cigars (Ref.
59). While many youth identified a mass
market cigar as the brand they used
most often, this analysis reveals that 3.8
percent of youth aged 12 to 17 and 12.1
percent of young adults aged 18 to 25
also identified certain premium cigars to
be the brand they smoked most often
(id.). Individuals in both cohorts
reported at least eight different premium
cigar brands among the brands they
used most often, providing evidence
that youth and young adults are
smoking premium cigars (id.).
One study analyzing data from the
2012–2013 National Adult Tobacco
Survey (NATS), with 60,192
participants 18 years and older found
that of those smokers whose type of
cigar could be identified based on the
attributes of their usual product (e.g.,
premium cigar smoker, little cigar
smoker, cigarillo smoker), 19.9 percent
were premium cigar smokers (Ref. 90).
More specifically, 15.1 percent of cigar
smokers aged 18 to 29 years old, who
identified themselves as smoking every
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day, some days, or rarely, indicated the
cigar they usually smoked on those
occasions was a premium cigar (id.),
which clearly illustrates that young
adults are using premium cigars.
Although some comments questioned
the applicability of the NATS data on
premium cigar use by youth and young
adults (in part, because the study did
not use the proposed definition of
‘‘premium cigar’’ in the NPRM), FDA is
not persuaded. FDA does not believe it
is necessary for the definition of
premium cigars in this study to match
exactly the definition in the NPRM in
order to draw inferences about the use
of different types of cigar products.
These data, along with the NSDUH and
Nielsen market scanner data discussed
previously, clearly indicate that youth
and young adults are using premium
cigars.
Some comments stated the previously
mentioned studies show only minimal
premium cigar use by minors. By
contrast, they relied on Soldz et al. (Ref.
102), which examined preferred cigar
brands based on a survey of
Massachusetts middle and high school
students. Although the study did not
include any particular premium cigars
among the brands reported, 16.4 percent
of youth cigars users were categorized as
preferring a ‘‘non-listed’’ brand which
the authors suggested ‘‘may largely
consist of premium cigars.’’ The authors
based this determination given the
participants’ positive association
between the ‘‘non-listed’’ brands and
parental cigar use and the negative
association between the listed cigar
brands and parental cigar use.
Consequently, FDA does not believe this
study demonstrates that youth do not
use premium cigars. These comments
also did not provide persuasive peerreviewed evidence indicating that youth
and young adults do not use these
products. In addition, comments stating
that youth and adult cigar use studies
are not conclusive with regard to
premium cigars because they do not
differentiate between cigar types are not
persuasive. Such studies show that
youth and young adults smoke cigars,
and other studies that do differentiate
between product types, such as those
previously discussed, indicate that
youth and young adults do, in fact, use
premium cigars.
In light of the health risks associated
with the use of all types of cigars, FDA
has selected Option 1 and is deeming all
cigars, including premium cigars, in this
rule.
(Comment 93) A few comments
disagreed with FDA’s characterization
of one study cited in the NPRM (Ref.
103) for the proposition that young
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adults often mistakenly view noncigarette tobacco products, such as
cigars, as safe alternatives to cigarettes.
They noted that most young adult
participants in the study rated shisha,
herbal cigarettes, and herbal smokeless
as ‘‘safer than cigarettes,’’ but rated
cigars and kreteks as more harmful.
(Response) Many consumers believe
that noncigarette tobacco products,
including cigars, are less harmful than
cigarettes. Although the overall study
population did rate cigars as more
harmful, there were subgroups (such as
African Americans and non-Hispanic
whites) that rated cigars from ‘‘a little
safer’’ to ‘‘much safer.’’ Deeming all
tobacco products, including premium
cigars, to be subject to chapter IX of the
FD&C Act will help to alleviate
mistaken beliefs that certain tobacco
products are safe alternatives to
cigarettes by virtue of the fact that they
are not subject to FDA regulation.
(Comment 94) A few comments also
stated that premium cigar use among
young adults is irrelevant because
Congress did not task FDA with
protecting young adults who are
lawfully permitted to purchase tobacco
products.
(Response) FDA is concerned with
tobacco use by all age groups, including
young adults and adults who may
lawfully purchase these products. The
Tobacco Control Act charges FDA with
protecting the public health generally,
not only the health of minors (section 3
of the Tobacco Control Act).
Nevertheless, FDA is particularly
concerned with tobacco use by youth
and young adults, as they are uniquely
more susceptible to becoming addicted
to nicotine than adults or older smokers.
As discussed in the NPRM, most
tobacco users begin using prior to the
age of 18 and believing they will be able
to quit. However, most youth are unable
to stop tobacco use once they become
addicted. Accordingly, FDA is taking
steps to reduce the potential harm to
youth and young adults from tobacco
products.
(Comment 95) Many comments
expressed concerns regarding flavored
cigars, including flavored premium
cigars, and their effect on youth
initiation. Some comments concluded
there is no evidence that minors
consume flavored premium cigars,
relying on one study in which the
flavored premium cigar brands of youth
use accounted for only a fraction (0.1
percent) of the less than 4 percent
reported use of premium cigar brands
(Ref. 59).
(Response) FDA is announcing that it
intends in the future to issue a proposed
product standard that, if finalized,
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would eliminate characterizing flavors
in all cigars including cigarillos and
little cigars.
(Comment 96) Some comments
argued that premium cigars do not pose
youth access issues because
manufacturers and retailers do not
market them to youth (i.e., they are not
cheap, candy- and fruit-flavored, or easy
to access) and age verification is already
required at the point of sale limiting
access to adults only. They relied, in
part, on FDA’s statements in the 1996
tobacco youth access rule in which FDA
stated there was insufficient evidence of
youth cigar use to warrant cigar
regulation (61 FR 44396). The comments
stated there is no evidence that the
situation has changed since then and
that exempting premium cigars from
tobacco product regulation is also
warranted because youth do not use
premium cigars to any significant
degree.
(Response) FDA disagrees. The
Agency’s statement regarding the
availability of evidence to support cigar
regulation was made 18 years ago and
based on the evidence available at that
time. In fact, FDA explicitly stated that
there was insufficient evidence to
regulate cigars ‘‘at this time’’ (i.e., 1996)
(61 FR 44396 at 44422). Moreover, the
1996 rule was issued under the
authority of the FD&C Act prior to the
passage of the Tobacco Control Act.
Consequently, one of the reasons FDA
did not assert jurisdiction over cigars in
the 1996 rule was because it did not
have sufficient evidence ‘‘that these
products satisfy the definitions of drug
and device in the act’’ (61 FR 44396 at
44423). Cigars, including premium
cigars, clearly do satisfy the definition
of a ‘‘tobacco product’’ and evidence has
become available since 1996 indicating
that youth and young adults use cigars,
including premium cigars (Refs. 59, 68,
90).
C. Patterns of Use Do Not Preclude
Users From Experiencing Negative
Health Effects
Proponents of Option 2 claimed that
patterns of use preclude premium cigar
smokers from experiencing the negative
health effects of tobacco smoke because
they smoke infrequently and do not
inhale. However, despite our explicit
requests in the NPRM, the comments
did not include data indicating that
premium cigar smokers are not subject
to disease risk and addiction. FDA’s
responses to comments regarding these
issues are included as follows.
(Comment 97) Many comments stated
that a majority of cigar users are
occasional smokers (two to six cigars
per week) and do not inhale (citing Refs.
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69, 75). They also indicated that
premium cigar use does not lead to
addiction. Finally, some comments
noted that occasional cigar users have
not been studied in epidemiological
research, and data for the lowest level
of cigar users (one to two cigars per day)
do not reveal mortality rates that are
significantly different from nonsmokers
(Refs. 69, 79). However, other comments
included evidence suggesting increased
disease risk and nicotine dependence
among infrequent cigar users and those
reporting they do not inhale.
(Response) FDA disagrees that
patterns of use preclude premium cigar
users from experiencing the negative
health effects of these products. All
cigars produce toxic cigar smoke (Refs.
35, 69). In addition, studies have shown
that cigar smoking can cause several
different types of cancer even without
inhalation (Refs. 69, 104). For example,
one study found an increased risk in
head and neck cancers in people who
were not cigarette smokers but had
previously smoked only cigars (Ref.
104).
While inhaling cigar smoke poses
much higher morbidity and mortality
rates than not inhaling, significant risk
still exists for those who do not inhale.
Researchers found that the risk of
stomach cancer mortality was
significantly higher among cigar users
who reported they did not inhale when
compared to those who did not use
tobacco products (Ref. 105).
Additionally, among primary cigar
smokers reporting that they do not
inhale, relative mortality risk was still
highly elevated for oral, esophageal, and
laryngeal cancers (Ref. 83). A recent
systematic review of cigar smoking and
mortality summarized the results of 22
published studies from 16 different
prospective cohorts and found that
primary cigar smoking was associated
with increased risk of mortality from all
causes, several types of cancers,
coronary heart disease, and aortic
aneurysm compared to nonsmokers
(Ref. 82). Mortality risks were greater
with increasing number of cigars
smoked per day and self-reported level
of inhalation; however, primary cigar
smokers reporting no inhalation still
had highly elevated mortality risks for
oral, esophageal, and laryngeal cancers
compared to nonsmokers (id.). In
addition, even if they do not intend to
inhale and are not aware that they are
doing so, most cigar smokers do inhale
some amount of smoke (Refs. 32, 34).
Although studies indicate that some
cigar smokers may absorb less tobacco
smoke, they also show that all cigar
smoking is harmful. Regardless of
whether cigar smokers inhale, they are
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still subject to the addictive and other
adverse health effects of the product
through absorption of nicotine and
harmful constituents (Refs. 32, 81).
(Comment 98) Supporters of Option 2
claimed that premium cigar smokers use
cigars less frequently than cigarette and
smokeless tobacco users and, therefore,
premium cigars should either not be
regulated or should be subject to less
regulation. They relied upon a study
showing that the adult prevalence of
everyday or occasional use of cigarettes
was 18 percent and 2.6 percent for
smokeless tobacco products, compared
to 2 percent for cigars, cigarillos, and
little filtered cigars (Ref. 106).
(Response) Although the prevalence
of cigar smoking in the U.S. population
is lower than cigarette smoking, use of
cigars still presents health risks.
Researchers estimate that regular cigar
smoking was responsible for
approximately 9,000 premature deaths
or almost 140,000 years of potential life
lost among adults 35 years or older in
2010 (Ref. 68). As stated in the previous
response, all cigars produce toxic cigar
smoke (Refs. 35, 69). Any cigar use
exposes the mouth and throat to tobacco
smoke and studies have shown that
cigar smoking can cause several
different types of cancer even without
inhalation (Refs. 69, 104). Health risks
still exists for those who do not inhale.
For example, researchers found that the
risk of stomach cancer mortality was
significantly higher among cigar users
who reported they did not inhale when
compared to those who did not use
tobacco products (Ref. 107).
Additionally, among primary cigar
smokers reporting that they do not
inhale, relative mortality risk was still
highly elevated for oral, esophageal, and
laryngeal cancers (Ref. 83). Therefore,
all cigars expose users to toxic and
cancer-causing substances and increase
the risk of harm. Basing an exemption
for premium cigars on current use
patterns would be inappropriate given
that patterns may change over time and
in response to regulation. Consequently,
FDA has concluded that deeming all
cigars, including premium cigars, is
appropriate for the protection of the
public health.
D. Responses to Other Cigar Comments
(Comment 99) Some comments
expressed concern that if FDA did not
deem all tobacco products subject to
regulation, the tobacco industry would
adjust its products to fit the exemption
for premium cigars in Option 2 and
preferential economic treatment of
certain manufacturers would result.
These comments argued that just as
manufacturers of roll-your-own tobacco
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changed their roll-your-own product to
classify it as pipe tobacco to take
advantage of positive tax treatment,
manufacturers would seek similar ways
to circumvent regulations and continue
marketing products that are detrimental
to public health.
(Response) Because FDA has selected
Option 1 deeming all cigars, rather than
a subset, for this final rule, these
comments are moot.
(Comment 100) Many comments
stated that it is important for FDA to
regulate all tobacco products, including
cigars, pipe tobacco, and e-cigarettes in
the same way, and that the Agency
should ensure that a consistent set of
regulatory criteria is applied to all
tobacco products and nicotine delivery
systems. According to the comments,
failure to regulate all tobacco products
would provide incentives for
manufacturers to market new tobaccobased or tobacco-derived products that
are unregulated and may induce people
to switch to the unregulated products.
(Response) FDA agrees that it is
appropriate for the protection of the
public health to regulate all tobaccoderived products meeting the definition
of ‘‘tobacco product.’’ There is inherent
risk in all tobacco-derived products.
Further, the Agency agrees that use
patterns may change (and have changed)
over time and in response to regulation.
(Comment 101) At least one comment
expressed concern that FDA relied upon
an abstract presented at the Conference
for the Society for Research on Nicotine
and Tobacco (SRNT) as a basis for
proposing Option 1. The comment
stated that because the abstract was not
a full peer-reviewed research article,
stakeholders were unable to adequately
respond to the claims made.
(Response) FDA disagrees. Additional
analysis of the data that was the subject
of this SRNT abstract was conducted
and a paper was published and
submitted to the docket, allowing for
stakeholders to comment on it (Ref. 90).
The abstract presented at SRNT also was
not the sole basis for proposing Option
1. FDA appropriately characterized this
as preliminary data and included
additional data and information to
support this proposed option. In
addition, FDA has supplemented the
information and data supporting Option
1, as discussed in section VII, to provide
additional evidence of premium cigar
use by youth and young adults and to
illustrate that the patterns of use for
premium cigars do not preclude users
from negative health effects.
(Comment 102) Comments urged FDA
to adopt a category-specific approach to
regulation of cigars in order to more
effectively address the variations in use
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patterns, manufacturing, and
ingredients across the product category.
Other comments, however, urged FDA
to broadly regulate all cigars in the same
way to reduce initiation and current use
among youth. More specifically,
comments advocated prohibiting
flavors, including menthol, in all cigars,
prohibiting self-service displays, and
establishing minimum pack size
requirements for all cigars.
(Response) Although the statute does
not require FDA to make any public
health finding in order to deem tobacco
products, the Agency has determined
that cigar use presents health risks and
that all cigars should be brought under
its regulatory authority. However, FDA
is providing a compliance policy that
will provide additional time for
manufacturers of newly deemed
products to comply with certain
requirements, and which will reduce
the burdens on manufacturers as they
become regulated by FDA for the first
time. As explained elsewhere in this
document, FDA is announcing that it
intends in the future to issue a proposed
product standard that would eliminate
characterizing flavors in all cigars
including cigarillos and little cigars.
(Comment 103) Some comments
supporting Option 2 argued that FDA is
not obligated to deem all tobacco
products that meet the statutory
definition of ‘‘tobacco product.’’ They
also stated that the intent of the Tobacco
Control Act was to target tobacco
products marketed to children and
products that cause addiction, which is
why ‘‘cigarette’’ and ‘‘little cigar’’ were
specifically defined in the Tobacco
Control Act and large and premium
cigars were not similarly defined. Thus,
they claim exempting premium cigars is
consistent with Congress’ intent that
premium cigars not be regulated, which
they state is further evidenced by
introduction of such legislation in
Congress.
(Response) FDA agrees that the
Agency is not obligated to deem all
tobacco products but disagrees with
comments purporting to explain
Congress’ intent to only regulate
products marketed to children. The
purpose of the Tobacco Control Act was
to provide authority to FDA to regulate
tobacco products and protect not only
the health of minors, but also the health
of the public overall (section 3 of the
Tobacco Control Act). While use of
tobacco products by youth was and
continues to be a significant focus of the
law, it is clear that Congress did not
intend that the Tobacco Control Act
reach only products marketed to
children, as they included many
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provisions applicable to tobacco
products marketed to adults.
(Comment 104) Many comments
expressed concern that premium cigar
regulation would impose considerable
costs and place excessive burdens on
small businesses without quantifiable
benefits. In particular, many comments
stated that premarket review would be
cost-prohibitive for premium cigar
manufacturers, effectively eliminating
their ability to release special editions
and seasonal blends. They also claimed
that HPHC testing and reporting and
other regulatory requirements like the
prohibition on free samples would be
equivalent to a de facto ban on premium
cigars. They also expressed concern
about the political and economic impact
of premium cigar regulation on two
foreign nations given the potential
impact on production and exports of
their premium cigars to the United
States.
Some comments also argued that an
exemption for premium cigars is
appropriate, because premium cigars are
unique in the way that they are made,
marketed, sold, purchased, and used.
They stated that regulation would stifle
innovation in the premium cigar market,
devastate a long-time social and cultural
phenomenon, and limit the freedoms of
businesses and consenting adults to sell
and purchase a legal product.
(Response) FDA understands these
concerns. The Agency has determined
that cigar use presents health risks and
that all cigars should be brought under
its regulatory authority.
To assist newly regulated firms, FDA
is announcing in this final rule a
compliance policy to address some of
the possible burdens suggested by
comments (section IV.D). For example,
FDA does not intend to enforce the
premarket review requirements against
cigar manufacturers that make tobacco
blending changes to address the natural
variation of tobacco (e.g., tobacco
blending changes due to variation in
growing conditions) in order to
maintain a consistent product. However,
FDA intends to enforce the premarket
requirements for products that have
tobacco blending changes (including
those involved in seasonal and boutique
blends) that are intended to alter
chemical or perception properties of the
new tobacco product (e.g., nicotine
level, pH, smoothness, harshness). FDA
also is working to determine an
appropriate compliance policy to deal
with HPHCs for newly deemed products
and is intending to issue guidance
regarding HPHC reporting, and later a
testing and reporting regulation as
required by section 915, with enough
time for manufacturers to report given
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the 3-year HPHC reporting compliance
period. As noted elsewhere in this
document, FDA does not intend to
enforce the reporting requirements for
newly deemed products before the close
of the 3-year compliance period, even if
the guidance is issued well in advance
of that time. In addition, as discussed in
section IV.D, FDA is announcing a
compliance policy for small-scale
tobacco product manufacturers (which
likely would include premium cigar
manufacturers), which states that FDA
generally intends to grant small-scale
tobacco manufacturers additional time
to respond to SE deficiency letters and
to not bring enforcement action against
those small-scale tobacco product
manufacturers who submit ingredient
lists within 12 months of the effective
date of the rule, and is granting these
manufacturers an additional six-month
compliance period for the requirements
to submit tobacco health documents.
FDA believes that this compliance
policy will help to assist these
manufacturers with regulatory
compliance.
FDA also understands concerns from
cigar retailers about the effect that a ban
on free samples could have on their
ability to promote new products. FDA
wishes to clarify that allowing
prospective adult buyers to smell or
handle a cigar is not considered the
distribution of a ‘‘free sample’’ for the
purpose of 21 CFR 1140.16 as long as
the product is not actually consumed in
the retail facility and the prospective
buyer does not leave the facility with a
free tobacco product (whole or part).
Affording adult consumers the
opportunity to handle the product will
give them the ability to feel the
resistance of the cigar’s structure, and
allow them to clearly see the color of the
product, which is an indication of the
fermentation period for the tobacco. It
also will allow users to capture the
aroma of the cigar and the box (if the
cigar is sold in a package). Therefore, it
would not be considered a free sample
if a prospective buyer smells the cigar
while handling it. We believe that in
most circumstances, other retail
facilities, including ENDS retail
establishments, can similarly allow
customers to touch, hold, and smell
their products without violating the free
sample ban. However, if the prospective
buyer lights and draws or puffs on the
cigar to keep the cigar lit, or otherwise
uses the free cigar or leaves the retail
establishment with a free cigar, this
would constitute a ‘‘free sample’’ in
violation of § 1140.16.
(Comment 105) Many comments
requested that the exemption for
premium cigars be extended to hand-
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operated, vintage machine-made cigars.
Comments stated such cigars are
indistinguishable from handmade
premium cigars, are sold on the same
shelves as premium cigars, and do not
resemble mass-market cigars. The
comments further argued that
consumers perceive them to be just like
value-priced handmade cigars and
treating them differently would create
significant enforcement issues for FDA.
They stated that, without an exemption,
manufacturers of these products would
be forced to close and eliminate jobs,
negatively impacting the regional
economy where such cigars are
produced.
(Response) As already stated, FDA has
selected Option 1 deeming all cigars,
rather than a subset, for this final
deeming rule. Therefore, all cigars,
including hand-operated, vintage
machine-made cigars, are deemed and
subject to the requirements of chapter IX
of the FD&C Act and implementing
regulations. Concerns noted by some
comments about the burdens of
regulation are addressed in sections
IV.C and IV.D.
(Comment 106) At least one comment
expressed concern that retailers may not
be able to determine whether a cigar
meets all of the elements of the final
definition of a ‘‘covered cigar.’’
Therefore, the comment stated that
retailers should not be liable for a
manufacturer’s improperly labeled
premium cigars (similar to the retailer
‘‘safe harbor’’ for required warning
labels and advertising in the proposed
cigarette graphic warning rule (75 FR
69524 at 69535, November 12, 2010)).
(Response) FDA has selected Option
1, which requires all cigars (rather than
a subset) to include the textual health
warnings. FDA also notes, however, that
§ 1143.5(a)(4) does provide a retailer
‘‘safe harbor’’ for required warning
labels for packaging that contains a
health warning; is supplied to the
retailer by a manufacturer, importer, or
distributor who has the required state,
local, or Alcohol and Tobacco Tax and
Trade Bureau (TTB)-issued license or
permit, if applicable; and is not altered
by the retailer in a way that is material
to the requirements of § 1143.5.
Retailers must have the required
warnings on advertisements as stated in
§ 1143.5(b)(1).
(Comment 107) Some comments
stated that FDA has the authority to
assert jurisdiction over all cigars and
differentially apply regulations to
certain cigars if shown to be appropriate
based on scientific evidence. Thus,
according to the comments, if it were
established that premium cigar risk is of
a different nature and degree than the
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risks of other types of cigars based on
who uses them and how they are used,
the Agency could apply its authority in
a way that fits the risks posed by the
product. These comments concluded
that because of this, it is unnecessary
and would be inappropriate to
completely exempt premium cigars.
Similarly, some comments applied
the notion of a ‘‘continuum of risk’’ to
cigars. They stated that premium cigars
are at the lower end of the spectrum
(Ref. 76) due to the common usage
patterns (i.e., described as most
frequently used by adults, on special
occasions, and users do not inhale).
Therefore, they urged that FDA regulate
premium cigars in line with the notion
of a continuum of risk.
(Response) FDA agrees that a
continuum of nicotine-delivering
products does exist as demonstrated by
the lower levels of toxicants in ENDS in
comparison to cigarettes, and may
warrant different requirements for
products at different ends of this
continuum. However, commenters have
not substantiated their claims that the
patterns of use for premium cigars
preclude users from negative health
effects. Instead, as discussed throughout
this section, cigar use poses a greater
risk than not smoking, and lack of
inhalation do not prevent the onset of
cigar-related morbidity and mortality.
Therefore, FDA has concluded that it is
appropriate for all cigars to be brought
under its regulatory authority.
(Comment 108) Several comments
stated that it would be inappropriate
and inaccurate for FDA to treat ‘‘cigars’’
as a single homogenous category or to
simply overlay the existing regulatory
framework for cigarettes onto the
diverse suite of deemed products. They
further stated that because of the
significant differences among cigar
products, it is critical that FDA
distinguish between the specific cigar
subtypes in determining whether any,
some, or all cigars should be subject to
regulation. If FDA were to do otherwise,
they believe the Agency would risk
establishing an arbitrary and capricious,
overly broad regulatory scheme that
fails to meet its burden to protect the
public health without imposing undue
burden on the industry.
(Response) FDA disagrees. Upon
review of comments and scientific
evidence, FDA has determined that all
cigars present a risk to public health
and, consequently, should be deemed.
(Comment 109) A few comments
discussed different regulatory
approaches for make-your-own cigar
products (e.g., cigar wrappers and cigar
tobacco). At least one comment
suggested treating these products as
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cigars while others urged regulation of
them in a manner similar to cigarette
papers and roll-your-own tobacco.
(Response) With this final rule, makeyour-own cigar products, including
cigar wrappers and cigar tobacco, are
tobacco products and subject to FDA’s
tobacco control authorities under
chapter IX of the FD&C Act. Cigar
wrappers containing tobacco or tobaccoderived nicotine and cigar tobacco
packaged and sold individually are also
subject to the warning requirement for
‘‘covered tobacco products’’ found in
§ 1143.3.
(Comment 110) At least one comment
stated that FDA should not permit
manufacturers to self-classify their
products as cigarettes or cigars, and if
premium cigars are exempted, should
not permit self-classification of cigars as
premium or nonpremium.
(Response) Regardless of how they
may be classified by their
manufacturers, cigars and cigarettes will
be classified based on the definitions
included in this final rule.
(Comment 111) A few comments
argued that bias existed for any study or
analysis cited in the NPRM that was
written or contributed to by FDA
employees. These comments were
concerned that FDA employees
generating and analyzing data did so to
support the proposed regulation of
cigars.
(Response) FDA disagrees. FDA notes
that most of the studies cited in the
NPRM that were authored by FDA
employees have been published in peerreviewed journals. Where the NPRM
discussed research results presented at
a professional conference, SRNT, but
not yet included in a peer-reviewed
journal, FDA clearly stated so and
specifically requested comment (79 FR
at 23151). That research has since been
published (Ref. 90).
(Comment 112) Some comments
criticized the methodologies used by
researchers in studies FDA cited in the
NPRM (e.g., Ref. 59). For example, they
claimed that the Delnevo, et al. study
regarding youth use of flavored cigars
(id.) was flawed, because the study cites
any use of the brand by youth as use of
the flavored variety of that cigar brand
(even though the respondent might use
an unflavored variety of that cigar). The
comments had additional concerns
regarding the study, such as missing
data on cigar brand from 13 percent of
cigar smokers, as well as concerns about
whether study participants provided
accurate information regarding cigar
brand used, and whether the study
population was representative of the
U.S. population. Other comments stated
that studies in peer-review journals are
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politically biased and that studies that
oppose tobacco product regulation are
often prohibited from publication.
(Response) The Delnevo, et al.
publication found that youth and young
adults are significantly more likely than
older adults to prefer cigar brands that
are more likely to be flavored (Ref. 59).
Because no national data directly
compared youth and adult flavored
cigar use within the same study,
Delnevo and colleagues conducted an
ecological analysis combining data from
the 2010–2011 NSDUH on cigar brand
smoked most often, with Nielsen data
indicating the percent of the cigar
brands’ market share that are labeled as
flavored cigar products. These results,
coupled with information on the
prevalence of flavored cigar use from
studies restricted to youth or to young
adults, provide additional indirect
evidence of the popularity of flavored
cigars among younger cigar smokers as
compared to older adult cigar smokers.
Especially when coupled with research
results on the prevalence of flavored
cigar use in studies restricted to youth
or young adults, this study provides
additional supporting evidence of the
widespread appeal of flavored varieties
of these products among young
Americans. The comments noted that,
in the 2010–11 NSDUH, 13 percent of
cigar smokers did not report a usual
cigar brand and expressed concern
about the ability of those who reported
their usual cigar brands to do so
accurately. Some cigar smokers may in
fact not actually have a cigar brand they
smoke most often and consequently did
not provide a brand response, while
other respondents may have chosen not
to provide their usual brand
information. Among the latter group,
missing data is always a concern,
although there is no evidence from the
study to suggest that those who
provided brand information were
systematically different than those who
did not. Additionally, the comments did
not provide evidence to substantiate the
concern that respondents were not
reporting the brand names they actually
used. Lastly, FDA does not agree with
concerns about representativeness of the
survey. The NSDUH is designed to be
representative of the U.S. civilian, noninstitutionalized population, ages 12
and older (https://www.samhsa.gov/
data/population-data-nsduh). FDA does
not rely on any single study to support
decisions included in this final rule.
FDA cited many peer reviewed studies
in the NPRM and relies upon many
peer-reviewed studies to support the
decisions included in this final rule,
including the Delnevo publication.
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VIII. Regulation of Electronic Nicotine
Delivery Systems (Including ECigarettes) and the Continuum of
Nicotine-Delivering Products
In the preamble to the NPRM, FDA
noted that there are distinctions in the
health risks presented by various
nicotine-delivering products. FDA
requested comment as to how ecigarettes should be regulated based on
this continuum of risk. We explained
that some studies have revealed the
existence of toxicants in both the ecigarette liquid and the exhaled aerosol
of some e-cigarettes but that we do not
have sufficient data to determine what
effects e-cigarettes have on public health
at the population level. We also noted
that some individuals report using ecigarettes to successfully quit smoking,
but we expressed concerns about dual
use of e-cigarettes and combusted
tobacco products and the possibility
that flavored e-liquids are leading
children to initiate tobacco use with ecigarettes.
In this final rule, FDA clarifies that
although there are many types of ENDS
(including e-cigarettes, e-cigars, ehookah, vape pens, personal vaporizers,
and electronic pipes), all are subject to
FDA’s chapter IX authorities with this
final deeming rule. Comments regarding
e-cigarettes, including comments on
how the products should be regulated in
light of this continuum, and FDA’s
responses are discussed in the following
sections.
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A. Terminology
(Comment 113) Some comments
expressed confusion as to what is
encompassed by the term ‘‘e-cigarette.’’
Other comments stated that the
‘‘electronic smoking devices’’ covered
under this deeming rule should include
e-cigarettes, e-cigars, e-hookah, and
vape pens.
(Response) FDA agrees that electronic
nicotine delivery systems or ENDS are
sold under several different names
including e-cigarettes, e-cigars, ehookah, vape pens, personal vaporizers,
and electronic pipes. These products all
meet the definition of ‘‘tobacco
product’’ and, therefore, under this rule,
all are subject to FDA’s tobacco control
authorities, regardless of a novel name
or heating source. In addition, the
definition of tobacco product includes
components and parts (the objects
intended or reasonably expected to be
used with or for the human
consumption of a tobacco product that
are not accessories) (e.g., e-liquids,
tanks, cartridges, pods, wicks,
atomizers), which, under this rule, have
also been deemed to be subject to FDA’s
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authority under chapter IX of the FD&C
Act.
B. Prevalence
In the NPRM, FDA expressed concern
about the increase in prevalence of the
newly deemed products, particularly
the alarming rise in e-cigarette use by
middle school and high school students.
The comments included peer-review
studies, focus group results, and data
regarding the prevalence of ENDS use.
(Comment 114) Some comments
noted that it was difficult to fully
ascertain prevalence of use of these
products because they are sold under
many different names. However, they
generally agreed that the prevalence of
e-cigarette use has increased in recent
years, citing peer-reviewed studies and
data from state or regional surveys (e.g.,
Ref. 108). For example, comments cited
the 2013 North Carolina Youth Tobacco
Survey (NCYTS) and expressed concern
that, while the current cigarette smoking
rates among North Carolina high school
students decreased in recent years, the
overall current use of tobacco products
increased from 22.5 percent in 2011 to
24.5 percent in 2013. In particular, the
rate of e-cigarette use increased from 1.7
percent in 2011 to 7.7 percent in 2013,
and 2.7 percent of high school students
who had never tried a cigarette
indicated that they were considering
using e-cigarettes in the next year.
However, some of these comments
believed that the data showing an
increase in e-cigarette use among youth
and young adults only reflects their
experimentation (and not long-term use)
and that there are no data showing that
this experimentation leads to long-term
use or dual use with combusted tobacco
products. Others stated that although ecigarette use may be increasing among
youth and young adults, this increase is
due to the fact that young adult smokers
are switching to e-cigarettes, as are adult
smokers.
(Response) FDA agrees with
comments stating that the prevalence of
use of the newly deemed tobacco
products has been increasing, which
further substantiates the need for this
final rule. FDA remains concerned
about the rise in use of newly deemed
products by youth and young adults,
particularly the increase in use of ENDS.
As we stated in the NPRM and
throughout this document, long-term
studies are not yet available to
determine whether these youth and
young adults are only experimenting
with tobacco use, becoming established
ENDS users or dual users, or
transitioning to combusted products. In
addition, there is not sufficient evidence
to conclude that youth and young adults
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are using ENDS as a means to quit
smoking.
(Comment 115) Many comments
contended that the great majority of ecigarette users consist of former smokers
and those trying to quit smoking, rather
than those who are initiating tobacco
use with e-cigarettes (e.g., Ref. 109). The
comments included data from regional
surveys indicating that even where there
has been a significant increase in youth
and young adult e-cigarette use, the
increase is seen in experimenters and
not daily users. For example, a few
comments referred to a report
commissioned by Public Health England
which referred to a study that found that
only 1 percent of 16 to 18-year-old never
smokers have experimented with ecigarettes and few, if any, progress to
sustained use (Ref. 110).
(Response) Data reported by the CDC’s
National Center for Health Statistics
(NCHS), which provides the first
estimates of e-cigarette use among U.S.
adults from a nationally representative
household interview study, indicate that
current cigarette smokers and recent
former smokers (i.e., those individuals
who quit smoking within the past year)
were more likely to use e-cigarettes than
long-term former smokers (i.e., those
individuals who quit smoking more
than one year ago) and adults who had
never smoked (Ref. 24). In addition, the
CDC states that current cigarette
smokers who had tried to quit smoking
in the past year were more likely to use
e-cigarettes than those who had not
tried to quit (id.). It is noted that it
cannot be determined by the research
findings: (1) Whether former cigarette
smokers who now exclusively use ecigarettes would have ceased smoking
cigarettes regardless of e-cigarette use;
and (2) whether the e-cigarette use
preceded or followed smoking
cessation. Similar patterns have been
observed in Europe, where researchers
found that ‘‘e-cigarette use was more
likely among smokers who had made a
past year quit attempt’’ when compared
to smokers who had not (Ref. 111). As
discussed in further detail in response
to Comment 144, a meta-analysis of 15
cohort studies, 3 cross-sectional studies,
and two clinical trials (one RCT, one
non-RCT) found that cigarette smokers
who also used e-cigarettes had
statistically significantly worse quit
rates than those cigarette smokers who
did not use e-cigarettes (Ref. 112).
However, FDA also remains
concerned about the dramatic rise in
ENDS use among youth; between 2011
and 2014, past 30 day e-cigarette use
among high school students increased
nearly 800 percent from 1.5 percent in
2011 to 13.4 percent in 2014 (Ref. 22),
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and between 2011 and 2013, the number
of never-smoking youth who had
reported ever using an e-cigarette
increased 3-fold, from 79,000 to more
than 263,000 youth (Ref. 113). The
Surgeon General has stated that
adolescents appear to be particularly
vulnerable to the adverse effects of
nicotine on the central nervous system
(Ref. 9), and ENDS may deliver as much
nicotine as other tobacco products (Ref.
114).
FDA is investing in long-term,
population-level research, such as the
PATH Study, to help assess the
likelihood that previous nonusers of
tobacco who experiment with ENDS
will initiate regular tobacco use over
time. Such longitudinal studies can
further assess the factors associated with
potential smoking cessation among ecigarette users.
(Comment 116) The comments
generally agreed that youth are
increasingly using e-cigarettes, but
disagreed as to the product’s impact on
nicotine addiction. As FDA noted in the
proposal and as discussed by many
comments, the CDC found that ever use
of e-cigarettes by middle and high
school students in the United States
increased from 3.3 percent in 2011 to
6.8 percent in 2012 (Ref. 108). While the
majority of comments recognized an
increase in dual use, some suggested
that this was not an issue because youth
are using e-cigarettes to quit smoking,
resulting in some dual use until they
can completely abstain from
conventional cigarettes (Ref. 115).
(Response) FDA remains concerned
about the rise in ENDS use among youth
and young adults as well as the trends
in dual use of ENDS and combusted
products in both youth and adults (Ref.
116). In addition, as stated in the NPRM
and throughout this final rule, all
tobacco products are potentially
addictive and some ENDS may deliver
as much nicotine as other tobacco
products (Ref. 20). The Surgeon General
has stated that adolescents appear to be
particularly vulnerable to the adverse
effects of nicotine on the central
nervous system (Ref. 9). FDA believes
that this final deeming rule, along with
the minimum age restrictions and health
warning requirements, is an important
step toward combatting this rise in
tobacco product use among youth and
young adults.
A recently published paper by
Friedman (Ref. 42) looked at youth
smoking rates in states that enacted
early bans on sales of e-cigarettes to
minors and concluded, based on statelevel data available through 2013, that
the decline in adolescent smoking rates
slowed in states that enacted restrictions
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on access to ENDS by minors before
January 2013, relative to states that did
not. Given the various issues with this
study (see previous discussion regarding
this publication in response to comment
33), FDA acknowledges this paper as a
first attempt to study potential impacts
of youth ENDS access restrictions, but
emphasizes that further research will be
needed to explore the effects of this rule
on product switching and dual usage.
C. Toxicity and Nicotine in E-Liquid and
Aerosol
Although FDA noted in the NPRM
that we do not currently have sufficient
data about e-cigarettes and similar
products to fully determine what effects
they have on the public health, we
identified concerns regarding the
toxicants in e-liquid and the exhaled
aerosol and the nicotine delivery from ecigarettes. Comments were divided on
the safety and toxicity of e-liquids, ecigarettes, and the exhaled aerosol.
(Comment 117) The comments
expressed concerns that e-cigarette users
subject themselves to dangerous
constituents, including formaldehyde
and other toxicants. One comment
stated that the release of formaldehyde
occurs only when the voltage on ecigarettes is set to 4.8 volts or higher
(Ref. 67). Some comments also
submitted studies showing the existence
of other e-liquid constituents, including
prescription weight loss and erectile
dysfunction drugs (Ref. 117).
(Response) Studies show that e-liquid
tobacco products contain nicotine,
propylene glycol, glycerin, tobacco
specific nitrosamines, tobacco alkaloids,
carbonyls, ethylene glycol, diacetyl, and
acetyl propionyl (Refs. 19, 118, 119).
Chemicals such as nicotine, carbonyls,
tobacco specific nitrosamines, heavy
metals, and volatile organic compounds
have been identified in e-cigarette
aerosols (Refs. 19, 118, 119, 120, 121,
122).
In addition, several studies
substantiated the data included with
comments, finding that flavored eliquids contain chemicals that could be
dangerous to consumers when inhaled.
For example, researchers in one study
tested 159 e-liquids with sweet flavors,
such as toffee, chocolate, and caramel,
and found that almost three quarters of
the samples (74 percent) contained
diacetyl or acetyl propionyl (Ref. 123),
both of which pose known inhalation
risks (e.g., Ref. 124). Among those that
tested positive, nearly half of the eliquids in the study could expose users
to levels that exceed recommended
workplace limits for breathing these
chemicals (Ref. 123). An additional
recent study analyzed 51 types of
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29029
flavored e-cigarettes for total mass of
diacetyl, 2,3-pentanedione, and acetoin
(Ref. 125). Researchers detected diacetyl
above the laboratory limit of detection
39 of the 51 flavors tested, ranging from
limit of qualification (LOQ) to 239 mg/
e-cigarette. 2,3-pentanedione and
acetoin were also detected in 23 and 46
of the 51 flavors tested at concentrations
up to 64 and 529 mg/e-cigarette (id.). It
is noted that the study involved a
convenience sample of 51 types of
flavored e-cigarettes and may not be
representative of the types of e-liquids
currently available to users. Absent a
regulatory standard, FDA acknowledges
that it may not be possible to account
for the wide variability of
concentrations of constituents in the
flavors of current ENDS products.
Another study analyzed 30 e-cigarette
liquids and found that many flavors,
including cotton candy and bubble gum,
contained aldehydes, a class of
chemicals that can cause respiratory
irritation, airway constriction, and other
effects (Ref. 126). Specifically,
researchers noted that two flavors, a
dark chocolate and a wild cherry, would
expose e-cigarette users to more than
twice the recommended workplace
safety limit for the aldehydes vanillin
and benzaldehyde (id.). Similarly,
researchers found that several
cinnamon-flavored e-liquids contained a
chemical, cinnamaldehyde, which
researchers stated was highly toxic to
human cells in laboratory tests (Ref.
127).
Some studies have found that lower
levels of toxicants are observed in ecigarette aerosols than in combusted
tobacco smoke (Ref. 122). FDA
recognizes that specific product design
parameters, such as voltage, can affect
toxicant deliveries (Ref. 67). For
example, some ENDS devices and some
power levels of operating ENDS devices
have been reported to deliver more
formaldehyde than other ENDS
products and conventional cigarettes
(Refs. 67, 128, 129) and can affect the
public health. In addition, a 2010 study
conducted by the Virginia
Commonwealth University determined
that in a controlled evaluation of
¨
smokers naıve to the use of e-cigarettes
and using a particular model of ecigarette, acute effects of using the
product did not result in measurable
levels of nicotine or carbon monoxide,
although e-cigarettes did suppress
nicotine/tobacco abstinence symptom
ratings (Ref. 130). Moreover, a recent
evaluation of the relative health risks of
ENDS products conducted by Public
Health England has drawn attention to
scientific reviews concluding that ENDS
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are ‘‘likely to be much less, if at all,
harmful to users or bystanders’’ and a
prior paper that reported the findings
from an international expert panel of
academics. Employing an analysis
model that quantifies the relative health
harms of 12 tobacco products using a
series of 14 harm criteria, the expert
panel determined that while cigarettes
scored 100 percent in their assessment
of maximum relative harm, ENDS
products were rated to have only 4
percent maximum relative harm, which
contributed to Public Health England’s
assessment that ENDS are around 95
percent safer than smoking combusted
cigarettes (Ref. 131; see Refs. 76, 132).
The recent evaluation’s use of the
prior paper has several limitations, and
the prior paper itself observed that it
was reporting outcomes based on the
decision-conferencing process from a
group of experts who were selected
without any ‘‘formal criterion,’’ though
‘‘care was taken to have raters from
many different disciplines’’ and
primarily based on geographic location
‘‘to ensure a diversity of expertise and
perspective’’ (Ref. 76). In addition, the
authors acknowledge that there is a
‘‘lack of hard evidence for the harms of
most products on most of the criteria’’
(Refs. 76, 133, 134). The authors did not
explain what scientific information was
available to the experts upon which
they should base their ratings. The
authors did not explain the derivation of
the quantitative assessment of each
harm criterion. It is unclear if the
authors carried out or referenced a
quantitative risk analysis, a standard
practice when assessing relative risk,
nor did the authors indicate that they
used mean levels of exposure to HPHCs
in users or other quantitative evidence
as an approximation of risk. In addition,
population effects appear to be largely
outside the scope of this analysis since
the manuscript did not address the
likelihood that the characteristics of the
products would make them more or less
likely to appeal to new users, be used
in conjunction with other tobacco
products or discourage quitting. They
did not describe an assessment of
population effects such as a quantitative
assessment of youth use prevalence.
FDA does not find the beliefs reported
in the prior paper (Ref. 76) to be
sufficiently conclusive on the relative
risks of using different tobacco
products.14 However, previous studies
detected the presence of aldehydes,
14 In addition, at least one source has identified
other flaws with the expert panel employed in the
Nutt et al. report, including potential conflicts of
interest and no prespecified expertise on tobacco
control among the panel members (Ref. 133).
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especially formaldehyde, in the vapor
from some ENDS to exist at levels much
lower than in cigarette smoke (Ref. 132).
Moreover, across several Japanese
brands evaluated by another researcher
in a self-published Web site, under
some use conditions, ENDS released
1/50th of the level of formaldehyde
released by cigarettes (Ref. 135). The
highest level detected was six times
lower than the level in cigarette smoke
(id.). A clinical investigation comparing
the levels of toxicants and carcinogen
metabolites in the urine of e-cigarette
users and combusted cigarette users
found that e-cigarette users had
significantly lower levels of all
evaluated toxicants, which included
acrolein and crotonaldehyde (Ref. 136).
But other research, published as a letter
to the editor of the New England Journal
of Medicine, reported that ENDS devices
operated at 5 volts delivered a mean of
390+/¥90 mg per 10 puff sample which
is greater than 150 mg, the estimated
average delivery of formaldehyde than
conventional cigarettes. No
formaldehyde-releasing agents were
detected when ENDS were operated at
3.3 volts (Ref. 128). A subsequent peerreviewed article on 5 variable-power
ENDS devices found large variations in
formaldehyde delivery across devices
(Ref. 129). The first device yielded more
formaldehyde than combustible
cigarettes at every power level tested,
and the second device delivered more
formaldehyde at the highest power level
tested; the remaining three devices
delivered less formaldehyde than
combustible cigarettes at all power
levels tested (id.) The same research
found that aldehyde delivery varied by
750-fold from one ENDS device to
another (id.). The article referenced in
one comment (Ref. 67) reported that
increasing the voltage from 3.2 to 4.8
volts increased formaldehyde,
acetaldehyde, and acetone levels from 4fold to over 200-fold.
(Comment 118) The comments in
support of limited or no regulation for
e-cigarettes cited studies showing that ecigarette use resulted in improvements
in many health indicators of former
cigarette smokers. Most of these
comments relied upon published
literature concluding that, despite the
lack of long-term health data, ecigarettes are ‘‘likely to be much less, if
at all, harmful to users and bystanders’’
(Ref. 132). They also noted that clinical
studies to date indicate that e-cigarettes
generally are well-tolerated and do not
produce serious adverse events
following use for up to 24 months (Refs.
107, 137). Many relied upon an analysis
of the 47 e-cigarette adverse event
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reports FDA received from 2007 to 2012,
which found that only 8 of them were
considered serious (e.g., pneumonia,
congestive heart failure, disorientation,
seizure, hypotension, facial burns, chest
pain and rapid heartbeat, infant choking
on an e-cigarette cartridge, loss of
vision) (Ref. 138).
Some comments also stated that ecigarettes provide subjective health
benefits to current smokers. For
example, in one Internet survey of 1,347
current e-cigarette users, among those
who were former smokers, 75 percent
reported improved breathing, less
coughing, and feeling healthier overall
after switching to e-cigarettes (Ref. 139).
They also claimed that e-cigarette use
leads to improved sense of smell and
taste and general physical status (Ref.
109). In addition, they stated that some
of the harms caused by smoking can be
reversed by switching to e-cigarettes
(Ref. 140).
(Response) FDA agrees that the
majority of reported adverse events
appear to have been not serious. The
FDA adverse event reporting system has
inherent limitations as a measure of the
impact of e-cigarettes since ENDS are a
newly deemed product and reporting
adverse events associated with tobacco
products (including e-cigarettes and
other ENDS) is voluntary; therefore, the
reports received may have
underrepresented the true number and
types of adverse events associated with
ENDS. The data cannot be used to
calculate incidence (occurrence) rates or
to estimate risk. Moreover, FDA has
concerns with relying upon the types of
short-term studies provided in the
comments. Short-term studies fail to
analyze the exposure risk of tobacco use
and inhalation that damage health over
a lifetime of repeated, extended
exposure. Given the relatively new
entrance of ENDS on the market,
consumers have not had the duration of
use for researchers to fully assess the
morbidity and mortality effects for
ENDS on either the individual or the
population.
FDA recognizes that completely
switching from combusted cigarettes to
ENDS may reduce the risk of tobaccorelated disease for individuals currently
using combusted tobacco products,
given the products’ comparative
placements on the continuum of
nicotine-delivering products. A recent
review from Public Health England
(discussed in greater detail in response
to Comment 117) suggests substantial
reductions in the exposure to harmful
constituents typically associated with
smoking in ENDS products compared to
cigarettes, and that most of the
chemicals causing smoking-related
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disease from combusted tobacco use are
absent and the chemicals that are
present pose limited danger (Ref. 131).
A scientific review of published studies
of the toxicity of certain e-liquids found
that ‘‘[e-cigarette] aerosol can contain
some of the toxicants present in tobacco
smoke, but at levels which are much
lower. Long-term health effects of [ecigarette] use are unknown but
compared with cigarettes, [e-cigarettes]
are likely to be much less, if at all,
harmful to users or bystanders’’ (Ref.
132). ENDS products have been found
in some studies to release aldehydes at
much lower levels than that in cigarette
smoke, with one Web site posting
stating that, across several Japanese
brands, under some use conditions, that
ENDS products release 1/50th the level
of formaldehyde released in cigarettes
(Ref. 133).
However, study results have been
inconsistent about the effects of these
products. Some short-term studies
suggest that ENDs may not affect heart
rate, cardiac function, lung function, or
complete blood count indices to the
extent of conventional cigarettes (Refs.
130, 141, 142). A literature search,
however, concluded that the current
scientific evidence on short-term effects
are limited and there are no adequate
data on long-term health effects (Ref.
143). Other studies have demonstrated
increase in mean heart rate and
inflammatory measures (such as white
blood cells) and changes in lung
function after use (Refs. 141, 142, 144,
145). Some research has found that
there are some ENDS devices and some
power levels of operating ENDS devices
that deliver more formaldehyde than
other ENDS products and conventional
cigarettes (Refs. 67, 128, 129). Further,
the review by Hajek et al. (Ref. 132)
referred to in this comment as showing
health benefits and finding a lack of
negative health effects of e-cigarettes,
may have limited generalizability due to
the variability of e-cigarette products.
The authors expressly recognized that
there are many deficiencies in the
available data.
(Comment 119) Some comments
believed that FDA should not be
concerned about e-liquids because they
are restricted to the same nicotine levels
as other products (e.g., cigarettes,
hookah, smokeless tobacco, NRTs).
(Response) FDA disagrees with
comments stating that the Agency
should not be concerned with ENDS
use. First, a direct comparison of the
nicotine level in cigarettes (and other
currently regulated tobacco products)
with the nicotine level in e-liquids is
not a particularly helpful or relevant
comparison. More helpful and clinically
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meaningful is the comparison between
the amount of nicotine delivered to the
user after using a cigarette (or other
conventional tobacco product) versus
the amount of nicotine delivered after
using an ENDS (Ref. 146). Therefore,
even if an e-liquid has the same nicotine
level, it may deliver a different level of
nicotine than the comparator product. It
is also possible that comparable nicotine
delivery consistently produced by ENDS
that meet the requirements of the
Tobacco Control Act may increase the
facilitation of product switching from
cigarettes to ENDS—which could (with
appropriate regulatory oversight)
potentially reduce the overall health
harm caused by combusted tobacco.
Further research is necessary to
determine the causal factors that
influence product switching from
cigarettes to ENDS (or vice versa) and
the subsequent health impacts.
Second, FDA disagrees with the
notion that e-liquids are restricted to the
same level of nicotine as other tobacco
products. E-liquids are available in a
wide range of nicotine concentrations,
but delivery to the user is based on
multiple factors, including the
humectant in the e-liquid, the
temperature to which the e-liquid is
heated, the user experience, device
designs, and design modifications (Ref.
147). Data suggest that experienced
ENDS users are able to achieve
clinically significant nicotine levels and
levels similar to those generated by
traditional cigarettes (Refs. 114, 148,
149, 150). Moreover, heating the eliquids to higher temperatures and using
the ENDS in ways other than intended
(e.g., dripping the e-liquid directly onto
the atomizer) may result in nicotine
delivery that is actually higher than that
of a conventional cigarette (Ref. 16).
Third, FDA disagrees with the
premise that the Agency should not be
concerned with tobacco products that
may have lower nicotine levels than
cigarettes or other tobacco products, as
may be the case with some ENDS. Even
if ENDS products have lower levels of
nicotine, they still have the potential to
addict users, particularly youth and
young adults, as discussed in section
VIII.C. As the Surgeon General has
stated, nicotine is the primary addictive
substance in tobacco products (Ref. 9).
Regardless of the nicotine content of the
tobacco products, FDA believes that
deeming tobacco products will result in
significant public health benefits and
that the additional restrictions imposed
by this rule are appropriate for the
protection of the public health.
(Comment 120) One comment
expressed concern about the lack of
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research regarding the environmental
impacts of e-cigarette use and storage.
(Response) FDA is funding studies
regarding environmental impacts due to
ENDS manufacturing, use, and disposal
following use. In addition, FDA has
been conducting a series of public
workshops to obtain information on ecigarettes and their impact on public
health. Potential environmental impacts
were discussed during the first
workshop (79 FR 55815, September 17,
2014).
(Comment 121) Some comments
expressed concern about the health
effects of propylene glycol exposure
from e-cigarette use. They also stated
that the use of glycerol and propylene
glycol, both of which are humectants,
may cause uninformed users to become
inadvertently dehydrated.
(Response) FDA recognizes that
information about the health effects of
the constituents in e-liquids and ENDS
aerosols in both users and nonusers is
limited and that this issue should be
explored to better understand the
impacts of these products on the
population health.
(Comment 122) As FDA noted in the
NPRM, one study detected diethylene
glycol in one e-cigarette cartridge (79 FR
23142 at 23157). A few comments took
issue with FDA’s reliance on the study,
because the amount of diethylene glycol
reported was so low that it was unlikely
to cause harm to consumers and had not
been replicated in other scientific
studies to date.
(Response) FDA appropriately
characterized this study in the NPRM,
stating that diethylene glycol ‘‘was
found in only 1 of 18 cartridges studied
and it was not found at all in another
16 studies’’ (79 FR 23142 at 23157).
FDA agrees that the amount found was
low, but reiterates that diethylene glycol
is a toxicant and, therefore, is a cause
for concern.
(Comment 123) We received many
comments regarding the safety of the
aerosol that is emitted from e-cigarettes.
These comments expressed concern that
individuals incorrectly believe that the
aerosol emitted from e-cigarettes is
harmless and stated that e-cigarette
aerosol is not simply water ‘‘vapor,’’ as
is sometimes advertised (Ref. 151). They
provided studies indicating that the
primary or mainstream and exhaled or
secondhand e-cigarette aerosols have
been found to contain at least 10
chemicals known to cause cancer, birth
defects, or other reproductive harm (Ref.
65). They also noted that potentially
harmful constituents have been
identified in some e-liquids and their
aerosol, including tobacco-specific
nitrosamines, heavy metals, and
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carbonyls, albeit at significantly lower
levels than in cigarette smoke (Refs. 65,
118, 152, 153, 154, 155, 156). Studies
have shown that the primary aerosol
contains measurable amounts of
nicotine, which can have an impact on
both users and nonusers (Ref. 144, 147).
We also received comments stating
that the aerosol is completely harmless
or significantly less harmful than
tobacco smoke from combusted tobacco
products; the comments included data
from peer-reviewed publications (Refs.
144, 156, 157, 158), a presentation at a
professional conference (Ref. 159), and
individual company testing. These
comments also submitted research that
was not peer-reviewed, which stated
that there were no key tobacco smoke
toxicants in e-cigarettes (Ref. 160).
(Response) FDA recognizes that the
aerosol that is exhaled by users of some
e-cigarettes and similar electronic
apparatus may not pose as much harm
as smoke emitted from combusted
tobacco products. However, given that
studies do indicate that both nicotine
and other toxicants are found in the
exhaled aerosol, limiting exposures
must be considered. (See section XII
regarding the potential for product
standards and tobacco product
manufacturing practices on
manufacturers of newly deemed
products.) In the absence of short- and
long-term studies on the potential
impact of secondary exposure to
aerosol, FDA cannot conclude that the
aerosol is harmless. Moreover, as stated
throughout this document, the Tobacco
Control Act does not require that FDA
make a finding that a product is harmful
in order to deem it to be subject to
chapter IX of the FD&C Act; FDA is
authorized to deem any product that
meets the definition of a ‘‘tobacco
product’’ pursuant to section 901 of the
FD&C Act.
(Comment 124) A few comments
stated that the aerosol must be safe
because the primary constituents of the
liquid that generate the e-cigarette
aerosol are propylene glycol and
glycerin. They stated that inhalation of
such constituents is harmless because
they are designated as ‘‘generally
recognized as safe’’ (GRAS) by FDA.
They cited animal inhalation studies
showing limited toxicological effects
from either propylene glycol or glycerin
(e.g., Ref. 161).
(Response) FDA disagrees with
comments claiming that the aerosol is
safe due to certain components being
recognized as GRAS. It is important to
note that the definition of food additive
in section 201(s), and its exclusion of
GRAS substances, relates to intended
uses that may reasonably be expected to
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result, directly or indirectly, in its
becoming a component or otherwise
affecting the characteristics of any food
(section 201(s) of the FD&C Act).
E-liquid is not food or intended for
ingestion; therefore, the fact that
propylene glycol and glycerin have been
designated GRAS for food does not
necessarily mean that these components
are safe for inhalation. (See additional
responses in this section of the
document regarding FDA’s concerns
with ENDS aerosol.)
(Comment 125) Several comments
that stated that e-cigarettes are harmless
cited one study in which the author
concluded that there ‘‘is no serious
concern about the contaminants such as
volatile organic compounds’’ in the ecigarette ‘‘vapor’’ and that tobaccospecific nitrosamine (TSNA) levels in
the ‘‘vapor’’ are just as hazardous as
those TSNAs in NRT products (Ref.
162). Some of these comments
specifically asked why FDA did not
include this study in the proposed
deeming rule.
(Response) FDA has considered these
findings and agrees that the exhaled
aerosol from ENDS users is potentially
less hazardous than secondhand smoke
from combusted cigarettes. However,
FDA disagrees with the author’s
conclusion that exposure to aerosol
(‘‘vapor’’) ‘‘pose[s] no apparent
concern’’ (Ref. 162). FDA recognizes
that the aerosol that is exhaled by users
of some e-cigarettes and similar
electronic apparatus may not pose as
much harm as smoke emitted from
combusted tobacco products. However,
given that studies do indicate that both
nicotine and other toxicants are found
in the exhaled aerosol, limiting
exposures must be considered. FDA has
repeatedly noted the potential benefits
and need for additional information
regarding ENDS and, therefore, the
research included in the NPRM
accurately summarized the state of the
research on e-cigarettes (and the other
newly deemed products) at the time it
was drafted.
(Comment 126) A few comments
claimed that there are many e-liquids on
the market that do not contain nicotine
and, therefore, e-liquids should not be
regulated. Other comments provided
studies that showed that e-cigarettes
deliver nicotine but noted that delivery
is dependent on the e-cigarette
apparatus and liquid type, the rate at
which the nicotine is delivered, and the
user’s experience with e-cigarette use
(Ref. 130).
(Response) FDA is aware that,
although some ENDS and e-liquids are
marketed as nicotine free, as stated in
section VIII.D, studies have found that
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certain types of ENDS do not have
consistent quality and the labels may
not accurately reflect the amount of
nicotine in the e-liquid. The World
Health Organization (WHO) also has
noted that the level of nicotine
delivered in currently marketed ENDS
varies widely depending on product
characteristics, user puffing behavior
and nicotine solution concentration,
leaving smokers unaware of the nicotine
levels they are receiving (Ref. 163). In
addition, FDA agrees that many factors
influence the delivery of nicotine. For
example, an experienced ENDS user
may be exposed to amounts of nicotine
similar to those delivered by cigarette
smoking (Ref. 114). Also, as stated
earlier, nicotine-free e-liquid that is
intended or reasonably expected to be
used with or for the human
consumption of tobacco products in
most cases would be a component or
part of a tobacco product and, therefore,
within the scope of this rule. These
products will be evaluated on a case-bycase basis.
(Comment 127) Many comments
discussed the possibility of nicotine
poisoning due to improper access to, or
use of, e-liquids. Most of these
comments expressed concerns about the
growing number of calls to poison
control centers due to accidental
nicotine poisoning. Others believed this
concern was overstated and noted that
many drugs can cause poisoning if
stored improperly. They stated that the
addition of child-resistant containers
would alleviate this concern. Some also
noted that e-cigarette users self-titrate
the nicotine dosage, so concerns about
overdosing should be minimal (Ref. 84).
(Response) FDA is concerned about
the risk of nicotine poisoning in both
users and nonusers. The CDC has
reported more than 2,400 calls to U.S.
poison control centers for e-liquid
exposure between September 2010 and
February 2014 (Ref. 164). In another
study of 1,700 e-liquid exposures
reported to U.S. poison control centers
from June 2010 through September
2013, children 5 years of age or younger
represented the largest proportion of
e-liquid exposures and the group with
the greatest increase in exposures per
month in the first three quarters of 2013
(Ref. 165). Studies show that nicotine in
sufficient concentrations, either when
ingested or in contact with the skin, can
result in serious or fatal poisoning and
is concerning (Refs. 166, 167).
Symptoms of toxicity include nausea,
vomiting, seizures, coma, cardiovascular
instability, respiratory arrest, and
sometimes death. Although there was
disagreement among the comments as to
the level of nicotine that causes
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poisoning, the nicotine content of many
refillable vials could be toxic to adults
and children regardless of the
measurement used. Accordingly,
elsewhere in this issue of the Federal
Register, FDA has made available draft
guidance, which when final will
describe FDA’s current thinking
regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products, including recommendations
for exposure warnings and childresistant packaging that would help
support a showing that the marketing of
a product is appropriate for the
protection of the public health. In
addition, FDA issued an ANPRM prior
to this deeming rule, seeking comments,
data, research, or other information that
may inform regulatory actions FDA
might take with respect to nicotine
exposure warnings and child-resistant
packaging.
(Comment 128) Some comments
compared the poison risks of nicotine
against other household products,
noting that the incidence of nicotine
poisoning is significantly lower than for
other household products (Ref. 168).
(Response) Regardless of the
incidence of nicotine poisoning in
comparison to poisonings attributed to
other household products, the dramatic
rise in nicotine poisoning from e-liquid
exposures is very concerning. FDA is
taking under advisement the submitted
data regarding nicotine poisoning and
suggestions for measures that FDA can
take in a separate rulemaking to address
the issue, including establishment of
tobacco product manufacturing practice
regulations under section 906(e) and
tobacco product standards under section
907 of the FD&C Act. In addition, as
stated previously, FDA issued an
ANPRM prior to this deeming rule
seeking comments, data, research, or
other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings
and child-resistant packaging.
Moreover, elsewhere in this issue of the
Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products, including
recommendations for exposure
warnings and child-resistant packaging
that would help support a showing that
the marketing of a product is
appropriate for the protection of public
health.
(Comment 129) Comments were
divided as to whether nicotine is
dangerous to humans. Some comments
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stated that liquid nicotine is completely
benign (and that FDA should not
regulate e-cigarettes given the lack of
harms). They claimed that FDA’s
findings regarding NRTs illustrate that
nicotine is not carcinogenic to humans.
(See ‘‘Modifications To Labeling of
Nicotine Replacement Therapy Products
for Over-the-Counter Human Use,’’ 78
FR 19718, April 2, 2013.) Other
comments stated that although nicotine
has some side effects, it is significantly
less hazardous than the toxicants
ingested with combusted products. Still
others claimed that nicotine is very
dangerous.
Comments that claimed that nicotine
is dangerous cited studies showing that
although nicotine may not be a primary
carcinogen, it likely promotes cancers
established through angiogenic
(promoting of blood vessels in tumors)
effects (e.g., Ref. 169). The comments
also noted that the 2014 Surgeon
General’s Report stated that the health
risks of nicotine are more serious than
previously thought and that FDA should
consider this when evaluating the
impacts of the newly deemed products
on vulnerable populations. Others
believed that nicotine is so dangerous
that individuals should be required to
obtain a certification before being
permitted to acquire and handle it.
(Response) In the proposed deeming
rule, FDA recognized the impact of
nicotine on a youth’s brain (see 79 FR
23142 at 23153 and 23154) and also
noted poisoning concerns. The
inhalation of nicotine (i.e., nicotine
without the production of combustion)
is of less risk to a user than the
inhalation of nicotine delivered by
smoke from combusted tobacco
products. However, limited data
suggests that the pharmacokinetic
properties of inhaled nicotine can be
similar to nicotine delivered by
combusted tobacco products. Thus,
inhaled nicotine from a noncombustible product may be as
addictive as inhaled nicotine delivered
by combusted tobacco products.
Researchers recognize that the effects
from nicotine exposure by inhalation
are likely not responsible for the high
prevalence of tobacco-related death and
disease in this country (Refs. 10, 11).
Although nicotine has not been shown
to cause the chronic disease associated
with tobacco use, the 2014 Surgeon
General’s Report noted that there are
risks associated with nicotine (Ref. 9 at
111). For example, nicotine at high
enough doses has acute toxicity (id.).
Nicotine exposure during fetal
development has lasting adverse
consequences for brain development
(id.). Nicotine also adversely affects
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maternal and fetal health during
pregnancy, contributing to multiple
adverse outcomes such as preterm
delivery and stillbirth (id.). Further,
data suggest that nicotine exposure
during adolescence may have lasting
adverse consequences for brain
development (id.). Some studies also
have found that nicotine can have
detrimental effects on the
cardiovascular system and potentially
disrupt the central nervous system
(Refs. 14, 15). See also section VIII.C
discussing the increase in poisoning due
to accidental nicotine ingestion.
FDA is not stating that nicotine is
harmless. Unlike ENDS, which have not
been reviewed by FDA, the NRT
products mentioned in the comments
are regulated and have undergone
premarket review by FDA’s Center for
Drug Evaluation and Research (CDER)
and been found to be safe and effective
before obtaining authorization to enter
the market (sections 505 and 506 of the
FD&C Act). The Agency does not have
sufficient data to be able to conclude
that consumers are inhaling only
nicotine, and no other chemicals or
toxicants, when using ENDS. Although
ENDS likely do not deliver the same
level of toxicants as cigarettes, studies
show that there are dangers associated
with ENDS use and that exhaled aerosol
is not simply ‘‘water vapor,’’ as some
believe. (See section VIII.C for
additional discussion about the
toxicants in ENDS vapor.)
(Comment 130) At least one comment
suggested that to help address the
dangers of nicotine and its use in future
tobacco products, manufacturers
registering future products with FDA
should provide documents
demonstrating the accuracy of stated
nicotine levels and that the products are
diacetyl and acetyl propionyl free.
(Response) FDA agrees with the need
to carefully monitor future tobacco
products and to evaluate the
toxicological concern of chemical
ingredients, such as diacetyl and acetyl
propionyl, in e-liquids and that
statements about the nicotine
concentration in the e-liquid as well as
the amount of nicotine that will be
delivered to the user are accurate. FDA’s
review of SE reports and PMTAs under
sections 905 and 910 of the FD&C Act
will often include analysis of the
chemicals included in the products. In
addition, the requirements to submit
ingredient listings under section 904
and HPHC testing data under sections
904 and 915 are expected to alert FDA
to the existence of these HPHCs in eliquids.
(Comment 131) Many comments
expressed concerns regarding the high
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cost associated with testing for HPHCs
in each individual e-liquid and ecigarette product. They suggested that
FDA use enforcement discretion, as the
Agency has done previously, to reduce
the regulatory burden for e-cigarette
manufacturers. For example, they noted
that FDA has compliance policies for
the submission of SE reports for certain
product modifications and HPHC
reporting. To reduce the regulatory
burden, they suggested that FDA not
require ingredient disclosure of all
unique e-liquid products under section
904(a)(1) of the FD&C Act because such
a requirement is unreasonable given the
many different e-liquid formulations in
these retail establishments. They stated
that in lieu of ingredient listings, FDA
should accept a table of all ingredients
used in e-liquids along with use-level
(concentration) ranges (i.e., minimum
and maximum percentages) of those
ingredients in their products. These
comments further suggested that FDA
allow companies to simply amend their
ingredients lists when altering products
rather than requiring them to submit
PMTAs.
(Response) Once this rule becomes
effective, newly deemed products
automatically become subject to chapter
IX and all of its provisions applicable to
tobacco products, without exception.
Therefore, all manufacturers and
importers of the newly deemed products
will be subject to the requirements
under sections 910, 905, and 904 of the
FD&C Act upon the effective date of this
final rule.
However, FDA has established a
compliance policy for certain
circumstances. See section IV.D
describing the compliance policy
regarding certain provisions and smallscale tobacco product manufacturers.
D. Quality Control
In the NPRM, FDA recognized
previous instances of lack of quality
control for certain e-cigarette products
(79 FR 23142 at 23149). FDA indicated
that the premarket review requirements
that will automatically apply to the
newly deemed products can help to
address quality control concerns.
(Comment 132) Many comments
expressed concern regarding the lack of
controls in place for the mixing of eliquids. They stated that these liquids
are often mixed by individual
consumers or employees of e-cigarette
retail establishments who may lack
training or knowledge of guidelines for
handling such products. Several
retailers of e-liquids submitted
comments stating that they have
controls in place to ensure the safety of
their e-liquids.
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(Response) FDA understands the
comments’ concerns about the safety of
e-liquids. As stated previously, FDA
issued an ANPRM prior to this deeming
rule seeking comments, data, research,
or other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings
and child-resistant packaging. Also,
elsewhere in this issue of the Federal
Register, FDA is announcing the
availability of a draft guidance, which
when finalized will provide FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including recommendations for
exposure warnings and child-resistant
packaging that would help support a
showing that the marketing of a product
is appropriate for the protection of
public health. FDA also intends to
consider these and other issues during
its premarket review of these products.
Further, after the effective date of this
rule, FDA can exercise its authorities
under the Tobacco Control Act to take
additional steps to address the safety of
e-liquids.
(Comment 133) Some comments
included data regarding the variations
among the nicotine levels in e-liquids,
including data showing that the nicotine
levels of the products are not accurately
reflected in the nicotine concentration
stated on the labels. For example, one
study found nicotine content labels to
be highly inaccurate and determined
that products claiming to be nicotinefree actually contained high levels of
nicotine (Ref. 170). Other comments
stated that the variations are no longer
as significant among the newer ecigarette products, and that newer
studies reported more consistent
nicotine levels (Ref. 171).
Many comments cited several studies
of newer e-cigarettes which continued
to find wide variability in e-cigarette
engineering, including nicotine
concentrations in e-liquid, that were
inconsistent with the information
contained on the product label (Ref. 16).
For example, one 2014 study of e-liquid
refills found that the actual nicotine
level of 65 percent of the e-liquids
deviated by more than 10 percent from
the nicotine concentrations printed on
the labels (Ref. 17). Other studies found
variability among nicotine
concentrations, but the nicotine levels
were equivalent to or lower than
advertised (Refs. 18, 19). In one study,
researchers stated that the total amount
of nicotine in the e-liquid studied was
potentially lethal if an individual were
to drink it or absorb it through the skin
(Ref. 18). They based this finding on the
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lethal level of nicotine being in the 10
to 60 milligram (mg) range; however,
other comments claimed the lethal dose
of nicotine is actually much greater (Ref.
172).
Some comments expressed concern
that this rule does not address the
possibility of a dangerous
contamination of a batch of e-liquid
because it does not include quality
control measures or product standards
that could prevent such contamination.
They believed that FDA’s authority to
establish tobacco product
manufacturing requirements or product
standards in the future was insufficient
to address this concern.
(Response) FDA is aware of the
variability of nicotine among certain
ENDS and that the labeling may not
accurately reflect the nicotine levels.
After this rule becomes effective, FDA
has the authority to issue tobacco
product manufacturing practice
regulations under section 906(e) of the
FD&C Act to address this issue. The
PMTA process (particularly, the
requirement to submit information on
manufacturing methods) also provides a
mechanism through which products
that are more harmful or addictive than
products on the market at the time of
submission would be denied entrance to
the market. Moreover, immediately
upon the effective date of this rule, if
FDA determines that an e-liquid has
been contaminated and is therefore
adulterated under section 902 or that it
is misbranded under section 903 of the
FD&C Act because its labeling is false or
misleading, it can initiate enforcement
action such as a seizure, injunction, or
criminal prosecution.
(Comment 134) A few comments
expressed concern that FDA may limit
the availability of e-liquids to
established manufacturers only and
prohibit individuals from mixing their
own e-liquids. These comments stated
that they need access to products of
reasonable potency, high purity, and
high quality.
(Response) This final deeming rule
places some restrictions on the sale and
distribution of tobacco products, such as
minimum age restrictions, but it does
not bar sales to individuals generally.
(Comment 135) At least one comment
noted that, although there have been
fires due to mishandling of e-cigarette
batteries, cases of accidental poisoning,
and concerns about functionality, the
‘‘de facto regulations’’ that are in place,
‘‘namely brand equity, potential civil
liability, and word-of-mouth’’ have been
effective in helping the market evolve
and controlling behavior.
(Response) FDA disagrees. FDA’s
adverse event reporting system has
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inherent limitations as a measure of the
impact of e-cigarettes since ENDS are a
newly deemed product and reporting
adverse events associated with tobacco
products (including e-cigarettes and
other ENDS) is voluntary. FDA remains
concerned about adverse events
associated with ENDS use, including
overheating and exploding batteries as
reported in the news, and the vast
evidence that accidental nicotine
poisoning is increasing in the wake of
growing e-cigarette use. Toward that
end, elsewhere in this issue of the
Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products, including
compliance with existing voluntary
standards for ENDS batteries. In
addition, concerns remain regarding
quality control, which could impact the
functionality of these products. FDA
believes that the automatic statutory
provisions that will apply to these
products as a result of this deeming
rule, in conjunction with additional
authorities under the law that FDA can
exercise after the effective date, will
help address these concerns.
(Comment 136) At least one comment
sought clarification as to why FDA
expressed concern about quality control
issues for e-cigarette products but not
for combusted products that contain
thousands of toxic constituents.
(Response) FDA is concerned about
quality control for all tobacco products
and will continue to monitor these
products to determine if there are
quality control issues. FDA’s premarket
review of the newly deemed products
will increase product consistency. For
example, FDA’s oversight of the
constituents of e-cigarette cartridges
would help to ensure quality control
related to the chemicals and their
quantities being aerosolized and
inhaled. Quality control issues will also
be addressed in a tobacco product
manufacturing practices regulation that
FDA intends to issue at a later date.
Also, FDA may take enforcement action
if an ENDS or any other tobacco product
is adulterated or misbranded within the
meaning of the FD&C Act.
(Comment 137) A few comments
expressed concerns regarding the
quality of e-cigarettes manufactured
overseas. They stressed the importance
of issuing regulations to require the
registration of foreign establishments so
that FDA knows the identity of foreign
manufacturers and the products they
import into the United States.
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(Response) FDA agrees with
comments’ concerns regarding quality
control and the safety of ENDS
manufactured both domestically and in
other countries. One of the immediate
benefits of deeming ENDS is that all
newly deemed products, including
ENDS, that meet the definition of ‘‘new
tobacco product’’ will be subject to the
premarket authorization requirements in
sections 905 and 910 of the FD&C Act.
In addition, FDA has announced its
intention in the Unified Agenda to issue
a NPRM that would apply the
registration and listing requirements of
section 905 to foreign establishments.
(Comment 138) Some comments
suggested that to properly regulate ecigarettes, given their position on the
continuum of nicotine-delivering
products, FDA should regulate these
products based on the size of the
manufacturer—which is generally
smaller than the size of companies that
manufacture cigarettes and smokeless
tobacco products. They also suggested
that FDA stagger the compliance periods
for submission of PMTAs so that smaller
companies have additional time to
prepare their submissions.
(Response) Section IV.D has
additional information about
compliance periods for small-scale
tobacco product manufacturers. FDA’s
compliance policy for the submission of
SE reports, SE exemption requests, and
PMTAs for all manufacturers of deemed
products is included in section IV.C.
(Comment 139) One comment
recommended that FDA collaborate
with other Federal Agencies, including
the National Institutes of Health (NIH),
CDC, and the Substance Abuse and
Mental Health Services Administration
(SAMHSA), as well as international
agencies including the EU, to continue
research on tobacco products and
increase surveillance and other
enforcement of quality control and other
issues.
(Response) FDA agrees. FDA intends
to continue to review available studies
and fund studies on tobacco products,
including studies on ENDS initiation,
use (including transitions to other
tobacco products and multiple use),
perceptions, dependence, and toxicity
(Ref. 173). FDA also has been
conducting a series of public workshops
to obtain additional information on ecigarettes and their impact on public
health (79 FR 55815). These workshops
will help to inform FDA’s development
of future rules and policies that have an
impact on ENDS. Additional regulations
regarding ENDS will be subject to the
requirements of the APA.
(Comment 140) Some comments
stated that FDA should regulate
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materials used in the manufacture of ecigarette components and packaging
that come into direct contact with eliquids. They noted that improper ecigarette construction and e-liquid
packaging materials could also result in
hazardous leachates or degradation of
products in the e-liquid that may
become aerosolized and inhaled upon
use.
(Response) With this final rule, FDA
is deeming all products, except for
accessories of newly deemed products,
that meet the definition of ‘‘tobacco
products’’ under section 201(rr) of the
FD&C Act, which includes the
components and parts (including
packaging of such products). FDA will
consider the issues raised by the
comments when it develops a NPRM on
tobacco product manufacturing
practices.
E. Misperceptions
In the NPRM, FDA noted its concerns
regarding consumer misperceptions of
currently unregulated products,
particularly e-cigarettes. Many
comments provided data to substantiate
those concerns and others provided data
and personal stories regarding the
potential benefits of e-cigarettes. Other
comments indicated that, based on these
potential benefits, they believed ecigarettes to be safe tobacco products.
(Comment 141) Many comments
stated, but did not provide supporting
data, that e-cigarettes: (1) Are
approximately 99 percent less
hazardous than cigarettes; (2) are only
consumed by smokers and former
smokers who quit by switching to ecigarettes; and (3) have not been found
to create nicotine dependence in any
nonsmoker. They also stated that there
is no evidence that ingesting e-liquid
leads to fatalities.
(Response) As discussed throughout
this document, FDA agrees that use of
ENDS is likely less hazardous for an
individual user than continued smoking
of traditional cigarettes. One selfselected comparison reported that
across several Japanese brands, under
some use conditions, ENDS released 1/
50th of the level of formaldehyde
released by cigarettes (Ref. 135). The
highest level detected was six times
lower than the level in cigarette smoke
(id.). But other research, published as a
letter to the editor of the New England
Journal of Medicine, reported that ENDS
operated at 5 volts delivered a mean of
390+/¥90 mg per 10 puff sample which
is greater than 150 mg, the estimated
average delivery of formaldehyde than
conventional cigarettes (Ref. 128). No
formaldehyde-releasing agents were
detected when ENDS were operated at
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3.3 volts (Ref. 128). A subsequent peerreviewed article on 5 variable-power
ENDS devices found large variations in
formaldehyde delivery across devices
(Ref. 129). The first device yielded more
formaldehyde than combustible
cigarettes at every power level tested,
and the second device delivered more
formaldehyde at the highest power level
tested; the remaining three devices
delivered less formaldehyde than
combustible cigarettes at all power
levels tested (id.) The same research
found that aldehyde delivery varied by
750-fold from one ENDS device to
another (id.). The article referenced in
one comment (Ref. 67) reported that
increasing the voltage from 3.2 to 4.8
volts increased formaldehyde,
acetaldehyde, and acetone levels from 4
to over 200-fold.
Nevertheless, as discussed in section
VIII.F, evidence shows that while most
ENDS are consumed by smokers and
former smokers (e.g., Refs. 109, 110),
some consumers (including youth and
young adults) are initiating tobacco use
with ENDS. Several studies have found
that ENDS users, particularly
experienced ENDS users, are able to
achieve nicotine exposures similar to
cigarette smokers (Refs. 114, 148, 149,
150). Although no studies have been
done to-date assessing the development
of dependence among non-smokers,
several studies have found that ENDS
users, particularly experienced ENDS
users, are able to achieve nicotine
exposures similar to cigarette smokers
and that nicotine is a known addictive
substance. Fourth, as discussed in
section VIII.D, the incidence of nicotine
poisoning has been on the rise and has
resulted in severe poisonings and
hospitalization (Ref. 174). In December
2014, after the close of the comment
period for the NPRM, media reported
the first death of a toddler from
accidental poisoning from e-liquid (Ref.
175). Regulation of ENDS will help to
alleviate consumer misperceptions such
as those expressed in the comments.
(Comment 142) Many comments
stated that e-cigarettes should be
regulated given their appeal to youth
and young adults and the belief that ecigarettes are less harmful than
conventional cigarettes. They agreed
with FDA’s concern that a failure to
regulate the newly deemed products
could reinforce consumers’ existing
confusion and misinformation about
these products. However, other
comments stated that FDA’s concerns
about youth’s misperception of the
safety of e-cigarettes should not be a
factor in FDA’s decision to regulate
them. They stated that regulation cannot
remedy the fact that many youth
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affirmatively disregard available safety
information.
(Response) As FDA stated in its
proposal, many people may believe that
certain tobacco products covered by this
rule present fewer health risks when
compared to that of cigarettes (79 FR
23142 at 23158 and 23159), which is
supported by some of the emerging
scientific literature demonstrating that
some ENDS products, operated at some
power levels, may have lower delivery
of harmful constituents and toxicants
than that of combusted cigarettes (see
discussion on the health harms of ENDS
in response to Comment 117). In fact, a
recent telephone survey of 1,014 adults
indicates that a majority of American
adults surveyed (nearly two-thirds, 65
percent) believe e-cigarettes are harmful
to the health of the people who use
them and 23 percent believe that they
are not harmful (Ref. 176). In addition,
44 percent believe that electronic
cigarettes are less harmful than
combusted cigarettes while 32 percent
thought they were equally harmful (id.).
Of particular note, the survey found that
‘‘[t]hose who have ever used e-cigarettes
are significantly less likely than neverusers to believe that e-cigarettes and
marijuana are harmful to the health of
people who use them, and more likely
to believe in the benefits of e-cigarettes
when it comes to smoking cessation’’
(id.).
Although FDA expects that youth
understanding and appreciation of the
health effects and risks of certain newly
deemed tobacco products will be
improved if they are also FDAregulated, that is only one of the many
public health benefits that will accrue
from deeming them subject to the FD&C
Act, as discussed in the NPRM (79 FR
23142 at 23148 and 23149).
(Comment 143) Some comments
expressed concern that the increase in ecigarette use in places where cigarette
smoking is not currently allowed creates
confusion, particularly among children,
who often cannot tell the difference
between smoking and e-cigarette use.
They referred to unpublished research
and anecdotal evidence indicating that
when children see pictures of people
using e-cigarettes they report that
someone is smoking.
Other comments disagreed, stating
that e-cigarette use will more likely lead
to normalization of e-cigarettes rather
than cigarettes (Ref. 110). They stated
that one study found that daily smokers
(aged 18 to 35 years) who observed
individuals using e-cigarettes only
increased the smoker’s desire for an ecigarette, and not for a conventional
cigarette (Ref. 177).
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(Response) FDA is concerned that the
growth in ENDS use, particularly among
youth and young adults, could lead to
the re-normalization of cigarette
smoking. The Surgeon General
recognized that adolescents are
particularly vulnerable to visual cues to
smoke and to social norms, making this
an even greater concern (Ref. 49). FDA
believes that subjecting ENDS to its
tobacco control authorities, and
requiring compliance with the various
statutory and regulatory requirements
(e.g., ingredient listing and others), will
help to address the common
misunderstanding that these products
are safe to use.
F. Use as a Cessation Product
In the preamble to the NPRM, FDA
recognized that some consumers may
use ENDS in tobacco cessation attempts.
We note that if an ENDS product seeks
to be marketed as a cessation product,
the manufacturer must file an
application with FDA’s Center for Drug
Evaluation and Research (CDER) and no
ENDS have been approved by FDA as
effective cessation aids.
Recently published population-wide
data from the CDC’s NCHS, which
provides the first estimates of e-cigarette
use among U.S. adults from a nationally
representative household interview
study, indicates that current cigarette
smokers and recent former smokers (i.e.,
those individuals who quit smoking
within the past year) were more likely
to use e-cigarettes than long-term former
smokers (i.e., those individuals who
quit smoking more than one year ago)
and adults who had never smoked (Ref.
24). Among current cigarette smokers
who had tried to quit smoking in the
past year, more than one-half had ever
tried an e-cigarette and 20.3 percent
were current e-cigarette users (id.).
(Comment 144) Comments were
divided regarding the viability of ecigarettes as a smoking cessation
product. Some comments contended
that the actual patterns of e-cigarette
use, citing a meta-analysis showing the
rapid penetration of the youth market
and high levels of dual use among both
adults and adolescents, will lead to a
lower probability that smokers using ecigarettes will quit smoking cigarettes
(Ref. 16). They also cited another study
in which, although 85 percent of ecigarette users reported that they were
using e-cigarettes to quit smoking, they
were no more likely to have quit
smoking than nonusers of e-cigarette
(Ref. 178).
However, consumers and
manufacturers of e-cigarettes provided
information showing positive impacts of
e-cigarettes on cessation, including
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personal anecdotes from former smokers
(Ref. 132). For example, they cited a 1year multinational study where
researchers found that among smokers
who were using e-cigarettes at the
baseline, 22 percent had quit smoking
after 1 month and 46 percent had quit
smoking after 1 year (Ref. 179). In a
survey of adults in the United Kingdom
who tried to quit smoking at least once
in the past year, respondents who used
e-cigarettes had a higher quit rate (20
percent) than those who used NRTs like
patches or gum (10 percent) or those
that did not use a cessation aid (15
percent) (Ref. 180). These comments
also asserted evidence that e-cigarette
use, at a minimum, leads to decreased
cigarette use (e.g., Refs. 107, 181). One
comment also noted that tribes use ecigarettes as an alternative to smoking
and to promote cessation.
(Response) As we have stated
throughout this document, we recognize
that there is emerging data that some
individual smokers may potentially use
ENDS to transition away from
combustible tobacco products. For
instance, prospective studies of varying
duration examining the efficacy of ecigarettes as cessation devices suggest
their potential to decrease combustible
cigarette use as well as promote
abstinence from combustible cigarettes
(Refs. 107, 149, 182, 183, 184). Three
randomized controlled clinical trials
(Ref. 107, 149, 184) report that ecigarettes may help some smokers to
stop smoking. The trial that compared ecigarettes to nicotine replacement
therapy found verified abstinence in all
experimental groups, but no significant
difference among e-cigarettes, placebo ecigarettes (i.e., e-cigarettes with no
nicotine), and nicotine patches in sixmonth abstinence rates (Ref. 184).
Achievement of abstinence was
substantially lower than the optimistic
estimates on which the power
calculation and study sample size were
based, and thus, the researchers could
conclude no more than that ‘‘among
smokers wanting to quit, nicotine ecigarettes might be as effective as
patches for achieving cessation at 6
months’’ (id.). It is possible that longer
term prospective studies may—or may
not—demonstrate statistically
significant cessation outcomes for ecigarettes in relation to conventional
nicotine replacement therapies (id). It is
noteworthy that a third of the
participants allocated to the e-cigarettes
groups in this study reported continued
product use at 6 months, suggesting that
they might have become long-term ecigarette users (id.). However, some
systematic reviews of available evidence
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indicate that there is currently
insufficient data to draw a conclusion
about the efficacy of e-cigarettes as a
cessation device (Refs. 185, 186). The
Cochrane Collaboration’s systematic
review and meta-analysis assessed
approximately 600 scientific records to
include two randomized controlled
trials and 11 cohort studies on ecigarettes and smoking cessation in their
review (Ref. 186). As the Cochrane
review judged RCTs to be at low risk of
bias, the investigators combined results
from two randomized controlled trials,
totaling over 600 people, and conducted
a quantitative meta-analysis. Results
indicated that using e-cigarettes with
nicotine was associated with increased
smoking cessation as compared with ecigarettes without nicotine. Investigators
also found evidence that using ecigarettes with nicotine also helped
more smokers reduce the amount they
smoked by at least half compared to ecigarettes without nicotine. However,
the authors cautioned that ‘‘the small
number of trials, low event rates and
wide confidence intervals around the
estimates mean that our confidence in
the result is rated ‘low’.’’ (Ref. 186) In
addition, the authors observed that ‘‘the
overall quality of the evidence for our
outcomes was rated ‘low’ or ‘very low’
because of imprecision due to the small
number of trials’’ (id.). Another metaanalysis of the same two trials of ecigarettes with and without nicotine
found comparable results (Ref. 187). The
authors also reported a pooled estimate
of cessation among nicotine e-cigarette
users, but the lack of non-e-cigarette
control groups in the studies prevented
them from comparing the efficacy of ecigarettes against no e-cigarette use and
against standard interventions for
cessation, such as nicotine patches (id.).
An alternate systematic review and
meta-analysis of approximately 600
scientific records to include 15 cohort
studies, 3 cross-sectional studies, and
two clinical trials (one RCT, one nonRCT) examined the association between
e-cigarette use and cessation in
observational epidemiological studies
and clinical trials; all 20 studies
compared smoking cessation rates for ecigarette users against control groups of
smokers who did not use e-cigarettes
(Ref. 112). This meta-analysis found
overall that odds of quitting cigarettes
were on average 28 percent lower for
smokers who used e-cigarettes than
those who did not (odds ratio = 0.72,
with 95 percent confidence interval 0.57
to 0.91) (Ref. 112). Of note, this metaanalysis included chiefly observational
studies whose control groups were not
randomized, and included a wide range
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of designs as well as variable exposures
and outcome definitions (id.). While
some potential confounders were
controlled for in most of the studies, the
investigators acknowledged that there
may be other unidentified confounders
that could be a source of bias. This
potential bias as well as other
limitations described may impact
interpretability of the overall findings
(id.).
We also note that ENDS have not been
approved as effective cessation aids.
FDA remains committed to supporting
long-term population-level research that
will help fill in current data gaps.
(Comment 145) At least one comment
suggested that FDA provide physicians
with guidelines about e-cigarette use,
including its health impact and efficacy
as a cessation tool.
(Response) To the extent the comment
is about ENDS products that are drugs
because they are marketed for cessation,
an ENDS product marketed for
therapeutic purposes is a drug or device
subject to FDA’s regulations and laws
for those products.
(Comment 146) A few comments
expressed concern that FDA
misrepresented certain studies in the
NPRM and would not consider research
released since the issuance of the
NPRM, particularly regarding the
effectiveness of e-cigarettes as a
cessation tool.
(Response) FDA has considered the
preliminary evidence regarding the
effectiveness of ENDS to help smokers
quit or to reduce their consumption of
combusted tobacco products. There is
some indication that such products may
have the potential to help some
individual users to quit using
combusted tobacco products or to
reduce their use of such products, as
reported by scientific literature
describing a small number of
randomized controlled trials evaluating
the impact of ENDS use on smoking
outcomes (Refs. 137, 148, 184) and pilot
studies evaluating ENDS use on
smoking reduction and cessation (Refs.
182, 183). But other evidence is to the
contrary. Beyond the meta-analysis
discussed in section V(B)(3), a year-long
study of over 5,000 20-year-old Swiss
men found that, even after adjusting for
nicotine dependence, individuals who
were smokers at the start of the study
and who reported e-cigarette use at the
end of the study were more likely to still
be smoking and more likely to have
made one or more unsuccessful quit
attempts at the end of the year than
individuals who were smokers at the
start and who reported no e-cigarette
use (Ref. 188). The most important
consideration is that ENDS are not an
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FDA-approved cessation product. If an
ENDS manufacturer wishes to make a
cessation claim or otherwise market its
product for therapeutic purposes, the
company must submit an application for
their ENDS to be marketed as a medical
product.
(Comment 147) Some comments
expressed concern that e-cigarette users
are developing an addiction to nicotine
while seeking to overcome their
smoking addiction and that the lack of
regulation makes it difficult for users to
know the nicotine level that they need
in their e-cigarettes to overcome their
addiction. They stated that for cigarette
smokers who are trying to replace their
cigarette-derived nicotine with ecigarettes, ingredient listing and other
requirements are vital to ensure that
users know how much nicotine they are
ingesting.
(Response) By deeming ENDS, FDA
has ensured that these products are now
subject to requirements related to
ingredient and HPHC reporting, among
other requirements. In addition, the
registration and listing requirements
and premarket applications will provide
FDA with vital information as to the
extent of ENDS use and how many
ENDS products consumers are using on
a daily basis.
(Comment 148) Some comments
perceived the newer generation of ecigarettes to be less addictive than
combusted cigarettes and closer in
profile (including risk profile) to NRTs
(Ref. 76). They noted the limited
number of significant adverse events
resulting from e-cigarette use and
claimed that such adverse events are not
distinguishable from NRTs (Ref. 184).
Some comments also believed that FDA
should consider the advantages that ecigarettes have (as compared to NRTs)
when establishing the regulatory
approach for these products, including
the fact that they offer appealing visual,
tactile, and gestural similarities to
cigarettes, and that e-cigarettes provide
quicker nicotine delivery than NRTs
(Ref. 189).
(Response) As we have stated
throughout this document, we recognize
that individual smokers may report
cessation benefits from ENDS and that
preliminary research outcomes from
randomized controlled trials indicate
that ENDS may decrease some
individuals’ cigarette consumption and
promote cessation. However, the risk
profile is likely to be different as
compared to NRTs, and the long-term
risks associated with chronic use of
ENDS are unknown. Finally, contrary to
ENDS, the nicotine patch and other
NRTs were found to be safe and
effective by FDA’s CDER after reviewing
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premarket applications containing data
and information establishing safety and
effectiveness. No ENDS has yet been
approved by CDER.
(Comment 149) Comments in support
of limited or no regulation of ecigarettes stated that these products
have a positive impact on the public
health at the population level. They
cited online surveys and convenience
store data showing that most e-cigarette
users do not use additional tobacco
products (see section VIII.H) and
claimed that FDA cherry-picked the
evidence regarding dual use in the
NPRM. They also claimed FDA did not
adequately assess the reduction in
smoking that would result from
increased e-cigarette use and, as a result,
the Agency underestimated the
potential positive impacts of e-cigarettes
on the public health at the population
level.
(Response) Many provisions of the
FD&C Act call for a population-level
public health analysis that takes into
account the population as a whole,
including users and nonusers of tobacco
products (e.g., section 906(d) of the
FD&C Act). Even products that are less
toxic than combusted tobacco products
on an individual user basis may
increase public health harms if, for
example, they encourage nonusers to
start using tobacco products that can
lead to lifelong nicotine addiction.
As we have stated throughout the
document, FDA has examined data
regarding health harms generally
associated with all of the categories of
tobacco products regulated under this
rule (including ENDS, which FDA
recognizes may potentially provide
cessation benefits to some individual
smokers). FDA is regulating these
products in accordance with this
knowledge and will continue to regulate
as we learn more about the potential for
product-specific health harms. FDA
recognizes that some ENDS users report
that the products have the potential to
help individual users to quit smoking.
However, FDA’s responsibility is to
assess the population health impact of
ENDS, including increasing youth use,
as well as the frequency of dual use of
ENDS and combusted tobacco products.
FDA believes that data from long-term
population level studies, such as the
PATH Study, will help to provide
information about the overall
population health impacts of ENDS.
(Comment 150) Many comments
provided personal stories and peerreviewed studies to illustrate the
benefits of e-cigarettes as a cessation
product and to request that FDA treat
this product category differently based
on where the product falls within the
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continuum of nicotine delivering
products. For example, they suggested
that FDA differentiate between
substances that contain tobacco and
those that are derived from tobacco and
provide a separate regulatory approach
for each product category.
Some comments also suggested that
FDA tailor its regulatory approach based
on the type of electronic apparatus—
e.g., advanced refillable personal
vaporizers (ARPVs) or open-system
vapor products versus ‘‘cigalike’’
products (ready for use products that
look like cigarettes and are sold in
convenience stores). These comments
believed FDA should only deem
‘‘cigalike’’ products that are ready for
consumption, because they are easily
accessible to youth and have been
associated with quality control issues
(see section VIII.D). They noted that
ARPVs and other open systems are
significantly more expensive than
‘‘cigalike’’ products and are only offered
in vape or specialty shops. They
compared this to Option 1 (to deem all
cigars) and Option 2 (to deem all cigars
except premium cigars) and suggested
that FDA should have provided similar
options for regulating different ecigarettes. They also expressed the need
for a different regulatory approach for
ARPVs because they provide users with
the best opportunity to cease using
combusted tobacco products (Ref. 190).
However, other comments provided
focus group research in which smokers
rated cigalikes to be significantly more
satisfying than ARPVs and asked for a
minimal regulatory approach for
cigalikes.
Further, some comments stated that it
was not feasible to regulate ARPVs.
They stated that the wide varieties of eliquids available at e-cigarette retail
establishments and the ability of users
to customize their experience, including
by altering the product’s voltage/
wattage, puff duration, coil resistance,
cartridge/battery duration, and design
aesthetics, make oversight, application
review, and other regulation untenable.
Other comments stated that, instead
of establishing a different regulatory
approach, FDA should ban ARPVs
because there is greater risk associated
with their use and children may tamper
with them. They suggested that if FDA
does not ban these products, FDA
should require the disclosure of all
ingredients in e-liquids and other
vaporized nicotine products in both
their pre-use and vapor states.
(Response) To the extent that
comments are asserting that FDA should
not regulate ENDS or subject them to
certain provisions, FDA disagrees with
these comments, especially given that
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ENDS use among youth and young
adults is increasing. Although recent
data on young adults and adults
indicate that ENDS users are more likely
to be former cigarette smokers and
current cigarette smokers who have
tried to quit (e.g., Ref. 24), there is still
some use among adult non-tobacco
users, particularly among young adults.
In addition, the rapid increase in use
among adolescents is concerning. FDA
also remains concerned that ARPVs
present the risk of accidental nicotine
poisoning. In addition, researchers
recently reported that the new
generation of high voltage ENDS may
put users at increased risk of negative
health effects (Ref. 67) and that ARPVs
have the potential for increased abuse
liability (e.g., Refs. 109, 132, 171). FDA
will continue to monitor research
regarding the health effects of different
types of ENDS and may tailor the
regulatory requirements accordingly.
(Comment 151) Some comments
requested that FDA either exempt ecigarette products from the deeming
regulation or strike the entire proposal
for e-cigarettes and replace it with what
they considered a more science-based
approach or with rules that address
good manufacturing practices and
consumer safety, given their potential
for use as cessation products.
(Response) FDA disagrees. This final
deeming rule is a foundational rule that
will provide many public health
benefits, as described in the NPRM (79
FR 23142 at 23148 and 23149), and will
provide FDA with critical information
about the health risks of ENDS and
other newly deemed products,
including data from ingredient listing
submissions and reporting of HPHCs
required under the FD&C Act. Also,
once this rule becomes effective, newly
deemed products may be subject to
additional regulations. For example,
FDA has the authority under section
906(e) of the FD&C Act to issue a rule
establishing tobacco product
manufacturing practices, and this
authority applies to deemed products.
FDA also has the authority under
section 907 of the FD&C Act to establish
product standards for deemed products,
including requirements with respect to
packaging. The Agency issued an
ANPRM prior to this deeming rule,
seeking comments, data, research, or
other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings
and the use of child-resistant packaging.
In addition, elsewhere in this issue of
the Federal Register, FDA has made
available a draft guidance for public
comment, which when final will
describe FDA’s current thinking
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regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products, including recommendations
for nicotine exposure warnings and
child-resistant packaging that would
help to support a showing that the
marketing of a product is appropriate for
the protection of the public health.
(Comment 152) Some comments
stated that e-cigarettes should be subject
to little or no FDA regulation, because
e-cigarettes inhibit withdrawal
symptoms in users with a history of
relapse (Ref. 191) and lead to reduction
and cessation in asthmatic smokers (Ref.
107).
(Response) FDA disagrees. Although
ENDS may potentially provide cessation
benefits to individual smokers, no ENDS
have been approved as effective
cessation aids. If an ENDS manufacturer
wishes to make a cessation claim, the
company must submit an application for
their ENDS to be marketed as a medical
product.
G. Modified Risk Claims
In the NPRM, FDA noted that it
expects public health benefits through
the application of section 911 of the
FD&C Act to the newly deemed tobacco
products. Historically, certain users
have initiated and continued using
certain tobacco products based on
unauthorized modified risk claims and
consumers’ unsubstantiated beliefs.
Application of section 911 will prohibit
the introduction into interstate
commerce of MRTPs unless FDA issues
an order permitting their marketing.
(Comment 153) A few comments
expressed concern that imposition of
section 911 of the FD&C Act will force
e-cigarette manufacturers to implicitly
lie by not permitting them to tell
consumers that their products are safer
alternatives to conventional cigarettes,
to advertise that they do not contain
tobacco, and to state that they are
‘‘smoke free.’’ They added that the
public already overwhelmingly believes
that e-cigarettes are reduced risk
products and, therefore, the section 911
requirements are irrelevant (Refs. 178,
192). However, other comments stated
that manufacturers should be prohibited
from making cessation claims without
providing scientific evidence to support
their efficacy as a cessation mechanism.
(Response) FDA disagrees with
concerns that ENDS manufacturers will
not be able to make claims that properly
represent their products. Section 911 is
one of the provisions of the statute that
applies automatically to deemed
products. It was included in the FD&C
Act to protect consumers from
manufacturers making invalid or
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unsubstantiated claims, as many had
done with respect to their designation of
cigarettes as ‘‘light,’’ ‘‘low,’’ or ‘‘mild.’’
The mistaken belief that ‘‘light’’ and
‘‘low-tar’’ cigarettes were safer than
other cigarettes prompted many smokers
to switch to such products instead of
quitting altogether. Section 911 will
prevent consumers from being similarly
misled by ensuring a manufacturer may
not make unsubstantiated claims.
Manufacturers that have data to
substantiate modified risk claims for a
particular product can submit an MRTP
application so that FDA can determine
that the product meets the statutory
standard and can issue an order
authorizing it to be marketed as an
MRTP.
As Congress recognized,
[u]nless tobacco products that purport to
reduce the risks to the public of tobacco use
actually reduce such risks, those products
can cause substantial harm to the public
health to the extent that the individuals, who
would otherwise not consume tobacco
products or would consume such products
less, use tobacco products purporting to
reduce risk. Those who use products sold or
distributed as modified risk products that do
not in fact reduce risk, rather than quitting
or reducing their use of tobacco products,
have a substantially increased likelihood of
suffering disability and premature death. The
costs to society of the widespread use of
products sold or distributed as modified risk
products that do not in fact reduce risk or
that increase risk include thousands of
unnecessary deaths and injuries and huge
costs to our health care system.
(section 2(37) of the Tobacco Control
Act).
(Comment 154) Some comments
believed that e-cigarettes should only be
authorized as MRTPs, rather than new
tobacco products via the PMTA or SE
pathways, because that would allow
them to meet the predominant
expectations of consumers.
(Response) FDA disagrees. The
Tobacco Control Act requires all new
tobacco products, including MRTPs, to
go through premarket review and obtain
a marketing authorization order via the
PMTA, SE., or SE exemption pathways.
A manufacturer who wants to sell a
product for use to reduce harm or risk
of tobacco-related disease can also
obtain authorization to market an MRTP
if the manufacturer submits an
application under section 911 of the
FD&C Act and FDA issues such an
order.
(Comment 155) A comment suggested
that to address unauthorized modified
risk claims, we add the following
language to the final rule: No vapor
product or alternative nicotine product
shall be considered to be ‘‘sold or
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distributed for use to reduce harm or the
risk of tobacco-related disease
associated with commercially marketed
tobacco products’’ solely because its
label, labeling, or advertising uses the
following phrases to describe such
product and its use: ‘‘not consumed by
smoking,’’ ‘‘does not produce smoke,’’
‘‘smokefree,’’ ‘‘without smoke,’’ ‘‘no
smoke,’’ or ‘‘not smoke.’’
(Response) Section 911 of the FD&C
Act requires FDA to assess MRTP claims
for specific products. Therefore, FDA
will evaluate products on a case-by-case
basis to determine whether they are
‘‘sold or distributed for use to reduce
harm or the risk of tobacco-related
disease associated with commercially
marketed tobacco product’’ as stated in
section 911. However, we note that ecigarettes and similar ENDS products
are not ‘‘smokeless’’ products, as the
user is inhaling constituents (which are
different from a smokeless tobacco
product, as defined in the Tobacco
Control Act). In addition, FDA is aware
that some ENDS might heat their
product to a level high enough to cause
combustion.
(Comment 156) Many comments
stated that the NPRM may promote
conventional tobacco use because ecigarette manufacturers will be unable
to inform smokers that their products
are safer alternatives or that they do not
contain tobacco. They believed the
NPRM weakens the impact that the ecigarette industry might otherwise exert
on the tobacco industry.
(Response) FDA disagrees. First, this
final rule does not prohibit ENDS
manufacturers from making claims that
they are safer than conventional tobacco
products if they can provide evidence to
satisfy the requirements and obtain
marketing authorization from FDA
under section 911 of the FD&C Act.
Second, FDA believes that ENDS could
serve as alternatives to combusted
tobacco products.
H. Dual and Polytobacco Use
In the NPRM, FDA noted its concerns
that adult consumers may use one or
more of the proposed deemed products
in conjunction with cigarettes or other
tobacco products. FDA also noted that
studies suggest that some noncigarette
tobacco users may go on to become
addicted cigarette smokers (79 FR 23142
at 23159).
It is also recognized that some dual
users of ENDS and cigarettes may be
transitioning away from combustible
tobacco use and that such transient
periods of dual use may not present
greater health risks than that observed
during sole use of combustible tobacco.
In a peer-reviewed study published
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recently in Cancer Prevention Research,
investigators evaluated users of a single
brand of ‘‘cig-a-like’’ ENDS and found
that both cigarette smokers who
switched to using the evaluated ENDS
products and those who switched to
dual use of the evaluated ENDS and
cigarettes all demonstrated significant
reductions in exposure to carbon
monoxide and the toxicant acrolein
(Ref. 194).
(Comment 157) Many comments
expressed concern that the rate of dual
use of e-cigarettes and combusted
tobacco products is high, particularly
among middle and high school students
(Ref. 16). They stated that adolescents
do not use e-cigarettes as cessation aids
but rather use them in conjunction with
conventional cigarettes (Ref. 193; see
Ref. 194). They also indicated that this
dual use and the fact that youth who
experiment with e-cigarettes are 7.7
times more likely to become established
smokers than those who do not
experiment (Ref. 116) suggest that ecigarette use leads to increased use of
combusted tobacco products. However,
they noted that we need long-term
studies like FDA’s PATH Study to
confirm that assertion. Some comments
also stated that cigarette smokers who
use a second tobacco product even
occasionally are at higher risk for
continued tobacco use (Ref. 195).
Other comments believed that dual
use should not be a concern, generally
relying upon an Internet study of more
than 19,000 e-cigarette users in which
dual users had decreased from 20 to 4
cigarettes per day by the end of the
study (Ref. 109). Some comments also
expressed the belief that, because
clinical studies show that e-cigarettes
deliver only modest concentrations of
nicotine to novice e-cigarettes users
(Ref. 196), this would also be the case
for nonsmoking youth and young adults
and, therefore, would make the
possibility of addiction less likely.
Others argued that advanced e-cigarette
products deliver nicotine more
effectively, making adult consumers less
likely to dual use or revert back to
smoking. In addition, they claimed that
if e-cigarettes were acting as a gateway
to cigarette use, the current increase in
e-cigarette use would lead to a
corresponding increase in youth
cigarette use (which has not occurred).
In fact, they said an overlap of
combusted tobacco and e-cigarette use is
necessary if a tobacco user begins ecigarette use to transition away from
combusted tobacco consumption.
(Response) FDA is aware of dual use
of ENDS and combusted tobacco
products and is concerned about the
potential impact of this practice on
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nicotine addiction and cessation. FDA
also is concerned because this dual and
polytobacco use pattern appears to be
common among adolescents and young
adults (Ref. 197). However, recent CDC
NCHS data on young adult and adult
use patterns of e-cigarettes indicate that
former smokers and current smokers
trying to quit are more likely to use ecigarettes than former smokers who quit
smoking more than 1 year ago and those
who had never smoked (Ref. 24). These
results indicate that dual use of tobacco
may also be present during the
transitional phase when smokers of
combusted tobacco products are
attempting to quit, which is also
supported by personal stories included
in the comments. In addition, the largest
study to date in the EU found that ecigarette use was more likely among
smokers who had made a quit attempt
during the past year as compared to
those who never smoked (Ref. 109).
Other studies illustrate that current or
former smokers have tried e-cigarettes
not intending to quit tobacco use, but
instead, because they are ‘‘Easy to use
when I can’t smoke’’ (Ref. 198) or can
be used in places where conventional
tobacco use is not allowed (Ref. 199).
FDA remains committed to supporting
long-term population-level research,
such as the PATH Study, that will help
elucidate reasons for and patterns in
tobacco initiation, product switching,
and dual use across the spectrum of
tobacco products on the U.S. market,
including ENDS and conventional
cigarettes.
(Comment 158) Many comments
noted that almost all e-cigarettes contain
nicotine (Ref. 192). This nicotine
delivery varies within and across brands
(Refs. 200, 201) and by the user’s level
of experience with these products (e.g.,
Ref. 202). While many comments
expressed minimal concerns about
abuse liability of e-cigarettes, believing
that users will eventually switch
entirely to e-cigarettes, others expressed
the belief that long-term use of ecigarettes may lead to addiction in
youth and young adults.
(Response) FDA shares similar
concerns that youth may initiate tobacco
use with ENDS, become addicted, and
then dual use or move on to traditional
tobacco products. FDA discussed
available data regarding dual and
polytobacco use in the NPRM and is
unaware of long-term studies finding
that dual or polytobacco users
eventually switch to using just one
tobacco product (79 FR 23142 at 23159
and 23160). However, findings from a
recent study of 694 participants aged 16
to 26 years old suggest that youth ecigarette users might transition to
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smoking traditional cigarettes (Ref. 203).
Therefore, FDA remains concerned that
youth may use one of the newly deemed
products, whether it be an ENDS or any
other tobacco product, and dual use
with other tobacco products in the
future.
(Comment 159) Some comments
urged FDA to evaluate e-cigarettes based
on their scientific merit and
contribution to public health. At least
one comment felt that certain
researchers in the tobacco field were
biased based on their connections to
public health advocates or what the
comment refers to as ‘‘big tobacco
companies.’’ Some comments stated that
FDA only considered journal articles
when it should have considered other
available information.
(Response) FDA uses the best
evidence available from peer reviewed
journals and other reputable sources to
support this rule and fulfill our public
health mandate. In the context of
rulemaking, FDA follows the
requirements of Executive Orders 12866
and 13563 by basing its decisions ‘‘on
the best reasonably obtainable scientific,
technical, economic and other
information.’’ As stated in the NPRM,
we will continue to fund research to
help us determine the public health
impacts of ENDS. Long-term studies are
not available to conclude that ENDS are
a proven cessation product or to
establish what effect e-cigarettes have
on users who might otherwise quit but
instead engage in dual use of ENDS and
other tobacco products (79 FR 23142 at
23152).
I. Applicability of Section 901
In the preamble to the NPRM, FDA
stated that the rule applies to all
products that meet the definition of
‘‘tobacco product’’ under section 201(rr)
of the FD&C Act and any future
products that meet the definition. FDA
stated that e-cigarettes meet the
definition of ‘‘tobacco product.’’
(Comment 160) Many comments
seeking to exclude e-cigarette products
from the scope of the deeming rule
stated that Congress only meant for FDA
to regulate products with the greatest
threat (i.e., cigarettes and smokeless
tobacco products). They stated that
regulating all tobacco products as
strictly as cigarettes are regulated is not
warranted and that the rigid application
of the Tobacco Control Act is not
consistent with public health objectives.
(Response) FDA disagrees. Congress
gave FDA immediate authority over
certain tobacco products (i.e., cigarettes,
smokeless tobacco, cigarette tobacco,
and roll-your-own tobacco) and the
authority to deem other products
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(including ENDS and other products
that meet the statutory definition of
‘‘tobacco product’’). All tobacco
products, regardless of the category of
products, pose a health risk. Further, at
this time, only some of the restrictions
in part 1140 (which, prior to the rule,
applied only to cigarettes and smokeless
tobacco) will apply to the newly
deemed products. Specifically, while
the minimum age and identification,
vending machine, and free sample
provisions will apply to the newly
deemed products, additional provisions
in part 1140 (including minimum pack
size and restrictions on self-service
displays, sale and distribution of
nontobacco items, and sponsorship of
events) will not apply to the newly
deemed products at this time.
(Comment 161) Many comments
expressed concern that Congress did not
wish to effectively ban e-cigarettes (as
they claimed would occur as a result of
deeming these products), because such
a ban violates section 907(d)(3) of the
FD&C Act. They stated that if Congress
wanted to ban them, they would have
done so under their drug authority.
(Response) FDA is not banning any
category of tobacco product by issuing
this final deeming rule.
(Comment 162) Many comments
claimed that Congress did not intend for
FDA to strictly apply the Tobacco
Control Act requirements to all newly
deemed products, especially those that
do not contain tobacco leaf. They
believed because e-liquids do not
contain tobacco leaf, such products
should be regulated differently than
cigarettes and traditional smokeless
tobacco products.
(Response) With this rule, FDA is
deeming all products that meet the
definition of ‘‘tobacco product,’’
including e-liquids, to be subject to the
tobacco product authorities in chapter
IX of the FD&C Act, to address the
public health concerns associated with
them. The FD&C Act does not include
any requirement that a product contain
‘‘tobacco leaf’’ to meet the definition of
‘‘tobacco product’’ and be deemed
under this final rule. As stated
previously, FDA is not requiring that
ENDS and the other newly deemed
products comply with all of the
requirements of part 1140 at this time.
(Comment 163) Some comments
suggested that we need more
toxicological, epidemiological, and
behavioral studies before deeming ecigarettes under section 901. Other
comments stated that FDA must regulate
e-cigarettes despite not having the level
of scientific evidence that is available
for most conventional tobacco products.
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(Response) FDA continues to research
and fund studies regarding ENDS
initiation, use (including transitions to
other tobacco products and multiple
use), perceptions, dependence, and
toxicity (Ref. 195). FDA also has been
conducting a series of public workshops
to obtain additional information on ecigarettes and their impact on public
health (79 FR 55815). These workshops
are not necessary to inform this deeming
rule; however, they may inform FDA’s
development of future rules impacting
ENDS. Any additional regulations
regarding ENDS will be subject to the
requirements of the APA.
(Comment 164) Some comments
sought clarification as to FDA’s
authority over e-liquids that do not
contain nicotine or other chemicals
derived from tobacco plants and those eliquids that contain nicotine derived
from a nontobacco source (e.g.,
eggplants or tomatoes). Others claimed
that FDA does not have regulatory
authority over e-cigarettes that are
refillable and do not contain nicotine,
but does have authority over e-liquids if
the liquid contains nicotine. Yet, some
said that e-liquids used in e-cigarettes
should have an entirely new
classification, because use of the words
‘‘tobacco product’’ in marketing
materials would cause undue confusion
for consumers.
(Response) As stated in section 201(rr)
of the FD&C Act, the definition of
‘‘tobacco product’’ includes any product
made or derived from tobacco,
including any component, part, or
accessory of a tobacco product. An eliquid made or derived from tobacco
meets this definition and, therefore, is
subject to FDA’s chapter IX authorities.
E-liquids that do not contain nicotine or
other substances derived from tobacco
may still be components or parts and,
therefore, subject to FDA’s tobacco
control authorities, if they are an
assembly of materials intended or
reasonably expected to be used with or
for the human consumption of a tobacco
product and do not meet the definition
of accessory.
(Comment 165) Some comments tried
to compare pipes and rolling papers
(which are required to smoke tobacco)
with e-cigarettes (which are required to
‘‘vape’’ e-liquids), stating that ecigarettes should not be regulated. They
indicated that, unlike rolling paper
which is ‘‘intended for human
consumption’’ and therefore a tobacco
product component, a pipe is ‘‘nonconsumable’’ and should not be
considered a tobacco product
component. They said that, like pipes,
e-cigarettes are ‘‘non-consumable
products’’ and, therefore, are not
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components or parts of tobacco products
and not subject to regulation. They also
stated that only the e-liquid is the
consumable product and should be the
only part of the e-cigarette subject to
regulation.
(Response) The definition of ‘‘tobacco
product’’ as set forth in section 201(rr)
of the FD&C Act includes all
components, parts, and accessories of
tobacco products (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product). FDA
interprets components and parts of a
tobacco product to include any
assembly of materials intended or
reasonably expected: (1) To alter or
affect the tobacco product’s
performance, composition, constituents
or characteristics; or (2) to be used with
or for the human consumption of a
tobacco product. Both e-cigarettes and
pipes meet this definition. Thus, such
products are subject to FDA’s chapter IX
authorities as a result of this rule.
(Comment 166) Many comments
stated that FDA lacks any type of
meaningful justification for deeming ecigarettes because e-cigarettes do not
represent the same level of public health
threat as cigarettes. They claimed that
FDA has the burden of showing a
rational basis for regulation and that the
lack of data showing that these products
do not cause harm cannot serve as a
basis for regulating them. In addition,
some comments stated that FDA has no
justification for regulating products
simply because they may deliver
nicotine. They likened such authority to
imposing onerous regulations on
caffeine, another plant-derived
chemical.
(Response) FDA disagrees. FDA is
deeming these products to address
public health concerns (79 FR 23142 at
23148 and 23149). ENDS are tobacco
products. As stated throughout this
document, FDA has determined that
deeming all products meeting the
statutory definition of ‘‘tobacco
product’’ will significantly benefit
public health. We also note that by
merely deeming ENDS to be tobacco
products, FDA is not imposing the same
level of regulation as is currently
imposed on cigarettes. For example,
restrictions on self-service displays, sale
and distribution of nontobacco items,
and sponsorship of events will not
apply to ENDS at this time. FDA will
consider the health effects of all
products before determining whether to
issue additional regulations.
(Comment 167) Many comments
stated that the NPRM would ban
virtually all of the e-liquid products and
premium vaporizers (including mods,
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tanks, and open systems) and other
components or parts because
manufacturers of such products would
not have adequate resources to comply
with the requirements of the law.
(Response) FDA disagrees. FDA is not
banning any tobacco product under this
final rule. Rather, FDA is extending its
authority to regulate such products
under section 901 of the FD&C Act.
Manufacturers of ENDS products were
on notice that they could be considered
FDA-regulated tobacco products since
the enactment of the Tobacco Control
Act and the issuance of the Sottera
decision shortly thereafter. See section
VIII.K for additional discussion
regarding the Sottera case. Therefore,
FDA disagrees with any comments
referring to this rule as banning any
categories of tobacco products.
(Comment 168) Some comments
stated that FDA does not have the
authority to regulate the ingredients that
can be used in e-liquids.
(Response) FDA clarifies that,
although it will not be directly
regulating the individual ingredients in
e-liquids at this time, sections 905 and
910 of the FD&C Act give FDA authority
to review and consider ingredients in
making determinations on SE reports
and PMTAs (i.e., the Agency will look
at ingredients within a specific e-liquid
and determine whether the overall
tobacco product meets the statutory
standard for marketing authorization).
In addition, section 904 requires
manufacturers to submit a listing of all
ingredients added by the manufacturer
to the tobacco, paper, filter, or other part
of each tobacco product by brand and by
quantity in each brand and subbrand,
and section 915 of the FD&C Act
authorizes FDA to issue a regulation to
require that ‘‘tobacco product
manufacturers, packagers, or importers
make disclosures relating to the results
of the testing of tar and nicotine through
labels or advertising or other
appropriate means, and make
disclosures regarding the results of the
testing of other constituents, including
smoke constituents, ingredients, or
additives, that the Secretary determines
should be disclosed to the public to
protect the public health and will not
mislead consumers about the risk of
tobacco-related disease’’ (emphasis
added).
(Comment 169) A few comments
noted the differences among products in
the ENDS category in contrast to the
relatively uniform category of
combusted tobacco products. Given
these differences and the rapid cycle of
innovation and product development
for ENDS products, they stated that FDA
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cannot use the Tobacco Control Act
framework to regulate them.
(Response) FDA agrees that there are
many differences among the products in
the ENDS category. However, there are
many differences among combusted
tobacco products as well. For example,
many cigars are wrapped in whole
tobacco leaf, whereas cigarettes are not.
Waterpipe tobacco is consumed in a
manner very different from the
consumption of cigarettes and cigars.
The differences among these products
do not affect the Agency’s ability to
regulate them in accordance with the
requirements of the Tobacco Control
Act.
J. Definitions
Several comments suggested that we
add definitions specific to e-cigarettes
and their components and parts.
Comments stressed the importance of
defining terms broadly enough to ensure
all manufacturers of the finished
products or components and parts of the
finished products are covered by the
definitions.
(Comment 170) Some comments
suggested that FDA clearly identify
nomenclature and constituents of ENDS
products because ENDS is a much
broader category than e-cigarettes.
Similarly, some comments stated that
not defining these products would fail
to address the exploding market of ecigarettes and their e-cigarette
components and parts. They also stated
that an ENDS definition is necessary so
State and local governments can use
consistent definitions.
(Response) FDA agrees that there is an
expanding market of tobacco products
that meet the FD&C Act definition of
‘‘tobacco products.’’ However, FDA does
not believe it is necessary to define
individual categories of tobacco
products for purposes of this rule. In
fact, by deeming ‘‘tobacco products’’
generally, it will help ensure that novel
and future tobacco products are
introduced into the market in an
appropriate and efficient manner. FDA
may issue specific definitions at a later
time if it determines that doing so is
appropriate.
(Comment 171) At least one comment
recommended that we establish a
definition of ‘‘vapor product’’ and
define it as ‘‘any noncombustible
tobacco-derived product containing
nicotine that employs a heating element,
power source, electronic circuit, or
other electronic, chemical or
mechanical means, regardless of shape
or size, including any component
thereof, that can be used to produce
vapor from nicotine in a solution or
other form.’’ The comment stated that
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several States have adopted variations of
this definition and that it would provide
necessary clarity.
Likewise, at least one comment
suggested that we establish a definition
of ‘‘alternative nicotine product,’’ which
would be defined as ‘‘any
noncombustible tobacco-derived
product containing nicotine that is
intended for human consumption,
whether chewed, absorbed, dissolved or
ingested by any other means.’’ The
comment stated that several States have
adopted variations of this definition and
that it would provide necessary clarity.
(Response) For the reasons explained
previously, FDA finds that it is not
necessary to add these definitions to the
codified for this final rule.
(Comment 172) A few comments
suggested that FDA clarify the
differences between ‘‘liquid nicotine’’
and ‘‘e-cigarette liquid (or e-liquid).’’
They noted that, throughout the NPRM,
FDA referred to the liquid component of
e-cigarettes as ‘‘e-cigarette liquid,’’
which contains nicotine, flavorings, and
other ingredients. However, in a few
instances, FDA referred to ‘‘nicotine
solutions’’ or ‘‘nicotine liquids.’’ They
asked that we clarify the difference to
avoid confusion and unintended
coverage under chapter IX of the FD&C
Act.
(Response) FDA agrees that
clarification is necessary. Liquid
nicotine does not have flavorings or
other ingredients added to it. E-cigarette
liquid (or ‘‘e-liquid’’) is a liquid
containing nicotine, flavorings, and/or
other ingredients. This final rule
regulates e-liquid and liquid nicotine
that is made or derived from tobacco.
(Comment 173) Some comments
requested that FDA refer to ENDS
products as vapor products and use
definitions that differentiate between
the products that use combustion and
those that use vaporization. They stated
that this distinction is necessary
because the potential harms posed by
these products are different and
consumers may believe that vapor
products are as dangerous as combusted
smoking products. One comment
provided an example as to how to
recategorize tobacco products based on
their delivery method and combustion.
Another comment requested that FDA
add ‘‘combustion’’ to the current
definition of cigarette to differentiate
between combusted and vaporized
products.
(Response) For purposes of this
deeming regulation, FDA does not
believe it is necessary to distinguish
between vapor products and combusted
products. The statutory definition of
‘‘cigarette’’ was established by Congress
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and describes conventional cigarettes
(section 900(3) of the FD&C Act). If FDA
finds reason to differentiate between the
combusted and vaporized products for
the purpose of future regulations, FDA
will issue a new NPRM to propose such
definitions. In addition, FDA is aware
that some e-cigarettes are heated to a
high enough level to cause combustion
of the e-liquid.
(Comment 174) At least one comment
suggested that FDA alleviate any
potential confusion between
conventional cigarettes and e-cigarettes
by adding a third subsection to the
proposed definition of ‘‘cigarette’’ to
read as follows: ‘‘ ‘Cigarette’ (1) Means a
product that: (i) Is a tobacco product
and (ii) meets the definition of the term
‘‘cigarette’’ in section 3(1) of the Federal
Cigarette Labeling and Advertising Act;
(2) includes tobacco, in any form, that
is functional in the product, which,
because of its appearance, the type of
tobacco used in the filler, or its
packaging and labeling, is likely to be
offered to, or purchased by, consumers
as a cigarette or as roll-your-own
tobacco; and (3) does not include a
product such as nicotine [or products
containing nicotine] that is derived from
tobacco but does not contain tobacco.’’
(Response) FDA finds that this
addition to the cigarette definition is
unnecessary to prevent confusion
between the two product categories. The
definition of ‘‘cigarette’’ in § 1140.3 of
this final rule conforms to the definition
in section 900(3) of the FD&C Act.
(Comment 175) One comment
requested that FDA establish one
common name for all vapor products, so
the manufacturers, distributers,
importers, and retailers of these
products can comply with section
903(a)(4) of the FD&C Act, which
requires that the manufacturer include
an established name on the product
labeling.
(Response) At this time, FDA has not
established a common nomenclature for
this group of products. FDA will
consider these comments in
determining whether future regulatory
action is appropriate.
K. Sottera Decision
In the NPRM, FDA explained that, as
set forth in the Sottera decision, ecigarettes that are ‘‘customarily
marketed’’ are tobacco products over
which the Agency cannot exercise its
tobacco product authority until it
finalizes a regulation that deems them to
be subject to chapter IX of the FD&C
Act.
(Comment 176) Some comments
provided analysis of the D.C. Circuit’s
decision in Sottera, Inc. v. Food and
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29043
Drug Administration, 627 F.3d 891 (D.C.
Cir. 2010), which formed part of the
basis for FDA’s decision to deem
‘‘tobacco products’’ subject to FDA’s
tobacco product authorities. They took
issue with FDA’s description of the key
points of the case, stating that FDA is
misreading the holding of Sottera to
conclude that the court there held that
FDA has jurisdiction over e-cigarettes as
tobacco products because that question
was not presented in the case.
(Response) FDA’s analysis of the
Sottera decision in the proposed
deeming rule (79 FR 23142 at 23149 and
23150) was correct. On December 7,
2010, the D.C. Circuit held that FDA has
the authority to regulate customarily
marketed tobacco products under the
Tobacco Control Act and products made
or derived from tobacco that are
marketed for a therapeutic purpose
under the medical product provisions of
the FD&C Act. (See Sottera, Inc. v. Food
& Drug Administration, 627 F.3d 891
(D.C. Cir. 2010).) On January 24, 2011,
the D.C. Circuit denied the
government’s petitions for rehearing and
rehearing en banc (by the full court).
(See Sottera, Inc. v. FDA, No. 10–5032
(D.C. Cir. Jan. 24, 2011) (per curiam).)
On April 25, 2011, FDA issued a letter
to stakeholders indicating its intent to
deem additional tobacco products,
including e-cigarettes, to be subject to
FDA’s authorities in chapter IX of the
FD&C Act.
(Comment 177) A few comments
claimed that FDA had attempted to ban
e-cigarettes, the Sottera decision
established the legality of e-cigarettes,
and FDA’s purported ban was unlawful.
(Response) FDA disagrees. Prior to the
Sottera case, FDA did not seek to ban
e-cigarettes. Instead, FDA had detained
several shipments of e-cigarettes and
their accessories offered for import by
Smoking Everywhere and Sottera, Inc.
(doing business as NJOY) and
eventually refused admission into the
United States to two of Smoking
Everywhere’s shipments on the ground
that the products appeared to be
unapproved drug/device combination
products. FDA did not attempt to
categorically ban e-cigarettes for sale in
the United States but, instead, sought to
regulate them under its drug/device
authorities.
(Comment 178) A few comments
stated that manufacturers are marketing
e-cigarettes as cessation products and,
therefore, they should be regulated as
cessation products.
(Response) As stated in the D.C.
Circuit’s decision in Sottera, e-cigarettes
that are customarily marketed tobacco
products are subject to FDA’s tobacco
product authorities. If an e-cigarette
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manufacturer wishes to market its
product for a therapeutic purpose, the
company would be subject to FDA’s
drug/device authorities and must
submit an application to be marketed as
a medical product.
IX. Effect of Deeming Rule on Vape
Shop Manufacturers
Some comments requested
clarification regarding the regulatory
status of an ENDS retail establishment
that sells e-liquids (sometimes known as
a vape shop). Such establishments sell
a variety of products including ENDS,
replacement pieces, hardware, custom
mixed e-liquids, and other related
accessories.
If an establishment mixes or prepares
e-liquids or creates or modifies
aerosolizing apparatus for direct sale to
consumers for use in ENDS, the
establishment fits within the definition
of ‘‘tobacco product manufacturer’’ in
section 900(20) of the FD&C Act and the
combinations it mixes and/or prepares
are new tobacco products within the
meaning of section 910(a)(1). For
requirements not covered by the
compliance policy set forth in this
section, ENDS retail establishments that
meet the definition of a manufacturer
should refer to the compliance periods
in tables 2 and 3. As discussed in the
Analysis of Impacts (Ref. 204), FDA
expects that most vape shops will stop
mixing e-liquids (and preparing other
new tobacco products) to avoid being
‘‘manufacturers’’ under the Tobacco
Control Act.
The definition of ‘‘tobacco product
manufacturer’’ in section 900(20)
includes ‘‘any person, including any
repacker or relabeler, who
manufactures, fabricates, assembles,
processes, or labels a tobacco product.’’
Additionally, for purposes of section
905, the FD&C Act defines
‘‘manufacturing, preparation,
compounding, or processing’’ to include
‘‘repackaging, or otherwise changing the
container, wrapper or labeling of any
tobacco product package from the
original place of manufacture to the
person who makes the final delivery or
sale to the ultimate consumer or user.’’
Section 910(a)(1) defines a ‘‘new
tobacco product’’ as ‘‘any tobacco
product (including those products in
test markets) that was not commercially
marketed in the United States as of
February 15, 2007; or any modification
(including a change in design, any
component, any part, or any constituent,
including a smoke constituent, or in the
content, delivery or form of nicotine, or
any other additive or ingredient) of a
tobacco product where the modified
product was commercially marketed in
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the United States after February 15,
2007.’’ Therefore, establishments
engaged in mixing or preparing eliquids or creating or modifying
aerosolizing apparatus for direct sale to
consumers for use in ENDS are tobacco
product manufacturers and,
consequently, are subject to all of the
statutory and regulatory requirements
applicable to manufacturers.
The statute authorizes FDA to regulate
the manufacture of all new products,
including those manufactured at the
retail level. This is important to FDA’s
ability to protect the public health since
products manufactured at the retail
level pose many of the same public
health risks as those manufactured
upstream and possibly additional risks
related to the lack of standard
manufacturing practices and controls.
The introduction of statutory controls
and oversight into a historically
unregulated market inevitably will lead
to some market change and
consolidation. FDA recognizes that,
with the implementation of this final
rule, vape shops that meet the definition
of tobacco product manufacturer may
cease engaging in manufacturing
activities rather than comply with
requirements for manufacturers under
this final rule. However, FDA notes that
such entities will have the option to
continue operating solely as retailers, as
some vape shops currently do. In
addition, as noted earlier, FDA believes
that this policy (and the deeming rule as
a whole) will not stifle innovation but
could, instead, encourage it. Over time,
FDA expects that its premarket review
authorities will spur creative evolution
and help to create a market where
available products present a lower risk
of user and population harm, provide a
more consistent delivery under varying
conditions of use, are less likely to lead
to initiation of tobacco use, and/or are
easier to quit. In recent years, ENDS
products have proliferated in the
absence of regulation, in some cases
resulting in a lack of quality control and
consistency, consumer confusion and
even availability of acutely toxic
products. In this context, we expect that
changes in the market in response to
regulation will have significant benefits
for public health and will be a net
benefit overall.
As the ENDS market continues to
evolve, it is important that FDA exercise
its authority to oversee all
establishments engaged in
manufacturing activities and their
products, in order to protect consumers
and to carry out the public health
objectives of the Tobacco Control Act.
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A. Premarket Requirements (Sections
905 and 910)
As stated throughout the document,
manufacturers of newly deemed
products that are not grandfathered will
be required to obtain premarket
authorization of their products through
one of three pathways—PMTA, SE or SE
exemption (sections 905 and 910 of the
FD&C Act). Therefore, ENDS retailers
engaged in mixing or preparing eliquids or creating or modifying
aerosolizing apparatus will be required
to obtain premarket authorization for
each non-grandfathered product that
they prepare for sale or distribution to
consumers. However, under the
compliance policy laid out in section
V.A, FDA does not intend to enforce,
during specified compliance periods,
the premarket review requirements
including for ENDS retailers that mix or
prepare the same e-liquids they have
been preparing and offering for sale as
of the effective daterule, or that create
or modify aerosolizing apparatus
resulting in the same products they have
been creating as of the effective date. An
initial compliance period, the length of
which is dependent on the type of
application to be submitted, is intended
to provide additional time to prepare
and submit premarket applications. In
addition, for the 12 months following
this initial compliance period, FDA
intends to continue the compliance
policy and does not intend to enforce
the premarket review requirements if
the firm has a pending submission. This
means that, during this 12-month
continued compliance period of FDA
review, FDA expects that ENDS retailers
of any kind will sell only those products
that are (1) grandfathered; (2) authorized
by FDA; or (3) tobacco products for
which the ENDS retailer or another
(upstream) manufacturer has submitted
a marketing application/submission to
FDA during the initial compliance
period. (For PMTAs, the initial
compliance period to submit is 24
months after the final rule effective
date.)
FDA expects that this 12-month
continued compliance period of FDA
review will benefit manufacturers and
retailers of newly deemed products,
including ENDS retailers, since
upstream manufacturers that submit
applications will have a significant
incentive to make retailers aware of
their pending applications/submissions.
Specifically, we expect that upstream
manufacturer suppliers will inform
ENDS retailers selling their products
whether the upstream manufacturer has
submitted a premarket application for
such e-liquids and other ENDS products
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within the initial compliance period
such that the retailers can benefit from
the continued compliance period while
FDA reviews such applications. FDA
expects that manufacturers will have an
incentive to make retailers aware of
which products are the subject of
applications, which will enable retailers
to know whether a marketing
application has been submitted and
whether FDA has acted on an
application. In addition, retailers may
contact suppliers for relevant product
information. Therefore, after 36 months
from the effective date (i.e., at the end
of the initial compliance period plus 12-
29045
month continued compliance period),
FDA expects that all ENDS retailers will
sell only those products that are either
grandfathered or for which they have, or
an upstream supplier has, received
premarket authorization.
TABLE 4—COMPLIANCE POLICY FOR PREMARKET REQUIREMENTS—ENDS RETAIL ESTABLISHMENTS
24–36 months after the rule goes into effect
Beyond 36 months after the rule goes
into effect
FDA does not intend to enforce premarket authorization requirements for e-liquid products
that retailers mix and sell without marketing
authorization, provided that final mixture is
the same as a product the retailer was selling
or offered for sale as of the effective date.
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0–24 months after the rule goes into effect
FDA does not intend to initiate enforcement
action for e-liquid products that retailers mix
and sell where a marketing application has
been submitted and is still pending for the
final mixture.
The compliance period no longer applies,
even if the final mixture has a pending marketing submission/application. All products
for which a marketing submission/application is pending are subject to enforcement
action.
product is likely to be used alone or
together with other legally marketed
products and the public health
implications of those likely uses. FDA
has issued a draft guidance on PMTAs
for ENDS, published concurrently with
this final rule, which, when finalized,
will explain FDA’s current thinking
regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed eliquids and hardware/apparatus
components. FDA intends to act as
expeditiously as possible with respect to
all new applications, while ensuring
that statutory standards are met.
To reduce research burdens and
increase efficiency for ENDS retail
establishments that file applications,
FDA suggests that ENDS retail
establishments use master files
whenever possible. By obtaining
permission from a master file holder,
manufacturers could reference extensive
ingredients lists and constituent testing
that they otherwise would be required
to perform themselves for marketing
authorization. To facilitate this process,
elsewhere in this issue of the Federal
Register, FDA is announcing the
availability of a final guidance to
provide information on how to establish
and reference a TPMF. This information
will help applicants of newly deemed
products prepare premarket and other
regulatory submissions because they can
reference information in TPMFs rather
than develop the information on their
own.
Given the anticipated availability and
use of master files (as discussed in a
separate, final guidance published
concurrent with Deeming), which
allows manufacturers to rely on the data
and analysis submitted to FDA by
separate entities, FDA anticipates that
manufacturers will, over time, benefit
from significantly increased efficiencies
and reduced costs for complying with
the statute. Such a system prevents and
reduces duplication and allows for
manufacturer reliance on confidential or
sensitive non-public information while
maintaining its confidentiality, thus
saving time and reducing burdens for
multiple manufacturers. Because of the
nature of upstream supply of many
components for ENDS products,
especially e-liquids, FDA anticipates
that commercial incentives will be
sufficient to drive manufacturer reliance
on the system of master files. We also
note that at present, FDA understands
that, based on the Agency’s review of
publically available information as
discussed in section III.C of the Analysis
of Impacts (Ref. 204), the number of
entities engaged in upstream production
of liquid nicotine and flavors
specifically developed for use with eliquids is small, in the range of seven to
thirteen entities (see earlier discussion
in response to comment 34). Given the
current marketplace, the master file
system is likely to prove widely
appealing and widely utilized by the
ENDS industry, reducing burden
significantly.
In addition, FDA intends to open
public dockets for uniquely identified
compounds likely to be used in an eliquid product, such as propylene
glycol, glycerin, nicotine, colorants, and
flavoring agents. FDA intends to invite
stakeholders to submit to the docket
information regarding specific
compounds, including data, studies, or
other files, such as data on individual
health effects of inhalation exposure,
animal study data examining exposure
to varying levels of compounds within
e-liquids, or testing the impact of
temperature on changes to the aerosol
constituents. This information could
As stated previously, because
products manufactured at the retail
level pose many of the same public
health risks as those manufactured
upstream, and possibly additional risks,
it is important to enforce the statutory
requirements for all new products, even
those currently manufactured by ENDS
retailers.
In general, the FD&C Act provides
three pathways that manufacturers may
use to seek market authorization for a
new product: The premarket tobacco
product application pathway, the SE
pathway, and the exemption from SE
pathway. FDA anticipates that most
manufacturers of e-liquids and
apparatus components/complete
delivery systems will seek authorization
through the PMTA pathway. To obtain
marketing authorization under the
PMTA pathway, manufacturers are
required to establish, among other
things, that permitting their product to
be marketed would be appropriate for
the protection of the public health. In
establishing this, manufacturers should
take into account, and FDA will
consider, the ways in which the new
product is likely to be used. For
example, PMTAs for these products
should contain information on whether
the product is likely to be used alone or
together with other legally marketed
tobacco products (such as available
delivery systems), as well as the type
and range of the other products with
which it is likely to be used.
While the statutory standard will
apply to all products for which a PMTA
is filed, FDA expects that different
classes of products may have differing
likelihoods of success in meeting the
standard, by virtue of their expected
use. As stated previously, to meet the
statutory standard, PMTAs should
contain information on whether a
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3-year compliance period, even if the
HPHC guidance and the section 915
regulation are issued well in advance of
that time.
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then be used to help support
applications for premarket review, for
example, generating information on
HPHCs in ENDS products that is then
submitted as part of a PMTA.
B. Ingredient Listing and HPHC
Requirements (Section 904 and 915)
As of the effective date of this rule,
the ingredient listing requirements of
section 904 of the FD&C Act will apply
to manufacturers of the newly deemed
products, including ENDS retail
establishments that mix or prepare eliquids or create or modify aerosolizing
apparatus for sale or distribution. At
this time, FDA intends to limit
enforcement to finished tobacco
products. FDA does not at this time
intend to enforce these requirements for
manufacturers of components and parts
of newly deemed products that are sold
or distributed solely for further
manufacturing into finished tobacco
products. This means that FDA
generally intends to enforce these
requirements with respect to ENDS
retail establishments that mix or prepare
e-liquids or create or modify
aerosolizing apparatus for sale or
distribution directly to consumers but
not to distributors who sell components
for further manufacturing. However, if
the upstream distributor submits an
ingredient list for a particular product,
FDA does not intend to enforce the
ingredient listing requirement against an
ENDS retailer with respect to that
particular product. We note that FDA
also intends to issue a guidance
regarding HPHC reporting under section
904(a)(3), and later a testing regulation
as required by section 915, with enough
time for manufacturers to report given
the 3-year compliance period for HPHC
reporting. Section 904 (a)(3) requires the
submission of a report listing all
constituents, including smoke
constituents, identified as harmful or
potentially harmful (HPHC) by the
Secretary. Section 915 requires the
testing and reporting of the constituents,
ingredients, and additives the Secretary
determines should be tested to protect
the public health. The section 915
testing and reporting requirements
apply only after FDA issues a regulation
implementing that section, which it has
not yet done. Until these testing and
reporting requirements have been
established, newly deemed tobacco
products (and currently regulated
tobacco products) are not subject to the
testing and reporting provisions found
under section 915. As noted elsewhere
in this document, FDA does not intend
to enforce the reporting requirements
under section 904(a)(3) for newly
deemed products before the close of the
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C. Registration and Product Listing
(Section 905)
Section 905 of the FD&C Act requires
every person who owns or operates an
establishment engaged in the
‘‘manufacture, preparation,
compounding, or processing of a
tobacco product’’ to register its
establishment with FDA and submit a
listing of its tobacco products to the
Agency. If an ENDS retail establishment
engages in these activities, section 905
requires the establishment to register
and list its products with FDA in
accordance with this section. These
requirements apply under the statute for
all distinct products manufactured, and
they enable FDA to assess the landscape
of products manufactured by these
entities. If ENDS retail establishments
are mixing or preparing e-liquids or
creating or modifying aerosolizing
apparatus for direct sale to consumers,
then they will have to list each e-liquid
combination that they sell. It will be the
responsibility of the ENDS retail
establishment, as a manufacturer, to
determine how many and which
products they plan to manufacture. For
shops that prepare an expansive array of
custom mixes, with many gradations of
flavor, nicotine strength or other
characteristic, this would mean
identifying, listing, and reporting
ingredients for a large number of
distinct products. In reality, however,
we expect that such entities will elect to
narrow the list of combinations they sell
(with more limited distinctions in
strength and flavor, etc.), since such a
narrowing will allow them to continue
providing custom products and a variety
of options while simplifying their
reporting. However, since the time and
cost of listing each additional mixture is
expected to be very low, the reduction
will not necessarily be significant. In
addition, any narrowing may reflect a
reduction in products that are listed but
are not actually sold.
D. Tobacco Health Document
Submissions (Section 904)
Section 904(a)(4) of the FD&C Act
requires each tobacco product
manufacturer or importer, or agent
thereof, to submit all documents that
relate to health, toxicological,
behavioral, or physiologic effects of
current or future products, their
constituents (including smoke
constituents), ingredients, components,
and additives. As discussed in section
IV.D (discussing the compliance policy
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for small-scale tobacco product
manufacturers), FDA, for an additional
6 months following the end of the
generally applicable compliance period,
does not intend to enforce against those
small-scale tobacco product
manufacturers (including ENDS retail
establishments) who submit the
required information.
E. Office of Small Business Assistance
Under section 901(f) of the FD&C Act,
one of FDA’s initial activities upon
passage of the Tobacco Control Act was
to establish the OSBA within CTP to
assist small tobacco product
manufacturers and retailers in
complying with the law. FDA
recognizes that the issuance of this final
deeming rule, including the clarifying
information noting that ENDS retail
establishments are manufacturers
subject to this rule, may result in many
additional small tobacco product
entities contacting OSBA for assistance.
Accordingly, FDA intends to hire
additional OSBA staff to provide
assistance to small tobacco product
entities wherever possible.
X. Regulation of Other Categories of
Products
FDA is finalizing this rule to deem all
products that meet the definition of
tobacco product in section 201(rr) of the
FD&C Act (except accessories of newly
deemed tobacco products) to be subject
to FDA’s tobacco product authorities. In
addition, as stated in the NPRM, any
future tobacco product that meets the
definition in section 201(rr) (except
accessories of newly deemed tobacco
products) will also be subject to FDA’s
authorities under chapter IX of the
FD&C Act. Regulation of the newly
deemed tobacco products is intended to
address the public health concerns
related to these products. A summary of
the comments regarding dissolvables,
gels, pipe tobacco, waterpipe tobacco,
other alternative products, and future
tobacco products is discussed as
follows. FDA’s responses to the
comments are also included.
A. Nicotine in Newly Deemed Products
Comments were split as to the health
risks of nicotine and its impact on adult
tobacco product users.
(Comment 179) Many comments
stated that nicotine is addictive, and all
products containing nicotine pose a
health threat to youth. Some also stated
that nicotine can have detrimental
effects on the cardiovascular system and
promotes lung carcinomas (Refs. 15,
205). Other comments noted that it is
generally accepted that nicotine is not
directly responsible for tobacco-related
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death and disease (Ref. 206) and that the
Surgeon General has stated that it is the
toxic substances in tobacco products
(not the nicotine) that cause almost all
tobacco-related death and disease (Ref.
9).
(Response) FDA agrees that nicotine is
the primary addictive substance in
tobacco products, as stated in the
proposed deeming rule (79 FR 23142 at
23180). The Surgeon General has long
recognized that nicotine is the primary
pharmacologic agent of tobacco that can
be absorbed into the bloodstream and
cause addiction (Ref. 1 at 6–9). In
addition, the Surgeon General has stated
that addiction to nicotine is the
‘‘fundamental reason that individuals
persist in using tobacco products, and
this persistent use contributes to many
diseases’’ (Ref. 2 at 105). While nicotine
does not directly cause most smokingrelated diseases, addiction to the
nicotine in tobacco products sustains
tobacco use, leading to the ingestion of
the toxic substances in combusted
tobacco products and tobacco smoke
(Ref. 14). However, nicotine, in low
doses, is given in different routes of
administration as nicotine replacement
therapies to help consumers to stop
smoking, when approved for such
purposes.
While the inhalation of nicotine (i.e.,
nicotine without the products of
combustion) is of less risk to overall
public health than the inhalation of
nicotine delivered by smoke from
combusted tobacco products, limited
data suggests that the pharmacokinetic
properties of inhaled nicotine can be
similar to nicotine delivered by
combusted tobacco products. Thus,
inhaled nicotine from a noncombustible product may be as
addictive as inhaled nicotine delivered
by combusted tobacco products.
Researchers recognize that the effects
from nicotine exposure by inhalation
are likely not responsible for the high
prevalence of tobacco-related death and
disease in this country (Refs. 10, 11).
Although nicotine has not been shown
to cause the chronic disease associated
with tobacco use, the 2014 Surgeon
General’s report noted that there are
risks associated with nicotine (Ref. 9 at
111). For example, nicotine at high
enough doses has acute toxicity (id.).
Nicotine exposure during fetal
development has lasting adverse
consequences for brain development
(id.). Nicotine also adversely affects
maternal and fetal health during
pregnancy, contributing to multiple
adverse outcomes such as preterm
delivery and stillbirth (id.). Further,
data in animal models suggest that
nicotine exposure during adolescence
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may have lasting adverse consequences
for brain development (id.). Some
studies also have found that nicotine
can have detrimental effects on the
cardiovascular system and potentially
disrupt the central nervous system
(Refs. 14, 15). (See also section VIII.C
discussing the increase in poisoning due
to accidental nicotine ingestion.)
(Comment 180) FDA received a large
number of comments discussing the
addictive nature of nicotine and the
impact of nicotine on adolescents.
Several comments stated that research
indicates that the adolescent brain is
more vulnerable to nicotine addiction
than the adult brain. The comments
noted that researchers have found that,
‘‘most likely owing to its ongoing
development, the adolescent brain is
more vulnerable to the effects of
nicotine than the adult brain.
Adolescents progress faster to nicotine
dependence than adults, find nicotine
more rewarding, underestimate the risks
of smoking, and are more influenced by
smoking behavior in their social
milieu.’’ (Refs. 207, 208). One comment
noted that animal research showing the
adolescent brain is particularly
vulnerable to nicotine addiction, and
that adolescents are also less susceptible
to withdrawal symptoms, creating an
all-reward, no-regret system for
psychostimulant use (Refs. 209, 210,
211). Another comment noted that the
U.S. Surgeon General has found that key
symptoms of nicotine dependence—
such as withdrawal and tolerance—
develop in adolescents following even
minimal exposure to nicotine.
Additionally, the comment stated that
the Surgeon General’s 2012 report cites
one study following occasional
adolescent smokers that found that a
large proportion experienced at least
one symptom of nicotine dependence
upon quitting, even in the first 4 weeks
after initiating monthly smoking (at
least two cigarettes within a 2-month
period) (Ref. 49 at 24, citing Ref. 212).
(Response) FDA agrees that given
their developmental stage, and the fact
that brain maturation continues into the
mid-twenties, adolescents and young
adults are more uniquely susceptible to
biological, social, and environmental
influences to use and become addicted
to tobacco products. If individuals do
not start using cigarettes by age 26, they
are unlikely ever to smoke (Ref. 3).
Research shows that 87 percent of
established adult smokers began
smoking before the age of 18 (Ref. 9). An
analysis by the WHO of studies
performed among final-year high school
students in the United States suggests
that fewer than two out of five smokers
who believe that they will quit within
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5 years actually do quit. In high-income
countries, about 7 out of 10 adult
smokers say they regret initiating
smoking and would like to stop (Ref.
213).
In addition, FDA agrees that there are
data suggesting that the adolescent brain
is more vulnerable to developing
nicotine dependence than the adult
brain and that there is evidence to
suggest that these brain changes are
permanent (Refs. 49, 214). The Surgeon
General reported that ‘‘most people
begin to smoke in adolescence and
develop characteristic patterns of
nicotine dependence before adulthood’’
(Ref. 3). These youth develop physical
dependence and experience withdrawal
symptoms when they try to quit
smoking (id.). As a result, addiction to
nicotine is often lifelong (Ref. 4).
Additionally, youth and young adults
generally ‘‘underestimate the tenacity of
nicotine addiction and overestimate
their ability to stop smoking when they
choose’’ (Ref. 5). For example, one
survey revealed that ‘‘nearly 60 percent
of adolescents believed that they could
smoke for a few years and then quit’’
(Ref. 7). Research conducted in animal
models have indicated that exposure to
substances such as nicotine can disrupt
adolescent brain development and may
have long-term consequences on
executive cognitive function and on the
risk of developing a substance abuse
disorder and various mental health
problems as an adult (Ref. 8). This
exposure to nicotine can also have longterm results on decreasing attention
performance and increasing impulsivity
which could in turn promote the
maintenance of nicotine use behavior
(id.).
B. Dissolvables
FDA noted in the NPRM that it was
proposing to deem certain dissolvable
products (i.e., those dissolvable
products that do not currently meet the
definition of ‘‘smokeless tobacco’’ in
section 900(18) of the FD&C Act because
they do not contain cut, ground,
powdered, or leaf tobacco and instead
contain nicotine extracted from
tobacco). We explained that little
evidence is available to ascertain the
pharmacological properties and harmful
effects of dissolvable tobacco products
or compare them with FDA-approved
nicotine replacement products or other
tobacco products. We also noted that
certain dissolvable smokeless tobacco
products, given their candy-like
appearance, have the potential for
unintended poisonings. FDA deems
these dissolvable products with this
final rule.
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(Comment 181) Comments stated that
FDA should not rely on a study
investigating flavored tobacco products
in young adults as evidence that
dissolvables are more attractive to
children. They indicated that this study
is inapplicable because it only looked at
behaviors of people 18 years or older.
(Response) The cited study (Ref. 54)
assessed the prevalence of flavored
tobacco products (including
dissolvables) in individuals 18 and
older, which encompasses both young
adults and adults. The study stated that
the products’ packaging looks like
candy packaging and the products often
are sold next to candy. FDA believes
that these factors cause confusion
regarding the safety of these novel
tobacco products for adult consumers as
well as children (Ref. 215). In addition,
this study cited an additional study that
concluded that sugar preference is
greater in youth and young adults (Ref.
53). Accordingly, FDA believes it was
appropriate to cite to this study as
evidence supporting FDA’s concerns
with certain dissolvable products.
(Comment 182) Some comments
expressed concerns regarding possible
confusion between dissolvable tobacco
products and candy and the possibility
of inadvertent poisonings.
(Response) FDA agrees that the candylike appearance of some dissolvable
products may result in accidental
poisonings. As FDA discussed in the
NPRM, data from 2010 indicates that
13,705 tobacco product ingestion cases
were reported and more than 70 percent
of those cases involved infants under a
year old (Ref. 215). Although it is
unclear exactly how many of these cases
involved dissolvables, smokeless
tobacco products (in all forms,
including dissolvables) were the second
most common tobacco product ingested
by children, after cigarettes (id.).
(Comment 183) Some comments
mentioned that dissolvable tobacco
products may be easily confused with
NRTs and, therefore, should be
regulated.
(Response) The Agency finds that
FDA regulation of all dissolvable
products under chapter IX of the FD&C
Act will help to alleviate potential
confusion about the safety and use of
these products. Products that contain
nicotine derived from tobacco, are
intended for human consumption, and
are not marketed for therapeutic
purposes, are subject to FDA’s tobacco
product authorities under chapter IX of
the FD&C Act.
(Comment 184) Comments provided
unpublished data (Ref. 216) indicating
that dissolvable tobacco products
deliver nicotine levels sufficient to
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promote and sustain addiction. They
also indicated that dissolvable tobacco
products have a higher average pH than
other tobacco products, increasing the
amount of absorbable nicotine.
(Response) FDA acknowledges that
information about harmful or
potentially harmful constituents in such
products is sparse, but studies indicate
that the level of nicotine in dissolvable
products may differ from cigarettes and
may lead to nicotine addiction (Ref.
217). These studies support the public
health need to regulate all dissolvable
tobacco products.
(Comment 185) Comments stated that
dissolvable tobacco products are safer
than other tobacco products and have
lower levels of nitrosamines than snus
or snuff and just slightly higher levels
than some NRTs (Ref. 218). They also
provided information that evaluated
plasma nicotine levels, heart rates, and
reduction in cigarette cravings, and
found that the levels in certain
dissolvables were similar to the levels in
NRTs (Ref. 219).
(Response) While a continuum of
nicotine-delivering products exists,
deeming all tobacco products will
enable the Agency to collect information
about the ingredients and the health and
behavioral effects of these products.
These products are ‘‘tobacco products’’
with the potential to addict users and
harm children, particularly given their
candy-like appearance, and are subject
to FDA’s tobacco control authorities
upon the effective date of this final rule.
FDA also notes that NRTs are regulated
products and subject to premarket
review by FDA.
C. Gels
As proposed, FDA is deeming
nicotine gels with this final rule.
(Comment 186) Some comments
agreed that nicotine gels should be
subject to FDA’s chapter IX authorities
under the FD&C Act. In support of their
argument, they provided studies
showing that children and young adults
are more susceptible than adults to
nicotine poisoning through the skin
(Ref. 220).
(Response) With this final rule, FDA
is finalizing its proposal to deem all
‘‘tobacco products’’ including nicotine
gels, which are absorbed through the
skin. In addition to meeting the
definition of ‘‘tobacco product,’’
nicotine gels can be addictive and lead
to use of other tobacco products that
have well-documented risks of tobaccorelated death and disease. Regulating
these products also will help, among
other things, to address consumers’
unsubstantiated beliefs that non-
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cigarette tobacco products are safe
alternatives to cigarettes.
D. Pipe Tobacco
FDA proposed to cover pipe tobacco
with this deeming rule. FDA indicated
that pipe tobacco smokers have a risk of
tobacco-related disease similar to the
risk of those who inhale cigar smoke or
smoke cigarettes (Ref. 221). The Surgeon
General also found that pipe and cigar
smokers experience oral and laryngeal
cancer risks similar to that of cigarette
smokers (Ref. 222). FDA is deeming
pipe tobacco with this final rule.
(Comment 187) A few comments
provided suggestions as to how FDA
should define pipe tobacco in this final
rule to differentiate it from roll-yourown tobacco. For example, comments
suggested FDA define pipe tobacco to
include the moisture measured at the
time of packing, the amount of reducing
sugars, and the fact that it does not use
reconstituted sheet tobacco or expanded
leaf tobacco as part of the blend. Others
suggested FDA define the term based on
the ‘‘consumer’s reasonable perception
of the product’’ or include language
stating that it is ‘‘suitable for use and
likely to be offered to, or purchased by,
consumers as tobacco to be smoked in
a pipe.’’ Comments also requested that
FDA enforce against the misuse of pipe
tobacco as roll-your-own tobacco,
regardless of whether it defines pipe
tobacco, because mislabeled pipe
tobacco already meets the definition of
cigarette tobacco or roll-your-own
tobacco.
(Response) FDA disagrees. The
Agency finds that it is not necessary to
define pipe tobacco in this rule. FDA
also notes that it has issued Warning
Letters for products bearing the package
description of ‘‘pipe tobacco,’’ but that
are sold or distributed for use as
cigarettes for the purposes of chapter IX
of the FD&C Act due to the fact that,
because of its appearance, the type of
tobacco used in the filler, or its
packaging and labeling, it is suitable for
use and likely to be offered to
consumers as cigarettes, and/or likely to
be purchased by consumers for making
cigarettes or intended for use in
cigarettes. FDA will continue to do so as
circumstances warrant.
(Comment 188) Comments stated that
when consumers use pipe tobacco for its
intended use, it does not have the same
public health concerns as other tobacco
products. They also stated that pipe
tobacco users are only a small
percentage of adults and that only 0.2
percent of minors indicate that they are
dual users of pipe tobacco and cigarettes
(Ref. 9). They stated that based on these
differences, some of the automatic
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deeming provisions should not apply to
pipe tobacco. For example, they claimed
premarket review requirements should
not apply to pipe tobacco, because
manufacturers make changes to
maintain consistent taste for older
populations and not to create ‘‘new’’
products.
Other comments disagreed, citing
evidence of the dangers of pipe tobacco,
as discussed in the NPRM (79 FR 23142
at 23156 and 23168). They also
expressed concerns that extended use of
pipe tobacco releases significant
amounts of secondhand smoke into the
environment.
(Response) FDA disagrees that pipe
smoking is not a public health issue. As
we stated in the NPRM, studies of pipe
tobacco smokers have found that their
risk of tobacco-related disease is similar
to the risk in those who inhale cigar
smoke or smoke cigarettes (Ref. 221).
The Surgeon General also previously
found that pipe and cigar smokers
experience oral and laryngeal cancer
risks similar to that of a cigarette smoker
(Ref. 222). While the Surgeon General’s
report does indicate that pipe tobacco
smokers may have a lower risk of
developing cardiovascular disease than
cigarette smokers, pipe tobacco users
still are at risk for these diseases, and
those who use both cigarettes and pipe
tobacco may have even higher levels of
risk due to their usage patterns (Ref. 9
at 428). Moreover, researchers have
found that when compared with
individuals who have never used
tobacco, pipe smokers have an increased
risk of death from cancers of the lung,
oropharynx, esophagus, colorectum,
pancreas, and larynx, and from coronary
heart disease, cerebrovascular disease,
and COPD (Refs. 32, 221).
(Comment 189) A few comments
expressed concern that retailers who
blend pipe tobacco would be subject to
all FD&C Act requirements for
manufacturers, preparers, compounders,
or processors of tobacco products, such
as premarket review, and registration
and listing. These comments requested
that retailers blending up to either 3,000
pounds or 5,000 pounds of pipe tobacco
per year be exempt from the
requirements of the law that apply to
manufacturers.
(Response) All entities that meet the
definition of ‘‘tobacco product
manufacturer’’ in section 900(20) of the
FD&C Act, including retail
establishments that blend pipe tobacco,
are subject to and must comply with all
applicable statutory and regulatory
requirements for tobacco product
manufacturers.
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E. Waterpipe Tobacco
The NPRM included waterpipe
tobacco as an example of a tobacco
product that would be covered under
this deeming rule. We noted concerns
regarding the safety of waterpipe
tobacco given the nicotine and
carcinogens in waterpipe tobacco
smoke, and the availability of waterpipe
tobacco in a variety of flavors that could
be appealing to youth and young adults.
FDA’s final rule includes waterpipe
tobacco in the scope of products subject
to FDA’s tobacco control authorities.
(Comment 190) One comment
requested that FDA clarify whether the
term ‘‘hookah’’ refers to the waterpipe
or the tobacco used in the waterpipe.
(Response) In the NPRM, FDA
generally used the term ‘‘hookah’’ to
mean waterpipe smoking and ‘‘hookah
tobacco’’ as the tobacco used in the
waterpipe. Waterpipe smoking may also
be referred to by other names such as
shisha or narghile. To alleviate any
confusion in this final rule, FDA has
referred to ‘‘waterpipe smoking’’ and
‘‘waterpipe tobacco’’ to cover all types
of tobacco smoking using a waterpipe.
(Comment 191) At least one comment
expressed concern about the public
health risk of herbal waterpipe tobacco,
which they assert has the same levels of
toxicant exposure but without nicotine.
(Response) FDA’s tobacco product
authorities under chapter IX of the
FD&C Act do not extend to substances
that are not made or derived from
tobacco (like herbal waterpipe tobacco),
because they do not meet the definition
of ‘‘tobacco product’’ under section
201(rr) of the FD&C Act.
1. Dual and Polytobacco Use
(Comment 192) Many comments
expressed concern about the growth in
dual and polytobacco use among youth
and young adults. For example, the
North Carolina Public Health
Association submitted a preliminary
analysis of the 2013 NCYTS, which
indicated that 19.1 percent of high
school students reported using two or
more tobacco products and that 88.4
percent of high school students who
currently are using waterpipe tobacco
reported using at least one other tobacco
product. Some comments noted that
dual use of waterpipe tobacco and
cigarettes is more prevalent than
exclusive waterpipe tobacco use and
that waterpipe tobacco users typically
smoke cigarettes with greater intensity
than nonwaterpipe tobacco users (Ref.
222). In fact, dual use of waterpipe
tobacco and cigarette use is one of the
most common tobacco use profiles
found in young adults age 18 to 24 years
(e.g., Ref. 223).
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(Response) FDA remains concerned
about the potential for dual and
polytobacco use, particularly among
youth and young adults. As the North
Carolina research shows, a noncigarette
tobacco product (like waterpipe
tobacco) can be the first product used by
new tobacco users and there is concern
such users could continue using the
initial product or transition to cigarettes
or other tobacco products. There is also
the concern that existing users could
become dual users. Accordingly, it is
critical to deem these noncigarette
tobacco products and place restrictions
upon them that are appropriate for the
protection of the public health,
including age and identification
restrictions to help prevent youth use of
these products.
2. Popularity
(Comment 193) Many comments
expressed concern about the growing
use of waterpipe tobacco, particularly
among young adults. For example, they
noted that the percentage of young
adults aged 18 to 24 who use waterpipe
tobacco (7.8 percent) is significantly
higher than adult use (1.5 percent) (Ref.
224). A few comments suggested that
FDA overestimated this trend.
(Response) FDA agrees with the many
comments that supported regulation of
waterpipe tobacco and noted the
increase in use among young adults.
Waterpipe tobacco use continues to
increase in popularity, particularly
among college students, with as many as
40 percent reporting ever using
waterpipe tobacco and 20 percent
reporting use (i.e., use within the past
30 days) on some college campuses
(Refs. 25, 26).
3. Harms
(Comment 194) Many comments
supplemented the data in the NPRM
regarding the dangers of smoking
waterpipe tobacco. For example, they
referred to several studies showing
significant nicotine, carbon monoxide,
and other carcinogen intake during
waterpipe use (e.g., Refs. 225, 226, 227,
228). Further, in studies involving the
use of waterpipes in a hospital research
ward, researchers found greater carbon
monoxide exposure and a different
pattern of carcinogen exposure for
waterpipe tobacco smokers (when
compared to cigarette smokers), and
concluded that exposure to tobacco
smoke toxicants during waterpipe use is
similar qualitatively (though not
quantitatively) to cigarette smoke (Refs.
229, 230). Comments concluded that
waterpipe users have a significant risk
of smoking-related diseases, but the
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magnitude of the risk depends upon the
extent of the use.
(Response) FDA agrees with this
assessment and that it supports
finalizing its proposal to include
waterpipe tobacco in the scope of this
rule.
(Comment 195) Many comments
included data regarding the increased
cancer risks associated with waterpipe
smoking. For example, researchers
identified significant associations
between waterpipe tobacco use and
esophageal squamous cell carcinoma
and a 6-fold increase in risk of lung
cancer from waterpipe tobacco use
(Refs. 231, 232). In addition, the
existence of tobacco-related toxicants in
waterpipe tobacco smoke may place
users at risk for many of the same
diseases as cigarette smokers, including
a risk of lung cancer and respiratory
illness (e.g., Refs. 233, 234, 235, 236).
While some comments maintained that
many of these users will use waterpipe
tobacco only once in their lifetime,
these products are growing in
popularity with youth and young adults
and cause tobacco-related death and
disease.
Other comments opposed FDA’s
proposal to regulate waterpipe tobacco,
claiming that the dangers of waterpipe
tobacco use are unsupported, that FDA
has not adequately reviewed scientific
studies, and that FDA ignored evidence.
They also believed that use of
disposable mouth piece tips would
alleviate the risks of spreading
communicable diseases through
waterpipe use. In addition, they
indicated that FDA’s comparison of a
waterpipe smoking session to smoking a
single cigarette is inherently flawed due
to the different patterns of use of these
tobacco products.
(Response) Although it is possible
that use of disposable mouth piece tips
could help alleviate the risks of
spreading communicable diseases
through waterpipe use, the products
nevertheless present a significant risk of
smoking-related diseases. Accordingly,
FDA is finalizing its proposal to include
waterpipe tobacco in the scope of this
rule. Further, although the products
have different use topographies, FDA
continues to believe that a comparison
between the toxicants emitted during a
waterpipe session and cigarette smoking
is valid and indicative of the dangers
associated with waterpipe use. In fact,
the WHO study group on tobacco
regulation has found that a waterpipe
session can be the equivalent of
smoking more than 100 cigarettes (Ref.
237). Moreover, regardless of the
number of waterpipe tobacco users who
use waterpipe tobacco for more than 1
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day, the product presents significant
health risks and is appropriately
included in the scope of this rule.
4. Addiction
(Comment 196) Some comments
claimed that waterpipe tobacco smokers
do not get addicted and, therefore, there
is no need for FDA to regulate waterpipe
tobacco. Others disagreed and claimed
that waterpipe tobacco is addictive.
These comments provided extensive
data about the significant health effects
(including nicotine and toxicant
exposure) and the highly addictive
nature of waterpipe use (e.g., dual use)
(e.g., Ref. 233).
(Response) Waterpipe tobacco
contains nicotine, which is the primary
addictive chemical in tobacco products.
Researchers have observed nicotine
dependence characteristics in some
users, including suppressed cravings to
smoke and anxiousness (Refs. 238, 239,
240), with one study showing that
waterpipe tobacco use suppressed
withdrawal symptoms just as cigarette
smoking suppresses withdrawal
symptoms (Ref. 240).
5. Misunderstanding
(Comment 197) Consumers stated that
waterpipe tobacco should be regulated
given its appeal to youth and
adolescents’ belief that it is not as
harmful as traditional cigarettes. They
agreed that a failure to regulate the
proposed deemed products could
reinforce consumers’ existing confusion
and misinformation about these
products. However, other comments
stated that FDA’s concerns over youth’s
misperception of the safety of certain
tobacco products should not be a factor
that FDA should consider in deciding
whether to regulate them. They stated
that regulation cannot remedy the fact
that certain youth affirmatively
disregard available safety information.
Comments noted that waterpipe tobacco
users perceive this product to be much
less harmful that cigarette smoking (Ref.
241), because they mistakenly think that
the water filters out toxicants from the
smoke and the fact that waterpipe
tobacco use is frequently exempted from
clean indoor air laws.
(Response) While we continue to
believe that alleviating misperceptions
is important, we note that the potential
to alleviate youth’s misperception
regarding the toxicity of unregulated
tobacco products was only one of many
public health benefits associated with
deeming tobacco products, as discussed
in the NPRM (79 FR 23142 at 23148 and
23149). Waterpipe smoking carries
health risks similar to smoking
cigarettes, and waterpipe smoke
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contains many of the same carcinogens
and heavy metals as cigarette smoke (79
FR 23142 at 23156 and 23157). In
addition, given that waterpipe tobacco
smoking sessions last significantly
longer than smoking a cigarette,
smoking waterpipe tobacco could
potentially be even more dangerous
than smoking a cigarette (79 FR 23142
at 23156). Consequently, based on the
various impacts on public health, FDA
believes regulation of waterpipe tobacco
is important.
F. Additional Novel and Future Tobacco
Products
In the NPRM, FDA proposed to deem
additional novel and future tobacco
products if the products meet the
definition of ‘‘tobacco product’’ in
section 201(rr) of the FD&C Act. FDA is
finalizing this proposal here.
(Comment 198) Several comments
supported deeming all future tobacco
products. One comment requested that
the future regulated products should
include products that extend beyond
buccal or dermal absorption.
(Response) Future products that meet
the definition of ‘‘tobacco product’’
under section 201(rr) of the FD&C Act,
including the requirement that they be
‘‘intended for human consumption,’’ are
deemed subject to FDA’s chapter IX
authorities as a result of this rule. A
product may be intended for human
consumption in a variety of ways, such
as through the lungs or by buccal or
dermal absorption. However, future
accessories of newly deemed products
are not deemed subject to chapter IX as
a result of this rule.
(Comment 199) At least one comment
cautioned FDA that regulations for
future products should be based on the
continuum of risk to ensure that there
is continued innovation to reduce harm.
(Response) FDA recognizes the
existence of a continuum of nicotinedelivering products and will continue to
consider this continuum in regulating
future tobacco products.
(Comment 202) A few comments
stated that FDA should not regulate
products with de minimis amounts of
nicotine derived from tobacco that may
be used in cosmetics, food, animal feed,
or other products, and for purposes not
related to traditional tobacco use (such
as protein). Additionally, they stated
that these types of products should not
have to bear the warning, ‘‘This product
is derived from tobacco.’’
(Response) With this final rule, FDA
deems all products meeting the
definition of tobacco product, except for
accessories of newly deemed products,
to be subject to FDA’s authorities under
chapter IX of the FD&C Act.
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Determinations about whether
particular products meet this definition
would be made on a case-by-case basis.
However, animal feed is a veterinary
product and not for human
consumption and, therefore, would not
be a tobacco product. Products that
contain nicotine derived from tobacco
meet the definition of a tobacco product
under the FD&C Act and are required to
bear a health warning on packages and
in advertisements stating: ‘‘WARNING:
This product contains nicotine. Nicotine
is an addictive chemical.’’ For products
that are made or derived from tobacco
(but do not contain nicotine),
manufacturers may submit a
certification to FDA and, instead, bear
the statement ‘‘This product is made
from tobacco.’’ See section XVI.H for
additional information regarding this
certification.
(Comment 203) One comment stated
that alternative nicotine products, such
as nicotine toothpicks, have a net
positive impact on the public health
because they pose fewer health and
safety risks than conventional cigarettes
and could help addicted smokers
transition to less toxic tobacco products.
The comment argued that the regulatory
burden for such products should be
proportionately reduced.
(Response) While FDA recognizes the
existence of a continuum of nicotinedelivering products, all tobacco
products are addictive and potentially
dangerous and, therefore, should be
subject to FDA regulation. Therefore,
FDA is deeming all tobacco products
(except accessories of newly deemed
tobacco products) subject to the
requirements of chapter IX of the FD&C
Act and requiring certain additional
provisions (i.e., minimum age and
identification, vending machine, and
health warnings) for covered tobacco
products. FDA will continue to take this
continuum of nicotine-delivering
products into consideration as it
contemplates future regulations of the
newly deemed products.
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XI. Additional Automatic Provisions
Applicable to Newly Deemed Products
In addition to the requirement that
non-grandfathered tobacco products
obtain authorization through one of the
three marketing pathways, several
provisions in the Tobacco Control Act
and its implementing regulations will
automatically apply to the newly
deemed products as of the effective date
of this final rule (79 FR 23142 at 23148
and 23149). These provisions include:
(1) Adulteration and misbranding
provisions (sections 902 and 903 of the
FD&C Act);
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(2) Ingredient listing and HPHC
reporting requirements (sections 904
and 915 of the FD&C Act);
(3) Registration and product listing
requirements (section 905 of the FD&C
Act);
(4) Prohibition against the use of
‘‘light,’’ ‘‘low,’’ and ‘‘mild’’ descriptors
and products with other unauthorized
modified risk claims (section 911 of the
FD&C Act); and
(5) Prohibition of free samples of the
proposed deemed products (21 CFR
1140.16(d)).
Comments regarding these provisions,
and FDA’s responses to comments, are
as follows.
(Comment 204) In the proposed
deeming rule, FDA noted that it was
taking this action to address the public
health concerns associated with the use
of tobacco products. Some comments
stated that health policies based on
tobacco use prevention and cessation
are not sufficient to protect the public
health.
(Response) FDA is deeming products
that meet the definition of ‘‘tobacco
product,’’ except accessories of newly
deemed tobacco products, to address the
public health concerns with these
products. In the NPRM, FDA included
discussion of public health benefits to
better inform the public about the likely
results of deeming these tobacco
products. FDA intends to supplement
this final rule with regulations as
appropriate to protect the public health.
A. Sections 902 and 903—Adulteration
and Misbranding
In the proposed deeming rule, we
explained that the adulteration and
misbranding provisions of sections 902
and 903 of the FD&C Act would subject
all tobacco products to certain basic
requirements. For example, their
labeling and advertising cannot be false
or misleading, which will help reduce
consumer confusion and misperception.
The Agency can take enforcement action
against any tobacco product that did not
meet these basic requirements.
(Comment 205) A large number of
comments discussed the applicability of
sections 902 and 903 of the FD&C Act
to the newly deemed tobacco products.
Most comments expressed general
support for applying adulteration and
misbranding provisions to the newly
deemed tobacco products. Others
supported the application of the
provisions based on concerns that some
e-cigarette manufacturers may not be
producing their products in sterile
conditions. Several comments cautioned
that the differences between the newly
deemed tobacco products might result
in unwarranted restrictions if the
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29051
provisions are applied mechanically
across all product categories. At least
one comment stated that the
adulteration and misbranding
provisions should not apply to ecigarettes because there is no evidence
that adulteration and misbranding
currently occurs with those products or
causes any harm.
(Response) The adulteration and
misbranding provisions of sections 902
and 903 of the FD&C Act will
automatically subject all tobacco
products to certain basic requirements.
For example, their labeling and
advertising cannot be false or
misleading, which will help reduce
consumer confusion and misperception.
FDA will be able to take enforcement
action against any tobacco product that
does not meet these basic requirements.
For example, if a product is produced in
insanitary conditions or is
contaminated, or if its labeling contains
a misleading claim, it will be subject to
enforcement action, including seizure
and injunction.
B. Sections 904 and 915—Ingredient
Listing and Reporting of HPHCs
As stated in the NPRM, the newly
deemed products will be required to
comply with the ingredient listing and
HPHC reporting requirements of
sections 904 and 915 of the FD&C Act.
FDA intends to issue a guidance
regarding HPHC reporting, and later a
testing and reporting regulation as
required by section 915, with enough
time for manufacturers to report given
the 3-year compliance period for HPHC
reporting. As noted elsewhere in this
document, FDA does not intend to
enforce the reporting requirements for
newly deemed products before the close
of the 3-year compliance period, even if
the guidance is issued well in advance
of that time.
(Comment 206) A couple of comments
urged FDA not to require newly deemed
products to comply with the ingredient
and HPHC listing requirements. One
comment argued that such reports are
useless for educating consumers, who
will invariably use them in an attempt
to determine the relative risk of each
product. Another comment claimed that
the HPHC and ingredient listing
requirements should be abandoned
because they are not helpful and the
cost of producing these reports would
destroy industry.
(Response) FDA disagrees with these
comments. Ingredient and HPHC
reporting assist FDA in better
understanding the contents of regulated
products. This information will assist
FDA in assessing potential health risks
and determining if future regulations to
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address these health risks would be
appropriate. The FD&C Act directs FDA
to make certain HPHC information
publicly available, but it must do so in
a way that is understandable and not
misleading to lay persons.
(Comment 207) Several comments
discussed ingredient and HPHC listing
requirements in the context of small
businesses and particular products. A
few comments urged FDA to exempt
small businesses that manufacture ecigarettes from the HPHC reporting
requirement because the testing would
impose a large financial burden on them
and would likely drive them out of
business. One comment countered these
arguments, urging FDA to require
manufacturers of all products to comply
with the ingredient and HPHC listing
requirements and not provide an
exemption for small businesses. The
comment argued that the size of a
business does not change a product’s
potential health impact and that the
health benefits of regulation far exceed
the costs.
Other comments focused on
ingredient and HPHC listing
requirements for specific product
categories. At least one comment
expressed concern that HPHC testing
would disproportionately affect the
premium cigar industry, which has a
high number of low-volume products,
and requested that the requirements not
apply to small batch or special release
products. One comment claimed that
many of the new tobacco products on
the market, such as e-cigarettes, are
virtually identical with the exception of
flavoring and nicotine levels and
recommended that FDA allow for these
products to be grouped together for the
purposes of HPHC testing.
(Response) With respect to HPHC
testing of similar products, FDA
recognizes that some manufacturers of
newly deemed products sell products in
various flavors or with varying levels of
nicotine. Manufacturers of these
products will be required to test each
variation for HPHCs, even where the
products are otherwise the same. At this
time, there is little known about the
constituents of some newly deemed
products. HPHC testing will allow FDA
to track the level of HPHCs across
different categories of flavors and by
nicotine level. FDA’s compliance
policies for the HPHC requirements are
described elsewhere in this document.
(Comment 208) Several comments
stated that FDA should establish HPHC
lists and testing methodology before
requiring HPHC testing. One comment
requested that FDA establish an HPHC
list and testing methodology for ecigarettes in the same manner that it did
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for currently regulated tobacco
products, including holding public
workshops, requesting and considering
Tobacco Products Scientific Advisory
Committee recommendations,
publishing draft and final lists in the
Federal Register for public comment,
and providing a reasonable compliance
period for e-cigarette manufacturers. A
few comments expressed the opinion
that FDA should establish separate lists
of HPHCs for each category of newly
deemed tobacco products and not
require HPHC reporting until the lists
and corresponding testing
methodologies are created and
validated. Other comments stated that
because not all deemed products are
likely to have the same HPHCs as
currently regulated products, testing for
all of the constituents would be
wasteful.
(Response) As discussed elsewhere in
this document, the compliance period
for HPHC reporting and testing is the
effective date of this rule plus 3 years.
FDA intends to issue a guidance
regarding HPHC reporting, and later a
testing and reporting regulation as
required by section 915 of the FD&C
Act, with enough time for
manufacturers to report given this
compliance period. As noted elsewhere
in this document, FDA does not intend
to enforce the reporting requirements for
newly deemed products before the close
of the 3-year compliance period, even if
the guidance is issued well in advance
of that time.
(Comment 209) Several comments
suggested that manufacturers should be
required under section 904 of the FD&C
Act to include a statement of the
ingredients and/or nicotine
concentration on their product labeling
as a condition of sale. These comments
indicated that consumers could use this
information to select e-cigarette liquids
with decreasing nicotine content levels
as part of a nicotine replacement
therapy to quit smoking.
(Response) Sections 915(b) of the
FD&C Act and 206 of the Tobacco
Control Act give FDA authority to
require the disclosure of nicotine and
certain other information on labeling
and by other means. FDA has not issued
regulations for the currently regulated
tobacco products and did not propose
this in the proposed deeming rule. FDA
will consider whether it should do so in
the future. To the extent the comment
is about ENDS marketed for smoking
cessation, such a product would be
subject to FDA’s drug/device authorities
and not subject to FDA’s tobacco
product authorities.
(Comment 210) Some comments
suggested that any HPHC requirement
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for cigars should require analysis of
HPHCs in the tobacco (rather than the
smoke) in a manner similar to that for
hand-rolling tobacco. They stated that
HPHC smoke analysis is neither
available nor readily producible for
most cigars. They also stated that
smoking regimens recommended for
collecting HPHC data for tobacco smoke
were developed for cigarettes and
suggested that cigars are inherently
more variable than cigarettes. Finally,
they stated that the cigar smoke test
method recommended by the Centre de
´
Cooperation pour les Recherches
Scientifiques Relatives au Tabac in 2005
has produced more variable data than
that obtained using the comparable test
method for cigarettes, making it difficult
to compare consistent test results for
cigars.
(Response) FDA disagrees with the
comments. In order to determine the
HPHC deliveries that each cigar
provides, it is important that
manufacturers submit HPHC data on
smoke yields for cigars. HPHC
quantities in cigar tobacco only would
not provide a complete understanding
of the toxicity of each cigar. As stated
´
by the comments, Centre de Cooperation
pour les Recherches Scientifiques
Relatives au Tabac (CORESTA)
published method 64 in 2005 that
describes a smoking regimen for cigars.
It is not clear that the variability in cigar
HPHC yields will be greater than that for
cigarette yields. Variability in HPHC
smoke yields is dependent on the
smoking regimen, analytical method,
and batch-to-batch consistency in
product composition. Therefore, it is
expected that the variability in HPHC
smoke yields from some cigarettes will
exceed that for cigars. In any case, as
with cigarettes, it is important to
understand the HPHC deliveries in cigar
smoke.
C. Section 905—Registration and Listing
As stated in the NPRM, manufacturers
of the newly deemed products will be
required to comply with section 905(b)
of the FD&C Act, which requires the
registration of any establishment
engaged in the manufacture,
preparation, compounding, or
processing of a tobacco product. In
addition, they must comply with section
905(i) of the FD&C Act, which requires
registrants to submit a list of all tobacco
products that are being manufactured,
prepared, compounded, or processed for
commercial distribution. FDA must
issue a regulation before foreign
establishments are required to comply
with these requirements.
(Comment 211) Several comments
stated that FDA should apply the same
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requirements to both foreign and
domestic manufacturers of tobacco
products, including manufacturers of
the newly deemed products. They
expressed concern that FDA has not yet
issued a proposed registration and
listing rule and has not provided a
timeframe for a final rule that would
apply these requirements to foreign
establishments. They also stated that the
absence of registration and listing
requirements for foreign establishments
creates incentives for manufacturers of
the newly deemed products to move
their facilities overseas.
(Response) As indicated in the
Unified Agenda of Spring 2015 (Ref.
242), FDA plans to issue a proposed
registration and listing rule that would
extend these requirements to foreign
tobacco product establishments. In
addition, upon the effective date of this
final deeming rule, both foreign and
domestic manufacturers will be subject
to, among other things, adulteration and
misbranding restrictions (sections 902
and 903 of the FD&C Act); requirements
for ingredient listing and reporting of
HPHCs for all tobacco products (section
904 of the FD&C Act); and premarket
authorization requirements (sections
905 and 910 of the FD&C Act).
D. Section 911—Elimination of Low,
Light, and Mild, and Other
Unauthorized Modified Risk Claims
Section 911 of the FD&C Act is one of
the automatic statutory provisions that
will apply to the newly deemed
products on the effective date of this
regulation. The purpose of this section
is to prohibit the introduction into
interstate commerce of MRTPs,
including products the label, labeling,
or advertising of which uses ‘‘low,’’
‘‘light,’’ or ‘‘mild,’’ or other modified
risk claims unless FDA issues an order
authorizing their marketing. This
requirement will help consumers better
understand and appreciate the health
risks of the newly deemed products. In
addition to any applicable premarket
review under section 910 of the FD&C
Act, if a manufacturer wishes to sell a
MRTP, the company must submit an
MRTP application under section 911
and receive an FDA order to legally
market an MRTP.
(Comment 212) A number of
comments discussed the application of
the MRTP restrictions to the newly
deemed products. Several comments
argued, as a general matter, that
subjecting the newly deemed products
to section 911 would be an
unconstitutional restriction of free
speech because FDA either has no
substantial interest that would be
advanced by such restrictions or has not
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demonstrated that restricting modified
risk claims for these products would
advance its substantial interest in
protecting the public health. A couple of
comments argued that the brand names
of newly deemed products that contain
the descriptor ‘‘low,’’ ‘‘light,’’ or ‘‘mild’’
should be prohibited only where the
descriptors specifically convey a
modified risk claim. These comments
stated that where ‘‘low,’’ ‘‘light,’’ or
‘‘mild’’ is used and understood by
consumers to describe something other
than a modified risk (such as the
product’s taste), restricting the use of a
brand name containing one of these
terms would be unconstitutional,
arbitrary, and capricious because the
government does not advance any
substantial interest by doing so. Other
comments supported the application of
section 911 to all newly deemed tobacco
products, with some comments
maintaining that certain e-cigarette
companies are currently marketing their
products using unauthorized modified
risk claims.
(Response) FDA disagrees with the
suggestion that subjecting the newly
deemed products to section 911 would
be an unconstitutional restriction of free
speech. The Sixth Circuit upheld the
modified risk provisions against a First
Amendment challenge to the facial
validity of the statute in Discount
Tobacco v. FDA, 674 F.3d 509, 531–37
(6th Cir. 2012). We discuss this issue in
depth in section II.B.3.b. FDA has and
will continue to apply section 911 of the
FD&C Act consistent with the First
Amendment and will take all relevant
facts into account on a case-by-case
basis.
FDA agrees with comments that
supported the application of section 911
to all newly deemed products.
Historically, certain users have initiated
and continued using certain tobacco
products based on unauthorized
modified risk claims and consumers’
unsubstantiated beliefs about the
relative safety of these products. Section
911 will prevent the use of
unsubstantiated modified risk claims,
which may mislead consumers and lead
them to initiate tobacco product use or
to continue using tobacco when they
would otherwise quit. This will allow
for better-informed consumers and help
to prevent the use of misleading
marketing targeted to youth
populations.
(Comment 213) Many comments
stated that e-cigarette companies make
direct and indirect health claims in the
marketing and promotion of their
products (e.g., by posting customer
comments and testimonials on their
Web sites) and that some e-cigarette
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29053
advertising implies FDA approval or
endorsement (e.g., use of the FDA logo
on labels or statements such as ‘‘made
in an FDA-approved facility’’) (Ref.
151). As a result, the comments
suggested a number of different actions
to curb these unsubstantiated or
misleading claims, including: (1)
Prohibiting direct and implied
therapeutic claims that e-cigarettes are
effective cessation products unless there
is evidence; (2) using existing
enforcement authority to prohibit
therapeutic, health, and cessation
claims unless there is evidence of safety
and efficacy; (3) working with the FTC
to prohibit such claims as false
advertising until such time as there is
evidence of safety and efficacy; (4)
working with the FTC to introduce or
strengthen disclosure rules on the
Internet (e.g., product reviews) to
promote transparency; and (5)
prohibiting explicit or implicit
statements that e-cigarettes are approved
or endorsed by FDA.
(Response) Under section 911 of the
FD&C Act, no person may introduce or
deliver for introduction into interstate
commerce any MRTP without an order
in effect under section 911(g). Also, a
tobacco product is misbranded if its
label, labeling, or advertising is false or
misleading in any particular. Therefore,
by deeming ENDS and other tobacco
products, FDA is now authorized to take
enforcement action against
manufacturers who sell and distribute
products with unsubstantiated MRTP
claims, or false or misleading claims on
their label, labeling, or advertising.
Additionally, under section 301(tt) of
the FD&C Act, anyone making explicit
or implicit statements that a product is,
among other things, ‘‘approved’’ or
‘‘endorsed by FDA’’ is committing a
prohibited act. An ENDS product
claiming to be an NRT or otherwise
marketed for therapeutic purposes is a
drug or device subject to FDA’s
regulations and laws for those products.
Additionally, the Agency will consider
these comments in the future, and, if
FDA determines that it is appropriate,
will issue additional regulations.
E. Section 919—User Fees
In 2014, FDA issued a final rule
regarding user fees for cigarettes, snuff,
chewing tobacco, and roll-your-own
tobacco, including the submission of
information needed to calculate and
assess those user fees (79 FR 39302, July
10, 2014). In that final rule, FDA stated
that if it deems cigars or pipe tobacco,
FDA would respond to the NPRM
comments regarding user fee provisions
for cigars and pipes, and revise the user
fee regulations (79 FR 39302 at 39305).
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leaves the retail establishment with a
free cigar (partially used or intact
whole), this would constitute a ‘‘free
sample’’ in violation of the restriction
on free samples mandated by section
102 of the Tobacco Control Act. We
believe that, in most circumstances,
other retail facilities, including ENDS
retail establishments, can similarly
allow customers to touch, hold, and
smell their products without violating
the free sample ban. We note that
nothing in this policy should be
construed to alter or amend the
regulation implementing the free sample
ban at § 1140.16.
(Comment 215) A large number of
comments discussed whether FDA
should allow the continued distribution
of free samples of the newly deemed
tobacco products. Most comments
expressed general support for the ban on
free samples, citing concerns that such
samples serve as a gateway for youth
tobacco initiation. Several comments
argued that there is no reason to believe
that free samples of pipe tobacco and
premium cigars encourage youth
initiation because the samples are
distributed almost exclusively in adultF. Tobacco Control Act, Section 102—
only retail operations. One comment
Prohibition Against Free Samples
claimed that because epidemiological
In this final rule, FDA is not
data suggest that the majority of
modifying the existing restriction on
premium cigar smokers fall into a
distributing free samples of tobacco
category where there is no significant
products (21 CFR 1140.16(d)). As a
difference in the incidence of disease
result, this restriction will prohibit the
compared to never-smokers, banning
distribution of free samples of newly
free samples of premium cigars would
deemed tobacco products, as required
have no corresponding benefit even if it
by section 102 of the Tobacco Control
did reduce youth initiation. This
Act. See section II.B.3.a for discussion
comment also claimed that it would
regarding the constitutionality of this
similarly not help prevent youth access
free sample prohibition.
because they assert that, as indicated in
FDA understands concerns from some a recent SAMHSA survey, there is no
retailers about the effect that a ban on
evidence that youth obtain premium
free samples would have on their ability cigars at all, let alone as free samples
to promote new products. FDA wishes
from retailers.
to clarify that allowing prospective
Several comments, referring
adult buyers to smell or handle one of
specifically to pipe tobacco, premium
the newly deemed products is not
cigars, and e-cigarettes, stated that, in
considered distribution of a ‘‘free
light of the lack of evidence that youth
sample’’ as long as the free product is
obtain free samples of their products,
not actually consumed, in whole or in
banning these samples, which are a vital
part, in the retail facility and the
part of their industries, would only hurt
prospective buyer does not leave the
sales and small businesses without a
facility with a free tobacco product. For
corresponding public health benefit.
example, affording adult consumers the Comments referring to premium cigars
opportunity to handle a cigar will give
and pipe tobacco stated that free
them the ability to feel the resistance of
samples of these products are necessary
the cigar’s structure and allow them to
to entice adult consumers to purchase
clearly see the color of the product,
what are frequently unique and
which is an indication of the
sometimes expensive products.
fermentation period for the tobacco.
Comments on e-cigarettes argued that,
Handling the product also will allow
because their products are new, free
users to capture the aroma of a cigar and samples are necessary to convince
the box (if the cigar is sold in a package). cigarette users to switch to them.
One comment argued that FDA’s
However, if the prospective buyer lights
proposed ban on free samples
and draws or puffs on the cigar to keep
impermissibly restricts commercial
it lit, or otherwise uses the free cigar or
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Accordingly, elsewhere in this issue of
the Federal Register, FDA is issuing a
final rule revising the current user fee
regulations.
(Comment 214) Some comments
supported applying the user fee
provisions of the Tobacco Control Act to
all tobacco products, explaining that
application of user fee provisions to all
products is essential to ensure
uniformity and fairness across the
regulated entities. They also noted that
section 919(b)(3) of the FD&C Act states
that no manufacturer or importer of
tobacco products shall be required to
pay a user fee in excess of the
percentage share of such manufacturer
or importer. Accordingly, they argued
that FDA cannot assess user fees based
on the continuum of nicotine-delivering
products.
(Response) Elsewhere in this issue of
the Federal Register, FDA is issuing a
final rule regarding user fees for cigars
and pipe tobacco, including the
submission of information needed to
calculate their user fee assessments.
These comments are addressed in that
rule.
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speech that is protected by the First
Amendment. The comment stated that
while the court in Discount Tobacco
City & Lottery v. United States upheld
the Tobacco Control Act’s sampling ban
on cigarettes, the evidence the court
used to uphold that ban does not
support the same ban for the newly
deemed tobacco products. The comment
argued that FDA has presented no
evidence that samples of these products
lead to youth initiation and, therefore,
the Agency would not be advancing a
legitimate government interest with this
ban. Additionally, the comment
suggested that even if the ban did
advance a legitimate government
interest, FDA could achieve the same
results through less restrictive means,
such as by allowing samples in qualified
adult-only facilities, as FDA does with
smokeless tobacco.
(Response) FDA disagrees with the
assertions that the proposed ban on free
samples would hurt businesses without
corresponding public health benefits or
that this prohibition impermissibly
restricts commercial speech. This
prohibition will eliminate a pathway for
youth to access tobacco products, which
can help reduce youth initiation and
therefore short-term and long-term
morbidity and mortality resulting from
these products. The IOM has stated that
free samples of cigarettes ‘‘encourage
experimentation by minors with a risk
free and cost-free way to satisfy their
curiosity’’ (Ref. 30). While the IOM was
speaking in the context of cigarettes,
FDA believes that the same rationale
applies to the newly deemed products.
In addition, the U.S. Court of Appeals
for the Sixth Circuit held that the free
sample ban as applied to cigarettes does
not violate the First Amendment. The
court recognized that FDA has provided
‘‘extensive’’ evidence that free tobacco
samples constitute an ‘‘easily accessible
source’’ for youth (Discount Tobacco
City & Lottery, Inc. v. United States, 674
F.3d 509, 541 (6th Cir. 2012) (citing 61
FR 44396 at 44460, August 28, 1996),
cert. denied sub nom. Am. Snuff Co.,
LLC v. United States, 133 S. Ct. 1966
(2013)). Moreover, the panel
unanimously found that the ban
‘‘embodie[d] a narrow fit between the
harm articulated and the restrictions
employed’’ (id.). See section II.B.3.a for
more detailed discussion of the
constitutionality of the free sample
prohibition.
FDA understands concerns from cigar
retailers about the effect that a ban on
free samples would have on their ability
to promote new products. FDA wishes
to clarify that allowing prospective
adult buyers to smell or handle a cigar
is not considered the distribution of a
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‘‘free sample’’ as long as the product is
not actually consumed, in whole or in
part, in the retail facility and the
prospective buyer does not leave the
facility with a free tobacco product.
Affording adult consumers the
opportunity to handle the product will
give them the ability to feel the
resistance of the cigar’s structure, and
allow them to clearly see the color of the
product, which is an indication of the
fermentation period for the tobacco. It
also will allow users to capture the
aroma of the cigar and the box (if the
cigar is sold in a package). However, if
the prospective buyer lights and draws
or puffs on the free cigar or otherwise
uses the free cigar or leaves the retail
establishment with a free cigar (partially
used or intact whole), this would
constitute a ‘‘free sample’’ in violation
of the ban on free samples mandated by
section 102 of the Tobacco Control Act.
We believe that, in most circumstances,
other retail facilities, including ENDS
retail establishments, can similarly
allow customers to touch, hold, and
smell their products without violating
the free sample ban.
XII. Requests for Additional
Regulations Applicable to Newly
Deemed Products
In the NPRM, FDA noted that certain
provisions would automatically apply to
the newly deemed products and that the
Agency was proposing additional
restrictions that also would apply to
covered tobacco products. FDA also
noted that after the final rule becomes
effective, the Agency would have the
authority to issue additional regulations
applicable to the newly deemed
products, including product standards
under section 907 of the FD&C Act.
Many stakeholders submitted comments
and data regarding the need for
additional requirements and restrictions
for the newly deemed products. Some of
these requests would require a separate
NPRM, and they will help inform FDA
as it considers additional regulations for
newly deemed products.
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A. Ban on Flavored Tobacco Products
FDA received numerous comments
regarding flavored tobacco products,
including comments expressing
concerns regarding the impact of flavors
on youth and young adults and
preliminary data regarding some
individuals’ use of flavored ENDS
products to transition away from
combusted tobacco use. FDA’s summary
of comments and data regarding
flavored tobacco products is included in
section V.B of this document. FDA’s
responses to comments regarding a
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possible ban on flavored tobacco
products are included below.
(Comment 216) Many comments
suggested that FDA include a ban on
flavored tobacco products with this final
rule. Other comments suggested that
FDA continue to allow the sale of fruit
or candy-flavored e-cigarettes, because
they aid cigarette smokers in decreasing
cigarette use and in smoking cessation.
These comments generally relied on a
research article that found that most ecigarette users switched between flavors
on a daily basis or within the day, with
former smokers switching more
frequently than current smokers, and
that respondents indicated that flavor
variety was ‘‘very important’’ in
reducing or quitting smoking (Ref. 62).
This survey also noted that almost half
of respondents indicated that a
reduction in available flavors would
‘‘increase craving[s] for tobacco
cigarettes and would make reducing or
completely substituting smoking less
likely’’ (id.). Therefore, they believed
that FDA should not sacrifice adults’
use of flavored tobacco products in an
attempt to prevent children from using
flavored tobacco products. These
comments also noted that flavors are
used in other legally marketed products
including nicotine replacement
therapies (NRTs), which are FDAapproved products.
(Response) FDA is not banning
flavored tobacco products with this final
deeming rule. To address concerns with
the growing flavored cigar market and
its impact on youth and young adult
initiation with tobacco products, FDA is
announcing here that it intends to issue
in the future a proposed product
standard that would prohibit
characterizing flavors in all cigars,
including cigarillos and little cigars.
As discussed in section VIII.F of this
document, we recognize that there is
evidence that some individual former
smokers may now report using ENDS
(Ref. 24). However, the study referred to
in the comments (Ref. 62) examined
self-selected research subjects who were
recruited through an e-cigarette Web
site. All respondents were either former
smokers (91.2 percent) or current
smokers (8.8 percent); both groups had
smoked on average 22 years before
beginning to use ENDS. The article did
not consider whether either the selfselection or the demographic profile of
the respondents might affect the
applicability of its results to any larger
population. Moreover, the study did not
address the question of whether study
participants would have increased
cigarette use if there were no available
flavored ENDS or if the variety of
flavored ENDS were limited. If
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additional evidence emerges that
flavored ENDS make it more likely that
smokers switch completely to ENDS,
such evidence submitted as part of a
PMTA would help support that
application, as part of the analysis of
whether the marketing of the product is
appropriate for the protection of public
health.
Further, new data shows continued
growth in youth and young adult usage
of flavored tobacco products. FDA has
balanced those concerns with
preliminary data showing that some
adults may potentially use flavored
ENDS to transition from combusted
tobacco use when developing the
compliance policy for premarket review.
(Comment 217) Many comments
responded to FDA’s request for data,
research, and information regarding the
characteristics or factors it should
consider in determining whether a
particular tobacco product is a
‘‘cigarette’’ as defined in section 900(3)
of the FD&C Act and, consequently,
subject to the prohibition against
characterizing flavors, despite being
labeled as a little cigar or other
noncigarette tobacco product. Several
comments stated that little cigars are
being marketed and used as cigarettes
and, therefore, FDA should
communicate that such products are
subject to the cigarette flavor ban. Other
comments provided information
regarding the differences between
cigarettes and little cigars or other
noncigarette tobacco products and
indicated that such products should not
be subject to the cigarette flavor ban.
(Response) FDA understands and
appreciates comments regarding the role
that flavored little cigars, or similar
products, might play on initiation of
tobacco product use and dual use. FDA
will continue to determine whether a
product is a ‘‘cigarette’’ under the FD&C
Act and subject to the statutory flavor
ban on a case-by-case basis.
(Comment 218) One comment stated
that section 907(d)(3) of the FD&C Act,
which prohibits FDA from banning
certain enumerated tobacco products,
demonstrates that Congress did not
intend to grant FDA the power to ban
any tobacco product by any means,
including by enacting a product
standard that would be a tantamount
ban of newly deemed products,
especially when some of these products
present lower risks of death and disease
than the specifically enumerated ones.
Some comments also referred to the
difficulty in defining ‘‘characterizing
flavor’’ in the context of instituting a
ban on flavored newly deemed tobacco
products.
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(Response) If FDA decides to issue a
product standard, it will do so in
accordance with section 907 of the
FD&C Act. Because FDA is not banning
flavored tobacco products with this final
deeming rule, it is not necessary to
consider whether and how to define
‘‘characterizing flavor.’’
B. Additional Access Restrictions
(Comment 219) Some comments
suggested that FDA require face-to-face
sales for all covered tobacco products,
as it does for sales of cigarettes and
smokeless tobacco, as provided in
§ 1140.14(a)(3). For example, they
suggested that FDA ban self-service
displays for newly deemed tobacco
products. They expressed concern that
treating cigarettes and smokeless
tobacco differently from other tobacco
products would lead to confusion for
retailers and complicate retailer training
programs.
(Response) FDA will continue to
monitor this issue and, if it determines
that it is appropriate for the protection
of public health to extend the selfservice display prohibition to newly
deemed tobacco products, the Agency
will issue a new NPRM in accordance
with the APA.
(Comment 220) Some comments
suggested that we simultaneously issue
this final rule with an ANPRM seeking
additional information to draft a
proposal that would apply the
additional restrictions in part 1140 (e.g.,
ban on self-service displays, the sale
and distribution of nontobacco items,
and the sponsorship of events) to newly
deemed products.
(Response) FDA is taking this
comment under advisement. If FDA
decides to issue such a proposal, the
Agency will comply with the
requirements of the APA.
(Comment 221) A few comments
requested that FDA regulate all
dissolvables and other newly deemed
products in the same manner it
regulates other tobacco products,
including application of all of the
marketing and advertising restrictions in
part 1140.
(Response) At this time, FDA is
subjecting newly deemed products to
the automatic requirements and covered
tobacco products to the additional
provisions (i.e., age and identification
requirements, vending machine
restrictions, and health warning
requirements) discussed in this final
rule. However, if FDA later determines
that extending such marketing and
advertising restrictions to the newly
deemed products is appropriate and
meets the applicable standard in section
906(d), FDA will comply with the
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requirements of the APA when
implementing such restrictions.
C. Nicotine Exposure Warnings
(Comment 222) Many comments
expressed concern about the increase in
nicotine poisonings due to accidental
ingestion of e-liquids and offered
suggestions to address this issue: (1) Set
a maximum nicotine content level for eliquids; (2) require the use of childresistant containers; (3) require a poison
warning on the packaging and point of
sale for liquid-based products; and (4)
set a limit on the allowable speed of
flow of the product from its container
(e.g., by requiring a flow-restricting
apparatus on the opening of the
container or requiring a rigid container
to prevent quick dispensing of product
by squeezing the container).
(Response) FDA expressed similar
concerns about the increase in nicotine
poisonings in the NPRM and section
VIII.D. Once this final rule becomes
effective, FDA has authority to issue
additional regulations to address these
concerns. In addition, FDA has issued
an ANPRM prior to this deeming rule,
seeking comments, data, research, or
other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings
and the use of child-resistant packaging.
Moreover, elsewhere in this issue of the
Federal Register, FDA has made
available draft guidance, which when
final will describe FDA’s current
thinking regarding some appropriate
means of addressing the premarket
authorization requirements for newly
deemed ENDS products, including
recommendations for nicotine exposure
warnings and child-resistant packaging
that would help to support a showing
that the marketing of a product is
appropriate for the protection of the
public health.
XIII. Severability
This rule is being finalized with
several changes from the NPRM.
Specific comments regarding proposed
codified language, and FDA’s responses
to those comments, are included in
section VII.
In accordance with section 5 of the
Tobacco Control Act, FDA considers
and intends the extension of its
authorities over all tobacco products
and the various requirements and
prohibitions established by this rule to
be severable. It is FDA’s interpretation
and position that the invalidity of any
provision of this rule shall not affect the
validity of any other part of this rule. In
the event any court or other lawful
authority were to temporarily or
permanently invalidate, restrain, enjoin,
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or suspend any provision of this final
rule, FDA would conclude that the
remaining parts continue to be valid. As
stated in section 5 of the Tobacco
Control Act, if certain applications of
this rule to persons or circumstances
(discussed in the preamble or otherwise)
are held to be invalid, application of
such provisions to any other person or
circumstance will not be affected and
will continue to be enforced to the
fullest extent possible. Each provision of
the rule is independently supported by
data and analysis as described or
referenced in this preamble and, if
issued separately, would remain a
proper exercise of FDA authority.
XIV. Description of the Final Rule—
Part 1100
In the NPRM, FDA explained that
new part 1100 would describe the scope
of FDA’s authority over tobacco
products, the requirements that would
apply to tobacco products, applicable
definitions, and the effective date of the
rule. We consider and intend the
extension of our authorities over
tobacco products and the various
requirements and prohibitions
established by this rule to be severable.
A. Section 1100.1—Scope
FDA selects Option 1 with this final
rule, deeming all cigars (rather than a
subset), which has been applied
throughout the codified text for parts
1100, 1140, and 1143. Therefore, this
section now states that in addition to
FDA’s authority over cigarettes, cigarette
tobacco, roll-your-own tobacco, and
smokeless tobacco, FDA deems all other
products meeting the definition of
‘‘tobacco product’’ under section 201(rr)
of the FD&C Act, except accessories of
such other tobacco products, to be
subject to chapter IX of the FD&C Act.
The definition of ‘‘accessory’’ is now
included in § 1100.3 (as discussed in
section VI.A).
B. Section 1100.2—Requirements
Because FDA selected Option 1 for
the scope of the deeming rule, § 1100.2
states that cigarettes, cigarette tobacco,
roll-your-own tobacco, smokeless
tobacco are subject to chapter IX of the
FD&C Act and its implementing
regulations. In addition, this section
states that FDA has deemed all other
tobacco products, except accessories of
such other tobacco products, subject to
chapter IX of the FD&C Act and its
implementing regulations.
C. Section 1100.3—Definitions
FDA requested comment on
definitions for cigar, covered cigar, and
tobacco product. Because we are
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selecting Option 1 deeming all cigars
(rather than a subset) with this final
rule, comments regarding the definition
of covered cigar are no longer relevant
to this rulemaking. In addition, FDA
received many comments regarding
components, parts, and accessories,
including how they should be defined
and the application of requirements to
these objects. We have added
definitions of ‘‘component or part’’ and
‘‘accessory’’ to this section. The
discussion of this language is included
in section VI.A.
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XV. Description of the Final Rule—Part
1140
Currently, part 1140 generally applies
to cigarettes, cigarette tobacco, roll-yourown tobacco, and smokeless tobacco.
FDA proposed additional provisions to
apply to ‘‘covered tobacco products’’
(namely, the requirement to prohibit the
sale and distribution of products to
individuals under 18 years of age and
the prohibition on vending machine
sales except in adult-only facilities). As
stated elsewhere in this document,
‘‘covered tobacco product’’ means any
tobacco product deemed to be subject to
the FD&C Act pursuant to § 1100.2, but
excludes any component or part that is
not made or derived from tobacco. FDA
is finalizing these requirements without
substantive change. FDA intends to
update the current guidance documents
for civil money penalties and frequently
asked questions to reflect that violations
of health warning requirements may
lead to the issuance of civil money
penalties. We consider and intend the
extension of our authorities over
tobacco products and the various
requirements and prohibitions
established by this rule to be severable.
A. Section 1140.1—Scope
The NPRM offered several
amendments to part 1140 in order to
apply select existing sale and
distribution restrictions, including age,
identification, and vending machine
provisions, to address youth access to
the deemed tobacco products. As
currently written, part 1140 generally
applies to cigarettes, cigarette tobacco,
roll-your-own tobacco, and smokeless
tobacco products. Accordingly, FDA is
finalizing this rule to add the phrase
‘‘and covered tobacco products’’ to
§ 1140.1(a) and (b) to ensure the
products are subject to select existing
restrictions and access provisions. We
also have added language to § 1140.1(a)
to clarify the scope of § 1140.16(d).
B. Section 1140.2—Purpose
This final rule adds ‘‘and covered
tobacco products’’ to indicate that the
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purpose of this part is to establish
restrictions on the sale, distribution, and
access to covered tobacco products in
addition to those restrictions in place
for cigarettes and smokeless tobacco.
Therefore, the final rule states that
retailers of the newly deemed covered
tobacco products may not sell them to
individuals under 18 years of age and
requires retailers of covered tobacco
products to verify the purchaser’s birth
date by reviewing the individual’s
photographic identification. However,
as noted in § 1140.14(b)(2)(ii), a retailer
is not required to verify the age of any
person who is more than 26 years of age.
In addition, § 1140.14(b)(3) prohibits the
sale of covered tobacco products using
an electronic or mechanical device such
as a vending machine, unless it is
located in a facility where the retailer
ensures that no person younger than 18
years of age is present, or permitted to
enter, at any time. FDA does not intend
for section 1140.14(b)(3) to prohibit the
sale of tobacco products via the Internet,
but the sale of covered tobacco products
via any medium, including the Internet,
must only be to persons 18 years of age
or older. Therefore, any sale of covered
tobacco products over the Internet must
comply with the minimum age and
identification requirements in this rule.
C. Section 1140.3—Definitions
In the NPRM, we sought comments on
definitions of the following terms: Cigar,
cigarette, cigarette tobacco, covered
tobacco product, distributor, importer,
nicotine, package, point of sale, retailer,
smokeless tobacco, and tobacco product.
FDA received many comments
regarding whether e-liquids and
components, parts, and accessories are
tobacco products. FDA also received
many comments regarding the need to
define components, parts, and
accessories, which resulted in the
addition of definitions of ‘‘component
or part’’ and ‘‘accessory’’ in § 1140.3.
The discussion of this language in
included in section VI.A. Further, we
revised the definition of ‘‘package’’ to
refer to ‘‘package or packaging.’’ We also
added a definition of ‘‘roll-your-own’’ to
provide further clarity to the definition
of ‘‘cigarette.’’
D. Section 1140.10—General
Responsibilities of Manufacturers,
Distributors, and Retailers
With the selection of Option 1,
§ 1140.10 now provides that
manufacturers, distributors, importers,
and retailers are responsible for
ensuring that the covered tobacco
products (in addition to cigarettes and
smokeless tobacco) they manufacture,
label, advertise, package, distribute,
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29057
import, sell, or otherwise hold for sale
comply with all applicable requirements
in part 1140. The revisions to §§ 1140.10
and 1140.14 clarify that the minimum
age and identification requirements and
vending machine restrictions apply to
the newly deemed covered tobacco
products.
Previously, § 1140.10 stated that each
manufacturer, distributor, importer, and
retailer is responsible for ensuring that
its products comply with all applicable
requirements under part 1140. FDA
proposed to add ‘‘and covered tobacco
products’’ to the existing language of
this section to clarify that the provision
also applies to ‘‘covered tobacco
products’’ as defined in § 1140.3. In
addition, FDA proposed that § 1140.10
cover importers, because the Tobacco
Control Act defines ‘‘tobacco product
manufacturer’’ to include importers
(section 900(20) of the FD&C Act),
signaling Congress’ intent for tobacco
product importers to be subject to
requirements like those in § 1140.10.
FDA is finalizing this section as drafted
in the NPRM.
E. Section 1140.14—Additional
Responsibilities of Retailers
FDA proposed to divide this section
into responsibilities for retailers of
cigarettes and smokeless tobacco
products and responsibilities for
retailers of covered tobacco products.
FDA is finalizing this section as drafted
in the NPRM. Therefore, upon the
effective date of this final rule,
§ 1140.14(a)(1) through (a)(5) will
provide the retailer’s responsibilities for
the sale of cigarettes and smokeless
tobacco. Section 1140.14(b)(1) through
(b)(3) will provide the retailer’s
responsibilities for the sale of newly
deemed products.
F. Comments and Responses Regarding
Minimum Age and Identification
Requirements
In the NPRM, FDA sought comment
regarding whether to prohibit the sale of
newly deemed products to individuals
under 18 years of age and to require
photographic identification for
individuals aged 26 and under (which
are the same requirements that currently
apply to cigarettes and smokeless
tobacco). FDA discussed the benefits of
a uniform minimum age and
identification requirement, including:
(1) Decreasing youth access to tobacco
products in another jurisdiction with
less stringent requirements; (2)
addressing youth misperceptions that
tobacco products without minimum age
or identification requirements are safer;
and (3) increasing the ease with which
retailers can comply with minimum age
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and identification requirements for
covered tobacco products (79 FR 23142
at 23160 23162). In addition, we
expressed our intention to use an
aggressive nationwide enforcement
program to increase compliance and
deter youth consumption of tobacco
products (79 FR 23142 at 23160).
Nearly all comments supported a
minimum age and identification
requirement for the newly deemed
tobacco products. FDA is finalizing
these requirements without change.
FDA also intends to update the current
guidance documents for civil money
penalties and frequently asked
questions to reflect that violation of
these provisions may lead to the
imposition of civil money penalties. A
summary of comments regarding these
provisions, and FDA’s responses, is
included in the following paragraphs.
(Comment 223) Many comments
supported FDA’s proposal due to the
fact that many of the newly deemed
products are easily available. For
example, they noted that tobacco
industry documents refer to the
increased frequency with which selfservice tobacco products are stolen, and
some of the proposed deemed products
(e.g., cigars) are frequently sold in selfservice displays (Ref. 243). They
expressed concern that self-service
displays increase the likelihood that
minors will have access to tobacco
products.
(Response) FDA agrees that the newly
deemed tobacco products are readily
available to consumers. FDA finds that
the age and identification restrictions
that are included in this final rule
(§ 1140.14) will help to limit youth
access to the newly deemed tobacco
products. In the event that FDA
determines that extending the
prohibition on self-service displays
(§ 1140.16(c)) to the newly deemed
products is appropriate and meets the
applicable standard in section 906(d),
FDA will issue a new NPRM and seek
comment.
(Comment 224) Many comments
supported the minimum age and
identification requirements for covered
tobacco products based on increased
youth use of newly deemed products
and the impact of nicotine on youth.
They noted that, according to the CDC,
e-cigarette use among youth doubled
from 2011 to 2012, with 1.78 million
high school and middle school students
having ever used e-cigarettes (Ref. 108).
Others noted that the 2012 Surgeon
General’s report stated that youth are
more sensitive to developing nicotine
dependence than adults (Ref. 49). In
addition, other comments stated that
because minimum age and
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identification requirements for covered
tobacco products vary among the states,
a uniform age requirement would help
prevent youth from accessing tobacco
products in a neighboring state with less
stringent requirements.
(Response) FDA agrees with
comments supporting the
implementation of minimum age and
identification requirements for covered
tobacco products. As we noted in the
NPRM, the goal of the minimum age
restriction is to limit youth access to the
newly deemed tobacco products. FDA
concludes that the restrictions included
with this final deeming rule are
appropriate for the protection of the
public health because they will reduce
youth access to and, therefore, likely
limit use of tobacco products.
(Comment 225) Several comments
recommended that FDA raise the
minimum age to purchase tobacco
products to 21 years old. They claimed
that a higher minimum age would
restrict youth access to social sources of
tobacco products because minors tend
to have less contact in their social
network with 21-year-olds than with 18year-olds (Ref. 244). They also suggested
that the minimum age and identification
requirement should mirror the
minimum age requirement for alcohol
and marijuana purchases in some States.
(Response) FDA has determined that
minimum age and identification
restrictions, which will apply to all
covered tobacco products, are
appropriate for the protection of public
health. FDA also will continue to
provide prevention and tobacco product
risk awareness campaigns targeted to
youth and young adults. Although
section 906(d)(3)(ii) precludes FDA from
raising the minimum age of sale of
tobacco products, section 104 of the
Tobacco Control Act required FDA to
conduct a study on the public health
implications of raising the minimum age
of sale of tobacco products. This study’s
report was published (Ref. 245) and can
be found at: https://www.iom.edu/
Reports/2015/
TobaccoMinimumAgeReport.aspx.
(Comment 226) Several comments
discussed Internet sales of tobacco
products. Some comments favored a ban
on Internet sales for all tobacco
products, some supported a ban on only
certain tobacco products, and others
opposed a ban on Internet sales of any
tobacco products.
(Response) As explained elsewhere,
under this rule, retailers may not sell
covered tobacco products (through any
medium, including the Internet) to
individuals under 18 years of age. FDA
will continue to actively enforce the
minimum age restriction for Internet
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sales. FDA will consider these
comments in the future and continue to
assess whether additional access
restrictions would be appropriate.
(Comment 227) Several comments
recommended that FDA impose stiff
penalties for noncompliance with
minimum age and identification
requirements and institute youth
tobacco prevention campaigns and other
actions to effectively reduce youth
access to tobacco products.
(Response) As noted in the NPRM,
FDA believes that combining the
minimum age and identification
restriction with comprehensive and
consistent enforcement, both at the
Federal level and in partnership with
States, will decrease the likelihood of
youth smoking initiation (79 FR 23142
at 23161). In addition, FDA will
continue to invest in a number of public
education campaigns to help educate
the public—especially youth—about the
dangers of tobacco products.
(Comment 228) Several comments
recommended that FDA prohibit the
sale of tobacco product components,
parts, and accessories (not just covered
tobacco products), including ENDS, to
minors under 18 years of age to provide
consistency across the country.
(Response) FDA disagrees. FDA
concludes that the application of
minimum age requirements and vending
machine requirements to covered
tobacco products, together with its
regulation of components and parts of
newly deemed products, will protect the
public from the dangers of tobacco use,
discourage initiation, and encourage
cessation of use of such products.
(Comment 229) A few comments
suggested that FDA prohibit cigar sales
to individuals under 18 years of age,
except for minors serving in the U.S.
military. They argued that there are
greater health hazards for military
personnel than using tobacco products.
(Response) We disagree with the
suggestion that we provide an exception
for minors in the military. Military
personnel face the same risk of tobaccorelated death and disease as civilians.
As FDA stated in the preamble, cigars
can contain greater levels of nicotine
than cigarettes; cigar smoking is strongly
related to certain cancers; and in certain
circumstances, cigars may be as harmful
to a person’s health as cigarettes (79 FR
23142 at 23151, 23156).
(Comment 230) Some comments
suggested that retailers record and retain
copies of each purchaser’s unexpired
driver’s license (if the document
includes a photo), an armed forces
identification card, or a valid passport
as an acceptable identification to verify
a purchaser’s minimum age. Other
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comments recommended that FDA
implement a registration requirement
for mail order sale of tobacco products
and require carriers to verify that the
seller sending out packages is registered
before accepting the packages for
delivery.
(Response) The requirements for
photo identification are included in
§ 1140.14(b)(2). Retailers may choose
any method of identification verification
that complies with this provision. FDA
finds that these requirements are
appropriate for the protection of the
public health and declines to adopt the
recommendations for additional
requirements at this time. However, we
will continue to assess whether
additional requirements regarding
identification are appropriate.
G. Comments and Responses Regarding
Vending Machines
Consistent with the minimum age and
identification provisions, FDA proposed
to ban the sale of covered tobacco
products in vending machines (i.e.,
requiring face-to-face transactions in
retail facilities) unless the vending
machine is located in a facility where
the retailer ensures that individuals
under 18 years of age are prohibited
from entering at any time. FDA is
finalizing this requirement without
change in § 1140.14. Therefore, upon
the effective date of this final rule,
covered tobacco products, including
ENDS and cigars, may not be sold in
electronic or mechanical devices such
as vending machines unless the device
is in an adult-only facility. This
restriction is appropriate for the
protection of the public health because
it will eliminate one more method of
youth access to tobacco products.
A summary of the comments
regarding these provisions, and FDA’s
responses to them, is included in the
following paragraphs.
(Comment 231) Multiple comments
supported restricting vending machines
sales to adult-only facilities. They
asserted that FDA’s discussion of this
issue demonstrates that the vending
machine restriction serves the stated
public health purpose of the regulation.
Other comments stated that FDA’s
rationale for this restriction for
cigarettes and smokeless tobacco also
applies to the newly deemed tobacco
products.
(Response) FDA agrees that there is a
public health benefit to limiting vending
machines to adult-only facilities. As we
stated in the NPRM, studies show that
youth are able to access tobacco
products in vending machines (79 FR
23142 at 23162). Therefore, the vending
machine restrictions are important in
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preventing youth from gaining access to
these products.
(Comment 232) Several comments
suggested that FDA prohibit all vending
machine sales of all tobacco products.
(Response) FDA disagrees with
prohibiting all vending machine sales of
all tobacco products. Sections
1140.14(a)(3) and 1140.14(b)(3) permit
the sale of cigarettes and smokeless
tobacco products and covered tobacco
products, respectively, in a non-face-toface exchange with the assistance of a
mechanical device as long as the retailer
ensures that no person younger than 18
years of age is present, or permitted to
enter, at any time. FDA is permitting
adult-only facilities to sell tobacco
products in a vending machine because
these locations employ safeguards to
prohibit entry to individuals less than
18 years of age. FDA is not seeking to
ban adult access to legally marketed
tobacco products.
(Comment 233) Several comments
recommended that FDA subject tobacco
product components, parts, and
accessories (particularly e-cigarettes) to
the proposed vending machine
restrictions. These comments expressed
concern regarding exploding tanks and
nicotine poisoning due to accidental eliquid exposure.
(Response) FDA agrees that these
tobacco product components and parts
can pose public health concerns. At this
time, FDA has determined that it is
appropriate for the protection of the
public health to restrict impersonal
modes of sale of nicotine-containing
components and parts in vending
machines. However, FDA has concluded
that it is not warranted at this time to
impose the vending machine
restrictions on components or parts that
are not made or derived from tobacco as
they will only be able to deliver nicotine
to users by combining them with
covered tobacco products that are
subject to the vending machine
restriction (and, therefore, youth cannot
access). Accordingly, FDA believes that
the public health will be protected by
applying the vending machine
restrictions to components and parts
that contain nicotine or tobacco in order
to prevent youth access to these
products.
(Comment 234) Some comments
suggested that the deeming rule include
a ban on Internet sales. These comments
asserted that manufacturers and retailers
are not enforcing age verification
effectively and that youth are able to
purchase tobacco products when they
are not in the physical presence of the
seller. Several comments also
recommended that FDA require retailers
to verify the age of purchasers of newly
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deemed tobacco products using
methods similar to those found in the
Prevent All Cigarette Trafficking (PACT)
Act of 2009 (which ensures the
collection of Federal, State, and local
tobacco taxes on cigarettes and
smokeless tobacco sold via the Internet
or mail order sales). Other comments
opined that neither the PACT Act nor
State laws have been effective in
preventing youth access to tobacco
products.
(Response) Under this rule, retailers
may not sell covered tobacco products
(through any medium) to individuals
under 18 years of age. FDA will
continue to actively enforce the
minimum age restriction for mail order
sales and Internet sales. FDA will
continue to assess whether additional
access restrictions would be
appropriate.
(Comment 235) A few comments
stated that because newly deemed
tobacco products are generally not sold
in vending machines, there will be little
impact from the proposed vending
machine restrictions.
(Response) FDA disagrees. As
discussed in the NPRM (79 FR 23142 at
23162), FDA expects that the vending
machine restrictions will have a positive
impact by preventing some youth from
accessing tobacco products. Therefore,
FDA concludes that this restriction is
appropriate for the protection of the
public health.
(Comment 236) A few comments
stated that FDA should permit tobacco
product sales through vending machines
in all locations. They noted that
technological advancements now allow
for accurate non-face-to-face age
verification, including electronic age
and identity verification (EAIV)
technology and that the PACT Act
already requires retailers to verify a
tobacco product purchaser’s name, birth
date, and address through an EAIV
database prior to accepting a delivery
order.
(Response) FDA disagrees. We
explained in the NPRM that other types
of vending machine restrictions, such as
electronic locking devices on vending
machines, have not sufficiently limited
youth access to tobacco products (79 FR
23142 at 23162). In addition, vending
machines may be located in facilities
that are not as sophisticated as the
common carriers or Internet sellers that
are subject to the PACT Act, or these
retailers may not have the financial
resources to update their vending
machines to incorporate EAIV
technology. Therefore, FDA concludes
that the vending machine restriction is
appropriate for the protection of public
health.
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XVI. Description of the Final Rule—
Part 1143
In the proposed deeming rule, FDA
proposed to add part 1143, which
would mandate the use of ‘‘required
warning statements’’ for covered
tobacco products, as well as for rollyour-own and cigarette tobacco, for
which health warnings are not already
required by Federal statutes or
regulations. As stated throughout this
document, FDA has selected Option 1
with this final rule. Therefore, these
requirements apply to all newly deemed
covered tobacco products, including
premium and other types of cigars. We
consider and intend the extension of our
authorities over tobacco products and
the various requirements and
prohibitions established by this rule to
be severable.
A. Section 1143.1—Definitions
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In the NPRM, FDA sought comment
on definitions for the following terms:
Cigar, covered cigar, covered tobacco
product, package, required warning
statement, and roll-your-own tobacco.
As stated throughout this document,
FDA has selected Option 1 as the scope
of this rule. Therefore, the definition of
covered cigar is unnecessary and has
been removed from this section. We also
added definitions of point-of-sale,
retailer, and tobacco product. These
terms are used in part 1143 and were
already included in parts 1100 and
1140.
FDA received many comments
regarding the need to define
components, parts, and accessories,
which resulted in the addition of
definitions of ‘‘component or part’’ and
‘‘accessory’’ in § 1140.3. The discussion
of this language in included in section
VI.A. In addition, we included a
definition of ‘‘cigarette tobacco’’ given
that the health warning requirements
apply to covered tobacco products, rollyour-own tobacco, and cigarette
tobacco. We also have added a
definition of ‘‘principal display panels’’
to address comments suggesting that a
definition was necessary to comply with
this part. The term ‘‘principal display
panels’’ is defined as the panels of a
package that are most likely to be
displayed, presented, shown, or
examined by the consumer.
B. Section 1143.3—Required Warning
Statement Regarding Addictiveness of
Nicotine
Proposed § 1143.3 included a
requirement that any person who
manufactures, sells, offers to sell,
distributes, or imports for sale or
distribution within the United States,
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cigarette tobacco, roll-your-own tobacco
and covered tobacco products other
than cigars must include the following
warning statement on each product
package and in each advertisement:
‘‘WARNING: This product contains
nicotine derived from tobacco. Nicotine
is an addictive chemical.’’ The NPRM
provided that a manufacturer could
submit a certification that its tobacco
product does not contain nicotine and
notify FDA that it intends to use the
alternative warning statement: ‘‘This
product is derived from tobacco.’’ FDA
also proposed size and placement
requirements for the use of this warning
statement on packages and in
advertisements.
Upon review of the comments, FDA is
revising the language of this warning to
read: ‘‘WARNING: This product
contains nicotine. Nicotine is an
addictive chemical.’’ The alternative
warning statement is also revised to
read: ‘‘This product is made from
tobacco.’’ This warning will be required
to appear on at least 30 percent of the
two principal display panels of the
package and at least 20 percent of the
area of the advertisement. We also
added language to § 1143.3(a) to clarify
that the warning statement must be
printed in at least 12-point font size in
order to be clear and legible.
Further, we added language to
§ 1143.3(a)(3)(ii) to clarify when a
retailer of any tobacco product covered
by paragraphs (a)(1) and (2) of this
section will not be in violation of this
section for packaging that does not
comply with these requirements. This
final rule provides that a retailer will
not be in violation if the package: (1)
Contains a health warning; (2) is
supplied to the retailer by a tobacco
product manufacturer, importer, or
distributor, who has the required state,
local, or TTB-issued license or permit,
if applicable (consistent with the
language in § 1143.5(a)(4)(ii)); and (3) is
not altered by the retailer in a way that
is material to the requirements of this
section.
In addition, in response to comments
regarding minimum font size for
advertisements, we have revised
§ 1143.3(b)(2)(ii) to include a 12-point
minimum font size for the warnings on
advertisements. We note that the
warning also needs to occupy ‘‘the
greatest possible portion of the warning
area set aside for the required text.’’
Therefore, a print advertisement would
require a much larger font size in order
to comply with this requirement.
Given that comments expressed
uncertainty as to how the selfcertification process in § 1143.3(c)
would work, we also included language
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in this section to further clarify this
process. This section now provides that
the certification statement can be
submitted by the tobacco product
manufacturer to FDA. FDA recommends
that all data used to support the selfcertification, or copies of the data, be
maintained at the manufacturing facility
or another location that is reasonably
accessible to the manufacturer and to
any officers or employees duly
designated by the Secretary, which
includes FDA employees. These data,
including data not stored at the
inspected facility, should be made
readily available for copying or
inspection by an officer or employee
duly designated by the Secretary.
Manufacturers interested in submitting
a certification statement may contact
CTP at 1–877–CTP–1373 for more
information regarding this submission.
Further, in response to comments, we
added § 1143.3(d), which states that, if
a product package is too small or
otherwise unable to accommodate a
label with sufficient space to bear such
information, it will be exempt from the
requirement to place the warning
statement directly on the product
package if the warning appears on the
outer carton or other outer container or
wrapper or on a tag otherwise
permanently affixed to the tobacco
product package. Under this provision,
the warning statement must be printed
using the specifications required in
§ 1143.3(a)(1) and (a)(2). In these cases,
the outer carton, outer container,
wrapper, or tag would serve as the
location for the principal display
panels. If a tag is used for the principal
display panels, both sides of the tag
must be visible to the consumer. The
warning statements must be printed on
both sides of the tag to comply with
§ 1143.3(a)(2).
We also note that this requirement in
§ 1143.3 applies to cigarette tobacco,
roll-your-own tobacco, and covered
tobacco products other than cigars. Both
cigarette tobacco and roll-your-own
tobacco are defined in § 1143.1. This
warning requirement does not apply to
smokeless tobacco products. Smokeless
tobacco products must meet the
warnings requirements in CSTHEA (15
U.S.C. 4401 et seq.).
C. Section 1143.5—Required Warning
Statements for Cigars
In § 1143.5, FDA proposed warnings
for the cigars that would be covered
under this final rule. In addition to the
addictiveness warning, FDA proposed
that all cigars (except those sold
individually and not in product
packages) would be required to include
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the following warnings on packages and
in advertisements:
• WARNING: Cigar smoking can
cause cancers of the mouth and throat,
even if you do not inhale.
• WARNING: Cigar smoking can
cause lung cancer and heart disease.
• WARNING: Cigars are not a safe
alternative to cigarettes.
• WARNING: Tobacco smoke
increases the risk of lung cancer and
heart disease, even in nonsmokers.
FDA also proposed size and placement
requirements for the warning statements
on packages and in advertisements. FDA
is finalizing these warning requirements
in accordance with Option 1 deeming
all cigars (rather than a subset). Further,
FDA is adding an additional warning
statement (WARNING: Cigar use while
pregnant can harm you and your baby.)
with an optional alternative statement
(SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight) as discussed in section
XVI.H.16.
Therefore, the full list of required
warnings for use on cigar packages and
in cigar advertisements is as follows:
• WARNING: This product contains
nicotine. Nicotine is an addictive
chemical.
• WARNING: Cigar smoking can
cause cancers of the mouth and throat,
even if you do not inhale.
• WARNING: Cigar smoking can
cause lung cancer and heart disease.
• WARNING: Cigars are not a safe
alternative to cigarettes.
• WARNING: Tobacco smoke
increases the risk of lung cancer and
heart disease, even in nonsmokers.
• WARNING: Cigar use while
pregnant can harm you and your baby.
(Or, as an optional alternative statement:
SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight.)
The health warnings are required to
appear on at least 30 percent of each of
the two principal display panels of the
package and on at least 20 percent of the
area of the print advertisements and
other advertisements with a visual
component. As we did for
§ 1143.3(a)(2)(ii) and (b)(2)(ii), we added
language to § 1143.5(a)(2)(ii) and
(b)(2)(ii) to clarify that the font used for
warnings on packaging and
advertisements must be at least 12-point
font size in order to be clear and legible.
We note that the warning also must
occupy ‘‘the greatest possible portion of
the warning area set aside for the
required text.’’ Therefore, a print
advertisement would require a much
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larger font size in order to comply with
this requirement.
For packages, the six warnings for
cigars (five specifically for cigars and
the one addictiveness warning) will be
required to be randomly displayed in
each 12-month period, in as equal a
number of times as is possible on each
brand of cigar sold in product packaging
and randomly distributed in all areas of
the United States. This random display
and distribution must be done in
accordance with a warning plan
submitted to, and approved by, FDA.
For advertisements, the warnings must
be rotated quarterly in alternating
sequence in each advertisement for each
brand of cigar in accordance with a
warning plan submitted to, and
approved by, FDA. Warning plans must
be submitted for FDA review and
approval by responsible manufacturers,
distributors, importers, and retailers by
1 year after the date of publication of the
final rule (however, all other part 1143
requirements shall take effect 2 years
after the publication date of this final
rule).
In the NPRM, FDA did not have a
separate section (with its own effective
date) explicitly requiring the submission
of warning plans with its own effective
date. Rather, the sections of part 1143
requiring random display and
distribution of warning statements for
packaging and quarterly rotation of
warning statements for advertisements
(for which FDA proposed a 2-year
effective date) stated that such random
display and distribution and quarterly
rotation be done in accordance with a
warning plan submitted to and
approved by FDA. Thus, those
provisions implicitly required that
submission of the warning plan and
approval by FDA be done prior to the
2-year effective date by which
manufacturers must comply with the
plan. FDA has added § 1143.5(c)(3) to
specifically include the requirement to
submit a proposed warning plan. (See
section XVI.H.17 for additional
information regarding the warning plan
requirement and timeframe for
submission.)
The same warning statement
requirements will apply to cigars sold
individually and not in product
packages.15 However, instead of being
required to place warnings directly on
these product packages, retailers will be
required to post signage at the point of
sale listing the six warnings (five
specifically for cigars and one
addictiveness warning) on a minimum
of 8.5 x 11 inch sign. The rule requires
that the sign be placed on or within 3
inches of each cash register where
payment is made and the sign is
unobstructed in its entirety and can be
easily read by each consumer making a
purchase.
15 In general, pursuant to the Internal Revenue
Code at 26 U.S.C. 5751, a tobacco product cannot
be sold at retail unless it is in the package in which
the product is removed, upon payment of Federal
excise tax, from the factory or from customs
custody. Section 5751(a)(3) and TTB regulations at
27 CFR 46.166(a) state that tobacco products may
be sold, or offered for sale, at retail from such
packages, provided the products remain in the
packages until removed by the customer or in the
presence of the customer.
FDA proposed to limit the
applicability of the health warning
requirements by clarifying that they
would not apply to manufacturers or
distributors of tobacco products that do
not manufacture, package, or import the
products for sale or distribution within
the United States. FDA is finalizing this
requirement.
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D. Section 1143.7—Language
Requirements for Required Warning
Statements
Consistent with section 3(b) of
CSTHEA (15 U.S.C. 4402(b)), FDA
proposed in § 1143.7 that the warning
statement appear in the English
language, with two exceptions. First,
under § 1143.7(a), if an advertisement
appears in a non-English language
publication, the required warning
statement would be required to appear
in the predominant language (i.e., the
primary language used in the
nonsponsored content) of the
publication. Second, under § 1143.7(b),
if an advertisement is in an English
language publication but the
advertisement is presented in a language
other than English, the required warning
statement would be required to appear
in the same foreign language as that
principally used in the advertisement.
FDA is finalizing this section as
proposed in the NPRM with one change;
given that FDA has noted throughout
this document that the health warning
requirements apply to advertisements in
any medium, we have changed the
references from ‘‘publication’’ to
‘‘medium’’ in this section.
E. Section 1143.9—Irremovable or
Permanent Required Warning
Statements
FDA proposed that the warning
statements for covered tobacco products
be indelibly printed on or permanently
affixed to packages and advertisements.
FDA is finalizing this requirement
without change.
F. Section 1143.11—Does Not Apply to
Foreign Distribution
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G. Section 1143.13—Effective Date
In the NPRM, FDA sought comment
regarding the effective date of the health
warning requirements. FDA proposed
that these requirements would take
effect 24 months after the date that the
final rule publishes in the Federal
Register and all products manufactured
on or after the effective date must
include the required warning statements
on their labels.
This means that:
• After the effective date, no
manufacturer, packager, importer,
distributor, or retailer of cigarette
tobacco, roll-your-own tobacco, cigars,
or other covered tobacco products may
advertise any such product if the
advertisement does not comply with
this rule;
• After the effective date, no person
may manufacture for sale or distribution
within the United States any such
product the package of which does not
comply with this rule;
• Beginning 30 days after the effective
date, a manufacturer may not introduce
into domestic commerce, any such
product, irrespective of the date of
manufacture, if its package does not
comply with this rule;
• After the effective date, a distributor
or retailer may not sell, offer to sell,
distribute, or import for sale or
distribution within the United States
any such product the package of which
does not comply with this regulation,
unless the covered tobacco product was
manufactured prior to the effective date;
and
• After the effective date, however, a
retailer may sell covered tobacco
products in packages of which do not
have a required warning if the retailer
demonstrates it falls outside the scope
of this rule as described in
§§ 1143.3(a)(3) and 1143.5(a)(4).
In addition to proposed § 1143.13, we
added paragraph (b) indicating that the
requirement to submit a warning plan
pursuant to § 1143.5(c)(3), describing
the random display and distribution of
warning statements on cigar packages
and the quarterly rotation of warning
statements in cigar advertisements, will
take effect 12 months after the date of
publication of this final rule. FDA is
establishing this effective date at 12
months before the effective date of the
required warnings for cigars described
under part 1143 (24 months after the
publication of the final rule) because the
Agency anticipates that there will be a
need for communication with
submitters during its review of the
warning plan submissions. This
submission deadline also helps FDA to
ensure that its surveillance program for
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compliance with the warning label
requirements under section 1143 is
implemented as of the effective date of
24 months after the publication of the
final rule. FDA intends to work with
manufacturers, importers, distributors,
and retailers to get an approved warning
plan in place. Cigar entities may wish to
contact FDA to discuss the submission
of their warning plans in order to make
the subsequent approval process more
orderly and efficient. See section
XVI.H.17 for additional information
regarding the warning plan requirement.
H. Comments and Responses Regarding
Required Warning Statements
1. General
(Comment 237) Several comments
urged FDA to clearly define
‘‘advertisement’’ in the final rule as it is
unclear what constitutes an
advertisement that must contain the
required warning statements. At least
one comment suggested that the final
rule contain language explaining that
any statement regarding the availability
of tobacco products in a store does not
by itself constitute an advertisement.
(Response) FDA does not believe it is
necessary to include a definition of
‘‘advertisement’’ in this final rule, but
notes that for purposes of this rule, the
term ‘‘advertisement’’ should be
interpreted broadly and should be
interpreted to include statements
regarding the availability of tobacco
products.
In addition, advertisements subject to
this final rule may appear in or on, for
example, promotional materials (pointof-sale or non-point-of-sale), billboards,
posters, placards, published journals,
newspapers, magazines, other
periodicals, catalogues, leaflets,
brochures, direct mail, shelf-talkers,
display racks, Internet Web pages,
television, electronic mail
correspondence, and also include those
communicated via mobile telephone,
smartphone, microblog, social media
Web site, or other communication tool;
Web sites, applications, or other
programs that allow for the sharing of
audio, video, or photography files; video
and audio promotions; and items not
subject to the sale or distribution ban in
§ 1140.34. FDA intends to provide
guidance on how to comply with the
health warning requirements on unique
types of media.
(Comment 238) Several comments
noted that the proposed cigar warnings
are appropriate for the protection of
public health. The comments noted that
the rule would enhance public health by
extending the labeling requirements
beyond the seven manufacturers
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currently required to use them under
the FTC consent decrees, by providing
for random display on cigar packages
and rotation in advertisements, and by
requiring point-of-sale warnings for
cigars sold individually that are not
packaged. The comment also noted that
the substance of each warning is
strongly supported by the available
scientific evidence. However, several
comments took issue with the proposed
warnings for premium cigars, claiming
that they lack a sound scientific basis.
(Response) FDA finds there is a strong
scientific basis to require health
warnings on cigar packages and in cigar
advertisements (as well as on signs for
unpackaged cigars), which was
extensively discussed in the NPRM (79
FR 23142 at 23167 through 23170).
(Comment 239) Several comments
stated that the NPRM is unclear
regarding the requirement to develop
and submit rotation plans for warnings
signs required where cigars are sold
individually and not in a product
package. One comment stated that the
final rule should make clear that this
obligation falls on cigar manufacturers
and not on retailers that sell cigars.
Another comment stated that retailers
should be responsible for creating and
posting the point of sale signs.
(Response) To clarify, retailers of
cigars sold individually and not in
product packaging are not required to
submit a warning plan for warnings on
packages, because the warning signs
posted at a retailer’s point-of-sale would
include all six warnings applicable to
cigars, as we have noted above in our
discussion of § 1143.5(c)(1). Cigar
retailers would be responsible for
creating and posting these signs in
accordance with § 1143.5(a)(3)(i)–(iv).
Therefore, there is no need to rotate
these health warnings, nor is it
necessary to submit a rotational warning
plan for them. However, manufacturers
must submit a warning plan for
advertisements, as the rule requires
manufacturers of all cigars to include
warnings in advertisements that must be
rotated quarterly in alternating sequence
in each advertisement for each brand of
cigar. Similarly, retailers who are
responsible for or direct their own cigar
advertising must submit a warning plan
for those advertisements.
(Comment 240) One comment
suggested that FDA adopt labeling rules,
similar to those proposed for premium
cigars, for e-cigarette products that are
sold without packaging (i.e., require
signage at the point of sale for stores
selling e-cigarettes rather than require
labels on their packages).
(Response) Unlike cigars sold
individually and not in product
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packages, ENDS and any e-liquids
containing nicotine that are sold
separately are sold in some sort of
packaging on which the addictiveness
warning can be provided. Therefore, it
is not necessary at this time to instead
require warnings at the point-of-sale.
The warning requirements in this final
rule are appropriate for the protection of
the public health because they provide
information to the consumers each time
they use the product.
2. Continuum of Risk
(Comment 241) Several comments
asserted that different product
categories should carry different health
warnings relative to the health risk the
products present to adult consumers.
They also thought that, in view of the
continuum of risk, the size of the
proposed addictiveness warning on ecigarettes and other noncombusted
products is too large and the location
too prominent. For example, one
comment suggested that FDA require
that this warning be smaller for these
products than for smokeless tobacco
products (i.e., 20 percent of the
principal display panel) and it should
appear only on one of the principal
display panels of the package. Another
comment noted that, because of its
relative size and placement, the
proposed e-cigarette warning could
deter combusted cigarette smokers from
switching to a noncombusted product
based on a misunderstanding of the
relative risks of smoking versus
electronic and noncombusted products.
This comment suggested that the
warning on e-cigarettes should be no
larger or more prominently located than
the currently required cigarette
warnings.
(Response) FDA disagrees. As
discussed in section VIII, though FDA
recognizes the existence of a continuum
of nicotine-delivering products, all
tobacco products are addictive and
potentially dangerous. There is a public
health benefit to warning consumers
regarding the addictiveness of nicotine,
regardless of how it is delivered.
Numerous studies show that the
likelihood that warnings are seen and
noticed depends upon their size and
position. (Refs. 36, 37, 38, 39; see
section II.B.4). In addition, as
mentioned in section VIII.C, study
results have been inconclusive about the
effects of ENDS products on the
population. FDA does not believe, at
this time, that it has sufficient evidence
about the risks of ENDS products to
justify the use of different warnings
sizes and to determine the appropriate
size for each product category. FDA will
continue to monitor research regarding
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the health effects of different types of
ENDS.
As to the comment that e-cigarette
warnings should be no larger or more
prominently located than currently
required for cigarettes, the final rule
requires the warnings to appear on at
least 30 percent of the two principal
display panels of the package, and at
least 20 percent of the area of
advertisements. These are the same
warning sizes that Congress established
for smokeless tobacco in the Tobacco
Control Act. 15 U.S.C. 4402(a)(2)(A),
(b)(2)(A). In the same Act, Congress
prescribed an even larger size for
cigarette warnings: 50 percent on the
front and rear panels of cigarette
packaging (and the same 20 percent size
for cigarette advertisements) (id.
§ 1333(a)(2), (b)(2)). However, the larger
warning sizes required for cigarettes
have not yet been implemented because
the final rule was challenged in court,
and on August 24, 2012, the United
States Court of Appeals for the District
of Columbia Circuit vacated the rule and
remanded the matter to the Agency. R.J.
Reynolds Tobacco Co., v. Food & Drug
Administration, 696 F.3d 1205 (D.C.
Circuit 2012), overruled on other
grounds by Am. Meat Inst. v. U.S. Dep’t
of Agric., 760 F.3d 18, 25 (D.C. Cir.
2014) (en banc). On December 5, 2012,
the Court denied the government’s
petition for panel rehearing and
rehearing en banc, and FDA decided not
to seek further review of the Court’s
ruling. FDA is conducting research that
aims to support a new rulemaking
consistent with the Tobacco Control Act
(see Generic Clearance for the Collection
of Qualitative Data on Tobacco Products
and Communications (OMB Control
Number 0910–0796) and Pretesting of
Tobacco Communications (OMB Control
Number 0910–0674)). For smokeless
tobacco packaging, the warning labels
must be located on the two principal
display panels and cover at least 30
percent of each panel (15 U.S.C.
4402(a)(2)(A)), which is consistent with
the warning labels required for newly
deemed tobacco products.
(Comment 242) Several comments
stated that informing consumers that
tobacco products are addictive by
requiring an addictiveness warning does
not fulfill any useful public health goal.
These comments believed that it is
misleading to describe all nicotinecontaining products as addictive
without describing the relative risk of
the products.
(Response) FDA disagrees. The
addictive nature of tobacco products has
been well documented. The Surgeon
General has long recognized the
addictive nature of tobacco products
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due to the presence of nicotine, which
is highly addictive and can be absorbed
into the bloodstream (Ref. 1). Congress
also expressed concern about the
addictiveness of these ‘‘inherently
dangerous products’’ (section 2(2) of the
Tobacco Control Act). Because the
covered tobacco products are made or
derived from tobacco and most (if not
all) contain nicotine, they are likely
addictive (Refs. 14, 246, 247, 248, 249).
For products that do not contain
nicotine (i.e., no nicotine at detectable
levels), the rule provides for an
alternative warning statement, ‘‘This
product is made from tobacco.’’
Consumers, especially youth and
young adults, wrongly believe that
many tobacco products covered by this
rule are less addictive than cigarettes;
systematically underestimate their
vulnerability to becoming addicted to
nicotine and the use of tobacco
products; and overestimate their ability
to stop using tobacco products when
they choose (79 FR at 23158–59, 23166).
The addictiveness warning will help
consumers understand and appreciate
the consequences of using tobacco
products. The addictiveness warning
will help ensure that youth and young
adults, who may be more susceptible to
the addictiveness of nicotine, have a
greater awareness of the presence of
nicotine and the addictiveness of these
products before they might become
addicted.
Additionally, any manufacturer that
wishes can submit an MRTP application
to FDA to show that its product is less
hazardous than another tobacco
product. When the Tobacco Control Act
was passed, Congress found that unless
tobacco products that purport to reduce
the risks to the public of tobacco use
actually reduce such risks, those
products can cause substantial harm to
the public health (section 2(37) of the
Tobacco Control Act). Furthermore,
Congress noted that the dangers of
products sold or distributed as MRTPs
that do not in fact reduce risk are so
high that FDA must ensure that
statements about MRTPs are complete,
accurate, and relate to the overall
disease risk of the product (section 2(40)
of the Tobacco Control Act).
Accordingly, Congress determined that
manufacturers must demonstrate that
such products meet a series of rigorous
criteria, and will benefit the health of
the population as a whole before they
may be marketed to reduce the harm or
the risk of tobacco-related disease or to
reduce exposures to harmful substances
associated with tobacco products
(section 911 of the FD&C Act (21 U.S.C.
387k)). If new research on the relative
risks presented by the use of smokeless
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tobacco products and ENDS products
emerges, FDA may consider proposing
changes to the warning label
requirements. If it does, the Agency will
initiate a new rulemaking in accordance
with the APA.
3. Warning Requirements for Other
Media
(Comment 243) Several comments
stated that FDA should clarify the
application of the proposed warnings to
television and radio advertisements, as
well as in catalogs, on Internet sites, and
on social media. One comment
recommended that advertisers be
required to include a voiceover stating
the warning out loud, in a clear,
conspicuous, and neutral manner.
Another comment suggested that FDA
clarify in the final regulation that
§ 1143.3(b) applies only to print
advertising and not to radio and
broadcast advertising.
(Response) FDA clarifies that
§ 1143.3(b)(1) applies to cigarette
tobacco, roll-your-own tobacco, and
covered tobacco products except for
cigars as they have their own warning
requirements as enumerated in
§ 1143.5(b)(1). The FCLAA (15 U.S.C.
1331 et seq.), as modified by the Little
Cigar Act of 1973 (Pub. L. 93–109),
makes it unlawful to advertise
‘‘cigarettes’’ and ‘‘little cigars’’ on any
medium of electronic communication
subject to the jurisdiction of the Federal
Communications Commission (15
U.S.C. 1333). In 1986, Congress enacted
CSTHEA (15 U.S.C. 4401 et seq.),
extending the broadcast ban to include
advertisements for smokeless tobacco
products.
FDA further clarifies that the
requirements to include a warning in
§ 1143.3(b)(1) and § 1143.5(b)(1) apply
to all forms of advertising, regardless of
the medium in which it appears, for
cigarette tobacco, roll-your-own tobacco,
and covered tobacco products,
including cigars. This final rule applies
to advertisements appearing in or on, for
example, promotional materials (pointof-sale and non-point-of-sale),
billboards, posters, placards, published
journals, newspapers, magazines, other
periodicals, catalogues, leaflets,
brochures, direct mail, shelf-talkers,
display racks, Internet Web pages,
television, electronic mail
correspondence, or be communicated
via mobile telephone, smartphone,
microblog, social media Web site, or
other communication tool; Web sites,
applications, or other programs that
allow for the sharing of audio, video, or
photography files; video and audio
promotions; and items not subject to the
sale or distribution restriction in
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§ 1140.34. Accordingly, the language of
§§ 1143.3(b)(2) and 1143.5(b)(2) have
been changed to clarify that the
formatting requirements only apply to
print advertisements and other
advertisements with a visual
component. FDA intends to provide
guidance on how to comply with the
health warning requirements on unique
types of media.
4. Appropriateness of Required
Warnings To Protect Public Health
(Comment 244) In response to FDA’s
request in the NPRM, comments
included data and research regarding
the effectiveness of health warnings.
They submitted research indicating a
need for accurate health warnings that
are large enough to be readable (Refs. 3,
40) and grab the consumer’s attention
(Ref. 40). Comments also submitted
research indicating that warning labels
influence and increase awareness of the
health risks associated with tobacco
(Ref. 36, 37, 250) and discourage
initiation in nonsmoking youth (Ref.
251). One comment cited other research
which found that novel information
presented to smokers was associated
with greater relevance of the message
and motivation to quit (Ref. 252).
(Response) FDA agrees that health
warnings are an effective means to help
consumers understand and appreciate
the risks of using tobacco products.
(Comment 245) Many comments
supported the requirement for all
tobacco products to contain health
warnings. For example, one comment
cited WHO’s 2011 report on the Global
Tobacco Epidemic, which states that
effective warning labels increase
smokers’ awareness of health risks and
increase the likelihood they will think
about reducing tobacco consumption
and quitting (Ref. 253). The comment
also cited a cohort study of textual
warnings in the United Kingdom, before
and after they were enhanced in 2003 to
meet the minimum FCTC standard (Ref.
37). This study found that, after the
enhanced warnings were implemented,
UK smokers were more likely to think
about quitting, to think about the health
risks of smoking, and to be deterred
from having a cigarette compared to
smokers in Australia and the United
States where smaller warnings did not
conform to FCTC standards. Another
comment stated that required warning
statements on packages and
advertisements should provide needed
information to consumers in a
conspicuous and clear manner.
(Response) FDA agrees. Health
warnings on packages and
advertisements help consumers to
understand and appreciate the health
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risks of tobacco use and have a number
of advantages. The frequency of
exposure is high. In addition, package
warnings are delivered both at the time
of tobacco product use and at the point
of purchase. Thus, the messages are
delivered to tobacco users at the two
most important times—when users are
considering using or purchasing the
tobacco product. The messages on
packages also help the public at large,
including potential tobacco users, better
understand and appreciate the health
and addictiveness risks of using the
products. (See In re Lorillard et al., 80
FTC 455 (1972); FCLAA; CSTHEA.)
5. Staleness of Warnings
(Comment 246) Several comments
noted that requiring only a single health
warning for some newly deemed
tobacco products does not allow for
rotation and the warning will likely
grow stale, resulting in little to no effect
on consumers. They argued that FDA
should require multiple warnings for
the newly deemed products to allow for
rotation and to maintain their
effectiveness. Additionally, comments
urged FDA to revise this warning and
the other required health warnings as
new evidence emerges on the health
risks associated with tobacco products.
(Response) FDA acknowledges that
the use of a single health warning for
some newly deemed tobacco products
could allow the warning to grow stale
over time. While FDA declines to add
additional warnings at this time, FDA
issued an ANPRM prior to this deeming
rule, seeking comments, data, research,
or other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings.
FDA also intends to conduct research
and keep abreast of scientific
developments regarding the efficacy of
the final health warnings and the ways
in which their efficacy could be
improved. FDA will use the results of
this monitoring and research to help
determine whether any of the warning
statements should be revised, or if any
additional warning statements should
be added, in a future rulemaking.
6. Other Format Issues
(Comment 247) There were several
comments on the general format of the
health warnings. One comment stated
that the warning provisions should
require black text on a bright yellow
background. According to the comment,
researchers have found that yellow
seizes attention, is the most noticeable,
is the color the eye perceives fastest,
and universally signals warning or
danger (Refs. 254, 255). Another
comment suggested that the front of the
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package should include a short and
explicit warning statement that is large
enough to be readily visible and
readable, and the back of the package
should contain a warning large enough
to more fully develop the basis for the
front warning statement. The comment
noted that the combination of short and
salient health claims on the front of the
package with more fully developed
health information on the back would
produce better consumer awareness and
understanding, and greater believability
of the health claim in the mind of the
consumer. Finally, several comments
stated that newly deemed products
should be required to display large
graphic warnings.
(Response) FDA declines to make
these suggested changes at this time.
The format requirements included with
this final rule are similar to those
included in a 2001 EU directive, which
have been shown to increase the
effectiveness of health warnings. EU
Directive 2001/37/EC requires that
tobacco warnings in all member
countries meet certain minimum
standards that are similar to those that
FDA is finalizing here (i.e., the EU
required health warnings comprise 30
percent of the area on the front of
package and 40 percent on the back of
the package; are in black Helvetica bold
type on a white background; occupy the
greatest possible proportion of the
warning area set aside for the text
required; and messages are centered in
the warning area and surrounded by a
black border of 3 to 4 millimeters (mm)
in width). Before the 2001 Directive,
warnings in most EU countries were
very small and general. In one study
conducted for the European
Commission, a majority of respondents
stated that the Directive’s new warning
format was more effective and more
credible than the previous format (Ref.
256). A study of Spanish university
students also concluded that text
warnings based on the Directive
significantly increased perceptions of
the risk of tobacco products (Ref. 257).
Additionally, studies showed that the
requirement that the warnings appear in
black text on a white background or
white text on a black background
improved the legibility and noticeability
of the warnings (Refs. 7, 38).
FDA believes that the prescribed
format of the health warnings will be
effective in helping consumers better
understand and appreciate the risks of
these products. However, FDA intends
to conduct research and keep abreast of
scientific developments regarding the
efficacy of the final health warnings and
the ways in which their efficacy could
be improved. If FDA determines that
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modification of the format requirements
is appropriate, we will consider
changing these requirements in a future
rulemaking.
(Comment 248) FDA received a large
number of comments regarding the size
of the required health warnings. Several
comments agreed with the format
requirements proposed in the rule. One
comment cited a study concluding that
youth and adults are more likely to
recall larger warnings, rate larger
warnings as having greater impact, and
often equate the size of the warning
with the magnitude of the risk (Ref. 36).
The comment also stated that requiring
health warnings that cover at least 30
percent of the front and back of cigarette
packages is consistent with the FCTC.
Several comments argued that the
required health warnings are too large.
One comment stated that if the warnings
are too large, they could have the
unintended effect of making consumers
numb to the warning message or
otherwise lead to consumers ignoring
the warning. Another comment stated
that the size of FDA’s proposed
addictiveness warning should be
evaluated in the context of the other
information that already appears on the
packaging of noncombusted tobacco
products. This comment asserted that
packaging for certain newly deemed
products includes detailed warnings
and other information important to
reduce risks from inappropriate use or
handling of the product and that such
information may not fit on the package
if the proposed health warning occupies
30 percent of the principal display.
Several comments stated that the
proposed warning statement should not
be required on cigars sold individually
and not in product packages. One cigar
retailer stated that requiring warnings
on 30 percent of the principal display
panels would be excessive. The
comment believed that a health warning
covering 30 percent of each cigar box
would be excessive when there are
multiple boxes, particularly when
combined with the requirement for a
warning sign at the point of sale.
Another comment asserted that the size
of the proposed health warnings would
be inconsistent with the First
Amendment.
Other comments argued that FDA
should require larger health warnings.
One comment stated that numerous
studies show that youth and adults are
more likely to recall larger warning
messages and rate larger messages as
having a greater impact (Ref. 37).
Another comment stated that the FCTC
suggests that warnings should cover 50
percent or more of a pack’s principal
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surface, a standard adopted by a number
of countries.
(Response) FDA finds that the
required size of the health warnings is
appropriate for the protection of public
health. The IOM, Congress, and Article
11 of the FCTC recognize the
importance of having the warnings
cover at least 30 percent of the area of
the principal display panels, and users
are more likely to recall warnings that
are a larger size and that appear on the
front/major surfaces of the tobacco
package (Ref. 7). The 30-percent
warning label area requirement for
product packages is also consistent with
the size requirements for similar textonly warnings for smokeless tobacco
mandated by Congress in CSTHEA (15
U.S.C. 4402(a)(2)(A)). FDA does not
believe that the 30-percent warning
label area requirement will make
consumers numb to the warning
message. Rather, FDA believes that the
size of the warnings will be effective in
helping consumers better understand
and appreciate the critical information
presented by the health warning.
FDA also believes that the 30-percent
warning label area requirement is
consistent with the First Amendment
(as discussed in section II.B). Although
the warning will occupy at least 30
percent of the packaging, there will
remain sufficient space for additional
warnings, manufacturer instructions,
and branding. However, FDA intends to
conduct research and keep abreast of
scientific developments regarding the
efficacy of the health warnings in the
final rule and the ways in which their
efficacy could be improved. If FDA
determines that larger warnings would
be more effective for these newly
deemed products, the Agency will issue
a new NPRM in accordance with the
APA.
(Comment 249) Comments stated that
FDA should not require manufacturers
to use a font size that occupies the
greatest possible proportion of the
warning area because that would leave
limited, if any, white space and may
prove to be illegible. These comments
suggested that FDA reduce the font size
requirement to be consistent with
smokeless tobacco warnings, which are
required to take up 60 to 70 percent of
the warning area.
(Response) FDA disagrees. Newly
deemed tobacco products are sold in a
variety of packaging sizes. By requiring
the font size to be at least 12-point font,
FDA is ensuring that the required
warning statement will be noticed by
consumers regardless of the package
size. Further, FDA believes that this
requirement will leave adequate
background space so that the warning is
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legible. The format requirements are
similar to those included in a 2001 EU
directive (requiring warnings to occupy
the greatest possible portion of the
warning area set aside for the required
text), which have been shown to
increase the effectiveness of health
warnings, as further discussed in this
section of the document. FDA is not
aware of any legibility issues with the
EU health warnings and does not expect
any legibility issues with the health
warnings included in this final rule.
The size of the warning clearly
matters, as recall increases significantly
with font size (Ref. 258). In a study on
recall of health warnings in smokeless
tobacco ads, conducted with 895 young
males, 63 percent of participants
recalled a high contrast warning in 10point font; doubling the font size for the
warning to a 20-point font increased
recall from 63 percent to 76 percent
representing a 20 percent improvement
in recall (id.). Research on cigarette
package warnings confirms that larger
warnings are better noticed and more
likely to be recalled (Ref. 7 at App. C–
3; Refs. 38, 49). These studies support
FDA’s conclusion that requiring the
proposed warnings to appear in at least
12-point font size will improve their
noticeability.
(Comment 250) At least one comment
believed that requiring warnings to
occupy at least 20 percent of the area of
an advertisement would result in
warning statements that, while visible,
are more likely to be ignored. This
comment suggested that appropriate
warning statements be presented in a
minimum font size (e.g., no smaller than
11-point type).
(Response) FDA is unaware of any
evidence stating that a health warning
occupying at least 20 percent of the area
of an advertisement is likely to be
ignored. Nevertheless, to ensure that the
statements are visible and effectively
conveying information, FDA is
finalizing §§ 1143.3(b)(2)(ii) and
1143.5(b)(2)(ii) to require a minimum
12-point font size for the health
warnings on advertisements. Moreover,
the requirement that the warning
statement occupy at least 20 percent of
the area of the advertisement is the same
as the statutory requirement for press
and poster advertisements for smokeless
tobacco products (section 3(b)(2)(B) of
CSTHEA (15 U.S.C. 4402(b)(2)(B))).
(Comment 251) At least one comment
expressed concern with the font
requirements of the labeling provisions
because they require businesses to
purchase a software package that
provides either or both of the prescribed
fonts (Helvetica and Arial), and these
are proprietary fonts.
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(Response) FDA disagrees. Both
Helvetica and Arial fonts are included
in common printing software. Thus, the
requirement that manufacturers use
Helvetica or Arial font should not cause
them to incur any additional costs.
However, we also have included
language throughout part 1143, which
allows manufacturers to use other
similar sans serif fonts in order to
provide additional flexibility while still
ensuring that the warnings are
conspicuous and legible to consumers.
(Comment 252) Many comments
argued for different formatting
requirements for the health warnings.
Some suggested that they should be
consistent with the current FTC Consent
Decree, which requires that health
warnings be clear and conspicuous in
relation to the other communications on
the packaging and be presented in a
black box format to attract consumer
attention. One comment stated that FDA
should accept alternative warning sizes,
placements, and font sizes for different
packaging sizes and configurations, as
long as the warning is clear and
conspicuous. This comment urged FDA
to be flexible about the size and
placement of the warnings on deemed
products, some of which are offered in
packaging sizes and configurations very
different from cigarette and smokeless
tobacco packaging. This comment also
noted that it can be difficult to identify
the two principal display panels.
(Response) FDA disagrees. FDA has
concluded that the formatting
requirements for the health warnings,
which are similar to the requirements
for smokeless products and similar to
those suggested by FCTC, are
appropriate for the protection of the
public health. In addition, we have
added language to this final rule which
recognizes that if a product package is
too small to bear the required warning
statement, the manufacturer of the
product can include the warning
statement on the outer carton or on a
hang tag attached to the product
package.
To clarify how to determine the
principal display panels, FDA is
defining ‘‘principal display panels’’ of a
product package as the panels of a
package that are most likely to be
displayed, presented, shown or
examined by the consumer. In addition,
the principal display panels should be
large enough to accommodate all
mandatory label information in a clear
and conspicuous manner. The principal
display panels may be on an outer
carton for small vials holding e-liquids.
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7. Waterpipe Tobacco
(Comment 253) One comment argued
that the required warning should not be
applied to hookah (or waterpipe
tobacco) because there is a lack of
substantial scientific evidence of the
addictiveness of this product. The
comment expressed the belief that the
majority of waterpipe tobacco smokers
in the United States use the product
once a week or less. Another comment
asserted that studies of noncigarette
products, including waterpipe tobacco,
show that these products are perceived
to present less risk of harm and
addictiveness, thereby encouraging use
among young adults. The comment
added that strong warnings regarding
the addictiveness of all tobacco
products may reduce trial and use in
vulnerable populations (Ref. 259).
(Response) FDA disagrees that the
addictiveness warning should not be
applied to waterpipe tobacco. Waterpipe
tobacco contains nicotine, which is the
primary addictive chemical in tobacco
products. Researchers have observed
nicotine dependence characteristics in
some users (Refs. 238, 239, 240), with
one study showing that waterpipe
tobacco use suppressed withdrawal
symptoms just as cigarette smoking
suppresses withdrawal symptoms (Ref.
240). Because waterpipe smoking
sessions last longer than smoking a
cigarette and there is increased smoke
volume, a single session of waterpipe
smoking (which typically lasts 20 to 80
minutes) likely exposes users to more
nicotine than smoking a cigarette
(which typically takes 5 to 7 minutes).
Indeed, a meta-analysis of studies
regarding waterpipe use showed that a
single episode of waterpipe use is
associated with exposure to 1.7 times
the nicotine in a single cigarette.
FDA agrees that there is consumer
confusion about the addictiveness of
waterpipe tobacco. Whereas studies
have shown that cigarette and waterpipe
tobacco smoking deliver similar
nicotine levels, one study showed that
46.3 percent of high school students
wrongly believed that waterpipe tobacco
is less addictive or less harmful than
cigarettes, and one-third of these
students wrongly believed that the
product had less nicotine, no nicotine,
or was generally less addictive than
cigarettes (Ref. 260). Mistaken beliefs
that waterpipe tobacco smoking is ‘‘safer
or less addictive than cigarettes’’ were
more prevalent among those who had
ever used waterpipe tobacco (78.2
percent) compared to nonusers (31.6
percent) (Ref. 260). A study of nearly
2,000 university students found that
waterpipe tobacco was considered by
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those students to be less addictive than
e-cigarettes, marijuana, cigar products,
smokeless tobacco, and cigarettes (Ref.
261). Research found that college
students who had used waterpipes
within the past 30 days considered them
less addictive and less harmful than
never-users did (Ref. 26). Similarly,
another study found that ‘‘[freshmen
college] students who used waterpipes
and cigars perceived them as less
harmful than regular cigarettes’’ (Ref.
262). Moreover, research has shown that
such false beliefs about product risks
can be a significant predictor of
subsequent use behavior (Refs. 263,
264). For instance, adolescents with the
lowest perceptions of short-term risks
related to smoking were 2.68 times more
likely to initiate smoking (Ref. 264). We
note that the Surgeon General’s 2014
Report provides an objective discussion
of nicotine and addiction, where
‘‘nicotine addiction develops as a
neurobiologic adaptation to chronic
nicotine exposure. However, all forms of
nicotine delivery do not pose an equal
risk in establishing or maintaining
nicotine addiction’’ (Ref. 9 at 112).
Thus, pattern of use is a factor in the
facilitation of addiction.
(Comment 254) One comment stated
that FDA should require the
addictiveness warning on all
components of waterpipe tobacco use,
including those products without
nicotine or tobacco.
(Response) FDA disagrees. FDA finds
that requiring health warnings on
covered tobacco products only (and not
on the components and parts that are
not made or derived from tobacco) is
appropriate to protect the public health,
because youth and young adults will not
be able to use such components and
parts, and potentially suffer the
consequences of tobacco use, without
also using the covered tobacco product.
In the event that FDA later determines
it is appropriate for the protection of the
public health to extend the warning
requirements to components and parts
that are not made or derived from
tobacco, the Agency will initiate a new
rulemaking in accordance with APA
requirements.
8. Dissolvable Products
(Comment 255) One comment
suggested that FDA recognize all
dissolvable tobacco products as
smokeless tobacco products for the
purpose of warning label regulation and,
as a result, subject all dissolvables to the
smokeless warning requirements in
section 204 of the Tobacco Control Act.
(Response) ‘‘Smokeless tobacco
product’’ is defined in section 900(18) of
the FD&C Act and for purposes of the
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warning requirements in CSTHEA (as
amended by the Tobacco Control Act) as
‘‘any tobacco product that consists of
cut, ground, powdered, or leaf tobacco
and that is intended to be placed in the
oral or nasal cavity.’’ Some dissolvable
tobacco products do not meet the
definition of ‘‘smokeless tobacco
product’’ because they do not contain
cut, ground, powdered, or leaf tobacco;
instead, these products contain nicotine
extracted from tobacco. These products
are the dissolvable products covered by
this final rule. Because they do not meet
the statutory definition of a smokeless
tobacco product, FDA cannot recognize
them as such, as suggested by the
comments. If FDA determines that the
warning statements for any type of
dissolvable product should be revised,
or if any additional warning statements
should be added to them, the Agency
will initiate a new rulemaking in
accordance with APA requirements.
(Comment 256) One comment stated
that the use of an addictiveness warning
would serve to protect the public health
by more clearly identifying dissolvable
products as addictive tobacco products
and differentiating them from candy.
(Response) FDA agrees. Certain
tobacco products have a candy-like
appearance, frequently are sold next to
candy, and are packaged in a way that
makes them more attractive to children,
which can mislead consumers to think
that they are, in fact, candy (Refs. 54,
215). The addictiveness warning will
clearly identify these products as
tobacco products and help differentiate
them from candy.
9. Premium Cigars and Unpackaged
Cigars
(Comment 257) Several comments
stated that not requiring warnings on
premium cigars and those sold
individually and without product
packages would greatly diminish the
effectiveness of the cigar warnings. One
comment stated there are many
instances where cigars are purchased as
gifts and, in those instances, the
recipients would not see these
warnings. One comment also stated that
if a purchaser receives with the
premium cigar any wrapper, container,
pack or bag, then FDA should require
that it include a health warning. This
would ensure that if the premium cigar
is given for a celebratory occasion, or if
a minor obtained a premium cigar from
an adult and did not see the point-ofsale warning, the user would be warned
of the health risks. Another comment
stated that the warning labels should be
permanently affixed to or inside the
cellophane wrappers in which the cigars
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are sold and in a way that is clearly
visible to potential purchasers.
(Response) FDA understands these
concerns. However, for those cigars sold
individually and not in a product
package, the placement of warnings at
the point of sale will be adequate to
disseminate the required health
information and is appropriate for the
protection of the public health. For
cigars that are sold in cellophane
wrappers, these wrappers are
considered packaging and, under this
final rule, must include the required
cigar warnings. In addition, FDA notes
that youth attempting to purchase these
cigars would be prohibited from doing
so under the minimum age requirements
included in this final rule.
(Comment 258) One comment
expressed concern that the NPRM did
not provide for warnings where
premium cigars and cigars sold
individually and without product
packaging are sold online. The comment
suggested that these cigars should either
not be allowed to be sold individually
or that individual cigars should be
required to be packaged and include a
warning label.
(Response) Under the Internal
Revenue Code and TTB regulations,
cigars that are taxpaid upon removal
from the factory or release from customs
custody must be in the packages in
which they will be delivered to the
ultimate consumer (bearing any marks
or notices required by the Internal
Revenue Code and TTB regulations) at
the time of removal, and must remain in
those consumer packages until taken
from the package by the consumer or in
the presence of the consumer. Removing
taxpaid cigars from the package, other
than in the presence of the waiting
consumer, is a violation of the Internal
Revenue Code. Cigars may nonetheless
be sold individually, provided that the
individual product packaging meets the
requirements of the IRC and TTB
regulations. An online retailer sending
such individual cigars purchased online
can comply with FDA’s requirements by
placing the warning statement on the
box or container that is used to ship the
product. In addition, FDA clarifies that
the warning requirements apply to all
forms of advertising, regardless of the
medium in which they appear. As stated
previously, advertisements subject to
this final rule may appear in or on, for
example, promotional materials (pointof-sale and non-point-of-sale),
billboards, posters, placards, published
journals, newspapers, magazines, other
periodicals, catalogues, leaflets,
brochures, direct mail, shelf-talkers,
display racks, Internet Web pages,
television, electronic mail
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correspondence, or be communicated
via mobile telephone, smartphone,
microblog, social media Web site, or
other communication tool; Web sites,
applications, or other programs that
allow for the sharing of audio, video, or
photography files; video and audio
promotions; and items subject to the
sale or distribution restriction in
§ 1140.34. As stated in § 1143.5(b)(2),
the formatting requirements only apply
to advertisements with a visual
component. FDA intends to provide
guidance on how to comply with the
health warning requirements on unique
types of media.
(Comment 259) One comment stated
that premium cigars sold individually
should include a health warning on the
cigar tube, if applicable, or FDA should
require retailers to provide a paper
warning to the purchaser or put cigars
in bags that are pre-printed with the
warning labels.
(Response) It is unclear exactly how
this comment intends to affix the
warning to the premium cigar. If this
comment is referring to affixing a
warning to the cigar tube, this may
damage the cigar and, therefore, is
impractical. If this comment is seeking
to add the warning to the tube that
packages some individual cigars, FDA
does not believe this is appropriate.
Cigars sold individually in product
packages, including cigars sold in tubes,
must comply with the warning
statement requirements for packaging.
For cigars sold individually and not in
product packages, the required warning
statements must instead be posted at the
retailer’s point of sale. FDA believes that
the point of sale signage requirement
will ensure that premium cigar
purchasers, as well as purchasers of
other individual cigars, receive the
required health warnings while
allowing persons selling or distributing
the cigars to maintain existing business
practices.
(Comment 260) One comment
expressed concern about retailers
having to forfeit counter space for the
placement of health warnings for cigars
sold individually and not in product
packages. The comment stated that this
space is reserved for some of the most
profitable items for sale in convenience
stores. The comment also stated that the
U.S. Circuit Court of Appeals for the
District of Columbia struck down a
similar, judicially imposed warning
requirement that required retailers to set
aside valuable retail space to display a
point-of-sale sign. (United States v.
Philip Morris USA Inc., 566 F.3d 1095
(D.C. Cir. 2009).)
(Response) FDA believes that the
point-of-sale warnings are necessary and
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appropriate for the protection of public
health. FDA notes that the requirement
only applies where cigars are sold
individually and unpackaged, and will
ensure that consumers of these products
are exposed to the same health warnings
as consumers of other cigar products.
FDA also believes the point-of-sale
warnings are necessary to prevent
manufacturers and retailers of cigars
from circumventing the warning
requirement by selling their products
without packaging.
Moreover, the United States v. Philip
Morris holding cited in the comment
was not on the merits and in any event
is not applicable here. That case
involved corrective statements
mandated in a civil Racketeer
Influenced and Corrupt Organizations
Act (RICO) case brought against the
United States’ major cigarette
companies. After finding the defendants
liable for racketeering and fraud, the
lower court issued an injunction that
required the defendants to disseminate
public statements in order to prevent
and restrain future fraud. The
statements were required to appear in
various types of media—including largepoint-of-sale signs present at the
checkout counter of retailers that
participated in defendants’
‘‘participating retailer’’ programs. On
appeal, noting that the retailers were not
involved in the RICO litigation but were
negatively affected by the injunctive
remedy, and had not had the
opportunity to present arguments
against the point-of-sale location before
the lower court ruled, the appellate
court vacated the point-of-sale
requirement on due process grounds,
and remanded for further consideration
by the lower court. Philip Morris USA
Inc., 566 F.3d at 1141–42. The appellate
court did not rule on whether
mandatory point-of-sale corrective
statements in valuable retail space are
permissible under the RICO statute, but
simply ruled that before the district
court could impose such a requirement,
the RICO statute required ‘‘considering
the rights of third parties and existing
contracts’’ (id. at 1145). By contrast,
these warning requirements are being
issued under the Tobacco Control Act,
not the RICO statute; and are the
product of notice-and-comment
rulemaking.
10. Cigarettes and Roll-Your-Own
(Comment 261) Some comments
stated that FDA should conform the
proposed health warnings for cigarette
tobacco and roll-your-own tobacco to
the federally mandated health warnings
for cigarettes required by section 4(s) of
FCLAA and to health warnings that
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FDA mandates for cigarettes in the
future.
(Response) FDA disagrees. Cigarette
tobacco and roll-your-own tobacco do
not meet the definition of the term
‘‘cigarette’’ in section 3(1) of FCLAA.
Because cigarette tobacco and roll-yourown tobacco are not cigarettes as
defined by FCLAA, they do not need to
comply with section 4 of FCLAA
requiring cigarette warnings and,
therefore, do not contain any warning to
alert consumers of the health effects of
these products. Instead, the Tobacco
Control Act defines cigarette tobacco
and roll-your-own tobacco in sections
900(4) and 900(15) of the FD&C Act,
respectively. The lack of a warning on
these tobacco products may lead
consumers to believe that they are safe
products. Therefore, with this final rule,
FDA is requiring that manufacturers of
such products comply with the
addiction warning in § 1143.3 and any
other future health warnings that FDA
mandates for these products, where
appropriate.
(Comment 262) Some comments
expressed concern about the following
warning as applied to pipe tobacco
products: ‘‘WARNING: This product
contains nicotine derived from tobacco.
Nicotine is an addictive chemical.’’
They stated that this warning is not
appropriate for these products because
the first sentence of the warning
suggests that it is targeted at e-cigarettes
whose nicotine is derived from tobacco,
not tobacco itself. Other comments
expressed concern that the word
‘‘derived’’ would not be well
understood by the majority of
consumers and introduced unnecessary
complexity. They also noted that the
statement that the nicotine is derived
from tobacco does not provide
information that is relevant to the user’s
health. One comment suggested a
number of changes to the proposed
addiction warning, including a simpler
alternative: ‘‘WARNING: This product
contains nicotine. Nicotine is an
addictive chemical.’’
(Response) FDA agrees with concerns
using the word ‘‘derived.’’ FDA has
concluded that the suggested warning
statement ‘‘WARNING: This product
contains nicotine. Nicotine is an
addictive chemical’’ is a more
appropriate warning label because it
provides an accurate warning for both
products that contain leaf tobacco and
products that contain nicotine derived
from tobacco. It is also clearer and does
not introduce unnecessarily complex
terms that may make it more difficult for
consumers to understand and appreciate
the risks of addiction. Similarly, FDA is
revising the alternative statement to
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read ‘‘This product is made from
tobacco.’’ to remove use of the word
‘‘derived,’’ which may not be easily
understood. However, FDA disagrees
with comments stating that this warning
should not be required on pipe tobacco
packages because pipe tobacco contains
nicotine, which is the primary addictive
constituent in tobacco products.
Thus, FDA has changed § 1143.3(a)(1)
to require that for cigarette tobacco, rollyour-own tobacco, and covered tobacco
products other than cigars, it is
unlawful for any person to manufacture,
package, sell, offer to sell, distribute, or
import for sale or distribution within
the United States such product unless
the tobacco product bears the following
required warning statement on each
product package label: ‘‘WARNING:
This product contains nicotine. Nicotine
is an addictive chemical.’’
11. Addictiveness Warning
(Comment 263) One comment stated
that the need to inform consumers about
the addictiveness of nicotine has been
implicitly recognized by a number of
manufacturers of e-cigarette products.
The comment stated that a recent
investigation by the staff of 11 U.S.
Senators and Representatives of the
practices of 9 of the largest e-cigarette
manufacturers revealed that, although
their product warning labels ‘‘lack
uniformity and may confuse
consumers,’’ 6 of the 9 companies
included some form of nicotine warning
as part of their packaging or instructions
for use, in addition to the nicotine
warning these companies included to
satisfy California’s Proposition 65 (see
Ref. 31). Although the warnings are not
as comprehensive as FDA’s required
health warnings in terms of size and
prominence, they reflect the companies’
own recognition that their products are
addictive and that consumers should be
informed of their addictive properties.
(Response) Requiring health warnings
on all newly deemed tobacco products
will help consumers better understand
and appreciate the addictive properties
of these products.
(Comment 264) Some comments
questioned whether large cigars,
particularly premium cigars, should be
required to carry an addiction warning
because users do not inhale the cigar
smoke.
(Response) Regardless of whether
cigar smokers inhale, they are still
subject to the addictive effects through
nicotine absorption (Refs. 32, 34). Cigar
smoke dissolves in saliva, allowing the
smoker to absorb sufficient nicotine to
create dependence, even if the smoke is
not inhaled (Refs. 34, 35). Therefore,
consumers using premium or other
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cigars can become addicted to cigars
given the absorption of nicotine.
Accordingly, FDA finds that it is
appropriate for the protection of the
public health to require this warning on
all cigars.
12. Alternative Statement/Certification
for Products Without Nicotine: ‘‘This
Product Is Derived From Tobacco.’’
(Comment 265) Several comments
expressed concern about requiring a
tobacco product that does not contain
nicotine to have an alternate health
warning stating that, ‘‘this product is
derived from tobacco.’’ These comments
stated that future products that are not
derived from tobacco would fall outside
of FDA’s jurisdiction and, therefore,
would not be required to include this
statement on product packages.
(Response) FDA agrees. If a product is
not made or derived from tobacco, it
would not be required to bear the
alternative statement. However, if a
product is made or derived from tobacco
but does not contain nicotine, the
product is required to bear the
alternative statement. As discussed in
section XVI.B, FDA is revising this
alternative statement to read ‘‘This
product is made from tobacco.’’
(Comment 266) Several comments
stated that FDA should not permit use
of the alternate statement ‘‘This product
is derived from tobacco’’ because there
are studies showing instances of ecigarette products being labeled as zero
nicotine and actually containing
nicotine (Refs. 20, 170).
(Response) FDA disagrees. If a tobacco
product manufacturer has mislabeled its
product to indicate that it does not
contain nicotine when in fact it actually
does, the manufacturer will be subject to
enforcement action for misbranding and
the product will be required to bear the
addictiveness warning (instead of the
alternative statement).
(Comment 267) A few comments
suggested that the alternative warning
statement will cause consumer
confusion because most people believe
nicotine causes cancer and the
alternative statement suggests there is a
difference in the health risks based on
solely the presence of nicotine. Other
comments stated that the alternative
statement should not use the term
‘‘tobacco product’’ because e-cigarettes
do not contain tobacco leaf. These
comments also stated that the words
‘‘tobacco product’’ could also
potentially cause confusion because
consumers do not consider e-cigarettes
to be tobacco products.
(Response) FDA disagrees that the
language in the alternative statement
will cause confusion. The alternative
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statement does not use the term
‘‘tobacco product’’ and does not state
that any ENDS product contains
tobacco. Instead, the alternative
statement included with this final rule
states: ‘‘This product is made from
tobacco.’’
FDA is not aware of any currently
marketed tobacco product that does not
contain nicotine. If such a product is
introduced in the future, FDA believes
it is important that both consumers and
retailers be alerted that, although it may
not contain nicotine, it is nevertheless a
tobacco product. From a public health
perspective, FDA believes that it is
important to convey this factual
information to consumers because
tobacco products (i.e., products made or
derived from tobacco) could contain
other addictive chemicals (like
anabasine or nornicotine) and/or
dangerous toxicants and can be
psychologically addictive as well. For
example, users of de-nicotinized
cigarettes consistently report a
significant degree of subjective
satisfaction (Refs. 265, 266, 267). The
alternative warning statement is
especially important in light of the
recent proliferation of novel tobacco
products (e.g., dissolvables that may
appear like candy) that do not resemble
traditional tobacco products, and
therefore, which consumers may not
know are made from tobacco. As the
comments noted, some consumers are
not even aware that e-cigarettes are
tobacco products.
FDA believes that the fact that a
product without nicotine is made from
tobacco is important factual information
that should be conveyed to both
consumers and retailers. In addition to
providing consumers with significant
information that could affect their
health, the statement will help ensure
that retailers are aware that the product
is and must be treated as a tobacco
product. This will result in increased
retailer compliance with the minimum
age and photo identification
requirements, as well as other
applicable requirements. FDA believes
that this factual alternative statement is
the simplest, least burdensome, and yet
effective way to inform both consumers
and retailers that, despite the absence of
nicotine, the product is still a tobacco
product that, like other tobacco
products, may not be purchased by or
sold to persons under the age of 18 and
requires the presentation and
examination of a photo identification
card.
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13. Warning: Cigars Are Not a Safe
Alternative to Cigarettes
(Comment 268) A few comments
noted that evidence indicates there is a
widespread perception, particularly
among young people, that cigars are less
hazardous than cigarettes and this
perception may be contributing to the
increased incidence of cigar smoking.
According to the comments, one study
found that adult cigar smokers in
general are three times more likely to
believe cigars are a safe alternative to
cigarettes compared to those who do not
smoke cigars (Ref. 268). They also cited
an online survey of college students at
six colleges in the southeastern United
States, which found that smokers of
little cigars and cigarillos ‘‘were more
likely to report perceiving the harm of
little cigars, cigarillos, and cigars to be
less than that of cigarettes’’ when
compared to nonusers (Ref. 269). In
addition, a study of middle school and
high school students in Massachusetts
found that 34.9 percent of current youth
cigar users agreed that ‘‘cigars are not as
bad for you as cigarettes,’’ while only
12.2 percent of the total study
population of students agreed with the
statement (Ref. 270). The comments also
cited a similar study that included a
focus group study of 230 middle school,
high school, and college students,
which found that 30 percent of teen
cigar users made the statement that,
compared to cigarettes, cigars are less
risky, and only 10 percent of teens with
no cigar experience made that statement
(Ref. 271).
(Response) FDA agrees that there is an
unsubstantiated perception, especially
among young people, that cigars are less
hazardous than cigarettes (see 79 FR at
23158). This warning requirement will
help to consumers understand and
appreciate the risks of cigars.
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14. Warning: Tobacco Smoke Increases
the Risk of Lung Cancer and Heart
Disease, Even in Nonsmokers
(Comment 269) The comments
differed as to whether the warning
‘‘Tobacco Smoke Increases the Risk of
Lung Cancer and Heart Disease, Even in
Nonsmokers’’ was appropriate. Some
comments thought that the health
warning was appropriate. At least one
noted that a causal relationship exists
between secondhand smoke exposure
and lung cancer among lifetime
nonsmokers, and individuals living
with smokers had a 20 to 30 percent
increase in the risk of developing lung
cancer from secondhand exposure (Ref.
272 at 445). They stated that, since all
cigars produce higher levels of toxicants
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than cigarette smoke, the science clearly
supports the proposed warning.
However, several other comments
stated that the scientific evidence does
not support the claim that ‘‘secondhand
smoke causes premature death and
disease in youth and in adults who do
not smoke.’’ One of these comments
stated that the epidemiological links
between ‘‘being married to a smoker’’
and increased disease are tenuous at
best. While these comments agreed that
on a per-stick basis, cigars can produce
larger amounts of environmental
tobacco smoke than do cigarettes, they
stated that it is not accurate to conclude
that this exposes household members to
a considerable involuntary health risk.
(Response) FDA agrees with the
comments stating that this warning is
appropriate for the protection of the
public health. It is well established that
secondhand smoke causes premature
death and disease in youth and in adults
who do not smoke (Ref. 272 at 445, 532).
Adult exposure to secondhand smoke
has immediate adverse effects on the
cardiovascular system and causes lung
cancer and coronary heart disease (id.).
Tobacco smoke contains over 7,000
compounds, and there are more than 70
carcinogens in sidestream and
mainstream smoke generated from
cigars (Refs. 9, 70, 273). Mainstream
cigar smoke is the smoke that one draws
into his or her mouth from the butt end
or mouthpiece of a cigar; whereas
sidestream cigar smoke is the smoke
emitted from the burning cone of a cigar
during the interval between puffs (Ref.
69 at 65). Cigar smoke ‘‘tar’’ appears to
be at least as carcinogenic as cigarette
smoke ‘‘tar’’ (Ref. 272). The Surgeon
General recently reiterated that cigar
smoke contains the same toxic
substances as cigarette smoke, with
varying concentrations of these
constituents found in different types
and sizes of cigars (Ref. 69 at 17–18; Ref.
272 at 362).
There is a causal relationship between
lung cancer and secondhand smoke.
Exposure of nonsmokers to secondhand
smoke also has been shown to cause a
significant increase in urinary levels of
metabolites of tobacco-specific
nitrosamines, a carcinogen that
specifically links exposure to
secondhand smoke with an increased
risk for lung cancer (Ref. 69 at 65). All
cigars produce higher levels of
carcinogenic tobacco-specific
nitrosamines per gram in mainstream
cigar smoke than cigarettes produce in
mainstream cigarette smoke (id. at 75–
76). Cigar smoke also produces
measurable amounts of lead and
cadmium (id. at 75–76). Little cigars
with filter tips and regular cigars
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contain higher levels of certain
nitrosamines in sidestream smoke than
do filtered tip cigarettes (Ref. 69 at 81).
The Surgeon General has reiterated
that there is considerable evidence that
certain nitrosamines are major factors in
the development of lung cancer (Ref.
272 at 30). According to the Surgeon
General, the evidence is sufficient to
infer a causal relationship between
secondhand smoke exposure and lung
cancer among lifetime nonsmokers (Ref.
272 at 434). Individuals living with
smokers have a 20 to 30 percent
increase in risk of developing lung
cancer from secondhand exposure (id. at
445). Although data particular to cigars
are not available, FDA believes it is
reasonable to expect that cigar smoke
would produce similar effects as
cigarette smoke, given that data from the
National Cancer Institute (NCI) cigar
monograph shows that some
carcinogens determined to cause lung
cancer are present at higher levels in
cigar smoke than in cigarette smoke and
are present at levels comparable to other
carcinogens linked to lung cancer (Ref.
69 at 76–93).
There is also a causal relationship
between secondhand smoke and heart
disease. The health warning statement
indicating that tobacco smoke can cause
heart disease is thoroughly supported by
the evidence reiterated in reports from
the Surgeon General. FDA believes it is
reasonable to conclude that this finding
would produce similar effects with
respect to secondhand cigar smoke
exposure based on the similar smoke
profiles for cigars and cigarettes, the risk
of coronary heart disease associated
with active cigar smoking, and the low
levels of toxicant exposure that can
cause coronary heart disease (Ref. 272).
In a 2006 Surgeon General’s report
regarding the health effects of exposure
to secondhand smoke, the evidence
demonstrated that exposure of adults to
secondhand smoke had immediate
adverse effects on the cardiovascular
system and caused coronary heart
disease (id. at 11). Secondhand smoke
increased the risk of coronary heart
disease nearly as much as active heavy
smoking. In fact, the estimated increase
in risk of coronary heart disease from
exposure to secondhand smoke was 25
to 30 percent above that of unexposed
persons (id. at 519; Ref. 273 at 532).
Based on these data, the Surgeon
General concluded that ‘‘the evidence is
sufficient to infer a causal relationship
between exposure to secondhand smoke
and increased risks of coronary heart
disease morbidity and mortality among
both men and women’’ (Ref. 272 at 15).
The IOM agreed, concluding that there
is a causal relationship between
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secondhand smoke exposure and
cardiovascular disease, as well as a
causal relationship between secondhand
smoke exposure and acute myocardial
infarction (Ref. 275 at 219).
Even a relatively brief exposure to
secondhand tobacco smoke can lead to
heart disease, as some studies have
demonstrated. The IOM found there is
compelling circumstantial evidence that
a relatively brief exposure to
secondhand smoke can bring about an
acute coronary event (id. at 220).
Given that the effects of secondhand
smoke on coronary heart disease are
linked to the combustion of tobacco
itself, FDA concludes that exposure to
secondhand cigar smoke can cause the
same or similarly dangerous effects as
exposure to secondhand cigarette
smoke. Thus, FDA believes the warning
statement that ‘‘Tobacco smoke
increases the risk of lung cancer and
heart disease, even in nonsmokers’’ is
appropriate for the protection of the
public health.
15. Warning: Cigar Smoking Can Cause
Cancers of the Mouth and Throat, Even
if You Do Not Inhale
(Comment 270) Several comments
disagreed with FDA’s rationale for the
warning ‘‘Cigar smoking can cause
cancers of the mouth and throat, even if
you do not inhale.’’ These comments
noted that the rationale depends almost
exclusively on Monograph 9 from the
National Cancer Institute, which did not
distinguish among cigar types and,
therefore, should not be required for
premium cigars. They also stated that
cigars are safe products if users do not
inhale the smoke, as illustrated by
experimental data showing minimal
toxicity because cigar smokers do not
inhale (Refs. 32, 74).
(Response) FDA disagrees. The fact
that Monograph 9 did not distinguish
among types of cigars does not mean
that it only applies to certain cigar
types. In fact, the statement in the
Monograph applied to all types of
cigars. Any cigar use exposes the mouth
and throat to tobacco smoke and can
cause several different types of cancer
even without inhalation (Refs. 69, 104).
For example, one study found an
increased risk of head and neck cancers
for those who do not smoke cigarettes
but had previously smoked cigars (Ref.
104).
While inhaling cigar smoke poses
higher risk rates than not inhaling,
significant risk still exists for those who
do not inhale. In addition, most cigar
smokers do inhale some amount of
smoke and are not aware that they are
doing it, including those who do not
intend to inhale (Ref. 33).
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16. Reproductive Health Warning for
Cigars
In the proposed deeming rule, FDA
proposed to require four of the five
warnings already included on most
cigar packages and in most cigar
advertisements as a result of settlement
agreements between the FTC and the
seven largest U.S. cigar manufacturers.
(See, e.g., In re Swisher International,
Inc., Docket No. C–3964.) FDA proposed
not to require the fifth warning
(SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight) because although cigarette
smoke causes these health effects (and
cigar smoke is similar to cigarette
smoke), the Agency stated it was not
aware of studies specifically linking
cigars to all three reproductive effects.
FDA requested comment on its proposal
to require the use of only four of the five
current FTC warnings for cigars.
During the comment period, FDA
received several comments encouraging
FDA to reconsider its proposal and
finalize the rule to include all five
warnings. In response to these
comments, FDA reconsidered whether
to require use of the FTC reproductive
health warning. While FDA agrees that
FTC’s general warning statement
‘‘Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight’’ is a factually correct statement
and recognizes that cigar smoke is
similar to cigarette smoke in both
chemical content and effects, on
balance, FDA prefers a warning that is
specific to cigars. Therefore, FDA has
reconsidered the issue and is including
a fifth warning statement to read
‘‘WARNING: Cigar Use While Pregnant
Can Harm You and Your Baby.’’ which
is well supported by direct evidence
and is appropriate for the protection of
the public health. However, FDA is also
allowing manufacturers to use the FTC
warning, which is appropriate for the
protection of the public health, as an
optional alternative to the new
reproductive health warning.
The FTC warning is about tobacco
smoke generally, and the statement
itself is well supported by scientific
evidence. Researchers have confirmed
that smoking causes negative effects on
fertility, pregnancies, and infants and
children born to women who smoke.
For example, cigarette smoking
increases rates of preterm delivery,
shortened gestation, and orofacial clefts,
and studies have indicated that women
who smoke are twice as likely to have
low birth weight infants as women who
do not smoke (Ref. 9 at p. 499; Ref. 275
at pp. 569, 576). In addition, scientific
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evidence supports that women who
smoke have an increased risk of
infertility and stillbirth (Ref. 276). It also
causes an increased risk of sudden
infant death syndrome (SIDS) for infants
whose mothers smoke during and after
pregnancy (Ref. 275 at pp. 587 and 601).
In addition, scientific evidence supports
the conclusion that cigar smoke has
similarly toxic effects. NCI’s Monograph
9 states:
there is no reason to expect that cigar smoke
would be any less toxic for the mother or
fetus. Regular cigar smoking, particularly
with inhalation, should be presumed to have
risks similar to that of cigarette smoking for
the pregnant smoker.
(Ref. 69 at 10). On balance, FDA prefers
a warning that is specific to cigars, so
FDA is finalizing this rule with different
warning language specifically relating to
cigars that the Agency concludes is
appropriate for the protection of the
public health. However, given the
accuracy of the original FTC warning on
its face, given that cigar smoke contains
and delivers the same harmful
constituents as cigarette smoke, and
given extensive evidence that cigar
smoke has similar physiological effects
on the body, it is also appropriate for
the protection of the public health for
FDA to allow the use of the optional
alternative (SURGEON GENERAL
WARNING: Tobacco Use Increases the
Risk of Infertility, Stillbirth and Low
Birth Weight) to the reproductive health
warning.
FDA selected the new warning
language for several reasons. First, FDA
finds that this warning is supported by
direct scientific evidence that nicotine
adversely affects maternal and fetal
health (Ref. 9). Second, this warning
uses the term ‘‘cigar use’’ rather than
‘‘tobacco use,’’ because the warning
would appear on cigars only. Third,
FDA finds that this is powerful and
comprehensible phrasing, which will be
understandable to a wide audience.
Nevertheless, FDA recognizes that many
cigar manufacturers currently use FTC’s
truthful warning on the reproductive
risks of tobacco smoke. Therefore, FDA
is also allowing an optional alternative
(SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight) to the reproductive health
warning to comply with the warning
requirements for cigars. FDA expects
that allowing the optional alternative
will benefit entities bound by the FTC
consent decrees.
(Comment 271) Comments from cigar
makers contended that because the
NPRM and the FTC consent orders both
required five warnings, but not the same
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five warnings, manufacturers would not
be able to use one set of warnings to
comply with both regimes. As one
comment put it, ‘‘For example,
manufacturers could not ensure a
random display of FDA’s five warnings
‘in as equal a number of times as is
possible,’ as required by the NPRM,
while including the reproductive effects
warning required by FTC in that random
distribution.’’ This comment went on to
state that a reproductive warning for
cigars is also required by California’s
Proposition 65, and added that in
response to an inquiry from FTC at the
time of the FTC consent orders, the
California Attorney General agreed that
‘‘compliance with the FTC Consent
Order will result in compliance with
Proposition 65.’’ (Comments of Altria
Client Services Inc. on behalf of John
Middleton Co., FDA–2014–N–0189–
79814.)
Other comments urged that there is
scientific support to require a
reproductive warning for cigars. For
example, one comment asserted that
this warning is based on data related to
cigarette smoke, and given that cigarette
smoke is very similar to cigar smoke,
and in many cases, cigar smoke is more
dangerous than cigarette smoke, it is a
logical conclusion that this warning is
appropriate for cigars. Another
comment noted that the 2014 U.S.
Surgeon General Report on tobacco use
devotes an entire chapter to the health
effects of nicotine and documents that
nicotine crosses the placenta and
concentrates in the fetus (Ref. 9). The
comment also noted that nicotine
constricts vessels and thus limits the
amount of nutrients and oxygen
delivered to the fetus.
(Response) While FDA is unaware of
data directly and explicitly linking cigar
smoke to such reproductive issues, FDA
recognizes the similarities between
cigarette smoke and cigar smoke. On
balance, FDA prefers a warning specific
to cigars. However, as noted previously,
FDA is allowing an optional alternative
(SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight) to the reproductive health
warning to comply with the warning
requirements for cigars. FDA expects
that allowing the optional alternative
will benefit entities bound by the FTC
consent decrees.
(Comment 272) One comment
expressed concern that the exclusion of
the reproductive effects warning in a
final rule (i.e., the FTC warning that
states ‘‘Tobacco Use Increases The Risk
Of Infertility, Stillbirth And Low Birth
Weight’’), and the subsequent
advertising and sale of cigar packages
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without the warning, could result in
claims that the FTC consent orders have
been violated. The comment requested
that FDA ensure that the absence of
such warning in any final rule will not
result in a claim that the FTC consent
orders have been violated.
(Response) In the NPRM, FDA
indicated that it planned to consult with
FTC ‘‘to harmonize national
requirements for health warnings on
cigar product packages and in
advertisements’’ (79 FR 23142 at 23163).
As noted previously, FDA has given
careful consideration to the comments
and the scientific evidence on this issue
and has decided to require a
reproductive health warning for cigars,
and the Agency has discussed this
evidence and decision with FTC. At this
time, FDA is not aware of any concerns
from FTC regarding the cigar warnings
included with this final rule.
17. Rotation of Warnings on
Advertisements
(Comment 273) Several comments
stated that rotational warning
requirements should be simple,
streamlined, and easily administrated,
especially for small businesses. One
comment suggested that it should be
sufficient to print equal numbers of
labels containing all six warnings and
rely on the randomness of market
distribution patterns without the
administrative burden of demonstrating
to FDA in a written rotational plan, and
in subsequent facility inspections, that
FDA can determine that each different
warning was equally displayed to each
consumer for each brand during a 12month period.
(Response) While FDA recognizes that
the random display and distribution of
warning statements on cigar product
packages and the rotation of statements
on advertisements can result in
administrative and financial costs for
cigar manufacturers, FDA does not
believe it would be sufficient to rely on
the randomness of market distribution
patterns. Relying on random
distribution would not ensure that the
different health warning messages are
reaching as many individuals as
possible, and the health warnings may
grow stale from overuse if repeated too
many times for the same individual.
Thus, FDA is requiring warning
statements for cigar packages to be
randomly displayed in each 12-month
period in as equal a number of times as
possible on each brand of cigar. The
required warning statements also are
required to be randomly distributed in
all areas of the United States in which
the product is marketed. The random
display and distribution of required
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warning statements for cigar packages
must be carried out in accordance with
a warning plan submitted by the cigar
manufacturer, importer, distributor, or
retailer to, and approved by FDA.
FDA is also requiring that the
required warning statements be rotated
quarterly in alternating sequence in
each advertisement for each brand of
cigar, regardless of whether the cigar is
sold in product packaging. This rotation
of warning statements in cigar
advertisements also must be done in
accordance with a warning plan
submitted to FDA by the cigar
manufacturer, importer, distributor, or
retailer to, and approved by FDA. As
stated in § 1143.5(c)(3) of this final rule,
each person required to randomly
display and distribute or rotate
warnings in accordance with an FDAapproved plan under this part must
submit a proposed warning plan to FDA
no later than either 12 months after
[date of publication of final rule], or 12
months before advertising or
commercially marketing a product that
is subject to such requirement,
whichever is later. This 12-month
submission timeframe provides cigar
entities time to develop and submit
warning plans to FDA. FDA encourages
firms to submit warning plans any time
within this 12-month period, and FDA
plans to begin reviewing warning plans
as soon as they are received. FDA is
establishing this effective date at 12
months before the effective date of the
required warnings for cigars described
under part 1143 (24 months after the
publication of the final rule) because the
Agency anticipates that there will be a
need for communication with
submitters during its review of the
warning plan submissions. This
submission effective date also helps
FDA to ensure that its surveillance
program for compliance with the
warning label requirements under
§ 1143 is implemented as of the effective
date of 24 months after the publication
of the final rule.
FDA intends to work with
manufacturers, importers, distributors,
or retailers to get an approved warning
plan in place. Cigar entities may wish to
contact FDA to discuss the submission
of their warning plans in order to make
the approval process more orderly and
efficient. FDA’s review and approval of
a warning plan enables the Agency to
more effectively conduct surveillance
and inspection activities to ensure
compliance with the warning label
requirements under § 1143, once
effective, by providing a guide regarding
the expected rotation of the various
warnings as required by the regulation.
In addition, the review and approval
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process will help manufacturers,
importers, distributors, and retailers
understand the requirements under this
part; and help cigar entities minimize
potential economic loss from the
commercial distribution of
nonconforming products in the market.
Additionally, FDA believes that it will
be able to complete its review of the
submitted warning plans by the
effective date of the required cigar
warnings. In FDA’s experience with the
review of warning plans for smokeless
tobacco products, no smokeless tobacco
product manufacturer, importer,
distributor, or retailer was delayed or
prevented from advertising or
distributing smokeless tobacco products
due to FDA’s review of its warning plan,
and FDA does not anticipate a different
outcome here. FDA intends to issue a
guidance document within 12 months
after publication of the final rule to
assist the cigar industry with the
requirements for the submission of
warning plans. In addition, if FDA
receives a higher volume of warning
plans than anticipated, and determines
that it will not be able to review and
approve submitted warning plans by the
24-month effective date, FDA may also
consider implementing a compliance
policy to ensure that cigar entities are
not delayed or prevented from
advertising or distributing cigars due to
FDA’s review of their warning plans.
These requirements are consistent
with those established by Congress in
the Tobacco Control Act for currently
regulated tobacco products. Section 3 of
CSTHEA (as amended by section 204 of
the Tobacco Control Act) requires the
random distribution and rotation of
warnings for smokeless tobacco
products. Further, rotation of cigar
warning statements already occurs
under the FTC consent decrees. The
WHO also has recognized the need to
rotate health warnings for tobacco
products. The WHO’s FCTC, evidence of
a strong worldwide consensus regarding
a regulatory strategy for addressing the
serious negative impacts of tobacco
products, calls for warnings that are
‘‘rotating’’ and ‘‘large, clear, visible and
legible’’ (WHO FCTC article 11.1(b)).
(Comment 274) One comment stated
that the proposed requirement that the
warning statements be permanent or
irremovable is ambiguous and does not
specifically address whether labels
applied by manufacturers (which
manufacturers intend not to be removed
but technically are removable) are
compliant with the rule.
(Response) Section 1143.9 requires
that the health warnings be indelibly
printed on or permanently affixed to
packages and advertisements. If a
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warning statement can be removed, then
it is not permanent and does not meet
the requirements of § 1143.9. Removable
or impermanent warnings on packages
and in advertisements could become
separated from the package or
advertisement and thus would not meet
the requirement that they be
conspicuous on the package or
advertisement. Removable warnings
would run counter to FDA’s purpose of
effectively conveying risk information to
consumers.
18. Warnings for E-Liquids
(Comment 275) Several comments
recommended that FDA require
multiple and rotating warnings on all eliquids that contain nicotine. They
stated the potential consequences of
nicotine use need to be listed explicitly,
as explicit warnings are associated with
greater perception of potential danger
than vague or general warnings (Ref.
277). Suggestions for e-cigarette warning
label content included: (1) Toxicity and
potential lethality of nicotine; (2) danger
to skin and eyes; (3) danger from
ingestion of nicotine liquids; (4) other
potential health hazards, including
burns and explosions, from ENDS use;
(5) keep out of reach of children; (6)
information about the heating
mechanism (coil) and energy source
(battery); (7) information about
overheating or overuse, including risk of
fire (if applicable); (8) warnings or
precautions about use in or near water
as well as any electrical shocks; and (9)
warnings and instructions about
replacing components and parts.
Another comment believed the
Agency should consider requiring
manufacturers of e-cigarettes to provide
additional information for consumers in
e-cigarette packaging, and as
appropriate, for other newly deemed
tobacco products. The comment
suggested that this information could be
presented using communication
principles similar to those used in
‘‘Drug Facts’’ for over-the-counter drugs
and should include information such as
the nicotine addiction warning, age
limits, warnings about danger to
children and pets, and information
about use during pregnancy and breast
feeding.
(Response) At this time, FDA finds it
is appropriate for the protection of the
public health to require the warning
regarding the addictiveness of nicotine
on ENDS. However, as we have stated
previously, this deeming regulation is a
foundational rule, affording the Agency
the ability to publish additional
regulations as necessary and appropriate
for the protection of the public health.
FDA remains concerned about all of the
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health risks and hazards listed in this
comment and will be focusing efforts
and resources on future efforts to
prevent nicotine poisoning in both users
and nonusers. Therefore, FDA issued an
ANPRM prior to this deeming rule,
seeking comments, data, research, or
other information that may inform
regulatory actions FDA might take with
respect to nicotine exposure warnings
and the use of child-resistant packaging.
In addition, elsewhere in this issue of
the Federal Register, FDA has made
available draft guidance for public
comment, which when final will
represent FDA’s current thinking
regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products, including recommendations
for exposure warnings and childresistant packaging that would help to
support a showing that the marketing of
a product is appropriate for the
protection of public health.
(Comment 276) Several comments
noted that FDA should establish
alternative methods for providing health
warnings on tobacco products with
small packages, such as e-cigarettes.
One comment noted that FDA has
created special rules for small food
packages and small over-the-counter
drug packages where the size of the
package prevents the manufacturer from
satisfying certain mandatory labeling
requirements. This comment suggested
that FDA implement similar alternatives
for displaying warnings on small ecigarette packages, and that the warning
on advertising materials should not
exceed 10 percent of the area of the
advertisement. Another comment
asserted that many e-liquids are
packaged in relatively small 10 milliliter
vials and that FDA should consider
package size and design when
mandating health warnings.
(Response) To address the issue of
tobacco products with small packages,
we have added § 1143.3(d) to this final
rule, which states that a tobacco product
that would otherwise be required to bear
the warning in § 1143.3(a)(1) but is too
small or otherwise unable to
accommodate a label with sufficient
space to bear the information is exempt
from compliance with the requirement
provided the information and
specifications required under
§ 1143.3(a)(1) and (a)(2) appear on the
carton or other outer container or
wrapper if the carton, outer container,
or wrapper has sufficient space to bear
such information, or appears on a tag
otherwise permanently affixed to the
tobacco product package. In these cases,
the carton, outer container, wrapper, or
tag will serve as the location of the
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principal display panels. For example,
FDA is aware that e-liquids are
frequently sold in small vials that may
be unable to accommodate a label with
sufficient space to bear a health
warning. In addition, small boxes of
replacement cartridges will be required
to carry a warning if they contain
nicotine or tobacco, or are otherwise
made or derived from tobacco, and,
therefore, are covered tobacco products.
Such products also may not have
sufficient space to bear a health
warning. In these cases, a manufacturer
could include such information on the
carton or other outer container or
wrapper if the carton, outer container,
or wrapper has sufficient space to bear
the information, or appear on a tag that
is permanently affixed to the tobacco
product package. With respect to the
part of this comment stating that health
warnings on advertising materials
should not exceed 10 percent of the area
of the advertisement, see the NPRM (79
FR 23142 at 23164) for additional
discussion regarding the need for
prominent health warnings.
XVII. National Environmental Policy
Act
The Agency has carefully considered
the potential environmental effects of
deeming products to be subject to the
FD&C Act and the age and identification
restrictions. FDA has concluded that the
actions will not have a significant
impact on the human environment, and
that an environmental impact statement
is not required. The Agency’s finding of
no significant impact and the evidence
supporting that finding, contained in an
environmental assessment, may be seen
in the Division of Dockets Management
(see ADDRESSES) between 9 a.m. and 4
p.m., Monday through Friday.
FDA’s responses to comments
regarding the proposed Environmental
Assessment are included in the
following paragraphs.
(Comment 277) One comment stated
that FDA erroneously relied upon the
environmental impact analyses required
by the National Environmental Policy
Act (NEPA), suggesting that the Agency
should review and analyze the total
environmental impact of the rule.
(Response) FDA disagrees. The
analysis of a regulation’s environmental
impact is governed by NEPA, which
requires FDA to assess, as an integral
part of its decisionmaking process, the
environmental impacts of any proposed
Federal action to ascertain the
environmental consequences of that
action on the quality of the human
environment and to ensure that the
interested and affected public is
appropriately informed. FDA satisfied
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these requirements with the preparation
of a proposed environmental assessment
and a final environmental assessment
(Ref. 278).
(Comment 278) One comment
requested that FDA issue a new
Environmental Assessment due to ‘‘the
loss of irreplaceable cultural historical
resources that directly relate to the
heritage of the [Ybor City National
Historic Landmark] District, the City of
Tampa, the State of Florida[, and] the
United States of America.’’
(Response) FDA denies this request.
FDA prepared its Environmental
Assessment in accordance with the
requirements of 21 CFR part 25. FDA
properly accounted for all potential
environmental consequences of that
action on the quality of the human
environment. Therefore, a new
Environmental Assessment is
unnecessary and contrary to the
requirements of NEPA (Ref. 279).
XVIII. 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 (Public Law 104–4). Executive
Orders 12866 and 13563 direct us 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 developed a comprehensive
Economic Analysis of Impacts that
assesses the impacts of the final rule.
We believe that this final rule is a
significant regulatory action as defined
by Executive Order 12866.
The Regulatory Flexibility Act
requires us to analyze regulatory options
that would minimize any significant
impact of a rule on small entities. We
find that the final rule will have a
significant economic impact on a
substantial number of small entities.
The Unfunded Mandates Reform Act
of 1995 (section 202(a)) requires us to
prepare a written statement, which
includes an assessment of anticipated
costs and benefits, before issuing ‘‘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 $144 million, using the
most current (2014) Implicit Price
Deflator for the Gross Domestic Product.
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This final rule would result in a 1-year
expenditure that meets or exceeds this
amount.
This final rule finalizes Option 1 of
the NPRM, which deems all products
meeting the statutory definition of
‘‘tobacco product,’’ except accessories of
a newly deemed tobacco product, to be
subject to chapter IX of the FD&C Act.
This final rule also finalizes additional
provisions that would apply to certain
newly deemed products as well as to
certain other tobacco products. Once
deemed, tobacco products become
subject to the FD&C Act and its
implementing regulations. The FD&C
Act requirements that will apply to
newly deemed products include
establishment registration and product
listing, ingredient listing, submissions
prior to the introduction of new
products, and labeling requirements.
Free samples of newly deemed tobacco
products will also be prohibited. The
additional provisions of this final rule
include minimum age and identification
requirements, vending machine
restrictions, and required warning
statements for packages and
advertisements.
While FDA currently has authority to
regulate cigarettes, cigarette tobacco,
roll-your-own tobacco, and smokeless
tobacco under chapter IX of the FD&C
Act, under the final rule, all additional
tobacco products that meet the statutory
definition, except accessories of those
newly deemed tobacco products, will be
subject to chapter IX of the FD&C Act
and its implementing regulations.16
These products include cigars, pipe
tobacco, waterpipe tobacco, ENDS
(including e-cigarettes), and other novel
tobacco products such as certain
dissolvable products and gels. These
products further include components
and parts of the newly deemed
products, including pipes, e-liquids,
atomizers, batteries, cartomizers
(atomizer plus replaceable fluid-filled
cartridge), tank systems, flavors for eliquids, vials that contain e-liquids,
programmable software, flavor
enhancers for waterpipe tobacco,
waterpipe cooling attachments, water
16 As stated in section 201(rr) of the Federal Food,
Drug, and Cosmetic Act in relevant part, a tobacco
product: (1) Means any product made or derived
from tobacco that is intended for human
consumption, including any component, part, or
accessory of a tobacco product (except for raw
materials other than tobacco used in manufacturing
a component, part, or accessory of a tobacco
product); and (2) Does not mean an article that is
a drug under section 201(g)(1) of the Federal Food,
Drug, and Cosmetic Act (21 U.S.C. 321(g)(1)), a
device under section 201(h) of the Federal Food,
Drug, and Cosmetic Act (21 U.S.C. 321(h)), or a
combination product described in section 503(g) of
the Federal Food, Drug, and Cosmetic Act (21
U.S.C. 353(g)).
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filtration base additives, flavored
waterpipe tobacco charcoals, and
waterpipe bowls, valves, hoses, and
heads.
The final deeming action differs from
most public health regulations in that it
is an enabling regulation. In addition to
directly applying the substantive
requirements of chapter IX of the FD&C
Act and its implementing regulations to
newly deemed tobacco products, it
enables FDA to issue further regulations
related to such products that are
appropriate for the protection of the
public health. We expect that asserting
our authority over these tobacco
products will enable us to propose
further regulatory action in the future as
appropriate, and those actions will have
their own costs and benefits. Without
deeming these products to be subject to
the FD&C Act, FDA would lack the
authority to require manufacturers to
provide, for example, vital ingredient
and health information about them. We
would also lack the authority to take
regulatory action with respect to them,
if we determined it was appropriate to
do so.
The direct benefits of making each of
the newly deemed tobacco products
subject to the requirements of chapter IX
of the FD&C Act are difficult to quantify,
and we cannot predict the size of these
benefits at this time. Among other
effects, new products will be subject to
an evaluation to ensure they meet the
appropriate public health standard for
the pathway before they can be
marketed, labeling cannot contain
misleading statements, and FDA will be
made aware of the ingredients in newly
deemed tobacco products. If, without
the final rule, new products would pose
substantially greater health risks than
those already on the market, the
premarket requirements made effective
by this final rule would keep such
products from appearing on the market
and worsening the health effects of
tobacco product use. The warning
statements required by this final rule
will help consumers better understand
and appreciate the risks and
characteristics of tobacco products.
The final rule as a whole will impose
costs in the form of registration,
submission, and labeling requirements.
Manufacturers of newly deemed
products, as well as some manufacturers
of currently regulated products, will
need to comply with the warning label
provisions, which will impose
additional costs, including costs for
signs with warnings at point-of-sale for
cigars sold singly without packaging.
29075
There will be potential costs for
removing non-compliant point-of-sale
advertising and complying with vending
machine restrictions.
The primary estimate for the present
value of total quantified costs over 20
years is approximately $988 million at
a 3 percent discount rate and $817
million at a 7 percent discount rate. The
quantified costs of the final rule can also
be expressed as annualized values, as
shown in table 1. Unquantified costs
which may be attributable to this final
rule include: Some consumer costs for
users of the newly deemed products due
to loss of product variety or higher
prices; recordkeeping costs for exporters
of deemed tobacco products;
compliance costs for components and
parts other than complete pipes,
waterpipes, and ENDS delivery systems;
the cost of testing and reporting for
HPHCs; the cost of any clinical testing
that may potentially be conducted to
support SE reports; market adjustment
(friction) costs and lost producer
surplus associated with product
consolidation, exit of manufacturers,
and the switch to pure retailing among
retailers such as vape shops who
currently engage in manufacturing
activities.
TABLE 5—SUMMARY OF QUANTIFIED COSTS OVER 20 YEARS ($ MILLION)
Lower bound
(3%)
Present Value of Private Sector Costs ....
Present Value of Government Costs 1 .....
Present Value of Total Costs ...................
Annualized Value of Private Sector Costs
Annualized Value of Government Costs 1
Annualized Value of Total Costs .............
517.7
204.6
722.3
34.8
13.8
48.5
Primary
(3%)
Upper bound
(3%)
783.7
204.6
988.2
52.7
13.8
66.4
Lower bound
(7%)
1,109.8
204.6
1,314.4
74.6
13.8
88.3
450.4
145.7
596.1
42.5
13.8
56.3
Primary
(7%)
670.9
145.7
816.5
63.3
13.8
77.1
Upper bound
(7%)
939.8
145.7
1,085.4
88.7
13.8
102.5
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1 FDA costs represent an opportunity cost, but this rule will not result in changes to overall FDA accounting costs, the size of the federal budget, or the total amount of tobacco industry user fees.
Because it is not possible to compare
benefits and costs directly when the
benefits are not quantified, we employ
a breakeven approach. For the reasons
provided elsewhere in this preamble
and in the analysis of impacts, FDA has
concluded that the benefits of the final
rule justify the costs.
In addition to the benefits and costs
of this final rule, we assess the benefits
and costs of four different approaches.
These approaches consist of regulatory
alternatives (i.e., alternatives to the rule)
as well as enforcement options (i.e.,
periods of time during which FDA does
not intend to enforce certain
requirements). First, we assess the
regulatory alternative of exempting
premium cigars from regulation.
Second, we assess two hybrid regulatory
alternatives/enforcement options of
providing either a 36-month or 12month compliance period for labeling
changes. Lastly, we assess the
enforcement option of not extending the
premarket review compliance policy to
new flavored tobacco products (other
than tobacco flavored products).17 For
the sake of simplicity only, we have
referred to these four approaches as
‘‘alternatives to the rule.’’
In addition to the above alternatives,
comments discussed changing the
grandfather date as an alternative. FDA
has decided not to include this option
in the analysis of alternatives because
we determined that the Agency lacks
the authority to change the grandfather
date.
Primary estimates of the costs of the
regulatory alternatives appear as present
values and annualized values in table 6.
17 Throughout the final RIA, any reference to
‘‘flavored tobacco products’’ means flavored
products other than tobacco flavor.
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TABLE 6—PRIMARY ESTIMATE OF QUANTIFIED COSTS FOR REGULATORY ALTERNATIVES (PRESENT AND ANNUALIZED
VALUES, $ MILLION) 1
959
968
988
1,043
794
797
817
871
64
65
66
70
75
75
77
82
1,141
961
77
91
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benefits are described in the text.
In addition to the social costs
described in this document, the final
rule would lead to distributional effects,
such as: Reduced revenues for firms in
affected sectors, payment of user fees,
and potential changes in tax revenues.
Domestic tobacco product
manufacturers, tobacco product
importers, and vape shops are the
businesses primarily affected by this
rule; most of these businesses are small.
We focus the quantitative analysis of
small entities on manufacturers and
importers of cigars and ENDS products.
We note that most pipe tobacco and
waterpipe tobacco manufacturers and
importers are also small, and we expect
the impact on them to be similar to the
impact on cigar manufacturers and
importers. Even though user fees are a
transfer payment and not a societal cost,
they are a cost from the standpoint of
the cigar and pipe manufacturers who
must pay them under this final rule and
have been included in the estimated
burden for cigar manufacturers and
importers. Estimated costs per cigar
manufacturer or importer are $278,000
to $397,000 in the first year, $292,000 to
$411,000 in the second year, and
$235,000 to $257,000 in the third year.
(The inclusion of user fees in these
estimates will cause costs to be
overstated for manufactures and
importers who also manufacture
currently regulated products. In
addition, costs will vary by firm size as
user fees are based on market share).
Estimated costs per ENDS manufacturer
or importer are $827,000 to $1.21
million in the first year, $832,000 to
$1.21 million in the second year, and
$22,000 to $64,000 in subsequent years.
Although we do not quantitatively
examine the financial effects on vape
shops, we expect the proportion of vape
shops that mix e-liquids may fall during
the initial compliance policy period for
submission and FDA receipt of PMTAs.
After this initial compliance policy
period, we expect that most vape shops
will continue to operate but those that
have not already switched pure retailing
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Annualized
value
(7%)
Present value
(7%)
1—Exempt Premium Cigars from Regulation .................................................
2a—36-month compliance period for labeling changes ..................................
Final Rule and Compliance Period ..................................................................
2b—12-month compliance period for labeling changes ..................................
3—Do not extend the premarket review compliance policy to new flavored
tobacco products ..........................................................................................
1 Nonquantified
Annualized
value
(3%)
Present value
(3%)
Alternative
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will likely do so. Regulatory alternatives
that would reduce costs are analyzed as
potential regulatory relief options for
small businesses.
The Economic Analysis of Impacts of
the final rule performed in accordance
with Executive Order 12866, Executive
Order 13563, the Regulatory Flexibility
Act, and the Unfunded Mandates
Reform Act is available at https://
www.regulations.gov under the docket
number(s) for this final rule (Ref. 204)
and at https://www.fda.gov/AboutFDA/
ReportsManualsForms/Reports/
EconomicAnalyses/default.htm.
XIX. Paperwork Reduction Act of 1995
This final rule contains information
collection provisions that are subject to
review by the Office of Management and
Budget (OMB) under the Paperwork
Reduction Act of 1995 (PRA) (44 U.S.C.
3501–3520). The title, description, and
respondent description of the
information collection provisions are
shown in the following paragraphs with
an estimate of the annual reporting and
recordkeeping burden. Included in the
estimate is the time for reviewing
instructions, searching existing data
sources, gathering and maintaining the
data needed, and completing and
reviewing each collection of
information.
Title: Deeming Tobacco Products To
Be Subject to the Federal Food, Drug,
and Cosmetic Act, as Amended by the
Family Smoking Prevention and
Tobacco Control Act; Restrictions on the
Sale and Distribution of Tobacco
Products and Required Warning
Statements for Tobacco Products.
Description: On June 22, 2009, the
President signed the Tobacco Control
Act into law. In this rule, the Agency is
extending FDA’s ‘‘tobacco product’’
authorities in the FD&C Act to all other
categories of products meeting the
statutory definition of ‘‘tobacco
product’’ in section 201(rr) of the FD&C
Act, excluding accessories of deemed
tobacco products. (Two options were
presented in the NPRM. Under Option
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1, all products meeting the definition of
a ‘‘tobacco product,’’ except accessories
of newly deemed tobacco products,
would be deemed. Option 2 was the
same as Option 1, except a subset of
cigars known as ‘‘premium cigars’’
would be excluded. After thorough
review of the comments and the
scientific evidence, FDA has concluded
that Option 1 more effectively protects
the public health and therefore has
made that the scope of the final rule.)
The rule also prohibits the sale of
covered tobacco products to individuals
under the age of 18 and prohibits the
sale of covered tobacco products using
the assistance of any retail-based
electronic or mechanical device (such as
a vending machine) except in facilities
where the retailer ensures that no
person younger than 18 years of age is
present, or permitted to enter, at any
time. The requirement that a retailer sell
covered tobacco products in only a
direct, face-to-face exchange without the
assistance of electronic or mechanical
devices is not intended to prevent the
sale of tobacco products via the Internet,
but the sale of covered tobacco products
via any medium (including the Internet)
must only be to persons 18 years of age
or older.
The rule also provides that
manufacturers, distributors, importers,
and retailers are responsible for
ensuring that the covered tobacco
products (in addition to cigarettes and
smokeless tobacco) they manufacture,
label, advertise, package, distribute,
import, sell, or otherwise hold for sale
comply with all applicable
requirements.
In addition, elsewhere in this issue of
the Federal Register, FDA has made
available a final guidance to provide
information on how to establish and
reference a Tobacco Product Master File
(TPMF). TPMFs are expected to reduce
the burden on applicants preparing
premarket and other regulatory
submissions because they can reference
information in TPMFs rather than
develop the information on their own.
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Currently, FDA does allow for the
submission and use of information to be
incorporated by reference similar to
master file programs for other FDAregulated products.
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A. Responses to Comments Regarding
Proposed Collection of Information
1. Whether the Proposed Collection of
Information Is Necessary for the Proper
Performance of FDA’s Functions,
Including Whether the Information Will
Have Practical Utility
(Comment 279) We received several
comments regarding the practical utility
of the information to be collected by
FDA under the proposed regulations.
The main concern among comments
was that some of the requirements
impose significant administrative
burdens without generating useful
information. Also, the comments
believed that FDA is predicting that the
paperwork burden will force almost all
of the e-cigarette products to come off
the market because manufacturers will
go out of business.
(Response) FDA’s regulation of the
newly deemed products and the
information the Agency is seeking will
benefit the public health. As FDA
discussed in the NPRM, deeming all
tobacco products to be subject to
chapter IX of the FD&C Act will provide
FDA with critical information regarding
the health risks of the products. FDA
has not received any data indicating that
regulation ‘‘will destroy almost all of the
e-cigarette products on the market.’’ We
also note that FDA is announcing a
compliance policy for small-scale
tobacco product manufacturers, offering
them targeted relief to address concerns
that small manufacturers may need
additional time to comply with certain
requirements of the deeming rule, as
discussed in section IV.D. This
compliance policy will provide smallscale tobacco product manufacturers
(i.e., those manufacturers with 150
employees or fewer and $5,000,000 or
less in annual revenues) with additional
time to submit ingredient listing
information (under section 904(a)(1))
and health documents (under section
904(a)(4)). This policy also provides
that, for the first 30 months following
the effective date of the rule, small-scale
tobacco product manufacturers may
receive extensions of time for providing
responses to SE deficiency letters.
(Comment 280) One comment stated
that FDA’s proposed regulation is
unnecessary and does not address any
valid need in society. It also stated that
the PRA should set limits on regulations
that do not provide significant return to
the U.S. population. Another comment
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asked that FDA not stifle
advertisements, nor saddle the industry
with unnecessary testing and reporting
standards that stifle innovation and
increase costs.
(Response) FDA disagrees with
comments suggesting that FDA’s rule
will have such effects on industry or the
nation. FDA finds that deeming tobacco
products and applying the automatic
provisions of the FD&C Act in
accordance with this final rule will
result in significant public health
benefits and that the additional
restrictions imposed by this rule are
appropriate for the protection of the
public health. For example, benefits that
will arise as a result of deeming ENDS,
including FDA review of premarket
submissions/applications for new
tobacco products in the United States
pursuant to sections 905 and 910 of the
FD&C Act, which will result in
increased product consistency. FDA
expects to receive premarket
submissions/applications from ENDS
manufacturers that will allow the
Agency to determine whether a new
product is substantially equivalent to a
valid predicate product, exempt from
SE., or appropriate for the protection of
the public health.
2. Accuracy of FDA’s Estimate of the
Burden of the Proposed Collection of
Information, Including the Validity of
the Methodology and Assumptions
Used
(Comment 281) Many comments
argued that their products could be
driven from the market due to the
paperwork reporting requirements and
FDA’s authorization process. The
comments claimed that many
companies (particularly e-cigarette
companies) lack experience or the
systems in place to comply with the
NPRM and that the premarket
requirements would discourage the
development of new products. They
also said that requirements like labeling
and registration would be unfeasible for
small producers lacking the experience
of navigating this regulatory
environment.
(Response) FDA expects that the
greater regulatory certainty created by
the premarket review process will help
companies to invest in creating novel
products that benefit the health of the
population as a whole, with greater
confidence that the improved products
in which they have invested will enter
the market without having to compete
against equally novel products that do
not have to meet the same basic
requirements. We also note that FDA is
announcing a compliance policy for
small-scale tobacco product
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manufacturers, offering them targeted
relief in certain areas to address
concerns that small manufacturers may
need additional time to comply with
certain requirements of the FD&C Act,
as discussed in section IV.D. This
compliance policy will provide smallscale tobacco product manufacturers
(i.e., those manufacturers with 150
employees or fewer and $5,000,000 or
less in annual revenues) with additional
time to submit ingredient listing
information (under section 904(a)(1))
and health documents (under section
904(a)(4)). This policy also provides
that, for the first 30 months following
the effective date of the rule, small-scale
tobacco product manufacturers may
receive extensions of time for providing
responses to SE deficiency letters.
(Comment 282) Several comments
stated that the PMTA process imposes a
number of burdens on manufacturers,
the most onerous burden being the
requirement for scientific investigations.
(Response) In the NPRM (79 FR 23142
at 23176), FDA included discussion
intended to supplement and clarify the
requirement for scientific investigations.
As we noted, FDA expects that, in some
cases, it will be possible for an applicant
to obtain a PMTA marketing order
without conducting new nonclinical or
clinical studies where there is an
established body of evidence regarding
the public health impact of the product.
Therefore, FDA believes that certain
categories of PMTAs may not require
significant financial and administrative
resources associated with clinical
investigations. Elsewhere in this issue of
the Federal Register, FDA is
announcing the availability of a draft
guidance, which when final will
provide the Agency’s current thinking
regarding some appropriate means of
addressing the premarket authorization
requirements for newly deemed ENDS
products, including the need for
‘‘clinical studies’’ for the purposes of
preparing PMTAs for ENDS. In addition,
elsewhere in this issue of the Federal
Register, FDA has made available a final
guidance to provide information on how
to establish and reference a Tobacco
Product Master File. TPMFs are
expected to reduce the burden on
applicants preparing premarket and
other regulatory submissions.
We also note that FDA is announcing
an enforcement policy for small-scale
tobacco product manufacturers, offering
them targeted relief in certain areas to
address concerns that smaller
manufacturers may have, as discussed
in section IV.D. This compliance policy
will provide small-scale tobacco
product manufacturers (i.e., those
manufacturers with 150 employees or
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fewer and $5,000,000 or less in annual
revenues) with additional time to
submit ingredient listing information
(under section 904(a)(1)) and health
documents (under section 904(a)(4)).
This policy also provides that, for the
first 30 months following the effective
date of the rule, small-scale tobacco
product manufacturers may receive
extensions of time for providing
responses to SE deficiency letters.
(Comment 283) Several comments
expressed concern that FDA failed to
provide any data on the number or type
of e-cigarette businesses currently
operating in the United States.
According to the comments, there are at
least 1,250 businesses. Other comments
estimated that there are 14,000 to 16,000
e-cigarette retail outlets in the United
States. They stated that these small
manufacturing entities will not be able
to participate in the PMTA process and
most will go out of business.
(Response) At the time of the NPRM,
FDA did not have precise estimates for
ENDS products. Now that we have more
data, the Agency is estimating the
numbers for ENDS liquids and delivery
systems elsewhere in the PRA section.
As stated previously, FDA believes the
TPMF process will help companies as
they can reference information in
TPMFs rather than develop the
information on their own. Additionally,
the enforcement policy for small-scale
tobacco product manufacturers will
assist small manufacturers. This
compliance policy will provide smallscale tobacco product manufacturers
(i.e., those manufacturers with 150
employees or fewer and $5,000,000 or
less in annual revenues) with additional
time to submit ingredient reporting
(under sections 904 and 915) and health
documents (under section 904). This
policy also provides that small-scale
tobacco product manufacturers may
receive extensions of time for providing
responses to SE deficiency letters.
(Comment 284) Some comments
noted that the NPRM made it appear
that FDA would not allow any SE
reports to be submitted for e-cigarette
products, as there were only about a half
dozen first generation e-cigarette
products that were sold in the United
States in February 2007 (the grandfather
date), and those products are not
substantially equivalent to any of
today’s products. Comments stated that
applicants would then need to submit
PMTAs and estimated that each PMTA
would cost a successful applicant
between $3 and $20 million.
(Response) The FD&C Act provides
three pathways for obtaining FDA
authorization to market a new tobacco
product. Where a new product does not
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meet the requirements for SE exemption
under section 905(j)(3) and does not
have an appropriate predicate under
section 905(j)(1)(A)(i) or is otherwise
unable make a showing supporting a
finding of SE., the manufacturer of the
new product must submit a PMTA. As
FDA stated in the NPRM, the Agency
expects that some applicants may not
need to engage in resource-intensive
clinical investigations and provide longterm data to prepare and submit a
complete PMTA. In addition, elsewhere
in this issue of the Federal Register,
FDA has made available draft guidance,
which when final will describe FDA’s
current thinking regarding some
appropriate means of addressing the
premarket authorization requirements
for newly deemed ENDS products,
including the need for clinical studies
for the purposes of preparing PMTAs for
ENDS.
(Comment 285) Several comments
argued that FDA has greatly
underestimated the total number of eliquid products that are on the market.
According to one comment, there are
nearly 1,700 e-cigarette and e-liquid
businesses on record, which does not
include the many companies that
manufacture hardware components
used in ARPVs. One comment stated
that a recent study found that greater
than 34,000 different e-liquid products
alone were sold on the Internet (i.e.
7,764 unique brand flavors averaging 4.4
different nicotine levels per brand) not
including different vegetable glycerin/
propylene glycol water levels or
components in 466 identified different
e-cigarette brands. Several comments
estimated that there are 5,000 to 15,000
e-liquid producers and e-cigarette retail
establishments in the United States.
Other comments projected that there are
at least 100,000 e-cigarette products
currently on the market.
Similarly, some commenters felt that
FDA grossly underestimated the number
of responses for certain proposed
information collections. For example,
they noted that the NPRM states that
FDA expects only 25 new product
applications from e-cigarette
manufacturers. They claimed that FDA
has either miscalculated the number of
distinct brands and types of e-cigarettes
on the market, or the Agency expects
most manufacturers to exit the market
rather than submit product applications.
(Response) We have revised our
estimates to reflect the most recent
information available at the time of
drafting this final analysis. FDA
estimates the average number of vape
shops that meet the definition of a
manufacturer are 4,250. FDA also
estimates that there will be 186 other
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manufacturers and 14 importers of
ENDS products.
(Comment 286) Many comments said
that FDA’s estimates of the burdens
imposed by the rule’s information
collection requirements are understated.
Specifically, they stated that the
Agency’s estimates of the number of
respondents in the category of ‘‘other
tobacco, e-cigarettes, and nicotine
product manufacturers,’’ as well as the
number of products on the market
manufactured by these companies, were
off by orders of magnitude.
(Response) Based on the comments
and other evidence, FDA estimates there
will be 186 manufacturers of ENDS
products. Regarding the number of
products, the number will depend on
what type of submission is being sent to
FDA. The burden charts in this section
detail the current estimates FDA
believes to be accurate.
(Comment 287) Some comments
indicated that FDA equates the time and
financial burden of preparing a PMTA
with an SE application, but the PMTA
requirements are significantly more
burdensome than SE requirements, and
it is completely unreasonable to allocate
the same amount of man-hours needed
to successfully complete a PMTA and
an SE application.
(Response) The Agency has revised
the estimated burden per PMTA
response to an average of 1,500 hours to
complete a PMTA. In reaching this
average, FDA considered efficiencies
achieved through manufacturer
experience, application overlap,
economies of scale, incorporation of
evidence by reference, and other means
including availability of the SE FAQ
guidance. Based on this information,
FDA believes an SE submission will
take considerably less time and money.
If the manufacturer is unable to show
that its product is substantially
equivalent to a predicate product or that
its product is exempt from SE., then the
manufacturer must submit a PMTA. The
requirements of a PMTA may vary based
on the type and complexity of the
product.
(Comment 288) One comment said
that FDA erred in its estimate of the inhouse cost burdens imposed by the
proposed information collections. The
comment said internal costs can only be
excluded when estimating the burden of
an information collection if such costs
are related to ‘‘usual and customary’’
activities. In this case, the comment
believed FDA did not consider the types
of internal costs that will be incurred by
companies to comply with the
information collections.
(Response) FDA disagrees with this
comment. The Agency was thorough in
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its identification of usual and customary
activities. The Agency used various
existing data sources and considered all
the costs associated with the collections
of information. In reaching this average
cost, FDA considered efficiencies
achieved through manufacturer
experience, application overlap,
economies of scale, incorporation of
evidence by reference, and other means.
(Comment 289) A few comments
stated that most of the cost burden
created by paperwork requirements will
fall upon consumers, as hundreds of
thousands of American consumers
would lose access to what the comments
state are ‘‘low-risk products’’ that have
allowed consumers to quit smoking.
They said FDA should take into
consideration small business and
consumer stakeholders’ suggested
alternatives to minimize the NPRM’s
potential impact.
(Response) FDA disagrees with these
comments. This final rule will prevent
new products from entering the market
that are not appropriate for the
protection of the public health, are not
substantially equivalent to a valid
predicate product, or are not exempt
from SE. We also note that FDA is
announcing a compliance policy for
small-scale tobacco product
manufacturers, offering them targeted
relief in certain areas to address
concerns that smaller manufacturers
may need additional time to comply
with certain requirements of the FD&C
Act, as discussed in section IV.D. This
compliance policy will provide smallscale tobacco product manufacturers
(i.e., those manufacturers with 150
employees or fewer and $5,000,000 or
less in annual revenues) with additional
time to submit ingredient listing
information (under section 904(a)(1))
and health documents (under section
904(a)(4)). This policy also provides
that, for the first 30 months following
the effective date of the rule, small-scale
tobacco product manufacturers may
receive extensions of time for providing
responses to SE deficiency letters.
(Comment 290) Several comments
stated that FDA significantly
underestimated the burden on the
tobacco industry. The Agency estimated
that 13,745 products will be affected by
the NPRM and almost 90 percent of
them were cigars and pipe tobacco.
They noted that FDA estimated that up
to 7,869 products will submit SE reports
within the first 24 months after the rule
is finalized, which they believed was
very low, especially given the February
15, 2007, grandfather date.
(Response) FDA used available public
information to estimate the burden on
the tobacco industry and the comments
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did not provide empirical evidence of a
different number of affected products.
However, based on experience with
currently regulated products and
changes in the industry we have revised
the burden accordingly. The Agency
also finds that these comments have not
provided evidence as to why the
grandfather date will cause applicants to
submit more SE applications than FDA
estimated.
(Comment 291) One comment argued
that FDA has greatly underestimated the
number of premium cigar products that
will be subject to premarket review.
According to the comment, premium
cigar makers are distinct from other
tobacco product manufacturers in the
number of products they market and the
volume of those lines. This comment
stated that the average number of cigars
produced for any given product in a
year is 32,655, with 33.6 percent of
reported annual production rates at or
below 10,000 units.
Several other comments argued that
the typical premium cigar manufacturer
may have over 100 unique stock keeping
units (SKUs) and typically will turn
over about 15 percent of those SKUs in
any given year. Their data indicates
there are at least 10,000 and maybe as
many as 20,000 unique SKUs in the
United States, which would add to
FDA’s workload for evaluating new
product applications. They also
estimated that the premium hand-rolled
cigar category alone could generate
numbers in excess of 10,000 new
product applications.
Other comments stated that the
premarket application process will be
costly and time consuming for cigar
manufacturers and will likely result in
many different kinds of newly deemed
tobacco products being removed from
the marketplace. The constant variation
in the cigar tobacco used to make
premium cigars will create significant
regulatory burdens and costs for cigar
manufacturers to be constantly
submitting premarket applications.
Comments stated that cigar
manufacturers that are unable to bear
the cost of applications will cease
bringing new products to the
marketplace.
The comments expressed similar
concerns regarding e-cigarettes, stating
that each e-cigarette manufacturer
would need to submit a PMTA for every
brand of e-cigarette currently being sold
and new e-cigarettes introduced into the
marketplace. Small manufacturers may
not have the financial resources to
submit PMTAs, which will result in the
removal of e-cigarettes from the
marketplace. The end result of the
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PMTA process will be a significant
negative impact on small businesses.
(Response) The FD&C Act provides
for three marketing pathways for new
tobacco products—SE to a valid
predicate product, exemption from SE.,
and PMTA. If the manufacturer is
unable to show that its product is
substantially equivalent to a valid
predicate product or that its product is
exempt from SE., then the firm must
submit a PMTA. The requirements and
costs of a PMTA may vary based on the
type and complexity of the product. For
example, where there is limited
understanding of a product’s potential
impact on public health, several
nonclinical and clinical studies may be
required for market authorization. In
such case, the requirements and cost of
the PMTA likely would be higher than
for a product in which there is already
substantial scientific data on the
potential public health impact.
(Comment 292) Many comments
noted that FDA included a small
number of PMTAs for e-cigarette
products in its analysis. Some
comments stated that if this is the case,
FDA’s estimates would probably
include only a fraction of the products
that are believed to be used to stop
smoking cigarettes. They commented
that the cost burdens of the paperwork
requirements will result in an
unnecessary price increase for the
consumer and the PMTA requirements
will limit the availability of e-cigarettes
to addicted smokers trying to quit. Their
concern is the burden of the paperwork
would fall on both merchants and
consumers.
(Response) FDA disagrees with these
comments. The Agency’s intention is
not to impose additional costs to
consumers but, instead, to prevent new
products from entering the market that
are not appropriate for the protection of
the public health, are not substantially
equivalent to a predicate product, or are
not exempt from SE. Per Agency
experience and updates in the industry,
FDA has updated the number of ENDS
products we estimate will submit a
PMTA.
(Comment 293) Some comments
disagreed with FDA’s estimate that it
expects only one ‘‘other tobacco, ecigarette and nicotine product
manufacturers’’ respondent to submit an
annual health and toxicological report
and its estimate that there would only
be one respondent to self-certify that its
product does not contain nicotine. They
stated that there may be hundreds of eliquid manufacturers self-certifying for
use of the alternative statement, because
it is standard industry practice to offer
0 milligram nicotine flavors in vials.
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(Response) At this time, we do not
have sufficient evidence to warrant
revising the burden estimates.
(Comment 294) Many comments
stated that FDA’s estimates do not
reflect the realities of the market and
FDA’s estimates assume that most of
these small companies will be forced to
exit the industry because of the high
compliance and paperwork burdens
envisioned by the NPRM. However,
others believed that as the market
evolves, many companies will continue
to operate and comply with FDA’s
regulations.
Further, many other comments stated
that, at best, FDA’s estimate that there
are only 140 to 188 potential
respondents in the category of ‘‘other
tobacco, e-cigarettes, and nicotine
product manufacturers’’ is ‘‘egregiously
off target’’ based on the available
evidence. They believed that the entire
industry will be eliminated as a result
of the regulatory and paperwork
burdens in the NPRM. They also noted
that the reason for the difference
between 140 and 188 in the Analysis of
Impacts and PRA sections is unclear.
(Response) There is a high level of
uncertainty in the number of
manufacturers of ENDS. FDA is required
to estimate burden as part of the PRA
analysis. As many comments describe,
the industry is ever changing; during the
time that the NPRM was in review, and
since the NPRM was published, the
ENDS industry has grown. The
comments on the number of ENDS
manufacturers provided industry
estimates rather than concrete data
sources. In the case of non-retail
manufacturers, the comment did not
always specify whether the cited
numbers included both domestic and
foreign manufacturers, or only domestic
manufactures. Therefore, considerable
uncertainty remains as to the number of
domestic non-retail manufacturers.
Similarly, the comments did not address
the number of non-retail importers. In
the Regulatory Impact Analysis (RIA) for
this final rule, based on logo counts
from trade association Web sites and
FDA listening sessions, it is estimated
that there are 168 to 204 formal
manufacturers of ENDS products (not
including ENDS retail establishments
that meet the definition of a
manufacturer). For the PRA analysis, we
took the average for a total of 186
manufacturers. We also estimate that
there are 14 importers of ENDS
products.
(Comment 295) Many comments
stated that it would not be possible to
complete a PMTA within 24 months
after the effective date of the final rule
and that it is an insufficient amount of
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time for manufacturers to conduct any
required clinical studies in support of a
PMTA.
(Response) As stated throughout this
document, FDA is providing a 24-month
compliance period for manufacturers to
submit (and for FDA to receive) a
PMTA. If manufacturers submit the
appropriate applications during this
compliance period, FDA will not
enforce against those manufacturers
continuing to market their products
without FDA authorization for a certain
time period. For products using the
PMTA pathway, this compliance period
closes 36 months after the effective date.
Once the continued compliance period
ends, FDA intends to actively monitor
and enforce the premarket authorization
requirements regarding products on the
market without authorization even if the
respective submission is still under
review. As noted previously, FDA
expects that, in some cases, it will be
possible for an applicant to obtain a
PMTA order without conducting any
new nonclinical or clinical studies
where there is an established body of
evidence regarding the public health
impact of the product. Therefore, FDA
believes that many PMTAs may not
require significant administrative
resources associated with clinical
investigations.
(Comment 296) Several comments
noted that if FDA requires health
documents from manufacturers and
importers of newly deemed tobacco
products, the Agency should establish a
similar production timeline as it did for
currently regulated products (i.e.,
cigarettes, cigarette tobacco, smokeless
tobacco, and roll-your-own tobacco) and
only require production of health
documents developed during the 6month period following the effective
date of the regulation.
(Response) As stated in the
compliance date tables, the compliance
period for manufacturers of products
currently on the market to submit health
documents is 6 months after the
effective date of the final rule.
Manufacturers of products entering the
market after the effective date of the
final rule must comply within 90 days
before delivery of the product for
introduction into interstate commerce.
With this final rule, FDA also is
announcing that it will extend the
compliance period for an additional 6
months from the effective date to allow
small-scale tobacco product
manufacturers time to organize,
compile, and digitize documents.
Additionally, as stated elsewhere, FDA
generally does not intend to take
enforcement action regarding the
submission of all such documents at
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this time so long as a specified set of
documents are submitted by [the
effective date plus 6 months]. FDA will
publish additional guidance that
specifies the scope of such documents
with sufficient advance time for
manufacturers and importers to prepare
their submissions.
(Comment 297) Some comments
stated that FDA has underestimated the
number of other tobacco product
manufacturers that will submit the
required health documents.
(Response) FDA based this burden
estimate on the existing collection that
applies to tobacco products currently
subject to the FD&C Act and FDA
experience. The comments did not
provide a basis or an estimate of other
tobacco product manufacturers for FDA
to utilize in its review, and the Agency
is not aware of any information that
warrants changing this estimate. We
note that at this time, FDA intends to
limit enforcement to finished tobacco
products. A finished tobacco product
refers to a tobacco product, including all
components and parts, sealed in final
packaging intended for consumer use
(e.g., filters, filter tubes, e-cigarettes, or
e-liquids sold separately to consumers
or as part of kits). FDA does not at this
time intend to enforce this requirement
for components and parts of newly
deemed products that are sold or
distributed solely for further
manufacturing into finished tobacco
products. However, any component or
part of a newly deemed tobacco product
that is sold directly to consumers as a
‘‘finished tobacco product’’ will be
required to comply with the premarket
review requirements discussed
throughout this document.
(Comment 298) Some comments
stated that e-liquid companies should be
allowed to amend their ingredient lists
if they add or remove ingredients or
increase the maximum concentration of
any of their current ingredients in any
of their products, rather than submit a
new ingredient list for the new product.
(Response) Ingredient listings contain
important data that enable FDA to gain
better understanding of the contents of
regulated products. This information
will assist FDA in assessing potential
health risks and determining if future
regulations to address these health risks
are warranted. In addition, when an eliquid manufacturer adds or removes
ingredients from a product, it becomes
a ‘‘new tobacco product.’’
(Comment 299) Several comments
disagreed with FDA’s proposed
premarket review burdens for pipe
tobacco manufacturers. At least one
comment indicated that FDA’s proposed
estimate that it will receive only one
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new product application for pipe
tobacco products grossly underestimates
the number of brands of pipe tobacco
that have entered the market since 2007
or indicates that the Agency expects all
but one manufacturer to voluntarily stop
production of new pipe tobacco
products without submitting an SE
report or PTMA application. In
addition, the comments stated that pipe
tobacco manufacturers will incur cost
and time burdens if they are required to
submit PMTAs for each new blend of
pipe tobacco that they manufacture,
including millions of dollars per year in
research to prepare the PMTAs.
(Response) At this time, FDA finds
there is insufficient evidence to increase
the burden estimates. FDA believes that
pipe tobacco manufacturers will utilize
the SE and SE exemption pathways. We
believe they are manufactured similarly
with few, if any, modifications and
many of the ingredients and suppliers
are the same as those utilized in
previous years.
(Comment 300) Several comments
pointed out inconsistencies between the
PRA and Analysis of Impacts sections in
the NPRM. They noted that the Analysis
of Impacts clearly states that FDA does
not have an estimate of e-cigarette
entities that would register with FDA. If
FDA could not estimate the number of
affected entities in the Analysis of
Impacts, they believed this should also
be reflected in the PRA section. In
addition, they stated that the estimated
number of PMTAs (25) in the PRA
section contradicts the number of
estimated PMTAs in the Analysis of
Impacts.
(Response) The RIA and PRA analyses
are conducted to fulfill different
purposes and must adhere to different
requirements; as a result, the two
analyses would rarely, if ever, be the
same. For example, the time horizons
for the analyses are typically different.
Information collections are approved for
a up to a 3-year period and are
reanalyzed every time they are up for
extension, whereas a prospective RIA is
conducted before a rule is issued using
a time horizon chosen to capture the
most important effects of the rule
(generally 20 years). If estimates differ
from year to year, the RIA will often
explicitly identify how the estimates
vary, whereas the PRA analysis will
most often use an average or the
estimate for the current year. Regulatory
impact analyses also tend to make more
frequent use of ranges rather than point
estimates.
As referenced previously, there is a
high level of uncertainty in the number
of manufacturers for ENDS. In the RIA
for this final rule, based on logo counts
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from trade association Web sites and
FDA listening sessions, it is estimated
that there are 168 to 204 formal
manufacturers of ENDS products. For
the PRA analysis, we took the average
of 168 and 204 for a total of 186
manufacturers. We also estimate that
there are 14 importers of ENDS
products.
(Comment 301) A number of
comments also noted that FDA should
be required to estimate and report the
full social costs of eliminating what they
considered to be beneficial products
from the market where the
manufacturers are unable to afford the
PMTA costs.
(Response) FDA is not aware of any
evidence indicating that such social
costs will accrue. Nevertheless, such
estimates are outside the scope of the
PRA analysis.
3. Ways To Enhance the Quality, Utility,
and Clarity of the Information To Be
Collected
(Comment 302) One comment stated
that FDA has not consulted with
industry nor has the Agency audited
industry recordkeeping to support the
assumption that manufacturers have
enough information to prepare SE
reports.
(Response) FDA’s proposed burden
estimates are based on information
available at the time of preparing the
NPRM. If interested parties have
evidence that warrants revising these
burden estimates, they were requested
to submit such evidence during the
comment period for FDA to take into
account when preparing final burden
estimates.
(Comment 303) One comment
recommended that the Office of
Information and Regulatory Affairs
(OIRA) should void the proposed
regulations as they relate to e-cigarettes,
that OIRA and FDA should urge
Congress to work with FDA to create a
new regulatory framework for ecigarettes, and, at the very least, that
OIRA require that FDA prepare new
estimates of the paperwork burdens.
(Response) FDA disagrees with this
comment. FDA has estimated the PRA
burdens with the best evidence that is
currently available. In addition, as
stated in the NPRM and throughout this
final rule, the deeming provisions are
beneficial to the public health and the
additional provisions are appropriate for
the protection of the public health.
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29081
4. Ways To Minimize the Burden of the
Collection of Information on
Respondents, Including Through the
Use of Automated Collection
Techniques, When Appropriate, and
Other Forms of Information Technology
(Comment 304) One comment
asserted that, under the PRA, a review
of regulations should include an attempt
to ensure that the paperwork is not
unduly burdensome. The comment also
stated that FDA appears to be ignoring
the greatest cost of the paperwork
burden (i.e., most manufacturers will
find the paperwork burden to be so great
that they will abandon products or their
entire businesses without attempting to
comply with the requirements). They
argued that FDA should follow the
requirements as stated in the PRA and
limit data collection to information that
is useful and dependable.
(Response) FDA disagrees with this
comment. FDA has faithfully complied
with the all aspects of the PRA and any
other applications laws and regulations.
B. Existing Burdens Associated With
Tobacco Products Currently Subject to
the FD&C Act (i.e., Cigarettes, Cigarette
Tobacco, Roll-Your-Own Tobacco, and
Smokeless Tobacco) With Approved
OMB Control Numbers
The information collection
requirements referenced in this section
are amending currently approved
information collections. Once the rule is
finalized, the associated collections of
information will be submitted to OMB
for approval as revisions to the currently
approved information collections. After
submission to OMB, the revised
collections and associated documents
can be viewed at OMB’s public Web site
(https://www.reginfo.gov).
The burden estimates found in this
section include existing collections that
have been approved by OMB and cover
tobacco products that are currently
subject to the FD&C Act (i.e., cigarettes,
cigarette tobacco, roll-your-own tobacco,
and smokeless tobacco). In developing
the burden estimates for newly deemed
tobacco products, FDA based the
estimates on the existing collections that
currently cover cigarettes, cigarette
tobacco, roll-your-own tobacco, and
smokeless tobacco.
1. Tobacco Product Establishment
Registration and Submission of Certain
Health Information (OMB Control
Number 0910–0650)
Description of Respondents: The
respondents to this collection of
information are manufacturers or
importers, or agents thereof, of new and
currently regulated tobacco products
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who are required to make submissions
to FDA under section 904 of the FD&C
Act, including the submission of an
initial list of all ingredients in their
tobacco products and the submission of
information whenever additives or their
quantities are changed. The respondents
to this collection are also persons
engaged in the manufacture,
preparation, compounding, or
processing of a tobacco product or
tobacco products who must register
their establishments and submit a list of
all tobacco products being
manufactured, prepared, compounded,
or processed by that person for
commercial distribution at the time of
registration under section 905 of the
FD&C Act.
Section 101 of the Tobacco Control
Act amended the FD&C Act by adding
sections 905 and 904. Section 905(b) of
the FD&C Act requires that every person
who owns or operates any establishment
in any State engaged in the
manufacture, preparation,
compounding, or processing of a
tobacco product or tobacco products
register with FDA the name, places of
business, and all establishments owned
or operated by that person. Section
905(i)(1) of the FD&C Act requires that
all registrants, at the time of registration,
must submit to FDA a list of all tobacco
products that are being manufactured,
prepared, compounded, or processed by
that person for commercial distribution,
along with certain accompanying
consumer information and other
labeling for such products and a
representative sampling of
advertisements.
If an ENDS retail establishment
engages in these activities, it will be
required to register and list their
products with FDA. These requirements
apply under the statute for all distinct
products manufactured, and they enable
FDA to assess the landscape of products
manufactured by these entities. If ENDS
retail establishments are custom mixing
e-liquids and/or other ENDS products or
components, then they will have to list
each combination that they sell. For
such establishments to continue to
engage in mixing after this rule becomes
effective, they would need to satisfy the
requirements for manufacturers and the
premarket authorization of new tobacco
products as a result of this final rule. We
note, however, that FDA does not intend
to enforce the premarket authorization
requirements during staggered
compliance periods following the
effective date, as stated previously in
this preamble to this rule.
Section 904(a)(1) of the FD&C Act
requires each tobacco product
manufacturer or importer, or agent
thereof, to submit a listing of all
ingredients, including tobacco,
substances, compounds, and additives
that are added by the manufacturer to
the tobacco, paper, filter, or other part
of each tobacco product by brand and by
quantity in each brand and subbrand.
Section 904(c) of the FD&C Act also
requires submission of information
whenever additives or their quantities
are changed.
As previously referenced in section
IV, for small-scale tobacco product
manufacturers, FDA is providing a onetime allowance of an additional 6
months after the effective date of this
final rule for initial reporting of
ingredients. This regulatory relief is
only for small-scale tobacco product
manufacturers.
FDA issued guidance documents on
both (1) Registration and Product Listing
for Owners and Operators of Domestic
Tobacco Product Establishments (74 FR
58298, November 12, 2009) and (2)
Listing of Ingredients in Tobacco
Products (74 FR 62795, December 1,
2009) to assist persons making these
submissions to FDA under the FD&C
Act. Although electronic submission of
registration, product listing, and
ingredient listing information are not
required, FDA strongly encourages
electronic submission to facilitate
efficiency and timeliness of data
management and collection. To that
end, FDA designed the eSubmitter
application, and then the FDA FURLS,
to streamline the data entry process for
registration, product listing, and
ingredient listing. This tool allows for
importation of large quantities of
structured data, attachments of files
(e.g., in PDFs and certain media files),
and automatic acknowledgement of
FDA’s receipt of submissions. FDA also
developed paper forms (Form FDA
3741—Registration and Listing for
Owners and Operators of Domestic
Tobacco Product Establishments and
Form FDA 3742—Listing of Ingredients
in Tobacco Products) as alternative
submission tools. Both the FURLS and
the paper forms can be accessed at
https://www.fda.gov/tobacco. FDA
estimates the additional annual burden
for the information collection as a result
of this rule as follows:
TABLE 7—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of respondents
Activity
Number of responses per
respondent 2
Total annual
responses
Average burden per
response
(in hours)
Total hours
Tobacco Product Establishment Initial First Year Registration (electronic and paper submission):
Cigar Entities (Including Large and Small, and Importers).
Pipe and Waterpipe Tobacco Entities (Including
Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine Product
Entities and ENDS Products Importers (7) 3.
Vape shops that qualify as manufacturers 4 ............
asabaliauskas on DSK3SPTVN1PROD with RULES
Total Tobacco Product Establishment Initial
First Year Registration.
221
1
221
2 ................................
442
96
1
96
2 ................................
192
193
1
193
2 ................................
386
4,250
1
4,250
2 ................................
8,500
........................
........................
........................
....................................
9,520
Tobacco Product Establishment Recurring Registration (electronic and paper submission):
Cigar Entities (Including Large and Small, and Importers).
Pipe and Waterpipe Tobacco Entities (Including
Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine Product
Entities and ENDS Products Importers (7) 3.
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221
221
0.20 (12 minutes) ......
44
96
1
96
0.20 (12 minutes) ......
19
193
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1
1
193
0.20 (12 minutes) ......
39
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29083
TABLE 7—ESTIMATED ANNUAL REPORTING BURDEN 1—Continued
Number of respondents
Number of responses per
respondent 2
Vape shops that qualify as manufacturers 4 ............
4,250
1
4,250
0.20 (12 minutes) ......
850
Total Tobacco Product Establishment Recurring
Registration.
........................
........................
........................
....................................
952
Activity
Total annual
responses
Average burden per
response
(in hours)
Total hours
Tobacco Product Listing Initial First Year (electronic and paper submission):
Cigar Entities (Including Large and Small, and Importers).
Pipe and Waterpipe Tobacco Entities (Including
Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine Product
Entities and ENDS Products Importers (7)) 3.
Vape shops that qualify as manufacturers 4 ............
Total Hours Tobacco Product Listing Initial
First Year.
221
1
221
2 ................................
442
96
1
96
2 ................................
192
193
1
193
2 ................................
386
4,250
1
4,250
2 ................................
8,500
........................
........................
........................
....................................
9,520
Tobacco Product Listing Recurring (electronic and paper submission):
Cigar Entities (Including Large and Small, and Importers).
Pipe and Waterpipe Tobacco Entities (Including
Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine Product
Entities and ENDS Products Importers (7) 3.
Vape shops that qualify as manufacturers 4 ............
Total Hours Tobacco Product Listing Recurring.
221
2
442
0.40 (24 minutes) ......
177
96
2
192
0.40 (24 minutes) ......
77
193
2
386
0.40 (24 minutes) ......
154
4,250
2
8,500
0.40 (24 minutes) ......
3,400
........................
........................
........................
....................................
3,808
Obtaining a Dun and Bradstreet (DUNS) Number:
Cigar Entities (Including Large and Small, and Importers).
Pipe and Waterpipe Tobacco Entities (Including
Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine Product
Entities and ENDS Products Importers (7) 3.
Vape shops that qualify as manufacturers 4 ............
221
1
221
0.5 (30 minutes) ........
111
96
1
96
0.5 (30 minutes) ........
48
193
1
193
0.5 (30 minutes) ........
97
4,250
1
4,250
0.5 (30 minutes) ........
2,125
Total Hours Obtaining DUNS Number .............
........................
........................
........................
....................................
2,381
Total Hours Registration, Product Listing,
and DUNS Number.
........................
........................
........................
....................................
26,181
Tobacco Product Ingredient Listing (electronic and paper submission):
329
5.38
1,770
3 ................................
5,310
117
20.62
2,413
3 ................................
7,239
200
11.40
2,280
3 ................................
6,840
4,250
11.73
49,853
1 ................................
49,853
Total Hours Submitting Product Ingredient
Listing.
asabaliauskas on DSK3SPTVN1PROD with RULES
Cigar Entities (Including Large and Small, and Importers).
Pipe and Waterpipe Tobacco Entities (Including
Importers (43)).
Other Tobacco, E-Cigarettes, and Nicotine Product
Entities and ENDS Products Importers (7) 3.
Vape shops that qualify as manufacturers 4 ............
........................
........................
........................
....................................
69,242
Total Burden Tobacco Product Establishment Registration and Submission of
Certain Health Information.
........................
........................
........................
....................................
121,604
1 There
are no capital costs or operating and maintenance costs associated with this collection of information.
number is estimated to be the total annual responses divided by the number of respondents, rounded to the nearest tenth.
3 Importers are included throughout this Table 7 to the extent that they engage in the manufacture, preparation, compounding, or processing of
tobacco products, which includes repackaging or otherwise changing the container, wrapper, or labeling of any tobacco product package in furtherance of the distribution of the tobacco product from the original place of manufacturer to the person who makes final delivery or sale to the
ultimate consumer or use.
4 FDA assumes that vape shops will register and list only during the first two years after the rule becomes effective.
2 This
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Based on aggregate information
obtained from the TTB, in 2013 there
were 113 domestic manufacturers of
cigars, 216 importers of cigars, 74
manufacturers of pipe (including
waterpipe) tobacco, and 43 importers of
pipe (including waterpipe) tobacco who
will be required to register under
section 905 of the FD&C Act. For the
purposes of this analysis, FDA estimates
that the majority of the 4,250 vape shops
that qualify as manufacturers will only
register and list in the first two years
after the rule becomes effective. In
addition, FDA estimates that 186 ENDS
manufacturers will be required to
register under section 905 of the FD&C
Act.
Product listing information is
provided at the time of registration.
Currently, registration and listing
requirements only apply to domestic
establishments engaged in the
manufacture, preparation,
compounding, or processing of a
tobacco product. This includes
importers to the extent that they engage
in the manufacture, preparation,
compounding, or processing of a
tobacco product, including repackaging
or otherwise changing the container,
wrapper, or labeling of any tobacco
product package.18 Foreign
establishments are not required to
register and list until FDA issues
regulations establishing such
requirements in accordance with section
905(h) of the FD&C Act. To account for
the foregoing, we include both domestic
manufacturing establishments and
importers in our estimates. Specifically,
for the PRA analysis, we have used the
midpoint between TTB permit counts
for manufacturers and permit counts for
manufacturers and importers as a likely
overestimate of the number of entities
that need to comply with registration
and product listing (The Analysis of
Impacts includes importers in the upper
bound.)
The PRA burden estimates have been
updated to fully incorporate the use of
an electronic system known as FURLs
for submitting registration and product
listing information to FDA. With the
18 Under the Internal Revenue Code, the
manufacture, preparation, compounding, or
processing of a tobacco product may require a
permit as a manufacturer of tobacco products. As
we understand TTB’s permitting requirements,
entities lacking a manufacturer permit, including
importers, may not engage in any of the listed
activities, including repackaging tobacco products
after such products are released from customs
custody. It is unclear whether TTB would require
a manufacturer permit for all activities for which
FDA would determine the entity must register and
list; because there may be some entities with import
permits for which FDA would conclude registration
is necessary, FDA includes those numbers as part
of its upper-bound estimate of affected entities.
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FURLs system, manufacturers can enter
information quickly and easily. For
example, product label pictures can be
uploaded directly and we anticipate that
most, if not all companies, already have
electronic versions of their labels for
printing, sales, or marketing purposes.
We anticipate that initial entity
registration will take 2 hours and initial
product listing will take an additional 2
hours per entity.
FDA estimates that the initial first
year submission of registration
information required by section 905 of
the FD&C Act will take 2 hours per
establishment, with a total of 4,760
establishments that will be required to
register under this rule, for a total of
9,520 hours (4,760 × 2).
The estimate for the number of
product listing submissions for cigars is
derived by using product counts from
two retail Web sites: https://
www.cigarsinternational.com/ and
https://www.pipesandcigars.com/. These
two large Internet retailers had larger
product offerings than other sites
reviewed and sell both mass-market and
specialty products. Estimates of product
formulations and product-package
combinations for cigars are centered
over the product counts from the two
Web sites. To derive the product listing
count for pipe tobacco, we count the
products on a Web site with a broad
product offering, https://
www.pipesandcigars.com/. We estimate
formulations with the number of the
product names and product-packages
with the number of product-package
combinations. FDA derives the product
listing estimate for ENDS products by
consulting experts at FDA’s CTP who
cataloged the ENDS products currently
available on five Web sites and in
scanner data from Nielsen. FDA
estimates that the initial first year
submission of product listing
information required by section 905 of
the FD&C Act will take 2 hours per
submission for 4,760 submissions/
annual responses for a total of 9,520
hours.
Once information is entered into
FURLs, the twice yearly confirmation of
annual registration and product listing
updates is simplified as all information
previously entered is maintained in the
system. Therefore, we expect the
recurring burden of subsequent years for
updating registration and product listing
information will take 1 hour annually
per establishment (12 minutes for
registration and 48 minutes for product
listing). The total hours are 4,760 (952
updating registration and 3,808 product
listing).
FDA estimates that obtaining a DUNS
number will take 30 minutes. FDA
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assumes that all the establishment
facilities that will be required to register
under section 905 of the FD&C Act
would obtain a DUNS number, with a
total of 4,760 establishments that would
need to obtain this number. The total
burden to obtain a DUNS number is
26,181 hours.
FDA estimates that the submission of
ingredient listing information as
required by section 904 of the FD&C Act
will take 3 hours per tobacco product
based on the estimates found in the
existing collection. The Agency
estimates that approximately 56,316
ingredient listings/annual responses
will be submitted annually based on the
methodology used for estimating the
number of product listing submissions
described in this section. The total
ingredient listing reporting is 69,242
hours. FDA estimates that the total
burden for tobacco product
establishment registration and
ingredient listing reporting is 121,604
hours.
2. Tobacco Health Document
Submission (OMB Control Number
0910–0654)
Description of Respondents:
Respondents to this collection of
information are tobacco product
manufacturers or, importers, or agents
thereof, who will submit all documents
to FDA developed after June 22, 2009,
that relate to health, toxicological,
behavioral, or physiologic effects of
current or future tobacco products. As
stated elsewhere, however, FDA
generally does not intend to take
enforcement action regarding the
submission of all such documents at
this time so long as a specified set of
documents are submitted by [the
effective date plus 6 months]. FDA will
publish additional guidance that
specifies the scope of documents that
manufacturers and importers will be
required to submit by [the effective date
plus 6 month], with sufficient advance
time for manufacturers and importers to
prepare their submissions.
Section 904(a)(4) of the FD&C Act
requires each tobacco product
manufacturer or importer, or agent
thereof, to submit all documents to FDA
developed after June 22, 2009, that
relate to health, toxicological,
behavioral, or physiologic effects of
current or future tobacco products, their
constituents (including smoke
constituents), ingredients, components,
and additives (tobacco health
documents). To address concerns of
certain small businesses relating to the
tobacco health documents requirement,
FDA is extending the compliance period
for small-scale tobacco product
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manufacturers for an additional 6
months following the end of the
generally applicable compliance period
to allow submitters time to organize,
compile, and digitize documents.
FDA is collecting the information
submitted under section 904(a)(4) of the
FD&C Act through an electronic portal
and through a paper form (Form FDA
29085
3743) for those individuals who choose
not to use the electronic portal.
FDA estimates the additional annual
burden for the information collection as
a result of this rule as follows:
TABLE 8—ESTIMATED ANNUAL REPORTING BURDEN 1
Cigar Manufacturers (Including Large and Small) ...............
Pipe and Waterpipe Tobacco Manufacturers ......................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers ENDS ................................................................
Importers of Cigars and Pipe Tobacco Who Are Considered Manufacturers ..........................................................
Importers of Other Tobacco, E-Cigarettes, and Nicotine
Product Manufacturers ENDS ..........................................
Total Hours Health Document Submission ..................
1 There
Average
burden per
response
(in hours)
Total annual
responses
Total hours
2
1
4
4
8
4
50
50
400
200
1
4
4
50
200
1
4
4
50
200
1
4
4
50
200
........................
........................
........................
........................
1,200
are no capital costs or operating and maintenance costs associated with this collection of information.
FDA estimates that a tobacco health
document submission for cigars, pipe
and waterpipe tobacco, other tobacco,
tobacco importers, and importers of
ENDS required by section 904(a)(4) of
the FD&C Act, will take approximately
50 hours per submission based on the
existing collection that applies to
tobacco products currently subject to
the FD&C Act and FDA experience. To
derive the number of respondents for
this provision, FDA assumes that very
few manufacturers or importers, or
agents thereof, would have health
documents to submit. Therefore, the
Agency estimates that approximately six
submissions (two for cigar
manufacturers, one for pipe and
waterpipe tobacco manufacturers, one
for other tobacco product
manufacturers, and one for tobacco
importers, and one for importers of
ENDS who are considered
manufacturers) will be submitted on an
annual basis. FDA estimates the total
number of hours is 1,200 hours (6
submissions multiplied by 4 times per
year multiplied by 50 average burden
hours).
3. Exemptions From Substantial
Equivalence Requirements (OMB
Control Number 0910–0684)
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Number of
responses per
respondent
Number of
respondents
Activity
Description of Respondents:
Respondents to this collection of
information are manufacturers of
deemed tobacco products who are
requesting an exemption from the SE
requirements of the FD&C Act.
In a final rule that published on July
5, 2011, FDA established procedures for
manufacturers to request exemptions
from the SE requirements of the
Tobacco Control Act (SE exemptions
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final rule). The SE exemptions final rule
was issued under section 905(j)(3) of the
FD&C Act, which provides that FDA
may exempt from the requirements
relating to the demonstration of SE
tobacco products that are modified by
adding or deleting a tobacco additive, or
increasing or decreasing the quantity of
an existing tobacco additive, if FDA
determines that: (1) Such modification
would be a minor modification of a
tobacco product that can be sold under
the FD&C Act, (2) a report is not
necessary to ensure that permitting the
tobacco product to be marketed would
be appropriate for protection of the
public health, and (3) an exemption is
otherwise appropriate.
The exemption request may be made
only by the manufacturer of a legally
marketed tobacco product for a minor
modification to that manufacturer’s
product, and the request (and
supporting information) must be
submitted in an electronic format that
FDA can process, review, and archive.
In addition, the request and all
supporting information must be legible
and in (or translated into) the English
language.
An exemption request must be
submitted with supporting
documentation and contain:
• The manufacturer’s address and
contact information;
• identification of the tobacco
product(s);
• a detailed explanation of the
purpose for the modification;
• a detailed description of the
modification, including a statement as
to whether the modification involves
adding or deleting a tobacco additive, or
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increasing or decreasing the quantity of
an existing tobacco additive;
• a detailed explanation of why the
modification is a minor modification of
a tobacco product that can be sold under
the FD&C Act;
• a detailed explanation of why a
report under section 905(j)(1)(A)(i)
intended to demonstrate SE is not
necessary to ensure that permitting the
tobacco product to be marketed would
be appropriate for the protection of the
public health;
• a certification summarizing the
supporting evidence and providing the
rationale for why the modification does
not increase the tobacco products
appeal to or use by minors, toxicity,
addictiveness, or abuse liability;
• other information justifying an
exemption; and
• an environmental assessment under
part 25 (21 CFR part 25) prepared in
accordance with § 25.40.
This information will enable FDA to
determine whether the exemption
request is appropriate for the protection
of the public health. There is also a
procedural mechanism for rescinding an
exemption if FDA finds the exemption
is not appropriate for the protection of
the public health. In general, FDA will
rescind an exemption only after
providing the manufacturer notice of the
rescission and an opportunity for an
informal hearing under part 16 (21 CFR
part 16). However, FDA may rescind an
exemption prior to notice and
opportunity for a hearing under part 16
if the continuance of the exemption
presents a serious risk to public health.
In that case, FDA would provide the
manufacturer an opportunity for a
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hearing as soon as possible after the
rescission.
FDA reviews the information
submitted in support of the request and
determines whether to grant or deny the
request based on whether the criteria
specified in the statute are satisfied.
FDA may request additional information
from the manufacturer if necessary to
make the determination. If the
manufacturer fails to respond within the
timeframe requested, FDA will consider
the exemption request withdrawn.
FDA estimates the additional annual
burden for the information collection as
a result of this rule as follows:
TABLE 9—ESTIMATED ANNUAL REPORTING BURDEN (WHEN MANUFACTURERS CHOOSE TO SEEK EXEMPTION FROM
SUBSTANTIAL EQUIVALENCE) 1
Number of
responses per
respondent 2
Number of
respondents
21 CFR Section and activity
Average
burden per
response
(in hours)
Total annual
responses
Total hours
§ 1107.1(b) Optional Preparation of Tobacco Product Exemption From Substantial Equivalence Request Including § 25.40 Preparation of
an Environmental Assessment
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (Including Importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery Systems (Including Importers)) ............................................................................
196
1
196
24
4,704
105
1
105
24
2,520
18
1
18
24
432
Total Hours (§ 1107.1(b)) ..............................................
........................
........................
........................
........................
7,656
§ 1107.1(c) Preparation of Additional Information for Tobacco Product Exemption From Substantial Equivalence Request:
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (Including Importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery Systems (Including Importers)) ............................................................................
Total Hours (§ 1107.1(c)) ..............................................
59
1
59
3
177
32
1
32
3
96
3
1
3
3
9
........................
........................
........................
........................
282
Section 905(j)(1)(A)(ii) of the FD&C Act: If exemption granted, report submitted to demonstrate tobacco product is modified under section 905(j)(3), modifications are to a product that is commercially marketed and compliant, and modifications covered by exemptions granted by Secretary under section 905(j)(3):
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (including importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery Systems (Including Importers)) ............................................................................
293
1
293
3
879
156
1
156
3
468
26
1
26
3
78
Total Hours (section 905(j)(1)(A)(ii)) .............................
........................
........................
........................
........................
1,425
Total Hours Exemptions From Substantial
Equivalence Requirements ................................
........................
........................
........................
........................
9,363
1 There
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2 This
are no capital costs or operating and maintenance costs associated with this collection of information.
number is estimated to be the total annual responses divided by the number of respondents, rounded to the nearest hundredth.
The estimated average burden per
response (in hours) is based on the
burdens associated with the existing
information collection that applies to
tobacco products currently subject to
the FD&C Act (i.e., cigarettes, cigarette
tobacco, roll-your-own tobacco, and
smokeless tobacco). FDA estimates that
we will receive 319 exemption requests
under § 1107.1(b) for 24 hours per
response including EA for a total of
7,656 hours. Since an EA is required for
each § 1107.1(b) (Optional Preparation
of Tobacco Product Exemption From
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Substantial Equivalence Request), the
burden per response for EAs (12 hours)
has been combined with the 12 hours
for an SE request for a total of 24 hours.
FDA estimates, based on the existing
information collection that applies to
tobacco products currently subject to
the FD&C Act, we will receive 94
submissions requiring additional
information in support of the initial
exemption request, and it is expected
that it will take an average of 3 hours
to prepare the additional information for
a total of 282 hours.
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FDA estimates that 475 respondents
will prepare 475 responses and each
response will take approximately 3
hours to prepare, as required by section
905(j)(1)(A)(ii), for a total of 1,425 hours.
This collection of information requires a
manufacturer to submit a report at least
90 days prior to making an introduction
or delivery for introduction into
interstate commerce for commercial
distribution of a tobacco product.
Section 905(j)(1)(A)(ii) of the FD&C Act
states that if an exemption has been
requested and granted, the manufacturer
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must submit to FDA a report that
demonstrates that the tobacco product is
modified within the meaning of section
905(j)(3), the modifications are to a
product that is commercially marketed
and in compliance with the
requirements of the FD&C Act, and all
of the modifications are covered by
exemptions granted by the Secretary
pursuant to section 905(j)(3). FDA
estimated the total hours for exemptions
from Substantial Equivalence
Requirements would be 9,363 hours.
FDA’s estimates are based on full
analysis of economic impacts (Ref. 204)
and information gathered from other
FDA-regulated products.
4. Reports Intended To Demonstrate the
Substantial Equivalence of a New
Tobacco Product (OMB Control Number
0910–0673)
Description of Respondents:
Respondents to this collection of
information are manufacturers of
deemed tobacco products who seek to
submit a report to FDA demonstrating
that a tobacco product is substantially
equivalent to a valid predicate product
under section 905(j)(1)(A)(i) of the FD&C
Act.
Section 905(j)(1) of the FD&C Act
authorizes FDA to establish the form
and manner of the submission. FDA
issued guidance intended to assist
persons submitting reports under
section 905(j) of the FD&C Act and to
explain, among other things, FDA’s
interpretation of the statutory sections
related to SE (see the Guidance for
Industry and FDA Staff entitled
‘‘Section 905(j) Reports: Demonstrating
Substantial Equivalence for Tobacco
Products’’ (76 FR 789, January 6, 2011)).
Under the recently issued guidance,
which published in the Federal Register
of September 8, 2015, entitled,
‘‘Demonstrating the Substantial
Equivalence of a New Tobacco Product:
Responses to Frequently Asked
Questions’’ (Edition 2), FDA is
recommending that certain
modifications might be addressed in
either a ‘‘Same Characteristics SE
Report’’ or ‘‘Product Quantity Change
Report.’’ In some circumstances
manufacturers may be able to submit a
shorter SE report. In particular, if a
tobacco product is distinct (e.g., it has
a different name), but has the same
characteristics as a valid predicate
product, manufacturers may submit a
29087
Same Characteristics SE Report. If the
only change to the tobacco product is a
change to product quantity, and the perweight composition inside the package
remains identical, the manufacturer may
submit a Product Quantity Change SE
Report. FDA’s CTP estimates that it will
take less time to prepare those shorter
SE reports.
When groups of full or product
quantity change SE reports have
identical content, they may be bundled;
when a group of similar reports are
bundled, the subsequent bundled
reports are expected to take less time to
prepare than the initial report.
FDA recognizes that many
manufacturers of newly deemed
products may be at the inception of
their businesses. Therefore, FDA is
announcing that the Agency may grant
extension requests made by small-scale
tobacco product manufacturers for SE
Reports that need additional time to
respond to deficiency letters for the first
30 months following the effective date
of this rule.
FDA estimates the additional annual
burden for the information collection as
a result of this rule as follows:
TABLE 10—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of
responses per
respondent 2
Number of
respondents
Activity
Average
burden per
response
(in hours)
Total annual
responses
Total hours
Full SE Initial Sections 905(j)(1)(A)(i) and 910(a) and § 25.40 Environmental Assessments:
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (Including Importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery Systems (Including Importers)) ............................................................................
168
1
168
300
50,400
151
1
151
300
45,300
16
1
16
300
4,800
Total Hours (sections 905(j)(1)(A)(i) and 910(a)) .........
........................
........................
........................
........................
100,500
Full SE Bundled 905(j)(1)(A)(i) and 910(a) and § 25.40 Environmental Assessments:
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Water Tobacco Manufacturers (Including Importers) ...................................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery Systems (Including Importers)) ............................................................................
asabaliauskas on DSK3SPTVN1PROD with RULES
Total Hours ...................................................................
151
1
151
90
13,590
83
1
83
90
7,470
16
1
16
90
1,440
........................
........................
........................
........................
22,500
Same Characteristics SE Report and § 25.40 Environmental Assessments:
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (Including Importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery systems (Including Importers)) ............................................................................
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285
1
285
47
13,395
132
1
132
47
6,204
1
1
1
47
47
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Federal Register / Vol. 81, No. 90 / Tuesday, May 10, 2016 / Rules and Regulations
TABLE 10—ESTIMATED ANNUAL REPORTING BURDEN 1—Continued
Number of
respondents
Activity
Total Same Characteristics ..........................................
Number of
responses per
respondent 2
Total annual
responses
Average
burden per
response
(in hours)
........................
........................
........................
........................
19,646
Total hours
Product Quantity Change Initial and § 25.40 Environmental Assessments:
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (Including Importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery systems (Including Importers)) ............................................................................
Total Product Quantity Change Initial ..........................
108
1
108
87
9,396
30
1
30
87
2,610
1
1
1
87
87
........................
........................
........................
........................
12,093
Product Quantity Change Bundled and § 25.40 Environmental Assessments:
Cigar Manufacturers (Including Large, Small, and Importers) ...................................................................................
Pipe and Waterpipe Tobacco Manufacturers (Including Importers) .............................................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS and Delivery systems (Including Importers)) ............................................................................
42
1
42
62
2,604
12
1
12
62
744
1
1
1
62
62
Total Product Quantity Change ....................................
........................
........................
........................
........................
3,410
Total Hours (‘‘Reports Intended to Demonstrate
the Substantial Equivalence of a New Tobacco
Product’’) ............................................................
........................
........................
........................
........................
158,149
1 There
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2 This
are no capital costs or operating and maintenance costs associated with this collection of information.
number is estimated to be the total annual responses divided by the number of respondents, rounded to the nearest hundredth.
FDA has based these estimates on the
full analysis of economic impacts (Ref.
204) and experience with the existing
information collection that applies to
tobacco products currently subject to
the FD&C Act (i.e., cigarettes, cigarette
tobacco, roll-your-own tobacco, and
smokeless tobacco). In addition, anyone
submitting an SE report is required to
submit an environmental assessment
under § 25.40.
The burden for environmental reports
has been included in the burden per
response for each type of SE report.
FDA estimates that 335 respondents
will prepare and submit 335 section
905(j)(1)(A)(i) Full SE Initial reports
each year and that it will take a
manufacturer approximately 300 hours
per report to prepare the reports of SE
and environmental assessment for a new
tobacco product.
FDA estimates that we will receive
335 Full SE Initial reports for a total of
100,500 hours. We estimate 250 Full SE
Bundled Reports for a total of 22,500
hours. FDA estimates that we will
receive 418 Same Characteristics SE
Reports for a total of 19,646 hours. FDA
estimates receiving 139 Initial Product
Quantity Change reports for a total of
12,093 hours. We estimate receiving 55
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Product Quantity Change Bundled SE
reports for a total of 3,410 hours. Based
on FDA’s experience with
environmental assessments (EAs) for
currently regulated tobacco products,
we expect industry to spend 80 hours to
prepare an environmental assessment
for a full SE Report, but less time to
prepare an environmental assessment
for shorter SE reports.
Therefore, FDA estimates the burden
for submission of SE information will be
158,149 hours.
5. Electronic Importer’s Entry Notice
(OMB Control Number 0910–0046)
Description of Respondents:
Respondents to this collection of
information are importers of tobacco
products being imported or offered for
import into the United States whose
products meet the same requirements of
the Tobacco Control Act as domestic
tobacco products.
With the passage of the Tobacco
Control Act, section 801 of the FD&C
Act (21 U.S.C. 381) was amended to add
tobacco products to the inventory of
FDA-regulated products. The revised
section 801 charges the Secretary of
Health and Human Services, through
FDA, with the responsibility of assuring
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that foreign-origin, FDA-regulated foods,
drugs, cosmetics, medical devices,
radiological health, and tobacco
products being imported or offered for
import into the United States meet the
same requirements of the FD&C Act as
domestic products and for preventing
products from entering the country if
they are not in compliance. The
discharge of this responsibility involves
close coordination and cooperation
between FDA headquarters and field
inspectional personnel and the U.S.
Customs and Border Protection (CBP).
This collection of information is being
used by FDA to review and prevent
imported products from entering the
United States if the products do not
meet the same requirements of the
FD&C Act as do domestic products.
Until October 1995, importers were
required to file manual entry on OMBapproved forms, which were
accompanied by related documents.
Information provided by these forms
included information such as country of
origin, name of the importing vessel,
entry number (assigned by CBP), port of
entry, the port of lading and unlading,
value in U.S. dollars, shipper or
manufacturer, importer of record,
original consignee, broker, broker’s
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Federal Register / Vol. 81, No. 90 / Tuesday, May 10, 2016 / Rules and Regulations
reference number and CBP house box
number, bill of lading numbers, and
location of goods. FDA stopped using
these paper forms effective October 1,
1995, to eliminate duplication of
information and to reduce the
paperwork burden both on the import
community and FDA. The Agency then
developed and implemented an
automated nationwide entry processing
system, which enabled FDA to more
efficiently obtain and process the
information it requires to fulfill its
regulatory responsibility.
Most of the information FDA requires
to carry out its regulatory
responsibilities under section 801 of the
FD&C Act is already provided
29089
electronically by filers to CBP. Because
CBP relays this data to FDA using an
electronic interface, the majority of data
submitted by the entry filer need be
done only once.
FDA estimates the additional annual
burden for the information collection as
a result of this rule as follows:
TABLE 11—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of
respondents
Activity
Importers of Cigars who are Considered Manufacturers.
Importers of Pipe and Waterpipe Tobacco Who
Are Considered Manufacturers.
Importers Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS).
Total Hours Importation of Tobacco Products
1 There
Number of
responses per
respondent
Total annual
responses
Average burden per
response
(in hours)
Total hours
216
159
34,344
0.14 (81⁄2 minutes)
4,808
43
123
5,289
0.14 (81⁄2 minutes)
740
14
68
952
0.14 (81⁄2 minutes)
133
........................
........................
........................
....................................
5,681
are no capital costs or operating and maintenance costs associated with this collection of information.
FDA estimates the burden hours to be
5,681 burden hours (4,808 + 740 + 133
hours). This reflects the addition of the
newly deemed tobacco products to the
list of FDA’s regulated products. When
testing the use of electronic and paper
forms, FDA determined that the average
time for completing either electronic or
manual entries was the same.
Based on the original data collected
by FDA when the importer entry notice
information collection was most
recently approved, it is expected that
each respondent will take 0.14 hour (81⁄2
minutes) to respond. The estimated
hours per response are expected to
remain the same for tobacco importers.
FDA estimates that there will be no
additional costs to provide import data
electronically to FDA, as filers already
have equipment and software in place to
enable them to provide data to CBP via
the automated system. Therefore, no
additional software or hardware need be
developed or purchased to enable filers
to file the FDA data elements at the
same time they file entries electronically
with CBP.
6. Exports: Notification and
Recordkeeping Requirements (OMB
Control Number 0910–0482)
Description of Respondents:
Respondents are manufacturers,
distributors, and other persons who
export tobacco products not intended
for sale in the United States.
In a rule published on February 2,
2012 (77 FR 5171), FDA amended
certain of its general regulations to
include tobacco products, where
appropriate, in light of FDA’s authority
to regulate these products under the
Tobacco Control Act (conforming
amendments rule). The conforming
amendments rule subjects tobacco
products to the same general
requirements that apply to other FDAregulated products, where appropriate.
The conforming amendments rule
amended 21 CFR 1.101(b), among other
sections, to require persons who export
human drugs, biologics, devices, animal
drugs, foods, cosmetics, and tobacco
products that may not be sold in the
United States to maintain records
demonstrating their compliance with
the requirements in section 801(e)(1) of
the FD&C Act. Section 801(e)(1) requires
exporters to keep records demonstrating
that the exported product: (1) Meets
with the foreign purchaser’s
specifications; (2) does not conflict with
the laws of the foreign country; (3) is
labeled on the outside of the shipping
package that is intended for export; and
(4) is not sold or offered for sale in the
United States. These criteria also could
be met by maintaining other
documentation, such as letters from a
foreign government agency or notarized
certifications from a responsible
company official in the United States
stating that the exported product does
not conflict with the laws of the foreign
country.
FDA estimates the annual burden for
the information collection as a result of
this rule as follows:
TABLE 12—ESTIMATED ANNUAL RECORDKEEPING BURDEN 1 2
Number of
recordkeepers
Activity
Number of records
per recordkeeper
Total annual
records
Average burden
per recordkeeping
(in hours)
Total hours
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21 CFR 1.101(b):
Cigar Manufacturers (Large and Small)
Pipe and Waterpipe Tobacco Manufacturers ..................................................
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS) ..
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57
171
22
3,762
37
3
111
22
2,442
93
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3
279
22
6,138
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Federal Register / Vol. 81, No. 90 / Tuesday, May 10, 2016 / Rules and Regulations
TABLE 12—ESTIMATED ANNUAL RECORDKEEPING BURDEN 1 2—Continued
Number of
recordkeepers
Activity
Exports: Notification and Recordkeeping Requirements ................
Number of records
per recordkeeper
Total annual
records
Average burden
per recordkeeping
(in hours)
..............................
..............................
..............................
..............................
Total hours
12,342
1 There
are no capital costs or operating and maintenance costs associated with this collection of information.
publication of the NPRM, the burden for these activities were under OMB control number 0910–0690. The burden has since been transferred to OMB control number 0910–0482.
2 At
The Agency has estimated the number
of respondents and burden hours
associated with the recordkeeping
requirements by reviewing Agency
records and using Agency expert
resources who have experience and
information regarding tobacco product
exporters. FDA estimates that 187
establishments (50 percent of all the
tobacco manufacturers listed in the
collection of information under OMB
Control Number 0910–0046 in this
document who manufacture cigars, pipe
tobacco, waterpipe, other tobacco
products, and ENDS) could be involved
in the exporting of all tobacco products
annually. Based on previous
recordkeeping estimates for the
exporter’s reporting burden in the
existing OMB-approved collection of
information (OMB Control Number
0910–0482, ‘‘Export Notification and
Recordkeeping Requirements’’), each
establishment will maintain an average
of three records per year, and it will take
each recordkeeper an average of 22
hours per recordkeeper to maintain each
record. The Agency estimates 12,342
burden hours will be needed for tobacco
product exporters to create and
maintain records demonstrating
compliance with section 801(e)(1) of the
FD&C Act.
7. Establishing That a Tobacco Product
Was Commercially Marketed in the
United States as of February 15, 2007
(OMB Control Number 0910–0775)
Description of Respondents:
Respondents to this collection of
information are manufacturers of
tobacco products who wish to
demonstrate that their tobacco product
was commercially marketed in the
United States on February 15, 2007, and
is a grandfathered product not subject to
premarket review.
On September 29, 2014, FDA
published the guidance document
entitled ‘‘Establishing That a Tobacco
Product Was Commercially Marketed in
the United States as of February 15,
2007’’. This guidance provides
information on how a manufacturer may
demonstrate that a tobacco product was
commercially marketed in the United
States on February 15, 2007, and is,
therefore, a grandfathered product not
subject to premarket review. The
guidance recommends that the
manufacturer provide evidence that may
include, among other things, dated
copies of advertisements, dated catalog
pages, dated promotional material, and
dated bills of lading. FDA recommends
that the manufacturer submit adequate
information to demonstrate that the
tobacco product was commercially
marketed in the United States on
February 15, 2007.
The estimate for the number of hours
in the existing collection is FDA’s
estimate of how long it might take one
to review, gather, and submit dated
information if making a request for an
Agency determination.
FDA estimates the annual burden for
the information collection as a result of
this rule as follows:
TABLE 13—ESTIMATED ANNUAL REPORTING BURDEN 1 2
Number of
responses per
respondent
Number of
respondents
Activity
Cigar Manufacturers (including large and small cigars and
importers) .........................................................................
Pipe Tobacco Manufacturers (Including Importers) ............
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (Including Importers) .........................................
Total Hours Establishing that a Tobacco Product was
Commercially Marketed in the United States as of
February 15, 2007 .....................................................
Average
burden per
response
(in hours)
Total annual
responses
Total hours
1
1
1
1
1
1
5
5
5
5
1
1
1
5
5
........................
........................
........................
........................
15
1 There
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are no capital costs or operating and maintenance costs associated with this collection of information.
2 At publication of the NPRM, this collection was not yet approved by OMB. On September 8, 2014, OMB approved the information collection
for 3 years.
Based on FDA’s experiences to date,
and given that stand-alone grandfather
submissions are purely voluntary, FDA
does not anticipate that many
manufacturers will make such
submissions, but this option is
available. As such, we assigned one
respondent annually per type of product
FDA estimates it will take a
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manufacturer approximately 5 hours to
complete and submit for FDA review
the evidence required by this collection
of information for a total of 15 hours.
C. Burdens Associated With Tobacco
Products Currently Subject to the FD&C
Act But Not Yet Approved by OMB
The information collections described
in this section also involve collections
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that have been previously made
available for public comment because
they involved tobacco products
currently subject to chapter IX of the
FD&C Act. However, these information
collections have not yet been approved
by OMB.
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FDA based the estimates on the
existing collections that were previously
made available for comment.
• Applications for Premarket Review
of New Tobacco Products
Description of Respondents: The
respondents to this collection of
information are manufacturers who seek
a marketing authorization order under
section 910(c)(1)(A)(i) of the FD&C Act.
On September 28, 2011, FDA
announced the availability of a draft
guidance entitled ‘‘Applications for
Premarket Review of New Tobacco
Products’’. This guidance, when
finalized, will represent the Agency’s
current thinking on the topic. Section
910(a)(1) of the FD&C Act defines a
‘‘new tobacco product’’ as a tobacco
product that was not commercially
marketed in the United States on
February 15, 2007, or modification
(including a change in design, any
component, any part, or any constituent,
including a smoke constituent, or in the
content, delivery or form of nicotine, or
any other additive or ingredient) of a
tobacco product where the modified
product was commercially marketed in
the United States after February 15,
2007. An order under section
910(c)(1)(A)(i) of the FD&C Act is
required prior to marketing a new
tobacco product. This requirement
applies unless the product has been
shown to be substantially equivalent to
a valid predicate product or is exempt
from SE.
Section 910(b) of the FD&C Act states
that a PMTA shall contain full reports
of all investigations of health risks; a
full statement of all components,
ingredients, additives, and properties,
and of the principle or principles of
operation of such tobacco product; a full
description of methods of
manufacturing and processing (which
includes; a listing of all manufacturing,
packaging, and control sites for the
product); an explanation of how the
product complies with applicable
tobacco product standards; samples of
the product and its components; and
labeling.
FDA also encourages persons who
would like to study their new tobacco
product to meet with the OS in CTP to
discuss their investigational plan. The
request for a meeting should be sent in
writing to the Director of CTP’s OS and
should include adequate information for
FDA to assess the potential utility of the
meeting and to identify FDA staff
necessary to discuss agenda items. FDA
is required to deny a PMTA and issue
an order that the product may not be
introduced or delivered for introduction
into interstate commerce under section
910(c)(1)(A)(ii) of the FD&C Act if FDA
finds that:
• The manufacturer has not shown
that the product is appropriate for the
protection of the public health,
• the manufacturing, processing, or
packing methods, facilities, or controls
do not conform to good manufacturing
practices issued under section 906(e) of
the FD&C Act,
• the labeling is false or misleading in
any particular, or
• the manufacturer has not shown
that the product complies with any
tobacco product standard in effect under
section 907 of the FD&C Act.
FDA estimates the annual burden for
the information collection as a result of
this rule as follows:
TABLE 14—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of
respondents
Activity
Number of
responses per
respondent
Average
burden per
response
(in hours)
Total annual
responses
Total hours
Obtaining an FDA Order Authorizing Marketing of Tobacco Product (the application) and § 25.40 Environmental Assessments:
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS Liquids and ENDS Delivery Systems
(Including Importers)) .......................................................
Total Hours Obtaining an FDA Order Authorizing Marketing of Tobacco Product (the application) .............
200
3.75
750
1,713
1,284,750
........................
........................
........................
........................
1,284,750
Request for Meeting with CTP’s Office of Science to Discuss Investigational Plan:
Other Tobacco, E-Cigarettes, and Nicotine Product Manufacturers (ENDS Liquids and ENDS Delivery Systems
(Including Importers)) .......................................................
Total Hours Request for Meeting with CTP’s Office of
Science to Discuss Investigational Plan ...................
Total Hours ‘‘Applications for Premarket Review
of New Tobacco Products’’ ................................
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1 There
200
1
200
4
800
........................
........................
........................
........................
800
........................
........................
........................
........................
1,285,550
are no capital costs or operating and maintenance costs associated with this collection of information.
FDA estimates that it will take each
respondent approximately 1,500 hours
to prepare a PMTA seeking an order
from FDA allowing the marketing of a
new tobacco product. FDA also
estimates that it would on average take
an additional 213 hours to prepare an
environmental assessment in
accordance with the requirements of
§ 25.40, for a total of 1,713 hours per
PMTA application. This average
represents a wide range of hours that
will be required for these applications
under different circumstances, with
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some requiring more hours (e.g., as
many as 5,000 hours for early
applications that involve complex
products and for which the company
has no experience conducting studies or
preparing analysis of public health
impacts, or for which reliance on master
files is not possible) as well as many
requiring fewer hours (e.g., as few as 50
hours for applications for products that
are very similar to other new products).
Although FDA has decreased the
burden per each PMTA, we have
increased the number of expected
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responses for ENDS manufacturers. We
attribute this increase to the rapid
growing ENDS market since the NPRM
was published. FDA’s estimate includes
anticipated burden for the writing of an
application, including intracompany
edits and approvals. FDA also estimates
the number of PMTAs that FDA expects
to receive annually will be 750 (642
ENDS Liquids and 108 ENDS Delivery
Systems).
We are clarifying here that a PMTA
may require one or more types of
studies including chemical analysis,
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Federal Register / Vol. 81, No. 90 / Tuesday, May 10, 2016 / Rules and Regulations
nonclinical studies, and clinical studies.
FDA expects that chemical and design
parameter analysis would include the
testing of applicable HPHCs and
nonclinical analysis would include
literature synthesis and, as appropriate,
some combination of in vitro or in vivo
studies, and computational analyses.
For the clinical study component, one
or more types of studies may be
included to address, as needed,
perception, use pattern, or health
impact. It is possible that an applicant
may not need to conduct any new
nonclinical or clinical studies. We note
that for most applications, FDA does not
expect that applicants will include
randomized clinical trials, like those
conducted to support drug and device
approvals.
For tobacco products already on the
market at the time of the final rule,
much of the information required to
support a PMTA may be obtained from
previously published research on
similar products. Therefore, FDA
expects that a large portion of
applications may be reviewed with no
or minimal new nonclinical or clinical
studies being conducted to support an
application. In contrast, nonclinical and
clinical studies may be required for
market authorization of a new product
for which there is limited understanding
of its potential impact on the public
health. The range of hours involved to
compile these two types of applications
would be quite variable.
FDA anticipates that the 200 potential
respondents to this collection may need
to meet with CTP’s Office of Science to
discuss their investigational plans. To
request this meeting, applicants should
compile and submit information to FDA
for meeting approval. FDA estimates
that it will take approximately 4 hours
to compile this information, for a total
of 800 hours additional burden (200
respondents × 4 hours).
Therefore, the total annual burden for
submitting PMTA applications is
estimated to be 1,285,550 hours. FDA’s
estimates are based on the
corresponding information collection
estimates that apply to tobacco products
currently subject to the FD&C Act and
an assumption that manufacturers
would submit applications for the
premarket review of tobacco products.
D. New Collections of Information That
Apply Only to Deemed Tobacco
Products
1. Exemption From the Required
Warning Statement Requirement
Description of Respondents:
Respondents are manufacturers who, to
obtain an exemption from the required
addictiveness warning, certify to FDA
that their product does not contain
nicotine and that the manufacturer has
data to support that assertion.
This rule contains a new information
collection that pertains to an exemption
process related to the requirement to
include the warning statement in
§ 1143.3(a)(1). Section1143.3(c) will
provide an exemption to the
manufacturer of a product that
otherwise would be required to include
the warning statement in § 1143.3(a)(1)
on its packages and in its
advertisements, i.e., ‘‘WARNING: This
product contains nicotine. Nicotine is
an addictive chemical.’’ This warning
will be required to appear on at least 30
percent of the two principal display
panels of the package and on at least 20
percent of the area of the advertisement.
To obtain an exemption from this
requirement, a manufacturer would be
required to certify to FDA that its
product does not contain nicotine and
that the manufacturer has data to
support that assertion. For any product
that obtains this exemption, the section
requires that the product bear the
statement: ‘‘This product is made from
tobacco.’’ The parties that package and
label such products will share
responsibility for ensuring that this
alternative statement is included on
product packages and in
advertisements. The rule will permit
companies to obtain an exemption from
this warning requirement in the event
that such tobacco products are
developed in the future.
FDA estimates the annual burden for
the information collection as a result of
this rule as follows:
TABLE 15—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of
responses per
respondent
Number of
respondents
Activity
Average
burden per
response
(in hours)
Total annual
responses
Total hours
Certification Statement .........................................................
1
1
1
20
20
Total Exemptions From the Required Warning Statement Requirement .....................................................
........................
........................
........................
........................
20
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1 There
are no capital costs or operating and maintenance costs associated with this collection of information.
The estimated average burden per
response is based on information
collection estimates that apply to
tobacco products currently subject to
the FD&C Act. Although very few
certifications are expected for tobacco
products that do not contain nicotine,
FDA estimates that the number of
certification submissions could rise if
the Agency decides in the future to
address not only nicotine, but any other
addictive substances.
The estimated hours listed in the
burden table for certification
submissions reflect the time needed to
test the product for nicotine and to
prepare and submit the self-certification
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request. FDA expects that these types of
certifications will be very rare and
estimates that the Agency will receive
on average one submission per year.
FDA concludes that the labeling
statements in §§ 1143.3(a)(1) and
1143.5(a)(1) and the alternative
statement in § 1143.3(c) (i.e., ‘‘This
product is made from tobacco’’) are not
subject to review by OMB because they
do not constitute a ‘‘collection of
information’’ under the PRA (44 U.S.C.
3501–3520). Rather, these labeling
statements are a ‘‘public disclosure’’ of
information originally supplied by the
Federal Government to the recipient for
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the purpose of ‘‘disclosure to the
public’’ (5 CFR 1320.3(c)(2)).
2. Submitting Warning Plans for Cigar
Manufacturers, Importers, Distributors,
and Retailers
Description of Respondents: The
respondents to this collection of
information are manufacturers,
importers, distributors, and retailers of
cigar products who will be required to
submit warning plans for cigars to FDA.
The requirement for submission of
warning plans for cigar products, and
the specific requirements relating to the
random display and distribution of
required warning statements on cigar
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packaging and quarterly rotation of
required warning statements in
alternating sequence on cigar product
advertising, appear in § 1143.5(c).
The six warnings for cigars (five
specifically for cigars and the one
addictiveness warning) will be required
to be randomly displayed in each 12month period, in as equal a number of
times as is possible on each brand of
cigar sold in product packaging and be
randomly distributed in all areas of the
United States in which the product is
marketed accordance with a warning
plan submitted to and approved by
FDA. For advertisements, the warning
statements must be rotated quarterly in
alternating sequence in each
advertisement for each brand of cigar in
accordance with a warning plan
submitted to and approved by FDA.
For cigar products that are on the
market as of the publication date of the
final rule, the effective date for the
requirement to submit warning plans by
responsible manufacturers, distributors,
importers, and retailers is 1 year after
the date of publication of the final rule.
FDA is establishing this effective date 1
year before the effective date of the
remainder of the part 1143 requirements
because the Agency anticipates that
there will be a need for considerable
communication with submitters during
its review of the warning plan
submissions. FDA will work with the
submitters to ensure that the plans
submitted meet the established criteria
for approval under part 1143. FDA also
intends to update the warning plan draft
guidance and information collection,
which currently pertains to smokeless
tobacco products, to assist
manufacturers, importers, distributors,
and retailers of cigars with the
submission of warning plans. The
information collection in this draft
guidance is approved under OMB
Control Number 0910–0671. The draft
guidance document discusses, among
other things: The statutory requirement
to submit a warning plan; definitions;
who submits a warning plan; the scope
of a warning plan; when to submit a
warning plan; what information should
be submitted in a warning plan; where
to submit a warning plan; and what
approval of a warning plan means.
The warning statements on cigar
packaging must be randomly displayed
in each 12-month period, in as equal a
number of times as is possible on each
brand of cigar sold and are required to
be randomly distributed in all areas of
the United States in which the product
is marketed in accordance with a
warning plan submitted by the
responsible cigar manufacturer,
importer, distributor, or retailer to and
approved by FDA.
To clarify, retailers of cigars sold
individually and not in product
29093
packaging are not required to submit a
warning plan for warnings on packages,
because the warning signs posted at a
retailer’s point-of-sale would include all
six warnings applicable to cigars, as we
have noted in § 1143.5(c)(1). Therefore,
it is not necessary to submit a rotational
warning plan for them. However,
manufacturers, distributors, and those
retailers who are responsible for or
direct the health warning of the
advertisements of such products must
submit a warning plan for their
advertisements for FDA approval. The
rule requires them to include warnings
on advertisements, and the warnings
that must be rotated quarterly in
alternating sequence in each
advertisement for each brand of cigar, in
accordance with an FDA approved
warning plan.
FDA is also requiring that the
required warning statements be rotated
quarterly in alternating sequence in
each advertisement for each brand of
cigar, regardless of whether the cigar is
sold in product packaging. This rotation
of warning statements in cigar
advertisements also must be done in
accordance with a warning plan
submitted by the responsible cigar
manufacturer, importer, distributor, or
retailer to and approved by FDA.
FDA estimates the annual burden for
the information collection as a result of
this rule as follows:
TABLE 16—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of
respondents
Cigar warning plan
Manufacturers, Importers, and Retailers .............................
Number of
responses per
respondent
329
Total annual
responses
1
329
Total Cigar Warning Plan .............................................
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1 There
Average
burden per
response
(in hours)
120
Total hours
39,480
39,480
are no capital costs or operating and maintenance costs associated with this collection of information.
The burden estimates are based on
FDA’s experience with smokeless
warning plans and the associated
information collection (OMB Control
Number 0910–0671) as well as warning
plans for cigarettes submitted to the FTC
prior to the implementation of the
Tobacco Control Act on June 22, 2009.
We estimate 329 entities will submit
warning plans, and it will take an
average of 120 hours per respondent to
prepare and submit a warning plan for
packaging and advertising for a total of
39,480 hours.
3. Small-Scale Manufacturer Report
Description of Respondents: The
respondents to this collection of
information are manufacturers known as
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‘‘small-scale tobacco product
manufacturers.’’
As discussed in section IV, FDA
requested comment on the ability of
smaller manufacturers of newly deemed
tobacco products to fully comply with
the requirements of the FD&C Act and
how FDA might be able to address those
concerns. Considering the comments
and FDA’s finite enforcement resources,
the Agency’s view is that those
resources may not be best used in
immediately enforcing the provisions of
this rule against certain manufacturers
that are small-scale tobacco product
manufacturers and that fail to comply
with certain requirements of the FD&C
Act. FDA retains discretion in all cases
to conduct an individualized inquiry
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and to consider any and all relevant
facts in determining whether to bring an
enforcement action.
Generally, FDA considers a ‘‘smallscale tobacco product manufacturer’’ to
be a manufacturer of any regulated
tobacco product that employs 150 or
fewer full-time equivalent employees
and has annual total revenues of
$5,000,000 or less. FDA considers a
manufacturer to include each entity that
it controls, is controlled by, or is under
common control with such
manufacturer. To help make FDA’s
individual enforcement decisions more
efficient, a manufacturer may
voluntarily submit information
regarding employment and revenues.
FDA does not believe a large number of
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manufacturers who will voluntarily
submit information. FDA believes it will
take respondents 2 hours to voluntarily
submit information regarding
employment and revenues for a total of
150 hours.
manufacturers who fit the criteria of a
small-scale tobacco product
manufacturer would submit the
voluntary information.
FDA estimates that there are
approximately 75 small-scale
FDA has estimated the burden for
submitting the ‘‘small-scale tobacco
product manufacturer’’ annual report as
follows:
TABLE 17—ESTIMATED ANNUAL REPORTING BURDEN 1
Number of
respondents
Activity
Small-Scale Manufacturer Reporting ...................................
Number of
responses per
respondent
75
Total annual
responses
1
Average
burden per
response
(in hours)
75
Total Small-Scale Manufacturer Report .......................
1 There
2
150
150
are no capital costs or operating and maintenance costs associated with this collection of information.
The total burden for these new
collections of information in this
rulemaking is 1,621,212 reporting hours
(121,604 + 1,200 + 9,363 + 158,149 +
5,681 + 15 + 1,285,550 + 20 + 39,480 +
150) and 12,342 recordkeeping hours for
a total of 1,633,554 burden hours.
The information collection provisions
in this final rule have been submitted to
OMB for review as required by section
3507(d) of the Paperwork Reduction Act
of 1995.
Before the effective date of this final
rule, FDA will publish a notice in the
Federal Register announcing OMB’s
decision to approve, modify, or
disapprove the information collection
provisions in this final rule. An Agency
may not conduct or sponsor, and a
person is not required to respond to, a
collection of information unless it
displays a currently valid OMB control
number.
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Total hours
XX. Executive Order 13132; Federalism
FDA has analyzed this final rule in
accordance with the principles set forth
in Executive Order 13132. FDA has
determined that the rule does not
contain policies that have substantial
direct effects on the States, on the
relationship between the National
Government and the States, or on the
distribution of power and
responsibilities among the various
levels of government. Accordingly, the
Agency has concluded that the rule does
not contain policies that have
federalism implications as defined in
the Executive Order and, consequently,
a federalism summary impact statement
is not required.
XXI. Executive Order 13175; Tribal
Consultation
In accordance with Executive Order
13175, FDA has consulted with Tribal
Government officials. FDA sought
comment from Tribal Governments on
April 25, 2014, and conducted a
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19:27 May 09, 2016
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consultation with tribes via Webinar
regarding the NPRM on May 29, 2014.
FDA received one comment from a tribe
stating that FDA failed to ensure
meaningful and timely input from tribal
officials as required by Executive Order
13175 and requesting tribal consultation
in relation to existing premarket review
activities for cigarettes, roll-your-own
tobacco, and smokeless tobacco. In
response, FDA conducted a face-to-face
meeting with the tribe regarding the
NPRM on January 21, 2015. FDA has
determined that this final rule does not
have tribal implications under
Executive Order 13175, because it does
not, to our knowledge, have a
substantial direct effect on one or more
Indian tribes, on the relationship
between the Federal Government and
Indian tribes, or on the distribution of
power and responsibilities between the
Federal Government and Indian tribes,
nor does it impose substantial direct
compliance costs.
(Comment 305) One comment stated
that FDA failed to ensure meaningful
and timely input from tribal officials as
required by Executive Order 13175 and
the HHS Consultation Policy. The
comment acknowledged FDA’s ‘‘Dear
Tribal Leader’’ letter and Webinar and
requested a face-to-face meeting
between FDA and its tribe in relation to
existing premarket review activities for
cigarettes, roll-your-own tobacco, and
smokeless tobacco.
(Response) FDA adheres to Executive
Order 13175 and the HHS Consultation
Policy. FDA is committed to meaningful
consultation with federally recognized
tribes on FDA’s implementation and
enforcement of the Tobacco Control Act.
As a result of the tribe’s inquiry, FDA
participated in a face-to-face meeting.
(Comment 306) One comment
encouraged FDA to respect tribal
sovereignty in its enforcement of the
tobacco regulation. The comment
recommended that FDA provide both
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training and funding opportunities to
tribal governments to alleviate the
economic burdens stemming from
enforcement of the rule. The comment
urged FDA to make certain the
regulatory burdens do not limit the
economic viability of tribal operations.
(Response) FDA recognizes tribal
sovereignty and tribal self-regulation
and will work in partnership with tribal
leaders to monitor compliance with this
rule. As explained in this rule, FDA is
implementing this rule to protect public
health. However, FDA recognizes that
compliance with many of the automatic
provisions may be challenging at first
for entities that are new to Federal
public health regulation and as a result,
provided compliance policies relating to
provisions such as premarket
authorizations and provided additional
time to comply with certain
requirements of the FD&C Act for smallscale tobacco manufacturers. FDA will
provide training and other opportunities
to tribal governments after the rule is
finalized.
XXII. References
The following references are on
display in the Division of Dockets
Management (see ADDRESSES) and are
available for viewing by interested
persons between 9 a.m. and 4 p.m.
Monday through Friday; they are also
available electronically at https://
www.regulations.gov. FDA has verified
the Web site addresses, as of the date
this document publishes in the Federal
Register, but Web sites are subject to
change over time.
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Research, 16(5):519–526, 2014.
260. Smith, J. R., T. E. Novotny, S. D. Edland,
et al., ‘‘Determinants of Hookah Use
Among High School Students,’’ Nicotine
& Tobacco Research, 13(7):565–72, 2011.
261. Berg C. J., E. Stratton, G. L. Schauer, et
al., ‘‘Perceived Harm, Addictiveness, and
Social Acceptability of Tobacco Products
and Marijuana Among Young Adults:
Marijuana, Hookah, and Electronic
Cigarettes Win,’’ Substance Use &
Misuse, 50(1):79–89, (2015).
262. Smith, S. Y., B. Curbow, F. A. Stillman,
‘‘Harm Perception of Nicotine Products
in College Freshmen,’’ Nicotine &
Tobacco Research, 9(9):977–982, 2007.
263. Krosnick, J. A., L. Chang, S. J. Sherman,
et al., ‘‘The Effects of Beliefs About the
Health Consequences of Cigarette
Smoking on Smoking Onset,’’ Journal of
Communication, 56:S18–S37, 2006.
264. Song, A. V., H. E. Morrell, J. L. Cornell,
et al., ‘‘Perceptions of Smoking-Related
Risks and Benefits as Predictors of
Adolescent Smoking Initiation,’’
American Journal of Public Health,
99:487–492, 2009.
265. Brauer, L. H., F. M. Behm, J. D. Lane,
et al., ‘‘Individual Differences in
Smoking Reward from De-Nicotinized
Cigarettes,’’ Nicotine & Tobacco
Research, 3(2):101, 2001.
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266. Butschky, M. F., D. Bailey, J. E.
Henningfield, et al., ‘‘Smoking without
Nicotine Delivery Decreases Withdrawal
in 12-Hour Abstinent Smokers,’’
Pharmacology Biochemistry and
Behavior, 50(1):91–96, 1995.
267. Pickworth, W. B., R. V. Fant, R. A.
Nelson, et al., ‘‘Pharmacodynamic Effects
of New De-Nicotinized Cigarettes,’’
Nicotine & Tobacco Research, 1(4):357,
1999.
268. Nyman, A. L., T. M. Taylor, L. Biener,
‘‘Trends in Cigar Smoking and
Perceptions of Health Risks Among
Massachusetts Adults,’’ Tobacco Control,
11(Suppl II):ii25-ii29, 2002. https://
www.ncbi.nlm.nih.gov/pmc/articles/
PMC1766069/pdf/v011p0ii25.pdf.
269. Sterling, K., C. J. Berg, A. N. Thomas,
et al., ‘‘Factors Associated With Small
Cigar Use Among College Students,’’
American Journal of Health Behavior,
37(3):325–333, 2013.
270. Soldz, S., E. Dorsey, ‘‘Youth Attitudes
and Beliefs Toward Alternative Tobacco
Products: Cigars, Bidis, and Kreteks,’’
Health Education & Behavior, 32(4):549–
566, 2005.
271. Office of Inspector General, ‘‘Youth Use
of Cigars: Patterns of Use and
Perceptions of Risk,’’ OEI–06–98–00030,
1999.
272. U.S. Department of Health and Human
Services, ‘‘The Health Consequences of
Involuntary Exposure to Tobacco
Smoke’’ A Report of the Surgeon
General; 2006, available at https://
www.ncbi.nlm.nih.gov/books/
NBK44324/pdf/TOC.pdf.
273. Johnston, L. D., P. M. O’Malley, J. G.
Bachman, et al., ‘‘Monitoring the Future
National Results on Adolescent Drug
Use: Overview of Key Findings, 2010,’’
Institute for Social Research, 2011,
available at https://
monitoringthefuture.org/pubs/
monographs/mtf-overview2010.pdf.
274. Institute of Medicine, ‘‘Secondhand
Smoke Exposure and Cardiovascular
Effects, Making Sense of the Evidence’’
2010, available at https://www.nap.edu/
openbook.php?record_id=12649.
275. U.S. Department of Health and Human
Services, ‘‘The Health Consequences of
Smoking,’’ A Report of the Surgeon
General; 2004, available at https://
www.cdc.gov/tobacco/data_statistics/
sgr/2004/complete_report/index.htm.
276. U.S. Department of Health and Human
Services, ‘‘Women and Smoking’’ A
Report of the Surgeon General; 2001,
available at https://
www.ncbi.nlm.nih.gov/books/
NBK44303/.
277. Wogalter, M. S., V. C. Conzola, T. L.
Smith-Jackson, ‘‘Research-Based
Guidelines for Warning Design and
Evaluation,’’ Applied Ergonomics,
33(3):219–230, 2002.
278. Environmental Assessment for
Regulations (21 CFR 1100, 1140, and
1143) to deem tobacco products meeting
the statutory definition of ‘‘tobacco
product’’ to be subject to the Federal
Food, Drug, and Cosmetic Act, to revise
existing regulations to include
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restrictions on the sale and distribution
of covered tobacco products, and to
require the use of health warning
statements for cigarette tobacco, rollyour-own tobacco, and covered tobacco
products.
279. Finding of No Significant Impact for
Regulations (21 CFR 1100, 1140, and
1143) to deem tobacco products meeting
the statutory definition of ‘‘tobacco
product’’ to be subject to the Federal
Food, Drug, and Cosmetic Act, to revise
existing regulations to include
restrictions on the sale and distribution
of covered tobacco products, and to
require the use of health warning
statements for cigarette tobacco, rollyour-own tobacco, and covered tobacco
products.
List of Subjects
21 CFR Part 1100
Smoking, Tobacco.
21 CFR Part 1140
Advertising, Labeling, Smoking,
Tobacco.
21 CFR Part 1143
Advertising, Labeling, Packaging and
containers, Smoking, Tobacco.
Therefore, under the Federal Food,
Drug, and Cosmetic Act and under
authority delegated to the Commissioner
of Food and Drugs, 21 CFR chapter I is
amended as follows:
■ 1. Add part 1100 to subchapter K to
read as follows:
PART 1100—TOBACCO PRODUCTS
SUBJECT TO FDA AUTHORITY
Sec.
1100.1
1100.2
1100.3
Scope.
Requirements.
Definitions.
Authority: 21 U.S.C. 387a(b), 387f(d) and
Pub. L. 111–31.
§ 1100.1
Scope.
In addition to FDA’s authority over
cigarettes, cigarette tobacco, roll-yourown tobacco, and smokeless tobacco,
FDA deems all other products meeting
the definition of tobacco product under
section 201(rr) of the Federal Food,
Drug, and Cosmetic Act, except
accessories of such other tobacco
products, to be subject to the Federal
Food, Drug, and Cosmetic Act.
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§ 1100.2
Requirements.
Cigarettes, cigarette tobacco, roll-yourown tobacco, smokeless tobacco are
subject to chapter IX of the Federal
Food, Drug, and Cosmetic Act and its
implementing regulations. FDA has
deemed all other tobacco products,
except accessories of such other tobacco
products, subject to chapter IX of the
Federal Food, Drug, and Cosmetic Act
and its implementing regulations.
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§ 1100.3
Definitions.
For the purposes of this part:
Accessory means any product that is
intended or reasonably expected to be
used with or for the human
consumption of a tobacco product; does
not contain tobacco and is not made or
derived from tobacco; and meets either
of the following:
(1) Is not intended or reasonably
expected to affect or alter the
performance, composition, constituents,
or characteristics of a tobacco product;
or
(2) Is intended or reasonably expected
to affect or maintain the performance,
composition, constituents, or
characteristics of a tobacco product but
(i) Solely controls moisture and/or
temperature of a stored tobacco product;
or
(ii) Solely provides an external heat
source to initiate but not maintain
combustion of a tobacco product.
Component or part means any
software or assembly of materials
intended or reasonably expected:
(1) To alter or affect the tobacco
product’s performance, composition,
constituents, or characteristics; or
(2) To be used with or for the human
consumption of a tobacco product.
Component or part excludes anything
that is an accessory of a tobacco
product.
Package or packaging means a pack,
box, carton, or container of any kind or,
if no other container, any wrapping
(including cellophane), in which a
tobacco product is offered for sale, sold,
or otherwise distributed to consumers.
Tobacco product. As stated in section
201(rr) of the Federal Food, Drug, and
Cosmetic Act in relevant part, a tobacco
product:
(1) Means any product made or
derived from tobacco that is intended
for human consumption, including any
component, part, or accessory of a
tobacco product (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product); and
(2) Does not mean an article that is a
drug under section 201(g)(1) of the
Federal Food, Drug, and Cosmetic Act,
a device under section 201(h) of the
Federal Food, Drug, and Cosmetic Act,
or a combination product described in
section 503(g) of the Federal Food, Drug,
and Cosmetic Act.
PART 1140—CIGARETTES,
SMOKELESS TOBACCO, AND
COVERED TOBACCO PRODUCTS
2. The authority citation for 21 CFR
part 1140 continues to read as follows:
■
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Authority: 21 U.S.C. 301 et seq., Sec. 102,
Pub. L. 111–31, 123 Stat. 1776.
3. Revise the heading to part 1140 as
set forth above.
■ 4. Revise § 1140.1 to read as follows:
■
§ 1140.1
Scope.
(a) This part sets out the restrictions
under the Federal Food, Drug, and
Cosmetic Act on the sale, distribution,
and use of cigarettes, smokeless tobacco,
and covered tobacco products. Section
1140.16(d) sets out restrictions on the
distribution of free samples for
cigarettes, smokeless tobacco, and other
tobacco products (as such term is
defined in section 201 of the Federal
Food, Drug, and Cosmetic Act).
(b) The failure to comply with any
applicable provision in this part in the
sale, distribution, and use of cigarettes,
smokeless tobacco, covered tobacco
products, or other tobacco products
renders the product misbranded under
the Federal Food, Drug, and Cosmetic
Act.
(c) References in this part to
regulatory sections of the Code of
Federal Regulations are to chapter I of
title 21, unless otherwise noted.
■ 5. Revise § 1140.2 to read as follows:
§ 1140.2
Purpose.
The purpose of this part is to establish
restrictions on the sale, distribution, and
use of cigarettes, smokeless tobacco, and
covered tobacco products in order to
reduce the number of children and
adolescents who use these products,
and to reduce the life-threatening
consequences associated with tobacco
use.
■ 6. Revise § 1140.3 to read as follows:
§ 1140.3
Definitions.
For the purposes of this part:
Accessory means any product that is
intended or reasonably expected to be
used with or for the human
consumption of a tobacco product; does
not contain tobacco and is not made or
derived from tobacco; and meets either
of the following:
(1) Is not intended or reasonably
expected to affect or alter the
performance, composition, constituents,
or characteristics of a tobacco product;
or
(2) Is intended or reasonably expected
to affect or maintain the performance,
composition, constituents, or
characteristics of a tobacco product but
(i) Solely controls moisture and/or
temperature of a stored product; or
(ii) Solely provides an external heat
source to initiate but not maintain
combustion of a tobacco product.
Cigarette. (1) Means a product that:
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(i) Is a tobacco product and
(ii) Meets the definition of the term
‘‘cigarette’’ in section 3(1) of the Federal
Cigarette Labeling and Advertising Act;
and
(2) Includes tobacco, in any form, that
is functional in the product, which,
because of its appearance, the type of
tobacco used in the filler, or its
packaging and labeling, is likely to be
offered to, or purchased by, consumers
as a cigarette or as roll-your-own
tobacco.
Cigarette tobacco means any product
that consists of loose tobacco that is
intended for use by consumers in a
cigarette. Unless otherwise stated, the
requirements applicable to cigarettes
under this chapter also apply to
cigarette tobacco.
Component or part means any
software or assembly of materials
intended or reasonably expected:
(1) To alter or affect the tobacco
product’s performance, composition,
constituents, or characteristics; or
(2) To be used with or for the human
consumption of a tobacco product.
Component or part excludes anything
that is an accessory of a tobacco
product.
Covered tobacco product means any
tobacco product deemed to be subject to
the Federal Food, Drug, and Cosmetic
Act under § 1100.2 of this chapter, but
excludes any component or part that is
not made or derived from tobacco.
Distributor means any person who
furthers the distribution of a tobacco
product, whether domestic or imported,
at any point from the original place of
manufacture to the person who sells or
distributes the product to individuals
for personal consumption. Common
carriers are not considered distributors
for the purposes of this part.
Importer means any person who
imports any tobacco product that is
intended for sale or distribution to
consumers in the United States.
Manufacturer means any person,
including any repacker and/or relabeler,
who manufactures, fabricates,
assembles, processes, or labels a
finished tobacco product.
Nicotine means the chemical
substance named 3-(1-Methyl-2pyrrolidinyl)pyridine or C[10]H[14]N[2],
including any salt or complex of
nicotine.
Package or packaging means a pack,
box, carton, or container of any kind or,
if no other container, any wrapping
(including cellophane) in which a
tobacco product is offered for sale, sold,
or otherwise distributed to consumers.
Point of sale means any location at
which a consumer can purchase or
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otherwise obtain tobacco products for
personal consumption.
Retailer means any person who sells
tobacco products to individuals for
personal consumption, or who operates
a facility where vending machines or
self-service displays are permitted
under this part.
Roll-your-own tobacco means any
tobacco product that, because of its
appearance, type, packaging, or labeling,
is suitable for use and likely to be
offered to, or purchased by, consumers
as tobacco for making cigarettes.
Smokeless tobacco means any tobacco
product that consists of cut, ground,
powdered, or leaf tobacco and that is
intended to be placed in the oral or
nasal cavity.
Tobacco product. As stated in section
201(rr) of the Federal Food, Drug, and
Cosmetic Act in relevant part, a tobacco
product:
(1) Means any product made or
derived from tobacco that is intended
for human consumption, including any
component, part, or accessory of a
tobacco product (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product) and
(2) Does not mean an article that is a
drug under section 201(g)(1) of the
Federal Food, Drug, and Cosmetic Act,
a device under section 201(h) of the
Federal Food, Drug, and Cosmetic Act,
or a combination product described in
section 503(g) of the Federal Food, Drug,
and Cosmetic Act.
■ 7. Revise § 1140.10 to read as follows:
§ 1140.10 General responsibilities of
manufacturers, distributors, and retailers.
Each manufacturer, distributor,
importer, and retailer is responsible for
ensuring that the cigarettes, smokeless
tobacco, or covered tobacco products it
manufactures, labels, advertises,
packages, distributes, imports, sells, or
otherwise holds for sale comply with all
applicable requirements under this part.
■ 8. Revise § 1140.14 to read as follows:
§ 1140.14
retailers.
Additional responsibilities of
(a) In addition to the other
requirements under this part, each
cigarette and smokeless tobacco retailer
is responsible for ensuring that all sales
of cigarettes or smokeless tobacco to any
person comply with the following
requirements:
(1) No retailer may sell cigarettes or
smokeless tobacco to any person
younger than 18 years of age;
(2)(i) Except as otherwise provided in
paragraph (a)(2)(ii) of this section and in
§ 1140.16(c)(2)(i), each retailer must
verify by means of photographic
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identification containing the bearer’s
date of birth that no person purchasing
the product is younger than 18 years of
age;
(ii) No such verification is required
for any person over the age of 26;
(3) Except as otherwise provided in
§ 1140.16(c)(2)(ii), a retailer may sell
cigarettes or smokeless tobacco only in
a direct, face-to-face exchange without
the assistance of any electronic or
mechanical device (such as a vending
machine);
(4) No retailer may break or otherwise
open any cigarette or smokeless tobacco
package to sell or distribute individual
cigarettes or a number of unpackaged
cigarettes that is smaller than the
quantity in the minimum cigarette
package size defined in § 1140.16(b), or
any quantity of cigarette tobacco or
smokeless tobacco that is smaller than
the smallest package distributed by the
manufacturer for individual consumer
use; and
(5) Each retailer must ensure that all
self-service displays, advertising,
labeling, and other items, that are
located in the retailer’s establishment
and that do not comply with the
requirements of this part, are removed
or are brought into compliance with the
requirements under this part.
(b) Notwithstanding the requirements
in paragraph (a) of this section and in
addition to the other requirements
under this part, each retailer of covered
tobacco products is responsible for
ensuring that all sales of such covered
tobacco products to any person comply
with the following requirements:
(1) No retailer may sell covered
tobacco products to any person younger
than 18 years of age;
(2)(i) Except as otherwise provided in
paragraph (a)(2)(ii) of this section and in
§ 1140.16(c)(2)(i), each retailer must
verify by means of photographic
identification containing the bearer’s
date of birth that no person purchasing
the product is younger than 18 years of
age;
(ii) No such verification is required
for any person over the age of 26; and
(3) A retailer may not sell covered
tobacco products with the assistance of
any electronic or mechanical device
(such as a vending machine), except in
facilities where the retailer ensures that
no person younger than 18 years of age
is present, or permitted to enter, at any
time.
■ 9. Add part 1143 to subchapter K to
read as follows:
PART 1143—MINIMUM REQUIRED
WARNING STATEMENTS
Sec.
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1143.1 Definitions.
1143.3 Required warning statement
regarding addictiveness of nicotine.
1143.5 Required warning statements for
cigars.
1143.7 Language requirements for required
warning statements.
1143.9 Irremovable or permanent required
warning statements.
1143.11 Does not apply to foreign
distribution.
1143.13 Effective date.
Authority: 21 U.S.C. 387a(b), 387f(d).
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§ 1143.1
Definitions.
For purposes of this part:
Accessory means any product that is
intended or reasonably expected to be
used with or for the human
consumption of a tobacco product; does
not contain tobacco and is not made or
derived from tobacco; and meets either
of the following:
(1) Is not intended or reasonably
expected to affect or alter the
performance, composition, constituents,
or characteristics of a tobacco product;
or
(2) Is intended or reasonably expected
to affect or maintain the performance,
composition, constituents, or
characteristics of a tobacco product but
(i) Solely controls moisture and/or
temperature of a stored tobacco product;
or
(ii) Solely provides an external heat
source to initiate but not maintain
combustion of a tobacco product
Cigar means a tobacco product that:
(1) Is not a cigarette and
(2) Is a roll of tobacco wrapped in leaf
tobacco or any substance containing
tobacco.
Cigarette tobacco means any product
that consists of loose tobacco that is
intended for use by consumers in a
cigarette. Unless otherwise stated, the
requirements applicable to cigarettes
under this chapter also apply to
cigarette tobacco.
Component or part means any
software or assembly of materials
intended or reasonably expected:
(1) To alter or affect the tobacco
product’s performance, composition,
constituents, or characteristics; or
(2) to be used with or for the human
consumption of a tobacco product.
Component or part excludes anything
that is an accessory of a tobacco
product.
Covered tobacco product means any
tobacco product deemed to be subject to
the Federal Food, Drug, and Cosmetic
Act pursuant to § 1100.2 of this chapter,
but excludes any component or part that
is not made or derived from tobacco.
Package or packaging means a pack,
box, carton, or container of any kind or,
if no other container, any wrapping
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(including cellophane), in which a
tobacco product is offered for sale, sold,
or otherwise distributed to consumers.
Principal display panels means the
panels of a package that are most likely
to be displayed, presented, shown, or
examined by the consumer.
Point of sale means any location at
which a consumer can purchase or
otherwise obtain tobacco products for
personal consumption.
Retailer means any person who sells
tobacco products to individuals for
personal consumption, or who operates
a facility where vending machines or
self-service displays are permitted
under this part.
Required warning statement means a
textual warning statement required to be
on packaging and in advertisements for
cigarette tobacco, roll-your-own tobacco,
cigars, and other covered tobacco
products.
Roll-your-own tobacco means any
tobacco product that, because of its
appearance, type, packaging, or labeling,
is suitable for use and likely to be
offered to, or purchased by, consumers
as tobacco for making cigarettes.
Tobacco product. As stated in section
201(rr) of the Federal Food, Drug, and
Cosmetic Act in relevant part, a tobacco
product:
(1) Means any product made or
derived from tobacco that is intended
for human consumption, including any
component, part, or accessory of a
tobacco product (except for raw
materials other than tobacco used in
manufacturing a component, part, or
accessory of a tobacco product) and
(2) Does not mean an article that is a
drug under section 201(g)(1) of the
Federal Food, Drug, and Cosmetic Act,
a device under section 201(h) of the
Federal Food, Drug, and Cosmetic Act,
or a combination product described in
section 503(g) of the Federal Food, Drug,
and Cosmetic Act.
§ 1143.3 Required warning statement
regarding addictiveness of nicotine.
(a) Packages. (1) For cigarette tobacco,
roll-your-own tobacco, and covered
tobacco products other than cigars, it is
unlawful for any person to manufacture,
package, sell, offer to sell, distribute, or
import for sale or distribution within
the United States such product unless
the tobacco product package bears the
following required warning statement
on the package label: ‘‘WARNING: This
product contains nicotine. Nicotine is
an addictive chemical.’’
(2) The required warning statement
must appear directly on the package and
must be clearly visible underneath any
cellophane or other clear wrapping as
follows:
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(i) Be located in a conspicuous and
prominent place on the two principal
display panels of the package and the
warning area must comprise at least 30
percent of each of the principal display
panels;
(ii) Be printed in at least 12-point font
size and ensures that the required
warning statement occupies the greatest
possible proportion of the warning area
set aside for the required text;
(iii) Be printed in conspicuous and
legible Helvetica bold or Arial bold type
(or other sans serif fonts) and in black
text on a white background or white text
on a black background in a manner that
contrasts by typography, layout, or
color, with all other printed material on
the package;
(iv) Be capitalized and punctuated as
indicated in paragraph (a)(1) of this
section; and
(v) Be centered in the warning area in
which the text is required to be printed
and positioned such that the text of the
required warning statement and the
other information on the principal
display panel have the same orientation.
(3) A retailer of any tobacco product
covered by paragraphs (a)(1) and (2) of
this section will not be in violation of
this section for packaging that:
(i) Contains a health warning;
(ii) Is supplied to the retailer by the
tobacco product manufacturer, importer,
or distributor, who has the required
state, local, or Alcohol and Tobacco Tax
and Trade Bureau (TTB)-issued license
or permit, if applicable, and
(iii) Is not altered by the retailer in a
way that is material to the requirements
of this section.
(b) Advertisements. (1) For cigarette
tobacco, roll-your-own tobacco, and
covered tobacco products other than
cigars, it is unlawful for any such
tobacco product manufacturer,
packager, importer, distributor, or
retailer of the tobacco product to
advertise or cause to be advertised
within the United States any tobacco
product unless each advertisement bears
the required warning statement
specified in paragraph (a)(1) of this
section.
(2) For print advertisements and other
advertisements with a visual component
(including, for example, advertisements
on signs, shelf-talkers, Internet Web
pages, and electronic mail
correspondence), the required warning
statement must appear in the upper
portion of the area of the advertisement
within the trim area as follows:
(i) Occupy at least 20 percent of the
area of the advertisement;
(ii) Appear in at least 12-point font
size and ensures that the required
warning statement occupies the greatest
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possible proportion of the warning area
set aside for the required text;
(iii) Appear in conspicuous and
legible Helvetica bold or Arial bold type
(or other similar sans serif fonts) and in
black text on a white background or
white text on a black background in a
manner that contrasts by typography,
layout, or color, with all other material
on the advertisement;
(iv) Be capitalized and punctuated as
indicated in paragraph (a)(1) of this
section;
(v) Be centered in the warning area in
which the text is required to appear and
positioned such that the text of the
required warning statement and the
other textual information in the
advertisement have the same
orientation; and
(vi) Be surrounded by a rectangular
border that is the same color as the text
of the required warning statement and
that is not less than 3 millimeters (mm)
or more than 4 mm.
(3) This paragraph (b) applies to a
retailer only if that retailer is
responsible for or directs the health
warning required under the paragraph.
However, this paragraph does not
relieve a retailer of liability if the
retailer displays, in a location open to
the public, an advertisement that does
not contain a health warning or contains
a health warning that has been altered
by the retailer in a way that is material
to the requirements of this section.
(c) Self-certification. A tobacco
product that would otherwise be
required to bear the warning in
paragraph (a)(1) of this section but does
not contain nicotine is not required to
bear the warning in paragraph (a)(1) of
this section on packages or
advertisements if the tobacco product
manufacturer has submitted to FDA a
confirmation statement certifying to be
true and accurate that the product does
not contain nicotine and that the
tobacco product manufacturer has data
to support that assertion. Any product
not required to bear the warning in
paragraph (a)(1) of this section must
include the statement ‘‘This product is
made from tobacco.’’ on all packages
and advertisements in accordance with
the requirements of this part.
(d) Small packages. A tobacco
product that would otherwise be
required to bear the warning in
paragraph (a)(1) of this section but is too
small or otherwise unable to
accommodate a label with sufficient
space to bear such information is
exempt from compliance with the
requirement provided that the
information and specifications required
under paragraphs (a)(1) and (2) of this
section appear on the carton or other
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outer container or wrapper if the carton,
outer container, or wrapper has
sufficient space to bear the information,
or appear on a tag otherwise firmly and
permanently affixed to the tobacco
product package. In such cases, the
carton, outer container, wrapper, or tag
will serve as the location of the
principal display panels.
§ 1143.5
cigars.
Required warning statements for
(a) Packages. (1) It is unlawful for any
person to manufacture, package, sell,
offer to sell, distribute, or import for sale
or distribution within the United States
any cigar product unless the product
package bears one of the following
required warning statements on the
package label:
(i) WARNING: Cigar smoking can
cause cancers of the mouth and throat,
even if you do not inhale.
(ii) WARNING: Cigar smoking can
cause lung cancer and heart disease.
(iii) WARNING: Cigars are not a safe
alternative to cigarettes.
(iv) WARNING: Tobacco smoke
increases the risk of lung cancer and
heart disease, even in nonsmokers.
(v)(A) WARNING: Cigar use while
pregnant can harm you and your baby.;
or
(B) SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth
Weight.
(vi) WARNING: This product contains
nicotine. Nicotine is an addictive
chemical.
(2) Each required warning statement
must appear directly on the package and
must be clearly visible underneath any
cellophane or other clear wrapping as
follows:
(i) Be located in a conspicuous and
prominent place on the two principal
display panels of the package and the
warning area must comprise at least 30
percent of each of the principal display
panels;
(ii) Appear in at least 12-point font
size and ensure that the required
warning statement occupies the greatest
possible proportion of the warning area
set aside for the required text;
(iii) Be printed in conspicuous and
legible Helvetica bold or Arial bold type
(or other similar sans serif fonts) and in
black text on a white background or
white text on a black background in a
manner that contrasts by typography,
layout, or color, with all other printed
material on the package;
(iv) Be capitalized and punctuated as
indicated in paragraph (a)(1) of this
section; and
(v) Be centered in the warning area in
which the text is required to be printed
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29105
and positioned such that the text of the
required warning statement and the
other information on that principal
display panel have the same orientation.
(3) No person may manufacture,
package, sell, offer to sell, distribute, or
import for sale or distribution within
the United States any cigar without a
required warning statement, except for
cigars that are sold individually and not
in a product package. For cigars that are
sold individually and not in a product
package, the required warning
statements must be posted at the
retailer’s point-of-sale in accordance
with the following:
(i) All of the warnings in paragraph (a)
of this section must be placed on a sign
that is a minimum of 8.5 x 11 inches,
posted on or within 3 inches of each
cash register where payment may be
made so that the sign(s) are
unobstructed in their entirety and can
be read easily by each consumer making
a purchase;
(ii) The sign must be clear, legible,
and conspicuous and be printed in
black Helvetica bold or Arial bold type
(or other similar sans serif fonts) against
a solid white background in at least 17
point type with appropriate space
between the warning statements;
(iii) Be printed in a manner that
contrasts by typography, layout, or
color, with all other printed material;
and
(iv) Be capitalized and punctuated as
indicated in paragraph (a)(1) of this
section.
(4) A retailer of any cigar covered by
paragraphs (a)(1) and (2) of this section
will not be in violation of this section
for packaging that:
(i) Contains a health warning;
(ii) Is supplied to the retailer by the
tobacco product manufacturer, importer,
or distributor who has the required
state, local, or Alcohol and Tobacco Tax
and Trade Bureau (TTB)-issued license
or permit, if applicable, and
(iii) Is not altered by the retailer in a
way that is material to the requirements
of this section.
(b) Advertisements. (1) It is unlawful
for any tobacco product manufacturer,
packager, importer, distributor, or
retailer of cigars to advertise or cause to
be advertised within the United States
any cigar unless each advertisement
bears one of the required warning
statements specified in paragraph (a)(1)
of this section.
(2) For print advertisements and other
advertisements with a visual component
(including, for example, advertisements
on signs, shelf-talkers, Internet Web
pages, and electronic mail
correspondence), each required warning
statement must appear in the upper
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portion of the area of the advertisement
within the trim area as follows:
(i) Occupy at least 20 percent of the
area of the advertisement;
(ii) Appear in at least 12-point font
size that ensures that the required
warning statement occupies the greatest
possible proportion of the warning area
set aside for the text required;
(iii) Appear in conspicuous and
legible Helvetica bold or Arial bold type
(or other similar sans serif fonts) and in
black text on a white background or
white text on a black background in a
manner that contrasts by typography,
layout, or color, with all other material
on the advertisement;
(iv) Be capitalized and punctuated as
indicated in paragraph (a)(1) of this
section;
(v) Be centered in the warning area in
which the text is required to appear and
positioned such that the text of the
required warning statement and the
other textual information in the
advertisement have the same
orientation; and
(vi) Be surrounded by a rectangular
border that is the same color as the text
of the required warning statement and
that is not less than 3 mm or more than
4 mm.
(3) This paragraph (b) applies to a
retailer only if that retailer is
responsible for or directs the warning
statements required under the
paragraph. However, this paragraph
does not relieve a retailer of liability if
the retailer displays, in a location open
to the public, an advertisement that
does not contain a health warning or
contains a health warning that has been
altered by the retailer in a way that is
material to the requirements of this
section.
(c) Marketing requirements. (1) Except
for cigars sold individually and not in
a product package, the warning
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statements required for packages in
paragraph (a)(1) of this section must be
randomly displayed in each 12-month
period, in as equal a number of times as
is possible on each brand of cigar sold
in product packaging and be randomly
distributed in all areas of the United
States in which the product is marketed
in accordance with a plan submitted by
the cigar manufacturer, importer,
distributor, or retailer to, and approved
by, the Food and Drug Administration.
(2) The warning statements required
for advertisements in paragraph (a)(1) of
this section must be rotated quarterly in
alternating sequence in each
advertisement for each brand of cigar in
accordance with a plan submitted by the
cigar manufacturer, importer,
distributor, or retailer to, and approved
by, the Food and Drug Administration.
(3) Each person required to randomly
display and distribute or rotate
warnings in accordance with an FDAapproved plan under this part shall
submit a proposed warning plan to FDA
no later than either 12 months after May
10, 2016, or 12 months before
advertising or commercially marketing a
product that is subject to such
requirement, whichever is later.
§ 1143.7 Language requirements for
required warning statements.
The text in each warning statement
required in § 1143.3 or § 1143.5 must be
in the English language, except as
follows:
(a) In the case of an advertisement
that appears in a non-English medium,
the text in the required warning
statement must appear in the
predominant language of the medium
whether or not the advertisement is in
English, and;
(b) In the case of an advertisement
that appears in an English language
medium but that is not in English, the
text in the required warning statement
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must appear in the same language as
that principally used in the
advertisement.
§ 1143.9 Irremovable or permanent
required warning statements.
The warning statements required by
this section must be indelibly printed
on or permanently affixed to the
package or advertisement. These
warnings, for example, must not be
printed or placed on a product label
affixed to a clear outer wrapper that is
likely to be removed to access the
product within the package.
§ 1143.11 Does not apply to foreign
distribution.
The provisions of this part do not
apply to a manufacturer or distributor of
tobacco products that does not
manufacture, package, or import tobacco
products for sale or distribution within
the United States.
§ 1143.13
Effective date.
(a) Except as stated in paragraph (b)
of this section, this part will take effect
24 months after May 10, 2016. The
effective date will be with respect to the
date of manufacture, provided that, in
any case, beginning 30 days after the
effective date, a manufacturer may not
introduce into the domestic commerce
of the United States any product,
irrespective of the date of manufacture,
that is not in conformance with this
part.
(b) The requirement to submit a
warning plan to FDA under
§ 1143.5(c)(3) will take effect 12 months
after May 10, 2016.
Dated: May 3, 2016.
Leslie Kux,
Associate Commissioner for Policy.
[FR Doc. 2016–10685 Filed 5–5–16; 8:45 am]
BILLING CODE 4164–01–P
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Agencies
[Federal Register Volume 81, Number 90 (Tuesday, May 10, 2016)]
[Rules and Regulations]
[Pages 28973-29106]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2016-10685]
[[Page 28973]]
Vol. 81
Tuesday,
No. 90
May 10, 2016
Part III
Department of Health and Human Services
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Food and Drug Administration
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21 CFR Parts 1100, 1140, and 1143
Deeming Tobacco Products To Be Subject to the Federal Food, Drug, and
Cosmetic Act, as Amended by the Family Smoking Prevention and Tobacco
Control Act; Restrictions on the Sale and Distribution of Tobacco
Products and Required Warning Statements for Tobacco Products; Final
Rule
Federal Register / Vol. 81 , No. 90 / Tuesday, May 10, 2016 / Rules
and Regulations
[[Page 28974]]
-----------------------------------------------------------------------
DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Parts 1100, 1140, and 1143
[Docket No. FDA-2014-N-0189]
RIN 0910-AG38
Deeming Tobacco Products To Be Subject to the Federal Food, Drug,
and Cosmetic Act, as Amended by the Family Smoking Prevention and
Tobacco Control Act; Restrictions on the Sale and Distribution of
Tobacco Products and Required Warning Statements for Tobacco Products
AGENCY: Food and Drug Administration, HHS.
ACTION: Final rule.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA) is issuing this final
rule to deem products meeting the statutory definition of ``tobacco
product,'' except accessories of the newly deemed tobacco products, to
be subject to the Federal Food, Drug, and Cosmetic Act (the FD&C Act),
as amended by the Family Smoking Prevention and Tobacco Control Act
(Tobacco Control Act). The Tobacco Control Act provides FDA authority
to regulate cigarettes, cigarette tobacco, roll-your-own tobacco,
smokeless tobacco, and any other tobacco products that the Agency by
regulation deems to be subject to the law. With this final rule, FDA is
extending the Agency's ``tobacco product'' authorities in the FD&C Act
to all other categories of products that meet the statutory definition
of ``tobacco product'' in the FD&C Act, except accessories of such
newly deemed tobacco products. This final rule also prohibits the sale
of ``covered tobacco products'' to individuals under the age of 18 and
requires the display of health warnings on cigarette tobacco, roll-your
own tobacco, and covered tobacco product packages and in
advertisements. FDA is taking this action to reduce the death and
disease from tobacco products. In accordance with the Tobacco Control
Act, we consider and intend the extension of our authorities over
tobacco products and the various requirements and prohibitions
established by this rule to be severable.
DATES: This rule is effective August 8, 2016. See section IV of this
document regarding compliance dates for certain provisions.
FOR FURTHER INFORMATION CONTACT: Gerie Voss or Katherine Collins,
Office of Regulations, Center for Tobacco Products, Food and Drug
Administration, 10903 New Hampshire Ave., Silver Spring, MD 20993, 877-
287-1373, AskCTP@fda.hhs.gov.
SUPPLEMENTARY INFORMATION:
Table of Contents
Executive Summary
I. Background
II. Legal Authority
A. Summary of Legal Authority
B. Responses to Comments Regarding Legal Authority
III. Use of Premarket Pathways for Newly Deemed Products
A. Background: The Three Pathways To Market a New Tobacco
Product
B. Interpretation of Substantial Equivalence
C. Comments on the Grandfather Date
D. Impact of Premarket Requirements
E. Clinical Studies and PMTAs
F. Premarket Pathways and Continuum of Risk
G. Other Comments
IV. Implementation
A. Effective Date for Rule
B. Compliance Periods for Certain Provisions
C. Policy for Certain Regulatory Requirements for All
Manufacturers of Newly Deemed Products
D. Compliance Policy Regarding Certain Provisions and Small-
Scale Tobacco Product Manufacturers
V. Premarket Review Requirements and Compliance Policy
A. Compliance Policy for Premarket Review Requirements
B. Responses to Comments Regarding Compliance Periods for
Premarket Review Requirements
VI. Components, Parts, and Accessories
A. Definitions
B. Discussion of Requirements Associated With Components and
Parts
VII. Regulation of Cigars and Selection of Option 1
A. Health Risks of Premium Cigars
B. Youth and Young Adults Use Premium Cigars
C. Patterns of Use Do Not Preclude Users From Experiencing
Negative Health Effects
D. Responses to Other Cigar Comments
VIII. Regulation of Electronic Nicotine Delivery Systems (Including
E-Cigarettes) and the Continuum of Nicotine-Delivering Products
A. Terminology
B. Prevalence
C. Toxicity and Nicotine in E-Liquid and Aerosol
D. Quality Control
E. Misperceptions
F. Use as a Cessation Product
G. Modified Risk Claims
H. Dual and Polytobacco Use
I. Applicability of Section 901
J. Definitions
K. Sottera Decision
IX. Effect of Deeming Rule on Vape Shop Manufacturers
A. Premarket Requirements (Sections 910 and 905)
B. Ingredient Listing and HPHC Requirements (Sections 904 and
915)
C. Registration and Product Listing (Section 905)
D. Tobacco Health Document Submissions (Section 904)
E. Office of Small Business Assistance
X. Regulation of Other Categories of Products
A. Nicotine in Newly Deemed Products
B. Dissolvables
C. Gels
D. Pipe Tobacco
E. Waterpipe Tobacco
F. Additional Novel and Future Tobacco Products
XI. Additional Automatic Provisions Applicable to Newly Deemed
Products
A. Sections 902 and 903--Adulteration and Misbranding
B. Sections 904 and 915--Ingredient Listing and Reporting of
HPHCs
C. Section 905--Registration and Listing
D. Section 911--Elimination of Low, Light, and Mild, and Other
Unauthorized Modified Risk Claims
E. Section 919--User Fees
F. Tobacco Control Act section 102--Prohibition Against Free
Samples
XII. Requests for Additional Regulations Applicable to Newly Deemed
Products
A. Ban on Flavored Tobacco Products
B. Additional Access Restrictions
C. Nicotine Exposure Warnings
XIII. Severability
XIV. Description of the Final Rule--Part 1100
A. Section 1100.1--Scope
B. Section 1100.2--Requirements
C. Section 1100.3--Definitions
XV. Description of the Final Rule--Part 1140
A. Section 1140.1--Scope
B. Section 1140.2--Purpose
C. Section 1140.3--Definitions
D. Section 1140.10--General Responsibilities of Manufacturers,
Distributors, and Retailers
E. Section 1140.14--Additional Responsibilities of Retailers
F. Comments and Responses Regarding Minimum Age and
Identification Requirements
G. Comments and Responses Regarding Vending Machines
XVI. Description of the Final Rule--Part 1143
A. Section 1143.1--Definitions
B. Section 1143.3--Required Warning Statement Regarding
Addictiveness of Nicotine
C. Section 1143.5--Required Warning Statements for Cigars
D. Section 1143.7--Language Requirements for Required Warning
Statements
E. Section 1143.9--Irremovable or Permanent Required Warning
Statements
F. Section 1143.11--Does Not Apply to Foreign Distribution
G. Section 1143.13--Effective Date
H. Comments and Responses Regarding Required Warning Statements
XVII. National Environmental Policy Act
XVIII. Analysis of Impacts
XIX. Paperwork Reduction Act of 1995
A. Responses to Comments Regarding Proposed Collection of
Information
B. Existing Burdens Associated With Tobacco Products Currently
Subject to the FD&C Act (i.e., Cigarettes, Cigarette
[[Page 28975]]
Tobacco, Roll-Your-Own Tobacco, and Smokeless Tobacco) With Approved
OMB Control Numbers
C. Burdens Associated With Tobacco Products Currently Subject to
the FD&C Act But Not Yet Approved by OMB
D. New Collections of Information That Apply Only to Deemed
Products
XX. Executive Order 13132; Federalism
XXI. Executive Order 13175; Tribal Consultation
XXII. References
Executive Summary
Purpose of the Rule
Cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco were immediately covered by FDA's tobacco product authorities
in chapter IX of the FD&C Act (21 U.S.C. 387 through 387u) when the
Tobacco Control Act went into effect. For other kinds of tobacco
products, the statute authorizes FDA to issue regulations ``deeming''
them to be subject to such authorities. Consistent with the statute,
once a tobacco product is deemed, FDA may put in place ``restrictions
on the sale and distribution of a tobacco product,'' including age-
related access restrictions and advertising and promotion restrictions,
if FDA determines the restrictions are appropriate for the protection
of the public health. This final rule has two purposes: (1) To deem all
products that meet the definition of ``tobacco product'' under the law,
except accessories of a newly deemed tobacco product, and subject them
to the tobacco control authorities in chapter IX of the FD&C Act and
FDA's implementing regulations; and (2) to establish specific
restrictions that are appropriate for the protection of the public
health for the newly deemed tobacco products. In accordance with
section 5 of the Tobacco Control Act, we consider and intend the
extension of our authorities over tobacco products and the various
requirements and prohibitions established by this rule to be severable.
FDA is taking this action to reduce the death and disease from
tobacco products. Deeming all ``tobacco products'' (including
components and parts but excluding accessories of the newly deemed
products) to be subject to the FD&C Act will result in significant
benefits for the public health. The final rule defines ``component or
part'' and ``accessory'' to provide additional clarity as to which
products are subject to FDA's tobacco product authority. With respect
to these definitions, FDA notes that ``component'' and ``part'' are
separate and distinct terms within chapter IX of the FD&C Act. However,
for purposes of this final rule, FDA is using the terms ``component''
and ``part'' interchangeably and without emphasizing the distinction
between the terms. FDA may clarify the distinctions between `component'
and `part' in the future. Specifically, ``Component or Part'' means
``any software or assembly of materials intended or reasonably
expected: (1) To alter or affect the tobacco product's performance,
composition, constituents or characteristics; or (2) to be used with or
for the human consumption of a tobacco product. The term excludes
anything that is an accessory of a tobacco product.'' Components and
parts of the newly deemed tobacco products, but not their related
accessories, are included in the scope of this final rule. The
following is a nonexhaustive list of examples of components and parts
used with electronic nicotine delivery systems (ENDS) (including e-
cigarettes): E-liquids; atomizers; batteries (with or without variable
voltage); cartomizers (atomizer plus replaceable fluid-filled
cartridge); digital display/lights to adjust settings; clearomisers,
tank systems, flavors, vials that contain e-liquids, and programmable
software. Similarly, the following is a nonexhaustive list of examples
of components and parts used with waterpipe tobacco: Flavor enhancers
and the vials in which they are contained; hose cooling attachments;
water filtration base additives (including those which are flavored);
flavored waterpipe tobacco charcoals and the wrappers or boxes that
contain the charcoals; and bowls, valves, hoses, and heads.
FDA is defining ``accessory'' to mean ``any product that is
intended or reasonably expected to be used with or for the human
consumption of a tobacco product; does not contain tobacco and is not
made or derived from tobacco; and meets either of the following: (1) Is
not intended or reasonably expected to affect or alter the performance,
composition, constituents, or characteristics of a tobacco product or
(2) is intended or reasonably expected to affect or maintain the
performance, composition, constituents, or characteristics of a tobacco
product but (i) solely controls moisture and/or temperature of a stored
product or (ii) solely provides an external heat source to initiate but
not maintain combustion of a tobacco product.'' Examples of accessories
are ashtrays, spittoons, hookah tongs, cigar clips and stands and pipe
pouches, because they do not contain tobacco, are not derived from
tobacco, and do not affect or alter the performance, composition,
constituents, or characteristics of a tobacco product. Examples of
accessories also include humidors or refrigerators that solely control
the moisture and/or temperature of a stored product and conventional
matches and lighters that solely provide an external heat source to
initiate but not maintain combustion of a tobacco product. An electric
heater or charcoal used for prolonged heating of waterpipe tobacco is
not an accessory because it is maintaining the combustion of the
tobacco. Accessories of newly deemed tobacco products are not included
within the scope of this final rule, although accessories of
cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco remain subject to FDA's tobacco product authorities. FDA is not
regulating accessories of newly deemed tobacco products because
accessories, unlike components or parts, are expected to have little
direct impact on the public health.
This final deeming rule affords FDA additional tools to reduce the
number of illnesses and premature deaths associated with tobacco
product use. For example, FDA will be able to obtain critical
information regarding the health risks of newly deemed tobacco
products, including information derived from ingredient listing
submissions and reporting of harmful and potentially harmful
constituents (HPHCs) required under the FD&C Act. As of the effective
date, persons who own or operate a domestic establishment engaged in
the manufacture, preparation, compounding, or processing of tobacco
products (hereinafter, ``manufacturing establishments'') will be
subject to the registration requirements. FDA will thus receive
information on the location and number of manufacturing establishments,
which will allow the Agency to establish effective compliance programs.
In addition, this rule authorizes FDA to take enforcement action
against manufacturers who sell and distribute products with
unsubstantiated modified risk tobacco product (MRTP) claims, or false
or misleading claims on their labeling or advertising, thus allowing
for better-informed consumers and helping to prevent the use of
misleading campaigns targeted to youth populations. It will also
prevent from entering the market new tobacco products that are not
appropriate for the protection of public health, are not substantially
equivalent to a valid predicate product, or are not exempt from
substantial equivalence (SE). Finally, the newly deemed tobacco
products may be subject to future regulations that FDA determines are
[[Page 28976]]
appropriate for the protection of public health.
Summary of the Major Provisions of the Regulatory Action
The final rule has two main sections: (1) Deeming provisions and
(2) additional provisions to protect public health.
Deeming Provisions--After thorough review of the comments and the
scientific evidence, FDA has concluded that Option 1 (including all
cigars, rather than a subset) more effectively protects the public
health and, therefore, has made that the scope of the final rule.
Accordingly, this final rule deems all products meeting the statutory
definition of ``tobacco product,'' except accessories of the newly
deemed tobacco products, to be subject to FDA's tobacco product
authorities under chapter IX of the FD&C Act. Section 201(rr) of the
FD&C Act (21 U.S.C. 321(rr)), as amended by the Tobacco Control Act,
defines the term ``tobacco product,'' to mean ``any product made or
derived from tobacco that is intended for human consumption, including
any component, part, or accessory of a tobacco product (except for raw
materials other than tobacco used in manufacturing a component, part,
or accessory of a tobacco product)'' and does not mean ``an article
that is a drug under subsection (g)(1), a device under subsection (b),
or a combination product described in section 353(g) of this title.''
\1\ Products that meet the statutory definition of ``tobacco products''
include currently marketed products such as dissolvables not already
regulated by FDA, gels, waterpipe tobacco, ENDS (including e-
cigarettes, e-hookah, e-cigars, vape pens, advanced refillable personal
vaporizers, and electronic pipes), cigars, and pipe tobacco.
---------------------------------------------------------------------------
\1\ FDA notes that some products falling within the FD&C Act's
definition of ``tobacco product'' may not be considered tobacco
products for Federal excise tax purposes (see 26 U.S.C. 5702(c)).
Taxation of tobacco products, as defined by the Internal Revenue
Code, falls under the jurisdiction of the U.S. Department of the
Treasury/Alcohol and Tobacco Tax and Trade Bureau (TTB). Neither
FDA's act of ``deeming'' nor any other FDA regulations directly
affect the taxation of any tobacco product.
---------------------------------------------------------------------------
In addition, this final rule deems any additional current and
future tobacco products that meet the statutory definition of ``tobacco
product,'' except accessories of such newly deemed products, to be
subject to FDA's authorities under chapter IX of the FD&C Act. For
example, FDA envisions that there could be tobacco products developed
in the future that provide nicotine delivery through means (e.g., via
dermal absorption or intranasal spray) similar to currently marketed
medicinal nicotine products, but which are not drugs or devices. These
products would be ``tobacco products'' and subject to FDA's chapter IX
authorities in accordance with this final deeming rule.
Upon the effective date of this final rule (i.e., 90 days from the
date of publication), the newly deemed products will be subject to the
same FD&C Act provisions and relevant regulatory requirements to which
cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco are subject, with respect to the following:
(1) Enforcement action against products determined to be
adulterated or misbranded (other than enforcement actions based on lack
of a marketing authorization during an applicable compliance period);
(2) Required submission of ingredient listing and reporting of
HPHCs;
(3) Required registration of tobacco product manufacturing
establishments and product listing;
(4) Prohibition against sale and distribution of products with
modified risk descriptors (e.g., ``light,'' ``low,'' and ``mild''
descriptors) and claims unless FDA issues an order authorizing their
marketing;
(5) Prohibition on the distribution of free samples (same as
cigarettes); and
(6) Premarket review requirements.
These actions will improve the public health by affording FDA
critical information regarding the health risks of such products;
preventing new products from entering the market unless such marketing
is appropriate for the protection of public health, the products are
found substantially equivalent to a valid predicate product, or the
products are found exempt from the SE requirements; and preventing the
use of unsubstantiated modified risk claims, which may mislead
consumers and lead them to initiate tobacco product use or to continue
using tobacco when they would otherwise quit.
Additional Provisions--In addition to the provisions in the FD&C
Act and implementing regulations that apply automatically to the newly
deemed products, FDA has the authority to invoke its other authorities
under the Tobacco Control Act in regulating these products. At this
time, under section 906(d) of the FD&C Act (21 U.S.C. 387f(d)), FDA is
establishing three restrictions for covered tobacco products: (1)
Requirement for a minimum age of purchase; (2) requirement for health
warnings for product packages and advertisements (which FDA is also
applying to cigarette tobacco and roll-your-own tobacco); and (3)
prohibition of vending machine sales of such products, unless the
vending machine is located in a facility where the retailer ensures
that individuals under 18 years of age are prohibited from entering at
any time. The term ``covered tobacco products'' is defined as those
products deemed to be subject to the FD&C Act under section 1100.2 of
title 21 of the Code of Federal Regulations (CFR), other than a
component or part that is not made or derived from tobacco. We have
slightly modified the definition of ``covered tobacco products'' from
the notice of proposed rulemaking (NPRM) to clarify that components or
parts that are ``covered tobacco products'' include not only those that
contain tobacco or nicotine, but also those that contain any tobacco
derivative (i.e., we have changed the NPRM definition, which excluded
``any component or part of a tobacco product that does not contain
nicotine or tobacco,'' to exclude ``any component or part of a tobacco
product that is not made or derived from tobacco'' as stated in this
final rule).
Effective Dates--The deeming provisions (i.e., those provisions
that automatically apply to newly deemed products) and minimum age and
identification and vending machine restrictions are effective 90 days
from the date of publication of the final rule. The health warning
requirements are effective 24 months from the date of publication of
the final rule, with an additional 30-day period in which a
manufacturer may continue to introduce into interstate commerce
existing inventory manufactured before the effective date that does not
contain the required warning statements on packaging.
This means that:
After the effective date, no manufacturer, packager,
importer, distributor, or retailer of cigarette tobacco, roll-your-own
tobacco, cigars, or other covered tobacco products may advertise any
such product if the advertisement does not comply with this rule;
After the effective date, no person may manufacture for
sale or distribution within the United States any such product the
package of which does not comply with this rule;
Beginning 30 days after the effective date, a manufacturer
may not introduce into domestic commerce, any such product,
irrespective of the date of manufacture, if its package does not comply
with this rule (i.e., non-compliant products manufactured prior to the
effective date may not be
[[Page 28977]]
distributed for retail sale after 30 days following the effective
date);
After the effective date, a distributor or retailer may
not sell, offer to sell, distribute, or import for sale or distribution
within the United States any such product the package of which does not
comply with this regulation, unless the covered tobacco product was
manufactured prior to the effective date; and
After the effective date, however, a retailer may sell
covered tobacco products in packages that do not have a required
warning if the retailer demonstrates it falls outside the scope of this
rule as described in 21 CFR 1143.3(a)(3) and 1143.5(a)(4).
Compliance Policy for Premarket Review--Manufacturers of newly
deemed products that are ``new tobacco products'' as defined in section
910(a)(1) of the FD&C Act will be required to obtain premarket
authorization of their products through one of three pathways--SE.,
exemption from SE., or premarket tobacco product applications (sections
905 and 910 of the FD&C Act). As stated in the NPRM, we understand
that, for some newly deemed tobacco products, particularly novel
products, there may not be appropriate predicate products that were on
the market on February 15, 2007, to support a SE claim. Accordingly, in
the NPRM, FDA contemplated a compliance period of 24 months after the
effective date of the final rule for the submission of applications for
all newly deemed, new tobacco products under all three marketing
pathways--premarket tobacco applications (PMTAs), SE reports, and SE
exemption requests.\2\
---------------------------------------------------------------------------
\2\ Although the NPRM did not explicitly include SE exemption
requests as one of the marketing pathways that applicants could
utilize within a compliance period, FDA did intend for its
contemplated 24-month compliance period to be available for all
marketing pathways.
---------------------------------------------------------------------------
FDA carefully considered numerous comments regarding the
contemplated compliance period. Many comments expressed concern that
newly deemed, new tobacco products would remain available and could
continue to be marketed indefinitely without scientific review. Other
comments expressed concern, and some submitted data, regarding the
effect that flavors have on youth and young adult use of tobacco
products. FDA also received comments and data regarding the potential
for some net public health benefits that could accrue if flavored ENDS
remain available. After carefully considering all of these comments,
FDA here announces a revised compliance policy as well as the final
rule. (Agency compliance/enforcement policies are not subject to the
requirements that govern notice-and-comment rulemaking. Prof'ls &
Patients for Customized Care v. Shalala, 56 F.3d 592 (5th Cir. 1995) (a
compliance policy guide is not a substantive rule and not subject to
the Administrative Procedure Act's (APA) notice-and-comment
rulemaking); Takhar v. Kessler, 76 F.3d 995, 1002 (9th Cir. 1996) (FDA
compliance policy guides were not required to go through notice-and-
comment procedures). But because the relevant time periods are of
obvious interest, FDA laid out its anticipated compliance policy in the
NPRM, and for similar reasons, is announcing its revised compliance
policy here, rather than in a separate guidance document.) As a result
of FDA's compliance policy, we expect that many manufacturers will keep
their products on the market beyond the effective date of this final
rule. However, if a manufacturer of a product is unable to support an
SE claim for its product (e.g., is unable to identify a valid
predicate, or does not submit an SE report with a valid predicate
within the compliance period, or does not receive authorization within
a continued compliance period) and does not obtain authorization under
one of the other available marketing pathways before the end of an
applicable compliance period, such products remaining on the market
will be subject to enforcement (e.g., seizure, injunction) for failure
to have a marketing authorization under sections 905 and 910 of the
FD&C Act.
FDA's NPRM included detailed requests for comments on different
possible compliance policy approaches. 79 FR at 23175-77. FDA received
many comments on these compliance-policy issues. For example, comments
jointly submitted by 24 health and medical organizations stated that
the contemplated 24-month compliance period and indefinite period of
continued marketing during FDA review included in the NPRM would
prolong the public's exposure to products that contain nicotine, a
highly addictive substance, and that do not meet the statutory standard
for the grant of a marketing order (Comment No. FDA-2014-N-0189-
79772.). They stated that this approach would allow manufacturers to
market the newly deemed products in ways that appeal to youth and to
manipulate the content of these products in uncontrolled ways for an
indefinite period (id.). Ranking minority members of the Energy and
Commerce Committee, Health Subcommittee, and Oversight and
Investigations Subcommittee, U.S. House of Representatives also called
for a more protective compliance period than the one contemplated in
the NPRM, arguing that the proposed compliance period ``puts the
nation's youth at risk'' (Comment No. FDA-2014-N-0189-80119). Further,
a network of tobacco control policy and legal specialists expressed
concern regarding the effect of continued marketing of tobacco products
that have not been reviewed under the applicable public health
standards of the Tobacco Control Act (Comment No. FDA-2014-N-0189-
81044). FDA also received comments suggesting that the agency should
stagger the compliance periods for different product classes based on
the continuum of risk, with ENDS having a longer compliance period than
other product classes (e.g., Comment No. FDA-2014-N-0189-81859; Comment
No. FDA-2014-N-0189-10852). FDA also received comments and new data
regarding the effect of flavored tobacco products on youth and young
adult use.
FDA understands that the appeal of flavors and use of flavored
tobacco products have an important role in the initiation and continued
use of tobacco products, and in the health risks associated with use of
these products. Based on all of these comments, we have determined that
exercising enforcement discretion indefinitely could put youth and
young adults at risk for tobacco-related death and disease. However, we
recognize that the availability of alternatives to traditional tobacco
flavors in some products (e.g., ENDS) may potentially help some adult
users who are attempting to transition away from combusted products.
Furthermore, at least some flavored combusted products are likely to be
``grandfathered'' and therefore would remain on the market regardless
of the compliance period provided in the preamble. Taking into
consideration all of the comments on the compliance period and flavors,
we are establishing staggered compliance periods. This approach will
enable FDA to balance concerns regarding the extended availability of
all newly deemed, new tobacco products without scientific review,
concerns regarding flavored tobacco products' appeal to youth, and
emerging evidence that some adults may potentially use certain flavored
tobacco products to transition away from combusted tobacco use. FDA is
establishing staggered initial compliance periods based on the expected
complexity of the applications to be submitted, followed by continued
[[Page 28978]]
compliance periods for FDA review such that our exercise of enforcement
discretion will end twelve months after each initial compliance period.
In other words, manufacturers of all newly deemed, new tobacco products
will have a 12-, 18- or 24-month initial compliance period in which to
prepare applications for marketing authorization, as well as a 12-month
continued compliance period after those dates in which to obtain
authorization from FDA (resulting in total compliance periods of 24,
30, or 36 months). After the close of the continued compliance period,
products will be subject to enforcement unless they are grandfathered
or are the subject of a marketing authorization order. FDA's revised
compliance policy for premarket review--resulting in products remaining
on the market while manufacturers seek review but also contemplating an
end to the continued compliance policy--will balance the public health
concerns raised in the comments, allow the Agency to more efficiently
manage the flow of incoming applications, and encourage high-quality
premarket submissions from applicants.
According to this revised compliance policy, for newly deemed
products that are on the market on the effective date of this final
rule and were not on the market on February 15, 2007, FDA is providing
a 12-month initial compliance period for manufacturers to submit (and
FDA to receive) an SE exemption request, an 18-month initial compliance
period for manufacturers to submit (and FDA to receive) SE
applications, and a 24-month initial compliance period for
manufacturers to submit (and FDA to receive) a PMTA.
If manufacturers submit (and FDA receives) the applications during
their respective compliance periods, FDA, for a certain period of time
as discussed in the following paragraph, intends to continue the
compliance policy and does not intend to initiate enforcement action
for these products remaining on the market without FDA authorization.
For newly deemed tobacco products using the SE Exemption pathway,
this continued compliance period (i.e., the time during which FDA does
not intend to enforce the premarket review requirements) will close 24
months after the effective date of part 1100 of this final deeming rule
(i.e.,12 months after the 12-month initial compliance period closes for
submission and receipt of SE exemption requests). The earlier
submission period for the SE exemption pathway is intended to allow the
manufacturer time to consider other pathways if the exemption request
is denied or if FDA refuses to accept the request if, for example, the
application is incomplete. For newly deemed tobacco products using the
SE pathway, this continued compliance period will close 30 months after
the effective date of part 1100 of this final deeming rule (i.e., 12
months after the 18-month initial compliance period closes for
submission and receipt of SE Reports). For newly deemed tobacco
products using the PMTA pathway, this continued compliance period will
close 36 months after the effective date (i.e., 12 months after the 24-
month compliance period closes for submission and receipt of PMTAs).
Any such newly deemed tobacco product for which an application under
one of the three marketing pathways has not been submitted within 24
months from the effective date of part 1100 of this final deeming rule
will not benefit from this continued compliance policy and will be
subject to enforcement as of that date. In addition, once the
respective continued compliance period ends for products with
applications submitted according to this policy, products remaining on
the market without premarket authorizations in effect, even if the
product has a pending application that was originally submitted by its
respective initial compliance deadline set forth previously in this
document, will be subject to enforcement. However, if at the time of
the conclusion of the continued compliance period, the applicant has
provided the needed information and review of a pending marketing
application has made substantial progress toward completion, FDA may
consider, on a case-by-case basis, whether to defer enforcement of the
premarket authorization requirements for a reasonable time period.
Regarding concerns as to the inability to use the SE pathway for
certain products, FDA notes that an applicant may use as a predicate
any tobacco product commercially marketed in the United States as of
February 15, 2007, or previously found substantially equivalent (note
that we interpret the phrase ``as of'' February 15, 2007, as meaning
that the tobacco product was commercially marketed (other than
exclusively in test markets) in the United States on February 15, 2007.
If your tobacco product had been commercially marketed in the United
States before February 15, 2007, but was not commercially marketed on
that date, it is not a grandfathered product and may not be
commercially marketed unless you obtain a marketing authorization under
section 910 of the FD&C Act).\3\ This may possibly include a predicate
that is in a different category or subcategory than the new product
that is the subject of the SE report. While FDA currently does not have
a policy that limits comparisons to the same category, we do see cross-
category comparisons as more challenging for an applicant and we may
express limitations on such comparisons in the future, if they become
warranted as we gain experience regulating newly deemed products. FDA
also is continuing to research e-cigarettes, other ENDS, and heated
cigarette products that likely were on the market ``as of'' (i.e., on)
February 15, 2007. Additionally, FDA has determined that some e-
cigarettes and other ENDS were manufactured in 2006 and commercially
marketed in the United States in early 2007. In particular, we have
identified an ENDS product that may have been on the market on February
15, 2007. This product may possibly be able to serve as a valid
predicate for purposes of the SE pathway. The burden of demonstrating
that a valid predicate exists rests with the manufacturer submitting a
SE report. To facilitate the determination that a product is eligible
to serve as a valid predicate, any individual who has evidence that an
e-cigarette or other ENDS was commercially marketed in the United
States on February 15, 2007, may submit a stand-alone grandfather
submission to FDA (See final guidance, ``Establishing That a Tobacco
Product Was Commercially Marketed in the United States as of February
15, 2007'' (79 FR 58358, September 29, 2014)). (Based on FDA's
experiences to date, and since stand-alone grandfather submissions are
purely voluntary, FDA does not anticipate that many manufacturers will
make such submissions, but this option is available.) Regardless of the
predicate selected for comparison, manufacturers are responsible for
providing scientific data adequate to demonstrate that, in the case of
an SE report, the characteristics of the new product are the same as
the predicate or, if the characteristics are different, that these
differences do not cause the new product to raise different questions
of public health. We encourage interested parties to review the
applications FDA
[[Page 28979]]
posts on https://www.fda.gov for examples of products that do not raise
different questions of public health when compared with the specified
predicate product.
---------------------------------------------------------------------------
\3\ FDA Guidance states that ``[i]f you cannot provide
documentation specifically dated on February 15, 2007, FDA suggests
you provide documentation of commercial marketing for a reasonable
period of time before and after February 15, 2007.'' Guidance for
Industry entitled ``Establishing That a Tobacco Product Was
Commercially Marketed in the United States as of February 15, 2007
(79 FR 58358, Sept. 29, 2014), The guidance also provides examples
of sources of evidence, e.g., bills of lading.
---------------------------------------------------------------------------
Vape Establishments Acting as Manufacturers--Several comments asked
FDA to clarify whether e-cigarette retail stores and vape
establishments are considered ``tobacco product manufacturers'' under
the FD&C Act. In response, FDA has explained that establishments that
mix or prepare e-liquids or create or modify aerosolizing apparatus for
direct sale to consumers are tobacco product manufacturers under the
definition set forth in the FD&C Act and, accordingly, are subject to
the same legal requirements that apply to other tobacco product
manufacturers.
Revisions to Health Warning Requirements--FDA is finalizing this
deeming rule with a few changes to the proposed health warning
requirements for newly deemed products. For example, FDA has slightly
revised the nicotine warning statement to read: ``WARNING: This product
contains nicotine. Nicotine is an addictive chemical.'' The alternative
warning statement for products that do not contain nicotine (i.e., no
nicotine at detectable levels) is revised to read: ``This product is
made from tobacco.'' We have also provided additional language
explaining the process for self-certifying that the product does not
contain nicotine, which must be submitted to FDA, and the recordkeeping
recommendations for this self-certification. E-liquids that do not
contain tobacco or nicotine or are not derived from tobacco or nicotine
do not meet the definition of ``covered tobacco product,'' as described
throughout this final rule, and will not be required to carry an
addiction warning or to submit a self-certification. In addition, we
have added language to clarify that the warning statements on packages
must be printed in at least 12-point font size to be conspicuous and
legible.
Further, we have added a provision to indicate that a product
package too small or otherwise unable to accommodate a label with
sufficient space to bear such information will be exempt from the
requirements to place the warning statement directly on packages (as
required in Sec. 1143.3(a)(1)), as long as the warning requirements
enumerated in Sec. 1143.3(a)(2) and (d) are met. For instance, for
small packages, the warning statement must appear on the two principal
display panels on the outer carton or other outer container or wrapper
or on a tag otherwise permanently affixed to the tobacco product
package. This required warning must be printed using the same
specifications in Sec. 1143.3(a)(1) and (2) (which provide the
specifications for the addiction warning). In such cases, the carton,
outer container, wrapper, or tag would serve as one of the principal
display panels.
Reproductive Health Warning for Cigars--In the proposed deeming
rule, FDA proposed to require four of the five warnings already
included on most cigar packages and in most cigar advertisements as a
result of settlement agreements between the Federal Trade Commission
(FTC) and the seven largest U.S. cigar manufacturers (hereinafter,
``FTC consent decrees''). (See, e.g., In re Swisher International,
Inc., Docket No. C-3964.) FDA did not propose to require the fifth
warning (SURGEON GENERAL WARNING: Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth Weight), but asked for comments
regarding this decision. Upon further consideration, FDA has decided to
require a fifth warning regarding reproductive health effects and cigar
use specifically, which reads ``WARNING: Cigar use while pregnant can
harm you and your baby.'' This requirement is supported by existing
scientific evidence and is appropriate for the protection of the public
health. However, because the general statement ``Tobacco smoke
increases the risk of infertility, stillbirth and low birth weight'' is
also a true statement, and because scientific evidence demonstrates
that cigar smoke is similar in content and effects to cigarette smoke,
FDA is allowing the use of the reproductive health warning required by
the FTC consent decrees as an optional alternative to the fifth FDA
warning. FDA expects that providing the optional alternative will
benefit entities bound by the FTC consent decrees.
Nicotine Exposure Warning and Child-Resistant Packaging--After
reviewing the comments, FDA recognizes the importance of alerting
consumers to, and protecting children from, the hazards from ingestion
of, and eye and skin exposure to, e-liquids containing nicotine. Toward
that end, FDA issued an advance NPRM (ANPRM) prior to this deeming rule
(80 FR 51146 (2015)), seeking comments, data, research, or other
information that may inform regulatory actions FDA may take with
respect to a nicotine exposure warning and child-resistant packaging.
In addition, elsewhere in this issue of the Federal Register, FDA has
made available draft guidance, which when final will describe FDA's
current thinking regarding some appropriate means of addressing the
premarket authorization requirements for newly deemed ENDS products,
including recommendations for exposure warnings and child-resistant
packaging that would help to support a showing that the marketing of a
product is appropriate for the protection of public health.
Requests for Additional Regulations Applicable to Newly Deemed
Products--In the NPRM, FDA noted that, once the products were deemed,
the Agency could issue additional regulations applicable to newly
deemed products, including product standards under section 907 of the
FD&C Act (21 U.S.C. 387g). FDA received many suggestions for additional
regulations that should apply to the newly deemed products. FDA is
taking these comments under advisement and considering whether to issue
NPRMs for such provisions.
Compliance Policy Regarding Certain Provisions and Small-Scale
Tobacco Product Manufacturers--In the NPRM, FDA requested comment on
the ability of small manufacturers of newly deemed tobacco products to
fully comply with the requirements of the FD&C Act and how FDA might be
able to address those concerns. Considering the comments and FDA's
finite enforcement resources, the Agency's view is that those resources
may not be best used in immediately enforcing certain provisions of
this rule against certain manufacturers that are small-scale tobacco
product manufacturers and that may need additional time to comply with
certain requirements of the FD&C Act. Generally, for purposes of this
new compliance policy in which FDA is specifying additional periods of
time for such manufacturers to comply with certain provisions (i.e.,
additional time to respond to SE deficiency letters, an additional six-
month compliance period for the tobacco health document submission
requirements, and additional time to submit ingredient listings, as
discussed in Section IV.D). As with manufacturers generally, these
small-scale tobacco manufacturers will also benefit from additional
assistance with their marketing applications, including: a Regulatory
Health Project Manager so that they have a single point of contact in
FDA's Center for Tobacco Products (CTP's) Office of Science (OS) for
questions about their marketing applications; an appeals process for
denial of marketing applications (of which one small business has
already taken advantage); and staff from CTP's Office of Compliance and
Enforcement (OCE), who assist such businesses in helping them to
identify documents that may be used to establish that their
[[Page 28980]]
predicate products were on the market on February 15, 2007. Further,
CTP's OCE will continue to assist small-scale tobacco product
manufacturers in their submission of rotational warning plans for FDA
approval and to provide a system to assist such businesses in
navigating the regulatory requirements of FDA. FDA considers a ``small-
scale tobacco product manufacturer'' to be a manufacturer of any
regulated tobacco product that employs 150 or fewer full-time
equivalent employees and has annual total revenues of $5,000,000 or
less. In formulating our thinking on what a small-scale tobacco product
manufacturer is for purposes of this policy, FDA has considered all
available data on employment, revenues, production volume and other
details of operation for current manufacturers of newly deemed
products. FDA considers a manufacturer to include each entity that it
controls, is controlled by, or is under common control with. To help
make FDA's individual enforcement decisions more efficient, a
manufacturer may voluntarily submit information regarding employment
and revenues.\4\
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\4\ FDA notes that our current thinking regarding ``small-scale
tobacco product manufacturer'' for purposes of this compliance
policy differs from definitions of ``small manufacturer'' or ``small
tobacco product manufacturer'' that pertain in several other
contexts, including definitions established by the Small Business
Administration or the Tobacco Control Act's definition of a ``small
tobacco product manufacturer.'' FDA notes that its current thinking
reflects an evaluation of all available data regarding manufacturers
of newly deemed tobacco products, as well as careful review of the
potentially unique interests of the smallest tobacco product
manufacturers as considered in light of the Agency's statutory
obligations regarding the protection of public health.
---------------------------------------------------------------------------
Policy for Certain Regulatory Requirements for All Manufacturers of
Newly Deemed Products--Although FDA maintains that all of the automatic
provisions are important given that all tobacco products have inherent
risks, FDA recognizes that compliance with many of the automatic
provisions may be challenging at first for entities that are new to
Federal public health regulation. In addition, FDA expects that it will
obtain necessary information from its regulation of finished tobacco
products. As a result, FDA has established a compliance policy for
premarket submission and for obtaining authorization with respect to
certain components and parts of newly deemed tobacco products. We note
that FDA also intends to issue a guidance regarding HPHC reporting
under section 904(a)(3), and later a testing and reporting regulation
as required by section 915, with enough time for manufacturers to
report given the 3-year compliance period for HPHC reporting. Section
904(a)(3) requires the submission of a report listing all constituents,
including smoke constituents identified as harmful or potentially
harmful (HPHC) by the Secretary. Section 915 requires the testing and
reporting of the constituents, ingredients, and additives the Secretary
determines should be tested to protect the public health. The section
915 testing and reporting requirements apply only after FDA issues a
regulation implementing that section, which it has not yet done. Until
these testing and reporting requirements have been established, newly
deemed tobacco products (and currently regulated tobacco products) are
not subject to the testing and reporting provisions found under section
915. As noted elsewhere in this document, FDA does not intend to
enforce the reporting requirements under section 904(a)(3) for newly
deemed products before the close of the 3-year compliance period, even
if the HPHC guidance and the section 915 regulation are issued well in
advance of that time.
Severability--In accordance with section 5 of the Tobacco Control
Act, FDA considers and intends the extension of its authorities over
all tobacco products and the various requirements and prohibitions
established by this rule to be severable. It is FDA's interpretation
and position that the invalidity of any provision of this rule shall
not affect the validity of any other part of this rule. In the event
any court or other lawful authority were to temporarily or permanently
invalidate, restrain, enjoin, or suspend any provision of this final
rule, FDA would conclude that the remaining parts continue to be valid.
As stated in section 5 of the Tobacco Control Act, if certain
applications of this rule to persons or circumstances (discussed in the
preamble or otherwise) are held to be invalid, application of such
provisions to any other person or circumstance will not be affected and
will continue to be enforced. Each provision of the rule is
independently supported by data and analysis as described or referenced
in this preamble and, if issued separately, would remain a proper
exercise of FDA authority.
Costs and Benefits
This final rule deems all products meeting the statutory definition
of ``tobacco product,'' except accessories of a newly deemed tobacco
product, to be subject to chapter IX of the FD&C Act. This final rule
also finalizes additional provisions that would apply to certain newly
deemed products as well as to certain other tobacco products. Once
deemed, tobacco products become subject to the FD&C Act and its
implementing regulations. The FD&C Act requirements that will apply to
newly deemed products include establishment registration and product
listing, ingredient listing, HPHC testing and reporting, premarket
submissions prior to the introduction of new products, and labeling
requirements. Free samples of newly deemed tobacco products will also
be prohibited. The additional provisions of this final rule include
minimum age and identification requirements, vending machine
restrictions, and required warning statements for packages and
advertisements.
Table 1--Summary of Quantified Costs Over 20 Years
[$ million]
--------------------------------------------------------------------------------------------------------------------------------------------------------
Lower bound Upper bound Lower bound Upper bound
(3%) Primary (3%) (3%) (7%) Primary (7%) (7%)
--------------------------------------------------------------------------------------------------------------------------------------------------------
Present Value of Private Sector Costs................... 517.7 783.7 1,109.8 450.4 670.9 939.8
Present Value of Government Costs \1\................... 204.6 204.6 204.6 145.7 145.7 145.7
Present Value of Total Costs............................ 722.3 988.2 1,314.4 596.1 816.5 1,085.4
Annualized Value of Private Sector Costs................ 34.8 52.7 74.6 42.5 63.3 88.7
Annualized Value of Government Costs \1\................ 13.8 13.8 13.8 13.8 13.8 13.8
Annualized Value of Total Costs......................... 48.5 66.4 88.3 56.3 77.1 102.5
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ FDA costs represent an opportunity cost, but this rule will not result in changes to overall FDA accounting costs, the size of the Federal budget,
or the total amount of tobacco industry user fees.
[[Page 28981]]
The direct benefits of making each of the newly deemed tobacco
products subject to the requirements of chapter IX of the FD&C Act are
difficult to quantify, and we cannot predict the size of these benefits
at this time. Table 1 summarizes the quantified costs of this final
rule over 20 years. For the reasons provided in the preamble and
analysis of impacts, FDA has concluded that the benefits of the final
rule justify the costs. Among other effects, new products will be
subject to an evaluation to ensure they meet the appropriate public
health standard for the pathway before they can be marketed, labeling
cannot contain misleading statements, and FDA will be made aware of the
ingredients in newly deemed tobacco products. If, without the final
rule, new products would pose substantially greater health risks than
those already on the market, the premarket requirements made effective
by this final rule would keep such products from appearing on the
market and worsening the health effects of tobacco product use. The
warning statements required by this final rule will help consumers
better understand and appreciate the risks and characteristics of
tobacco products.
I. Background
Cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco were immediately covered by FDA's tobacco product authorities
in chapter IX of the FD&C when the Tobacco Control Act went into
effect. For other tobacco products, the statute authorized FDA to issue
regulations ``deeming'' them to be subject to such authorities.
Consistent with the statute, once a tobacco product is deemed, FDA may
put in place ``restrictions on the sale and distribution of a tobacco
product,'' if FDA determines the restrictions are appropriate for the
protection of the public health (21 U.S.C. 387f(d)(1)).
The Surgeon General has long recognized that the addictive nature
of tobacco products is due to the presence of highly addictive nicotine
that can be absorbed into the bloodstream (see, e.g., Ref. 1 at 6-9).
While the amount of nicotine delivered and the means through which it
is delivered can either reduce or enhance nicotine's potential for
abuse and physiological effects (Ref. 2 at 113), nicotine is addictive.
In general, the quicker the delivery, rate of absorption, and
attainment of peak concentrations of nicotine, the greater the
potential for addiction (id.).
The Surgeon General reported that ``most people begin to smoke in
adolescence and develop characteristic patterns of nicotine dependence
before adulthood'' (Ref. 3). These youth develop physical dependence
and experience withdrawal symptoms when they try to quit smoking (id.).
As a result, addiction to nicotine is often lifelong (Ref. 4), and
youth and young adults generally ``underestimate the tenacity of
nicotine addiction and overestimate their ability to stop smoking when
they choose'' (Ref. 5). For example, in a study of over 1,200 sixth
grade students who inhaled tobacco products, 58.5 percent had lost
autonomy over their tobacco use (i.e., had difficulty trying to quit)
(Ref. 6). One survey also revealed that ``nearly 60 percent of
adolescents believed that they could smoke for a few years and then
quit'' (Ref. 7). Research conducted in animal models has indicated that
exposure to substances such as nicotine can disrupt prenatal brain
development and may have long-term consequences on executive cognitive
function and on the risk of developing a substance abuse disorder and
various mental health problems as an adult (Ref. 8), and this exposure
to nicotine can also have long-term results on decreasing attention
performance and increasing impulsivity which could promote the
maintenance of nicotine use behavior (id.).
The Surgeon General also emphasizes that ``nicotine addiction
develops as a neurobiologic adaptation to chronic nicotine exposure,''
suggesting that the pattern of tobacco product use (e.g., frequency of
using the product) is a factor in the facilitation of nicotine
addiction (Ref. 9 at 112). The Surgeon General also noted ``all forms
of nicotine delivery do not pose an equal risk in establishing and
maintaining addiction'' and this may be because the pharmacokinetics of
various nicotine containing products differ (id.). The FDA-approved
nicotine patch is an example of slow absorption and once-a-day dosing
which results in minimal potential for addiction (Ref. 2 at 113). In
1988, the Surgeon General recognized that the ultimate levels of
nicotine absorbed into the blood from tobacco products on the market at
that time can be similar in magnitude regardless of the product forms
used to deliver nicotine (Ref. 1). For example, research has shown that
oral use of smokeless tobacco products that do not emit smoke results
in ``high venous concentrations of nicotine equal to those for use of
cigarettes'' (Ref. 2 at 113).
FDA believes that the inhalation of nicotine (i.e., nicotine
without the products of combustion) is of less risk to the user than
the inhalation of nicotine delivered by smoke from combusted tobacco
products. However, limited data suggest that the pharmacokinetic
properties of inhaled nicotine can be similar to nicotine delivered by
combusted tobacco products. Thus, inhaled nicotine from a non-
combustible product may be as addictive as inhaled nicotine delivered
by combusted tobacco products. Researchers recognize that the effects
from nicotine exposure by inhalation without combustion are likely not
responsible for the high prevalence of tobacco-related death and
disease in this country (Refs. 10, 11). Although nicotine itself has
not been shown to cause the chronic disease associated with tobacco
use, the 2014 Surgeon General's report noted that there are still risks
associated with nicotine (Ref. 9 at 111). For example, nicotine at high
enough doses has acute toxicity (id.). Research in animal models have
demonstrated that nicotine exposure during fetal development may have
lasting adverse consequences for brain development (id.). Nicotine also
adversely affects maternal and fetal health during pregnancy,
contributing to multiple adverse outcomes such as preterm delivery and
stillbirth (id.; citing Refs. 12, 13). Further, data from studies of
mice also suggest that nicotine exposure during adolescence may have
lasting adverse consequences for brain development (id.). Some studies
in animal models also have found that nicotine can have detrimental
effects on the cardiovascular system and potentially disrupt the
central nervous system (Refs. 14, 15).
``Since the 1964 Surgeon General's report, comprehensive tobacco
control programs and policies have been proven effective for
controlling tobacco use'' (Ref. 9 at 36). Accordingly, FDA is issuing
this final rule to serve two purposes: (1) To deem products that meet
the definition of ``tobacco product'' under the law, except accessories
of newly deemed tobacco products, and subject them to the tobacco
control authorities in the FD&C Act; and (2) to establish specific
restrictions that are appropriate for the protection of the public
health for the newly deemed tobacco products. To satisfy these
purposes, FDA proposed two options (Option 1 and Option 2), which
provided two alternatives for the scope of the deeming provisions and,
consequently, the application of the additional specific provisions.
Under Option 1, all products meeting the definition of a ``tobacco
product,'' except accessories of newly deemed tobacco products, would
be deemed. Option 2 was the same as Option 1,
[[Page 28982]]
except a subset of cigars known as ``premium cigars'' would be
excluded.
Currently, tobacco products unregulated by FDA are widely available
and come in many forms, including cigars, pipe tobacco, waterpipe
tobacco, liquids (e-liquids) for ENDS (the most popular of which are
electronic cigarettes, but also include e-hookah, e-cigars, vape pens,
personal vaporizers, and electronic pipes), liquid nicotine that is
made or derived from tobacco, nicotine gels, and certain dissolvable
tobacco products (i.e., dissolvable products that do not currently meet
the definition of ``smokeless tobacco'' in section 900(18) of the FD&C
Act (21 U.S.C. 387(18)) because they do not contain cut, ground,
powdered, or leaf tobacco and instead contain nicotine extracted from
tobacco). Upon implementation of this final rule, currently unregulated
tobacco products and future products meeting the definition of
``tobacco product'' under section 201(rr) (except accessories of newly
deemed tobacco products) will be subject to chapter IX of the FD&C Act.
FDA issued a proposed deeming rule on April 25, 2014 (79 FR 23142).
We received over 135,000 comments on the NPRM. Comments were received
from tobacco product manufacturers, retailers, academia, medical
professionals, local governments, advocacy groups, and consumers. To
make it easier to identify comments and our responses, the word
``Comment,'' in parentheses, will appear before each comment, and the
word ``Response,'' in parentheses, will appear before each response. We
have numbered the comments to make it easier to distinguish between
comments; the numbers are for organizational purposes only and do not
reflect the order in which we received the comments or any value
associated with them. We have combined similar comments under one
numbered comment. In addition to the comments specific to this
rulemaking that we address in the following paragraphs, we received
many general comments expressing support or opposition to the rule and
separate provisions within the rule. These comments express broad
policy views and do not address specific points related to this
rulemaking. Therefore, these general comments do not require a
response. Other comments outside the scope of this rulemaking also have
not been addressed here. The remaining comments, as well as FDA's
responses, are included in this document.
II. Legal Authority
A. Summary of Legal Authority
As set forth in the preamble to the NPRM (79 FR 23142 at 23145),
the Tobacco Control Act provided FDA with the authority to regulate
tobacco products by, among other things, adding chapter IX to the FD&C
Act. Section 901 of the FD&C Act (21 U.S.C. 387a) provides that this
new chapter (Chapter IX--Tobacco Products) applies to all cigarettes,
cigarette tobacco, roll-your-own tobacco, and smokeless tobacco and to
any other tobacco products that the Secretary of Health and Human
Services by regulation deems to be subject to this chapter. In
accordance with section 901 of the FD&C Act, FDA issued a NPRM to
extend FDA's ``tobacco product'' authorities to products that meet the
statutory definition of ``tobacco product'' in section 201(rr) of the
FD&C Act,\5\ except the accessories of these tobacco products, and
provided two separate options as to the scope of cigar products that
would be deemed subject to FDA's tobacco authorities. FDA is selecting
Option 1 deeming all tobacco products, including premium cigars, except
the accessories of the newly deemed products, with this final rule.
---------------------------------------------------------------------------
\5\ Section 201(rr) of the FD&C Act defines ``tobacco product,''
in relevant part, as any product made or derived from tobacco that
is intended for human consumption, including any component, part, or
accessory of a tobacco product (except for raw materials other than
tobacco used in manufacturing a component, part, or accessory of a
tobacco product). 21 U.S.C. 321(rr).
---------------------------------------------------------------------------
In addition, section 906(d)(1) of the FD&C Act authorizes FDA to
require restrictions on the sale and distribution of a tobacco product,
if the Agency determines that ``such regulation would be appropriate
for the protection of the public health.'' FDA has determined that the
additional restrictions included with this final rule (i.e., minimum
age and identification requirements, vending machine restrictions, and
health warning statements) are ``appropriate for the protection of the
public health.''
These authorities are supplemented by section 903 of the FD&C Act
(21 U.S.C. 387c), which provides, among other things, that a tobacco
product is misbranded unless the manufacturer, packer, or distributor
thereof includes in all advertisements and other descriptive printed
matter issued or caused to be issued by the manufacturer, packer, or
distributor with respect to that tobacco product a brief statement of
the uses of the tobacco product and relevant warnings, precautions,
side effects, and contraindications (section 903(a)(8)(B)(i) of the
FD&C Act). Section 903(a)(7)(B) of the FD&C Act also provides that a
tobacco product is misbranded if it is sold or distributed in violation
of a regulation prescribed under section 906(d) of the FD&C Act.
In addition, section 701(a) of the FD&C Act (21 U.S.C. 371(a))
provides FDA with authority to issue regulations for the efficient
enforcement of the FD&C Act.
B. Responses to Comments Regarding Legal Authority
FDA received comments on a wide range of legal issues, including
FDA's authority to deem tobacco products subject to the FD&C Act and
constitutional issues that may be implicated by the NPRM. FDA carefully
considered these comments and concludes that the Agency has authority
to deem the tobacco products covered under this final rule. FDA is not
aware of other legal concerns from comments that prevent the Agency
from taking the actions included in this final rule. A summary of
comments regarding legal authority, and FDA's responses, follows.
1. Section 901 Authority
(Comment 1) Generally, the comments did not challenge FDA's
authority under section 901 of the FD&C Act, but at least one comment
argued that section 901 does not grant FDA the authority to deem, ``in
a sweeping manner,'' all products (excluding accessories) that meet the
statutory definition of ``tobacco product.'' The comment argued that
Congress intended to grant FDA discretion to deem products only on a
product-by-product basis, or at best, a category-by-category basis, and
that FDA lacks authority to ``simply swallow all extant and future
tobacco products up in its authority[.]''
(Response) FDA disagrees. Section 901 grants FDA the authority to
deem ``any . . . tobacco products that the Secretary by regulation
deems to be subject to [chapter IX of the FD&C Act].'' There is no
provision in the statute that restricts FDA's authority to deem all
tobacco products that meet the statutory definition or requires FDA to
deem products on an individual or product category basis.
The comment did not provide a basis for the claim that Congress
intended to restrict FDA's deeming authority to piecemeal deeming of
specific categories of products and no such restrictions exist. FDA
believes that deeming tobacco products on a product or category basis
would create regulatory loopholes, substantial delay (at the risk to
public health), and significantly impede FDA's ability to
[[Page 28983]]
create a comprehensive regulatory scheme.
Even if there was ambiguity in the wording of section 901, which
FDA does not believe there is, FDA would be entitled to deference on
this interpretation of the statute (Chevron U.S.A., Inc. v. Natural
Res. Def. Council, Inc., 467 U.S. 837, 842-45 (1984), quoting Morton v.
Ruiz, 415 U.S. 199, 231 (1974) (``We have long recognized that
considerable weight should be accorded to an executive department's
construction of a statutory scheme it is entrusted to administer, and
the principle of deference to administrative interpretations . . .'')).
(Comment 2) At least one comment questioned whether section 901 of
the FD&C Act provides authority to deem future tobacco products under
the new rule. Specifically, the comment argued that a ``tobacco
product'' must exist at the time the rule takes effect for it to be
subject to ``deeming'' under the rule.
(Response) FDA disagrees. The term ``tobacco product'' is defined
in section 201(rr) of the FD&C Act, 21 U.S.C. 321(rr), to mean ``any
product made or derived from tobacco that is intended for human
consumption, including any component, part, or accessory of a tobacco
product (except for raw materials other than tobacco used in
manufacturing a component, part, or accessory of a tobacco product),''
and excluding drugs, devices, and combination products as defined under
the FD&C Act. The definition has no temporal element, and nothing in
the statute limits FDA's deeming authority to products or categories of
products that are currently marketed. Contrary to Congress's intention
in enacting the statute, the proposed interpretation would
substantially impede FDA's ability to protect the public health.
Indeed, FDA's ability to regulate new products would be further delayed
by months or even years after the introduction of each new product, as
the Agency would have to initiate a rulemaking to deem each new product
before existing regulations would apply. Such an interpretation would
frustrate the intent underlying the Tobacco Control Act and endanger
the public health.
Moreover, we note that the Agency is not simply creating a rule to
apply to theoretical products with completely unknown risks that will
be developed in the future. Instead, FDA is finalizing this rule to
include all ``tobacco products'' within the scope of its regulatory
authority based on the potential harm posed by existing products and
the Agency's experience with the regulation of such products (which
have all been made or derived from tobacco). This experience has shown
us that it would be easier for manufacturers and more protective for
public health for a company to know (prior to development and
marketing) that its product must be reviewed and authorized by FDA in
order to be offered for sale in the United States.
(Comment 3) A number of comments contended that section 901(g) of
the FD&C Act requires FDA to consult with other Federal Agencies before
promulgating a new rule under chapter IX of the FD&C Act.
(Response) FDA agrees that section 901(g) requires FDA to
``endeavor to consult with other Federal Agencies, as appropriate.''
FDA consulted with other Federal Agencies during the Federal Agency
review process required by Executive Order 12866, satisfying its
requirement under section 901(g).
2. FDA's Exercise of Authority
(Comment 4) Some comments, largely from the ENDS industry, argued
that FDA is required to establish that deeming will benefit public
health, and that insufficient evidence exists to do so. Specifically,
they argued that FDA is unable to quantify the health risks of certain
products (namely, e-cigarettes) \6\ without multiple long-term studies,
and that currently such studies do not exist. A few comments cited the
public health standard in section 906(d) of the FD&C Act as authority
for these claims.
---------------------------------------------------------------------------
\6\ FDA notes that most comments referred to ``e-cigarettes''
when discussing ENDS products. Therefore, FDA refers to ``e-
cigarette'' in the comment summaries. Because FDA's responses
generally apply to all ENDS products (the most popular of which are
electronic cigarettes, but also includes e-hookah, e-cigars, vape
pens, personal vaporizers, and electronic pipes), FDA's responses to
the comments generally use the term ``ENDS.''
---------------------------------------------------------------------------
(Response) FDA disagrees. These comments attempted to impose a
standard for the application of FDA's deeming authority that is not
created by statute or otherwise. Under section 901(b), chapter IX of
the FD&C Act shall apply to all cigarettes, cigarette tobacco, roll-
your-own tobacco, and smokeless tobacco and to any other tobacco
products that the Secretary by regulation deems to be subject to this
chapter (emphasis added). The only pertinent limitations on the scope
of FDA's deeming authority are the definition of ``tobacco product''
set forth in section 201(rr) of the FD&C Act and a provision regarding
tobacco growers and similar entities and tobacco leaf that is not in
the possession of a manufacturer of tobacco products in section
901(c)(2) of the FD&C Act.
FDA disagrees with the comments that argued that the standard set
forth in section 906(d) of the FD&C Act applies to the act of deeming
tobacco products. Sections 901 and 906(d)(1) provide FDA with separate
authorities. Section 901 gives FDA the authority to deem additional
products to be subject to chapter IX. Once products are subject to
chapter IX, FDA can use other authorities in chapter IX, such as
section 906(d), to take regulatory action with respect to such
products. By its own language, section 906(d) applies to regulations
FDA issues requiring restrictions on the sale and distribution,
including restrictions on the access to, and the advertising and
promotion of, a tobacco product; therefore, the standard in section
906(d)(1) applies only to the additional regulations issued by FDA
under section 906(d) (such as the minimum age and identification
requirements and vending machine restrictions this rule is promulgating
in Sec. 1140.14, and the health warning requirements in Sec. Sec.
1143.3 and 1143.5) and not to deeming itself or the provisions in the
statute that apply automatically to newly deemed products.
Although FDA is not required to meet a particular public health
standard to deem tobacco products, regulation of the newly deemed
products will be beneficial to public health. The Agency has concluded,
based on scientific data, that the newly deemed products should be
regulated due to their potential for public harm (e.g., 79 FR at 23154-
23158) and regulation is necessary to learn more about that potential.
Greater regulatory certainty created by premarket authorizations should
help companies to invest in creating novel products, with greater
confidence that improved products will enter the market without having
to compete against equally novel, but more dangerous products. For
example, a company wishing to invest the additional resources needed to
ensure that its e-cigarette is designed and manufactured with
appropriate methods and controls will be more likely to do so if the
product is not competing against products that are more cheaply and
crudely made, yet appear to be identical to the consumer. Over time,
since the ``appropriate for the protection of the public health''
standard involves comparison to the general tobacco product market, FDA
believes the employment of the premarket authorities could create
incentives for producers to develop products that are less dangerous
when consumed, less likely to lead to initiation of tobacco use, and/or
easier to quit.
Further, FDA's premarket review of the newly deemed products will
[[Page 28984]]
increase product consistency. For example, FDA's oversight of the
constituents of e-cigarettes cartridges will help to ensure quality
control relative to the chemicals and their quantities being
aerosolized and inhaled. At present, there is significant variability
in the concentration of chemicals amongst products--including
variability between labeled content and concentration and actual
content and concentration (e.g., Refs. 16, 17, 18, 19, 20). Without a
regulatory framework, users who expect consistency in these products
may instead be subject to significant variability in nicotine content
among products, raising potential public health and safety issues.
Implementation of the premarket review requirements also will allow FDA
to monitor product development and changes and to prevent more harmful
or addictive products from reaching the market.
In addition, as FDA discussed in the NPRM, deeming all tobacco
products will provide FDA with critical information regarding the
health risks of the products including information derived from
ingredient listing submissions and reporting of HPHCs required under
the FD&C Act (79 FR 23142 at 23148). Obtaining this information is
particularly important given the addictiveness of nicotine and the
toxicity associated with tobacco products. Given that ``[e]xposure to
secondhand tobacco smoke has been causally linked to cancer,
respiratory, and cardiovascular diseases, and to adverse effects on the
health of infants and children,'' this information will be helpful in
further assessing the toxicity of the newly deemed tobacco products
(Ref. 9 at 7).\7\
---------------------------------------------------------------------------
\7\ As stated in the 2014 Surgeon General's Report, ``the burden
of death and disease from tobacco use in the United States is
overwhelmingly caused by cigarettes and other combusted tobacco
products'' (Ref. 9 at 7).
---------------------------------------------------------------------------
Many of these comments also argued that FDA's acknowledgment that
it does ``not currently have sufficient data . . . to determine what
effects e-cigarettes have on the public health'' is an admission that
FDA does not know, and cannot determine, whether regulation of these
products will benefit public health. FDA disagrees. That language
follows the statement, ``some have advanced views that certain new
tobacco products that are noncombustible . . . may be less hazardous,
at least in certain respects, than combustible products . . . ,'' and
refers to the lack of evidence supporting such asserted benefits (79 FR
23142 at 23144). Whether ENDS generally may eventually be shown to have
a net benefit on or harm to public health at the population level--and
there have not yet been long-term studies conducted to support either
claim at this time--regulation of ENDS will still benefit public
health. The 2014 Surgeon General's Report also notes that ``[f]urther
research with attention to their individual and population-level
consequences will be helpful to fully address these questions. However,
the promotion of noncombustible products is much more likely to provide
public health benefits only in an environment where the appeal,
accessibility, promotion, and use of cigarettes and other combusted
tobacco products are being rapidly reduced'' (Ref. 9 at 874).
FDA noted in the NPRM that many public health benefits will flow
from deeming tobacco products (including e-cigarettes and other ENDS).
Even if a category of products were to prove generally beneficial,
individual products within that category may raise concerns. For
example, some products may be particularly attractive to youth or
deliver unexpected high levels of toxicants. In addition, once all
tobacco products are deemed, any manufacturer seeking to market its
product as a modified risk tobacco product (MRTP) will be required to
provide substantiation and obtain an order from FDA before making such
claims, where it is currently not subject to such requirements under
the FD&C Act. More generally, regulation and product review allows the
Agency to help ensure the public health is protected. FDA's regulatory
tools, including the adulteration and misbranding provisions in
sections 902 (21 U.S.C. 387b) and 903 of the FD&C Act as applied to
newly deemed products, will help to protect consumers by subjecting all
tobacco products to certain basic requirements, such as that their
labeling and advertising not be false or misleading. FDA will be able
to take enforcement action against any tobacco products that do not
meet these requirements. Further, implementation of the requirements
regarding premarket applications, SE reports, and exemption requests
(sections 905 and 910 of the FD&C Act (21 U.S.C. 387e and 387j,
respectively)) will increase product consistency and help protect the
public health from adverse impacts. For example, although there is
currently variability in the concentrations of chemicals in e-liquids,
FDA oversight of the constituents in e-liquids and ENDS will help to
ensure quality control over the types and quantities of chemicals being
aerosolized and inhaled (79 FR 23142 at 23149). Once deemed, the
Tobacco Control Act authorizes FDA to impose certain types of
restrictions that it has determined are appropriate to the protection
of public health. Under this authority, FDA is imposing certain
restrictions for ENDS and other products, such as minimum age
requirements.
The need for deeming is further confirmed by the continued dramatic
rise in youth and young adult use of tobacco products such as e-
cigarettes and waterpipe tobacco, and continued youth and young adult
use of cigars (mainly cigarillos). As discussed in the NPRM, e-
cigarettes are widely available in retail outlets such as kiosks in
shopping malls and on the Internet and their online popularity has
surpassed that of snus which has been on the market far longer than e-
cigarettes (Ref. 21).
Recent studies show a dramatic rise in the use of ENDS products.
The Centers for Disease Control and Prevention (CDC) and FDA analyzed
data from the 2011-2014 National Youth Tobacco Surveys (NYTS) and found
that current (past 30 day) e-cigarette use among high school students
increased nearly 800 percent from 1.5 percent in 2011 to 13.4 percent
in 2014 (Ref. 22). In 2014, a total of 24.6 percent of high school
students reported current use of a tobacco product (id.). Among all
high school students, e-cigarettes (13.4 percent) were the most common
tobacco products used (id.). This increase was not limited to any one
demographic group; e-cigarettes were the most commonly used product
among high school non-Hispanic whites, Hispanics, and persons of non-
Hispanic other races (id.). E-cigarettes (3.9 percent) were also the
tobacco product used most commonly by middle school students (id.).
From 2011 to 2014, statistically significant nonlinear increases were
observed among high school students for current e-cigarette use (1.5
percent to 13.4 percent) (id.). Among middle school students,
statistically significant increases were observed from 2011 to 2014
(id.). In 2014, an estimated 4.6 million middle and high school
students currently used any tobacco product (i.e., cigarettes, cigars,
smokeless tobacco, e-cigarettes, hookahs, tobacco pipes, snus,
dissolvable tobacco, and bidis), of which an estimated 2.2 million
students currently used two or more tobacco products. Overall, in 2014,
2.4 million middle and high school students reported current use of e-
cigarettes (id.). The data also demonstrated that when use of all
tobacco products was considered in aggregate, there was no
[[Page 28985]]
change in overall current tobacco use among middle and high school
students.
Another recently published study found that ninth grade students
who reported having ever used e-cigarettes at the baseline assessment
were approximately 2.7 times more likely than non-e-cigarette users to
have started smoking combusted tobacco products (cigarettes, cigars,
waterpipe tobacco) and 1.7 times more likely to have started smoking
conventional cigarettes 6 to 12 months later (Ref. 23). While this
study indicates that e-cigarette users are more likely than non-e-
cigarette users to also use combusted tobacco products 12 months later,
it cannot be determined by the research findings if such users would
have used combusted tobacco products regardless of e-cigarette use.
Researchers noted that some teens are more likely to use e-cigarettes
prior to combustible tobacco products for several reasons including the
availability of e-cigarettes in flavors attractive to youth (id.).
In terms of young adult and adult use of e-cigarettes, evidence
from the most recent studies on ENDS use among young adults and adults
indicates that among adults who had never smoked cigarettes, prevalence
of ever e-cigarette use was highest among young adults aged 18 to 24
and decreased with increasing age (Ref. 24). However, current cigarette
smokers and recent former smokers (i.e., those who quit smoking within
the past year) were more likely to use e-cigarettes than long-term
former smokers (i.e., those who quit smoking more than 1 year ago) and
adults who had never smoked. Current cigarette smokers who had tried to
quit in the past year were also more likely to use e-cigarettes than
those who had not tried to quit (id.). It is noted that it cannot be
determined by the research findings: (1) Whether former cigarette
smokers who now exclusively use e-cigarettes would not have ceased
smoking cigarettes regardless of e-cigarette use; and (2) whether the
e-cigarette use preceded quitting or the quitting occurred first and
then was followed by later e-cigarette use.
The data from the 2011 through 2014 NYTS also show that high school
students' use of waterpipe tobacco more than doubled during this time
period. In fact, researchers observed substantial increases in
waterpipe tobacco use among both middle and high school students from
2011 through 2014 culminating in an estimated 1.6 million waterpipe
tobacco youth users in 2014 (Ref. 22). From 2013 to 2014, prevalence
almost doubled for high school students from 5.2 percent (770,000) to
9.4 percent (1.3 million) and more than doubled for middle school
students from 1.1 percent (120,000) to 2.5 percent (280,000) (id.).
These findings are consistent with earlier research on older youths and
young adults discussed in the comments stating that waterpipe tobacco
use continues to increase in popularity, particularly among college
students, with as many as 40 percent reporting ever using waterpipe
tobacco and 20 percent reporting current use (i.e., use within the past
30 days) on some college campuses (Refs. 25, 26).
Likewise, youth continue to use cigars. Data from the 2014 NYTS
indicate that 8.2 percent (1,200,000) of high school students and 1.9
percent (220,000) of middle school students had smoked cigars
(including cigars, cigarillos, or little cigars) in the past 30 days
(Ref. 22). Nineteen percent of students in 8th, 10th, and 12th grades
participating in the Monitoring the Future study in 2014 also reported
smoking small or little cigars (which represents a decrease from 23.1
percent in 2010, but it is unclear if subjects misidentified cigars as
cigarettes during the study) (Ref. 27). In addition, the 2014 National
Survey on Drug Use and Health (NSDUH) found that more than 2,500 youth
under the age of 18 smoke their first cigar each day, nearly as many as
those who smoke their first cigarette each day (more than 2,600) (Ref.
28). Nevertheless, data on youth cigar use from the Youth Risk Behavior
Surveillance System (YRBSS) shows that current cigar use among youth
(i.e., use of a cigar, cigarillo, or little cigar on at least one day
during the last 30 days) has declined between 1997 and 2013 (22 percent
to 12.6 percent); however, no statistically significant change was
observed between 2011 (13.1 percent) and 2013 (12.6 percent) (Ref. 29).
(Comment 5) At least one comment argued that the rule violates the
APA, 5 U.S.C. 706, saying that it requires FDA to provide ``the
specific basis for [its] conclusion and the data on which each of [its]
critical assumptions is based'' (quoting Ranchers Cattlemen Action
Legal Fund United Stockgrowers of America, No. 04-cv-51, 2004 WL
1047837 at *7 (D. Mont. Apr. 26, 2004), and FDA failed to do so.
(Response) FDA disagrees. The unpublished district court case
quoted in the comment was reversed by the Ninth Circuit on exactly this
point (415 F.3d 1078 (9th Cir. 2005)). The Ninth Circuit stated the
correct standard: ``All that is required is that the agency have
`considered the relevant facts and articulated a rational connection
between the facts found and the choices made' '' (id. at 1093). See
Citizens to Preserve Overton Park, Inc. v. Volpe, 401 U.S. 402, 416
(1971); Motor Vehicle Mfrs. Ass'n of U.S., Inc. v. State Farm Mut.
Auto. Ins. Co., 463 U.S. 29, 42-43 (1983).
In any event, the NPRM contains substantial explanation of FDA's
reasoning in proposing this rule, including over 190 citations to
scientific literature, and the NPRM and the final rule's supplementary
information contain many pages explaining the data and comments
considered, the conclusions drawn from the literature, and FDA's
rationale for the final rule, fully satisfying the Administrative
Procedure Act (APA).
(Comment 6) A few comments objected that FDA did not discuss the
possibility of illicit markets in the proposed deeming rule, stating
that FDA is required to consider the consequences of illicit markets
under section 907(b)(2) of the FD&C Act.
(Response) FDA disagrees. Section 907(b)(2) does not apply to
deeming, but rather applies only to the promulgation of regulations
establishing tobacco product standards under section 907 of the FD&C
Act. In any event, the Agency cannot refuse to act in furtherance of
the public health because some individuals might violate the law.
Nevertheless, FDA authority over the newly deemed tobacco products will
give it means to determine which products are legally on the market and
which are counterfeit or otherwise illegally marketed and to take
enforcement action against manufacturers who sell and distribute
illegal products. The Tobacco Control Act gives the Agency these and
other authorities, such as section 920 of the FD&C Act (21 U.S.C.
387t), to help address illicit tobacco products.
3. Constitutional Issues
The Tobacco Control Act includes provisions restricting tobacco
product marketing. As discussed in this document, some of these
provisions apply to all products covered by the statute--including the
newly deemed products--and others authorize FDA to impose additional
restrictions. We received comments that argue that some of the
restrictions this final rule imposes on newly deemed products violate
the First Amendment.
a. Free Samples of Tobacco Products
(Comment 7) A few comments questioned the constitutionality of the
ban on the distribution of free samples of tobacco products. (See Sec.
1140.16(d)(1)).) First, the comments argued that distributing free
samples is a form of commercial speech that is protected by the First
Amendment and that the ban is unconstitutional as
[[Page 28986]]
applied to the newly deemed products. Citing Central Hudson Gas and
Electric Corp. v. Public Services Commission, 447 U.S. 557, 566 (1980),
the comments argued that, accordingly, FDA must show that the ban is
narrowly tailored to directly and materially advance a substantial
State interest and that FDA failed to do so. The comments stated that
while the court in Discount Tobacco City & Lottery v. United States,
674 F.3d 509 (6th Cir. 2012), cert. denied sub nom. Am. Snuff Co., LLC
v. United States, 133 S. Ct. 1996 (2013) (``Discount Tobacco''), upheld
the Tobacco Control Act's sampling ban on cigarettes, the evidence the
court used to uphold that ban does not support the same ban for the
newly deemed tobacco products. They argued that FDA has presented no
evidence that samples of these products lead to youth initiation and,
therefore, the Agency would not be advancing a legitimate government
interest with this ban. Additionally, they suggested that even if the
ban did advance a legitimate government interest, FDA could achieve the
same results through less restrictive means, such as by allowing
samples in qualified adult-only facilities, as FDA does with smokeless
tobacco.
(Response) FDA disagrees that the ban on free samples is
unconstitutional. First, although FDA acknowledges that in Discount
Tobacco, 674 F.3d at 538-39, the Sixth Circuit treated the distribution
of free samples as a form of commercial speech, FDA continues to
believe that distribution of free samples is conduct not speech.
Provisions that regulate conduct without a significant expressive
element do not implicate the First Amendment. See Arcara v. Cloud
Books, Inc., 478 U.S. 697, 706-07 (1986). Additionally, a free sample
ban is akin to a price restriction (i.e., tobacco products cannot be
free)--a ``form[ ] of regulation that would not involve any restriction
on speech.'' 44 Liquormart, Inc. v. Rhode Island, 517 U.S. 484, 507
(1996) (opinion of Stevens, J.). Therefore, the free sample provision
regulates the distribution of a product, and there is no First
Amendment right to distribute free samples of a tobacco product.
Second, even if the distribution of free samples does implicate the
First Amendment, as the Sixth Circuit concluded, the court went on to
uphold the constitutionality of the restriction on free samples of
tobacco products. Discount Tobacco, 674 F.3d at 541. In Discount
Tobacco, as here, the manufacturers of tobacco products argued that the
government failed to show that the ban would directly and materially
advance the government interest of decreasing use of tobacco products
by youth. The manufacturers further argued that even if the sampling
ban were effective, there are less restrictive methods of preventing
youth tobacco use (id. at 538, 541). The Sixth Circuit rejected both
arguments, and held that the government ``presented extensive
documentation that free samples of tobacco products are [an] `easily
accessible source of these products to young people,' . . . and freely
obtainable, even with the tobacco industry's `voluntary codes that
supposedly restrict distribution of free samples to underage persons'''
id. at 541 (quoting 61 FR 44396 at 44460, 45244-45 & nn. 1206-08
(August 28, 1996)). The Court further held that free samples ``may
serve as the best advertisement of all for a product that is
physiologically addictive, and socially attractive to youth'' (id.).
The comments do not attempt to distinguish Discount Tobacco. Here,
where there is a substantial government interest in preventing youth
access to all tobacco products, and the newly deemed products, like the
products considered by the Sixth Circuit Court of Appeals, are also
``physiologically addictive, and socially attractive to youth,''
Discount Tobacco is directly on point. As we stated in the NPRM, the
prohibition against free samples will eliminate a pathway for youth to
access tobacco products, which can help in reducing youth initiation
and therefore short-term and long-term morbidity and mortality
resulting from these products.
Youth are uniquely susceptible to biological, social, and
environmental influences to use and become addicted to tobacco
products. See section X.A. As FDA recognized as early as 1995, ``[f]ree
samples give young people a `risk-free and cost-free way to satisfy
their curiosity' about tobacco products, and, when distributed at
cultural or social events, may increase social pressure on young people
to accept and to use the free samples'' (60 FR 41314 at 41326 (quoting
Ref. 30). For these reasons, we believe it is critical to prohibit the
distribution of free samples of newly deemed tobacco products, which
are highly addictive and can lead to a lifetime of tobacco use, with
attendant adverse health consequences.
FDA received comments noting extensive sampling of some newly
deemed products in venues that may attract youth, including:
The major sellers of e-cigarettes distribute free samples
in venues likely to attract large audiences.
At least eight e-cigarette companies promote their
products through sponsored or sampling events, many of which appear to
be youth-oriented (Ref. 31).
In 2012 and 2013 alone, 6 e-cigarette companies sponsored
or provided free samples at 348 events, many of which were music
festivals and motorsport events geared toward young people--including
Grand Prix auto racing events (id.).
Field research in Oregon found that e-cigarette retailers
include the opportunity to sample the wide variety of flavored nicotine
cartridges in their sales pitches with test stations for free sampling
(Comments of Oregon Health Authority, FDA-2014-N-0189-76358).
As described above and in the NPRM, the free sample provision will
address distribution of newly deemed tobacco products at venues such as
these. Contrary to the assertions in the comments, FDA does not believe
that it could achieve the same results by allowing samples of newly
deemed products in qualified adult-only facilities, as FDA does with
smokeless tobacco. In section 102(a)(2)(G) of the Tobacco Control Act
(21 U.S.C. 387a-1(a)(2)(G)), Congress required FDA to reissue the final
1996 rule (published in the Federal Register of August 28, 1996, 61 FR
44396), with several changes, including the addition of a narrow
exception to the free sample ban to allow for distribution of smokeless
tobacco products in qualified, adult-only facilities (QAOFs). This
exception is very prescriptive and operates only in very limited
instances (e.g., where the product is distributed in a specific type of
temporary enclosed structure with age verification by a law enforcement
officer or a security guard licensed by a governmental entity, and with
the amount of smokeless tobacco per adult consumer subject to specific
portion requirements). If FDA were to extend this exception, in whole
or in part, to other tobacco products (when Congress explicitly
extended the free sample ban to cigarettes and all ``other tobacco
products,'' which would include all future deemed tobacco products and
laid out the qualified adult-only facility exception only for
smokeless), FDA would have to justify such an exception in light of the
potential adverse public health impact of allowing free samples and
determine the particular parameters of the exception as appropriate for
newly deemed tobacco products. This would include, at a minimum,
parameters relating to type of facility, means of access, type(s) of
tobacco products distributed, and portion sizes for each type of
tobacco product for which FDA is creating an exception. Newly deemed
products have been largely unregulated and their markets,
[[Page 28987]]
particularly for novel noncombustible products such as ENDS, are
dynamic. Comments did not provide evidence demonstrating that the
distribution of free samples of newly deemed tobacco products would be
consistent with protecting public health. While there is evidence
suggesting that distribution of tobacco products is harmful (e.g.,
courts have expressed concern that free samples can provide young
people with easy access to tobacco products), FDA has not yet obtained
product-specific evidence and, therefore, cannot set limits for the
quantities or portion sizes of products taken away from a QAOF that are
commensurate with the current exception for smokeless tobacco products.
Therefore, QAOFs could still allow for access to tobacco products in a
manner that will have a negative public health impact.
Prohibiting free samples is a minor restriction on distribution,
and tobacco product manufacturers, distributors, and retailers remain
free to inform consumers about their products. The free sample
prohibition does not interfere with the ability of a manufacturer,
distributor or retailer to communicate truthful and nonmisleading
information to adult consumers. We further address this prohibition and
respond to additional comments in section XI.F.
(Comment 8) Some comments recommended that FDA exempt e-cigarettes
from the prohibition on free samples. In the alternative, the comments
recommended that FDA restrict the circumstances in which free samples
may be given to adult consumers. For example, comments suggested that
FDA require age verification for each recipient of a free sample and
limit the amount of free products that recipients may take away from an
event in which samples are distributed.
(Response) We disagree for the reasons discussed in the response to
the previous comment. As stated in the NPRM, prohibiting free samples
eliminates a pathway to tobacco products for youth, which can help to
reduce initiation and thus decrease morbidity caused by use of tobacco
products (79 FR 23142 at 23149). In addition, the United States Court
of Appeals for the Sixth Circuit previously recognized that FDA has
provided ``extensive'' evidence that free tobacco samples constitute an
``easily accessible source'' for youth (Discount Tobacco City &
Lottery, Inc. v. United States, 674 F.3d 509, 541 (6th Cir. 2012)
(citing 61 FR 44396 at 44460, August 28, 1996), cert. denied sub nom.
Am. Snuff Co., LLC v. United States, 133 S. Ct. 1966 (2013)). With the
growth in the use of ENDS, particularly by youth (see section VIII.B),
a free sample prohibition is necessary to reduce youth access to ENDS
and possibly a transition to combusted tobacco products (see Ref. 23).
b. Modified Risk Tobacco Products
Section 911 of the FD&C Act (21 U.S.C. 387k) prohibits the
introduction or delivery for introduction into interstate commerce of
any MRTP without an FDA order in effect under section 911(g). An MRTP
is a tobacco product that is sold or distributed for use to reduce harm
or the risk of tobacco-related disease associated with commercially
marketed tobacco products; this includes tobacco products, the product
label, labeling, or advertising of which represents that it is less
harmful or presents a lower risk of disease than other tobacco
products.
(Comment 9) A comment from one tobacco company argued that section
911 is unconstitutional on its face. This comment argued, at length,
that FDA's oversight of claims that a particular tobacco product is
safer than others violates the First Amendment--even as applied to
currently regulated products, such as cigarettes.
(Response) Comments addressed to the facial constitutionality of a
statute are generally outside the scope of an agency's rulemaking
authority. Am. Meat Inst. v. U.S. Dep't of Agric., 760 F.3d 18, 25
(D.C. Cir. 2014) (en banc) (``We do not think the constitutionality of
a statute should bobble up and down at an administration's
discretion.''). That said, FDA disagrees with the challenges against
section 911's constitutionality. The Sixth Circuit considered and
unanimously rejected the same argument in Discount Tobacco, 674 F.3d at
531-37, and the Supreme Court denied the manufacturers' petition for a
writ of certiorari (133 S. Ct. 1966 (2013)). As the Sixth Circuit
explained, section 911 requires that a manufacturer establish health
claims for particular tobacco products to FDA before marketing, rather
than allow only post-market review of such claims (674 F.3d at 537
(``it would be a virtual impossibility to unring the bell of
misinformation after it has been rung'')). This provision does not
``infringe significantly on noncommercial speech'' since it leaves
``untouched'' manufacturers' ``ability to make `direct comments on
public issues' '' (id. at 533 (citation omitted)). Instead, the court
held, what section 911 restricts is commercial speech, since it applies
to consumer-directed claims regarding a manufacturer's specific
products (id.). That restriction on commercial speech, the court held,
is constitutional under Central Hudson Gas & Electric Corp. v. Public
Service Commission, 447 U.S. 557 (1980): It advances a substantial
government interest in preventing inaccurate and harmful health claims
about tobacco products of the sort that the industry has made for many
decades, and it is sufficiently tailored because it concerns only
consumer-targeted speech about tobacco products' health effects or
contents and is no more extensive than warranted. Discount Tobacco, 674
F.3d at 534-37. FDA observes that this comment did not address Discount
Tobacco's holding or the Sixth Circuit's analysis.
(Comment 10) A few comments argued that section 911 may violate the
First Amendment if it is applied to ban descriptions of e-cigarettes
and other noncombustible products as ``smokeless'' or ``smoke-free.''
(Response) FDA has carefully considered the comments that argued
that noncombusted products, including ENDS, should be permitted to use
the terms ``smokeless'' and smoke-free'' to describe their products. We
note that section 911 provides that ``No smokeless tobacco product
shall be considered to be [an MRTP] solely because its label, labeling,
or advertising uses the following phrases to describe such product and
its use: `smokeless tobacco,' `smokeless tobacco product,' `not
consumed by smoking,' `does not produce smoke,' `smokefree' [and four
more similar terms].'' However, this provision only applies to
``smokeless tobacco,'' which is explicitly defined in the FD&C Act as
``any tobacco product that consists of cut, ground, powdered, or leaf
tobacco and that is intended to be placed in the oral or nasal cavity''
(section 900(18) of the FD&C Act). ENDS do not fall within that
definition. Moreover, in contrast to ENDS, consumption of ``smokeless
tobacco products,'' as defined, does not require the use of heat,
inhalation of the product into the lungs, or exhalation of constituents
into the close environment. FDA is also aware that some e-cigarettes
are heated to a high enough level to cause combustion of the e-liquid.
For these reasons, and until FDA obtains product-specific evidence, the
Agency will evaluate an ENDS manufacturer's use of ``smokeless'' or
``smoke-free'' (and similar descriptive terms) on a case-by-case basis,
and the Agency will continue to apply the MRTP provisions in a manner
consistent with the statute and Constitution. This case-by-case
approach to ``smokeless,'' ``smoke-free,'' and similar terms is
appropriate as
[[Page 28988]]
applied to ENDS, which encompasses a broad, heterogeneous, and evolving
category of products.
4. Required Warning Labels
This final rule requires advertising and packaging warnings for
newly deemed covered tobacco products and for cigarette tobacco and
roll-your-own tobacco, as authorized by Section 906(d) of the FD&C Act,
21 U.S.C. 387f (d). Packaging and advertising for all newly deemed
products other than cigars must display an addictiveness warning that
states: ``WARNING: This product contains nicotine. Nicotine is an
addictive chemical.'' (Subject to certain requirements, the
manufacturer of a product that does not contain nicotine may use an
alternative warning that states: ``This product is made from
tobacco.'') Packaging and advertising for cigars must display either
the addictiveness warning, or one of five others specified in the rule.
The final rule requires the warnings to appear on at least 30
percent of the two principal display panels of the package, and at
least 20 percent of the area of advertisements. These are the same
warning sizes Congress established for smokeless tobacco in the Tobacco
Control Act: At least 30 percent of smokeless-tobacco packaging's two
principal panels, and at least 20 percent of the area of each
advertisement. 15 U.S.C. 4402(a)(2)(A), (b)(2)(B). In the same Act,
Congress prescribed an even larger size for cigarette warnings: 50
percent of the front and rear panels of cigarette packaging (and the
same 20 percent size for cigarette advertisements) (15 U.S.C.
1333(a)(2), (b)(2)). (The larger warning sizes required for cigarettes
have not yet been implemented, because FDA's initial regulations
implementing a graphics component for cigarette warnings were vacated
by the DC Circuit Court of Appeals in R.J. Reynolds Tobacco Co. v. FDA,
696 F.3d 1205 (D.C. Cir. 2012), overruled on other grounds by Am. Meat
Inst., 760 F.3d at 22-23.)
A detailed discussion of the warning requirements appears in
section XVI.
a. First Amendment Challenges
The required warnings are a form of compelled disclosure, and are
thus subject to First Amendment scrutiny. Milavetz, Gallop & Milavetz,
P.A. v. United States, 559 U.S. 229, 249 (2010); Riley v. Nat'l Fed'n
of the Blind of N.C., Inc., 487 U.S. 781, 797-98 (1988).
(Comment 11) Although the comments generally did not dispute the
need for warning labels, some commenters questioned the accuracy of the
addictiveness warning as applied to cigars, contending that cigar users
do not always inhale.
(Response) Nicotine is ``one of the most addictive substances used
by humans'' (Ref. 7). ``Because the extension of First Amendment
protection to commercial speech is justified principally by the value
to consumers of the information such speech provides,'' the
manufacturers' ``constitutionally protected interest in not providing
any particular factual information in his advertising is minimal.'' Am.
Meat Inst., 760 F.3d at 26 (quoting Zauderer v. Office of Disciplinary
Counsel, 471 U.S. 626, 651 (1985)).
Cigar packaging and advertisements are required to display one of
six warnings, one of which is the addictiveness warning. Research
indicates that most cigar smokers do inhale some amount of smoke, even
when they do not intend to inhale, and are not aware of doing so (Refs.
32, 33). Even when cigar smokers do not breathe smoke into their lungs,
they are still subject to the addictive effects of nicotine through
nicotine absorption (Refs. 32, 34). This is because cigar smoke
dissolves in saliva, allowing the smoker to absorb sufficient nicotine
to create dependence, even if the smoke is not inhaled (Refs. 34, 35).
(Comment 12) A few comments argued that the First Amendment
prohibits a requirement for covered tobacco products to carry warning
labels that cover 30 percent of the two principal display panels of the
packaging. These comments argued that manufacturers have limited space
on packaging to communicate information to consumers, including
branding and marketing information, and that requiring manufacturers to
dedicate 30 percent of that space for a warning is unduly burdensome,
because it prevents manufacturers from using that space to convey their
own messages. The comments argued that the warning label presents a
simple message that could be relayed in a smaller space.
(Response) FDA disagrees. In Discount Tobacco, the Sixth Circuit
considered and rejected the same First Amendment arguments against the
size required by the Tobacco Control Act for cigarette and smokeless
tobacco warnings. Discount Tobacco, 674 F.3d at 567. The court found
ample evidence supporting the size requirements, and held that the
manufacturers failed to show ``that the remaining portions of their
packaging [were] insufficient for them to market their products'' (id.
at 564-66, 567). The comments argued that the requirement that the
warning cover 30 percent of the two principal display panels is unduly
burdensome and would prevent manufacturers of newly deemed products
from communicating information about their products. As in Discount
Tobacco, the comments failed to substantiate that claim with evidence.
Nor did the comments provide evidence that the same size requirements
for smokeless tobacco--which have been in force since 2010--have unduly
burdened the speech of smokeless tobacco manufacturers.
As the court explained in Discount Tobacco, Congress required
larger warnings for smokeless tobacco and cigarettes in the wake of the
Surgeon General's conclusion that existing warnings were ```given
little attention or consideration by viewers''' and IOM's analysis
showing that those warnings ```fail[ed] to convey relevant information
in an effective way.''' Discount Tobacco, 674 F.3d at 562 (quoting
Refs. 3, 7).
The comments contending that the warning label size is burdensome
or unjustified are misplaced for the same reasons identified by the
Discount Tobacco court. After emphasizing that the relevant First
Amendment standard looks only to whether mandatory warnings are
reasonably related to the government's interest, Discount Tobacco, 674
F.3d at 567 (citing Zauderer v. Office of Disciplinary Counsel, 471
U.S. 626, 651 (1985)), the Sixth Circuit held that the required
cigarette warning labels, which were to cover 50 percent of the two
primary panels of cigarette packs (far more than the 30 percent
required here), did not violate the First Amendment because ``[a]mple
evidence supports the size requirement for the new warnings . . . and
Plaintiffs have not shown that the remaining portions of their
packaging are insufficient for them to market their products.'' (674
F.3d at 567; see also id. at 530-31 (Clay, J., concurring in result)
(finding that the government demonstrated that the Tobacco Control
Act's size and placement requirements satisfied Zauderer scrutiny).)
Article 11 of the Framework Convention on Tobacco Control (FCTC),
evidence of a strong worldwide consensus regarding a regulatory
strategy for addressing the serious negative impacts of tobacco
products,\8\ recognized the importance of having warnings cover at
least 30 percent of the area of the two principal display panels. The
European Union (EU) requires that health warnings comprise 30 percent
of the area on the front of the package and 40 percent on the back of
the package
[[Page 28989]]
(2001/37/EC). Users are more likely to recall warnings that are in a
larger size and that appear on the front/major surfaces of the tobacco
product package. (Ref. 7). Before a warning label can help a consumer
better understand and appreciate the risks against which it warns, the
consumer must notice and pay attention to the warning. The likelihood
that a consumer will do so depends upon warning's size and position.
(Refs. 36, 37, 38, 39, 40).
---------------------------------------------------------------------------
\8\ There are 180 parties to the WHO's FCTC as of November 2015.
At this time, the United States is a signatory but has not ratified
this treaty.
---------------------------------------------------------------------------
Some comments sought to support their First Amendment arguments
against the warning label sizes by citing the D.C. Circuit's decision
in R.J. Reynolds v. FDA, 696 F.3d 1205 (D.C. Cir. 2012), which vacated
specific cigarette warnings previously issued by FDA. However, the
decision in Reynolds was based on the graphics components of the
cigarette warnings, not their size. Moreover, the reasoning of the
Reynolds panel decision was overtaken by the D.C. Circuit's more recent
en banc decision in American Meat Institute, 760 F.3d at 22-23.
FDA recognizes that the warning size requirement for covered
tobacco products may present special difficulties for products in
particularly small packages. To address this concern, FDA has added
subsection (d) to Sec. 1143.4. Under Sec. 1143.4(d), a product that
is too small or otherwise unable to accommodate a label with sufficient
space to bear the required warning, printed in the required font size,
may instead carry the warning on the carton or other outer container or
wrapper. In cases where there is no carton or other outer container or
wrapper that is large enough to carry the warning, the product may
carry the warning on a tag firmly and permanently affixed to the
package.
FDA agrees that other warnings on tobacco product packages, such as
a warning regarding the risk of nicotine poisoning (as suggested by one
particular comment), may also provide consumers with important health
risk information. Therefore, elsewhere in this issue of the Federal
Register, FDA has made available draft guidance, which when final will
describe FDA's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products, including recommendations for exposure warnings that
would help to support a showing that a product is appropriate for the
protection of public health. FDA also has issued an ANPRM seeking
comments, data, research, or other information that may inform
regulatory actions FDA might take with respect to nicotine exposure
warnings and child-resistant packaging for certain tobacco products. If
FDA determines that it is appropriate for the protection of the public
health to require such a warning (in addition to the addiction
warning), FDA will consider at that time whether it is necessary to
change the formatting requirements for the addiction warning to ensure
that all warnings are clear and conspicuous.
b. Preemption of State Law Warning Requirements
(Comment 13) A number of comments sought an affirmative statement
from FDA that the NPRM preempts State and local warning requirements. A
few of the comments directly referenced California's reproductive
health warning requirements for products containing nicotine (a notice
mandated by Proposition 65). Many cited the explicit preemption
provisions that apply to cigarettes and smokeless tobacco (see 15
U.S.C. 1334(b) and 4406(b)). One manufacturer argued that it would be
arbitrary and capricious to subject the newly deemed products to a
patchwork of Federal, State, and municipal requirements, while
cigarettes and smokeless tobacco warning requirements are uniform
across States and potentially less stringent. The comment further
argued that it would be particularly unreasonable to subject
noncombusted products to State and local labeling requirements because
(according to the comment) noncombusted products are ``safer than
cigarettes.''
Taking the other side of the issue were comments from public health
groups and a joint comment from 29 State Attorneys General who
advocated for an explicit statement that the NPRM does not preempt
State and local warning requirements, including California's
Proposition 65. At a minimum, they suggested that FDA change the
heading of part 1143 from ``Required Warning Statement'' to ``Minimum
Required Warning Statement'' to indicate that the deeming rule does not
preclude other health warnings.
(Response) Section 916(a)(1) of the FD&C Act (21 U.S.C. 387p)
expressly preserves the authority of State and local governments to,
among other things, enact and enforce laws regarding tobacco products
that are in addition to, or more stringent than, requirements
established under chapter IX of the FD&C Act. The preservation of State
and local governmental authority over tobacco products is limited by
section 916(a)(2) of the FD&C Act, which expressly preempts any State
or local requirement that is different from, or in addition to, any
requirement under chapter IX of the FD&C Act relating to tobacco
product standards, premarket review, adulteration, misbranding,
labeling, registration, good manufacturing practices, or MRTPs.\9\
However, section 916(a)(2)(B) of the FD&C Act states that the express
preemption provision in section 916(a)(2)(A) does not apply to
requirements relating to, among other things, the sale, distribution,
possession, information reporting to the State, exposure to, access to,
the advertising and promotion of, or use of, tobacco products by
individuals of any age. A State or local statute is facially preempted
only if no set of circumstances exists under which the statute would be
valid. (See Comm. of Dental Amalgam Mfrs. & Distribs. v. Stratton, 92
F.3d 807, 810 (9th Cir. 1996).) FDA notified State and local
jurisdictions about the potential impact this rule could have on their
requirements. No State or local laws in effect at the close of the
public comment period were identified that FDA determined would be
preempted by this final rule.
---------------------------------------------------------------------------
\9\ We note that while section 906(e) of the FD&C Act refers to
``good manufacturing practices,'' FDA refers to any regulations that
could be issued under section 906(e) as tobacco product
manufacturing practices.
---------------------------------------------------------------------------
With respect to the argument that it would be arbitrary and
capricious to allow States and localities to subject newly deemed
products to different warning requirements than cigarettes and
smokeless tobacco products, we note that the preemptive effect depends
on the relevant statutes. The preemption provisions of the Federal
Cigarette Labeling and Advertising Act of 1965 (FCLAA) (15 U.S.C. 1334)
and the Comprehensive Smokeless Tobacco Health Education Act of 1986
(CSTHEA) (15 U.S.C. 4406), which apply to cigarettes and smokeless
products, respectively, are significantly different from section 916 of
the FD&C Act. For example, the FCLAA and CSTHEA provisions expressly
preempt State and local regulation of the content of cigarette and
smokeless product advertisements, while section 916(a)(2)(B) of the
FD&C Act exempts State and local advertising restrictions from
preemption.
Separate and apart from the issue of preemption, elsewhere in this
issue of the Federal Register, FDA has made available draft guidance,
which when final will describe FDA's current thinking regarding some
appropriate means of addressing the premarket authorization
requirements for newly deemed ENDS products, including
[[Page 28990]]
recommendations for exposure warnings that would help support a showing
that a product is appropriate for the protection of public health.
Additionally, FDA notes that some ENDS product manufacturers have
voluntarily included exposure warnings on their products. Accordingly,
FDA has changed the heading of part 1143 from ``Required Warning
Statements'' to ``Minimum Required Warning Statements'' in order to
clarify that part 1143 is not intended to prevent tobacco product
manufacturers from including truthful, non-misleading warnings on their
products' packaging or advertisements voluntarily or as a result of FDA
guidance.
III. Use of Premarket Pathways for Newly Deemed Products
As stated in the proposed deeming rule, manufacturers of newly
deemed products that are ``new tobacco products'' as defined in section
910(a)(1) of the FD&C Act will be required to obtain premarket
authorization of their products through one of three pathways--SE.,
exemption from SE., or premarket tobacco product application (PMTAs)
(sections 905 and 910 of the FD&C Act). The substantive requirements of
these provisions are set by statute and, thus, have not changed from
the NPRM. However, FDA has revised the compliance periods for
submitting premarket applications, as discussed in section V.A.
As an initial matter, with this final rule, we are also clarifying
when FDA will consider a document to have been submitted for purposes
of the compliance periods for submission of documents and data required
by the automatic provisions of the statute. In the NPRM, we noted that
the automatic provisions require companies to submit information to
FDA, and we proposed various compliance periods to provide industry
with time to make such submissions (e.g., ``the manufacturer submits a
905(j) report for the product by [effective date of part 1100 plus 24
months]''). As previously discussed publically (see https://www.fda.gov/tobaccoproducts/newsevents/ucm393894.htm), FDA generally relies on the
date of receipt of a submission by FDA's Document Control Center (DCC)
as the date that the document was submitted (not the date that the
submitter sent it). The DCC has been and will continue to be fully
equipped to receive tobacco product submissions (including the number
of submissions expected at the close of compliance periods). Therefore,
regulated entities should ensure that FDA's DCC receives any submission
by the due date or end of compliance period. The time it takes to
review a premarket application is dependent upon the type of
application and the complexity of the product. FDA has taken many steps
to reduce the previous backlog and prevent further backlogs of
marketing applications pending FDA review. FDA intends to act as
expeditiously as possible with respect to all new applications, while
ensuring that statutory standards are met. If an applicant wishes to
discuss a product application, the applicant may request a meeting as
set forth in FDA's final guidance entitled ``Meetings with Industry and
Investigators on the Research and Development of Tobacco Products''
(announced May 25, 2012, 77 FR 31368).
In addition, we are clarifying that FDA distinguishes between a
marketing application that has been ``filed,'' one that ``has been
accepted,'' and one that has been ``submitted'' to FDA. A marketing
application has been ``submitted'' when a complete application is
delivered and received electronically, through the mail, or through a
courier to CTP's Document Control Center (DCC). Once a complete PMTA
application is submitted and received by CTP's DCC, FDA will have 180
days to consider the application as described in section 910(c)(A) of
the Tobacco Control Act. A marketing application ``has been accepted''
after the Agency completes a preliminary review and determined that the
application on its face contains information required by the statutory
and/or regulatory provisions applicable to that type of application. A
marketing application has been ``filed'' after the Agency completes a
threshold review and has determined that a complete, substantive review
is warranted. This filing review occurs only for a PMTA or a modified
risk application and results in either a filing letter or a refusal to
file letter.
A. Background: The Three Pathways To Market a New Tobacco Product
We received a large number of comments addressing the pathways to
market a new tobacco product. Comments from industry argued that the
review process for a new tobacco product is simply too difficult--that
the standard is too high, and that the burden of submitting an
application is too great. Many manufacturers of the newly deemed
products argued that the two alternative pathways--SE and the SE
exemption--are not available to them because there is no predicate to
which they can claim SE. We address these comments in the following
sections.
Under section 910 of the FD&C Act, manufacturers must receive FDA's
permission to market new, including newly modified, tobacco products in
the United States. The provision applies to all tobacco products
covered by the FD&C Act, however, those that were commercially marketed
in the United States on February 15, 2007 (the grandfather date) do not
constitute new tobacco products and therefore do not require such
premarket authorization. See section 910(a) of the FD&C Act (defining
``new tobacco product'' as any tobacco product (including those
products in test markets) that was not commercially marketed in the
United States as of February 15, 2007, or has been modified since that
date).
Products that were introduced or modified after the grandfather
date may seek permission to market under one of three pathways. The
manufacturer may submit a PMTA, which is an application that requires
the manufacturer to provide information about the product, including
ingredients, additives, properties, manufacture, processing, labeling,
and health risks, among other things (section 910(b) of the FD&C Act).
FDA will grant permission to market the new product if the PMTA shows
that it would be appropriate for the protection of the public health,
among other things (section 910(c)(2) of the FD&C Act; see also section
910(c)(4) (requiring FDA to consider the risks and benefits to both
users and nonusers, and explicitly requiring FDA to consider the effect
of marketing the product on the likelihood that existing users of
tobacco products will stop using them, and the likelihood that nonusers
of tobacco products will start)). Whether the marketing of a product is
appropriate for the protection of the public health will be evaluated
on a case-by-case basis (in accordance with Section 910(c)(4) of the
FD&C Act) and with consideration of the continuum of risk of nicotine-
delivering products. The statute instructs FDA to base its findings
regarding whether marketing the tobacco product would be appropriate
for the protection of public health on well-controlled investigations,
which may include one or more clinical investigations, where
appropriate. However, it also allows FDA to authorize that its findings
be made on the basis of valid scientific evidence other than controlled
studies if FDA finds such other evidence sufficient to evaluate the
tobacco product (section 910(c)(5) of the FD&C Act). We received
several comments addressing the burden the PMTA application places on
manufacturers, including the expense and time that clinical studies
require.
[[Page 28991]]
Elsewhere in this issue of the Federal Register, FDA is announcing the
availability of a draft guidance, which when final will provide the
Agency's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products, including specific recommendations concerning how to
support a showing that the marketing of a new tobacco product is
appropriate for the protection of the public health.
The second pathway to market is the SE pathway, which allows for a
manufacturer to apply for permission to market a tobacco product that
it demonstrates is ``substantially equivalent'' to a tobacco product
that was marketed on the grandfather date or to a product previously
found substantially equivalent (the ``predicate'') (section
910(a)(2)(A) and section 905(j) of the FD&C Act). To receive marketing
authorization under the SE pathway, a manufacturer must submit an
application that shows that the product to be marketed has the same
characteristics as the predicate tobacco product or has different
characteristics and the information submitted contains information,
including clinical data if deemed necessary by the Secretary, that
demonstrates that it is not appropriate to regulate the product under
section 910 because the product does not raise different questions of
public health (section 910(a)(3)(A) of the FD&C Act). The statute
defines ``characteristics,'' for this purpose, as the materials,
ingredients, design, composition, heating source, or other features of
a tobacco product (section 910(a)(3)(B) of the FD&C Act).
As new tobacco products continue to evolve from the cigarettes and
smokeless tobacco that were on the market on the grandfather date, the
SE pathway may not be available for some new products. The availability
of the SE pathway for the newly deemed products was the subject of many
comments, with some arguing that a different, later grandfather date
should be adopted, and others arguing there should be no change in the
grandfather date and that the newly deemed products should proceed
through the PMTA pathway if no appropriate predicate is available.
Under the third pathway, a product may be exempted from the SE
requirements if the only change to the product is a minor change and
that change only involves a change to an additive in a tobacco product
that can be sold under the FD&C Act, for which an SE report is not
necessary and where the exemption is otherwise appropriate, as
discussed in section 905(j)(3) of the FD&C Act.
B. Interpretation of Substantial Equivalence
(Comment 14) Some comments argued that FDA should interpret
``substantial equivalence'' broadly so that newly deemed products could
avoid what the comments characterize as the more burdensome new tobacco
product application (PMTA) pathway with a showing that the product has
some similar characteristics to the predicate products.
(Response) FDA disagrees. SE is explicitly defined in section
910(a)(3) of the FD&C Act, which provides, in relevant part, that the
term ``substantially equivalent'' or ``substantial equivalence'' means
that the Secretary by order has found that the tobacco product: (1) Has
the same characteristics as the predicate tobacco product or (2) has
different characteristics and the information submitted contains
information, including clinical data if deemed necessary by the
Secretary, that demonstrates that it is not appropriate to require a
PMTA because the product does not raise different questions of public
health. Section 910(a)(3)(B) provides that the term ``characteristics''
means the materials, ingredients, design, composition, heating source,
or other features of a tobacco product. A product must have the same
characteristics--all of the same characteristics--as the predicate
product, to be found substantially equivalent under section
910(a)(3)(A)(i) of the FD&C Act or if the new product has different
characteristics FDA must find that the new product does not raise
different questions of public health under section 910(a)(3)(A)(ii).
FDA notes that for newly deemed products about which concerns have
been raised with respect to the availability of an appropriate
predicate--e.g., e-cigarettes--many of these products have entirely
different characteristics from traditional tobacco products. As such, a
manufacturer would need to satisfy section 910(a)(3)(A)(ii) (i.e.,
demonstrate that the new product does not raise different questions of
public health as compared to the predicate). FDA is continuing to
research e-cigarettes, other ENDS, and heated cigarette products that
likely were on the market on February 15, 2007, and is working to
determine the availability of such products for comparison. FDA
determined that some e-cigarettes were manufactured in 2006 and
introduced into the United States in early 2007. In particular, we have
identified a non-flavored e-cigarette (also marketed as an ``e-cigar'')
that may have been on the market on February 15, 2007. This product may
possibly be able to serve as an appropriate predicate for purposes of
the SE pathway. The burden of demonstrating that a valid predicate
exists rests with the manufacturer submitting a SE report. To
facilitate the determination that a product is eligible as a predicate
for an SE application, any individual who has evidence that an e-
cigarette or other tobacco product was commercially marketed in the
United States on February 15, 2007, is encouraged to contact the Agency
at 1-877-CTP-1373. Regardless of the predicate selected for comparison,
manufacturers are responsible for providing scientific data adequate to
demonstrate that, in the case of an SE Report, the characteristics are
the same or, if the characteristics are different, these differences do
not cause the new product to raise different questions of public
health. It should also be noted that, where the predicate and new
products are in a different category or subcategory, the evidence
needed to obtain marketing authorization through the PMTA pathway may
be similar to gather and submit than that needed for the SE pathway.
For example, as stated in the NPRM, it is possible that an applicant
may not need to conduct any new nonclinical or clinical studies for
PMTA, while in other cases, such as where there is limited
understanding of a product's potential impact, nonclinical and clinical
studies may be required for market authorization. In cases where no new
nonclinical or clinical studies are needed, the effort associated with
gathering and submitting a PMTA may not be materially greater than that
for an SE Report.
As stated earlier, the FD&C Act does not place limitations on which
pathway manufacturers can use to seek market authorization for a new
product. Thus, manufacturers may choose to submit applications under
any of the three legal pathways. To obtain marketing authorization
under the PMTA pathway, manufacturers are required to establish, among
other things, that permitting their products to be marketed would be
appropriate for the protection of public health. In establishing this,
manufacturers should take into account, and FDA will consider, the ways
in which the new product is likely to be used. For example, PMTAs for
these products should contain information on whether the product is
likely to be used alone or together with other legally
[[Page 28992]]
marketed tobacco products (such as available delivery systems), as well
as the type and range of other products with which it is likely to be
used.
For example, where a manufacturer seeks authorization of a new e-
liquid to be used with ENDS, the manufacturer may need to provide
evidence and analysis of the product's likely impact when used in the
range of delivery systems available. Similarly, a manufacturer seeking
authorization of a stand-alone apparatus component--such as a heating
coil or cartridge--may need to provide evidence and analysis of the
product's likely impact when used together with the range of other
components and liquids available.
In the case of e-liquids, FDA expects that it may be possible for
manufacturers to satisfy the statute by demonstrating that marketing of
the liquid is appropriate for the protection of public health as it may
be used in any of the legally available delivery systems. While FDA
recognizes that there may remain some degree of uncertainty in any such
analysis, FDA expects that the range of delivery system specifications
authorized by FDA will provide a sufficiently specific spectrum of
possibilities, such that a meaningful public health impact analysis can
be done.
In the case of ENDS hardware/apparatus components, FDA expects that
it may be difficult for manufacturers to make the showing necessary to
meet the statutory standard, given the great extent of possible
variations in combinations of hardware components, if all are
considered and sold separately. Thus, with respect to apparatus, FDA
expects that manufacturers will be most successful where authorization
is sought for entire delivery systems, rather than individual
components. In the case of these complete delivery systems--systems for
which the application covers all potential parts, including
customizable options as applicable, and where labeling, instructions
for use and/or other measures are used to help ensure use as intended--
FDA expects that the range of possible outcomes may be narrow enough
for the manufacturer to demonstrate, and for FDA to assess, public
health impact.
(Comment 15) Some comments asserted that under section
910(a)(3)(A)(ii) of the FD&C Act, certain categories of products should
easily meet the SE standard because the products, overall, are
beneficial to public health when compared to traditional, combustible
cigarettes.
(Response) The issue of whether a product or certain categories of
products may be beneficial to an individual is different than whether a
category of products, overall, has a net positive benefit on population
health. As explained in the NPRM, a category of products may benefit
some individual tobacco users but may not have an overall net
population health benefit if it leads to increased tobacco product
initiation or dual use. In any event, this is a consideration relevant
under the PMTA standard, not the SE standard.
Under section 910(a)(3)(A)(ii), a product can be found
substantially equivalent to a predicate product even if it does not
share all of the same characteristics of the predicate, if the
information submitted contains information, including clinical data if
deemed necessary by the Secretary, that demonstrates that it is not
appropriate to require a new product application because the product
does not raise different questions of public health as compared to the
predicate.
FDA will authorize the marketing of products through the SE pathway
that meet the applicable standards in the FD&C Act. However, the SE
pathway is a comparison between a new tobacco product and a predicate
identified by the submitter, not an evaluation of whether the product
is appropriate for the protection of the public health more generally
as would be conducted under an application under section 910(b) (i.e.,
a PMTA). Therefore, some differences between new and predicate products
may not be appropriate for an SE Report, and the product instead is
more suited to seeking authorization using a PMTA. Additionally, as the
SE pathway is a specific comparison between a predicate and a new
tobacco product, it does not necessarily provide a pathway to market
for entire categories of products. Rather, under section
910(a)(3)(A)(ii), an application for SE must show that any differences
in characteristics between the product and the predicate ``do not raise
different questions of public health.''
(Comment 16) A small number of comments argued that newly deemed
products should be permitted to be marketed under the SE pathway even
if they do not share the same characteristics as the claimed predicate.
(Response) The statute does allow for applicants to use the SE
pathway for new tobacco products that have different characteristics
than the predicate product. To receive a marketing authorization under
the SE pathway, these applicants must show that the new product has
different characteristics and the information submitted contains
information, including clinical data if necessary, to show that the
product does not raise different questions of public health (section
910(a)(3)(A)(ii)).
(Comment 17) A few comments argued that section 910(a)(3)(A)(ii)
allows for cross-category comparisons (i.e., applicants may provide a
comparison to predicate products from similar (but not identical)
tobacco product categories).
(Response) It is up to the manufacturer to select an appropriate
predicate tobacco product and provide the scientific evidence
demonstrating SE. If the manufacturer provides scientific evidence and
a rationale that demonstrates to FDA that the new product does not
raise different questions of public health than the predicate (even
though there are differences from the predicate product), FDA could
issue an SE order. However, manufacturers of cigars or ENDS would have
great difficulty showing that a product is substantially equivalent to
a combusted cigarette or a smokeless tobacco product. For example, if
FDA received an SE Report for a new product that is an ENDS closed
aerosol generating apparatus and a predicate product that is a filtered
combusted cigarette, then the product characteristics between the new
and predicate products would be different. Because of the differences
in characteristics in this example, a significant amount of scientific
evidence would be needed to demonstrate that the new product does not
raise different questions of public health. Such evidence, as discussed
in FDA's 2011 Guidance titled ``Section 905(j) Reports: Demonstrating
Substantial Equivalence,'' could include but would not be limited to
the following: (1) Smoke yield data from HPHCs, (2) actual use data
demonstrating how smoke topography compares between the new and
predicate products, (3) actual use data demonstrating how the amount of
product use varies between the new and predicate products (e.g., number
of puffs per day), and (4) marketing data indicating how consumer
perception (product appeal) by youth differs between the new and
predicate products. In these cases, it would be difficult to show that
the differences between the product and the predicate product are such
that the product ``does not raise a different question of public
health.''
In addition, the evidence required to make such a showing may be as
substantial or even greater than the evidence required under the PMTA
pathway (section 910(b)), and the PMTA pathway allows for different
effects on public health--as long as the applicant
[[Page 28993]]
provides a demonstration that the product is appropriate for the
protection of the public health. Nevertheless, there is nothing in the
statute to prohibit the attempted use of cross-category comparisons in
an SE submission, but it is the responsibility of the manufacturer to
provide appropriate and sufficient evidence to support a finding of SE.
(Comment 18) A few comments from industry argued that FDA should
interpret ``substantial equivalence'' as the term is applied to medical
devices under section 510(k) of the FD&C Act (21 U.S.C. 360(k)), which
does not require premarket review for what the comments refer to as
``even the slightest change to a predicate.''
(Response) FDA's interpretation of SE with respect to medical
devices is based on a different statutory section than is applicable to
tobacco products. FDA has issued guidance interpreting SE within the
meaning of section 910 of the FD&C Act.
C. Comments on the Grandfather Date
We received numerous comments on the February 15, 2007, grandfather
date and the challenges it may present to certain categories of the
newly deemed products. We address those comments as follows.
Lack of Authority To Change the Grandfather Date to a Later Date.
As stated in the NPRM, FDA has determined that it lacks authority to
change the grandfather date, which is set by statute (79 FR 23142 at
23174). FDA specifically asked for comments on our legal
interpretation. We received a large number of comments in response to
this statement, but none provided a legal theory that would support
changing the date.
(Comment 19) A number of comments argued that adoption of a later
grandfather date would be an acceptable exercise of FDA's discretion
under section 701(a) of the FD&C Act, which provides FDA authority to
issue regulations ``for the efficient enforcement'' of the statute.
Others argued that an alternative date would be a permissible Agency
interpretation of the statute, subject to deference under the Chevron
doctrine. (See Chevron U.S.A., Inc. v. NRDC, 467 U.S. 837 (1984).)
(Response) After careful consideration of these comments, FDA
concludes that it lacks authority to change the grandfather date for
the newly deemed products. The grandfather date is prescribed in the
statute. Section 910(a)(1)(A) of the FD&C Act states, in pertinent
part, that the term ``new tobacco product'' means any tobacco product
(including those products in test markets) that was not commercially
marketed in the United States on February 15, 2007. For purposes of the
SE pathway, the statute also clearly states that a predicate product
must be commercially marketed (other than for test marketing) in the
United States on February 15, 2007, in both section 910(a)(2)(A) and
section 910(j)(1). FDA's authority is not so broad as to allow FDA to
issue a regulation that contradicts a clear statutory provision.
Many comments cited examples of FDA's exercise of discretion to
show that FDA can and should exercise discretion to change the
grandfather date. For example, comments pointed to FDA's decision to
extend compliance deadlines, as well as FDA's guidance informing
industry that it does not intend to take enforcement action against
manufacturers who make tobacco blending changes without a premarket
submission for a new tobacco product when such tobacco blending changes
are intended to address the natural variation of tobacco (e.g., tobacco
blending changes due to variation in growing conditions). However, the
exercise of discretion reflected in these examples did not require FDA
to contradict the clear language of the Tobacco Control Act, as
changing the grandfather date would.
(Comment 20) A number of comments argued that the February 15,
2007, date in section 910 of the FD&C Act is simply an anachronism,
that the date was only intended to apply to the initially regulated
products, and the fact that the statutory language does not provide a
different date is simply a drafting error.
(Response) FDA disagrees and is aware of no evidence supporting
this view. Congress carefully distinguished those provisions of the
statute that would apply to all tobacco products from those that would
apply only to the initially regulated products or, in some cases, only
to traditional cigarettes. (See, e.g., section 102(a)(1) of the Tobacco
Control Act (requiring FDA to issue a rule establishing restrictions on
the sale and distribution of cigarettes and smokeless tobacco, with
certain different provisions for the two categories of products).) If
Congress had intended that there be a later grandfather date for
tobacco products deemed subject to the statute after its date of
enactment, it would have provided one.
(Comment 21) Some comments argued that application of the February
15, 2007, date is unfair to the manufacturers of the newly deemed
tobacco products (particularly e-cigarettes) because they were not on
notice of pending regulation and they contended that ``all newly deemed
products will be forced from the market.'' Thus, they argue, decisions
were made to invest in an industry that was presumed to be unregulated,
and now the industry must bear unanticipated costs.
(Response) FDA disagrees with comments stating that all newly
deemed products will be forced to be removed from the market as some
newly deemed products will qualify as ``grandfathered'' products under
the statute and any that are not grandfathered will be able to apply
for premarket authorization. The Tobacco Control Act plainly provides
for regulation of all tobacco products. FDA also clearly stated its
intention to deem these products long before the NPRM was published
(see Unified Agenda, Spring 2011, RIN 0910-AG38). Therefore,
manufacturers of the newly deemed products have been on notice for more
than 4 years that these products could and likely would be regulated.
The ENDS industry has acknowledged that it was aware of both FDA's
intention to regulate ENDS and the applicability of the Tobacco Control
Act to e-cigarettes and other ENDS, as evidenced by the litigation in
Smoking Everywhere, Inc. v. Food & Drug Administration, 680 F. Supp.2d
62 (D.D.C. 2010), affirmed by Sottera, Inc. v. Food & Drug
Administration, 627 F.3d 891 (D.C. Cir. 2010), which was pending during
the passage of the Tobacco Control Act. When FDA attempted to regulate
e-cigarettes as a drug-device combination, plaintiffs Sottera (doing
business as NJOY) and Smoking Everywhere argued that Congress intended
for tobacco products, including their own, to be subject to the Tobacco
Control Act and not to the drug and device provisions of the FD&C Act.
The district court described plaintiffs' position as follows: ``In FDA
v. Brown and Williamson Tobacco Corp., the Supreme Court held that
tobacco products, like traditional cigarettes, are not subject to FDA
regulation as a drug or device. [529 U.S. 120 (2000).] Because
electronic cigarettes, as marketed by plaintiffs, are the functional
equivalent of traditional cigarettes, plaintiffs contend that FDA
cannot regulate their products [as combination drug-device products].
They further contend that Congress's recent enactment of the [Tobacco
Control Act] supports their argument. Under the [Act], FDA may now
regulate tobacco products, which the Act defines as ``any product made
or derived from tobacco that is intended for human consumption,'' . . .
but it cannot regulate those products as it would a
[[Page 28994]]
drug or device under the FDCA[.] There being no dispute that the
nicotine in plaintiffs' electronic cigarettes is naturally distilled
from actual tobacco and is intended for human consumption, . . .
plaintiffs assert that their electronic cigarettes qualify as a tobacco
product and are therefore exempt from regulation as a drug-device
combination.'' (Smoking Everywhere v. FDA, 680 F. Supp. 2d 62, 66-67
(D.D.C. 2010).)
The district court found that, ``it is apparent from Congress's
broad definition of `tobacco product' that it intended the Tobacco
Act's regulatory scheme to cover far more than the fixed array of
traditional tobacco products[.]'' (Id. at 71.) ENDS manufacturers were
made especially aware of FDA's authority to deem their products and
subject them to the tobacco control authorities of the FD&C Act when
the court noted that ``. . . now that FDA has regulatory power over
electronic cigarettes through the Tobacco Act, any harm to the public
interest or to third parties caused by an injunction that merely
forbids FDA from regulating electronic cigarettes as a drug-device
combination is greatly diminished.'' (Id. at 77-78.)
On appeal, the D.C. Circuit affirmed, commenting that ``the Tobacco
Act provides the FDA with regulatory authority over tobacco products
without requiring therapeutic claims. . . . [T]he act broadly defines
tobacco products as extending to `any product made or derived from
tobacco.' '' Sottera, Inc. v. Food & Drug Administration, 627 F.3d 891,
897 (D.C. Cir. 2010) (quoting 21 U.S.C. 321(rr)(1); emphases added by
the court). The D.C. Circuit went on to state that ``the [lower] court
rightly found that the FDA has authority under the Tobacco Act to
regulate electronic cigarettes''--authority that, it added, was
``unquestioned.'' Id. at 898.
(Comment 22) Some comments argued that FDA previously exercised
enforcement discretion to amend the grandfather date of the reissued
1996 rule (published in the Federal Register of August 28, 1996, 61 FR
44396) with respect to use of a trade or brand name of a nontobacco
product for cigarettes or smokeless tobacco products and argued that
FDA has the authority to take similar action with respect to the SE
grandfather date.
(Response) FDA disagrees. In section 102 of the Tobacco Control
Act, Congress required FDA to reissue the 1996 final rule regarding
cigarettes and smokeless tobacco identical to the original rule (61 FR
44396 at 44615 through 44618), with certain enumerated exceptions.
Congress did not list the grandfather date for the use of nontobacco
brand-names as one of the exceptions. Nonetheless, the Agency issued a
compliance policy stating that it did not intend to enforce the January
1, 1995, grandfather date for the use of a nontobacco brand name while
considering what changes to the regulation, if any, would be
appropriate. Section 102(a)(4) also gave FDA authority to amend its own
rule. On November 17, 2011, FDA issued the proposed brand name rule (76
FR 71281) seeking to exercise its authority to amend the January 1,
1995, date that was originally included in 21 CFR 897.16(a) to June 22,
2009, in recognition of the fact that 14 years elapsed since the
publication of the 1996 final rule. Using the January 1995 date would
have significantly changed the provision, from one that was intended to
apply prospectively to one that applies retroactively. The statute does
not give FDA similar authority to change the provisions in section 910
of the FD&C Act to amend the grandfather date.
D. Impact of Premarket Requirements
(Comment 23) Numerous comments argued that if the SE pathway is not
available for some newly deemed products, manufacturers will have to
use the PMTA pathway, will not have sufficient resources to complete
PMTAs, and will be forced to remove their products from the market.
Members of the e-cigarette industry further argued that removal of
their products would be detrimental to public health. However, other
comments expressed concern regarding any delay in implementing and
enforcing the premarket review requirements given the data showing the
growing use of the newly deemed products, particularly among youth and
young adults.
(Response) As an initial matter, FDA notes that the primary
premarket pathway for new tobacco products is the premarket tobacco
product application pathway, and that the SE and SE exemption pathways
are exceptions to that pathway, but manufacturers can choose to submit
applications under any of the three pathways for which they think they
can meet the criteria in the FD&C Act for marketing authorization for a
new product. See section 910(a)(2)(A) of the FD&C Act stating that an
order for a new tobacco product is required unless the Secretary has
issued an order that the tobacco product is substantially equivalent to
tobacco product commercially marketed. The SE pathway is not intended
to be available to every product. Rather, by its terms, the SE pathway
is limited to products that can be shown to be substantially equivalent
to a product that was on the market on the grandfather date. If that
showing cannot be made, the appropriate premarket pathway is the
premarket tobacco product application pathway.
To obtain marketing authorization under the PMTA pathway,
manufacturers are required to establish, among other things, that
permitting their products to be marketed would be appropriate for the
protection of public health. In establishing this, manufacturers should
take into account, and FDA will consider, the ways in which the new
product is likely to be used. We also note that, elsewhere in this
issue of the Federal Register, FDA has made available draft guidance,
which when final will describe FDA's current thinking regarding some
appropriate means of addressing the premarket authorization
requirements for newly deemed ENDS products. Should firms have specific
questions regarding application content and information necessary to
satisfy the filing criteria under section 910(b) or ways to reduce
burden by reference to another submission, they may contact CTP's OS at
1-877-CTP-1373.
For example, where a manufacturer seeks authorization of a new e-
liquid to be used with ENDS, the manufacturer may need to provide
evidence and analysis of the product's likely impact when used in the
range of delivery systems available. Similarly, a manufacturer seeking
authorization of a stand-alone apparatus component--such as a heating
coil or cartridge--may need to provide evidence and analysis of the
product's likely impact when used together with the range of other
components and liquids available.
In the case of e-liquids, FDA expects that it may be possible for
manufacturers to satisfy the statute by demonstrating that marketing of
the liquid is appropriate for the protection of public health as it may
be used in any of the legally available delivery systems. While FDA
recognizes that there may remain some degree of uncertainty in any such
analysis, FDA expects that the range of delivery system specifications
authorized by FDA will provide a sufficiently specific spectrum of
possibilities, such that a meaningful public health impact analysis can
be done.
In the case of ENDS hardware/apparatus components, FDA expects that
it may be difficult for manufacturers to make the showing necessary to
meet the statutory standard, given the great extent of possible
variations in combinations of
[[Page 28995]]
hardware components, if all are considered and sold separately. Thus,
with respect to apparatus, FDA expects that manufacturers will be most
successful where authorization is sought for entire delivery systems,
rather than individual components. In the case of these complete
delivery systems--systems for which the application covers all
potential parts, including customizable options as applicable, and
where labeling, instructions for use and/or other measures are used to
help ensure use as intended--FDA expects that the range of possible
outcomes may be narrow enough for the manufacturer to demonstrate, and
for FDA to assess, public health impact.
FDA also notes that many comments from the ENDS industry emphasized
the potential public health benefits of these products in their
comments on the NPRM. For example, numerous industry comments argued
that restrictions on access to the newly deemed products would be
detrimental to public health, as the products may be less toxic than
conventional cigarettes and may be successfully used as a cessation
product. FDA's consideration of public health benefits of products will
be included in FDA's review of PMTAs based on the evidence.
(Comment 24) A few comments expressed concern that if manufacturers
would be forced to submit PMTAs rather than SE applications, they would
need to conduct more animal studies to meet PMTA requirements.
(Response) FDA shares an interest in reducing the reliance on
animal-based studies, and the Agency is committed to the three ``Rs''
of reduction, refinement, and replacement in animal testing. Although
we are hopeful that in vitro assays and computer models can ultimately
help to replace much of the need for animal testing, there are still
many areas for which non-animal testing is not yet a scientifically
valid and available option. FDA is committed to addressing concerns
raised regarding use of animal testing methods, while still ensuring
that the Agency satisfies its public health and patient safety
responsibilities and acts in accordance with its governing statutes.
(Comment 25) One comment stated that e-cigarettes have two
variables--the ratio of the propylene glycol to vegetable glycerin and
the level of nicotine in the product--which would result in many
combinations and, therefore, require submission of numerous, very
costly PMTAs for products that have very minor variations. In contrast,
one comment noted that the lower number of ingredients in e-cigarettes
means that less information will be required in PMTAs for e-cigarettes
than for other products.
(Response) The requirements and costs of a PMTA may vary based on
the type and complexity of the product. Variations in the ratio of
ingredients, such as propylene glycol and glycerin, would indicate that
products have different levels of each of these ingredients. As stated
in section 910(a)(1)(B) of the FD&C Act, any change in an ingredient
level, as with additions or removal of ingredients, yields a new
tobacco product.
We also note that the statute requires FDA to review PMTAs based on
well-controlled investigations, ``when appropriate,'' or other valid
scientific evidence sufficient to evaluate the tobacco product. In
addition, elsewhere in this issue of the Federal Register, FDA has made
available draft guidance, which when final will describe FDA's current
thinking regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products. Should firms
have specific questions regarding application content and information
necessary to satisfy the filing criteria under section 910(b) or ways
to reduce burden by reference to another submission, they may contact
CTP's OS at 1-877-CTP-1373.
(Comment 26) Many comments stated that a requirement to prepare
PMTAs for all of the many parts and components that go into some of the
newly deemed tobacco products would create an effective ban of these
products.
(Response) The definition of a tobacco product includes components
and parts, and these products are subject to the automatic provisions
of the FD&C Act, including premarket authorization requirements.
However, at this time, FDA intends to limit enforcement of the
premarket authorization provisions to finished tobacco products. In
this context, a finished tobacco product refers to a tobacco product,
including all components and parts, sealed in final packaging intended
for consumer use (e.g., filters or filter tubes sold separately to
consumers or as part of kits). For example, an e-liquid sealed in final
packaging that is to be sold or distributed to a consumer for use in a
finished tobacco product will be subject to enforcement if it is on the
market without authorization. In contrast, an e-liquid that is sold or
distributed for further manufacturing into a finished ENDS product is
not itself a finished tobacco product. At this time, FDA does not
intend to enforce the premarket authorization requirements against such
e-liquids or other components and parts of newly deemed products that
are sold or distributed solely for further manufacturing without a
marketing order.
(Comment 27) Many expressed concern that requiring cigars to comply
with the PMTA requirements would either force cigars off the market or
require them to mimic cigarettes in uniformity of size, shape, and
taste, which would change the fundamental nature of the cigar industry.
At least one comment stated that FDA should eliminate the premarket and
SE application requirements for cigars and instead implement a system
by which cigar manufacturers could introduce new products to the market
after providing 90 days' notice to FDA of their intentions to do so.
(Response) FDA disagrees. Sections 905 and 910 of the FD&C Act
establish specific requirements that apply to new tobacco products
before they may be marketed. Some cigars may be grandfathered and other
products may have valid predicate products and may be able to avail
themselves of the SE pathway to market. FDA generally expects that
cigars with blending changes (other than blending changes to address
the natural variation of tobacco, FDA's policy for which is discussed
in the response to Comment 28) will be able to successfully use the SE
pathway so long as the blending change does not significantly raise
levels of HPHCs in the product (i.e., raising different questions of
public health). If a product is unable to utilize the SE pathway and is
not eligible for an SE exemption, the statute requires the product
(including limited or seasonal blends) to obtain a marketing
authorization through the PMTA pathway. As explained previously, the
requirements of a particular PMTA may also vary based on the type and
complexity of the product. If an applicant wishes to discuss a product
application, the applicant may request a meeting as set forth in FDA's
final guidance entitled ``Meetings with Industry and Investigators on
the Research and Development of Tobacco Products'' (announced May 25,
2012, 77 FR 31368).
(Comment 28) A number of comments discussed the natural variability
in the tobacco used for cigars and pipe tobacco, stating that because
the characteristics of tobacco used for each of these products can vary
from year to year, manufacturers must use different blends to create a
consistent product. Some comments expressed concerns that each blending
change could result in a new product for which manufacturers and
importers would be
[[Page 28996]]
required to submit a PMTA. They also stated that this would be
economically unfeasible for limited editions and special releases for
cigars and pipe tobacco. Others expressed concerns that tobacco
blending changes and natural variations of the tobacco used in the
product, such as the number of ribs or perforations in a cigar wrapper,
may produce different results for HPHC testing of the same product.
These comments advocated that cigars and pipe tobacco should be either
excluded from the ingredient listing, HPHC listing, and premarket
review requirements or manufacturers should be allowed to make tobacco
blending changes without being required to submit a marketing
application or comply with HPHC testing and reporting requirements.
(Response) FDA is aware that the tobacco used to produce some of
the newly deemed products can naturally vary from year to year. As
stated in section IV.C.1, FDA does not intend to enforce the premarket
authorization requirements where manufacturers make tobacco blending
changes without premarket authorization for tobacco blending changes to
address the natural variation of tobacco (e.g., tobacco blending
changes due to variation in growing conditions) in order to maintain a
consistent product. However, FDA does intend to enforce the premarket
authorization requirement for tobacco blending changes that are
intended to alter the chemical or perception properties of the new
product (e.g., nicotine level, pH, smoothness, harshness, etc.)
compared to the predicate product, and such changes should be reported
under 910 or 905(j). In addition, FDA intends to issue a guidance
regarding HPHC reporting under section 904(a)(3), and later a testing
and reporting regulation as required by section 915, with enough time
for manufacturers to report given the 3-year compliance period for HPHC
reporting. As noted elsewhere in this document, FDA does not intend to
enforce the reporting requirements under section 904(a)(3) for newly
deemed products before the close of the 3-year compliance period, even
if the HPHC guidance is issued well in advance of that time.
Additionally, changes made to the number of ribs or perforations in a
cigar wrapper as well as any changes to ingredients or additives, would
result in a new tobacco product (as stated in section 910(a)(1)(B)) and
would require a marketing application and authorization under section
910 or 905(j). FDA intends to enforce other applicable requirements
(e.g., ingredient listing) against manufacturers making blending
changes to address the natural variation of tobacco.
(Comment 29) Some comments stated that small companies are at a
competitive disadvantage compared to larger companies because they do
not have the resources to complete PMTAs. They feared that FDA's
premarket requirements would force many companies to remove their
products from the market and that, as a result, cigarette use would
increase. To address these concerns, comments suggested that FDA
stagger requirements based on the size of the business to protect small
businesses and spur innovation. They stated that staggered compliance
periods could be based on the number of employees in the business,
number of products the business has, and/or the product's placement on
the continuum of risk. In addition, some comments stated that such
staggered dates could be based on FDA's issuance of final PMTA guidance
for each product category, which would allow for more meaningful and
complete submissions. They also stated that, because such guidance
likely would include issues of first impression, the Agency is required
to first issue the guidance in draft form before issuing a final
guidance. Some comments stated that staggered PMTA compliance periods
may not be sufficient to address the competitive disadvantage of small
companies because they still would not have the resources to complete a
PMTA for each of their new tobacco products.
Other comments believed that premarket requirements should apply
equally to all manufacturers, regardless of size, for several reasons.
First, they explained that the FD&C Act states that the purpose of a
PMTA is to ensure that permitting marketing of a tobacco product would
be ``appropriate for the protection of the public health'' (section
910(c)(2)(A)) and that this public health purpose should outweigh
concerns regarding small businesses. The comments noted that the public
health purpose of the Tobacco Control Act does not differentiate
between large and small businesses. Second, they stated that the public
health concerns presented by products of small manufacturers are no
less significant than the public health concerns presented by products
of large manufacturers. They also noted that small manufacturers may
lack the quality control processes that they believed large
manufacturers already have in place. They also noted that many small
businesses are e-cigarette retail establishments that mix their own e-
liquids, which can be accessible to children and potentially subject to
tampering and, therefore, should not receive additional time to comply
with critical automatic requirements. Third, they stated that Congress
did not intend for small manufacturers to have additional time to
comply with all of the automatic provisions under the law once they are
deemed. Instead, Congress only intended that small manufacturers
receive additional time to comply with good manufacturing practices
under section 906(e)(1)(B) of the FD&C Act and testing requirements
under section 915(d) (21 U.S.C. 387o). If Congress had intended for
small manufacturers to receive additional time to comply with other
provisions, it would have explicitly said so. Fourth, they stated that
FDA already provides adequate assistance to small businesses with the
small business center (included as part of CTP's OCE) and frequent
Webinar programs, but other comments stated that the small business
center was not properly organized and staffed.
(Response) FDA is announcing multiple policies with this final rule
including a policy for ``small-scale tobacco product manufacturers''
discussed in section IV.D. FDA is announcing this policy, because
``small-scale tobacco product manufacturers'' do not have the same
business capabilities of larger businesses. Moreover, FDA did not
receive any comments from large manufacturers suggesting that they are
in need of the relief that is being provided for small-scale tobacco
product manufacturers. Congress also acknowledged the potential
disparity by requiring FDA to establish the Office of Small Business
Assistance (OSBA) within CTP to assist small tobacco product
manufacturers and retailers in complying with the law. OSBA is
available to assist manufacturers with any questions regarding
statutory and regulatory requirements and will continue to provide
support with respect to these newly finalized regulations. Small
business owners may contact the OSBA by calling 1-877-CTP-1373 or
sending a message to SmallBiz.Tobacco@fda.hhs.gov. FDA intends to
expand the staffing for the OSBA to provide support for manufacturers
who are newly regulated by FDA.
As discussed in the earlier section of this final rule describing
the purpose of this rule, FDA will be able to obtain critical
information regarding the health risks of newly deemed tobacco
products, including information derived from ingredient listing
submissions and reporting of HPHCs. Because FDA did not previously have
regulatory authority
[[Page 28997]]
over these products, it does not have access to commercial confidential
information on materials, ingredients, design, composition, heating
source and other features of these products. As FDA gains experience
regulating these newly deemed tobacco products, the Agency expects
there will be more information to aid manufacturers seeking premarket
determination that a tobacco product is ``appropriate for the
protection of public health.'' However, it would negatively impact
public health if FDA were to significantly delay implementation of its
premarket requirement authorities after issuance of this deeming rule.
Such delay could result in more youth becoming addicted to nicotine.
FDA recognized that ENDS are different than conventional tobacco
products, and that more specific guidance would be useful to
manufacturers in preparing premarket applications. Therefore, FDA has
made available draft guidance, which when final, will describe FDA's
current thinking regarding some appropriate means of addressing the
premarket authorization requirements for newly deemed ENDS products,
including recommendations that would help to support a showing that the
marketing of a product is appropriate for the protection of public
health. FDA intends to issue additional guidance in the future.
E. Clinical Studies and PMTAs
(Comment 30) Comments expressed concern about the need for costly
clinical studies to develop PMTAs that satisfy the requirements under
section 910 of the FD&C Act. They indicated that FDA's previous
statements, including language from draft guidance that recommends the
collection of numerous types of data ranging from chemistry to in vivo
toxicology and possible clinical trials, suggest the need for costly
studies that are redundant and unnecessary. They also noted the
Government Accountability Office's (GAO's) summary of this issue, which
stated ``CTP's guidance document for the PMTA pathway states that PMTA
submissions should include data from well-controlled studies
demonstrating that the tobacco product is appropriate for the
protection of the public health. [According to CTP,] '[d]ata from such
studies must address, for example, the health risks associated with the
product in comparison to the health risks of other products on the
market and the product's effect on the likelihood that current tobacco
users will stop using tobacco products''' (Ref. 41 at 18-19).
(Response) In the NPRM, FDA included discussion intended to
supplement and clarify its earlier statements regarding clinical
studies needed for PMTAs (79 FR 23142 at 23176 and 23177). As we noted,
FDA expects that, in some cases, it may be possible for an applicant to
obtain a PMTA marketing authorization order without conducting any new
nonclinical or clinical studies where there is an established body of
evidence regarding the public health impact of the product. However, in
cases where there have been few or no scientific studies of a product's
potential impact on the public health, new nonclinical and clinical
studies may be required for market authorization. In addition,
elsewhere in this issue of the Federal Register, FDA is announcing the
availability of a draft guidance, which when final will provide the
Agency's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products, including the need for ``clinical studies'' for the
purposes of preparing PMTAs for ENDS.
(Comment 31) Several comments suggested that section 910(c)(5)(B)
provides FDA with authority to develop a flexible framework for PMTAs
that would not require well-controlled investigations. They suggested
the following alternatives to the requirement of well-controlled
investigations:
Create a user registry for e-cigarette users to input
baseline demographic, cessation and initiation, adverse experiences,
and followup data for collection of real-world data;
Identify clinical studies that will constitute ``valid
scientific data'' and identify historical controls and published
literature suitable for comparative purposes;
Adopt a process similar to FDA's process for new medical
devices, where the product can undergo de novo review to obtain a lower
risk classification and be subject to general controls and specific
controls (rather than the premarket requirements under sections 905 and
910(d));
Use a process similar to the accelerated approval process
for new drugs for serious or life-threatening illnesses, which bases
approval on the effect of the drug on a surrogate endpoint; and
Adopt a method similar to the dietary supplement process,
based on registration, ingredient disclosures, and good manufacturing
practice (GMP) compliance checks.
(Response) FDA is not implementing these changes. Most of the
approaches in the comments are all implemented under different
statutory authorities that do not apply to tobacco products. FDA's
responses to these individual suggestions are discussed in the
following paragraphs.
Create a user registry for e-cigarette users to input
baseline demographic, cessation and initiation, adverse experiences,
and follow-up data for collection of real-world data--
The data and information in a PMTA must be sufficient to show that
the marketing of the specific new tobacco product is ``appropriate for
the protection of the public health'' (section 910(c)(4) of the FD&C
Act). This information from a user registry would not be sufficient on
its own to support a marketing application, but it could provide
additional real-time information (e.g., adverse experiences that may
otherwise be gathered in more long-term studies). If an applicant
wishes to use a registry or other alternatives, we encourage it to
request a meeting with FDA to discuss these and other issues before it
prepares and submits an application.
Identify clinical studies that will constitute ``valid
scientific data'' and identify historical controls and published
literature deemed suitable for comparative purposes--
FDA does not have enough information at this time to do this in a
manner that would be generally applicable. It may be possible for an
applicant to submit information (e.g., published literature, marketing
information) with appropriate information or data that would be
adequate scientific data for parts of the application. This will likely
be limited to specific aspects of the PMTA requirements (e.g.,
nonclinical work, shelf life/stability, health risks based on consumer
information). If an applicant wishes to use this or other alternatives,
we encourage them to request a meeting with FDA to discuss these and
other issues in the context of a particular product before they prepare
and submit an application.
Adopt a process similar to FDA's process for new medical
devices, where the product can undergo de novo review to obtain a lower
risk classification and be subject to general controls and specific
controls (rather than the premarket requirements under sections 905 and
910(d))--
FDA is not authorized to deviate from the premarket requirements of
chapter IX of the FD&C Act. The medical device requirements in chapter
V of the FD&C Act apply to medical devices only, not tobacco products
as defined in section 201(rr) of the FD&C Act.
Use a process similar to the accelerated approval process
for new
[[Page 28998]]
drugs for serious or life-threatening illnesses, which bases approval
on the effect of the drug on a surrogate endpoint--
The purpose of the accelerated drug approval process was to
establish procedures designed to expedite the development, evaluation,
and marketing of new therapies intended to treat persons with life-
threatening and severely debilitating illnesses, especially where no
satisfactory alternative therapy exists. This is not the case with a
tobacco product. Section 910(b) of the FD&C Act requires that specific
contents be contained in a PMTA. In addition, as stated in section
910(c)(4) of the FD&C Act, the data and information in a PMTA must be
sufficient to show that the marketing of a new tobacco product is
``appropriate for the protection of the public health.'' FDA believes
that an accelerated premarket review process is neither feasible nor
appropriate for these products at this time. However, if an applicant
believes it can demonstrate that its new product is ``appropriate for
the protection of public health'' in an accelerated fashion, we
encourage it to request a meeting with FDA to discuss these and other
issues before they prepare and submit an application.
Adopt a method similar to the dietary supplement process,
based on registration, ingredient disclosures, and GMP compliance
checks--
As stated in section 910(c)(4) of the FD&C Act, the data and
information in a PMTA must be sufficient to show that the marketing of
a new tobacco product is ``appropriate for the protection of the public
health.'' The method suggested in this comment would differ from the
process and standard outlined in sections 905 and 910 of the FD&C Act
and, therefore, is inapplicable to tobacco products.
The FD&C Act states that determining whether a new product is
appropriate for the protection of the public health shall be determined
``when appropriate . . . on the basis of well-controlled
investigations.'' (section 910(c)(5)(A)). However, section 910(c)(5)(B)
of the FD&C Act also allows the Agency to consider other ``valid
scientific evidence'' if found sufficient to evaluate the tobacco
product. Thus, if an application includes, for example, information
(e.g., published literature, marketing information) with appropriate
bridging studies, FDA will review that information to determine whether
it is valid scientific evidence sufficient to demonstrate that the
product is appropriate for the protection of the public health. If an
applicant has questions or other alternatives to well-controlled
investigations it would like to utilize, we recommend that it meet with
FDA to discuss the approach prior to preparing and submitting an
application (see FDA guidance entitled ``Meetings with Industry and
Investigators on the Research and Development of Tobacco Products'').
We also note that, elsewhere in the Federal Register, FDA is announcing
the availability of a draft guidance, which when final will provide the
Agency's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products.
F. Premarket Pathways and Continuum of Risk
(Comment 32) We received many comments requesting that FDA provide
an expedited or abbreviated pathway for those products that are on the
less harmful end of the continuum of risk spectrum. Some comments
stated that noncombusted and nicotine delivery products derived from,
but not containing, tobacco should be treated differently than
combusted products for the purposes of premarket review and that less
harmful products need an accelerated pathway to ensure continued
innovation. They also stated that the different risks and benefits
associated with tobacco derived nicotine delivery products make the
PMTA process and FDA's draft PMTA guidance inapplicable. Other comments
claimed that e-cigarettes and other tobacco derived nicotine delivery
products are not tobacco products at all and do not fit into the strict
tobacco product regulatory framework. The comments also stated that an
abbreviated pathway should be based on public participation to decide
what information is sufficient to determine that the product is
appropriate for the protection of the public health without impeding
innovation.
Some comments also suggested that FDA require a premarket
notification or report, similar to EU's Tobacco Products Directive,
where the notification certifies that the product has met specific
product standards, and the Agency could approve the product based on
the certification.
At least one comment disagreed with the idea of providing an
expedited or abbreviated pathway for some products, stating that FDA
will not know if the products are less harmful until it reviews the
applications.
(Response) An ENDS is a tobacco product as long as it meets the
definition of ``tobacco product'' under section 201(rr) of the FD&C
Act. Regardless of the type of tobacco product (and its potential risks
and benefits), all tobacco products going through the PMTA pathway must
meet all the requirements for a premarket authorization in section 910
of the FD&C Act before FDA can issue such an authorization. In
addition, we note that, at this time, while there is general evidence
of harm for all classes of newly deemed products, FDA has not yet
obtained product-specific evidence regarding the various ENDS on the
market. Since ENDS products contain nicotine, it is possible that such
products may result in overall public health harm if individuals who
would not have initiated tobacco use in the absence of ENDS ultimately
graduate to combusted products (though scientific data regarding this
hypothesis is unclear) or use them in conjunction with combusted
products or if the users would never have initiated tobacco use absent
the availability of ENDS. In addition, nicotine use in any form is of
particular concern for youth and pregnant women. On the other hand, if
ENDS promote transition from combustible tobacco use among current
users, there could be a public health benefit. The 2014 Surgeon General
Report notes that ``[f]urther research with attention to their
individual and population-level consequences will be helpful to fully
address these questions. However, the promotion of noncombustible
products is much more likely to provide public health benefits only in
an environment where the appeal, accessibility, promotion, and use of
cigarettes and other combusted tobacco products are being rapidly
reduced'' (Ref. 9 at 873). FDA believes that regulation of all tobacco
products will help to address these questions and provide public health
benefits.
(Comment 33) Many comments expressed concern regarding the cost of
PMTAs for newly deemed products and the effect that this requirement
will have on cigarette smokers who are attempting to quit. They also
disagreed with FDA's assertion that premarket review will enhance
innovation (79 FR 23142 at 23149), stating that the cost of submitting
PMTAs is more of a business concern than competition with lower quality
products. They claimed that the PMTA process would have the largest
negative impact on open system apparatus, which some comments believed
are the most popular with people who have achieved complete
substitution from conventional cigarettes to e-cigarettes. The comment
suggests that the result would be that newer e-cigarettes would not
make it onto the market, driving up prices, and
[[Page 28999]]
driving adult consumers back to conventional cigarettes.
(Response) The Tobacco Control Act provides for three specific
marketing pathways for new tobacco products--SE., SE exemption, and
PMTA; it does not provide alternative pathways. Through the PMTA
pathway, FDA will ensure that only products that are shown to be
appropriate for the protection of public health are permitted to be
marketed. Use of the PMTA pathway also will allow FDA to monitor
product development and changes and to prevent more harmful or
addictive products from reaching the market. The PMTA pathway will
incentivize development of tobacco products that pose less risk to
human health by limiting market access for more-risky competitor
products. Furthermore, since the ``appropriate for the protection of
the public health'' standard involves comparison to the general tobacco
product market existing at the time of an application, FDA believes
that, over time, the premarket authorities will move the market toward
less-risky tobacco products.
A recently published paper by Friedman (Ref. 42) looked at youth
smoking rates in states that enacted early bans on sales of e-
cigarettes to minors. The author concluded, based on state-level
combusted cigarette smoking data available through 2013, that the
decline in adolescent smoking rates slowed in states that enacted
restrictions on access to ENDS by minors before January 2013, relative
to states that did not. Some have interpreted the results of the study
as providing evidence that any policies that restrict access to e-
cigarettes or regulate e-cigarettes could increase consumption of
combusted tobacco products. However, the research has several
limitations that are acknowledged in the study. First, the survey data
used in the study, from the NSDUH, track changes in the prevalence of
cigarette smoking but lack information available on e-cigarette use. As
such, the study does not establish that youth switched directly from
using ENDS to smoking combusted cigarettes after restrictions on sales
of e-cigarettes to minors were enacted, only that the decline in
prevalence of cigarette smoking slowed in states where such
restrictions were enacted relative to states that did not. Second, the
fact that the study examines a period very early on in the development
of the market for ENDS products may also limit the inferences that can
be drawn for substitution and dual usage patterns that will emerge as
the market matures. Third, the ``increase'' in the prevalence of youth
smoking is relative to what would have been predicted from ongoing
trends; in both states that did and states that did not enact
restrictions, the prevalence of youth smoking continued to decline,
just at a slower rate in the states that enacted bans. Finally, given
these issues, FDA acknowledges this paper as a first attempt to study
potential impacts of youth ENDS access restrictions, but more research
will be necessary to explore the potential effects of this rule on
product switching or dual usage.
(Comment 34) Some comments suggested that FDA should establish a
monograph-like system to allow e-cigarettes seeking to enter the market
to be compared to a baseline or ``model'' e-cigarette. In addition, a
few comments suggested that combustible product manufacturers should
also be able to compare their products to a reference product to ease
SE burdens.
(Response) FDA disagrees as these suggested alternatives are not
consistent with the Tobacco Control Act. Under the SE pathway, FDA must
determine if the new tobacco product raises different questions of
public health than an identified, and valid, predicate product. To be
an eligible predicate product under section 910 of the FD&C Act, the
product must have been commercially marketed in the United States on
February 15, 2007, or been previously found substantially equivalent.
Moreover, elsewhere in this issue of the Federal Register, FDA has
made available a final guidance to provide information for
manufacturers on how to establish and reference a Tobacco Product
Master File (TPMF). We expect reliance on TPMFs to increase efficiency
and reduce any burdens on manufacturers. As discussed in section IX,
because of the nature of upstream supply of many components for ENDS
products, especially e-liquids, FDA anticipates that commercial
incentives will be sufficient to drive manufacturer reliance on the
system of master files. We note that, at present, FDA understands that,
based on the Agency's review of publically available data, the number
of entities engaged in upstream production of liquid nicotine and
flavors specifically developed for use with e-liquids is small.
Specifically, based on internet searches and information provided on
firm Web sites, FDA estimates that there are roughly five to ten major
pure liquid nicotine suppliers, most of which claim to have a
significant market share.\10\ Several of these companies already have
master files with FDA for their nicotine products or report that they
are ready to file submissions to meet U.S. and EU regulatory
requirements. An online search of flavor manufacturers revealed many
suppliers of flavorings that can be added to food or other consumer
products; any of these products potentially could be used as e-liquid
flavoring. However, FDA searches identified only two to three flavor
houses that make flavoring specifically for e-liquids.\11\ Given these
realities of the marketplace, FDA expects that the master file system
will be widely appealing and widely utilized by the ENDS industry.
---------------------------------------------------------------------------
\10\ See, e.g., Ref. 43. FDA Internet searches included review
of Web sites identifying product suppliers, such as
www.thomasnet.com and www.alibaba.com, as well as manufacturer Web
sites and news reports on the market.
\11\ FDA Internet searches included review of Web sites
identifying product suppliers, such as www.thomasnet.com and
www.alibaba.com, as well as manufacturer Web sites and news reports
on the market.
---------------------------------------------------------------------------
(Comment 35) Comments suggested that the ``appropriate for the
protection of the public health'' standard for PMTAs was meant for
those products with well-established risks to consumers and should not
apply to e-cigarettes. They suggested that FDA establish a different
standard for issuing PMTA orders for e-cigarettes (i.e., that the
product is no more hazardous than currently marketed tobacco products).
(Response) FDA disagrees with comments suggesting the use of a
different standard for e-cigarettes and other ENDS. Section 910(c)(4)
specifies the standard FDA is to apply in deciding whether to issue a
PMTA marketing authorization order. That section states that the
product must be ``appropriate for the protection of the public health''
which ``shall be determined with respect to the risks and benefits to
the population as a whole, including users and nonusers of the tobacco
product, and taking into account--(A) the increased or decreased
likelihood that existing users of tobacco products will stop using such
products; and (B) the increased or decreased likelihood that those who
do not use tobacco products will start using such products.'' FDA is
not authorized to deviate from this statutory standard.
(Comment 36) Some comments recommended that FDA deem products
currently on the market without subjecting those products to the
statute's premarketing requirements. Similarly, some comments argued
that the premarket requirements should not apply to specific categories
of products (specifically, e-cigarettes and other novel tobacco
products), including those that are introduced after the enactment of
the rule. They stated that
[[Page 29000]]
this large burden does not have a clear benefit to public health.
(Response) The statute automatically subjects deemed products to
the statutory requirements for ``tobacco products'' in chapter IX of
the FD&C Act. Once deemed, the products are subject to all statutory
provisions that apply to all tobacco products covered by the FD&C Act.
See section 901(b) of the FD&C Act (``This subchapter shall apply to
all cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco and to any other tobacco products that the Secretary by
regulation deems to be subject to this subchapter.''). Section 910,
which establishes the procedures that must be followed before a new
tobacco product can be authorized for marketing, is one of the
statutory provisions that apply automatically to all tobacco products,
including newly deemed products. FDA believes that the premarket review
requirements will, in fact, benefit public health, as discussed in the
NPRM (79 FR 23142 at 23148 and 23149).
(Comment 37) Some comments stated that FDA must get a better
scientific understanding of e-cigarettes before finalizing the
compliance period for premarket review of these products. One comment
also proposed a system in which FDA could create product standards
under section 907 of the FD&C Act for the entire category of e-
cigarettes and then approve or reject PMTAs for individual e-cigarettes
based upon whether they meet the standards.
(Response) FDA disagrees with comments suggesting that the Agency
needs additional time before determining an appropriate compliance
period for the premarket review requirements for ENDS. As we have
stated throughout the document, FDA has data regarding health harms
generally associated with all of the categories of tobacco products
regulated under this rule (including ENDS). FDA is regulating these
products in accordance with this knowledge. FDA also disagrees with
comments suggesting that FDA can change the statutory requirements and
standards for issuing PMTA orders. FDA's revised compliance policy for
submission of PMTAs and other premarket submissions is discussed in
section V.A.
(Comment 38) At least one comment suggested that applicants be able
to utilize publications regarding scientific understanding of e-
cigarettes as harm reduction products to support their PMTAs.
(Response) FDA agrees that applicants can include scientific
literature as part of their PMTA submission pursuant to section
910(b)(1). In addition, elsewhere in this issue of the Federal
Register, FDA has made available draft guidance, which when final will
describe FDA's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products, including the use of scientific literature.
(Comment 39) Comments recommended that FDA issue PMTA orders based
only on HPHC data and appeal to children, as well as a manufacturer's
postmarketing commitments to conduct long-term studies regarding
effects of e-cigarette use (similar to the supplemental application
processes for new drug applications (NDA) and device premarket approval
supplement regimes codified in 21 CFR 314.70 and 814.39, respectively).
Comments also suggested that FDA create a supplemental PMTA for
modifications and minor modifications to tobacco products so each
product would not require a full PMTA.
(Response) FDA disagrees. The statutory authorities for FDA's
regulation of drugs, devices, and tobacco products are different.
Section 506A of the FD&C Act (21 U.S.C. 356a) authorizes FDA to utilize
a supplemental NDA process allowing manufacturers to make manufacturing
changes to approved drugs and section 515 (21 U.S.C. 360e) allows
device manufacturers to supplement their premarket approval
applications for modifications to products. Although FDA does not have
the same ability to allow an applicant to obtain an authorization and
later supplement the application (given the different statutory scheme
for tobacco products), FDA is actively considering other opportunities
for efficiency and streamlining in the PMTA process, consistent with
its mission to protect the public health.
(Comment 40) One comment suggested that FDA publish guidance on how
the Agency will determine whether an e-cigarette is substantially
equivalent to a predicate product. According to this comment, the SE
review should focus on the aerosol delivered to the consumer to
determine whether a new e-cigarette raises different questions of
public health.
(Response) FDA may issue guidances for specific product categories
at a later date. However, FDA finds that the available guidance for SE
reports should be sufficient to assist manufacturers in preparing
reports and to advise them of the factors FDA considers when assessing
SE reports, as evidenced by the fact that the agency has issued many
orders regarding SE to applicants that have utilized the available
guidance (for the most recent SE actions, see https://www.fda.gov/TobaccoProducts/Labeling/MarketingandAdvertising/ucm435693.htm).
Previously issued SE orders were for products whose applications may
differ substantially from those for the newly deemed tobacco products.
As required by section 910(a)(3)(A) of the FD&C Act and as stated in
FDA's guidance documents, the Agency must consider product
characteristics when evaluating SE reports. The constituents found in
e-cigarette aerosol are just some of the characteristics that FDA will
consider when reviewing SE reports for e-cigarettes. Other
characteristics include the materials, other ingredients, design,
composition, heating source, and other features of the e-cigarette (see
section 910(a)(3)(B)). We also encourage prospective applicants to
review the applications FDA posts on www.fda.gov for examples of
products that have different characteristics but do not raise different
questions of public health when compared with the specified predicate
product.
(Comment 41) Some comments provided several suggestions as to how
FDA can craft the PMTA process to acknowledge the position of e-
cigarettes on the continuum of nicotine-delivering products. For
example, they indicated that e-cigarettes should not need to undergo a
rigorous, comprehensive premarket review process and, instead, should
be given an abbreviated pathway that would allow FDA to achieve the
same objectives. For example, some comments suggested that, in order to
streamline the process, a PMTA for an e-cigarette should be required to
contain only the following: (1) A sample of the product; (2) specimens
of proposed labeling; (3) a description of the product's principles of
operation; (4) ingredient listing for e-liquids; (5) a description of
methods of manufacturing and processing; and (6) a description of
quality control and product testing systems. They suggested that FDA
could require e-cigarettes to comply with product standards once they
are established.
Other comments urged FDA to impose strict regulations on the sale
of e-cigarettes, including extensive premarket review, to ensure that
future generations are not burdened by nicotine addiction. While some
of these comments noted that there may be potential benefits to some
individuals, they believed the Agency cannot lower its scientific
standards, weaken its requirements for rigorous science, or change its
requirements for evaluating the public health impact of e-cigarettes.
To determine eligibility for expedited
[[Page 29001]]
review or an abbreviated pathway, these comments stated that FDA must
recognize that: (1) The use of any tobacco product, including a well-
regulated e-cigarette, poses a greater risk than using no tobacco
product; and (2) the scientific evidence does not demonstrate
substantial reduction in harm to an individual from e-cigarette use if
the consumer dual uses with cigarettes, except when dual use is a
short-term pathway to quitting smoking cigarettes.
(Response) Section 910(b) of the FD&C Act lays out the specific
elements to be submitted in a PMTA and 910(c)(2)(A) specifies that FDA
cannot authorize the marketing of a product where there is a lack of
showing that the marketing of a new tobacco product is ``appropriate
for the protection of the public health.'' The FD&C Act states that
this finding will be determined, when appropriate, on the basis of
well-controlled investigations (section 910(c)(5)(A)). However, section
910(c)(5)(B) of the FD&C Act also allows the Agency to consider other
``valid scientific evidence'' if found sufficient to evaluate the
tobacco product. Thus, if an application includes, for example,
information (e.g., published literature, marketing information) with
appropriate bridging studies, FDA will review that information to
determine whether it is valid scientific evidence sufficient to
demonstrate that a product is appropriate for the protection of the
public health. If an applicant has questions or other alternatives to
well-controlled investigations it would like to utilize, we recommend
that the applicant meet with FDA to discuss the approach prior to
preparing and submitting an application (see FDA guidance ``Meetings
with Industry and Investigators on the Research and Development of
Tobacco Products''). In addition, elsewhere in this issue of the
Federal Register, FDA has made available ENDS PMTA draft guidance
which, when final, will describe FDA's current thinking regarding some
appropriate means of addressing the premarket authorization
requirements for newly deemed ENDS products.
(Comment 42) Given the differences among newly deemed product
categories and the potential benefits from these products, some
comments said that FDA should develop clear guidance regarding the
scientific evidence the Agency will need to review the safety and
health impact of these products and to accelerate the review of
marketing applications where necessary.
(Response) To help provide clarity regarding submission
requirements for marketing applications, FDA has issued several
guidance documents, and is finalizing other guidance documents,
regarding the evidence needed for SE reports, including FDA draft
guidance entitled ``Substantial Equivalence Reports: Manufacturer
Requests for Extensions or to Change the Predicate Tobacco Product''
(79 FR 41292, July 15, 2014), and FDA guidance entitled ``Establishing
That a Tobacco Product Was Commercially Marketed in the United States
as of February 15, 2007,'' among others. FDA also has issued a draft
guidance entitled ``Applications for Premarket Review of New Tobacco
Products'' (76 FR 60055, September 28, 2011). In addition, elsewhere in
this issue of the Federal Register, FDA has made available draft
guidance, which when final will describe FDA's current thinking on some
appropriate means of addressing the premarket authorization
requirements for newly deemed ENDS products. If FDA determines that
additional guidance is necessary to help manufacturers prepare
marketing applications, FDA will issue additional guidance and publish
a notice of availability in the Federal Register.
(Comment 43) One comment stated that, because there is a lack of
scientific evidence to show the health impact of vapor products,
applying the premarket requirements to this category of products is
premature. Therefore, the comment suggested that FDA exercise
enforcement discretion to delay implementation of this requirement
until more evidence is available.
(Response) FDA has established a compliance policy regarding the
premarket review requirements. This is described in section V.A. As
discussed elsewhere in this document, we believe the compliance period
is appropriate, and it takes into account the time for firms to
generate and submit the information for a PMTA. The requirements and
costs of a PMTA may vary based on the type and complexity of the
product. For example, where there is limited understanding of a
product's potential impact on public health, nonclinical and clinical
studies may be required for market authorization. In such case, the
requirements and cost of the PMTA likely would be higher (and the
review time longer) than for a product in which there is already
substantial scientific data on the potential public health impact. This
information provided as part of premarket review (design, ingredients,
levels of HPHCs) will provide critical information on these products.
(Comment 44) One comment suggested that FDA regulate e-cigarettes
as an adult consumer product without providing additional details.
(Response) It is unclear what this comment envisioned by suggesting
that FDA regulate e-cigarettes as an adult consumer product.
Nevertheless, FDA must regulate tobacco products in accordance with the
Tobacco Control Act, including section 910 of the FD&C Act, which
states that in reviewing PMTAs for new tobacco products, FDA must
consider whether the marketing of such product is appropriate for the
protection of the public health, and that this finding is to be
determined with respect to the risks and benefits to the population as
a whole, including users and nonusers of the product, taking into
account--the increased or decreased likelihood that existing users of
tobacco products will stop using such products; and the increased or
decreased likelihood that those who do not use tobacco products will
start using such products (section 910(c)(4) of the FD&C Act). This
public health standard requires the Agency to consider the impact of
the products on the ``population as a whole,'' not simply the adult
population that may be using such products.
(Comment 45) Some comments stated that FDA regulations should
support manufacturers' efforts to invest in alternative tobacco
products with the potential to reduce harm.
(Response) The Agency continues to support development of
alternative tobacco products with the potential to reduce harm, and
believes that the PMTA, MRTP, and other regulatory provisions will help
foster the development of tobacco products that pose less risk to human
health. In addition, as a practical effect of the Agency's compliance
policy for premarket review of newly deemed tobacco products, FDA
expects that many manufacturers, including those with alternative
tobacco products, will continue to market their products during
preparation of submissions and for the continued compliance period
afterward. The time it takes to review premarket applications is
dependent upon the type of application and the complexity of the
product.
G. Other Comments
(Comment 46) A few comments suggested that FDA review and authorize
marketing of products at the ingredient level. For example, if a
tobacco product contained only preauthorized ingredients, the product
could be marketed, possibly through self-certification. If the product
used unapproved ingredients, the manufacturer would be required to
[[Page 29002]]
submit a PMTA containing information on only those ingredients or meet
established testing guidelines. The comments suggested that standards
that could be used to assess the ingredients may include the U.S.
Pharmacopeial Convention (USP), FDA's Generally Recognized as Safe
(GRAS) standards, the New Drug Products Q3B(R2) guidance; and the Food
Chemicals Codex or FDA Redbook of Foods.
(Response) FDA disagrees. Section 910 of the FD&C Act requires FDA
to evaluate the new tobacco product as a whole to determine whether the
authorization of marketing of the product is appropriate for the
protection of the public health. In addition, we note that GRAS status
for a food additive does not mean that the substance is GRAS when
inhaled, since GRAS status does not take inhalation toxicity into
account and applies only to intended uses that may reasonably be
expected to result, directly or indirectly, in its becoming a component
or otherwise affecting the characteristics of any food (section 201(s)
of the FD&C Act.).
(Comment 47) A few comments expressed concern as to the
contemplated compliance periods for HPHC testing (with a proposed
compliance period of 3 years following the effective date of the final
rule) and the contemplated 24-month compliance period for marketing
applications, because applicants will need to submit HPHC data with
their PMTAs. They requested that FDA delay its enforcement of PMTA and
SE application requirements until it has established an HPHC list and
validated methodology for individual products.
(Response) While applicants should submit certain information about
HPHCs as part of their applications, the requirement to submit HPHC
listings under section 904 of the FD&C Act (21 U.S.C. 387d) is separate
and distinct from the premarket review requirements under section 910.
HPHC information submitted under section 904 will assist FDA in
assessing potential health risks and determining if future regulations
to address a product's health risks are warranted. For PMTAs, FDA
expects that applicants will report the levels of HPHCs as appropriate
for each product, so the reported HPHCs will differ among different
product categories. Elsewhere in this issue of the Federal Register,
FDA has made available draft guidance, which when final will describe
FDA's current thinking regarding some appropriate means of addressing
the premarket authorization requirements for newly deemed ENDS
products, including information regarding HPHCs. The Agency recommends
that manufacturers consult with CTP's OS about what is appropriate in
the context of a specific application.
FDA recognizes, however, that it could be difficult for certain
manufacturers of the newly deemed products (e.g., small businesses) to
comply with the section 904 HPHC requirements for all of their
currently marketed products. For example, contract laboratories may not
be prepared for the large volume of requests for the testing of
quantities of the HPHCs for all brands and subbrands of tobacco
products marketed prior to the effective date. Thus, we have
established a compliance period of 3 years for submission of this data
under section 904 for products on the market as of the effective date.
In addition, in the context of all newly deemed products considered in
total, many products may be grandfathered and will thus not be required
to obtain premarket authorization through one of three pathways--SE,
exemption from SE, or premarket tobacco product applications (sections
905 and 910 of the FD&C Act). Given that the number of newly deemed
products in total seeking PMTA orders likely will be much smaller than
the total number of such tobacco products on the market as of the
effective date (given that many products will be grandfathered and that
some products may exit without submission of an application), FDA
expects that the HPHC information submitted as part of these PMTA
applications can be obtained within the 2-year submission period for
newly deemed tobacco products. (FDA notes that the proportion of
products that may qualify as grandfathered is likely to vary for
different product categories. For example, the ENDS product category,
for which the market has changed dramatically since 2007, is likely to
have a smaller proportion of grandfathered products than some other
product categories.)
Moreover, elsewhere in this issue of the Federal Register, FDA has
made available a final guidance to provide information on how to
establish and reference a Tobacco Product Master File (TPMF). FDA notes
that we expect reliance, to the extent applicable, on TPMFs to increase
efficiency and reduce any burdens on manufacturers. As discussed in
section IX, because of the nature of upstream supply of many components
for ENDS products, especially e-liquids, FDA anticipates that
commercial incentives will be sufficient to drive manufacturer reliance
on the system of master files. We note that, at present, FDA
understands, based on publically available information, that the number
of entities engaged in upstream production of liquid nicotine and
flavors specifically developed for use with e-liquids is in the range
of seven to thirteen entities (see earlier discussion in response to
comment 34). Given the nature of the marketplace, FDA expects that the
master file system will be widely appealing and widely utilized by the
ENDS industry.
(Comment 48) Several comments noted that large numbers of tobacco
product manufacturers waited until March 22, 2011 (the date that
provisional SE reports were due for the original tobacco products
subject to the FD&C Act) to submit their SE reports. They considered
this an abuse of the process and expressed concern that manufacturers
of newly deemed products would act similarly, particularly with a 24-
month compliance period. They suggested that FDA expressly require
companies to meet all other requirements, including ingredient
reporting and quality controls, to be able to avail themselves of this
extended compliance period. Other comments stated that any compliance
period should be contingent on FDA issuing orders on all pending SE
reports already submitted to the Agency.
(Response) FDA understands concerns about the Agency's timely
review of applications given the influx of SE reports that FDA received
at the close of the SE provisional period (March 22, 2011). However,
FDA has taken several steps to address the resulting backlog and to
provide helpful feedback to industry to encourage more complete,
streamlined submissions and reviews, including: (1) Encouraging
teleconferences between the assigned regulatory health project manager
and the applicant; (2) streamlining the SE report review process by
modifying the preliminary review so that it focuses only on
administrative issues and allowing submission deficiencies to be
communicated to the applicant more quickly; (3) providing information
on FDA's Web site about the three pathways available to market products
(including SE) and developing public Webinars to explain the Agency's
processes; and (4) publishing guidance documents. On March 24, 2014,
FDA announced that the Agency no longer has a backlog of regular SE
reports awaiting review. The Agency is now reviewing regular SE reports
as they are received. FDA expects that these steps will help reduce the
time it will take FDA to review submissions for newly deemed products.
In addition, FDA has specified end dates for the compliance
[[Page 29003]]
periods for such products, after which such products on the market
without authorization (even if applications submitted during the
relevant compliance periods are still under review) will be subject to
enforcement. We note that these staggered compliance dates will help to
manage the flow of applications into FDA. If an applicant wishes to
discuss a product application, the applicant may request a meeting as
set forth in FDA's final guidance entitled ``Meetings with Industry and
Investigators on the Research and Development of Tobacco Products''
(announced May 25, 2012, 77 FR 31368).
(Comment 49) At least one comment suggested that FDA should require
manufacturers that have not received their marketing authorizations
within 1 year after the effective date of the final deeming to include
a statement on their packaging and labeling indicating that the product
is pending FDA evaluation under the Tobacco Control Act.
(Response) FDA declines to issue such a labeling requirement at
this time. We do not have evidence that the statement will be
appropriate for the protection of the public health, as determined with
respect to the risks and benefits to the population as a whole (which
is the standard for such a requirement under section 906(d) of the FD&C
Act). FDA also is concerned about consumer confusion or misconceptions
that could result from such a requirement.
(Comment 50) At least one comment suggested that application of
premarket review requirements to the newly deemed products (namely, e-
cigarettes) is unnecessary, because the benefits that would accrue as a
result of deeming are independent of the premarket review provisions.
(Response) FDA disagrees. The premarket provisions of the statute
apply automatically to deemed products. While FDA outlined in the NPRM
a number of public health benefits that would accrue as a result of
deeming products subject to chapter IX as a whole (79 FR 23142 at 23148
and 23149), as explained in this document, FDA believes that the public
health benefits that will accrue from the premarket review provisions
are substantial. Implementation of these provisions will allow FDA to
monitor product development and to prevent potentially more harmful or
addictive products from reaching the market. Premarket review is
especially critical given the changing nature of the ENDS technology
and industry and the increasing interest in these products from youth
and young adults. FDA's premarket review also will increase product
consistency. For example, FDA's oversight of the constituents of e-
cigarette and other ENDS cartridges will help to ensure quality control
relative to the chemicals and their quantities being aerosolized and
inhaled. At present, there is significant variability in the
concentration of chemicals among some products--including variability
between labeled content and concentration and actual content and
concentration (see section VIII.D). Without a regulatory framework,
users will be subject to significant variability among products,
raising potential public health and safety issues.
IV. Implementation
FDA's proposal stated that part 1100, deeming additional tobacco
products to be subject to chapter IX of the FD&C Act, and the minimum
age and identification and vending machine restrictions in part 1140
would be effective 30 days after publication of the final rule and
listed compliance periods for different requirements. FDA received many
comments regarding the proposed effective date, compliance periods, and
other enforcement issues. A summary of these comments and FDA's
responses are included as follows.
A. Effective Date for Rule
FDA proposed that part 1100, deeming products to be subject to the
chapter IX automatic provisions, and the minimum age and identification
and vending machine restrictions in part 1140 be effective 30 days from
the publication date of the final rule. Based on our review of
comments, FDA is finalizing this rule so that the automatic provisions,
minimum age provisions, and vending machine restrictions will be
effective 90 days from the date of the final rule's publication, as
explained in this document. The compliance periods for other sections
are discussed in this section.
(Comment 51) A few comments expressed concern regarding the
effective date of the deeming provisions in part 1100, which is also
the effective date of the minimum age and identification regulations.
They stated that a 30-day effective date for the minimum age and
identification regulations provides too small a window of time for
retailers to adjust employee training curricula, train and educate
employees, raise awareness of the new requirements, and adjust in-store
or point-of-sale job aids to ensure compliance. These comments
requested a 6-month compliance period for both the youth access and
vending machine provisions.
(Response) FDA recognizes that certain retailers may need more than
30 days to begin compliance with the youth access and vending machine
restrictions included in this rule. For example, ENDS retail
establishments or cigar retailers that have not previously been subject
to similar restrictions for cigarettes and smokeless tobacco may need
additional time to implement these regulations. To address these
situations, FDA is establishing a 90-day effective date for this
deeming provision and the accompanying automatic provisions in the FD&C
Act, as well as the minimum age and identification requirements and
vending machine restrictions. FDA does not believe that a 6-month
compliance period is necessary to educate retailers on these
requirements given that many retailers also sell products that are
currently subject to Federal and/or State and local regulations
regarding minimum age and identification.
(Comment 52) Some comments suggested that FDA delay the effective
dates of all deeming provisions until the Agency can issue product
standards (under section 907) and good manufacturing practice
regulations (under section 906(e)), as these are the most important
requirements for the newly deemed products. They stated, however, that
all rulemaking on e-cigarettes should be delayed until the science is
firmly established to allow for more informed FDA decisionmaking.
(Response) FDA disagrees. As we have stated throughout the
document, FDA has data regarding health harms generally associated with
all of the categories of tobacco products regulated under this rule
(including ENDS). FDA is regulating these products in accordance with
this knowledge. We will continue to build upon our product-specific
knowledge through the information we receive as a result of the
application of the FD&C Act's automatic provisions, such as ingredient
reporting and the reporting of HPHCs, to newly deemed tobacco products.
In addition, as discussed in the NPRM, FDA believes that many public
health benefits will accrue as a result of deeming these products (79
FR 23142 at 23148 and 23149). It would not protect the public health to
forego implementation of these provisions until FDA can issue final
product standards and tobacco product manufacturing practice
regulations. It is also important to note that this final deeming rule
is a foundational rule that enables FDA to issue future regulations if
FDA determines that they would be appropriate for the protection of
public health.
(Comment 53) Comments stated the NPRM is a ``major rule'' according
to the
[[Page 29004]]
Office of Information and Regulatory Affairs, 5 U.S.C. 804(2) (1996),
and the Congressional Review Act mandates that the rule cannot take
effect until 60 days after the final rule is published in the Federal
Register (5 U.S.C. 801(a)(3) (1996)). Therefore, they requested that
FDA change the effective date for this rule and the compliance periods
for parts 1100 and 1140 to at least 60 days following publication of
the final rule.
(Response) FDA is providing a 90-day effective date for parts 1100
and 1140 with this final rule.
B. Compliance Periods for Certain Provisions
To avoid confusion about existing dates in the FD&C Act that are
based on the date of enactment of the law and to provide time for firms
to comply with provisions that require labeling changes or information
submissions to the Agency, FDA proposed compliance timeframes for
certain provisions. The final compliance dates are included in tables 2
and 3.
(Comment 54) Comments requested that FDA impose the same
requirements on the newly deemed products that apply to currently
regulated products, including the same compliance periods for all
provisions and the same marketing and advertising restrictions. In
addition, they stated that establishing exemptions would create a
significant administrative burden for FDA, and that a single,
comprehensive plan would be easier for industry to understand and for
the Agency to implement.
(Response) With this final rule, FDA is deeming additional tobacco
products subject to its chapter IX tobacco authorities. This means that
newly deemed products will be subject to all provisions in the FD&C Act
applicable to ``tobacco products'' in the same way that currently
regulated tobacco products are also subject to those provisions. Under
section 901, FDA is authorized to deem products subject to ``chapter
IX,'' not to particular provisions of chapter IX. Thus, there are no
exemptions from particular requirements for any product category
(although FDA is announcing enforcement policies for certain
requirements and for small-scale tobacco product manufacturers as
discussed throughout this document). FDA is subjecting covered tobacco
products to the additional provisions (i.e., age and identification
requirements, vending machine restrictions, and health warning
requirements) discussed in this final rule. If FDA later determines
that further marketing and advertising restrictions for newly deemed
products are appropriate and meet the applicable standard in section
906(d), FDA will follow the requirements of the APA to implement such
restrictions.
With respect to compliance periods, FDA is providing different
compliance periods for certain automatic requirements of the FD&C Act
that are generally similar to the timeframes provided in the statute
for currently regulated products to meet certain requirements after the
law's date of enactment.
1. HPHC Reporting Requirements (Section 904)
As of the effective date of this rule, the ingredient listing and
HPHC reporting requirements of section 904 will apply to the newly
deemed products. To provide manufacturers sufficient time to comply
with these requirements, FDA is providing compliance periods for these
requirements as stated in table 3.
(Comment 55) Most comments agreed with the compliance timeframes
included in table 1B of the NPRM, aside from the HPHC requirements
under section 904(a)(3) (79 FR 23142 at 23172 through 23174). They
argued that the compliance period for testing and listing of HPHCs was
not sufficient for several reasons, including: The costs associated
with compliance; the lack of clear product-specific guidance; and the
lack of available independent laboratories to complete the testing for
the many small businesses that would be affected by the requirements.
(Response) The compliance period for HPHC reporting under section
904(a)(3) is the effective date of this rule plus 3 years. FDA intends
to issue guidance regarding HPHC reporting, and later a testing and
reporting regulation as required by section 915, with enough time for
manufacturers to report given this compliance period. Section 904(a)(3)
requires the submission of a report listing all constituents, including
smoke constituents, identified as harmful or potentially harmful (HPHC)
by the Secretary. Section 915 requires the testing and reporting of the
constituents, ingredients, and additives the Secretary determines
should be tested to protect the public health. The section 915 testing
and reporting requirements apply only after FDA issues a regulation
implementing that section, which it has not yet done. Until these
testing and reporting requirements have been established, newly deemed
tobacco products (and currently regulated tobacco products) are not
subject to the testing and reporting provisions found under section
915. As noted elsewhere in this document, FDA does not intend to
enforce the reporting requirements under section 904(a)(3) for newly
deemed products before the close of the 3-year compliance period, even
if the HPHC guidance is issued well in advance of that time. In
addition, at this time, FDA also does not intend to enforce this
requirement in relation to manufacturers of components and parts used
for incorporation into finished tobacco products. In this context, a
finished tobacco product refers to a tobacco product, including all
components and parts, sealed in final packaging intended for consumer
use (e.g., filters or filter tubes sold separately to consumers or as
part of kits). FDA considers an e-liquid to be a finished tobacco
product if sold separately and not as part of an ENDS.
The Agency is committed to helping industry better understand the
tobacco product review process and the requirements of the law and will
continue holding public Webinars and meetings with industry. FDA has
also published guidance on meetings with industry; this has enabled FDA
to have many productive meetings to address companies' specific
questions on their development of tobacco products. In addition, FDA
intends to issue guidance regarding HPHC reporting, and later a testing
and reporting regulation as required by section 915, with enough time
for manufacturers to report given the 3-year compliance period for HPHC
reporting. As noted elsewhere in this document, FDA does not intend to
enforce the reporting requirements under section 904(a)(3) for newly
deemed products before the close of the 3-year compliance period, even
if the HPHC guidance is issued well in advance of that time.
2. Registration and Listing (Section 905)
As of the effective date of this rule, those persons who own or
operate domestic manufacturing establishments engaged in manufacturing
newly deemed tobacco products (including those that engage in the
blending of pipe tobacco and the mixing of e-liquids as discussed in
section IX.C) will be required to register with FDA and submit product
listings under section 905. This deeming rule will not require foreign
manufacturing establishments to register their establishments or to
list their tobacco products in order to sell them in the United States.
However, foreign manufacturing establishments will be required to
comply with the registration and listing requirements of section 905 of
the FD&C Act after a registration and listing rule is final and
effective. Because the compliance period for registration and listing
[[Page 29005]]
depends on the date of publication of this final rule, FDA intends to
revise the current guidance (``Registration and Product Listing for
Owners and Operators of Domestic Tobacco Product Establishments''),
which FDA expects to issue within six months following the effective
date of the final deeming rule, to clarify the compliance periods for
manufacturers of newly deemed tobacco products.
(Comment 56) Most of those comments regarding the registration and
listing requirements stated that the contemplated compliance period was
sufficient, because these requirements are not costly or time-consuming
for manufacturers, provided FDA's electronic submission system is
working effectively. A minority of comments asked for a longer
compliance period that would be based on FDA published guidance for
individual product categories that includes examples of completed
registration and listing forms.
Most of the comments also stated that foreign and domestic
companies should be required to comply with registration and listing
requirements at the same time to ensure fair and equal treatment among
each product category. They stated that this was especially important
given that many of the novel products are manufactured outside the
United States and that comprehensive registration requirements will
promote equitable assessment and collection of user fees.
(Response) FDA agrees with comments stating that the contemplated
compliance period for registration and listing is sufficient. To
provide additional assistance to newly deemed product manufacturers,
FDA intends to provide examples of completed registration and listing
forms for each major category of newly deemed products at least 6
months before the end of the compliance period. In addition, in 2013,
CTP adopted a new electronic system, FDA Unified Registration and
Listing System (FURLS), with capacity to accept registration and
listing submissions for all FDA-regulated products, which has and will
continue to simplify the process of submitting registration and listing
information, making it more efficient for industry and providing faster
access to this information by both FDA and industry. Unlike the
previous eSubmitter process, FURLS is an online application that allows
users to access multiple databases simply by going to the FURLS Web
site and viewing and updating their data at any time. Questions
regarding registration and listing requirements can be directed to
CTP's call center at 1-877-CTP-1373 and to CTP's Office of Small
Business Assistance, which is part of OCE.
Further, section 905 of the FD&C Act requires FDA to issue a rule
through the notice and comment rulemaking process in order to apply the
registration and product listing requirements to foreign
manufacturers--the requirements for domestic manufacturers are
immediately implemented and do not require a regulation. (Section
905(h) of the FD&C Act.) FDA has announced its intent to issue a rule
regarding registration and listing, including application of the
requirements to foreign manufacturers, in the Unified Agenda (RIN No.
0910-AG89).
3. Modified Risk (Section 911)
As of the effective date of this rule, section 911 will
automatically apply to the newly deemed products. Among other
requirements, this section prohibits the introduction or delivery for
introduction into interstate commerce of MRTPs, including those with
certain specified descriptors (``light,'' ``low,'' ``mild,'' or similar
descriptors) in the label, labeling, and advertising of such products,
unless manufacturers submit a MRTP application and receive FDA
authorization before marketing. The basic requirement for premarket
review of MRTPs will apply immediately upon the effective date. To
provide manufacturers sufficient time to comply with the prohibition on
products with specified descriptors, FDA is providing a compliance
period for this requirement, as stated in table 3.
(Comment 57) The comments generally stated the 1-year compliance
period for section 911(b)(2)(A)(ii) was sufficient, but some stated
that it was unnecessary for FDA to provide any compliance period and
that manufacturers should begin complying with these provisions upon
the final rule's effective date.
(Response) FDA believes that the 12-month period to comply with the
restrictions set forth in section 911(b)(2)(A)(ii) (after which a
manufacturer may not manufacture, without an order in the effect, any
tobacco product which contains ``light,'' ``low,'' or ``mild,'' or
similar descriptors on label, labeling, or advertising), and the
additional 30-day period where manufacturers may continue to distribute
products into domestic commerce, are consistent with the effective
dates originally included in the Tobacco Control Act. Under section
911(b)(3), the prohibition on the manufacture and distribution of
tobacco products containing ``light,'' ``low,'' or ``mild,'' or similar
descriptors appearing on labeling, labels, or advertising (unless an
order was issued authorizing their marketing) took effect 12 months
after the date of enactment of the Tobacco Control Act, and
manufacturers also had an additional 30 days after the effective date
to continue to introduce these products with these descriptors into
domestic commerce. Additionally, this compliance policy balances the
need to help consumers better understand and appreciate the health
risks of these newly deemed tobacco products while providing
manufacturers with sufficient time to revise the label, labeling, and
advertising as appropriate.
This compliance policy does not extend to other MRTPs as defined in
the remaining sections of 911(b) (e.g., tobacco products of which the
label, labeling, or advertising explicitly or implicitly represents
that the product presents a lower risk of tobacco-related disease or is
less harmful than one or more other commercially marketed tobacco
products, the product or its smoke contains a reduced level/presents a
reduced exposure to a substance, or the product or its smoke does not
contain/is free of a substance; or action taken by a manufacturer
directed to consumers through media or otherwise, other than through
the product's label, labeling, or advertising that would be reasonably
expected to result in consumers believing that the tobacco product or
its smoke may present a lower risk of disease or is less harmful than
one or more commercially marketed tobacco products, or presents a
reduced level/exposure to substance(s), or does not contain/is free of
a substance(s)). Just as these provisions took effect immediately upon
the enactment of the Tobacco Control Act for currently regulated
products, newly deemed products will be expected to comply with these
provisions on the effective date of part 1100. The agency believes this
is necessary in order to ensure that consumers better understand and
appreciate the health risks of newly deemed products, particularly
where a product's label, labeling, or advertising makes express or
implied claims of reduced risk or less harm or that a product has
reduced levels of or is free of a substance(s).
4. Required Warnings
(Comment 58) A few comments suggested that manufacturers should be
required to implement the proposed health warnings within 6 months
following the effective date of this rule. One comment stated that the
health warnings should take effect no later than 12 months from
publication of the
[[Page 29006]]
final rule. They stated that the delay in implementing the health
warnings has the potential to continue to foster the perception,
particularly on the part of youth, that e-cigarettes are safe products
and the misunderstanding that they have been found to be safe and
effective cessation products. They also stated that the shorter
compliance period is necessary to quickly make consumers aware of the
possibility of becoming addicted to e-cigarettes.
(Response) FDA has considered the comments and the time and
resources it will take for manufacturers to comply with the health
warnings requirements and the need to provide these messages to
consumers and has determined that the proposed effective date of 24
months after publication of this rule for the warning requirements in
part 1143 is appropriate.
5. Compliance Period Tables
The final compliance period table for various provisions is
included in this document. (The compliance policy for submission of
premarketing applications is discussed in section V.A.) To clarify,
effective dates differ from compliance periods. While a requirement is
effective on a certain date (here, the ``effective date''), for many
provisions, FDA is providing a compliance period with additional time
during which FDA does not intend to enforce compliance with the
regulation. We note that the compliance periods and provisions for
sections 904(a)(3) and 904(a)(4) have been consistent with FDA's
approach for currently marketed tobacco products and FDA's final
guidance entitled ``Tobacco Health Document Submission'' (75 FR 20606,
April 20, 2010). In addition, FDA has revised the compliance period for
section 903(a)(8) of the FD&C Act from ``effective date of part 1100
PLUS 1 year'' to ``24 months after the publication of this final
regulation'' so that it is consistent with the effective dates for the
health warning requirements in part 1143 of this final rule.
Table 2--Compliance With Various Automatic Provisions
------------------------------------------------------------------------
FD&C Act citation Compliance period
------------------------------------------------------------------------
902(1)-(5), (8)........................ Effective date of part 1100.
903(a)(1).............................. Effective date of part 1100.
903(a)(6)-(7).......................... Effective date of part 1100.
904(c)(2), (3)......................... Effective date of part 1100.
905(i)(3).............................. Effective date of part 1100.
911(a), 911(b) [with the exception of Effective date of part 1100.
products sold or distributed using the
descriptors set forth in
911(b)(2)(A)(ii)].
919(a)................................. See FDA's final rule revising
the current user fee
regulations published
concurrently with this final
deeming rule.
------------------------------------------------------------------------
Table 3--Compliance Periods for Other Provisions
----------------------------------------------------------------------------------------------------------------
FD&C Act citation Compliance period
----------------------------------------------------------------------------------------------------------------
903(a)(2)........................................................ 24 months after the publication of this final
regulation.
* This is designed to match the 24 month
effective date of the health warnings.
903(a)(3)........................................................ Effective date of part 1100 PLUS 1 year.
* This is designed to match the 1 year
deadline in the FD&C Act for currently
regulated products.
903(a)(4)........................................................ 24 months after the publication of this final
regulation.
* This is designed to match the 24 month
effective date of the health warnings.
903(a)(8)........................................................ 24 months after the publication of this final
regulation.
* This is designed to match the 24 month
effective date of the health warnings.
904(a)(1), 904(c)(1)............................................. Effective date of part 1100 PLUS 6 months
(products on the market as of the effective
date) or 90 days before delivery for
introduction into interstate commerce
(products entering the market after the
effective date).
* This matches the timeframes provided in
this section.
904(a)(3)........................................................ Effective date of part 1100 PLUS 3 years or,
for products delivered for introduction into
interstate commerce later than 3 years after
the effective date, 90 days before delivery
for introduction into interstate commerce
(products entering the market after the
effective date).
* This matches the timeframes provided in
this section.
904(a)(4)........................................................ Effective date of part 1100 PLUS 6 months.
* This matches the timeframes provided in
this section.
905(b), (c), (d), (h)............................................ If the final rule publishes in the second
half of the calendar year, FDA intends to
issue a compliance policy with a compliance
period for registration that is no later
than 6 months into the subsequent calendar
year.
* This matches the timeframes provided in
this section.
905(i)(1)........................................................ Same compliance period as that for initial
registration; see date specified for 905(b).
907(a)(1)(B)..................................................... Effective date of part 1100 PLUS 2 years.
* This matches the timeframe provided in this
section.
911(a), (b)(1), (b)(2)(A)(ii), (b)(3)............................ Use of ``light,'' ``low,'' and ``mild''
descriptors: Effective date of part 1100
PLUS 1 year (stop manufacture);
Effective date of part 1100 PLUS 13 months
(stop distribution).
* This matches the timeframes provided in
this section.
920(a)(1)........................................................ 24 months after the publication of this final
regulation.
* This is designed to match the 24 month
effective date of the health warnings.
----------------------------------------------------------------------------------------------------------------
[[Page 29007]]
6. Other Enforcement Issues
(Comment 59) A few comments expressed concern that this rule will
result in the growth of an illicit market for certain newly deemed
tobacco products, particularly e-cigarettes and e-liquids. They
suggested that such an illicit market could make products more
available and more attractive to youth and young adults. They also
feared that this illicit market would worsen if FDA were to ban certain
e-liquid flavorings, stating that the deeming rule (and/or a ban on
certain flavorings) would result in consumers mixing their own e-
liquids, even though the comments stated that most consumers are not
adept at handling or mixing chemicals. These ``do-it-yourself
manufacturers,'' as the comments referred to them, would increase
health risks, because more individuals possessing pure nicotine could
lead to more accidental poisonings and the possibility of overdoses.
Comments pointed to a survey from an e-cigarette forum which stated
that ``[a]bout 79 percent of respondents said they would 'look to the
black market' if products they use 'were banned tomorrow,' while 14
percent said they would return to smoking analog cigarettes'' (e.g.,
Ref. 44).
Comments also expressed concern that regulation will increase
prices of the newly deemed tobacco products and consumers will turn to
an illicit market to obtain products for lower prices. For example,
they stated that some markets for cigarettes (e.g., New York)
experience smuggling rates of beyond 50 percent, as consumers seek
products for lower costs. These comments expected a similar result to
occur after the deeming rule becomes effective (see Ref. 45).
Further, they stated that this illicit market would cause
additional problems like stifling innovation for regulated companies,
because companies operating in the illicit market would not be
complying with costly regulations and would be able to take advantage
of innovations elsewhere in the world. They theorized that this illicit
market would favor very small domestic producers over existing medium-
sized domestic manufacturers with better quality control and safety
mechanisms.
In addition to concerns about e-cigarettes, comments expressed
concerns about the potential for illicit markets for other newly deemed
products. For example, they stated that a final deeming regulation
(without an exemption for premium cigars) would exacerbate the black
market that already exists for premium Cuban cigars. The comments also
noted that those involved in the waterpipe tobacco industry already
operate more informally (e.g., without local regulation) and,
therefore, the deeming regulation would cause more business to be
transacted in illicit markets. They also expressed concern about the
development of a flourishing illicit market if flavors were not
permitted in the deemed products.
(Response) FDA understands these concerns, but believes that this
rule will not increase current illicit practices or create new illicit
markets, because FDA is not banning any tobacco product with this
deeming rule. Even if some illicit trade were to develop in an attempt
to evade the requirements of this rule, FDA does not believe it would
result in a volume sufficient to outweigh the public health benefits of
the rule. FDA authority over the newly deemed tobacco products will
give it means to determine which products are legally on the market and
which are counterfeit or otherwise illegally marketed. The Tobacco
Control Act gives the Agency these and other authorities, such as
section 920 of the FD&C Act (21 U.S.C. 387t), to help address illicit
tobacco products.
In addition, FDA recently commissioned a report from the National
Research Council and Institute of Medicine Panel to help us better
understand and consider all aspects of illicit tobacco markets (Ref.
46). This report focused mainly on combustible products, especially
cigarettes, as they are the subject of most illicit tobacco trade. The
relevance of those findings to an assessment of the potential for
illicit trade in tobacco products more generally in the United States,
such as ENDS products, is open to question. Overall, illicit trade in
cigarettes is under 10 percent. It is not clear if illicit trade in any
of the newly deemed products will be greater or less than that observed
for cigarettes. Evidence from Canada shows the development of an
illicit market in ENDS products in that particular context where the
government currently regulates all nicotine-containing electronic
smoking products as medical devices under the Food and Drugs Act,
regardless of the products' health claims.\12\ Canada does, however,
have a legal market for the sale of non-nicotine containing ENDS
products. Despite the fact that Health Canada has not approved any
nicotine-containing ENDS products for sale or importation in the
country a 2015 e-cigarette usage study (Ref. 48) showed usage rates
among Canadian populations that were similar to those among U.S.
populations.
---------------------------------------------------------------------------
\12\ ENDS and e-liquids that do not contain nicotine can be
legally sold in Canada. Health Canada issued a Notice in 2009
regarding electronic cigarette products that contain nicotine (Ref.
47).
---------------------------------------------------------------------------
Despite the potential for some illicit ENDS market activity to
occur, FDA emphasizes that the presence of an illicit market does not
affect its legal authority to regulate such products and that there is
evidence that many ENDS manufacturers will likely submit premarket
applications in the United States.
Moreover, as stated previously, FDA expects that the public health
benefits that likely will accrue as a result of this final rule will be
greater than the negative effects that could result if there were an
increase in illicit markets. This final deeming rule will afford FDA
additional tools to reduce the number of illnesses and premature deaths
associated with tobacco product use. For example, FDA will be able to
obtain critical information regarding the health risks of newly deemed
tobacco products, including information derived from ingredient listing
submissions and reporting of HPHCs required under the FD&C Act. FDA
will also receive information on the location and number of
manufacturing establishments, which will allow the Agency to establish
effective compliance programs. In addition, because of this rule, FDA
will be able to take enforcement action against manufacturers of newly
deemed products who make unsubstantiated MRTP claims or false or
misleading claims about their products, thus allowing for better-
informed consumers and helping to prevent the use of misleading
campaigns targeted to youth populations. It will also prevent from
entering the market new products that are not appropriate for the
protection of public health, are not substantially equivalent to a
valid predicate product, or are not exempt from SE. Finally, the newly
deemed tobacco products may be subject to future regulations that FDA
determines are appropriate.
FDA believes that this rule will not stifle innovation but could,
instead, encourage it. The greater regulatory certainty created by the
premarket review process may encourage companies to invest in creating
potentially beneficial novel products, with greater confidence that
improved products will not be competing against equally novel, but more
dangerous, products. For example, a company may be more willing to
invest the additional resources needed to ensure that its product is
designed and manufactured with appropriate methods and controls.
[[Page 29008]]
The PMTA pathway will incentivize development of tobacco products that
pose less risk to human health by limiting market access by riskier
competitor products. Furthermore, since the ``appropriate for the
protection of the public health'' standard involves comparison to the
general tobacco product market, FDA believes that, over time, the
premarket authorities will move the market toward less risky tobacco
products.
C. Policy for Certain Regulatory Requirements for All Manufacturers of
Newly Deemed Products
FDA received many comments expressing concern regarding the
regulatory and financial burdens associated with certain automatic
provisions that will apply to newly deemed products once this rule
becomes effective. In response to comments, FDA has considered
instances in which the Agency has implemented compliance policies for
currently regulated products. Accordingly, the Agency is announcing the
following compliance policy with respect to newly deemed products. As
with any such policy, the Agency will review and revise this policy as
appropriate. If FDA were to change this policy, the Agency would
provide notice to affected entities.
1. Substantial Equivalence
As provided in guidance for currently regulated products
(``Demonstrating the Substantial Equivalence of a New Tobacco Product:
Responses to Frequently Asked Questions (Edition 2)'' (80 FR 53810,
September 8, 2015)), FDA does not intend to enforce against
manufacturers who make tobacco blending changes without a marketing
authorization if the tobacco blending changes are intended to address
the natural variation of tobacco (e.g., due to variation in growing
conditions) in order to maintain a consistent product. However, FDA
does intend to enforce the premarket authorization requirements for
tobacco blending changes that are intended to alter the chemical or
perception properties of the new product (e.g., nicotine level, pH,
smoothness, harshness).
FDA does not intend to take enforcement action for at least 30
calendar days from the date the not substantially equivalent (NSE)
order issues for those products that are in a retailer's current
inventory at a specific retail location on the date FDA issues the NSE
order. This policy extends only to tobacco products that are already in
a retail store that offers the products for sale directly to adult
consumers.
FDA has provided guidance (``Demonstrating the Substantial
Equivalence of a New Tobacco Product: Responses to Frequently Asked
Questions (Edition 2)'') on currently regulated tobacco products
stating that a change in supplier, where the new supplier is used for
the same ingredient, additive, component, part, or material, with
identical specifications, would not render a new tobacco product. This
guidance also will apply to newly deemed products.
2. Reporting of HPHCs
FDA intends to issue guidance regarding HPHC reporting, and later a
testing and reporting regulation as required by section 915, with
enough time for manufacturers to report given the 3-year compliance
period for HPHC reporting. Section 904 (a)(3) requires the submission
of a report listing all constituents, including smoke constituents,
identified as harmful or potentially harmful (HPHC) by the Secretary.
Section 915 requires the testing and reporting of the constituents,
ingredients, and additives the Secretary determines should be tested to
protect the public health. The section 915 testing and reporting
requirements apply only after FDA issues a regulation implementing that
section, which it has not yet done. Until these testing and reporting
requirements have been established, newly deemed tobacco products (and
currently regulated tobacco products) are not subject to the testing
and reporting provisions found under section 915. As noted elsewhere in
this document, FDA does not intend to enforce the reporting
requirements under section 904(a)(3) for newly deemed products before
the close of the 3-year compliance period, even if the guidance is
issued well in advance of that time. At this time, FDA also does not
intend to enforce this requirement in relation to manufacturers of
components and parts used for incorporation into finished tobacco
products. In the future, we intend to evaluate if there are additional
constituents that are present in newly deemed products and should be
included in the HPHC list for reporting. FDA also intends to issue
guidance to further refine the list of reportable HPHCs based on
product class.
3. Tobacco Health Document Submission
Although section 904(a)(4) sets out an ongoing requirement to
submit tobacco health documents developed after June 22, 2009 (the date
of enactment of the Tobacco Control Act), FDA generally does not intend
to enforce the requirement with respect to all such documents at this
time, so long as a specified set of documents is submitted by the
effective date plus 6 months. FDA intends to publish additional
guidance that specifies the scope of such health documents within three
to six months of the publication date of this final rule, with
sufficient advance time for manufacturers and importers to prepare
their submissions.
FDA does intend to collect other tobacco health documents developed
after June 22, 2009, but before doing so the Agency will publish
additional guidance specifying the timing of subsequent submissions.
Note that, despite this compliance policy with respect to timeliness of
submissions, manufacturers and importers are still to preserve all
tobacco health documents developed after June 22, 2009, for future
submissions to FDA. Failure to submit tobacco health documents
developed after June 22, 2009, because of a failure to preserve them
after publication of this rule will constitute a violation of section
904(a)(4).
4. Compliance Policy for Components and Parts
As discussed in section VI.B, at this time FDA does not intend to
enforce certain requirements for components and parts of newly deemed
products that are sold or distributed for further manufacturing into
finished tobacco products.
D. Compliance Policy Regarding Certain Provisions and Small-Scale
Tobacco Product Manufacturers
In the NPRM, FDA requested comment on the ability of smaller
manufacturers of newly deemed tobacco products to fully comply with the
requirements of the FD&C Act and how FDA might be able to address those
concerns. Considering the comments and FDA's finite enforcement
resources, the Agency's view is that those resources may not be best
used in immediately enforcing the provisions of this rule against
certain manufacturers that are small-scale tobacco product
manufacturers and that fail to comply with certain requirements of the
FD&C Act. Therefore, FDA generally intends to grant small-scale tobacco
manufacturers additional time to respond to SE deficiency letters and
to not bring enforcement action against those small-scale tobacco
product manufacturers who submit ingredient listings within 12 months
of the effective date of this rule, and is granting small-scale tobacco
product manufacturers an additional six-month compliance period for the
tobacco health document submission
[[Page 29009]]
requirements. As with any such policy, FDA will review and revise these
policies as appropriate. If FDA were to change these policies, FDA
would do so consistent with its Good Guidance Practices regulations.
For purposes of this compliance policy, FDA generally considers a
``small-scale tobacco product manufacturer'' to be a manufacturer of
any regulated tobacco product that employs 150 or fewer full-time
equivalent employees and has annual total revenues of $5,000,000 or
less. FDA considers a manufacturer to include each entity that it
controls, is controlled by, or is under common control with. To help
make FDA's individual enforcement decisions more efficient, a
manufacturer may voluntarily submit information regarding all relevant
factors, including information regarding employment and revenues.
Interested manufacturers may contact CTP's call center at 1-877-CTP-
1373 for questions regarding this compliance policy. We note that FDA's
thinking regarding ``small-scale tobacco product manufacturer'' differs
from the definition of ``small tobacco product manufacturer'' in
section 900(16) of the FD&C Act.
FDA notes that our thinking regarding what a ``small-scale tobacco
product manufacturer'' is for purposes of this policy is designed to
align with the nature of the specific relief provided. That is, the
relief provided (as described throughout this document) relates
generally to requirements for entities to compile or report
information. These activities may require an investment of employee
time and/or financial resources that is more challenging for the
smallest entities to achieve. For these reasons, the threshold takes
note of both employee resources (FTEs) and financial resources (annual
revenues), ensuring that those entities with the most limited human and
financial resources are uniquely considered in FDA's decisions about
enforcement of these provisions, precisely because the provisions may
require resources not as readily available to these entities. Further,
as stated elsewhere in this document, in formulating its thinking, FDA
has considered all available data on employment, revenues, production
volume and other details of operation for current manufacturers of
newly deemed products. In addition, FDA notes that its current approach
reflects a careful review of the potentially unique interests of the
smallest tobacco product manufacturers as considered in light of the
Agency's statutory obligations regarding the protection of public
health.
1. SE Extension Requests (Section 905(j))
Although information adequate to make submissions should be
available to all manufacturers, we expect small manufacturers to have
more difficulty in putting this information together in an SE Report.
FDA presently intends, for the first 30 months following the effective
date of this rule, to grant extensions to small-scale tobacco product
manufacturers for SE reports that need additional time to respond to SE
deficiency letters. Extensions are not automatically granted. Requests
will be considered on a case-by-case basis. Any extensions granted are
likely to be limited in time--for example, where a manufacturer
normally might have 90 days to respond to a deficiency letter, FDA
will, for small-scale tobacco product manufacturers, grant an
additional 30 days for such a response. FDA encourages all small-scale
tobacco product manufacturers, especially those with limited or no
experience with the SE pathway, to submit SE reports as early as
possible. FDA is not instituting a similar policy for extension
requests related to PMTAs (nor is it providing additional time for
small-scale tobacco product manufacturers to prepare PMTAs) given the
already-extended compliance period for PMTAs, which provides an
additional 6 months to submit a PMTA, discussed in section V.A.
2. Tobacco Health Document Submissions (Section 904(a)(4))
To address concerns of small-scale tobacco product manufacturers
regarding the submission of certain health documents, and in
recognition of FDA's current enforcement priorities, FDA, for an
additional 6 months following the end of the generally applicable
compliance period, intends not to bring enforcement action against
those small-scale tobacco product manufacturers who submit the required
information.
3. Ingredient Listing Submissions (Section 904(a)(1))
FDA understands concerns that small-scale tobacco product
manufacturers may need additional time to comply with section
904(a)(1)'s requirement that manufacturers submit ingredient lists. FDA
presently intends not to bring enforcement action against those small-
scale tobacco product manufacturers who submit section 904(a)(1)'s
required information within 12 months of the effective date of this
final rule.
4. Assistance With Marketing Applications
As with manufacturers in general, these small-scale tobacco
manufacturers will also benefit from additional assistance with their
marketing applications, including the designation of a Regulatory
Health Project Manager so that they have a single point of contact in
CTP's OS for questions about their marketing applications. They will
also have access to an appeals process in the event that FDA denies
their marketing applications (of which one small business has already
taken advantage). Staff from CTP's OCE also will assist small-scale
tobacco product manufacturers with identifying the types of documents
that may be used to establish that their predicate products were on the
market on February 15, 2007. This may include several calls or
correspondence with the manufacturer as it submits different documents
to the Agency.
5. Assistance in Navigating Other Regulatory Requirements
CTP's OCE will continue to assist small-scale tobacco product
manufacturers in submitting rotational warning plans for FDA approval.
These plans provide the firm's plan for how the required warnings will
be displayed on the packaging and advertising for their product, as
required by 21 CFR 1143.5. This may include several calls or
correspondence with the small business as it seeks approval from the
Agency.
CTP also has a system to assist small businesses in navigating the
regulatory requirements of FDA. For example, the Center has a Call
Center that triages all calls received from regulated industry. The
Center's Office of Small Business responds to hundreds of calls, emails
and correspondences from small businesses every year to assist them in
answering their specific questions on how to comply with the law.
V. Premarket Review Requirements and Compliance Policy
Section 910 of the FD&C Act requires FDA authorization in order to
market a new tobacco product. As described elsewhere, the FD&C Act
contains three pathways for obtaining premarket authorization: SE
exemptions, SE reports, and PMTAs.
Tobacco products that were on the market on February 15, 2007, are
grandfathered and do not require premarket authorization. However, as
described throughout this preamble, these products are subject to the
other requirements of the statute.
[[Page 29010]]
A. Compliance Policy for Premarket Review Requirements
In the NPRM, FDA contemplated a compliance period of 24 months
following the effective date for submitting a premarket application (SE
exemption request, SE report, or PMTA), with a continued compliance
period pending review of those applications (79 FR 23142 at 23144). In
essence, the products would remain on the market during this indefinite
compliance period until the agency rendered a decision on an
application or the application was withdrawn.
Agency compliance/enforcement policies are not subject to the
requirements that govern notice-and-comment rulemaking. Prof'ls &
Patients for Customized Care v. Shalala, 56 F.3d 592 (5th Cir. 1995) (a
compliance policy guide is not a substantive rule and not subject to
APA's notice-and-comment rulemaking); Takhar v. Kessler, 76 F.3d 995,
1002 (9th Cir. 1996) (FDA compliance policy guides were not required to
go through notice-and-comment procedures). But because the relevant
time periods are of obvious interest, FDA laid out its anticipated
compliance policy in the NPRM, and for similar reasons, is announcing
its revised compliance policy here in the preamble to the final rule,
rather than in a separate guidance document.
FDA has considered the comments and data submitted in response to
the compliance policy in the NPRM. Some comments expressed concern
about the extended availability of newly deemed, new tobacco products
without scientific review. Others provided additional data regarding
youth and young adult use of flavored tobacco products. In addition,
others comments discussed the potential public health benefits from the
availability of certain flavored newly deemed products (as discussed in
section VIII.F). Taking the diverse comments on these issues, as well
as the uncertainty regarding the positive or negative impact on public
health from products like ENDS, into account, FDA has decided to
implement the compliance policy with staggered initial compliance
periods based on the expected complexity of the applications, followed
by continued compliance periods for FDA review, such that our
enforcement discretion will end twelve months after each initial
compliance period. Under the policy described here for the staggered
compliance periods, and while FDA is conducting its review of marketing
applications during the continued compliance period, the Agency does
not intend to take enforcement action against products remaining on the
market for failure to have a premarket authorization order.
The compliance periods are staggered to improve efficiency for both
FDA and regulated entities given that the time it takes to prepare
premarket applications is dependent upon the type of application and
complexity of the product. FDA intends to act as expeditiously as
possible with respect to all new applications, while ensuring that
statutory standards are met. Further, if at the time of the conclusion
of the continued compliance period, the applicant has provided the
needed information and review of a pending marketing application has
made substantial progress toward completion, FDA may consider, on a
case-by-case basis, whether to defer enforcement of the premarket
authorization requirements for a reasonable time period.
FDA's revised compliance policy for premarket review aims to
balance the public health concerns raised in the comments, allow the
Agency to more efficiently manage the flow of incoming applications,
and encourage high-quality premarket submissions from applicants.
In accordance with the Tobacco Control Act (sections 905 and 910 of
the FD&C Act), a new tobacco product may be legally marketed only if
FDA has authorized its marketing under one of the three premarket
pathways described throughout this document. As a result of the
compliance policy being announced, we expect that manufacturers of
certain newly deemed, new tobacco products will continue to market
their products without FDA authorization for certain time periods.
1. FDA's Revised Compliance Policy Is Informed by Comments Submitted in
Response to the NPRM
FDA received many comments responding to its detailed requests for
comment on possible compliance approaches. 79 FR at 23175-77. Some
comments expressed concern that the compliance policy for premarket
review described in the NPRM would permit the continued marketing of
tobacco products that have not been reviewed under the public health
standards of the Tobacco Control Act. For example, comments jointly
submitted by 24 health and medical organizations stated that the
contemplated 24-month compliance period and indefinite period of
continued marketing during FDA's review included in the NPRM would
prolong the public's exposure to products that contain nicotine, a
highly addictive substance, and that do not meet the statutory standard
for the grant of a marketing order (Comment No. FDA-2014-N-0189-
79772.).
They also stated that this approach would allow manufacturers to
continue to market the newly deemed products in ways that appeal to
youth and to manipulate the content of these products in uncontrolled
ways for an indefinite period (id.). They urged FDA to forego its
contemplated compliance policy unless proper precautions are taken to
limit the time period these products are allowed to remain on the
market pending FDA review and authorization. In addition, they
expressed concern that manufacturers, knowing that submission of an
application will permit them to market products for years, have
incentive to submit numerous applications (regardless of how incomplete
or deficient the applications).
A network of tobacco control policy and legal specialists also
expressed concern regarding the effect of continued marketing of new
tobacco products that have not been reviewed under the applicable
public health standards of the Tobacco Control Act (Comment No. FDA-
2014-N-0189-81044). This organization noted the thousands of
provisional SE reports submitted in the last five days before the
statutory deadline, where such applications pending FDA review are
``being used as placeholders that will allow the tobacco industry to
continue to introduce new products at will, rather than following the
proper legal procedures established by the Tobacco Control Act.'' They
proposed a staggered timeline to submit applications under the three
marketing pathways and a definite time period in which FDA would no
longer exercise enforcement discretion with respect to premarket review
of these products, noting that such an approach would incentivize
industry to generate high-quality, complete applications within the
initial compliance period.
In addition, two large organizations dedicated to the health of
youth and young adults urged FDA not to implement a compliance period
of any length for products sold in characterizing flavors other than
tobacco or any covered tobacco products that use marketing practices
known to appeal to children and youth (Comment No. FDA-2014-N-0189-
67268; Comment No. FDA-2014-N-0189-79413.). Ranking minority members of
the Energy and Commerce Committee, Health Subcommittee, and Oversight
and Investigations Subcommittee, U.S. House of Representatives also
called for a more protective compliance period than the one
contemplated in the
[[Page 29011]]
NPRM, arguing that the proposed compliance period ``puts the nation's
youth at risk'' (Comment No. FDA-2014-N-0189-80119). These comments,
among others, all stressed the attractiveness of these newly deemed
tobacco products to youth and young adults and the need for a more
restrictive compliance policy to ensure that FDA limits the continued
marketing of new tobacco products that have not been reviewed under the
public health standards of the Tobacco Control Act.
Further, in response to FDA's requests for comments and data in the
NPRM, numerous comments included data, research, and personal stories
regarding the impact of candy and fruit flavors in tobacco products,
including their appeal to youth and young adults, youth perceptions of
flavored tobacco products, and their potential effect on transition
from combusted tobacco product use (particularly, comments noted, in
the case of adults using flavored ENDS to attempt to switch completely
away from cigarette smoking). In addition, many comments urged FDA to
take immediate action regarding flavored tobacco products as a result
of increasing prevalence of flavored product use, and new data show
continued growth in youth and young adult usage of flavored tobacco
products.
In deciding upon a compliance policy to announce with this final
rule, FDA considered all these comments and sought to balance the
Agency's concern about the continued marketing of new tobacco products
that have not been reviewed by FDA, the potential harmful impact of
flavored tobacco products on youth, and the possibility that some of
those products are playing a role in helping some tobacco users
transition away from what is likely the most harmful form of nicotine
delivery for an individual user, combusted tobacco products. FDA
considered adopting the compliance policy as described in the preamble
to the NPRM or a compliance policy that would provide different
compliance periods for flavored and non-flavored tobacco products. FDA
also considered providing different compliance periods for different
product categories. For example, certain industry comments urged FDA to
stagger compliance dates for different product categories, to delay
compliance until FDA publishes a final guidance for each product
category and to provide ENDS manufacturers a lengthier compliance
period based on where they purport to fit within the risk continuum for
nicotine-delivering products (e.g., Comment No. FDA-2014-N-0189-81859;
Comment No. FDA-2014-N-0189-10852).
In response to these comments, we note that nicotine use in any
form is of particular concern for youth and pregnant women. On the
other hand, some evidence suggests that ENDS may potentially promote
transition away from combusted tobacco use among some current users and
it is possible that there could be a public health benefit. See also
section III.F for additional discussion of premarket pathways and the
continuum of nicotine-delivering products. Based on currently available
scientific evidence, this revised compliance policy strikes an
appropriate balance among various, often competing, considerations.
2. FDA Is Announcing a Revised Compliance Policy With Staggered
Timeframes and Continued Compliance Periods
In the interest of public health and taking into account the fact
that there are products already on the market that will now be subject
to premarket review, and in light of the considerations discussed in
section 1 above, we have established the following compliance policy
for newly deemed tobacco products. For those newly deemed products that
were on the market on the effective date of this final rule, but that
were not on the market on February 15, 2007, FDA is providing two
compliance periods: One for submission and FDA receipt of applications
and one for obtaining premarket authorization. Although such products
are subject to the premarket review requirements of the FD&C Act, FDA
does not intend to initiate enforcement action for failure to have
premarket authorization during the respective compliance periods.
The compliance period for submission and FDA receipt of
applications for newly deemed tobacco products under the three
premarket pathways is as follows:
SE Exemption Requests--12 months from the effective date of this
final rule
SE Reports--18 months from the effective date of this final rule
PMTAs--24 months from the effective date of this final rule
FDA is adopting the staggered timelines in this policy to account
for the possibility that applicants may need additional time to gather
information for certain premarket submissions that may require
additional data. For example, if a manufacturer plans to submit an SE
Exemption Request, the firm may only need to identify the product,
provide certification statements, and gather scientific information on
the additive change itself and any supporting information demonstrating
that the change to the product is minor and an SE Report is not
necessary. This is less information than that likely required for a
PMTA. We expect this policy will also create a more manageable flow of
premarket applications for newly deemed products. FDA expects that this
staggering of deadlines also will benefit regulated industry, since it
will allow for greater efficiency of FDA review and incentivize higher
quality applications, which will reduce review times for all products.
New products for which no application has been submitted by 24 months
from the effective date of this rule will no longer be subject to this
compliance policy and will be subject to enforcement.
Unless FDA has issued an order denying or refusing to accept the
submission, products for which timely premarket submissions have been
submitted will be subject to a continued compliance period for 12
months after the initial compliance period described previously. For
such products, FDA does not intend to initiate enforcement for failure
to have premarket authorization during this continued compliance
period, which is as follows:
SE Exemption Requests--24 months from the effective date of this
final rule (12 months after the compliance period for submission of
such requests)
SE Reports--30 months from the effective date of this final rule
(12 months after the compliance period for submission of such reports)
PMTAs--36 months from the effective date of this final rule (12
months after the compliance period for submission of such
requests).\13\
---------------------------------------------------------------------------
\13\ In addition, we note that any new tobacco product that was
not on the market on the effective date of the rule (i.e., 90 days
after the publication date) is not covered by this compliance policy
and will be subject to enforcement if marketed without authorization
after the effective date.
---------------------------------------------------------------------------
Once the continued compliance period ends, new tobacco products on
the market without authorization will be subject to enforcement. FDA
will act as expeditiously as possible with respect to all new
applications, while ensuring that statutory standards are met. FDA
expects that this revised compliance policy will encourage the
submission of high quality applications. By providing a date in which
the continued compliance period ends, manufacturers will have an
incentive to submit a complete application and respond substantively
and expeditiously to questions raised during the review process instead
of an incomplete or deficient application just to stay on the market
indefinitely. This staggered
[[Page 29012]]
compliance policy also will provide FDA with a more manageable flow of
incoming applications to be reviewed, allowing the agency to more
quickly make decisions on applications.
FDA believes the staggered compliance periods will be sufficient
for manufacturers to provide high quality applications. To help provide
clarity regarding submission requirements for marketing applications,
FDA has issued several guidance documents, and is finalizing other
guidance documents, regarding the evidence needed for SE reports,
including FDA draft guidance entitled ``Substantial Equivalence
Reports: Manufacturer Requests for Extensions or to Change the
Predicate Tobacco Product'' (79 FR 41292, July 15, 2014), and FDA
guidance entitled ``Establishing That a Tobacco Product Was
Commercially Marketed in the United States as of February 15, 2007,''
among others. FDA also has issued a draft guidance entitled
``Applications for Premarket Review of New Tobacco Products'' (76 FR
60055, September 28, 2011). In addition, elsewhere in this issue of the
Federal Register, FDA has made available draft guidance, which when
final will describe FDA's current thinking on some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products. If FDA determines that additional guidance is necessary
to help manufacturers prepare marketing applications, FDA will issue
additional guidance and publish a notice of availability in the Federal
Register.
Further, if at the time of the conclusion of the continued
compliance period, the applicant has provided the needed information
and review of a pending marketing application has made substantial
progress toward completion, FDA may consider, on a case-by-case basis,
whether to defer enforcement of the premarket authorization
requirements for a reasonable time period.
B. Responses to Comments Regarding Compliance Periods for Premarket
Review Requirements
(Comment 60) FDA received many comments suggesting that we change
the proposed compliance period for submitting marketing applications.
Some comments suggested that the compliance period should be 24 months
from the date FDA either announces its intent to no longer exercise
enforcement discretion regarding premarket requirements or issues
product-specific guidance on the preparation of PMTAs and the
submission of HPHC testing results. They suggested that the issuance of
the guidance documents be based upon the continuum of risk presented by
nicotine-delivering products. Other comments suggested that we extend
the PMTA compliance period to 5 years following the effective date of
the final rule to give manufacturers sufficient time to complete the
required testing.
(Response) FDA has already published for public comment draft
guidance for industry regarding the submission of PMTAs, which when
final will represent FDA's current thinking on this topic. In addition,
elsewhere in this issue of the Federal Register, FDA has made available
draft guidance, which when final will describe FDA's current thinking
regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products. FDA is
committed to helping industry better understand the tobacco product
premarket review process and will continue to hold public Webinars and
meetings with industry. FDA has also published guidance on meetings
with industry, and FDA has had many productive meetings to address
companies' specific questions on the development of tobacco products.
As FDA reviews product applications for currently regulated and newly
deemed categories of products, we intend to identify topics for which
rulemaking or more product specific guidance is appropriate.
Moreover, along with finalizing this rule, FDA is setting forth an
initial 2-year compliance period for the submission of a PMTA for newly
deemed, new tobacco products, followed by a continued compliance period
of up to 12 months for FDA to review the application. FDA believes that
this will give sufficient time for manufacturers of such products to
prepare high quality applications, and for FDA to review new
applications as expeditiously as possible, while ensuring that the
statutory standards are met. FDA's compliance policy is further
described in section V.A of.
(Comment 61) Comments were split as to whether the NPRM's
contemplated premarket review compliance timeframes (i.e., 24 months
for manufacturers to submit and for FDA to receive a marketing
application) should apply to manufacturers of newly deemed products.
While many industry comments sought additional time to comply with
these requirements, many other comments suggested that the reason
Congress delayed application of certain requirements to the currently
regulated products (e.g., cigarettes and smokeless tobacco) was to
account for the creation, staffing, and training for a new FDA center.
In addition, they stated that manufacturers of the newly deemed
products cannot argue that they did not have adequate notice that they
would need to comply with premarket requirements given that the Unified
Agenda entry for the deeming proposal published on July 7, 2011, and
was continually updated in subsequent Unified Agenda entries. They
argued that establishing similar timeframes for the newly deemed
products only benefits industry and is detrimental to the public
health.
(Response) FDA has considered these comments and concludes that the
staggered compliance periods included with this final rule are
sufficient to allow manufacturers of previously unregulated tobacco
products to submit applications without unduly delaying compliance. As
stated elsewhere in this document, FDA has taken several steps to
provide helpful feedback to industry to encourage more complete,
streamlined submissions and reviews, including: (1) Encouraging
teleconferences between the assigned regulatory health project manager
and the applicant; (2) streamlining the SE report review process by
modifying the preliminary review so that it focuses only on
administrative issues and allowing submission deficiencies to be
communicated to the applicant more quickly; (3) providing information
on FDA's Web site about the three pathways available to market products
(including SE) and developing public Webinars to explain the Agency's
processes; and (4) publishing guidance documents. FDA intends to act as
expeditiously as possible with respect to all new applications,
ensuring that statutory standards are met.
(Comment 62) One comment suggested FDA allow for submission of a
confidential e-cigarette product report in order to satisfy premarket
review requirements. Similarly, another comment encouraged FDA to
establish a ``Tobacco Product Master File'' (TPMF) system similar to
the Agency's Drug Master File (DMF) and Food Additive Master File
(FAMF) systems to allow for e-cigarette/personal vaporizer and e-liquid
suppliers to submit confidential product information (including
information on formulations, facilities, processes, and articles used
in the manufacturing, processing, packaging, and storing of ingredients
used).
(Response) FDA does allow for the submission and use of information
to be incorporated by reference similar to master file programs for
other FDA-regulated products. In addition, elsewhere in this issue of
the Federal Register, FDA has made available a final guidance to
provide information on how
[[Page 29013]]
to establish and reference a TPMF. TPMFs are expected to help
applicants of newly deemed products prepare premarket and other
regulatory submissions because they can reference information in TPMFs
rather than develop the information on their own.
Such a system would be especially helpful in the area of newly
deemed tobacco products. Because of the nature of upstream supply of
many components for ENDS products, especially e-liquids, FDA
anticipates that commercial incentives will be sufficient to drive
manufacturer reliance on the system of master files. We note that, at
present, FDA understands that, based on publically available
information, the number of entities engaged in upstream production of
liquid nicotine and flavors specifically developed for use with e-
liquids is small, in the range of seven to thirteen entities (see
earlier discussion in response to comment 34). Given the nature of the
marketplace, FDA expects that the master file system will be widely
appealing and widely utilized by the ENDS industry.
(Comment 63) At least one comment stated that FDA should prioritize
review of applications for products currently on the market over those
seeking to enter the market and that FDA should establish clear review
deadlines. Another comment suggested that priority should be given to
those products whose marketing is unlikely to be seen by youth or is
limited to existing adult users of the product.
(Response) During the initial implementation of the Tobacco Control
Act, FDA received a large number of applications for currently marketed
tobacco products. For these provisional products being reviewed through
the SE pathway, in order to appropriately prioritize review, FDA
performed a public health impact evaluation of the product's potential
to raise different questions of public health. Currently marketed
products with the highest potential to raise different questions of
public health were placed in the tier to be reviewed first. If
appropriate, FDA may consider using a prioritization method for newly
deemed products.
FDA understands the value of establishing timelines for review of
applications. For products not on the market on the effective date, FDA
intends to establish review performance goals in the future as it did
with currently regulated products.
(Comment 64) Some comments suggested that FDA continue to employ
measures to ensure that completed SE reports and PMTAs are submitted as
expeditiously as possible during the compliance period. They noted that
FDA currently employs a ``refuse-to-accept'' policy for SE applications
that allows FDA to make a threshold determination as to whether an SE
application is sufficiently complete for the Agency to review. They
stated that this policy will help to ensure that manufacturers of the
newly deemed products do not try to unduly extend the time that
products are marketed without FDA review of their applications.
(Response) FDA agrees. FDA plans to take all reasonable measures to
ensure that applications are reviewed in a timely manner. FDA intends
to continue employing its ``refuse-to-accept'' policy for SE Reports
and other marketing applications (including SE Exemption Requests and
PMTAs).
(Comment 65) Many comments suggested that FDA should develop a
product category specific framework for submission of PMTAs in light of
the large number of products for which PMTAs will be required, the size
and cost of PMTAs, and FDA's available resources. The comments
suggested that the compliance period should be based on the date FDA
issues a category specific guidance document. The comments stated that,
without category specific guidance, the PMTA process will effectively
eliminate certain tobacco product categories, including the premium
cigar industry. These comments asserted that it was Congress' intent to
treat categories of tobacco products differently, as shown by the
provisions banning flavored cigarettes, providing special
considerations regarding menthol, establishing MRTP provisions, and
creating baseline standards under sections 910 and 907.
(Response) As stated previously, the statute specifies the
premarket pathways for tobacco products. Congress subjected all new
tobacco products to the same premarket review requirements in sections
905 and 910. FDA has taken many steps to reduce and prevent backlogs of
marketing applications pending FDA review and intends to act as
expeditiously as possible with respect to all new applications, while
ensuring that statutory standards are met. Elsewhere in this issue of
the Federal Register, FDA has made available draft guidance, which when
final will describe FDA's current thinking regarding some appropriate
means of addressing the premarket authorization requirements for newly
deemed ENDS products. FDA may issue additional category specific
guidance as appropriate. FDA is committed to helping industry better
understand the tobacco product premarket review process and will
continue to hold public Webinars and meetings with industry. In the
category of cigars, and for premium cigars in particular, we expect
that some products will remain on the market due to their status as
grandfathered products, and that others will be able to make use of the
SE pathway.
(Comment 66) While many comments stated that they needed additional
time to comply with premarketing requirements, many other comments
stated that the contemplated 2-year compliance period was too long. For
example, comments jointly submitted by 24 health and medical
organizations stating that the contemplated 24-month compliance period
included in the NPRM would prolong the public's exposure to products
that contain nicotine, a highly addictive substance, and that, in their
view, do not meet the statutory standard for the grant of a marketing
order (Comment No. FDA-2014-N-0189-79772.). They stated that it would
allow manufacturers to continue to market the newly deemed products in
ways that appeal to youth and to manipulate the content of these
products in uncontrolled ways for an indefinite period (id.). These
comments also argued that a 2-year compliance period will result in
large numbers of adolescents experimenting with newly deemed products
and becoming established e-cigarette users or users of other tobacco
products. Some suggested that FDA reduce the compliance period to 6
months or 12 months and others suggested different compliance periods
for SE reports, SE exemption requests, and PMTAs. One comment stated
that FDA's burden estimates show that the PMTA process should take 18
months, so the compliance period should not extend beyond 18 months.
Alternatively, other comments stated that there should not be any
compliance period for products because the PMTA process was created to
provide a higher scrutiny of review for new products with unknown
health risks and a compliance period is contrary to this purpose. They
also stated that a compliance period would allow the industry to flood
the market place with products and manufacturers would not have an
incentive to quickly develop high-quality applications. In addition,
some comments suggested that FDA should not provide a compliance period
for combusted products, such as pipe tobacco or cigars, because there
is no parallel provision in the current statute for such products.
Some comments also suggested that manufacturers that sell flavored
tobacco products or that market tobacco
[[Page 29014]]
products to children should not be afforded any compliance period to
satisfy the premarket review requirements of the FD&C Act (79 FR at
23176). For example, two large organizations dedicated to the health of
youth and young adults urged FDA not to grant a compliance period of
any length for products sold in characterizing flavors other than
tobacco or any covered tobacco products that use marketing practices
known to appeal to children and youth (Comment No. FDA-2014-N-0189-
67268; Comment No. FDA-2014-N-0189-79413.).
Many comments also stated that manufacturers should not be able to
avail themselves of the compliance period unless they agree to restrict
their marketing to adults. However, some comments expressed concern as
to how such a restriction could be administered in accordance with the
First Amendment. In addition, Ranking minority members of the Energy
and Commerce Committee, Health Subcommittee, and Oversight and
Investigations Subcommittee, U.S. House of Representatives called for a
more protective compliance period than the one contemplated in the
NPRM, arguing that a 24-month compliance period ``puts the nation's
youth at risk'' (Comment No. FDA-2014-N-0189-80119).
(Response) Once this rule takes effect, it will be illegal to sell
these tobacco products to anyone under the age of 18. This final
deeming rule is foundational, affording FDA with the authority to issue
other regulations restricting sales and distribution, including
advertising and promotion, under section 906(d).
FDA struck a balance by revising the initial compliance period for
SE exemption requests and SE reports to 12 and 18 months, respectively,
and is setting forth a 2-year compliance period for manufacturers of
newly deemed, new tobacco products to submit (and FDA to receive) a
PMTA. FDA believes that these time periods are sufficient for
manufacturers to prepare high quality applications addressing the
requirements in the statute.
FDA has given extensive consideration to having different
compliance periods for flavored and non-flavored products. There is
some evidence suggesting that flavored products pose a greater public-
health risk than non-flavored products. FDA understands that the appeal
of flavors and use of flavored tobacco products have an important role
in the initiation and continued use of tobacco products, and in the
health risks associated with use of these products. Many comments and
studies provided data and information regarding youth and young adult
use of flavored tobacco products in recent years. (E.g., Refs. 49, 50,
51, 52, 53, 54, 55, 56). And flavors appear to encourage greater use.
(E.g., Ref. 57; Refs. 58, 59). The availability of appealing flavors is
a commonly cited reason for use of non-combusted products among young
tobacco users. (E.g., Refs. 60, 61)
However, several considerations weigh against a shorter compliance
period for flavored products. There are potential countervailing health
concerns. At least some flavored combusted products (which are of
particular concern because they are known to present similar risks to
cigarettes and are youth appealing) are likely to be ``grandfathered''
and, therefore, would remain on the market regardless of the compliance
period or enforcement policy for newly deemed, noncombusted flavored
products. And, in any event, comments suggested that the availability
of flavors in non-combusted tobacco products, such as ENDS, are
appealing to current smokers of combusted products and may entice
smokers to consider switching to e-cigarettes. (e.g., Comment No. FDA-
2014-N-0189-75088; Comment No. FDA-2014-N-0189-79096). And FDA is aware
of emerging self-reports from current and former cigarette smokers
supporting this claim. (See Refs. 62, 63.) Section VIII.F below
discusses the preliminary evidence available to date regarding
effectiveness of ENDS to help smokers transition from, or reduce their
consumption of, combusted tobacco products. But at least some think
that flavor variety is very important. (See, e.g., Ref. 63). More
research, especially longitudinal research, is needed to understand how
flavoring impacts tobacco use over time (Ref. 64).
Finally, as with other tobacco products that will be regulated
under this rule, FDA is cognizant of the transition that will be
required for regulated entities. Several comments expressed concern
that even the proposed 24-month compliance period was not sufficient to
submit complete applications for all of their products. For example,
one comment noted that most of the e-cigarette market ``are small and
medium-sized businesses owned and operated by individuals and families
[and] most, if not all of these smaller enterprises lack the resources
to tackle such a high administrative burden'' associated with
submitting multiple PMTAs within the time period (Comment No. FDA-2014-
N-0189-80496). Several comments also expressed concern that the 24-
month proposed compliance period would benefit larger companies with
more resources to complete product applications at the expense of small
and mid-size companies (e.g., Comment No. FDA-2014-N-0189-76162). FDA
notes that a shorter period would have an even greater impact on these
businesses.
In light of these considerations, FDA believes that a two-year
compliance period for flavored products, as with other tobacco
products, represents the exercise of its enforcement discretion in a
way that strikes an appropriate balance between providing industry time
to transition and protecting the public health. Over time, FDA expects
to see additional data on the role of certain flavored products in
supporting reduction in or abstinence from the use of combusted
products, as well as further data on the role of flavored products in
youth initiation, use, and dual use. Such data will help inform FDA's
regulation of, and product standards for, these and other tobacco
products.
In developing this compliance period, FDA balanced three important
public health considerations: Concern about the extended availability
of newly deemed, new tobacco products without scientific review;
concern about flavored products' youth appeal; and preliminary data
that some individuals may potentially use such products to transition
away from combusted tobacco use. Taking these factors into account, and
based on currently available scientific evidence, FDA determined that
the compliance periods described in Section V.A. strikes an appropriate
balance to protect public health. FDA is establishing staggered
compliance periods based on the expected complexity of the applications
and continued compliance periods for FDA review such that our exercise
of enforcement discretion will end twelve months after each initial
compliance period. In addition, FDA is announcing that it intends in
the future to issue a proposed product standard that would, if
finalized, eliminate characterizing flavors in all cigars including
cigarillos and little cigars.
Elsewhere in this issue of the Federal Register, FDA has made
available draft guidance, which when final will describe FDA's current
thinking regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products. FDA
recognizes that flavored e-liquids are especially attractive to youth
and young adults. Attractiveness to youth and young adults is an
important factor in evaluating whether the marketing of a product is
[[Page 29015]]
appropriate for the protection of the public health. Manufacturers
should provide information on possible toxicity, addictiveness, and
appeal of flavored tobacco products with their premarket review
applications.
VI. Components, Parts, and Accessories
In the preamble to the NPRM, we asked for comments, including
supporting facts, research, and other evidence, regarding FDA's
proposal to include components and parts of the newly deemed products
(but not accessories) under the scope of this rule. We also asked for
comments as to whether FDA should define components and parts of
tobacco products and how those items might be distinguished from
accessories (79 FR 23142 at 23152 and 23153). After reviewing the
comments, FDA is finalizing this rule to include components and parts
of the newly deemed products (but excluding accessories of such
products) within the scope of this rule. FDA is also explaining its
current compliance policy with respect to components and parts and
certain requirements that will become effective with this deeming rule.
A. Definitions
In response to comments, FDA is including definitions of
``accessory'' and ``component or part'' in parts 1100, 1140, and 1143.
As stated in this final rule, an ``accessory'' means any product that
is intended or reasonably expected to be used with or for the human
consumption of a tobacco product; does not contain tobacco and is not
made or derived from tobacco; and meets either of the following:
(1) Is not intended or reasonably expected to affect or alter the
performance, composition, constituents, or characteristics of a tobacco
product, or
(2) Is intended or reasonably expected to affect or maintain the
performance, composition, constituents, or characteristics of a tobacco
product but (i) solely controls moisture and/or temperature of a stored
product; or (ii) solely provides an external heat source to initiate
but not maintain combustion of a tobacco product.
FDA has structured paragraph (2)(ii) to ensure that coils and
charcoal are not encompassed by the definition of ``accessory.''
``Composition,'' as used in this definition, means the manner in
which the materials, including, for example, ingredients, additives,
and biological organisms, are arranged and integrated. Examples of
accessories are ashtrays, spittoons, hookah tongs, cigar clips and
stands, and pipe pouches, because they do not contain tobacco and are
not derived from tobacco and do not affect or alter the performance,
composition, constituents, or characteristics of a tobacco product.
Accessory examples also include humidors that solely control the
moisture and/or temperature of a stored product and a burner that
solely provides an external heat source to initiate but not maintain
combustion of a tobacco product. As stated in the NPRM, accessories of
newly deemed products are not deemed with this final rule.
In addition, FDA is defining ``component or part'' to mean any
software or assembly of materials intended or reasonably expected: (1)
To alter or affect the tobacco product's performance, composition,
constituents, or characteristics; or (2) to be used with or for the
human consumption of a tobacco product. The definition excludes
anything that is an accessory of a tobacco product.
We note that the term ``material'' means an assembly of
ingredients, including additives. Materials are assembled to form
components and parts. For example, material could be considered the
glue or paper pulp for a cigarette where the paper pulp includes
multiple ingredients (e.g., multiple types of tobacco, water, and
flavors) assembled into the paper (or pulp depending on the water
content). A material could be considered the plastic in the mouthpiece
of an ENDS containing multiple ingredients and additives assembled
together to create a product.
In determining whether software or an assembly of materials might
be ``intended or reasonably expected'' to alter or affect the tobacco
product's performance, composition, constituents, or characteristics or
to be used with or for the human consumption of a tobacco product (and,
therefore, whether it is a component or part), FDA is not bound by the
manufacturer or distributor's subjective claims of intent. Rather, FDA
can consider the totality of the circumstances, including direct and
circumstantial objective evidence, which encompasses a variety of
factors such as circumstances surrounding the distribution of the
product or the context in which it is sold (see, e.g., 21 CFR 201.128
(drugs), 21 CFR 801.4 (devices); see also U.S. v. Travia, 180 F.Supp.2d
115, 119 (D.D.C. 2001)) and sales data.
Some examples of materials intended or reasonably expected to be
used with or for the human consumption of a tobacco product are:
Atomizers and cartomizers used with ENDS;
water filtration base additives (including those which are
flavored) used with waterpipe tobacco; and
pouches or flavorings used with any of the newly deemed
products (whether or not the pouch or flavoring contains nicotine or
tobacco).
Some examples of materials intended or reasonably expected to alter
or affect the tobacco product's performance, composition, constituents,
or characteristics are:
The cellophane wrapping or plastic tube for a single
cigar;
a plastic bag or tin holding loose pipe tobacco; and
a glass or plastic vial container of e-liquid.
Although these examples are materials that are generally intended to
prevent unintended changes to the characteristics of the tobacco
product, they are also intended or reasonably expected to alter or
affect the performance, composition, constituents, or characteristics
of a tobacco product. For example, these materials often leach
ingredients into the consumed product. As some comments noted, with
ENDS, there is the potential for substances to leach from the
containing vial into the e-liquid and these leachates may be inhaled
when the e-liquids are used as intended, posing additional health risks
for consumers. They often can also impact the moisture level or shelf
life of a tobacco product (e.g., whether a cigar is in a hard pack or
soft pack, and whether pipe tobacco is in a plastic or metal
container). The moisture level of a tobacco product, and changes to
that moisture level, can, for example, significantly impact consumers'
exposure to nicotine and other constituents. In some cases, menthol or
other ingredients may have been applied to these materials in order to
have them become incorporated into the consumed product.
FDA recognizes that in some circumstances some assemblies of
materials can operate as both an aspect of the package and a component
or part of the tobacco product. In such situations, the Agency is only
examining a distinct subset of packaging materials that function as a
component or part of a tobacco product by having the potential to alter
or affect the tobacco product's performance, composition, constituents,
or characteristics. Packaging materials that do not alter or affect,
and are not reasonably expected to alter or affect, the tobacco
product's performance, composition, constituents, or characteristics
are not components or parts of a tobacco product. For example,
[[Page 29016]]
a glass vial containing an e-liquid is a component or part of the
tobacco product, whereas a hard plastic blister pack in which the glass
vial of e-liquid is distributed and sold to consumers is not.
FDA intends to seek additional public comment and issue a rule or
guidance to provide further clarification on assemblies of materials
that are a ``component or part'' of a tobacco product because they are
intended or reasonably expected to alter or affect the tobacco
product's performance, composition, constituents, or characteristics or
are intended or reasonably expected to be used with or for the human
consumption of a tobacco product.
Many comments specifically asked for clarification and examples of
which objects used with waterpipe tobacco would be considered
components, parts, and accessories. The following is a nonexhaustive
list of examples of components and parts used with waterpipe tobacco:
Flavor enhancers; hose cooling attachments; water filtration base
additives (including those which are flavored); flavored hookah
charcoals; and bowls, valves, hoses, and heads. The following is a
nonexhaustive list of objects used with waterpipe tobacco that would
likely be considered accessories: Hookah glow balls, foil pokers,
shisha oyster forks, tongs, and bags.
Many comments also sought clarification and examples as to which
objects used with e-cigarettes would be considered components, parts,
and accessories. The following is a nonexhaustive list of examples of
components and parts of ENDS (including e-cigarettes): Atomizers,
flavors used or intended to be used with ENDS (with or without
nicotine), e-liquid solvents, tanks and tank systems, batteries (with
or without variable voltage), coils, cartomizers, digital display/
lights to adjust settings, clearomisers, and programmable software. The
following is a nonexhaustive list of examples of objects used with e-
cigarettes or other ENDS that would likely be considered accessories:
Screwdrivers and lanyards.
A summary of comments regarding these issues, and FDA's responses,
is included as follows.
(Comment 67) Many comments urged FDA to define components, parts,
and accessories (particularly for e-cigarettes) to standardize
enforcement nationally, prevent confusion in the marketplace (including
among retailers), close any potential loopholes to circumvent
compliance, increase transparency, and ensure inspectors are enforcing
regulations, while also taking into account retailers who are making a
good faith effort to comply with the law. Many comments provided
suggested definitions for ``component or part'' and ``accessory.''
Other comments stated that FDA should not define these categories of
products, because it is too difficult to properly define such large
categories of products and any definitions quickly would become
outdated.
(Response) FDA agrees that definitions of component or part and
accessory would be appropriate and has included definitions consistent
with factors noted in the proposal and consideration of comments.
Although we indicated in the NPRM that accessories are not expected to
be used with or for consumption of a tobacco product, we also indicated
our expectation that accessories will have little impact on the public
health. While the definition of accessory is different than the
description in the NPRM, based on consideration of the comments, it
captures our original intent and the classes of products that the
Agency views as accessories. The definitions of component, part, and
accessory, which are discussed at the beginning of this section VI.A of
the document, are included in Sec. Sec. 1100.3, 1140.3, and 1143.1.
(Comment 68) Several comments expressed concern about FDA's
statement in the NPRM that the Agency may consider rule revisions if
FDA later decides to extend its regulatory authority to components and
parts of newly deemed tobacco products that do not contain tobacco or
nicotine. They stated that the Tobacco Control Act does not permit FDA
to regulate such objects if they do not employ tobacco as a raw
material.
(Response) FDA disagrees. To clarify, FDA is finalizing its
proposal to deem all tobacco products, including all components and
parts, but excluding accessories of newly deemed tobacco products, to
be subject to chapter IX of the FD&C Act. However, the additional
restrictions (i.e., minimum age and identification, vending, and health
warnings provisions) only apply to ``covered tobacco products.'' The
health warning provisions apply to ``covered tobacco products,''
cigarette tobacco, and roll-your-own tobacco. The term ``covered
tobacco products'' includes all newly deemed tobacco products except
those components and parts that are not made or derived from tobacco.
FDA also disagrees that the FD&C Act does not authorize FDA to
regulate products that do not employ tobacco as a raw material. Section
901 of the FD&C Act states that chapter IX of the FD&C Act applies to
all cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco and to any other tobacco products that the Secretary of Health
and Human Services by regulation deems to be subject to chapter IX.
Section 201(rr) of the FD&C Act defines ``tobacco product,'' in
relevant part, as any product made or derived from tobacco that is
intended for human consumption, including any component, part, or
accessory of a tobacco product (except for raw materials other than
tobacco used in manufacturing a component, part, or accessory of a
tobacco product). Therefore, the statute gives FDA authority to deem
additional tobacco products, including all components, parts, and
accessories, except for raw materials (other than tobacco) that go into
manufacturing of components, parts, or accessories of a tobacco
product. Examples of such raw materials would be unprocessed acacia gum
(taken from a tree and not processed) and minted titanium dioxide (used
for whitening cigarette and tipping paper). In this rule, FDA is not
deeming accessories to be subject to chapter IX and, although it is
deeming all components and parts to be subject to chapter IX, it is not
applying the additional restrictions (i.e., minimum age and
identification, vending, and health warnings provisions) to components
and parts that are not made or derived from tobacco. Nevertheless, if
FDA were to consider extending its authority to accessories or to apply
additional restrictions to components or parts, FDA would do so through
the rulemaking process.
(Comment 69) A few comments expressed concern that the rule would
create incentives for manufacturers to separate nicotine-containing
components from nonnicotine-containing components to evade regulatory
requirements. They stated that the rule would allow minors to purchase
nicotine delivery systems, as long as they do not contain e-liquids,
and obtain the e-liquids from other sources (e.g., friends, parents,
online).
(Response) FDA understands these concerns. However, this deeming
rule covers tobacco product components and parts intended or reasonably
expected to be used with or for the human consumption of a tobacco
product. In addition, as stated in Sec. 1140.16, retailers of newly
deemed tobacco products may not sell covered tobacco products (through
any medium, including the Internet) to individuals under 18 years of
age. FDA will continue to actively enforce the minimum age restriction
for
[[Page 29017]]
mail order and Internet sales, which will help to reduce youth access
to the nicotine and tobacco containing components, without which they
cannot use the other components of ENDS.
(Comment 70) Some comments stated that the objects used in or with
an e-cigarette (including batteries, wire, screws, silica) should be
beyond the scope of FDA's authority, because they do not become part of
the tobacco product until they are constructed by the consumer. Others
stated that FDA should regulate these objects given reports regarding
the malfunctioning of certain e-cigarette components (e.g., dangers of
exploding batteries (Ref. 65)) and the fact that the e-liquid cannot be
consumed without each component working in conjunction to deliver
nicotine to the consumer. These comments asked FDA to clarify whether
the Agency will regulate only the nicotine-containing cartridges in a
line of products that includes varying degrees of nicotine including
cartridges advertised as nicotine free if they are intended to be used
with or for the human consumption of a tobacco product.
(Response) This final deeming rule deems all tobacco products as
they are defined in section 201(rr) of the FD&C Act, except accessories
of newly deemed products, but including components and parts as defined
in this rule. The wires, screws, and silica meet the definition of
component or part, as they are an assembly of materials intended or
reasonably expected to be used with or for the human consumption of a
tobacco product and are not accessories of a tobacco product. FDA also
remains concerned about reports of exploding batteries. Batteries that
are co-packaged with other components or parts of an ENDS (e.g.,
cartridges and tanks) or otherwise intended or reasonably expected to
be used with or for the consumption of ENDS are components or parts and
subject to FDA's tobacco product authorities. However, as noted
elsewhere in this document, for ENDS hardware or delivery system
components or parts, such as batteries, FDA expects that it may be
difficult for manufacturers to obtain premarket authorization for such
products, given the great extent of possible variations in combinations
of hardware components, if all considered and sold separately. Thus,
with respect to such apparatus, FDA expects that manufacturers will be
most successful where authorization is sought for entire delivery
systems, rather than individual components. Elsewhere in this issue of
the Federal Register, FDA also has made available draft guidance, which
when final will represent some appropriate means of addressing the
premarket authorization requirements for newly deemed ENDS products and
will include FDA's current thinking regarding compliance with existing
voluntary standards for ENDS batteries.
In addition, nicotine-containing cartridges that include varying
degrees of nicotine are components or parts and subject to FDA's
chapter IX authorities because they constitute an assembly of materials
intended or reasonably expected to be used with or for the human
consumption of a tobacco product and do not constitute a tobacco
product accessory. Upon the effective date of this final rule, FDA
intends to regulate the entire line of cartridges (including cartridges
that include varying degrees of nicotine or those that do not contain
nicotine, if they meet the definition of component or part).
(Comment 71) Several comments urged FDA to include all e-liquids in
the minimum age and identification requirements and vending machine
restrictions in the revised part 1140, including e-liquids that do not
contain nicotine, because they are easily accessible to minors online
and can be mixed with nicotine. In addition, they suggested that FDA
require the proposed addiction warning on all components or parts sold
in conjunction with e-liquid.
(Response) FDA disagrees. Under this deeming rule, e-cigarettes
that contain nicotine cannot be sold to youth under the age of 18. In
addition, an e-liquid with nicotine is a covered tobacco product and,
therefore, will be required to have a health warning under part 1143.
As previously discussed, an e-liquid without nicotine is a component
(and subject to FDA's tobacco control authorities), if it is intended
or reasonably expected to be used with or for the human consumption of
a tobacco product (e.g., with liquid nicotine) and does not constitute
a tobacco product accessory, but an e-liquid that does not contain
nicotine or tobacco is not required to carry a warning, nor is it
subject to the minimum age and identification requirements and vending
machine restrictions under parts 1140 and 1143 because it is not a
covered tobacco product as defined by this rule. Because components
without nicotine or tobacco are intended to be used with a covered
tobacco product, which contains nicotine or tobacco, FDA believes that
it is appropriate to require only the covered tobacco product to be
subject to the minimum age and vending machine provisions and to carry
the warning. Moreover, if a warning is overused, there is the danger
that it will grow stale.
(Comment 72) One comment disagreed with what it characterized as
FDA's assertions that tobacco product accessories do not pose a public
health risk or environmental risk and stated that such objects are
harmful to humans and the food chain.
(Response) FDA wishes to clarify language included in the NPRM
regarding accessories (79 FR 23142 at 23153). FDA did not propose, nor
is it stating in this final rule, that tobacco product accessories do
not pose any public health risk. Instead, we indicated that tobacco
product accessories as defined in the rule likely have less (rather
than ``no'') risk to the overall public health, which we reiterate in
this final rule. FDA is regulating components and parts (and not
accessories) of the newly deemed products, so the Agency can better
focus its resources on those objects with a greater likely impact on
public health. Similarly, FDA did not state that this rule would not
impact the environment. Rather, the environmental analysis included in
the NPRM stated that the impacts of this rule will not have a
significant impact on the human environment according to the standard
imposed by the National Environmental Policy Act, as stated in the
proposed environmental assessment (EA). The final EA and Finding of No
Significant Impact (FONSI) are included in the docket.
(Comment 73) The comments suggested several different regulatory
approaches for components, parts, and accessories. First, several
comments stated that FDA should weigh the relative risks of these
products and impose the least burdensome requirements necessary to
effectively manage or mitigate those risks. They suggested that FDA
treat these products the way the Agency does with its review of
marketing applications. For example, they noted that FDA's draft and
final guidance documents on PMTAs and SE reports explain that FDA does
not intend to enforce the requirements of either section 910 or 905(j)
of the FD&C Act for components of regulated tobacco products that are
sold or distributed solely for further manufacturing into finished
tobacco products because the Agency anticipates ``receiving relevant
information regarding such new tobacco products in the PMTA submission
for the finished regulated tobacco products'' (citing draft guidance,
``Applications for Premarket Review of New Tobacco Products''). Second,
some comments believed that manufacturers of e-cigarette components and
parts
[[Page 29018]]
should be required to submit marketing applications given the aerosols
and ``vapors'' that consumers generate when using certain components or
parts. Third, some comments stated that instead of requiring
manufacturers of components and parts to comply with the automatic
requirements for the newly deemed products, FDA should require them to
ensure that all of their components and parts that contain tobacco or
tobacco derivatives are shipped and packaged with labeling that
indicates that they are intended for further manufacture.
(Response) At this time, FDA intends to limit enforcement of the
premarket review requirements to finished tobacco products. For
purposes of this compliance policy applicable to newly deemed products,
a finished tobacco product refers to a tobacco product, including all
components and parts, sealed in final packaging intended for consumer
use (e.g., filters or filter tubes sold separately to consumers or as
part of kits). FDA does not at this time intend to enforce these
requirements for components and parts of newly deemed products that are
sold or distributed solely for further manufacturing into finished
tobacco products. In addition, FDA does not believe that it is
warranted at this time to require components and parts that contain
tobacco or tobacco derivatives to include labeling that indicates they
are intended for further manufacture.
(Comment 74) Some comments stated that FDA should regulate all
components, parts, and accessories, as long as they have a foreseeable
impact on the public health. They believed that omitting accessories
from the scope of the deeming rule ignores the clear statutory language
that explicitly defines ``tobacco product'' to include accessories.
(Response) FDA disagrees. Although Congress included
``accessories'' within the definition of ``tobacco product'' in section
201(rr) of the FD&C Act, it did not explicitly require that FDA include
all components, parts, and accessories within the scope of its rule to
deem additional tobacco products under section 901. Accessories, as
defined in this rule, likely have less risk to the overall public
health, and the benefits to overall public health for deeming
accessories subject to FDA's tobacco product authorities are also
likely less. Therefore, FDA is excluding them from the scope of this
deeming rule.
(Comment 75) Some comments stated that items also used for purposes
other than for tobacco use (i.e., a lighter or matches that can be used
to light candles) should be classified as accessories and, therefore,
not subject to FDA's chapter IX authorities. For example, batteries
used in advanced personal vaporizers can be found in laptop battery
packs or cordless drill packs. These comments also stated that items
such as lighters and batteries may (or may not) be used in consumption
of a tobacco product or are regulated by the Consumer Product Safety
Act (as are child-resistant lighters) and, therefore, should not be
subject to FDA's tobacco product authorities.
(Response) FDA agrees that it is not necessary to regulate
batteries that are not intended or reasonably expected to be used with
a tobacco product under its tobacco product authorities. However, it is
important that batteries that are co-packaged with other parts of an
ENDS (e.g., cartridges and tanks) or otherwise intended or reasonably
expected to be used with ENDS are components subject to FDA's tobacco
product authorities. FDA remains concerned about reports of exploding
e-cigarette batteries and finds that regulating them can help address
these problems. Toward that end, elsewhere in this issue of the Federal
Register, FDA has made available draft guidance, which when final will
describe FDA's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products, including compliance with existing voluntary standards
for ENDS batteries.
(Comment 76) Some comments stated that walk-in humidors for cigars
should not be subject to FDA regulation because they are important to
retailers and allow consumers to browse a retailer's stock and make a
selection.
(Response) As discussed previously, any item that is intended or
reasonably expected to be used with or for the human consumption of a
newly deemed tobacco product; does not contain tobacco or a tobacco
derivative; and is intended or reasonably expected to affect or
maintain the characteristics of the newly deemed tobacco product but
solely controls moisture and/or temperature of a stored newly deemed
tobacco product, is an accessory and excluded from this deeming rule.
Therefore, unless the humidor is designed to affect the tobacco product
in a manner other than controlling moisture or temperature, such walk-
in cigar humidors are not subject to this rule.
(Comment 77) A few comments expressed concern that e-cigarette
tanks and cartridges would not be included within the proposed vending
machine restrictions because they do not contain nicotine at the time
of sale. They said that such objects are not standardized and that
their quality, composition, and safety are not regulated and,
therefore, they should be subject to FDA's chapter IX authorities.
(Response) FDA does not believe it is necessary for tanks and
cartridges that do not contain nicotine or tobacco to be subject to the
vending machine restrictions because they can only be used to consume
tobacco or nicotine derived from tobacco with other products that are
subject to the additional restrictions. However, FDA is aware of the
current lack of regulation or standardization of tanks and cartridges,
which are components and parts that FDA is deeming to be subject to
FDA's chapter IX authorities with this rule. After the effective date
of this final rule, FDA will have authority to issue tobacco product
manufacturing practice regulations under section 906(e) of the FD&C Act
and product standards under section 907 of the FD&C Act to address the
quality, composition, and safety of these components and parts. FDA
also notes that these components and parts will usually be subject to
premarket review, either by themselves, as components and parts
intended for consumer use, or as components and parts of products that
undergo further manufacturing for which the end product will be subject
to premarket review.
(Comment 78) A few comments expressed concern with FDA's
characterization of objects used during a waterpipe tobacco session
(i.e., the burners, holders, screens, and other objects used with
waterpipe tobacco). They stated that all waterpipe burners and holders
can affect waterpipe tobacco emissions, and noted that foil is heated
to the same extent as charcoal during waterpipe use and, therefore, can
present a burning danger (Ref. 66). In addition, the heating source,
screen (or aluminum foil), and hose can have a significant impact on
passive and active exposure and smoking/puffing behaviors and,
therefore, should be components or parts subject to chapter IX of the
FD&C Act.
(Response) FDA has included definitions of ``component,'' ``part,''
and ``accessory'' with this final rule to provide additional clarity
regarding the characterization of products used during a waterpipe
session. According to these definitions, the screen (or aluminum foil)
and hoses that are co-packaged with other parts of a hookah or
marketed, advertised, or otherwise intended for use with a hookah are
parts or components and subject to FDA's tobacco product authorities.
However, for example, an external burner or
[[Page 29019]]
heating source that is not incorporated into the hookah would be an
accessory, provided that it does not contain tobacco or a tobacco
derivative and solely provides an external heat source to initiate but
not maintain combustion of a tobacco product. The holder also is an
accessory and not subject to chapter IX of the FD&C Act.
(Comment 79) A few comments suggested that charcoal or wood cinder
used with waterpipe tobacco should be considered a tobacco product and
deemed under this regulation. They explained that combustion of these
products produces toxicants and may emit carcinogens, carbon monoxide,
polycyclic aromatic hydrocarbons, and other cancer causing agents.
(Response) FDA finds that such products are components or parts;
therefore, they are subject to FDA's chapter IX authorities. They are
an assembly of materials intended or reasonably expected to be used
with or for the human consumption of a tobacco product and are not
accessories. As we have noted throughout this document, an accessory
does not contain tobacco and is not made or derived from tobacco, and
it meets one of the following: (1) Is not intended or reasonably
expected to affect or alter the performance, composition, constituents,
or characteristics of a tobacco product; or (2) is intended or
reasonably expected to affect or maintain the performance, composition,
constituents, or characteristics of a tobacco product but (i) solely
controls moisture and/or temperature of a stored product; or (ii)
solely provides an external heat source to initiate but not maintain
combustion of a tobacco product. Therefore, the charcoal or wood cinder
intended or reasonably expected to be used with or for the human
consumption of waterpipe tobacco are components or parts. Further,
charcoal and wood cinders are not considered accessories given that
they: (1) Do not contain tobacco and are not made or derived from
tobacco; and (2) are intended or reasonably expected to alter the
characteristics of a tobacco product but do not solely control moisture
and/or temperature of a stored product and do not solely provide an
external heat source to initiate but not maintain combustion. Instead,
both charcoal and wood cinder are used to maintain the combustion of
waterpipe tobacco.
(Comment 80) Many comments asked for clarification as to whether
certain items associated with cigar use should be termed
``accessories,'' including cigar tip cutters, permeable humidor
buttons, removable tips, mouthpieces, removable filters, holders,
lighters, ashtrays, and cases.
(Response) FDA generally expects cigar tip cutters, permeable
humidor buttons, holders, ashtrays, and cases would be accessories that
are not subject to FDA regulation. In addition, as stated in this
section (discussing the definitions of component or part and
accessory), for the purposes of this regulation, any item that does not
contain tobacco or a tobacco derivative and is not integrated in a
tobacco product, but rather solely provides an external heat source, to
initiate but not maintain combustion of a tobacco product (such as a
lighter) is not subject to this deeming rule. However, removable tips,
mouthpieces, and filters are all intended to be used by adult consumers
in the human consumption of a tobacco and do not meet the definition of
accessory, therefore, are included within the scope of this final rule.
(Comment 81) A few comments expressed concern that vaporizers sold
separately without nicotine can be modified or ``hacked,'' which
researchers found could increase toxins and other dangerous components,
including formaldehyde (Ref. 67). They stated that online videos show
how to ``hack'' an e-cigarette, including how to change the apparatus
to increase the temperature of the ``vapor.'' Because of these
concerns, they argued that such items should be considered components
and parts and under FDA's jurisdiction.
(Response) FDA agrees that vaporizers are components or parts of a
tobacco product. These objects are an assembly of materials intended or
reasonably expected to be used with or for the consumption of a tobacco
product and do not constitute tobacco product accessories. Therefore,
they are tobacco product components or parts and subject to FDA's
chapter IX authorities. FDA considers components or parts sold directly
to consumers to be finished tobacco products. A finished tobacco
product refers to a tobacco product, including all components and
parts, sealed in final packaging intended for consumer use (e.g.,
filters or filter tubes sold separately to consumers or as part of
kits). FDA remains concerned about adverse events associated with ENDS
use and finds that regulating them can help address these problems.
Toward that end, elsewhere in this issue of the Federal Register, FDA
has made available draft guidance, which when final will describe FDA's
current thinking regarding some appropriate means of addressing the
premarket authorization requirements for newly deemed ENDS products.
(Comment 82) One comment requested that flavored rolling papers be
included as a newly deemed tobacco product. Another comment claimed
that flavored papers should not be subject to FDA's tobacco control
authorities, because they do not pose a danger to public health.
(Response) Rolling papers intended for use with cigarette tobacco
or roll-your-own tobacco are already subject to FDA's tobacco control
authorities under section 901 of the FD&C Act because they are
components of cigarettes and cigarette tobacco. Upon the effective date
of this final rule, rolling papers (including flavored papers) intended
for use with newly deemed tobacco products would be tobacco product
components or parts and subject to FDA's chapter IX authorities.
B. Discussion of Requirements Associated With Components and Parts
FDA received many inquiries about how the automatic provisions
associated with deeming tobacco products would apply to components and
parts. Components and parts of newly deemed tobacco products are
subject to all of the automatic provisions included in the FD&C Act, as
further discussed as follows.
1. Ingredient Listing (Sections 904(a)(1) and 904(c)); Health Document
Submission (Section 904(a)(4)); and Registration and Product Listing
(Section 905)
At this time, FDA intends to limit enforcement to finished tobacco
products. A finished tobacco product refers to a tobacco product,
including all components and parts, sealed in final packaging intended
for consumer use (e.g., filters, filter tubes, e-cigarettes, or e-
liquids sold separately to consumers or as part of kits). FDA does not
at this time intend to enforce these requirements for components and
parts of newly deemed products that are sold or distributed solely for
further manufacturing into finished tobacco products.
2. SE Reports and PMTAs (Section 905(j) and 910)
At this time, FDA intends to limit enforcement to finished tobacco
products. FDA does not at this time intend to enforce these
requirements for components and parts of newly deemed products that are
sold or distributed solely for further manufacturing into finished
tobacco products.
3. Reporting of HPHCs (Section 915)
At this time, FDA intends to limit enforcement to finished tobacco
[[Page 29020]]
products. See section IX for further discussion of ENDS retail
establishments and the responsibilities of upstream manufacturers for
reporting of HPHCs. The Agency is working to determine an appropriate
compliance policy to deal with HPHCs for newly deemed products
(including e-liquids) and is intending to issue guidance with enough
time for manufacturers to report given the 3-year compliance period.
VII. Regulation of Cigars and Selection of Option 1
As discussed in the preamble to the NPRM (79 FR 23142 at 23150
through 23152), it has been suggested that different kinds of cigars
may have the potential for varying effects on public health.
Accordingly, FDA proposed two options for the categories of cigars to
be subject to this deeming rule. Option 1 proposed to deem all products
meeting the statutory definition of ``tobacco product,'' except
accessories of a proposed deemed tobacco product, to be subject to
FDA's tobacco product authorities under chapter IX of the FD&C Act.
Option 2 proposed to deem all products meeting the statutory definition
of ``tobacco product,'' except accessories of a proposed deemed tobacco
product and a subset of cigars referred to as ``premium cigars'' to be
subject to FDA's tobacco product authorities under chapter IX of the
FD&C Act. FDA notes that individual hand rollers of cigars would be
considered manufacturers under chapter IX of the FD&C Act, and subject
to the same requirements as other tobacco product manufacturers.
(Comment 83) Some comments that supported Option 1 stated that FDA
should regulate premium cigars, in part, because they meet the
statutory definition of ``tobacco product.''
(Response) FDA agrees. All cigars, including those referred to as
premium cigars, meet the definition of a ``tobacco product'' under
section 201(rr) of the FD&C Act.
After thorough review of the comments and the scientific evidence,
FDA has concluded that deeming all cigars, rather than a subset, more
completely protects the public health and therefore has adopted Option
1 in the final rule. FDA has concluded that: (1) All cigars pose
serious negative health risks, (2) the available evidence does not
provide a basis for FDA to conclude that the patterns of premium cigar
use sufficiently reduce the health risks to warrant exclusion, and (3)
premium cigars are used by youth and young adults. The fact that some
premium cigar smokers might smoke such products infrequently or report
that they do not inhale does not negate the adverse health effects of
tobacco smoke or demonstrate that cigars do not cause secondhand smoke-
related disease in others. Therefore, we find there is no appropriate
public health justification to exclude premium cigars from the scope of
the final deeming rule and that it is appropriate to deem them.
A. Health Risks of Premium Cigars
Researchers estimate that regular cigar smoking was responsible for
approximately 9,000 premature deaths or almost 140,000 years of
potential life lost among adults 35 years or older in 2010 (Ref. 68).
Cigar smoke contains many of the same harmful constituents as cigarette
smoke and may have higher levels of several harmful compounds (Ref. 68,
citing Ref. 69 at 55-104). All cigar smokers have an increased risk of
oral, esophageal, laryngeal, and lung cancer compared to non-tobacco
users (Refs. 35, 69). Among those who report inhaling cigar smoke,
there are significantly elevated levels of many types of cancer and
other adverse health effects, such as increased risk of heart and
pulmonary disease (Refs. 69, 70). Cigar smokers also are at a marked
increase in risk for chronic obstructive pulmonary disease (COPD) and
experience higher mortality risk from COPD than nonsmokers (Refs. 70,
71). In addition, cigar smokers have a higher risk of fatal and
nonfatal stroke than nonsmokers (Ref. 72). All cigars produce
secondhand smoke, which causes negative health effects such as heart
disease and lung cancer in bystanders (Refs. 35, 69).
Nevertheless, we do note that the 2014 Surgeon General's Report
states that when compared with persons who smoke cigarettes, those who
use cigars exclusively have a lower risk for many smoking-related
diseases (Ref. 9 at 428 citing Ref. 69). Although smoke from cigars
contains the same toxic substances as cigarette smoke, cigar smokers
generally smoke at a lower frequency and tend not to inhale the smoke,
thus reducing (but not eliminating) their exposure to its toxic
substances (id.). Former cigarette smokers are more likely to inhale
cigar smoke than are primary cigar smokers who have never smoked
cigarettes (id.).
While most studies cited in this section do not explicitly pertain
to premium cigars, the bulk of the established data on the health
effects of cigar smoking is based on smokers of traditional, large
cigars and, therefore, is applicable to the toxicity of premium cigars
given that they share the same characteristics and are generally smoked
in similar ways.
While exposure to higher levels of cigar smoke for a longer period
of time increases the adverse health risks due to cigar smoking (just
as it does for cigarettes), the Surgeon General has stated that no
amount of smoking is safe (Ref. 2). Further, there are no data
indicating that premium cigar users are not susceptible to health
risks, as discussed in section VII.C. FDA's responses to comments on
the health risks of premium cigars are included in the following
paragraphs.
(Comment 84) Proponents of Option 1 stated there is no public
health justification for exempting premium cigars and that deeming
premium cigars will benefit the public health immediately through the
automatic and additional provisions and the imposition of future
product standards. They also stated that exempting premium cigars would
have a negative impact on the public health.
(Response) FDA agrees. As stated in the NPRM, there will be many
public health benefits associated with deeming tobacco products
(including products referred to as premium cigars). For example, the
adulteration and misbranding provisions in sections 902 and 903 of the
FD&C Act, as applied to the newly deemed products, will protect
consumers because FDA will be able to take enforcement action against
any non-compliant tobacco product, such as a product with false or
misleading labeling or advertising. In addition, ingredient listings
and reports of HPHCs under sections 904 and 915 of the FD&C Act will
assist FDA in better understanding the contents of regulated products.
That information would assist FDA in assessing potential health risks
and determining if future regulations to address the health risks posed
by particular products are warranted. With application of the section
905 registration and listing requirements, FDA will be able to conduct
biennial inspections of tobacco product manufacturers. Further,
implementation of the premarket review provisions of sections 905, 910,
and 911 of the FD&C Act will allow FDA to monitor product development
and changes and to prevent more harmful or addictive products from
reaching the market. Moreover, there were no data provided to support
the premise that there are different patterns of use of premium cigars
and that these patterns result in lower health risks.
(Comment 85) Some comments argued that exempting premium cigars
from deeming would set a dangerous precedent that it is appropriate for
FDA not to regulate certain tobacco products by virtue of their
potential for varying
[[Page 29021]]
effects on public health. An exemption could mislead consumers to
believe that premium cigars are safe, which contradicts the available
evidence that all cigars are harmful and potentially addictive. In
addition, the current population of premium cigar users would be left
unprotected, potentially decreasing the likelihood that they would
quit, and leading more youth and young adults to initiate use of
premium cigars or substitute products.
(Response) FDA agrees with these comments. Accordingly, FDA has
selected Option 1 deeming all cigars, rather than a subset, for the
scope of this final rule.
(Comment 86) Many comments that supported Option 2 argued that
premium cigars do not present a public health threat significant enough
to warrant regulation and that no evidence was presented that
regulation of premium cigars would substantially improve the public
health. These comments stated that premium cigars represent a small
portion of the tobacco product and cigar markets (annual premium cigar
estimate in the United States of 300 million units compared to nearly
14 billion total cigar units and nearly 300 billion cigarettes) (Ref.
73), and there is no evidence that premium cigars have the same health
consequences or habitual use patterns as other tobacco products. They
generally relied on two studies, Funck-Brentano et al. and Turner et
al., to claim that premium cigars deliver little nicotine to users, by
inhalation or oral absorption (Refs. 74, 75). They also claimed that
cigars do not significantly elevate the risk of addiction or death
(Refs. 76, 77) and stated that, in some studies, there were a very
small number of cancer cases or deaths among cigar smokers (Refs. 78,
79). They also noted the nonsignificant odds ratios for those consuming
1 to 2 cigars per day (Refs. 69, 79) and for the risk of lung cancer
and ``tobacco-related cancers'' among exclusive cigar smokers (Ref.
80).
(Response) FDA disagrees with these claims and finds that the cited
studies or critiques are not persuasive. Regarding the claim that
premium cigars deliver little nicotine to users, the Turner study (Ref.
75) was a study of only 10 male hospital workers conducted more than 30
years ago. The findings of the Turner study, based on carboxyhemoglobin
and plasma nicotine levels, suggested that former cigarette smokers who
occasionally smoked cigars or regularly smoked pipes had greater cigar
smoke inhalation and absorption than primary cigar and pipe smokers
(i.e., those who never smoked cigarettes). This study also reported
that average plasma nicotine concentrations among primary cigar and
pipe smokers were somewhat elevated 60 minutes into a cigar smoking
session compared with levels measured after smoking abstinence (Ref.
75). Notwithstanding the small sample size, the study results still
demonstrate that cigars deliver nicotine to users.
Similarly, the Funck-Brentano et al. study (Ref. 74) assessed
biomarkers of tobacco exposure and toxicity in a small sample of cigar
(corona-sized or larger cigar) or pipe smokers (n = 30), cigarette
smokers (n = 28), and nontobacco users (n = 30), making this small
biomarker study less persuasive. In fact, the study authors state:
``These results should not be seen as a justification for the smoking
of pipes and cigars, which are clearly associated with clinically
significant health hazards. We emphasize that we cannot determine
whether our results are explained by the type of tobacco smoked or by
the different inhalation pattern in pipe/cigar smokers and cigarette
smokers.''
A recent analysis of biomarkers of tobacco exposure among cigar
smokers used data from the 1999-2012 National Health and Nutrition
Examination Survey, a nationally representative survey (Ref. 81). The
sample included more than 220 primary cigar (i.e., current cigar/never
cigarette) smokers and more than 180 secondary cigar (i.e., current
cigar/former cigarette) smokers (id.). The researchers found that serum
cotinine concentrations among primary (and secondary) cigar smokers
were substantially higher than in nontobacco users in crude and
adjusted analyses (id.). In addition, adjusted analyses showed that
concentrations of NNAL (4-(methylnitrosamino)-1-(3-pyridyl)-1-butanol),
blood cadmium, and lead were also higher among primary (and secondary)
cigar smokers compared with nontobacco users (id.). Therefore, not only
were the cited studies unpersuasive, but this robust and recent
analysis contradicts those studies.
In addition, FDA did not find persuasive studies cited in comments
for the proposition that cigars do not significantly elevate the risk
of addiction or death. To support this proposition, comments relied in
part on a study (Ref. 76) in which a panel scored the worldwide
harmfulness of 12 nicotine products using a multicriteria decision
analysis approach. Although cigarettes ranked higher than either little
cigars and other cigars on an aggregate harm score, the study found
cigar smoking does result in morbidity, mortality, and dependence.
The other study used to support the proposition that cigars are not
a significant public health threat (Ref. 77) found a significant
association between primary cigar or pipe smokers and lung cancer
mortality risk, which refutes the claim that cigar use does not
significantly elevate the risk of death. In addition, this study found
an association between COPD mortality risk and secondary cigar or pipe
smoking (but not for primary cigar and pipe smoking). Also, contrary to
the assertions of commenters, a recent systematic review of cigar
smoking and mortality summarized the results of 22 published studies
from 16 different prospective cohorts and found that primary cigar
smoking was associated with increased risk of mortality from all
causes, several types of cancers, coronary heart disease, and aortic
aneurysm (Ref. 82). Mortality risks were greater with increasing number
of cigars smoked per day and self-reported level of inhalation,
however, primary cigar smokers reporting no inhalation still had highly
elevated mortality risks for oral, esophageal, and laryngeal cancers
(id.). In addition, a recent study estimated that in 2010 more than
9,000 premature deaths annually were attributable to regular cigar
smoking (i.e., those who reported smoking cigars on at least 15 of the
past 30 days) (Ref. 68).
Moreover, FDA reviewed a study by Boffetta et al. (Ref. 78), which
commenters relied upon to claim that a very small number of cancer
cases existed among cigar smokers and, therefore, premium cigars should
not be regulated. The Boffetta et al. study (id.) used a case-control
design to assess the association between lung cancer risk and cigar
smoking. The authors determined that the overall association between
primary cigar or cigarillo smokers and lung cancer was significant and
found significant associations in all but one area (id.). For all other
estimates, the results were statistically significant. We also note
that, despite the relatively small number of cancer cases in this
study, it is only one part of a larger body of evidence that
demonstrates the increased risk of serious adverse health effects
associated with cigar smoking (Refs. 35, 69, 70, 71, 72, 77, 79, 83).
(Comment 87) Some comments stated cigar smokers are not at risk of
becoming addicted to tobacco products based on their use of cigars.
Other comments stated that certain attributes of premium cigars
increase the likelihood for nicotine dependence, including their size,
the amount of tobacco (and, therefore, nicotine) in the cigar, and the
longer amount of time that it takes to smoke the cigar.
[[Page 29022]]
Additionally, these comments suggested that because cigar tobacco is
more alkaline than cigarette tobacco, nicotine may be absorbed into the
blood stream more rapidly, even without inhaling (Refs. 84, 85).
(Response) FDA agrees that all cigars are potentially addictive. As
discussed in the preamble to the NPRM, a cigar can contain as much
tobacco as a whole pack of cigarettes, and nicotine yields from smoking
a cigar can be up to eight times higher than yields from smoking a
cigarette (79 FR 23142 at 23154). Although the amount of nicotine taken
in by a cigar user depends on various factors like how long the person
smokes the cigar, the number of puffs taken, and the degree of
inhalation, a leading review of the science of cigar smoking concluded
that ``[c]igars are capable of providing high levels of nicotine at a
sufficiently rapid rate to produce clear physiological and
psychological effects that lead to dependence, even if the smoke is not
inhaled'' (Ref. 35). In addition, regardless of whether premium cigar
smokers inhale, buccal absorption of nicotine does occur, and cigar
smokers may also absorb nicotine through the lips due to the alkalinity
of cigar tobacco (Refs. 86, 87). This increased nicotine yield and
absorption increases the risk of nicotine addiction from cigar smoking.
Researchers analyzing data from the NYTS found that although the
percentage of youth reporting various measures of dependence was lower
for cigars than for cigarettes or smokeless tobacco, some youth did
report some measures of cigar addiction (Ref. 88). This study found
that 6.7 percent of middle and high school students who only smoked
cigars also reported strong cravings for a tobacco product during the
past 30 days, and 7.8 percent reported sometimes/often/always feeling
irritable or restless when not using tobacco--which are measures of
dependence (id.) We note that the Surgeon General has found that all
forms of nicotine delivery do not pose an equal risk in establishing or
maintaining nicotine addiction (Ref. 9).
(Comment 88) Many comments remarked that premium cigars do not pose
the same adverse health effects as cigarettes and other types of cigars
because most studies of cigar health effects do not differentiate
between types of cigars. They claimed this lack of evidence precludes
conclusions about the health effects of premium cigars specifically.
(Response) The science is clear that cigar use of all types can
lead to negative health effects, as discussed throughout this section
of the document. Thus, the contention that studies are inconclusive
about the health effects of premium cigars because they do not
differentiate between types of cigars is not persuasive.
All cigar use is harmful and potentially addictive. Cigar smokers
have an increased risk of oral, esophageal, laryngeal, and lung cancer
compared to nonsmokers (Refs. 35, 69). Among those who report inhaling
cigar smoke, there are significantly elevated levels of many types of
cancer and other health effects, such as increased risk of heart and
pulmonary disease (Refs. 69, 70). Cigar smokers also have a marked
increase in risk for COPD and experience higher mortality risk from
COPD than nonsmokers (Refs. 70, 71). In addition, cigar smokers have a
higher risk of fatal and nonfatal stroke than nonsmokers (Ref. 72). All
cigars produce secondhand smoke, which causes negative health effects
such as heart disease and lung cancer in bystanders (Refs. 35, 69).
We note that the Surgeon General reported in 2014 that,
``[c]ompared with persons who smoke cigarettes, smokers who smoke pipes
or cigars exclusively have a lower risk for many smoking-related
diseases (internal citation omitted). Smoke from pipes and cigars
contains the same toxic substances as cigarette smoke, but those who
use a pipe or cigar usually smoke at a lower frequency; observation
indicates that they tend not to inhale the smoke, thus reducing their
exposure to its toxic substances (internal citations omitted). Evidence
indicates that former cigarette smokers are more likely to inhale pipe
or cigar smoke than are primary pipe and cigar smokers who have never
smoked cigarettes (internal citations omitted)'' (Ref. 9 at 428-429).
However, research indicates that most cigar smokers do inhale some
amount of smoke, even when they do not intend to inhale, and are not
aware of doing so (Refs. 32, 33).
Finally, FDA specifically sought comment on how the potential
different patterns of use for premium cigars might result in different
or decreased health impacts, but no such evidence was submitted (see
discussion in section VII.C of document).
(Comment 89) Some comments indicated that many cigar users,
including those who smoke premium cigar brands, are also current or
former cigarette users, increasing their exposure to toxic constituents
and the health risks of using combusted tobacco products (Refs. 89,
90). Additionally, they stated that these users are more likely to
inhale when they use cigars and may smoke more cigars per day,
significantly increasing their health risks (Refs. 33, 91, 92, 93, 94).
(Response) FDA agrees. Given the adverse health effects of all
cigars, FDA has selected Option 1 deeming all cigars, rather than a
subset, for the scope of this final deeming rule.
(Comment 90) Some comments raised concerns about dual and polyuse
of cigars and other tobacco products, which is common among both adults
and youth (Refs. 90, 95). For example, in one study, 35.1 percent of
adult premium cigar users, 58.3 percent of cigarillo and other mass
market cigar users (i.e., those reporting their usual cigar did not
have a filter and the usual brand was not premium), and 75.2 percent of
little filtered cigar users also smoked cigarettes (Ref. 90). Some
comments noted that multiple product use is concerning because
polytobacco users are more likely to report symptoms of nicotine
dependence (Ref. 88).
(Response) As FDA stated in the NPRM, we are concerned about the
use of multiple products, especially combusted tobacco products.
B. Youth and Young Adults Use Premium Cigars
Proponents of Option 2 have stated that an exemption for premium
cigars is warranted because youth prefer machine-made cigars (as
opposed to hand-rolled) given their low price, flavoring, and easier
availability. However, although youth and young adults have a higher
use of cigarillos and other mass market cigars, studies indicate that
they are also using premium cigars.
(Comment 91) Many comments cited data showing that among those age
12 and older, past month cigar use decreased slightly from 5.4 percent
in 2002 to 5.2 percent in 2012 after peaking at 5.7 percent in 2004
(Ref. 89 at Figure 4.1). Among youth only (ages 12 to 17), cigar
smoking prevalence declined between 2004 (4.8 percent) and 2012 (2.6
percent) (Ref. 89 at Figure 4.1). Trend data from the National Youth
Risk Behavior Survey also indicate that cigar use among male high
school students, female students, and white, black, and Hispanic
students either declined or remained stable from 1997 to 2011 (Ref. 9).
Additionally, from 1997 to 2013, ``a significant linear decrease
occurred overall in the prevalence of current [youth] cigar use (22.0
percent-12.6 percent)'' (Ref. 96), which was observed from data
collected by the CDC 1997-2013 YRBS (Ref. 29). Accordingly, they
questioned whether FDA should be regulating cigars.
[[Page 29023]]
Other comments included data indicating that youth cigar use has
not declined when compared to use of other tobacco products. They noted
that many youth surveys show youth cigar smoking to be higher than, or
about the same as, cigarette smoking. For example, in 2013, among U.S.
high school males, the prevalence of current (past 30 day) cigar
smoking (16.5 percent) was comparable to current (past 30 day)
cigarette smoking (16.4 percent) (Ref. 96). Additionally, in 21 U.S.
cities that conducted the 2013 YRBS, the prevalence of current cigar
smoking (8.6 percent) was comparable to current cigarette smoking (7.7
percent) among high school students (id.). In 2014, NYTS reported that
among high school Non-Hispanic black students, 8.8 percent reported
smoking cigars in the past 30 days, whereas 4.5 percent reported
smoking cigarettes in the past 30 days (Ref. 22). In addition, among
high school males overall, the prevalence of past 30 day cigar smoking
(10.8 percent) was comparable to past 30 day cigarette smoking (10.6
percent) (id.). Measures of youth use of cigars may underestimate
prevalence due to incorrect self-identification as a non-cigar smoker
and confusion between the various cigar products (Refs. 97, 98, 99).
Accordingly, the comments supported FDA's regulation of all cigars.
(Response) FDA remains concerned about the use of all tobacco
products, particularly combusted tobacco products like cigars and
cigarettes, and remains most concerned about use by youth and young
adults given their unique susceptibility to the addictiveness of
nicotine. Although supporters of Option 2 relied upon NSDUH data
showing a decline in cigar smoking prevalence among individuals aged 12
to 17 from 2004 to 2012, the NSDUH's questions about ever and past 30-
day use of cigars did not include examples of specific brands. We note
that the Surgeon General's 2014 report states that ``data from the
1997-2011 obtained from the National YRBS indicate that current cigar
use among male high school students declined from 1997-2005 and then
remained stable from 2005-2011. Among female students, current cigar
use declined from 1997-2011.'' (Ref. 9 at 736, internal references
omitted). The 2013 YRBS, a nationally representative survey of 13,000
youths, indicated that cigar use prevalence trends have decreased from
1997-2013 for youth in grades 9 through 12 (22 percent in 1997 to 12.6
percent in 2013) (Ref. 29).
Evidence suggests that some youth may recognize the brand of cigar
they smoke, but not that it is a ``cigar'' in general terms and,
therefore, may not report their cigar use (Refs. 98, 100). When
examples of brand names were added to the 2012 NYTS, there was a
pronounced increase from 2011 in reported cigar smoking among non-
Hispanic black females (Ref. 100). Among NYTS high school students
overall from 2000 to 2011, there was no change in prevalence of cigar
smoking (Ref. 101). This lack of decline in cigar smoking is a concern
considering cigarette smoking among high school students did
significantly decline over these periods (id.). Among NYTS high school
students overall from 2011 to 2014, there was a decrease in prevalence
of current use of cigars from 11.6 percent to 8.2 percent (Ref. 22).
(Comment 92) The comments were divided as to whether youth use
premium cigars. Some comments provided data demonstrating youth use of
premium cigars. Others submitted mainly informal industry surveys and
anecdotal evidence illustrating that the majority of premium cigar
users are older adult males who smoke infrequently and often in a
celebratory nature. A few other comments stated that patterns of use
studies are inconclusive, because many studies do not differentiate
between premium cigars and mass-market cigars.
(Response) Although youth and young adults tend to smoke mass
market cigar brands, they are also using premium cigars. In one study,
researchers used data from the 2010-2011 NSDUH and Nielsen market
scanner data to define a study sample consisting of 6,678 past 30-day
cigar smokers who reported smoking a usual brand of cigars (Ref. 59).
While many youth identified a mass market cigar as the brand they used
most often, this analysis reveals that 3.8 percent of youth aged 12 to
17 and 12.1 percent of young adults aged 18 to 25 also identified
certain premium cigars to be the brand they smoked most often (id.).
Individuals in both cohorts reported at least eight different premium
cigar brands among the brands they used most often, providing evidence
that youth and young adults are smoking premium cigars (id.).
One study analyzing data from the 2012-2013 National Adult Tobacco
Survey (NATS), with 60,192 participants 18 years and older found that
of those smokers whose type of cigar could be identified based on the
attributes of their usual product (e.g., premium cigar smoker, little
cigar smoker, cigarillo smoker), 19.9 percent were premium cigar
smokers (Ref. 90). More specifically, 15.1 percent of cigar smokers
aged 18 to 29 years old, who identified themselves as smoking every
day, some days, or rarely, indicated the cigar they usually smoked on
those occasions was a premium cigar (id.), which clearly illustrates
that young adults are using premium cigars. Although some comments
questioned the applicability of the NATS data on premium cigar use by
youth and young adults (in part, because the study did not use the
proposed definition of ``premium cigar'' in the NPRM), FDA is not
persuaded. FDA does not believe it is necessary for the definition of
premium cigars in this study to match exactly the definition in the
NPRM in order to draw inferences about the use of different types of
cigar products. These data, along with the NSDUH and Nielsen market
scanner data discussed previously, clearly indicate that youth and
young adults are using premium cigars.
Some comments stated the previously mentioned studies show only
minimal premium cigar use by minors. By contrast, they relied on Soldz
et al. (Ref. 102), which examined preferred cigar brands based on a
survey of Massachusetts middle and high school students. Although the
study did not include any particular premium cigars among the brands
reported, 16.4 percent of youth cigars users were categorized as
preferring a ``non-listed'' brand which the authors suggested ``may
largely consist of premium cigars.'' The authors based this
determination given the participants' positive association between the
``non-listed'' brands and parental cigar use and the negative
association between the listed cigar brands and parental cigar use.
Consequently, FDA does not believe this study demonstrates that youth
do not use premium cigars. These comments also did not provide
persuasive peer-reviewed evidence indicating that youth and young
adults do not use these products. In addition, comments stating that
youth and adult cigar use studies are not conclusive with regard to
premium cigars because they do not differentiate between cigar types
are not persuasive. Such studies show that youth and young adults smoke
cigars, and other studies that do differentiate between product types,
such as those previously discussed, indicate that youth and young
adults do, in fact, use premium cigars.
In light of the health risks associated with the use of all types
of cigars, FDA has selected Option 1 and is deeming all cigars,
including premium cigars, in this rule.
(Comment 93) A few comments disagreed with FDA's characterization
of one study cited in the NPRM (Ref. 103) for the proposition that
young
[[Page 29024]]
adults often mistakenly view non-cigarette tobacco products, such as
cigars, as safe alternatives to cigarettes. They noted that most young
adult participants in the study rated shisha, herbal cigarettes, and
herbal smokeless as ``safer than cigarettes,'' but rated cigars and
kreteks as more harmful.
(Response) Many consumers believe that noncigarette tobacco
products, including cigars, are less harmful than cigarettes. Although
the overall study population did rate cigars as more harmful, there
were subgroups (such as African Americans and non-Hispanic whites) that
rated cigars from ``a little safer'' to ``much safer.'' Deeming all
tobacco products, including premium cigars, to be subject to chapter IX
of the FD&C Act will help to alleviate mistaken beliefs that certain
tobacco products are safe alternatives to cigarettes by virtue of the
fact that they are not subject to FDA regulation.
(Comment 94) A few comments also stated that premium cigar use
among young adults is irrelevant because Congress did not task FDA with
protecting young adults who are lawfully permitted to purchase tobacco
products.
(Response) FDA is concerned with tobacco use by all age groups,
including young adults and adults who may lawfully purchase these
products. The Tobacco Control Act charges FDA with protecting the
public health generally, not only the health of minors (section 3 of
the Tobacco Control Act). Nevertheless, FDA is particularly concerned
with tobacco use by youth and young adults, as they are uniquely more
susceptible to becoming addicted to nicotine than adults or older
smokers. As discussed in the NPRM, most tobacco users begin using prior
to the age of 18 and believing they will be able to quit. However, most
youth are unable to stop tobacco use once they become addicted.
Accordingly, FDA is taking steps to reduce the potential harm to youth
and young adults from tobacco products.
(Comment 95) Many comments expressed concerns regarding flavored
cigars, including flavored premium cigars, and their effect on youth
initiation. Some comments concluded there is no evidence that minors
consume flavored premium cigars, relying on one study in which the
flavored premium cigar brands of youth use accounted for only a
fraction (0.1 percent) of the less than 4 percent reported use of
premium cigar brands (Ref. 59).
(Response) FDA is announcing that it intends in the future to issue
a proposed product standard that, if finalized, would eliminate
characterizing flavors in all cigars including cigarillos and little
cigars.
(Comment 96) Some comments argued that premium cigars do not pose
youth access issues because manufacturers and retailers do not market
them to youth (i.e., they are not cheap, candy- and fruit-flavored, or
easy to access) and age verification is already required at the point
of sale limiting access to adults only. They relied, in part, on FDA's
statements in the 1996 tobacco youth access rule in which FDA stated
there was insufficient evidence of youth cigar use to warrant cigar
regulation (61 FR 44396). The comments stated there is no evidence that
the situation has changed since then and that exempting premium cigars
from tobacco product regulation is also warranted because youth do not
use premium cigars to any significant degree.
(Response) FDA disagrees. The Agency's statement regarding the
availability of evidence to support cigar regulation was made 18 years
ago and based on the evidence available at that time. In fact, FDA
explicitly stated that there was insufficient evidence to regulate
cigars ``at this time'' (i.e., 1996) (61 FR 44396 at 44422). Moreover,
the 1996 rule was issued under the authority of the FD&C Act prior to
the passage of the Tobacco Control Act. Consequently, one of the
reasons FDA did not assert jurisdiction over cigars in the 1996 rule
was because it did not have sufficient evidence ``that these products
satisfy the definitions of drug and device in the act'' (61 FR 44396 at
44423). Cigars, including premium cigars, clearly do satisfy the
definition of a ``tobacco product'' and evidence has become available
since 1996 indicating that youth and young adults use cigars, including
premium cigars (Refs. 59, 68, 90).
C. Patterns of Use Do Not Preclude Users From Experiencing Negative
Health Effects
Proponents of Option 2 claimed that patterns of use preclude
premium cigar smokers from experiencing the negative health effects of
tobacco smoke because they smoke infrequently and do not inhale.
However, despite our explicit requests in the NPRM, the comments did
not include data indicating that premium cigar smokers are not subject
to disease risk and addiction. FDA's responses to comments regarding
these issues are included as follows.
(Comment 97) Many comments stated that a majority of cigar users
are occasional smokers (two to six cigars per week) and do not inhale
(citing Refs. 69, 75). They also indicated that premium cigar use does
not lead to addiction. Finally, some comments noted that occasional
cigar users have not been studied in epidemiological research, and data
for the lowest level of cigar users (one to two cigars per day) do not
reveal mortality rates that are significantly different from nonsmokers
(Refs. 69, 79). However, other comments included evidence suggesting
increased disease risk and nicotine dependence among infrequent cigar
users and those reporting they do not inhale.
(Response) FDA disagrees that patterns of use preclude premium
cigar users from experiencing the negative health effects of these
products. All cigars produce toxic cigar smoke (Refs. 35, 69). In
addition, studies have shown that cigar smoking can cause several
different types of cancer even without inhalation (Refs. 69, 104). For
example, one study found an increased risk in head and neck cancers in
people who were not cigarette smokers but had previously smoked only
cigars (Ref. 104).
While inhaling cigar smoke poses much higher morbidity and
mortality rates than not inhaling, significant risk still exists for
those who do not inhale. Researchers found that the risk of stomach
cancer mortality was significantly higher among cigar users who
reported they did not inhale when compared to those who did not use
tobacco products (Ref. 105). Additionally, among primary cigar smokers
reporting that they do not inhale, relative mortality risk was still
highly elevated for oral, esophageal, and laryngeal cancers (Ref. 83).
A recent systematic review of cigar smoking and mortality summarized
the results of 22 published studies from 16 different prospective
cohorts and found that primary cigar smoking was associated with
increased risk of mortality from all causes, several types of cancers,
coronary heart disease, and aortic aneurysm compared to nonsmokers
(Ref. 82). Mortality risks were greater with increasing number of
cigars smoked per day and self-reported level of inhalation; however,
primary cigar smokers reporting no inhalation still had highly elevated
mortality risks for oral, esophageal, and laryngeal cancers compared to
nonsmokers (id.). In addition, even if they do not intend to inhale and
are not aware that they are doing so, most cigar smokers do inhale some
amount of smoke (Refs. 32, 34).
Although studies indicate that some cigar smokers may absorb less
tobacco smoke, they also show that all cigar smoking is harmful.
Regardless of whether cigar smokers inhale, they are
[[Page 29025]]
still subject to the addictive and other adverse health effects of the
product through absorption of nicotine and harmful constituents (Refs.
32, 81).
(Comment 98) Supporters of Option 2 claimed that premium cigar
smokers use cigars less frequently than cigarette and smokeless tobacco
users and, therefore, premium cigars should either not be regulated or
should be subject to less regulation. They relied upon a study showing
that the adult prevalence of everyday or occasional use of cigarettes
was 18 percent and 2.6 percent for smokeless tobacco products, compared
to 2 percent for cigars, cigarillos, and little filtered cigars (Ref.
106).
(Response) Although the prevalence of cigar smoking in the U.S.
population is lower than cigarette smoking, use of cigars still
presents health risks. Researchers estimate that regular cigar smoking
was responsible for approximately 9,000 premature deaths or almost
140,000 years of potential life lost among adults 35 years or older in
2010 (Ref. 68). As stated in the previous response, all cigars produce
toxic cigar smoke (Refs. 35, 69). Any cigar use exposes the mouth and
throat to tobacco smoke and studies have shown that cigar smoking can
cause several different types of cancer even without inhalation (Refs.
69, 104). Health risks still exists for those who do not inhale. For
example, researchers found that the risk of stomach cancer mortality
was significantly higher among cigar users who reported they did not
inhale when compared to those who did not use tobacco products (Ref.
107). Additionally, among primary cigar smokers reporting that they do
not inhale, relative mortality risk was still highly elevated for oral,
esophageal, and laryngeal cancers (Ref. 83). Therefore, all cigars
expose users to toxic and cancer-causing substances and increase the
risk of harm. Basing an exemption for premium cigars on current use
patterns would be inappropriate given that patterns may change over
time and in response to regulation. Consequently, FDA has concluded
that deeming all cigars, including premium cigars, is appropriate for
the protection of the public health.
D. Responses to Other Cigar Comments
(Comment 99) Some comments expressed concern that if FDA did not
deem all tobacco products subject to regulation, the tobacco industry
would adjust its products to fit the exemption for premium cigars in
Option 2 and preferential economic treatment of certain manufacturers
would result. These comments argued that just as manufacturers of roll-
your-own tobacco changed their roll-your-own product to classify it as
pipe tobacco to take advantage of positive tax treatment, manufacturers
would seek similar ways to circumvent regulations and continue
marketing products that are detrimental to public health.
(Response) Because FDA has selected Option 1 deeming all cigars,
rather than a subset, for this final rule, these comments are moot.
(Comment 100) Many comments stated that it is important for FDA to
regulate all tobacco products, including cigars, pipe tobacco, and e-
cigarettes in the same way, and that the Agency should ensure that a
consistent set of regulatory criteria is applied to all tobacco
products and nicotine delivery systems. According to the comments,
failure to regulate all tobacco products would provide incentives for
manufacturers to market new tobacco-based or tobacco-derived products
that are unregulated and may induce people to switch to the unregulated
products.
(Response) FDA agrees that it is appropriate for the protection of
the public health to regulate all tobacco-derived products meeting the
definition of ``tobacco product.'' There is inherent risk in all
tobacco-derived products. Further, the Agency agrees that use patterns
may change (and have changed) over time and in response to regulation.
(Comment 101) At least one comment expressed concern that FDA
relied upon an abstract presented at the Conference for the Society for
Research on Nicotine and Tobacco (SRNT) as a basis for proposing Option
1. The comment stated that because the abstract was not a full peer-
reviewed research article, stakeholders were unable to adequately
respond to the claims made.
(Response) FDA disagrees. Additional analysis of the data that was
the subject of this SRNT abstract was conducted and a paper was
published and submitted to the docket, allowing for stakeholders to
comment on it (Ref. 90). The abstract presented at SRNT also was not
the sole basis for proposing Option 1. FDA appropriately characterized
this as preliminary data and included additional data and information
to support this proposed option. In addition, FDA has supplemented the
information and data supporting Option 1, as discussed in section VII,
to provide additional evidence of premium cigar use by youth and young
adults and to illustrate that the patterns of use for premium cigars do
not preclude users from negative health effects.
(Comment 102) Comments urged FDA to adopt a category-specific
approach to regulation of cigars in order to more effectively address
the variations in use patterns, manufacturing, and ingredients across
the product category. Other comments, however, urged FDA to broadly
regulate all cigars in the same way to reduce initiation and current
use among youth. More specifically, comments advocated prohibiting
flavors, including menthol, in all cigars, prohibiting self-service
displays, and establishing minimum pack size requirements for all
cigars.
(Response) Although the statute does not require FDA to make any
public health finding in order to deem tobacco products, the Agency has
determined that cigar use presents health risks and that all cigars
should be brought under its regulatory authority. However, FDA is
providing a compliance policy that will provide additional time for
manufacturers of newly deemed products to comply with certain
requirements, and which will reduce the burdens on manufacturers as
they become regulated by FDA for the first time. As explained elsewhere
in this document, FDA is announcing that it intends in the future to
issue a proposed product standard that would eliminate characterizing
flavors in all cigars including cigarillos and little cigars.
(Comment 103) Some comments supporting Option 2 argued that FDA is
not obligated to deem all tobacco products that meet the statutory
definition of ``tobacco product.'' They also stated that the intent of
the Tobacco Control Act was to target tobacco products marketed to
children and products that cause addiction, which is why ``cigarette''
and ``little cigar'' were specifically defined in the Tobacco Control
Act and large and premium cigars were not similarly defined. Thus, they
claim exempting premium cigars is consistent with Congress' intent that
premium cigars not be regulated, which they state is further evidenced
by introduction of such legislation in Congress.
(Response) FDA agrees that the Agency is not obligated to deem all
tobacco products but disagrees with comments purporting to explain
Congress' intent to only regulate products marketed to children. The
purpose of the Tobacco Control Act was to provide authority to FDA to
regulate tobacco products and protect not only the health of minors,
but also the health of the public overall (section 3 of the Tobacco
Control Act). While use of tobacco products by youth was and continues
to be a significant focus of the law, it is clear that Congress did not
intend that the Tobacco Control Act reach only products marketed to
children, as they included many
[[Page 29026]]
provisions applicable to tobacco products marketed to adults.
(Comment 104) Many comments expressed concern that premium cigar
regulation would impose considerable costs and place excessive burdens
on small businesses without quantifiable benefits. In particular, many
comments stated that premarket review would be cost-prohibitive for
premium cigar manufacturers, effectively eliminating their ability to
release special editions and seasonal blends. They also claimed that
HPHC testing and reporting and other regulatory requirements like the
prohibition on free samples would be equivalent to a de facto ban on
premium cigars. They also expressed concern about the political and
economic impact of premium cigar regulation on two foreign nations
given the potential impact on production and exports of their premium
cigars to the United States.
Some comments also argued that an exemption for premium cigars is
appropriate, because premium cigars are unique in the way that they are
made, marketed, sold, purchased, and used. They stated that regulation
would stifle innovation in the premium cigar market, devastate a long-
time social and cultural phenomenon, and limit the freedoms of
businesses and consenting adults to sell and purchase a legal product.
(Response) FDA understands these concerns. The Agency has
determined that cigar use presents health risks and that all cigars
should be brought under its regulatory authority.
To assist newly regulated firms, FDA is announcing in this final
rule a compliance policy to address some of the possible burdens
suggested by comments (section IV.D). For example, FDA does not intend
to enforce the premarket review requirements against cigar
manufacturers that make tobacco blending changes to address the natural
variation of tobacco (e.g., tobacco blending changes due to variation
in growing conditions) in order to maintain a consistent product.
However, FDA intends to enforce the premarket requirements for products
that have tobacco blending changes (including those involved in
seasonal and boutique blends) that are intended to alter chemical or
perception properties of the new tobacco product (e.g., nicotine level,
pH, smoothness, harshness). FDA also is working to determine an
appropriate compliance policy to deal with HPHCs for newly deemed
products and is intending to issue guidance regarding HPHC reporting,
and later a testing and reporting regulation as required by section
915, with enough time for manufacturers to report given the 3-year HPHC
reporting compliance period. As noted elsewhere in this document, FDA
does not intend to enforce the reporting requirements for newly deemed
products before the close of the 3-year compliance period, even if the
guidance is issued well in advance of that time. In addition, as
discussed in section IV.D, FDA is announcing a compliance policy for
small-scale tobacco product manufacturers (which likely would include
premium cigar manufacturers), which states that FDA generally intends
to grant small-scale tobacco manufacturers additional time to respond
to SE deficiency letters and to not bring enforcement action against
those small-scale tobacco product manufacturers who submit ingredient
lists within 12 months of the effective date of the rule, and is
granting these manufacturers an additional six-month compliance period
for the requirements to submit tobacco health documents. FDA believes
that this compliance policy will help to assist these manufacturers
with regulatory compliance.
FDA also understands concerns from cigar retailers about the effect
that a ban on free samples could have on their ability to promote new
products. FDA wishes to clarify that allowing prospective adult buyers
to smell or handle a cigar is not considered the distribution of a
``free sample'' for the purpose of 21 CFR 1140.16 as long as the
product is not actually consumed in the retail facility and the
prospective buyer does not leave the facility with a free tobacco
product (whole or part). Affording adult consumers the opportunity to
handle the product will give them the ability to feel the resistance of
the cigar's structure, and allow them to clearly see the color of the
product, which is an indication of the fermentation period for the
tobacco. It also will allow users to capture the aroma of the cigar and
the box (if the cigar is sold in a package). Therefore, it would not be
considered a free sample if a prospective buyer smells the cigar while
handling it. We believe that in most circumstances, other retail
facilities, including ENDS retail establishments, can similarly allow
customers to touch, hold, and smell their products without violating
the free sample ban. However, if the prospective buyer lights and draws
or puffs on the cigar to keep the cigar lit, or otherwise uses the free
cigar or leaves the retail establishment with a free cigar, this would
constitute a ``free sample'' in violation of Sec. 1140.16.
(Comment 105) Many comments requested that the exemption for
premium cigars be extended to hand-operated, vintage machine-made
cigars. Comments stated such cigars are indistinguishable from handmade
premium cigars, are sold on the same shelves as premium cigars, and do
not resemble mass-market cigars. The comments further argued that
consumers perceive them to be just like value-priced handmade cigars
and treating them differently would create significant enforcement
issues for FDA. They stated that, without an exemption, manufacturers
of these products would be forced to close and eliminate jobs,
negatively impacting the regional economy where such cigars are
produced.
(Response) As already stated, FDA has selected Option 1 deeming all
cigars, rather than a subset, for this final deeming rule. Therefore,
all cigars, including hand-operated, vintage machine-made cigars, are
deemed and subject to the requirements of chapter IX of the FD&C Act
and implementing regulations. Concerns noted by some comments about the
burdens of regulation are addressed in sections IV.C and IV.D.
(Comment 106) At least one comment expressed concern that retailers
may not be able to determine whether a cigar meets all of the elements
of the final definition of a ``covered cigar.'' Therefore, the comment
stated that retailers should not be liable for a manufacturer's
improperly labeled premium cigars (similar to the retailer ``safe
harbor'' for required warning labels and advertising in the proposed
cigarette graphic warning rule (75 FR 69524 at 69535, November 12,
2010)).
(Response) FDA has selected Option 1, which requires all cigars
(rather than a subset) to include the textual health warnings. FDA also
notes, however, that Sec. 1143.5(a)(4) does provide a retailer ``safe
harbor'' for required warning labels for packaging that contains a
health warning; is supplied to the retailer by a manufacturer,
importer, or distributor who has the required state, local, or Alcohol
and Tobacco Tax and Trade Bureau (TTB)-issued license or permit, if
applicable; and is not altered by the retailer in a way that is
material to the requirements of Sec. 1143.5. Retailers must have the
required warnings on advertisements as stated in Sec. 1143.5(b)(1).
(Comment 107) Some comments stated that FDA has the authority to
assert jurisdiction over all cigars and differentially apply
regulations to certain cigars if shown to be appropriate based on
scientific evidence. Thus, according to the comments, if it were
established that premium cigar risk is of a different nature and degree
than the
[[Page 29027]]
risks of other types of cigars based on who uses them and how they are
used, the Agency could apply its authority in a way that fits the risks
posed by the product. These comments concluded that because of this, it
is unnecessary and would be inappropriate to completely exempt premium
cigars.
Similarly, some comments applied the notion of a ``continuum of
risk'' to cigars. They stated that premium cigars are at the lower end
of the spectrum (Ref. 76) due to the common usage patterns (i.e.,
described as most frequently used by adults, on special occasions, and
users do not inhale). Therefore, they urged that FDA regulate premium
cigars in line with the notion of a continuum of risk.
(Response) FDA agrees that a continuum of nicotine-delivering
products does exist as demonstrated by the lower levels of toxicants in
ENDS in comparison to cigarettes, and may warrant different
requirements for products at different ends of this continuum. However,
commenters have not substantiated their claims that the patterns of use
for premium cigars preclude users from negative health effects.
Instead, as discussed throughout this section, cigar use poses a
greater risk than not smoking, and lack of inhalation do not prevent
the onset of cigar-related morbidity and mortality. Therefore, FDA has
concluded that it is appropriate for all cigars to be brought under its
regulatory authority.
(Comment 108) Several comments stated that it would be
inappropriate and inaccurate for FDA to treat ``cigars'' as a single
homogenous category or to simply overlay the existing regulatory
framework for cigarettes onto the diverse suite of deemed products.
They further stated that because of the significant differences among
cigar products, it is critical that FDA distinguish between the
specific cigar subtypes in determining whether any, some, or all cigars
should be subject to regulation. If FDA were to do otherwise, they
believe the Agency would risk establishing an arbitrary and capricious,
overly broad regulatory scheme that fails to meet its burden to protect
the public health without imposing undue burden on the industry.
(Response) FDA disagrees. Upon review of comments and scientific
evidence, FDA has determined that all cigars present a risk to public
health and, consequently, should be deemed.
(Comment 109) A few comments discussed different regulatory
approaches for make-your-own cigar products (e.g., cigar wrappers and
cigar tobacco). At least one comment suggested treating these products
as cigars while others urged regulation of them in a manner similar to
cigarette papers and roll-your-own tobacco.
(Response) With this final rule, make-your-own cigar products,
including cigar wrappers and cigar tobacco, are tobacco products and
subject to FDA's tobacco control authorities under chapter IX of the
FD&C Act. Cigar wrappers containing tobacco or tobacco-derived nicotine
and cigar tobacco packaged and sold individually are also subject to
the warning requirement for ``covered tobacco products'' found in Sec.
1143.3.
(Comment 110) At least one comment stated that FDA should not
permit manufacturers to self-classify their products as cigarettes or
cigars, and if premium cigars are exempted, should not permit self-
classification of cigars as premium or nonpremium.
(Response) Regardless of how they may be classified by their
manufacturers, cigars and cigarettes will be classified based on the
definitions included in this final rule.
(Comment 111) A few comments argued that bias existed for any study
or analysis cited in the NPRM that was written or contributed to by FDA
employees. These comments were concerned that FDA employees generating
and analyzing data did so to support the proposed regulation of cigars.
(Response) FDA disagrees. FDA notes that most of the studies cited
in the NPRM that were authored by FDA employees have been published in
peer-reviewed journals. Where the NPRM discussed research results
presented at a professional conference, SRNT, but not yet included in a
peer-reviewed journal, FDA clearly stated so and specifically requested
comment (79 FR at 23151). That research has since been published (Ref.
90).
(Comment 112) Some comments criticized the methodologies used by
researchers in studies FDA cited in the NPRM (e.g., Ref. 59). For
example, they claimed that the Delnevo, et al. study regarding youth
use of flavored cigars (id.) was flawed, because the study cites any
use of the brand by youth as use of the flavored variety of that cigar
brand (even though the respondent might use an unflavored variety of
that cigar). The comments had additional concerns regarding the study,
such as missing data on cigar brand from 13 percent of cigar smokers,
as well as concerns about whether study participants provided accurate
information regarding cigar brand used, and whether the study
population was representative of the U.S. population. Other comments
stated that studies in peer-review journals are politically biased and
that studies that oppose tobacco product regulation are often
prohibited from publication.
(Response) The Delnevo, et al. publication found that youth and
young adults are significantly more likely than older adults to prefer
cigar brands that are more likely to be flavored (Ref. 59). Because no
national data directly compared youth and adult flavored cigar use
within the same study, Delnevo and colleagues conducted an ecological
analysis combining data from the 2010-2011 NSDUH on cigar brand smoked
most often, with Nielsen data indicating the percent of the cigar
brands' market share that are labeled as flavored cigar products. These
results, coupled with information on the prevalence of flavored cigar
use from studies restricted to youth or to young adults, provide
additional indirect evidence of the popularity of flavored cigars among
younger cigar smokers as compared to older adult cigar smokers.
Especially when coupled with research results on the prevalence of
flavored cigar use in studies restricted to youth or young adults, this
study provides additional supporting evidence of the widespread appeal
of flavored varieties of these products among young Americans. The
comments noted that, in the 2010-11 NSDUH, 13 percent of cigar smokers
did not report a usual cigar brand and expressed concern about the
ability of those who reported their usual cigar brands to do so
accurately. Some cigar smokers may in fact not actually have a cigar
brand they smoke most often and consequently did not provide a brand
response, while other respondents may have chosen not to provide their
usual brand information. Among the latter group, missing data is always
a concern, although there is no evidence from the study to suggest that
those who provided brand information were systematically different than
those who did not. Additionally, the comments did not provide evidence
to substantiate the concern that respondents were not reporting the
brand names they actually used. Lastly, FDA does not agree with
concerns about representativeness of the survey. The NSDUH is designed
to be representative of the U.S. civilian, non-institutionalized
population, ages 12 and older (https://www.samhsa.gov/data/population-data-nsduh). FDA does not rely on any single study to support decisions
included in this final rule. FDA cited many peer reviewed studies in
the NPRM and relies upon many peer-reviewed studies to support the
decisions included in this final rule, including the Delnevo
publication.
[[Page 29028]]
VIII. Regulation of Electronic Nicotine Delivery Systems (Including E-
Cigarettes) and the Continuum of Nicotine-Delivering Products
In the preamble to the NPRM, FDA noted that there are distinctions
in the health risks presented by various nicotine-delivering products.
FDA requested comment as to how e-cigarettes should be regulated based
on this continuum of risk. We explained that some studies have revealed
the existence of toxicants in both the e-cigarette liquid and the
exhaled aerosol of some e-cigarettes but that we do not have sufficient
data to determine what effects e-cigarettes have on public health at
the population level. We also noted that some individuals report using
e-cigarettes to successfully quit smoking, but we expressed concerns
about dual use of e-cigarettes and combusted tobacco products and the
possibility that flavored e-liquids are leading children to initiate
tobacco use with e-cigarettes.
In this final rule, FDA clarifies that although there are many
types of ENDS (including e-cigarettes, e-cigars, e-hookah, vape pens,
personal vaporizers, and electronic pipes), all are subject to FDA's
chapter IX authorities with this final deeming rule. Comments regarding
e-cigarettes, including comments on how the products should be
regulated in light of this continuum, and FDA's responses are discussed
in the following sections.
A. Terminology
(Comment 113) Some comments expressed confusion as to what is
encompassed by the term ``e-cigarette.'' Other comments stated that the
``electronic smoking devices'' covered under this deeming rule should
include e-cigarettes, e-cigars, e-hookah, and vape pens.
(Response) FDA agrees that electronic nicotine delivery systems or
ENDS are sold under several different names including e-cigarettes, e-
cigars, e-hookah, vape pens, personal vaporizers, and electronic pipes.
These products all meet the definition of ``tobacco product'' and,
therefore, under this rule, all are subject to FDA's tobacco control
authorities, regardless of a novel name or heating source. In addition,
the definition of tobacco product includes components and parts (the
objects intended or reasonably expected to be used with or for the
human consumption of a tobacco product that are not accessories) (e.g.,
e-liquids, tanks, cartridges, pods, wicks, atomizers), which, under
this rule, have also been deemed to be subject to FDA's authority under
chapter IX of the FD&C Act.
B. Prevalence
In the NPRM, FDA expressed concern about the increase in prevalence
of the newly deemed products, particularly the alarming rise in e-
cigarette use by middle school and high school students. The comments
included peer-review studies, focus group results, and data regarding
the prevalence of ENDS use.
(Comment 114) Some comments noted that it was difficult to fully
ascertain prevalence of use of these products because they are sold
under many different names. However, they generally agreed that the
prevalence of e-cigarette use has increased in recent years, citing
peer-reviewed studies and data from state or regional surveys (e.g.,
Ref. 108). For example, comments cited the 2013 North Carolina Youth
Tobacco Survey (NCYTS) and expressed concern that, while the current
cigarette smoking rates among North Carolina high school students
decreased in recent years, the overall current use of tobacco products
increased from 22.5 percent in 2011 to 24.5 percent in 2013. In
particular, the rate of e-cigarette use increased from 1.7 percent in
2011 to 7.7 percent in 2013, and 2.7 percent of high school students
who had never tried a cigarette indicated that they were considering
using e-cigarettes in the next year.
However, some of these comments believed that the data showing an
increase in e-cigarette use among youth and young adults only reflects
their experimentation (and not long-term use) and that there are no
data showing that this experimentation leads to long-term use or dual
use with combusted tobacco products. Others stated that although e-
cigarette use may be increasing among youth and young adults, this
increase is due to the fact that young adult smokers are switching to
e-cigarettes, as are adult smokers.
(Response) FDA agrees with comments stating that the prevalence of
use of the newly deemed tobacco products has been increasing, which
further substantiates the need for this final rule. FDA remains
concerned about the rise in use of newly deemed products by youth and
young adults, particularly the increase in use of ENDS. As we stated in
the NPRM and throughout this document, long-term studies are not yet
available to determine whether these youth and young adults are only
experimenting with tobacco use, becoming established ENDS users or dual
users, or transitioning to combusted products. In addition, there is
not sufficient evidence to conclude that youth and young adults are
using ENDS as a means to quit smoking.
(Comment 115) Many comments contended that the great majority of e-
cigarette users consist of former smokers and those trying to quit
smoking, rather than those who are initiating tobacco use with e-
cigarettes (e.g., Ref. 109). The comments included data from regional
surveys indicating that even where there has been a significant
increase in youth and young adult e-cigarette use, the increase is seen
in experimenters and not daily users. For example, a few comments
referred to a report commissioned by Public Health England which
referred to a study that found that only 1 percent of 16 to 18-year-old
never smokers have experimented with e-cigarettes and few, if any,
progress to sustained use (Ref. 110).
(Response) Data reported by the CDC's National Center for Health
Statistics (NCHS), which provides the first estimates of e-cigarette
use among U.S. adults from a nationally representative household
interview study, indicate that current cigarette smokers and recent
former smokers (i.e., those individuals who quit smoking within the
past year) were more likely to use e-cigarettes than long-term former
smokers (i.e., those individuals who quit smoking more than one year
ago) and adults who had never smoked (Ref. 24). In addition, the CDC
states that current cigarette smokers who had tried to quit smoking in
the past year were more likely to use e-cigarettes than those who had
not tried to quit (id.). It is noted that it cannot be determined by
the research findings: (1) Whether former cigarette smokers who now
exclusively use e-cigarettes would have ceased smoking cigarettes
regardless of e-cigarette use; and (2) whether the e-cigarette use
preceded or followed smoking cessation. Similar patterns have been
observed in Europe, where researchers found that ``e-cigarette use was
more likely among smokers who had made a past year quit attempt'' when
compared to smokers who had not (Ref. 111). As discussed in further
detail in response to Comment 144, a meta-analysis of 15 cohort
studies, 3 cross-sectional studies, and two clinical trials (one RCT,
one non-RCT) found that cigarette smokers who also used e-cigarettes
had statistically significantly worse quit rates than those cigarette
smokers who did not use e-cigarettes (Ref. 112).
However, FDA also remains concerned about the dramatic rise in ENDS
use among youth; between 2011 and 2014, past 30 day e-cigarette use
among high school students increased nearly 800 percent from 1.5
percent in 2011 to 13.4 percent in 2014 (Ref. 22),
[[Page 29029]]
and between 2011 and 2013, the number of never-smoking youth who had
reported ever using an e-cigarette increased 3-fold, from 79,000 to
more than 263,000 youth (Ref. 113). The Surgeon General has stated that
adolescents appear to be particularly vulnerable to the adverse effects
of nicotine on the central nervous system (Ref. 9), and ENDS may
deliver as much nicotine as other tobacco products (Ref. 114).
FDA is investing in long-term, population-level research, such as
the PATH Study, to help assess the likelihood that previous nonusers of
tobacco who experiment with ENDS will initiate regular tobacco use over
time. Such longitudinal studies can further assess the factors
associated with potential smoking cessation among e-cigarette users.
(Comment 116) The comments generally agreed that youth are
increasingly using e-cigarettes, but disagreed as to the product's
impact on nicotine addiction. As FDA noted in the proposal and as
discussed by many comments, the CDC found that ever use of e-cigarettes
by middle and high school students in the United States increased from
3.3 percent in 2011 to 6.8 percent in 2012 (Ref. 108). While the
majority of comments recognized an increase in dual use, some suggested
that this was not an issue because youth are using e-cigarettes to quit
smoking, resulting in some dual use until they can completely abstain
from conventional cigarettes (Ref. 115).
(Response) FDA remains concerned about the rise in ENDS use among
youth and young adults as well as the trends in dual use of ENDS and
combusted products in both youth and adults (Ref. 116). In addition, as
stated in the NPRM and throughout this final rule, all tobacco products
are potentially addictive and some ENDS may deliver as much nicotine as
other tobacco products (Ref. 20). The Surgeon General has stated that
adolescents appear to be particularly vulnerable to the adverse effects
of nicotine on the central nervous system (Ref. 9). FDA believes that
this final deeming rule, along with the minimum age restrictions and
health warning requirements, is an important step toward combatting
this rise in tobacco product use among youth and young adults.
A recently published paper by Friedman (Ref. 42) looked at youth
smoking rates in states that enacted early bans on sales of e-
cigarettes to minors and concluded, based on state-level data available
through 2013, that the decline in adolescent smoking rates slowed in
states that enacted restrictions on access to ENDS by minors before
January 2013, relative to states that did not. Given the various issues
with this study (see previous discussion regarding this publication in
response to comment 33), FDA acknowledges this paper as a first attempt
to study potential impacts of youth ENDS access restrictions, but
emphasizes that further research will be needed to explore the effects
of this rule on product switching and dual usage.
C. Toxicity and Nicotine in E-Liquid and Aerosol
Although FDA noted in the NPRM that we do not currently have
sufficient data about e-cigarettes and similar products to fully
determine what effects they have on the public health, we identified
concerns regarding the toxicants in e-liquid and the exhaled aerosol
and the nicotine delivery from e-cigarettes. Comments were divided on
the safety and toxicity of e-liquids, e-cigarettes, and the exhaled
aerosol.
(Comment 117) The comments expressed concerns that e-cigarette
users subject themselves to dangerous constituents, including
formaldehyde and other toxicants. One comment stated that the release
of formaldehyde occurs only when the voltage on e-cigarettes is set to
4.8 volts or higher (Ref. 67). Some comments also submitted studies
showing the existence of other e-liquid constituents, including
prescription weight loss and erectile dysfunction drugs (Ref. 117).
(Response) Studies show that e-liquid tobacco products contain
nicotine, propylene glycol, glycerin, tobacco specific nitrosamines,
tobacco alkaloids, carbonyls, ethylene glycol, diacetyl, and acetyl
propionyl (Refs. 19, 118, 119). Chemicals such as nicotine, carbonyls,
tobacco specific nitrosamines, heavy metals, and volatile organic
compounds have been identified in e-cigarette aerosols (Refs. 19, 118,
119, 120, 121, 122).
In addition, several studies substantiated the data included with
comments, finding that flavored e-liquids contain chemicals that could
be dangerous to consumers when inhaled. For example, researchers in one
study tested 159 e-liquids with sweet flavors, such as toffee,
chocolate, and caramel, and found that almost three quarters of the
samples (74 percent) contained diacetyl or acetyl propionyl (Ref. 123),
both of which pose known inhalation risks (e.g., Ref. 124). Among those
that tested positive, nearly half of the e-liquids in the study could
expose users to levels that exceed recommended workplace limits for
breathing these chemicals (Ref. 123). An additional recent study
analyzed 51 types of flavored e-cigarettes for total mass of diacetyl,
2,3-pentanedione, and acetoin (Ref. 125). Researchers detected diacetyl
above the laboratory limit of detection 39 of the 51 flavors tested,
ranging from limit of qualification (LOQ) to 239 [mu]g/e-cigarette.
2,3-pentanedione and acetoin were also detected in 23 and 46 of the 51
flavors tested at concentrations up to 64 and 529 [mu]g/e-cigarette
(id.). It is noted that the study involved a convenience sample of 51
types of flavored e-cigarettes and may not be representative of the
types of e-liquids currently available to users. Absent a regulatory
standard, FDA acknowledges that it may not be possible to account for
the wide variability of concentrations of constituents in the flavors
of current ENDS products. Another study analyzed 30 e-cigarette liquids
and found that many flavors, including cotton candy and bubble gum,
contained aldehydes, a class of chemicals that can cause respiratory
irritation, airway constriction, and other effects (Ref. 126).
Specifically, researchers noted that two flavors, a dark chocolate and
a wild cherry, would expose e-cigarette users to more than twice the
recommended workplace safety limit for the aldehydes vanillin and
benzaldehyde (id.). Similarly, researchers found that several cinnamon-
flavored e-liquids contained a chemical, cinnamaldehyde, which
researchers stated was highly toxic to human cells in laboratory tests
(Ref. 127).
Some studies have found that lower levels of toxicants are observed
in e-cigarette aerosols than in combusted tobacco smoke (Ref. 122). FDA
recognizes that specific product design parameters, such as voltage,
can affect toxicant deliveries (Ref. 67). For example, some ENDS
devices and some power levels of operating ENDS devices have been
reported to deliver more formaldehyde than other ENDS products and
conventional cigarettes (Refs. 67, 128, 129) and can affect the public
health. In addition, a 2010 study conducted by the Virginia
Commonwealth University determined that in a controlled evaluation of
smokers na[iuml]ve to the use of e-cigarettes and using a particular
model of e-cigarette, acute effects of using the product did not result
in measurable levels of nicotine or carbon monoxide, although e-
cigarettes did suppress nicotine/tobacco abstinence symptom ratings
(Ref. 130). Moreover, a recent evaluation of the relative health risks
of ENDS products conducted by Public Health England has drawn attention
to scientific reviews concluding that ENDS
[[Page 29030]]
are ``likely to be much less, if at all, harmful to users or
bystanders'' and a prior paper that reported the findings from an
international expert panel of academics. Employing an analysis model
that quantifies the relative health harms of 12 tobacco products using
a series of 14 harm criteria, the expert panel determined that while
cigarettes scored 100 percent in their assessment of maximum relative
harm, ENDS products were rated to have only 4 percent maximum relative
harm, which contributed to Public Health England's assessment that ENDS
are around 95 percent safer than smoking combusted cigarettes (Ref.
131; see Refs. 76, 132).
The recent evaluation's use of the prior paper has several
limitations, and the prior paper itself observed that it was reporting
outcomes based on the decision-conferencing process from a group of
experts who were selected without any ``formal criterion,'' though
``care was taken to have raters from many different disciplines'' and
primarily based on geographic location ``to ensure a diversity of
expertise and perspective'' (Ref. 76). In addition, the authors
acknowledge that there is a ``lack of hard evidence for the harms of
most products on most of the criteria'' (Refs. 76, 133, 134). The
authors did not explain what scientific information was available to
the experts upon which they should base their ratings. The authors did
not explain the derivation of the quantitative assessment of each harm
criterion. It is unclear if the authors carried out or referenced a
quantitative risk analysis, a standard practice when assessing relative
risk, nor did the authors indicate that they used mean levels of
exposure to HPHCs in users or other quantitative evidence as an
approximation of risk. In addition, population effects appear to be
largely outside the scope of this analysis since the manuscript did not
address the likelihood that the characteristics of the products would
make them more or less likely to appeal to new users, be used in
conjunction with other tobacco products or discourage quitting. They
did not describe an assessment of population effects such as a
quantitative assessment of youth use prevalence. FDA does not find the
beliefs reported in the prior paper (Ref. 76) to be sufficiently
conclusive on the relative risks of using different tobacco
products.\14\ However, previous studies detected the presence of
aldehydes, especially formaldehyde, in the vapor from some ENDS to
exist at levels much lower than in cigarette smoke (Ref. 132).
Moreover, across several Japanese brands evaluated by another
researcher in a self-published Web site, under some use conditions,
ENDS released 1/50th of the level of formaldehyde released by
cigarettes (Ref. 135). The highest level detected was six times lower
than the level in cigarette smoke (id.). A clinical investigation
comparing the levels of toxicants and carcinogen metabolites in the
urine of e-cigarette users and combusted cigarette users found that e-
cigarette users had significantly lower levels of all evaluated
toxicants, which included acrolein and crotonaldehyde (Ref. 136). But
other research, published as a letter to the editor of the New England
Journal of Medicine, reported that ENDS devices operated at 5 volts
delivered a mean of 390+/-90 [mu]g per 10 puff sample which is greater
than 150 [mu]g, the estimated average delivery of formaldehyde than
conventional cigarettes. No formaldehyde-releasing agents were detected
when ENDS were operated at 3.3 volts (Ref. 128). A subsequent peer-
reviewed article on 5 variable-power ENDS devices found large
variations in formaldehyde delivery across devices (Ref. 129). The
first device yielded more formaldehyde than combustible cigarettes at
every power level tested, and the second device delivered more
formaldehyde at the highest power level tested; the remaining three
devices delivered less formaldehyde than combustible cigarettes at all
power levels tested (id.) The same research found that aldehyde
delivery varied by 750-fold from one ENDS device to another (id.). The
article referenced in one comment (Ref. 67) reported that increasing
the voltage from 3.2 to 4.8 volts increased formaldehyde, acetaldehyde,
and acetone levels from 4-fold to over 200-fold.
---------------------------------------------------------------------------
\14\ In addition, at least one source has identified other flaws
with the expert panel employed in the Nutt et al. report, including
potential conflicts of interest and no prespecified expertise on
tobacco control among the panel members (Ref. 133).
---------------------------------------------------------------------------
(Comment 118) The comments in support of limited or no regulation
for e-cigarettes cited studies showing that e-cigarette use resulted in
improvements in many health indicators of former cigarette smokers.
Most of these comments relied upon published literature concluding
that, despite the lack of long-term health data, e-cigarettes are
``likely to be much less, if at all, harmful to users and bystanders''
(Ref. 132). They also noted that clinical studies to date indicate that
e-cigarettes generally are well-tolerated and do not produce serious
adverse events following use for up to 24 months (Refs. 107, 137). Many
relied upon an analysis of the 47 e-cigarette adverse event reports FDA
received from 2007 to 2012, which found that only 8 of them were
considered serious (e.g., pneumonia, congestive heart failure,
disorientation, seizure, hypotension, facial burns, chest pain and
rapid heartbeat, infant choking on an e-cigarette cartridge, loss of
vision) (Ref. 138).
Some comments also stated that e-cigarettes provide subjective
health benefits to current smokers. For example, in one Internet survey
of 1,347 current e-cigarette users, among those who were former
smokers, 75 percent reported improved breathing, less coughing, and
feeling healthier overall after switching to e-cigarettes (Ref. 139).
They also claimed that e-cigarette use leads to improved sense of smell
and taste and general physical status (Ref. 109). In addition, they
stated that some of the harms caused by smoking can be reversed by
switching to e-cigarettes (Ref. 140).
(Response) FDA agrees that the majority of reported adverse events
appear to have been not serious. The FDA adverse event reporting system
has inherent limitations as a measure of the impact of e-cigarettes
since ENDS are a newly deemed product and reporting adverse events
associated with tobacco products (including e-cigarettes and other
ENDS) is voluntary; therefore, the reports received may have
underrepresented the true number and types of adverse events associated
with ENDS. The data cannot be used to calculate incidence (occurrence)
rates or to estimate risk. Moreover, FDA has concerns with relying upon
the types of short-term studies provided in the comments. Short-term
studies fail to analyze the exposure risk of tobacco use and inhalation
that damage health over a lifetime of repeated, extended exposure.
Given the relatively new entrance of ENDS on the market, consumers have
not had the duration of use for researchers to fully assess the
morbidity and mortality effects for ENDS on either the individual or
the population.
FDA recognizes that completely switching from combusted cigarettes
to ENDS may reduce the risk of tobacco-related disease for individuals
currently using combusted tobacco products, given the products'
comparative placements on the continuum of nicotine-delivering
products. A recent review from Public Health England (discussed in
greater detail in response to Comment 117) suggests substantial
reductions in the exposure to harmful constituents typically associated
with smoking in ENDS products compared to cigarettes, and that most of
the chemicals causing smoking-related
[[Page 29031]]
disease from combusted tobacco use are absent and the chemicals that
are present pose limited danger (Ref. 131). A scientific review of
published studies of the toxicity of certain e-liquids found that ``[e-
cigarette] aerosol can contain some of the toxicants present in tobacco
smoke, but at levels which are much lower. Long-term health effects of
[e-cigarette] use are unknown but compared with cigarettes, [e-
cigarettes] are likely to be much less, if at all, harmful to users or
bystanders'' (Ref. 132). ENDS products have been found in some studies
to release aldehydes at much lower levels than that in cigarette smoke,
with one Web site posting stating that, across several Japanese brands,
under some use conditions, that ENDS products release 1/50th the level
of formaldehyde released in cigarettes (Ref. 133).
However, study results have been inconsistent about the effects of
these products. Some short-term studies suggest that ENDs may not
affect heart rate, cardiac function, lung function, or complete blood
count indices to the extent of conventional cigarettes (Refs. 130, 141,
142). A literature search, however, concluded that the current
scientific evidence on short-term effects are limited and there are no
adequate data on long-term health effects (Ref. 143). Other studies
have demonstrated increase in mean heart rate and inflammatory measures
(such as white blood cells) and changes in lung function after use
(Refs. 141, 142, 144, 145). Some research has found that there are some
ENDS devices and some power levels of operating ENDS devices that
deliver more formaldehyde than other ENDS products and conventional
cigarettes (Refs. 67, 128, 129). Further, the review by Hajek et al.
(Ref. 132) referred to in this comment as showing health benefits and
finding a lack of negative health effects of e-cigarettes, may have
limited generalizability due to the variability of e-cigarette
products. The authors expressly recognized that there are many
deficiencies in the available data.
(Comment 119) Some comments believed that FDA should not be
concerned about e-liquids because they are restricted to the same
nicotine levels as other products (e.g., cigarettes, hookah, smokeless
tobacco, NRTs).
(Response) FDA disagrees with comments stating that the Agency
should not be concerned with ENDS use. First, a direct comparison of
the nicotine level in cigarettes (and other currently regulated tobacco
products) with the nicotine level in e-liquids is not a particularly
helpful or relevant comparison. More helpful and clinically meaningful
is the comparison between the amount of nicotine delivered to the user
after using a cigarette (or other conventional tobacco product) versus
the amount of nicotine delivered after using an ENDS (Ref. 146).
Therefore, even if an e-liquid has the same nicotine level, it may
deliver a different level of nicotine than the comparator product. It
is also possible that comparable nicotine delivery consistently
produced by ENDS that meet the requirements of the Tobacco Control Act
may increase the facilitation of product switching from cigarettes to
ENDS--which could (with appropriate regulatory oversight) potentially
reduce the overall health harm caused by combusted tobacco. Further
research is necessary to determine the causal factors that influence
product switching from cigarettes to ENDS (or vice versa) and the
subsequent health impacts.
Second, FDA disagrees with the notion that e-liquids are restricted
to the same level of nicotine as other tobacco products. E-liquids are
available in a wide range of nicotine concentrations, but delivery to
the user is based on multiple factors, including the humectant in the
e-liquid, the temperature to which the e-liquid is heated, the user
experience, device designs, and design modifications (Ref. 147). Data
suggest that experienced ENDS users are able to achieve clinically
significant nicotine levels and levels similar to those generated by
traditional cigarettes (Refs. 114, 148, 149, 150). Moreover, heating
the e-liquids to higher temperatures and using the ENDS in ways other
than intended (e.g., dripping the e-liquid directly onto the atomizer)
may result in nicotine delivery that is actually higher than that of a
conventional cigarette (Ref. 16).
Third, FDA disagrees with the premise that the Agency should not be
concerned with tobacco products that may have lower nicotine levels
than cigarettes or other tobacco products, as may be the case with some
ENDS. Even if ENDS products have lower levels of nicotine, they still
have the potential to addict users, particularly youth and young
adults, as discussed in section VIII.C. As the Surgeon General has
stated, nicotine is the primary addictive substance in tobacco products
(Ref. 9). Regardless of the nicotine content of the tobacco products,
FDA believes that deeming tobacco products will result in significant
public health benefits and that the additional restrictions imposed by
this rule are appropriate for the protection of the public health.
(Comment 120) One comment expressed concern about the lack of
research regarding the environmental impacts of e-cigarette use and
storage.
(Response) FDA is funding studies regarding environmental impacts
due to ENDS manufacturing, use, and disposal following use. In
addition, FDA has been conducting a series of public workshops to
obtain information on e-cigarettes and their impact on public health.
Potential environmental impacts were discussed during the first
workshop (79 FR 55815, September 17, 2014).
(Comment 121) Some comments expressed concern about the health
effects of propylene glycol exposure from e-cigarette use. They also
stated that the use of glycerol and propylene glycol, both of which are
humectants, may cause uninformed users to become inadvertently
dehydrated.
(Response) FDA recognizes that information about the health effects
of the constituents in e-liquids and ENDS aerosols in both users and
nonusers is limited and that this issue should be explored to better
understand the impacts of these products on the population health.
(Comment 122) As FDA noted in the NPRM, one study detected
diethylene glycol in one e-cigarette cartridge (79 FR 23142 at 23157).
A few comments took issue with FDA's reliance on the study, because the
amount of diethylene glycol reported was so low that it was unlikely to
cause harm to consumers and had not been replicated in other scientific
studies to date.
(Response) FDA appropriately characterized this study in the NPRM,
stating that diethylene glycol ``was found in only 1 of 18 cartridges
studied and it was not found at all in another 16 studies'' (79 FR
23142 at 23157). FDA agrees that the amount found was low, but
reiterates that diethylene glycol is a toxicant and, therefore, is a
cause for concern.
(Comment 123) We received many comments regarding the safety of the
aerosol that is emitted from e-cigarettes. These comments expressed
concern that individuals incorrectly believe that the aerosol emitted
from e-cigarettes is harmless and stated that e-cigarette aerosol is
not simply water ``vapor,'' as is sometimes advertised (Ref. 151). They
provided studies indicating that the primary or mainstream and exhaled
or secondhand e-cigarette aerosols have been found to contain at least
10 chemicals known to cause cancer, birth defects, or other
reproductive harm (Ref. 65). They also noted that potentially harmful
constituents have been identified in some e-liquids and their aerosol,
including tobacco-specific nitrosamines, heavy metals, and
[[Page 29032]]
carbonyls, albeit at significantly lower levels than in cigarette smoke
(Refs. 65, 118, 152, 153, 154, 155, 156). Studies have shown that the
primary aerosol contains measurable amounts of nicotine, which can have
an impact on both users and nonusers (Ref. 144, 147).
We also received comments stating that the aerosol is completely
harmless or significantly less harmful than tobacco smoke from
combusted tobacco products; the comments included data from peer-
reviewed publications (Refs. 144, 156, 157, 158), a presentation at a
professional conference (Ref. 159), and individual company testing.
These comments also submitted research that was not peer-reviewed,
which stated that there were no key tobacco smoke toxicants in e-
cigarettes (Ref. 160).
(Response) FDA recognizes that the aerosol that is exhaled by users
of some e-cigarettes and similar electronic apparatus may not pose as
much harm as smoke emitted from combusted tobacco products. However,
given that studies do indicate that both nicotine and other toxicants
are found in the exhaled aerosol, limiting exposures must be
considered. (See section XII regarding the potential for product
standards and tobacco product manufacturing practices on manufacturers
of newly deemed products.) In the absence of short- and long-term
studies on the potential impact of secondary exposure to aerosol, FDA
cannot conclude that the aerosol is harmless. Moreover, as stated
throughout this document, the Tobacco Control Act does not require that
FDA make a finding that a product is harmful in order to deem it to be
subject to chapter IX of the FD&C Act; FDA is authorized to deem any
product that meets the definition of a ``tobacco product'' pursuant to
section 901 of the FD&C Act.
(Comment 124) A few comments stated that the aerosol must be safe
because the primary constituents of the liquid that generate the e-
cigarette aerosol are propylene glycol and glycerin. They stated that
inhalation of such constituents is harmless because they are designated
as ``generally recognized as safe'' (GRAS) by FDA. They cited animal
inhalation studies showing limited toxicological effects from either
propylene glycol or glycerin (e.g., Ref. 161).
(Response) FDA disagrees with comments claiming that the aerosol is
safe due to certain components being recognized as GRAS. It is
important to note that the definition of food additive in section
201(s), and its exclusion of GRAS substances, relates to intended uses
that may reasonably be expected to result, directly or indirectly, in
its becoming a component or otherwise affecting the characteristics of
any food (section 201(s) of the FD&C Act). E-liquid is not food or
intended for ingestion; therefore, the fact that propylene glycol and
glycerin have been designated GRAS for food does not necessarily mean
that these components are safe for inhalation. (See additional
responses in this section of the document regarding FDA's concerns with
ENDS aerosol.)
(Comment 125) Several comments that stated that e-cigarettes are
harmless cited one study in which the author concluded that there ``is
no serious concern about the contaminants such as volatile organic
compounds'' in the e-cigarette ``vapor'' and that tobacco-specific
nitrosamine (TSNA) levels in the ``vapor'' are just as hazardous as
those TSNAs in NRT products (Ref. 162). Some of these comments
specifically asked why FDA did not include this study in the proposed
deeming rule.
(Response) FDA has considered these findings and agrees that the
exhaled aerosol from ENDS users is potentially less hazardous than
secondhand smoke from combusted cigarettes. However, FDA disagrees with
the author's conclusion that exposure to aerosol (``vapor'') ``pose[s]
no apparent concern'' (Ref. 162). FDA recognizes that the aerosol that
is exhaled by users of some e-cigarettes and similar electronic
apparatus may not pose as much harm as smoke emitted from combusted
tobacco products. However, given that studies do indicate that both
nicotine and other toxicants are found in the exhaled aerosol, limiting
exposures must be considered. FDA has repeatedly noted the potential
benefits and need for additional information regarding ENDS and,
therefore, the research included in the NPRM accurately summarized the
state of the research on e-cigarettes (and the other newly deemed
products) at the time it was drafted.
(Comment 126) A few comments claimed that there are many e-liquids
on the market that do not contain nicotine and, therefore, e-liquids
should not be regulated. Other comments provided studies that showed
that e-cigarettes deliver nicotine but noted that delivery is dependent
on the e-cigarette apparatus and liquid type, the rate at which the
nicotine is delivered, and the user's experience with e-cigarette use
(Ref. 130).
(Response) FDA is aware that, although some ENDS and e-liquids are
marketed as nicotine free, as stated in section VIII.D, studies have
found that certain types of ENDS do not have consistent quality and the
labels may not accurately reflect the amount of nicotine in the e-
liquid. The World Health Organization (WHO) also has noted that the
level of nicotine delivered in currently marketed ENDS varies widely
depending on product characteristics, user puffing behavior and
nicotine solution concentration, leaving smokers unaware of the
nicotine levels they are receiving (Ref. 163). In addition, FDA agrees
that many factors influence the delivery of nicotine. For example, an
experienced ENDS user may be exposed to amounts of nicotine similar to
those delivered by cigarette smoking (Ref. 114). Also, as stated
earlier, nicotine-free e-liquid that is intended or reasonably expected
to be used with or for the human consumption of tobacco products in
most cases would be a component or part of a tobacco product and,
therefore, within the scope of this rule. These products will be
evaluated on a case-by-case basis.
(Comment 127) Many comments discussed the possibility of nicotine
poisoning due to improper access to, or use of, e-liquids. Most of
these comments expressed concerns about the growing number of calls to
poison control centers due to accidental nicotine poisoning. Others
believed this concern was overstated and noted that many drugs can
cause poisoning if stored improperly. They stated that the addition of
child-resistant containers would alleviate this concern. Some also
noted that e-cigarette users self-titrate the nicotine dosage, so
concerns about overdosing should be minimal (Ref. 84).
(Response) FDA is concerned about the risk of nicotine poisoning in
both users and nonusers. The CDC has reported more than 2,400 calls to
U.S. poison control centers for e-liquid exposure between September
2010 and February 2014 (Ref. 164). In another study of 1,700 e-liquid
exposures reported to U.S. poison control centers from June 2010
through September 2013, children 5 years of age or younger represented
the largest proportion of e-liquid exposures and the group with the
greatest increase in exposures per month in the first three quarters of
2013 (Ref. 165). Studies show that nicotine in sufficient
concentrations, either when ingested or in contact with the skin, can
result in serious or fatal poisoning and is concerning (Refs. 166,
167). Symptoms of toxicity include nausea, vomiting, seizures, coma,
cardiovascular instability, respiratory arrest, and sometimes death.
Although there was disagreement among the comments as to the level of
nicotine that causes
[[Page 29033]]
poisoning, the nicotine content of many refillable vials could be toxic
to adults and children regardless of the measurement used. Accordingly,
elsewhere in this issue of the Federal Register, FDA has made available
draft guidance, which when final will describe FDA's current thinking
regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products, including
recommendations for exposure warnings and child-resistant packaging
that would help support a showing that the marketing of a product is
appropriate for the protection of the public health. In addition, FDA
issued an ANPRM prior to this deeming rule, seeking comments, data,
research, or other information that may inform regulatory actions FDA
might take with respect to nicotine exposure warnings and child-
resistant packaging.
(Comment 128) Some comments compared the poison risks of nicotine
against other household products, noting that the incidence of nicotine
poisoning is significantly lower than for other household products
(Ref. 168).
(Response) Regardless of the incidence of nicotine poisoning in
comparison to poisonings attributed to other household products, the
dramatic rise in nicotine poisoning from e-liquid exposures is very
concerning. FDA is taking under advisement the submitted data regarding
nicotine poisoning and suggestions for measures that FDA can take in a
separate rulemaking to address the issue, including establishment of
tobacco product manufacturing practice regulations under section 906(e)
and tobacco product standards under section 907 of the FD&C Act. In
addition, as stated previously, FDA issued an ANPRM prior to this
deeming rule seeking comments, data, research, or other information
that may inform regulatory actions FDA might take with respect to
nicotine exposure warnings and child-resistant packaging. Moreover,
elsewhere in this issue of the Federal Register, FDA has made available
draft guidance, which when final will describe FDA's current thinking
regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products, including
recommendations for exposure warnings and child-resistant packaging
that would help support a showing that the marketing of a product is
appropriate for the protection of public health.
(Comment 129) Comments were divided as to whether nicotine is
dangerous to humans. Some comments stated that liquid nicotine is
completely benign (and that FDA should not regulate e-cigarettes given
the lack of harms). They claimed that FDA's findings regarding NRTs
illustrate that nicotine is not carcinogenic to humans. (See
``Modifications To Labeling of Nicotine Replacement Therapy Products
for Over-the-Counter Human Use,'' 78 FR 19718, April 2, 2013.) Other
comments stated that although nicotine has some side effects, it is
significantly less hazardous than the toxicants ingested with combusted
products. Still others claimed that nicotine is very dangerous.
Comments that claimed that nicotine is dangerous cited studies
showing that although nicotine may not be a primary carcinogen, it
likely promotes cancers established through angiogenic (promoting of
blood vessels in tumors) effects (e.g., Ref. 169). The comments also
noted that the 2014 Surgeon General's Report stated that the health
risks of nicotine are more serious than previously thought and that FDA
should consider this when evaluating the impacts of the newly deemed
products on vulnerable populations. Others believed that nicotine is so
dangerous that individuals should be required to obtain a certification
before being permitted to acquire and handle it.
(Response) In the proposed deeming rule, FDA recognized the impact
of nicotine on a youth's brain (see 79 FR 23142 at 23153 and 23154) and
also noted poisoning concerns. The inhalation of nicotine (i.e.,
nicotine without the production of combustion) is of less risk to a
user than the inhalation of nicotine delivered by smoke from combusted
tobacco products. However, limited data suggests that the
pharmacokinetic properties of inhaled nicotine can be similar to
nicotine delivered by combusted tobacco products. Thus, inhaled
nicotine from a non-combustible product may be as addictive as inhaled
nicotine delivered by combusted tobacco products. Researchers recognize
that the effects from nicotine exposure by inhalation are likely not
responsible for the high prevalence of tobacco-related death and
disease in this country (Refs. 10, 11). Although nicotine has not been
shown to cause the chronic disease associated with tobacco use, the
2014 Surgeon General's Report noted that there are risks associated
with nicotine (Ref. 9 at 111). For example, nicotine at high enough
doses has acute toxicity (id.). Nicotine exposure during fetal
development has lasting adverse consequences for brain development
(id.). Nicotine also adversely affects maternal and fetal health during
pregnancy, contributing to multiple adverse outcomes such as preterm
delivery and stillbirth (id.). Further, data suggest that nicotine
exposure during adolescence may have lasting adverse consequences for
brain development (id.). Some studies also have found that nicotine can
have detrimental effects on the cardiovascular system and potentially
disrupt the central nervous system (Refs. 14, 15). See also section
VIII.C discussing the increase in poisoning due to accidental nicotine
ingestion.
FDA is not stating that nicotine is harmless. Unlike ENDS, which
have not been reviewed by FDA, the NRT products mentioned in the
comments are regulated and have undergone premarket review by FDA's
Center for Drug Evaluation and Research (CDER) and been found to be
safe and effective before obtaining authorization to enter the market
(sections 505 and 506 of the FD&C Act). The Agency does not have
sufficient data to be able to conclude that consumers are inhaling only
nicotine, and no other chemicals or toxicants, when using ENDS.
Although ENDS likely do not deliver the same level of toxicants as
cigarettes, studies show that there are dangers associated with ENDS
use and that exhaled aerosol is not simply ``water vapor,'' as some
believe. (See section VIII.C for additional discussion about the
toxicants in ENDS vapor.)
(Comment 130) At least one comment suggested that to help address
the dangers of nicotine and its use in future tobacco products,
manufacturers registering future products with FDA should provide
documents demonstrating the accuracy of stated nicotine levels and that
the products are diacetyl and acetyl propionyl free.
(Response) FDA agrees with the need to carefully monitor future
tobacco products and to evaluate the toxicological concern of chemical
ingredients, such as diacetyl and acetyl propionyl, in e-liquids and
that statements about the nicotine concentration in the e-liquid as
well as the amount of nicotine that will be delivered to the user are
accurate. FDA's review of SE reports and PMTAs under sections 905 and
910 of the FD&C Act will often include analysis of the chemicals
included in the products. In addition, the requirements to submit
ingredient listings under section 904 and HPHC testing data under
sections 904 and 915 are expected to alert FDA to the existence of
these HPHCs in e-liquids.
(Comment 131) Many comments expressed concerns regarding the high
[[Page 29034]]
cost associated with testing for HPHCs in each individual e-liquid and
e-cigarette product. They suggested that FDA use enforcement
discretion, as the Agency has done previously, to reduce the regulatory
burden for e-cigarette manufacturers. For example, they noted that FDA
has compliance policies for the submission of SE reports for certain
product modifications and HPHC reporting. To reduce the regulatory
burden, they suggested that FDA not require ingredient disclosure of
all unique e-liquid products under section 904(a)(1) of the FD&C Act
because such a requirement is unreasonable given the many different e-
liquid formulations in these retail establishments. They stated that in
lieu of ingredient listings, FDA should accept a table of all
ingredients used in e-liquids along with use-level (concentration)
ranges (i.e., minimum and maximum percentages) of those ingredients in
their products. These comments further suggested that FDA allow
companies to simply amend their ingredients lists when altering
products rather than requiring them to submit PMTAs.
(Response) Once this rule becomes effective, newly deemed products
automatically become subject to chapter IX and all of its provisions
applicable to tobacco products, without exception. Therefore, all
manufacturers and importers of the newly deemed products will be
subject to the requirements under sections 910, 905, and 904 of the
FD&C Act upon the effective date of this final rule.
However, FDA has established a compliance policy for certain
circumstances. See section IV.D describing the compliance policy
regarding certain provisions and small-scale tobacco product
manufacturers.
D. Quality Control
In the NPRM, FDA recognized previous instances of lack of quality
control for certain e-cigarette products (79 FR 23142 at 23149). FDA
indicated that the premarket review requirements that will
automatically apply to the newly deemed products can help to address
quality control concerns.
(Comment 132) Many comments expressed concern regarding the lack of
controls in place for the mixing of e-liquids. They stated that these
liquids are often mixed by individual consumers or employees of e-
cigarette retail establishments who may lack training or knowledge of
guidelines for handling such products. Several retailers of e-liquids
submitted comments stating that they have controls in place to ensure
the safety of their e-liquids.
(Response) FDA understands the comments' concerns about the safety
of e-liquids. As stated previously, FDA issued an ANPRM prior to this
deeming rule seeking comments, data, research, or other information
that may inform regulatory actions FDA might take with respect to
nicotine exposure warnings and child-resistant packaging. Also,
elsewhere in this issue of the Federal Register, FDA is announcing the
availability of a draft guidance, which when finalized will provide
FDA's current thinking regarding some appropriate means of addressing
the premarket authorization requirements for newly deemed ENDS
products, including recommendations for exposure warnings and child-
resistant packaging that would help support a showing that the
marketing of a product is appropriate for the protection of public
health. FDA also intends to consider these and other issues during its
premarket review of these products. Further, after the effective date
of this rule, FDA can exercise its authorities under the Tobacco
Control Act to take additional steps to address the safety of e-
liquids.
(Comment 133) Some comments included data regarding the variations
among the nicotine levels in e-liquids, including data showing that the
nicotine levels of the products are not accurately reflected in the
nicotine concentration stated on the labels. For example, one study
found nicotine content labels to be highly inaccurate and determined
that products claiming to be nicotine-free actually contained high
levels of nicotine (Ref. 170). Other comments stated that the
variations are no longer as significant among the newer e-cigarette
products, and that newer studies reported more consistent nicotine
levels (Ref. 171).
Many comments cited several studies of newer e-cigarettes which
continued to find wide variability in e-cigarette engineering,
including nicotine concentrations in e-liquid, that were inconsistent
with the information contained on the product label (Ref. 16). For
example, one 2014 study of e-liquid refills found that the actual
nicotine level of 65 percent of the e-liquids deviated by more than 10
percent from the nicotine concentrations printed on the labels (Ref.
17). Other studies found variability among nicotine concentrations, but
the nicotine levels were equivalent to or lower than advertised (Refs.
18, 19). In one study, researchers stated that the total amount of
nicotine in the e-liquid studied was potentially lethal if an
individual were to drink it or absorb it through the skin (Ref. 18).
They based this finding on the lethal level of nicotine being in the 10
to 60 milligram (mg) range; however, other comments claimed the lethal
dose of nicotine is actually much greater (Ref. 172).
Some comments expressed concern that this rule does not address the
possibility of a dangerous contamination of a batch of e-liquid because
it does not include quality control measures or product standards that
could prevent such contamination. They believed that FDA's authority to
establish tobacco product manufacturing requirements or product
standards in the future was insufficient to address this concern.
(Response) FDA is aware of the variability of nicotine among
certain ENDS and that the labeling may not accurately reflect the
nicotine levels. After this rule becomes effective, FDA has the
authority to issue tobacco product manufacturing practice regulations
under section 906(e) of the FD&C Act to address this issue. The PMTA
process (particularly, the requirement to submit information on
manufacturing methods) also provides a mechanism through which products
that are more harmful or addictive than products on the market at the
time of submission would be denied entrance to the market. Moreover,
immediately upon the effective date of this rule, if FDA determines
that an e-liquid has been contaminated and is therefore adulterated
under section 902 or that it is misbranded under section 903 of the
FD&C Act because its labeling is false or misleading, it can initiate
enforcement action such as a seizure, injunction, or criminal
prosecution.
(Comment 134) A few comments expressed concern that FDA may limit
the availability of e-liquids to established manufacturers only and
prohibit individuals from mixing their own e-liquids. These comments
stated that they need access to products of reasonable potency, high
purity, and high quality.
(Response) This final deeming rule places some restrictions on the
sale and distribution of tobacco products, such as minimum age
restrictions, but it does not bar sales to individuals generally.
(Comment 135) At least one comment noted that, although there have
been fires due to mishandling of e-cigarette batteries, cases of
accidental poisoning, and concerns about functionality, the ``de facto
regulations'' that are in place, ``namely brand equity, potential civil
liability, and word-of-mouth'' have been effective in helping the
market evolve and controlling behavior.
(Response) FDA disagrees. FDA's adverse event reporting system has
[[Page 29035]]
inherent limitations as a measure of the impact of e-cigarettes since
ENDS are a newly deemed product and reporting adverse events associated
with tobacco products (including e-cigarettes and other ENDS) is
voluntary. FDA remains concerned about adverse events associated with
ENDS use, including overheating and exploding batteries as reported in
the news, and the vast evidence that accidental nicotine poisoning is
increasing in the wake of growing e-cigarette use. Toward that end,
elsewhere in this issue of the Federal Register, FDA has made available
draft guidance, which when final will describe FDA's current thinking
regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products, including
compliance with existing voluntary standards for ENDS batteries. In
addition, concerns remain regarding quality control, which could impact
the functionality of these products. FDA believes that the automatic
statutory provisions that will apply to these products as a result of
this deeming rule, in conjunction with additional authorities under the
law that FDA can exercise after the effective date, will help address
these concerns.
(Comment 136) At least one comment sought clarification as to why
FDA expressed concern about quality control issues for e-cigarette
products but not for combusted products that contain thousands of toxic
constituents.
(Response) FDA is concerned about quality control for all tobacco
products and will continue to monitor these products to determine if
there are quality control issues. FDA's premarket review of the newly
deemed products will increase product consistency. For example, FDA's
oversight of the constituents of e-cigarette cartridges would help to
ensure quality control related to the chemicals and their quantities
being aerosolized and inhaled. Quality control issues will also be
addressed in a tobacco product manufacturing practices regulation that
FDA intends to issue at a later date. Also, FDA may take enforcement
action if an ENDS or any other tobacco product is adulterated or
misbranded within the meaning of the FD&C Act.
(Comment 137) A few comments expressed concerns regarding the
quality of e-cigarettes manufactured overseas. They stressed the
importance of issuing regulations to require the registration of
foreign establishments so that FDA knows the identity of foreign
manufacturers and the products they import into the United States.
(Response) FDA agrees with comments' concerns regarding quality
control and the safety of ENDS manufactured both domestically and in
other countries. One of the immediate benefits of deeming ENDS is that
all newly deemed products, including ENDS, that meet the definition of
``new tobacco product'' will be subject to the premarket authorization
requirements in sections 905 and 910 of the FD&C Act. In addition, FDA
has announced its intention in the Unified Agenda to issue a NPRM that
would apply the registration and listing requirements of section 905 to
foreign establishments.
(Comment 138) Some comments suggested that to properly regulate e-
cigarettes, given their position on the continuum of nicotine-
delivering products, FDA should regulate these products based on the
size of the manufacturer--which is generally smaller than the size of
companies that manufacture cigarettes and smokeless tobacco products.
They also suggested that FDA stagger the compliance periods for
submission of PMTAs so that smaller companies have additional time to
prepare their submissions.
(Response) Section IV.D has additional information about compliance
periods for small-scale tobacco product manufacturers. FDA's compliance
policy for the submission of SE reports, SE exemption requests, and
PMTAs for all manufacturers of deemed products is included in section
IV.C.
(Comment 139) One comment recommended that FDA collaborate with
other Federal Agencies, including the National Institutes of Health
(NIH), CDC, and the Substance Abuse and Mental Health Services
Administration (SAMHSA), as well as international agencies including
the EU, to continue research on tobacco products and increase
surveillance and other enforcement of quality control and other issues.
(Response) FDA agrees. FDA intends to continue to review available
studies and fund studies on tobacco products, including studies on ENDS
initiation, use (including transitions to other tobacco products and
multiple use), perceptions, dependence, and toxicity (Ref. 173). FDA
also has been conducting a series of public workshops to obtain
additional information on e-cigarettes and their impact on public
health (79 FR 55815). These workshops will help to inform FDA's
development of future rules and policies that have an impact on ENDS.
Additional regulations regarding ENDS will be subject to the
requirements of the APA.
(Comment 140) Some comments stated that FDA should regulate
materials used in the manufacture of e-cigarette components and
packaging that come into direct contact with e-liquids. They noted that
improper e-cigarette construction and e-liquid packaging materials
could also result in hazardous leachates or degradation of products in
the e-liquid that may become aerosolized and inhaled upon use.
(Response) With this final rule, FDA is deeming all products,
except for accessories of newly deemed products, that meet the
definition of ``tobacco products'' under section 201(rr) of the FD&C
Act, which includes the components and parts (including packaging of
such products). FDA will consider the issues raised by the comments
when it develops a NPRM on tobacco product manufacturing practices.
E. Misperceptions
In the NPRM, FDA noted its concerns regarding consumer
misperceptions of currently unregulated products, particularly e-
cigarettes. Many comments provided data to substantiate those concerns
and others provided data and personal stories regarding the potential
benefits of e-cigarettes. Other comments indicated that, based on these
potential benefits, they believed e-cigarettes to be safe tobacco
products.
(Comment 141) Many comments stated, but did not provide supporting
data, that e-cigarettes: (1) Are approximately 99 percent less
hazardous than cigarettes; (2) are only consumed by smokers and former
smokers who quit by switching to e-cigarettes; and (3) have not been
found to create nicotine dependence in any nonsmoker. They also stated
that there is no evidence that ingesting e-liquid leads to fatalities.
(Response) As discussed throughout this document, FDA agrees that
use of ENDS is likely less hazardous for an individual user than
continued smoking of traditional cigarettes. One self-selected
comparison reported that across several Japanese brands, under some use
conditions, ENDS released 1/50th of the level of formaldehyde released
by cigarettes (Ref. 135). The highest level detected was six times
lower than the level in cigarette smoke (id.). But other research,
published as a letter to the editor of the New England Journal of
Medicine, reported that ENDS operated at 5 volts delivered a mean of
390+/-90 [mu]g per 10 puff sample which is greater than 150 [mu]g, the
estimated average delivery of formaldehyde than conventional cigarettes
(Ref. 128). No formaldehyde-releasing agents were detected when ENDS
were operated at
[[Page 29036]]
3.3 volts (Ref. 128). A subsequent peer-reviewed article on 5 variable-
power ENDS devices found large variations in formaldehyde delivery
across devices (Ref. 129). The first device yielded more formaldehyde
than combustible cigarettes at every power level tested, and the second
device delivered more formaldehyde at the highest power level tested;
the remaining three devices delivered less formaldehyde than
combustible cigarettes at all power levels tested (id.) The same
research found that aldehyde delivery varied by 750-fold from one ENDS
device to another (id.). The article referenced in one comment (Ref.
67) reported that increasing the voltage from 3.2 to 4.8 volts
increased formaldehyde, acetaldehyde, and acetone levels from 4 to over
200-fold.
Nevertheless, as discussed in section VIII.F, evidence shows that
while most ENDS are consumed by smokers and former smokers (e.g., Refs.
109, 110), some consumers (including youth and young adults) are
initiating tobacco use with ENDS. Several studies have found that ENDS
users, particularly experienced ENDS users, are able to achieve
nicotine exposures similar to cigarette smokers (Refs. 114, 148, 149,
150). Although no studies have been done to-date assessing the
development of dependence among non-smokers, several studies have found
that ENDS users, particularly experienced ENDS users, are able to
achieve nicotine exposures similar to cigarette smokers and that
nicotine is a known addictive substance. Fourth, as discussed in
section VIII.D, the incidence of nicotine poisoning has been on the
rise and has resulted in severe poisonings and hospitalization (Ref.
174). In December 2014, after the close of the comment period for the
NPRM, media reported the first death of a toddler from accidental
poisoning from e-liquid (Ref. 175). Regulation of ENDS will help to
alleviate consumer misperceptions such as those expressed in the
comments.
(Comment 142) Many comments stated that e-cigarettes should be
regulated given their appeal to youth and young adults and the belief
that e-cigarettes are less harmful than conventional cigarettes. They
agreed with FDA's concern that a failure to regulate the newly deemed
products could reinforce consumers' existing confusion and
misinformation about these products. However, other comments stated
that FDA's concerns about youth's misperception of the safety of e-
cigarettes should not be a factor in FDA's decision to regulate them.
They stated that regulation cannot remedy the fact that many youth
affirmatively disregard available safety information.
(Response) As FDA stated in its proposal, many people may believe
that certain tobacco products covered by this rule present fewer health
risks when compared to that of cigarettes (79 FR 23142 at 23158 and
23159), which is supported by some of the emerging scientific
literature demonstrating that some ENDS products, operated at some
power levels, may have lower delivery of harmful constituents and
toxicants than that of combusted cigarettes (see discussion on the
health harms of ENDS in response to Comment 117). In fact, a recent
telephone survey of 1,014 adults indicates that a majority of American
adults surveyed (nearly two-thirds, 65 percent) believe e-cigarettes
are harmful to the health of the people who use them and 23 percent
believe that they are not harmful (Ref. 176). In addition, 44 percent
believe that electronic cigarettes are less harmful than combusted
cigarettes while 32 percent thought they were equally harmful (id.). Of
particular note, the survey found that ``[t]hose who have ever used e-
cigarettes are significantly less likely than never-users to believe
that e-cigarettes and marijuana are harmful to the health of people who
use them, and more likely to believe in the benefits of e-cigarettes
when it comes to smoking cessation'' (id.).
Although FDA expects that youth understanding and appreciation of
the health effects and risks of certain newly deemed tobacco products
will be improved if they are also FDA-regulated, that is only one of
the many public health benefits that will accrue from deeming them
subject to the FD&C Act, as discussed in the NPRM (79 FR 23142 at 23148
and 23149).
(Comment 143) Some comments expressed concern that the increase in
e-cigarette use in places where cigarette smoking is not currently
allowed creates confusion, particularly among children, who often
cannot tell the difference between smoking and e-cigarette use. They
referred to unpublished research and anecdotal evidence indicating that
when children see pictures of people using e-cigarettes they report
that someone is smoking.
Other comments disagreed, stating that e-cigarette use will more
likely lead to normalization of e-cigarettes rather than cigarettes
(Ref. 110). They stated that one study found that daily smokers (aged
18 to 35 years) who observed individuals using e-cigarettes only
increased the smoker's desire for an e-cigarette, and not for a
conventional cigarette (Ref. 177).
(Response) FDA is concerned that the growth in ENDS use,
particularly among youth and young adults, could lead to the re-
normalization of cigarette smoking. The Surgeon General recognized that
adolescents are particularly vulnerable to visual cues to smoke and to
social norms, making this an even greater concern (Ref. 49). FDA
believes that subjecting ENDS to its tobacco control authorities, and
requiring compliance with the various statutory and regulatory
requirements (e.g., ingredient listing and others), will help to
address the common misunderstanding that these products are safe to
use.
F. Use as a Cessation Product
In the preamble to the NPRM, FDA recognized that some consumers may
use ENDS in tobacco cessation attempts. We note that if an ENDS product
seeks to be marketed as a cessation product, the manufacturer must file
an application with FDA's Center for Drug Evaluation and Research
(CDER) and no ENDS have been approved by FDA as effective cessation
aids.
Recently published population-wide data from the CDC's NCHS, which
provides the first estimates of e-cigarette use among U.S. adults from
a nationally representative household interview study, indicates that
current cigarette smokers and recent former smokers (i.e., those
individuals who quit smoking within the past year) were more likely to
use e-cigarettes than long-term former smokers (i.e., those individuals
who quit smoking more than one year ago) and adults who had never
smoked (Ref. 24). Among current cigarette smokers who had tried to quit
smoking in the past year, more than one-half had ever tried an e-
cigarette and 20.3 percent were current e-cigarette users (id.).
(Comment 144) Comments were divided regarding the viability of e-
cigarettes as a smoking cessation product. Some comments contended that
the actual patterns of e-cigarette use, citing a meta-analysis showing
the rapid penetration of the youth market and high levels of dual use
among both adults and adolescents, will lead to a lower probability
that smokers using e-cigarettes will quit smoking cigarettes (Ref. 16).
They also cited another study in which, although 85 percent of e-
cigarette users reported that they were using e-cigarettes to quit
smoking, they were no more likely to have quit smoking than nonusers of
e-cigarette (Ref. 178).
However, consumers and manufacturers of e-cigarettes provided
information showing positive impacts of e-cigarettes on cessation,
including
[[Page 29037]]
personal anecdotes from former smokers (Ref. 132). For example, they
cited a 1-year multinational study where researchers found that among
smokers who were using e-cigarettes at the baseline, 22 percent had
quit smoking after 1 month and 46 percent had quit smoking after 1 year
(Ref. 179). In a survey of adults in the United Kingdom who tried to
quit smoking at least once in the past year, respondents who used e-
cigarettes had a higher quit rate (20 percent) than those who used NRTs
like patches or gum (10 percent) or those that did not use a cessation
aid (15 percent) (Ref. 180). These comments also asserted evidence that
e-cigarette use, at a minimum, leads to decreased cigarette use (e.g.,
Refs. 107, 181). One comment also noted that tribes use e-cigarettes as
an alternative to smoking and to promote cessation.
(Response) As we have stated throughout this document, we recognize
that there is emerging data that some individual smokers may
potentially use ENDS to transition away from combustible tobacco
products. For instance, prospective studies of varying duration
examining the efficacy of e-cigarettes as cessation devices suggest
their potential to decrease combustible cigarette use as well as
promote abstinence from combustible cigarettes (Refs. 107, 149, 182,
183, 184). Three randomized controlled clinical trials (Ref. 107, 149,
184) report that e-cigarettes may help some smokers to stop smoking.
The trial that compared e-cigarettes to nicotine replacement therapy
found verified abstinence in all experimental groups, but no
significant difference among e-cigarettes, placebo e-cigarettes (i.e.,
e-cigarettes with no nicotine), and nicotine patches in six-month
abstinence rates (Ref. 184). Achievement of abstinence was
substantially lower than the optimistic estimates on which the power
calculation and study sample size were based, and thus, the researchers
could conclude no more than that ``among smokers wanting to quit,
nicotine e-cigarettes might be as effective as patches for achieving
cessation at 6 months'' (id.). It is possible that longer term
prospective studies may--or may not--demonstrate statistically
significant cessation outcomes for e-cigarettes in relation to
conventional nicotine replacement therapies (id). It is noteworthy that
a third of the participants allocated to the e-cigarettes groups in
this study reported continued product use at 6 months, suggesting that
they might have become long-term e-cigarette users (id.). However, some
systematic reviews of available evidence indicate that there is
currently insufficient data to draw a conclusion about the efficacy of
e-cigarettes as a cessation device (Refs. 185, 186). The Cochrane
Collaboration's systematic review and meta-analysis assessed
approximately 600 scientific records to include two randomized
controlled trials and 11 cohort studies on e-cigarettes and smoking
cessation in their review (Ref. 186). As the Cochrane review judged
RCTs to be at low risk of bias, the investigators combined results from
two randomized controlled trials, totaling over 600 people, and
conducted a quantitative meta-analysis. Results indicated that using e-
cigarettes with nicotine was associated with increased smoking
cessation as compared with e-cigarettes without nicotine. Investigators
also found evidence that using e-cigarettes with nicotine also helped
more smokers reduce the amount they smoked by at least half compared to
e-cigarettes without nicotine. However, the authors cautioned that
``the small number of trials, low event rates and wide confidence
intervals around the estimates mean that our confidence in the result
is rated `low'.'' (Ref. 186) In addition, the authors observed that
``the overall quality of the evidence for our outcomes was rated `low'
or `very low' because of imprecision due to the small number of
trials'' (id.). Another meta-analysis of the same two trials of e-
cigarettes with and without nicotine found comparable results (Ref.
187). The authors also reported a pooled estimate of cessation among
nicotine e-cigarette users, but the lack of non-e-cigarette control
groups in the studies prevented them from comparing the efficacy of e-
cigarettes against no e-cigarette use and against standard
interventions for cessation, such as nicotine patches (id.).
An alternate systematic review and meta-analysis of approximately
600 scientific records to include 15 cohort studies, 3 cross-sectional
studies, and two clinical trials (one RCT, one non-RCT) examined the
association between e-cigarette use and cessation in observational
epidemiological studies and clinical trials; all 20 studies compared
smoking cessation rates for e-cigarette users against control groups of
smokers who did not use e-cigarettes (Ref. 112). This meta-analysis
found overall that odds of quitting cigarettes were on average 28
percent lower for smokers who used e-cigarettes than those who did not
(odds ratio = 0.72, with 95 percent confidence interval 0.57 to 0.91)
(Ref. 112). Of note, this meta-analysis included chiefly observational
studies whose control groups were not randomized, and included a wide
range of designs as well as variable exposures and outcome definitions
(id.). While some potential confounders were controlled for in most of
the studies, the investigators acknowledged that there may be other
unidentified confounders that could be a source of bias. This potential
bias as well as other limitations described may impact interpretability
of the overall findings (id.).
We also note that ENDS have not been approved as effective
cessation aids. FDA remains committed to supporting long-term
population-level research that will help fill in current data gaps.
(Comment 145) At least one comment suggested that FDA provide
physicians with guidelines about e-cigarette use, including its health
impact and efficacy as a cessation tool.
(Response) To the extent the comment is about ENDS products that
are drugs because they are marketed for cessation, an ENDS product
marketed for therapeutic purposes is a drug or device subject to FDA's
regulations and laws for those products.
(Comment 146) A few comments expressed concern that FDA
misrepresented certain studies in the NPRM and would not consider
research released since the issuance of the NPRM, particularly
regarding the effectiveness of e-cigarettes as a cessation tool.
(Response) FDA has considered the preliminary evidence regarding
the effectiveness of ENDS to help smokers quit or to reduce their
consumption of combusted tobacco products. There is some indication
that such products may have the potential to help some individual users
to quit using combusted tobacco products or to reduce their use of such
products, as reported by scientific literature describing a small
number of randomized controlled trials evaluating the impact of ENDS
use on smoking outcomes (Refs. 137, 148, 184) and pilot studies
evaluating ENDS use on smoking reduction and cessation (Refs. 182,
183). But other evidence is to the contrary. Beyond the meta-analysis
discussed in section V(B)(3), a year-long study of over 5,000 20-year-
old Swiss men found that, even after adjusting for nicotine dependence,
individuals who were smokers at the start of the study and who reported
e-cigarette use at the end of the study were more likely to still be
smoking and more likely to have made one or more unsuccessful quit
attempts at the end of the year than individuals who were smokers at
the start and who reported no e-cigarette use (Ref. 188). The most
important consideration is that ENDS are not an
[[Page 29038]]
FDA-approved cessation product. If an ENDS manufacturer wishes to make
a cessation claim or otherwise market its product for therapeutic
purposes, the company must submit an application for their ENDS to be
marketed as a medical product.
(Comment 147) Some comments expressed concern that e-cigarette
users are developing an addiction to nicotine while seeking to overcome
their smoking addiction and that the lack of regulation makes it
difficult for users to know the nicotine level that they need in their
e-cigarettes to overcome their addiction. They stated that for
cigarette smokers who are trying to replace their cigarette-derived
nicotine with e-cigarettes, ingredient listing and other requirements
are vital to ensure that users know how much nicotine they are
ingesting.
(Response) By deeming ENDS, FDA has ensured that these products are
now subject to requirements related to ingredient and HPHC reporting,
among other requirements. In addition, the registration and listing
requirements and premarket applications will provide FDA with vital
information as to the extent of ENDS use and how many ENDS products
consumers are using on a daily basis.
(Comment 148) Some comments perceived the newer generation of e-
cigarettes to be less addictive than combusted cigarettes and closer in
profile (including risk profile) to NRTs (Ref. 76). They noted the
limited number of significant adverse events resulting from e-cigarette
use and claimed that such adverse events are not distinguishable from
NRTs (Ref. 184). Some comments also believed that FDA should consider
the advantages that e-cigarettes have (as compared to NRTs) when
establishing the regulatory approach for these products, including the
fact that they offer appealing visual, tactile, and gestural
similarities to cigarettes, and that e-cigarettes provide quicker
nicotine delivery than NRTs (Ref. 189).
(Response) As we have stated throughout this document, we recognize
that individual smokers may report cessation benefits from ENDS and
that preliminary research outcomes from randomized controlled trials
indicate that ENDS may decrease some individuals' cigarette consumption
and promote cessation. However, the risk profile is likely to be
different as compared to NRTs, and the long-term risks associated with
chronic use of ENDS are unknown. Finally, contrary to ENDS, the
nicotine patch and other NRTs were found to be safe and effective by
FDA's CDER after reviewing premarket applications containing data and
information establishing safety and effectiveness. No ENDS has yet been
approved by CDER.
(Comment 149) Comments in support of limited or no regulation of e-
cigarettes stated that these products have a positive impact on the
public health at the population level. They cited online surveys and
convenience store data showing that most e-cigarette users do not use
additional tobacco products (see section VIII.H) and claimed that FDA
cherry-picked the evidence regarding dual use in the NPRM. They also
claimed FDA did not adequately assess the reduction in smoking that
would result from increased e-cigarette use and, as a result, the
Agency underestimated the potential positive impacts of e-cigarettes on
the public health at the population level.
(Response) Many provisions of the FD&C Act call for a population-
level public health analysis that takes into account the population as
a whole, including users and nonusers of tobacco products (e.g.,
section 906(d) of the FD&C Act). Even products that are less toxic than
combusted tobacco products on an individual user basis may increase
public health harms if, for example, they encourage nonusers to start
using tobacco products that can lead to lifelong nicotine addiction.
As we have stated throughout the document, FDA has examined data
regarding health harms generally associated with all of the categories
of tobacco products regulated under this rule (including ENDS, which
FDA recognizes may potentially provide cessation benefits to some
individual smokers). FDA is regulating these products in accordance
with this knowledge and will continue to regulate as we learn more
about the potential for product-specific health harms. FDA recognizes
that some ENDS users report that the products have the potential to
help individual users to quit smoking. However, FDA's responsibility is
to assess the population health impact of ENDS, including increasing
youth use, as well as the frequency of dual use of ENDS and combusted
tobacco products. FDA believes that data from long-term population
level studies, such as the PATH Study, will help to provide information
about the overall population health impacts of ENDS.
(Comment 150) Many comments provided personal stories and peer-
reviewed studies to illustrate the benefits of e-cigarettes as a
cessation product and to request that FDA treat this product category
differently based on where the product falls within the continuum of
nicotine delivering products. For example, they suggested that FDA
differentiate between substances that contain tobacco and those that
are derived from tobacco and provide a separate regulatory approach for
each product category.
Some comments also suggested that FDA tailor its regulatory
approach based on the type of electronic apparatus--e.g., advanced
refillable personal vaporizers (ARPVs) or open-system vapor products
versus ``cigalike'' products (ready for use products that look like
cigarettes and are sold in convenience stores). These comments believed
FDA should only deem ``cigalike'' products that are ready for
consumption, because they are easily accessible to youth and have been
associated with quality control issues (see section VIII.D). They noted
that ARPVs and other open systems are significantly more expensive than
``cigalike'' products and are only offered in vape or specialty shops.
They compared this to Option 1 (to deem all cigars) and Option 2 (to
deem all cigars except premium cigars) and suggested that FDA should
have provided similar options for regulating different e-cigarettes.
They also expressed the need for a different regulatory approach for
ARPVs because they provide users with the best opportunity to cease
using combusted tobacco products (Ref. 190). However, other comments
provided focus group research in which smokers rated cigalikes to be
significantly more satisfying than ARPVs and asked for a minimal
regulatory approach for cigalikes.
Further, some comments stated that it was not feasible to regulate
ARPVs. They stated that the wide varieties of e-liquids available at e-
cigarette retail establishments and the ability of users to customize
their experience, including by altering the product's voltage/wattage,
puff duration, coil resistance, cartridge/battery duration, and design
aesthetics, make oversight, application review, and other regulation
untenable.
Other comments stated that, instead of establishing a different
regulatory approach, FDA should ban ARPVs because there is greater risk
associated with their use and children may tamper with them. They
suggested that if FDA does not ban these products, FDA should require
the disclosure of all ingredients in e-liquids and other vaporized
nicotine products in both their pre-use and vapor states.
(Response) To the extent that comments are asserting that FDA
should not regulate ENDS or subject them to certain provisions, FDA
disagrees with these comments, especially given that
[[Page 29039]]
ENDS use among youth and young adults is increasing. Although recent
data on young adults and adults indicate that ENDS users are more
likely to be former cigarette smokers and current cigarette smokers who
have tried to quit (e.g., Ref. 24), there is still some use among adult
non-tobacco users, particularly among young adults. In addition, the
rapid increase in use among adolescents is concerning. FDA also remains
concerned that ARPVs present the risk of accidental nicotine poisoning.
In addition, researchers recently reported that the new generation of
high voltage ENDS may put users at increased risk of negative health
effects (Ref. 67) and that ARPVs have the potential for increased abuse
liability (e.g., Refs. 109, 132, 171). FDA will continue to monitor
research regarding the health effects of different types of ENDS and
may tailor the regulatory requirements accordingly.
(Comment 151) Some comments requested that FDA either exempt e-
cigarette products from the deeming regulation or strike the entire
proposal for e-cigarettes and replace it with what they considered a
more science-based approach or with rules that address good
manufacturing practices and consumer safety, given their potential for
use as cessation products.
(Response) FDA disagrees. This final deeming rule is a foundational
rule that will provide many public health benefits, as described in the
NPRM (79 FR 23142 at 23148 and 23149), and will provide FDA with
critical information about the health risks of ENDS and other newly
deemed products, including data from ingredient listing submissions and
reporting of HPHCs required under the FD&C Act. Also, once this rule
becomes effective, newly deemed products may be subject to additional
regulations. For example, FDA has the authority under section 906(e) of
the FD&C Act to issue a rule establishing tobacco product manufacturing
practices, and this authority applies to deemed products. FDA also has
the authority under section 907 of the FD&C Act to establish product
standards for deemed products, including requirements with respect to
packaging. The Agency issued an ANPRM prior to this deeming rule,
seeking comments, data, research, or other information that may inform
regulatory actions FDA might take with respect to nicotine exposure
warnings and the use of child-resistant packaging. In addition,
elsewhere in this issue of the Federal Register, FDA has made available
a draft guidance for public comment, which when final will describe
FDA's current thinking regarding some appropriate means of addressing
the premarket authorization requirements for newly deemed ENDS
products, including recommendations for nicotine exposure warnings and
child-resistant packaging that would help to support a showing that the
marketing of a product is appropriate for the protection of the public
health.
(Comment 152) Some comments stated that e-cigarettes should be
subject to little or no FDA regulation, because e-cigarettes inhibit
withdrawal symptoms in users with a history of relapse (Ref. 191) and
lead to reduction and cessation in asthmatic smokers (Ref. 107).
(Response) FDA disagrees. Although ENDS may potentially provide
cessation benefits to individual smokers, no ENDS have been approved as
effective cessation aids. If an ENDS manufacturer wishes to make a
cessation claim, the company must submit an application for their ENDS
to be marketed as a medical product.
G. Modified Risk Claims
In the NPRM, FDA noted that it expects public health benefits
through the application of section 911 of the FD&C Act to the newly
deemed tobacco products. Historically, certain users have initiated and
continued using certain tobacco products based on unauthorized modified
risk claims and consumers' unsubstantiated beliefs. Application of
section 911 will prohibit the introduction into interstate commerce of
MRTPs unless FDA issues an order permitting their marketing.
(Comment 153) A few comments expressed concern that imposition of
section 911 of the FD&C Act will force e-cigarette manufacturers to
implicitly lie by not permitting them to tell consumers that their
products are safer alternatives to conventional cigarettes, to
advertise that they do not contain tobacco, and to state that they are
``smoke free.'' They added that the public already overwhelmingly
believes that e-cigarettes are reduced risk products and, therefore,
the section 911 requirements are irrelevant (Refs. 178, 192). However,
other comments stated that manufacturers should be prohibited from
making cessation claims without providing scientific evidence to
support their efficacy as a cessation mechanism.
(Response) FDA disagrees with concerns that ENDS manufacturers will
not be able to make claims that properly represent their products.
Section 911 is one of the provisions of the statute that applies
automatically to deemed products. It was included in the FD&C Act to
protect consumers from manufacturers making invalid or unsubstantiated
claims, as many had done with respect to their designation of
cigarettes as ``light,'' ``low,'' or ``mild.'' The mistaken belief that
``light'' and ``low-tar'' cigarettes were safer than other cigarettes
prompted many smokers to switch to such products instead of quitting
altogether. Section 911 will prevent consumers from being similarly
misled by ensuring a manufacturer may not make unsubstantiated claims.
Manufacturers that have data to substantiate modified risk claims for a
particular product can submit an MRTP application so that FDA can
determine that the product meets the statutory standard and can issue
an order authorizing it to be marketed as an MRTP.
As Congress recognized,
[u]nless tobacco products that purport to reduce the risks to the
public of tobacco use actually reduce such risks, those products can
cause substantial harm to the public health to the extent that the
individuals, who would otherwise not consume tobacco products or
would consume such products less, use tobacco products purporting to
reduce risk. Those who use products sold or distributed as modified
risk products that do not in fact reduce risk, rather than quitting
or reducing their use of tobacco products, have a substantially
increased likelihood of suffering disability and premature death.
The costs to society of the widespread use of products sold or
distributed as modified risk products that do not in fact reduce
risk or that increase risk include thousands of unnecessary deaths
and injuries and huge costs to our health care system.
(section 2(37) of the Tobacco Control Act).
(Comment 154) Some comments believed that e-cigarettes should only
be authorized as MRTPs, rather than new tobacco products via the PMTA
or SE pathways, because that would allow them to meet the predominant
expectations of consumers.
(Response) FDA disagrees. The Tobacco Control Act requires all new
tobacco products, including MRTPs, to go through premarket review and
obtain a marketing authorization order via the PMTA, SE., or SE
exemption pathways. A manufacturer who wants to sell a product for use
to reduce harm or risk of tobacco-related disease can also obtain
authorization to market an MRTP if the manufacturer submits an
application under section 911 of the FD&C Act and FDA issues such an
order.
(Comment 155) A comment suggested that to address unauthorized
modified risk claims, we add the following language to the final rule:
No vapor product or alternative nicotine product shall be considered to
be ``sold or
[[Page 29040]]
distributed for use to reduce harm or the risk of tobacco-related
disease associated with commercially marketed tobacco products'' solely
because its label, labeling, or advertising uses the following phrases
to describe such product and its use: ``not consumed by smoking,''
``does not produce smoke,'' ``smokefree,'' ``without smoke,'' ``no
smoke,'' or ``not smoke.''
(Response) Section 911 of the FD&C Act requires FDA to assess MRTP
claims for specific products. Therefore, FDA will evaluate products on
a case-by-case basis to determine whether they are ``sold or
distributed for use to reduce harm or the risk of tobacco-related
disease associated with commercially marketed tobacco product'' as
stated in section 911. However, we note that e-cigarettes and similar
ENDS products are not ``smokeless'' products, as the user is inhaling
constituents (which are different from a smokeless tobacco product, as
defined in the Tobacco Control Act). In addition, FDA is aware that
some ENDS might heat their product to a level high enough to cause
combustion.
(Comment 156) Many comments stated that the NPRM may promote
conventional tobacco use because e-cigarette manufacturers will be
unable to inform smokers that their products are safer alternatives or
that they do not contain tobacco. They believed the NPRM weakens the
impact that the e-cigarette industry might otherwise exert on the
tobacco industry.
(Response) FDA disagrees. First, this final rule does not prohibit
ENDS manufacturers from making claims that they are safer than
conventional tobacco products if they can provide evidence to satisfy
the requirements and obtain marketing authorization from FDA under
section 911 of the FD&C Act. Second, FDA believes that ENDS could serve
as alternatives to combusted tobacco products.
H. Dual and Polytobacco Use
In the NPRM, FDA noted its concerns that adult consumers may use
one or more of the proposed deemed products in conjunction with
cigarettes or other tobacco products. FDA also noted that studies
suggest that some noncigarette tobacco users may go on to become
addicted cigarette smokers (79 FR 23142 at 23159).
It is also recognized that some dual users of ENDS and cigarettes
may be transitioning away from combustible tobacco use and that such
transient periods of dual use may not present greater health risks than
that observed during sole use of combustible tobacco. In a peer-
reviewed study published recently in Cancer Prevention Research,
investigators evaluated users of a single brand of ``cig-a-like'' ENDS
and found that both cigarette smokers who switched to using the
evaluated ENDS products and those who switched to dual use of the
evaluated ENDS and cigarettes all demonstrated significant reductions
in exposure to carbon monoxide and the toxicant acrolein (Ref. 194).
(Comment 157) Many comments expressed concern that the rate of dual
use of e-cigarettes and combusted tobacco products is high,
particularly among middle and high school students (Ref. 16). They
stated that adolescents do not use e-cigarettes as cessation aids but
rather use them in conjunction with conventional cigarettes (Ref. 193;
see Ref. 194). They also indicated that this dual use and the fact that
youth who experiment with e-cigarettes are 7.7 times more likely to
become established smokers than those who do not experiment (Ref. 116)
suggest that e-cigarette use leads to increased use of combusted
tobacco products. However, they noted that we need long-term studies
like FDA's PATH Study to confirm that assertion. Some comments also
stated that cigarette smokers who use a second tobacco product even
occasionally are at higher risk for continued tobacco use (Ref. 195).
Other comments believed that dual use should not be a concern,
generally relying upon an Internet study of more than 19,000 e-
cigarette users in which dual users had decreased from 20 to 4
cigarettes per day by the end of the study (Ref. 109). Some comments
also expressed the belief that, because clinical studies show that e-
cigarettes deliver only modest concentrations of nicotine to novice e-
cigarettes users (Ref. 196), this would also be the case for nonsmoking
youth and young adults and, therefore, would make the possibility of
addiction less likely. Others argued that advanced e-cigarette products
deliver nicotine more effectively, making adult consumers less likely
to dual use or revert back to smoking. In addition, they claimed that
if e-cigarettes were acting as a gateway to cigarette use, the current
increase in e-cigarette use would lead to a corresponding increase in
youth cigarette use (which has not occurred). In fact, they said an
overlap of combusted tobacco and e-cigarette use is necessary if a
tobacco user begins e-cigarette use to transition away from combusted
tobacco consumption.
(Response) FDA is aware of dual use of ENDS and combusted tobacco
products and is concerned about the potential impact of this practice
on nicotine addiction and cessation. FDA also is concerned because this
dual and polytobacco use pattern appears to be common among adolescents
and young adults (Ref. 197). However, recent CDC NCHS data on young
adult and adult use patterns of e-cigarettes indicate that former
smokers and current smokers trying to quit are more likely to use e-
cigarettes than former smokers who quit smoking more than 1 year ago
and those who had never smoked (Ref. 24). These results indicate that
dual use of tobacco may also be present during the transitional phase
when smokers of combusted tobacco products are attempting to quit,
which is also supported by personal stories included in the comments.
In addition, the largest study to date in the EU found that e-cigarette
use was more likely among smokers who had made a quit attempt during
the past year as compared to those who never smoked (Ref. 109).
Other studies illustrate that current or former smokers have tried
e-cigarettes not intending to quit tobacco use, but instead, because
they are ``Easy to use when I can't smoke'' (Ref. 198) or can be used
in places where conventional tobacco use is not allowed (Ref. 199). FDA
remains committed to supporting long-term population-level research,
such as the PATH Study, that will help elucidate reasons for and
patterns in tobacco initiation, product switching, and dual use across
the spectrum of tobacco products on the U.S. market, including ENDS and
conventional cigarettes.
(Comment 158) Many comments noted that almost all e-cigarettes
contain nicotine (Ref. 192). This nicotine delivery varies within and
across brands (Refs. 200, 201) and by the user's level of experience
with these products (e.g., Ref. 202). While many comments expressed
minimal concerns about abuse liability of e-cigarettes, believing that
users will eventually switch entirely to e-cigarettes, others expressed
the belief that long-term use of e-cigarettes may lead to addiction in
youth and young adults.
(Response) FDA shares similar concerns that youth may initiate
tobacco use with ENDS, become addicted, and then dual use or move on to
traditional tobacco products. FDA discussed available data regarding
dual and polytobacco use in the NPRM and is unaware of long-term
studies finding that dual or polytobacco users eventually switch to
using just one tobacco product (79 FR 23142 at 23159 and 23160).
However, findings from a recent study of 694 participants aged 16 to 26
years old suggest that youth e-cigarette users might transition to
[[Page 29041]]
smoking traditional cigarettes (Ref. 203). Therefore, FDA remains
concerned that youth may use one of the newly deemed products, whether
it be an ENDS or any other tobacco product, and dual use with other
tobacco products in the future.
(Comment 159) Some comments urged FDA to evaluate e-cigarettes
based on their scientific merit and contribution to public health. At
least one comment felt that certain researchers in the tobacco field
were biased based on their connections to public health advocates or
what the comment refers to as ``big tobacco companies.'' Some comments
stated that FDA only considered journal articles when it should have
considered other available information.
(Response) FDA uses the best evidence available from peer reviewed
journals and other reputable sources to support this rule and fulfill
our public health mandate. In the context of rulemaking, FDA follows
the requirements of Executive Orders 12866 and 13563 by basing its
decisions ``on the best reasonably obtainable scientific, technical,
economic and other information.'' As stated in the NPRM, we will
continue to fund research to help us determine the public health
impacts of ENDS. Long-term studies are not available to conclude that
ENDS are a proven cessation product or to establish what effect e-
cigarettes have on users who might otherwise quit but instead engage in
dual use of ENDS and other tobacco products (79 FR 23142 at 23152).
I. Applicability of Section 901
In the preamble to the NPRM, FDA stated that the rule applies to
all products that meet the definition of ``tobacco product'' under
section 201(rr) of the FD&C Act and any future products that meet the
definition. FDA stated that e-cigarettes meet the definition of
``tobacco product.''
(Comment 160) Many comments seeking to exclude e-cigarette products
from the scope of the deeming rule stated that Congress only meant for
FDA to regulate products with the greatest threat (i.e., cigarettes and
smokeless tobacco products). They stated that regulating all tobacco
products as strictly as cigarettes are regulated is not warranted and
that the rigid application of the Tobacco Control Act is not consistent
with public health objectives.
(Response) FDA disagrees. Congress gave FDA immediate authority
over certain tobacco products (i.e., cigarettes, smokeless tobacco,
cigarette tobacco, and roll-your-own tobacco) and the authority to deem
other products (including ENDS and other products that meet the
statutory definition of ``tobacco product''). All tobacco products,
regardless of the category of products, pose a health risk. Further, at
this time, only some of the restrictions in part 1140 (which, prior to
the rule, applied only to cigarettes and smokeless tobacco) will apply
to the newly deemed products. Specifically, while the minimum age and
identification, vending machine, and free sample provisions will apply
to the newly deemed products, additional provisions in part 1140
(including minimum pack size and restrictions on self-service displays,
sale and distribution of nontobacco items, and sponsorship of events)
will not apply to the newly deemed products at this time.
(Comment 161) Many comments expressed concern that Congress did not
wish to effectively ban e-cigarettes (as they claimed would occur as a
result of deeming these products), because such a ban violates section
907(d)(3) of the FD&C Act. They stated that if Congress wanted to ban
them, they would have done so under their drug authority.
(Response) FDA is not banning any category of tobacco product by
issuing this final deeming rule.
(Comment 162) Many comments claimed that Congress did not intend
for FDA to strictly apply the Tobacco Control Act requirements to all
newly deemed products, especially those that do not contain tobacco
leaf. They believed because e-liquids do not contain tobacco leaf, such
products should be regulated differently than cigarettes and
traditional smokeless tobacco products.
(Response) With this rule, FDA is deeming all products that meet
the definition of ``tobacco product,'' including e-liquids, to be
subject to the tobacco product authorities in chapter IX of the FD&C
Act, to address the public health concerns associated with them. The
FD&C Act does not include any requirement that a product contain
``tobacco leaf'' to meet the definition of ``tobacco product'' and be
deemed under this final rule. As stated previously, FDA is not
requiring that ENDS and the other newly deemed products comply with all
of the requirements of part 1140 at this time.
(Comment 163) Some comments suggested that we need more
toxicological, epidemiological, and behavioral studies before deeming
e-cigarettes under section 901. Other comments stated that FDA must
regulate e-cigarettes despite not having the level of scientific
evidence that is available for most conventional tobacco products.
(Response) FDA continues to research and fund studies regarding
ENDS initiation, use (including transitions to other tobacco products
and multiple use), perceptions, dependence, and toxicity (Ref. 195).
FDA also has been conducting a series of public workshops to obtain
additional information on e-cigarettes and their impact on public
health (79 FR 55815). These workshops are not necessary to inform this
deeming rule; however, they may inform FDA's development of future
rules impacting ENDS. Any additional regulations regarding ENDS will be
subject to the requirements of the APA.
(Comment 164) Some comments sought clarification as to FDA's
authority over e-liquids that do not contain nicotine or other
chemicals derived from tobacco plants and those e-liquids that contain
nicotine derived from a nontobacco source (e.g., eggplants or
tomatoes). Others claimed that FDA does not have regulatory authority
over e-cigarettes that are refillable and do not contain nicotine, but
does have authority over e-liquids if the liquid contains nicotine.
Yet, some said that e-liquids used in e-cigarettes should have an
entirely new classification, because use of the words ``tobacco
product'' in marketing materials would cause undue confusion for
consumers.
(Response) As stated in section 201(rr) of the FD&C Act, the
definition of ``tobacco product'' includes any product made or derived
from tobacco, including any component, part, or accessory of a tobacco
product. An e-liquid made or derived from tobacco meets this definition
and, therefore, is subject to FDA's chapter IX authorities. E-liquids
that do not contain nicotine or other substances derived from tobacco
may still be components or parts and, therefore, subject to FDA's
tobacco control authorities, if they are an assembly of materials
intended or reasonably expected to be used with or for the human
consumption of a tobacco product and do not meet the definition of
accessory.
(Comment 165) Some comments tried to compare pipes and rolling
papers (which are required to smoke tobacco) with e-cigarettes (which
are required to ``vape'' e-liquids), stating that e-cigarettes should
not be regulated. They indicated that, unlike rolling paper which is
``intended for human consumption'' and therefore a tobacco product
component, a pipe is ``non-consumable'' and should not be considered a
tobacco product component. They said that, like pipes, e-cigarettes are
``non-consumable products'' and, therefore, are not
[[Page 29042]]
components or parts of tobacco products and not subject to regulation.
They also stated that only the e-liquid is the consumable product and
should be the only part of the e-cigarette subject to regulation.
(Response) The definition of ``tobacco product'' as set forth in
section 201(rr) of the FD&C Act includes all components, parts, and
accessories of tobacco products (except for raw materials other than
tobacco used in manufacturing a component, part, or accessory of a
tobacco product). FDA interprets components and parts of a tobacco
product to include any assembly of materials intended or reasonably
expected: (1) To alter or affect the tobacco product's performance,
composition, constituents or characteristics; or (2) to be used with or
for the human consumption of a tobacco product. Both e-cigarettes and
pipes meet this definition. Thus, such products are subject to FDA's
chapter IX authorities as a result of this rule.
(Comment 166) Many comments stated that FDA lacks any type of
meaningful justification for deeming e-cigarettes because e-cigarettes
do not represent the same level of public health threat as cigarettes.
They claimed that FDA has the burden of showing a rational basis for
regulation and that the lack of data showing that these products do not
cause harm cannot serve as a basis for regulating them. In addition,
some comments stated that FDA has no justification for regulating
products simply because they may deliver nicotine. They likened such
authority to imposing onerous regulations on caffeine, another plant-
derived chemical.
(Response) FDA disagrees. FDA is deeming these products to address
public health concerns (79 FR 23142 at 23148 and 23149). ENDS are
tobacco products. As stated throughout this document, FDA has
determined that deeming all products meeting the statutory definition
of ``tobacco product'' will significantly benefit public health. We
also note that by merely deeming ENDS to be tobacco products, FDA is
not imposing the same level of regulation as is currently imposed on
cigarettes. For example, restrictions on self-service displays, sale
and distribution of nontobacco items, and sponsorship of events will
not apply to ENDS at this time. FDA will consider the health effects of
all products before determining whether to issue additional
regulations.
(Comment 167) Many comments stated that the NPRM would ban
virtually all of the e-liquid products and premium vaporizers
(including mods, tanks, and open systems) and other components or parts
because manufacturers of such products would not have adequate
resources to comply with the requirements of the law.
(Response) FDA disagrees. FDA is not banning any tobacco product
under this final rule. Rather, FDA is extending its authority to
regulate such products under section 901 of the FD&C Act. Manufacturers
of ENDS products were on notice that they could be considered FDA-
regulated tobacco products since the enactment of the Tobacco Control
Act and the issuance of the Sottera decision shortly thereafter. See
section VIII.K for additional discussion regarding the Sottera case.
Therefore, FDA disagrees with any comments referring to this rule as
banning any categories of tobacco products.
(Comment 168) Some comments stated that FDA does not have the
authority to regulate the ingredients that can be used in e-liquids.
(Response) FDA clarifies that, although it will not be directly
regulating the individual ingredients in e-liquids at this time,
sections 905 and 910 of the FD&C Act give FDA authority to review and
consider ingredients in making determinations on SE reports and PMTAs
(i.e., the Agency will look at ingredients within a specific e-liquid
and determine whether the overall tobacco product meets the statutory
standard for marketing authorization). In addition, section 904
requires manufacturers to submit a listing of all ingredients added by
the manufacturer to the tobacco, paper, filter, or other part of each
tobacco product by brand and by quantity in each brand and subbrand,
and section 915 of the FD&C Act authorizes FDA to issue a regulation to
require that ``tobacco product manufacturers, packagers, or importers
make disclosures relating to the results of the testing of tar and
nicotine through labels or advertising or other appropriate means, and
make disclosures regarding the results of the testing of other
constituents, including smoke constituents, ingredients, or additives,
that the Secretary determines should be disclosed to the public to
protect the public health and will not mislead consumers about the risk
of tobacco-related disease'' (emphasis added).
(Comment 169) A few comments noted the differences among products
in the ENDS category in contrast to the relatively uniform category of
combusted tobacco products. Given these differences and the rapid cycle
of innovation and product development for ENDS products, they stated
that FDA cannot use the Tobacco Control Act framework to regulate them.
(Response) FDA agrees that there are many differences among the
products in the ENDS category. However, there are many differences
among combusted tobacco products as well. For example, many cigars are
wrapped in whole tobacco leaf, whereas cigarettes are not. Waterpipe
tobacco is consumed in a manner very different from the consumption of
cigarettes and cigars. The differences among these products do not
affect the Agency's ability to regulate them in accordance with the
requirements of the Tobacco Control Act.
J. Definitions
Several comments suggested that we add definitions specific to e-
cigarettes and their components and parts. Comments stressed the
importance of defining terms broadly enough to ensure all manufacturers
of the finished products or components and parts of the finished
products are covered by the definitions.
(Comment 170) Some comments suggested that FDA clearly identify
nomenclature and constituents of ENDS products because ENDS is a much
broader category than e-cigarettes. Similarly, some comments stated
that not defining these products would fail to address the exploding
market of e-cigarettes and their e-cigarette components and parts. They
also stated that an ENDS definition is necessary so State and local
governments can use consistent definitions.
(Response) FDA agrees that there is an expanding market of tobacco
products that meet the FD&C Act definition of ``tobacco products.''
However, FDA does not believe it is necessary to define individual
categories of tobacco products for purposes of this rule. In fact, by
deeming ``tobacco products'' generally, it will help ensure that novel
and future tobacco products are introduced into the market in an
appropriate and efficient manner. FDA may issue specific definitions at
a later time if it determines that doing so is appropriate.
(Comment 171) At least one comment recommended that we establish a
definition of ``vapor product'' and define it as ``any noncombustible
tobacco-derived product containing nicotine that employs a heating
element, power source, electronic circuit, or other electronic,
chemical or mechanical means, regardless of shape or size, including
any component thereof, that can be used to produce vapor from nicotine
in a solution or other form.'' The comment stated that
[[Page 29043]]
several States have adopted variations of this definition and that it
would provide necessary clarity.
Likewise, at least one comment suggested that we establish a
definition of ``alternative nicotine product,'' which would be defined
as ``any noncombustible tobacco-derived product containing nicotine
that is intended for human consumption, whether chewed, absorbed,
dissolved or ingested by any other means.'' The comment stated that
several States have adopted variations of this definition and that it
would provide necessary clarity.
(Response) For the reasons explained previously, FDA finds that it
is not necessary to add these definitions to the codified for this
final rule.
(Comment 172) A few comments suggested that FDA clarify the
differences between ``liquid nicotine'' and ``e-cigarette liquid (or e-
liquid).'' They noted that, throughout the NPRM, FDA referred to the
liquid component of e-cigarettes as ``e-cigarette liquid,'' which
contains nicotine, flavorings, and other ingredients. However, in a few
instances, FDA referred to ``nicotine solutions'' or ``nicotine
liquids.'' They asked that we clarify the difference to avoid confusion
and unintended coverage under chapter IX of the FD&C Act.
(Response) FDA agrees that clarification is necessary. Liquid
nicotine does not have flavorings or other ingredients added to it. E-
cigarette liquid (or ``e-liquid'') is a liquid containing nicotine,
flavorings, and/or other ingredients. This final rule regulates e-
liquid and liquid nicotine that is made or derived from tobacco.
(Comment 173) Some comments requested that FDA refer to ENDS
products as vapor products and use definitions that differentiate
between the products that use combustion and those that use
vaporization. They stated that this distinction is necessary because
the potential harms posed by these products are different and consumers
may believe that vapor products are as dangerous as combusted smoking
products. One comment provided an example as to how to recategorize
tobacco products based on their delivery method and combustion. Another
comment requested that FDA add ``combustion'' to the current definition
of cigarette to differentiate between combusted and vaporized products.
(Response) For purposes of this deeming regulation, FDA does not
believe it is necessary to distinguish between vapor products and
combusted products. The statutory definition of ``cigarette'' was
established by Congress and describes conventional cigarettes (section
900(3) of the FD&C Act). If FDA finds reason to differentiate between
the combusted and vaporized products for the purpose of future
regulations, FDA will issue a new NPRM to propose such definitions. In
addition, FDA is aware that some e-cigarettes are heated to a high
enough level to cause combustion of the e-liquid.
(Comment 174) At least one comment suggested that FDA alleviate any
potential confusion between conventional cigarettes and e-cigarettes by
adding a third subsection to the proposed definition of ``cigarette''
to read as follows: `` `Cigarette' (1) Means a product that: (i) Is a
tobacco product and (ii) meets the definition of the term ``cigarette''
in section 3(1) of the Federal Cigarette Labeling and Advertising Act;
(2) includes tobacco, in any form, that is functional in the product,
which, because of its appearance, the type of tobacco used in the
filler, or its packaging and labeling, is likely to be offered to, or
purchased by, consumers as a cigarette or as roll-your-own tobacco; and
(3) does not include a product such as nicotine [or products containing
nicotine] that is derived from tobacco but does not contain tobacco.''
(Response) FDA finds that this addition to the cigarette definition
is unnecessary to prevent confusion between the two product categories.
The definition of ``cigarette'' in Sec. 1140.3 of this final rule
conforms to the definition in section 900(3) of the FD&C Act.
(Comment 175) One comment requested that FDA establish one common
name for all vapor products, so the manufacturers, distributers,
importers, and retailers of these products can comply with section
903(a)(4) of the FD&C Act, which requires that the manufacturer include
an established name on the product labeling.
(Response) At this time, FDA has not established a common
nomenclature for this group of products. FDA will consider these
comments in determining whether future regulatory action is
appropriate.
K. Sottera Decision
In the NPRM, FDA explained that, as set forth in the Sottera
decision, e-cigarettes that are ``customarily marketed'' are tobacco
products over which the Agency cannot exercise its tobacco product
authority until it finalizes a regulation that deems them to be subject
to chapter IX of the FD&C Act.
(Comment 176) Some comments provided analysis of the D.C. Circuit's
decision in Sottera, Inc. v. Food and Drug Administration, 627 F.3d 891
(D.C. Cir. 2010), which formed part of the basis for FDA's decision to
deem ``tobacco products'' subject to FDA's tobacco product authorities.
They took issue with FDA's description of the key points of the case,
stating that FDA is misreading the holding of Sottera to conclude that
the court there held that FDA has jurisdiction over e-cigarettes as
tobacco products because that question was not presented in the case.
(Response) FDA's analysis of the Sottera decision in the proposed
deeming rule (79 FR 23142 at 23149 and 23150) was correct. On December
7, 2010, the D.C. Circuit held that FDA has the authority to regulate
customarily marketed tobacco products under the Tobacco Control Act and
products made or derived from tobacco that are marketed for a
therapeutic purpose under the medical product provisions of the FD&C
Act. (See Sottera, Inc. v. Food & Drug Administration, 627 F.3d 891
(D.C. Cir. 2010).) On January 24, 2011, the D.C. Circuit denied the
government's petitions for rehearing and rehearing en banc (by the full
court). (See Sottera, Inc. v. FDA, No. 10-5032 (D.C. Cir. Jan. 24,
2011) (per curiam).) On April 25, 2011, FDA issued a letter to
stakeholders indicating its intent to deem additional tobacco products,
including e-cigarettes, to be subject to FDA's authorities in chapter
IX of the FD&C Act.
(Comment 177) A few comments claimed that FDA had attempted to ban
e-cigarettes, the Sottera decision established the legality of e-
cigarettes, and FDA's purported ban was unlawful.
(Response) FDA disagrees. Prior to the Sottera case, FDA did not
seek to ban e-cigarettes. Instead, FDA had detained several shipments
of e-cigarettes and their accessories offered for import by Smoking
Everywhere and Sottera, Inc. (doing business as NJOY) and eventually
refused admission into the United States to two of Smoking Everywhere's
shipments on the ground that the products appeared to be unapproved
drug/device combination products. FDA did not attempt to categorically
ban e-cigarettes for sale in the United States but, instead, sought to
regulate them under its drug/device authorities.
(Comment 178) A few comments stated that manufacturers are
marketing e-cigarettes as cessation products and, therefore, they
should be regulated as cessation products.
(Response) As stated in the D.C. Circuit's decision in Sottera, e-
cigarettes that are customarily marketed tobacco products are subject
to FDA's tobacco product authorities. If an e-cigarette
[[Page 29044]]
manufacturer wishes to market its product for a therapeutic purpose,
the company would be subject to FDA's drug/device authorities and must
submit an application to be marketed as a medical product.
IX. Effect of Deeming Rule on Vape Shop Manufacturers
Some comments requested clarification regarding the regulatory
status of an ENDS retail establishment that sells e-liquids (sometimes
known as a vape shop). Such establishments sell a variety of products
including ENDS, replacement pieces, hardware, custom mixed e-liquids,
and other related accessories.
If an establishment mixes or prepares e-liquids or creates or
modifies aerosolizing apparatus for direct sale to consumers for use in
ENDS, the establishment fits within the definition of ``tobacco product
manufacturer'' in section 900(20) of the FD&C Act and the combinations
it mixes and/or prepares are new tobacco products within the meaning of
section 910(a)(1). For requirements not covered by the compliance
policy set forth in this section, ENDS retail establishments that meet
the definition of a manufacturer should refer to the compliance periods
in tables 2 and 3. As discussed in the Analysis of Impacts (Ref. 204),
FDA expects that most vape shops will stop mixing e-liquids (and
preparing other new tobacco products) to avoid being ``manufacturers''
under the Tobacco Control Act.
The definition of ``tobacco product manufacturer'' in section
900(20) includes ``any person, including any repacker or relabeler, who
manufactures, fabricates, assembles, processes, or labels a tobacco
product.'' Additionally, for purposes of section 905, the FD&C Act
defines ``manufacturing, preparation, compounding, or processing'' to
include ``repackaging, or otherwise changing the container, wrapper or
labeling of any tobacco product package from the original place of
manufacture to the person who makes the final delivery or sale to the
ultimate consumer or user.'' Section 910(a)(1) defines a ``new tobacco
product'' as ``any tobacco product (including those products in test
markets) that was not commercially marketed in the United States as of
February 15, 2007; or any modification (including a change in design,
any component, any part, or any constituent, including a smoke
constituent, or in the content, delivery or form of nicotine, or any
other additive or ingredient) of a tobacco product where the modified
product was commercially marketed in the United States after February
15, 2007.'' Therefore, establishments engaged in mixing or preparing e-
liquids or creating or modifying aerosolizing apparatus for direct sale
to consumers for use in ENDS are tobacco product manufacturers and,
consequently, are subject to all of the statutory and regulatory
requirements applicable to manufacturers.
The statute authorizes FDA to regulate the manufacture of all new
products, including those manufactured at the retail level. This is
important to FDA's ability to protect the public health since products
manufactured at the retail level pose many of the same public health
risks as those manufactured upstream and possibly additional risks
related to the lack of standard manufacturing practices and controls.
The introduction of statutory controls and oversight into a
historically unregulated market inevitably will lead to some market
change and consolidation. FDA recognizes that, with the implementation
of this final rule, vape shops that meet the definition of tobacco
product manufacturer may cease engaging in manufacturing activities
rather than comply with requirements for manufacturers under this final
rule. However, FDA notes that such entities will have the option to
continue operating solely as retailers, as some vape shops currently
do. In addition, as noted earlier, FDA believes that this policy (and
the deeming rule as a whole) will not stifle innovation but could,
instead, encourage it. Over time, FDA expects that its premarket review
authorities will spur creative evolution and help to create a market
where available products present a lower risk of user and population
harm, provide a more consistent delivery under varying conditions of
use, are less likely to lead to initiation of tobacco use, and/or are
easier to quit. In recent years, ENDS products have proliferated in the
absence of regulation, in some cases resulting in a lack of quality
control and consistency, consumer confusion and even availability of
acutely toxic products. In this context, we expect that changes in the
market in response to regulation will have significant benefits for
public health and will be a net benefit overall.
As the ENDS market continues to evolve, it is important that FDA
exercise its authority to oversee all establishments engaged in
manufacturing activities and their products, in order to protect
consumers and to carry out the public health objectives of the Tobacco
Control Act.
A. Premarket Requirements (Sections 905 and 910)
As stated throughout the document, manufacturers of newly deemed
products that are not grandfathered will be required to obtain
premarket authorization of their products through one of three
pathways--PMTA, SE or SE exemption (sections 905 and 910 of the FD&C
Act). Therefore, ENDS retailers engaged in mixing or preparing e-
liquids or creating or modifying aerosolizing apparatus will be
required to obtain premarket authorization for each non-grandfathered
product that they prepare for sale or distribution to consumers.
However, under the compliance policy laid out in section V.A, FDA does
not intend to enforce, during specified compliance periods, the
premarket review requirements including for ENDS retailers that mix or
prepare the same e-liquids they have been preparing and offering for
sale as of the effective daterule, or that create or modify
aerosolizing apparatus resulting in the same products they have been
creating as of the effective date. An initial compliance period, the
length of which is dependent on the type of application to be
submitted, is intended to provide additional time to prepare and submit
premarket applications. In addition, for the 12 months following this
initial compliance period, FDA intends to continue the compliance
policy and does not intend to enforce the premarket review requirements
if the firm has a pending submission. This means that, during this 12-
month continued compliance period of FDA review, FDA expects that ENDS
retailers of any kind will sell only those products that are (1)
grandfathered; (2) authorized by FDA; or (3) tobacco products for which
the ENDS retailer or another (upstream) manufacturer has submitted a
marketing application/submission to FDA during the initial compliance
period. (For PMTAs, the initial compliance period to submit is 24
months after the final rule effective date.)
FDA expects that this 12-month continued compliance period of FDA
review will benefit manufacturers and retailers of newly deemed
products, including ENDS retailers, since upstream manufacturers that
submit applications will have a significant incentive to make retailers
aware of their pending applications/submissions. Specifically, we
expect that upstream manufacturer suppliers will inform ENDS retailers
selling their products whether the upstream manufacturer has submitted
a premarket application for such e-liquids and other ENDS products
[[Page 29045]]
within the initial compliance period such that the retailers can
benefit from the continued compliance period while FDA reviews such
applications. FDA expects that manufacturers will have an incentive to
make retailers aware of which products are the subject of applications,
which will enable retailers to know whether a marketing application has
been submitted and whether FDA has acted on an application. In
addition, retailers may contact suppliers for relevant product
information. Therefore, after 36 months from the effective date (i.e.,
at the end of the initial compliance period plus 12-month continued
compliance period), FDA expects that all ENDS retailers will sell only
those products that are either grandfathered or for which they have, or
an upstream supplier has, received premarket authorization.
Table 4--Compliance Policy for Premarket Requirements--ENDS Retail
Establishments
------------------------------------------------------------------------
24-36 months after Beyond 36 months
0-24 months after the rule the rule goes into after the rule goes
goes into effect effect into effect
------------------------------------------------------------------------
FDA does not intend to FDA does not intend The compliance
enforce premarket to initiate period no longer
authorization requirements enforcement action applies, even if
for e-liquid products that for e-liquid the final mixture
retailers mix and sell products that has a pending
without marketing retailers mix and marketing
authorization, provided sell where a submission/
that final mixture is the marketing application. All
same as a product the application has products for which
retailer was selling or been submitted and a marketing
offered for sale as of the is still pending submission/
effective date. for the final application is
mixture. pending are subject
to enforcement
action.
------------------------------------------------------------------------
As stated previously, because products manufactured at the retail
level pose many of the same public health risks as those manufactured
upstream, and possibly additional risks, it is important to enforce the
statutory requirements for all new products, even those currently
manufactured by ENDS retailers.
In general, the FD&C Act provides three pathways that manufacturers
may use to seek market authorization for a new product: The premarket
tobacco product application pathway, the SE pathway, and the exemption
from SE pathway. FDA anticipates that most manufacturers of e-liquids
and apparatus components/complete delivery systems will seek
authorization through the PMTA pathway. To obtain marketing
authorization under the PMTA pathway, manufacturers are required to
establish, among other things, that permitting their product to be
marketed would be appropriate for the protection of the public health.
In establishing this, manufacturers should take into account, and FDA
will consider, the ways in which the new product is likely to be used.
For example, PMTAs for these products should contain information on
whether the product is likely to be used alone or together with other
legally marketed tobacco products (such as available delivery systems),
as well as the type and range of the other products with which it is
likely to be used.
While the statutory standard will apply to all products for which a
PMTA is filed, FDA expects that different classes of products may have
differing likelihoods of success in meeting the standard, by virtue of
their expected use. As stated previously, to meet the statutory
standard, PMTAs should contain information on whether a product is
likely to be used alone or together with other legally marketed
products and the public health implications of those likely uses. FDA
has issued a draft guidance on PMTAs for ENDS, published concurrently
with this final rule, which, when finalized, will explain FDA's current
thinking regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed e-liquids and hardware/
apparatus components. FDA intends to act as expeditiously as possible
with respect to all new applications, while ensuring that statutory
standards are met.
To reduce research burdens and increase efficiency for ENDS retail
establishments that file applications, FDA suggests that ENDS retail
establishments use master files whenever possible. By obtaining
permission from a master file holder, manufacturers could reference
extensive ingredients lists and constituent testing that they otherwise
would be required to perform themselves for marketing authorization. To
facilitate this process, elsewhere in this issue of the Federal
Register, FDA is announcing the availability of a final guidance to
provide information on how to establish and reference a TPMF. This
information will help applicants of newly deemed products prepare
premarket and other regulatory submissions because they can reference
information in TPMFs rather than develop the information on their own.
Given the anticipated availability and use of master files (as
discussed in a separate, final guidance published concurrent with
Deeming), which allows manufacturers to rely on the data and analysis
submitted to FDA by separate entities, FDA anticipates that
manufacturers will, over time, benefit from significantly increased
efficiencies and reduced costs for complying with the statute. Such a
system prevents and reduces duplication and allows for manufacturer
reliance on confidential or sensitive non-public information while
maintaining its confidentiality, thus saving time and reducing burdens
for multiple manufacturers. Because of the nature of upstream supply of
many components for ENDS products, especially e-liquids, FDA
anticipates that commercial incentives will be sufficient to drive
manufacturer reliance on the system of master files. We also note that
at present, FDA understands that, based on the Agency's review of
publically available information as discussed in section III.C of the
Analysis of Impacts (Ref. 204), the number of entities engaged in
upstream production of liquid nicotine and flavors specifically
developed for use with e-liquids is small, in the range of seven to
thirteen entities (see earlier discussion in response to comment 34).
Given the current marketplace, the master file system is likely to
prove widely appealing and widely utilized by the ENDS industry,
reducing burden significantly.
In addition, FDA intends to open public dockets for uniquely
identified compounds likely to be used in an e-liquid product, such as
propylene glycol, glycerin, nicotine, colorants, and flavoring agents.
FDA intends to invite stakeholders to submit to the docket information
regarding specific compounds, including data, studies, or other files,
such as data on individual health effects of inhalation exposure,
animal study data examining exposure to varying levels of compounds
within e-liquids, or testing the impact of temperature on changes to
the aerosol constituents. This information could
[[Page 29046]]
then be used to help support applications for premarket review, for
example, generating information on HPHCs in ENDS products that is then
submitted as part of a PMTA.
B. Ingredient Listing and HPHC Requirements (Section 904 and 915)
As of the effective date of this rule, the ingredient listing
requirements of section 904 of the FD&C Act will apply to manufacturers
of the newly deemed products, including ENDS retail establishments that
mix or prepare e-liquids or create or modify aerosolizing apparatus for
sale or distribution. At this time, FDA intends to limit enforcement to
finished tobacco products. FDA does not at this time intend to enforce
these requirements for manufacturers of components and parts of newly
deemed products that are sold or distributed solely for further
manufacturing into finished tobacco products. This means that FDA
generally intends to enforce these requirements with respect to ENDS
retail establishments that mix or prepare e-liquids or create or modify
aerosolizing apparatus for sale or distribution directly to consumers
but not to distributors who sell components for further manufacturing.
However, if the upstream distributor submits an ingredient list for a
particular product, FDA does not intend to enforce the ingredient
listing requirement against an ENDS retailer with respect to that
particular product. We note that FDA also intends to issue a guidance
regarding HPHC reporting under section 904(a)(3), and later a testing
regulation as required by section 915, with enough time for
manufacturers to report given the 3-year compliance period for HPHC
reporting. Section 904 (a)(3) requires the submission of a report
listing all constituents, including smoke constituents, identified as
harmful or potentially harmful (HPHC) by the Secretary. Section 915
requires the testing and reporting of the constituents, ingredients,
and additives the Secretary determines should be tested to protect the
public health. The section 915 testing and reporting requirements apply
only after FDA issues a regulation implementing that section, which it
has not yet done. Until these testing and reporting requirements have
been established, newly deemed tobacco products (and currently
regulated tobacco products) are not subject to the testing and
reporting provisions found under section 915. As noted elsewhere in
this document, FDA does not intend to enforce the reporting
requirements under section 904(a)(3) for newly deemed products before
the close of the 3-year compliance period, even if the HPHC guidance
and the section 915 regulation are issued well in advance of that time.
C. Registration and Product Listing (Section 905)
Section 905 of the FD&C Act requires every person who owns or
operates an establishment engaged in the ``manufacture, preparation,
compounding, or processing of a tobacco product'' to register its
establishment with FDA and submit a listing of its tobacco products to
the Agency. If an ENDS retail establishment engages in these
activities, section 905 requires the establishment to register and list
its products with FDA in accordance with this section. These
requirements apply under the statute for all distinct products
manufactured, and they enable FDA to assess the landscape of products
manufactured by these entities. If ENDS retail establishments are
mixing or preparing e-liquids or creating or modifying aerosolizing
apparatus for direct sale to consumers, then they will have to list
each e-liquid combination that they sell. It will be the responsibility
of the ENDS retail establishment, as a manufacturer, to determine how
many and which products they plan to manufacture. For shops that
prepare an expansive array of custom mixes, with many gradations of
flavor, nicotine strength or other characteristic, this would mean
identifying, listing, and reporting ingredients for a large number of
distinct products. In reality, however, we expect that such entities
will elect to narrow the list of combinations they sell (with more
limited distinctions in strength and flavor, etc.), since such a
narrowing will allow them to continue providing custom products and a
variety of options while simplifying their reporting. However, since
the time and cost of listing each additional mixture is expected to be
very low, the reduction will not necessarily be significant. In
addition, any narrowing may reflect a reduction in products that are
listed but are not actually sold.
D. Tobacco Health Document Submissions (Section 904)
Section 904(a)(4) of the FD&C Act requires each tobacco product
manufacturer or importer, or agent thereof, to submit all documents
that relate to health, toxicological, behavioral, or physiologic
effects of current or future products, their constituents (including
smoke constituents), ingredients, components, and additives. As
discussed in section IV.D (discussing the compliance policy for small-
scale tobacco product manufacturers), FDA, for an additional 6 months
following the end of the generally applicable compliance period, does
not intend to enforce against those small-scale tobacco product
manufacturers (including ENDS retail establishments) who submit the
required information.
E. Office of Small Business Assistance
Under section 901(f) of the FD&C Act, one of FDA's initial
activities upon passage of the Tobacco Control Act was to establish the
OSBA within CTP to assist small tobacco product manufacturers and
retailers in complying with the law. FDA recognizes that the issuance
of this final deeming rule, including the clarifying information noting
that ENDS retail establishments are manufacturers subject to this rule,
may result in many additional small tobacco product entities contacting
OSBA for assistance. Accordingly, FDA intends to hire additional OSBA
staff to provide assistance to small tobacco product entities wherever
possible.
X. Regulation of Other Categories of Products
FDA is finalizing this rule to deem all products that meet the
definition of tobacco product in section 201(rr) of the FD&C Act
(except accessories of newly deemed tobacco products) to be subject to
FDA's tobacco product authorities. In addition, as stated in the NPRM,
any future tobacco product that meets the definition in section 201(rr)
(except accessories of newly deemed tobacco products) will also be
subject to FDA's authorities under chapter IX of the FD&C Act.
Regulation of the newly deemed tobacco products is intended to address
the public health concerns related to these products. A summary of the
comments regarding dissolvables, gels, pipe tobacco, waterpipe tobacco,
other alternative products, and future tobacco products is discussed as
follows. FDA's responses to the comments are also included.
A. Nicotine in Newly Deemed Products
Comments were split as to the health risks of nicotine and its
impact on adult tobacco product users.
(Comment 179) Many comments stated that nicotine is addictive, and
all products containing nicotine pose a health threat to youth. Some
also stated that nicotine can have detrimental effects on the
cardiovascular system and promotes lung carcinomas (Refs. 15, 205).
Other comments noted that it is generally accepted that nicotine is not
directly responsible for tobacco-related
[[Page 29047]]
death and disease (Ref. 206) and that the Surgeon General has stated
that it is the toxic substances in tobacco products (not the nicotine)
that cause almost all tobacco-related death and disease (Ref. 9).
(Response) FDA agrees that nicotine is the primary addictive
substance in tobacco products, as stated in the proposed deeming rule
(79 FR 23142 at 23180). The Surgeon General has long recognized that
nicotine is the primary pharmacologic agent of tobacco that can be
absorbed into the bloodstream and cause addiction (Ref. 1 at 6-9). In
addition, the Surgeon General has stated that addiction to nicotine is
the ``fundamental reason that individuals persist in using tobacco
products, and this persistent use contributes to many diseases'' (Ref.
2 at 105). While nicotine does not directly cause most smoking-related
diseases, addiction to the nicotine in tobacco products sustains
tobacco use, leading to the ingestion of the toxic substances in
combusted tobacco products and tobacco smoke (Ref. 14). However,
nicotine, in low doses, is given in different routes of administration
as nicotine replacement therapies to help consumers to stop smoking,
when approved for such purposes.
While the inhalation of nicotine (i.e., nicotine without the
products of combustion) is of less risk to overall public health than
the inhalation of nicotine delivered by smoke from combusted tobacco
products, limited data suggests that the pharmacokinetic properties of
inhaled nicotine can be similar to nicotine delivered by combusted
tobacco products. Thus, inhaled nicotine from a non-combustible product
may be as addictive as inhaled nicotine delivered by combusted tobacco
products. Researchers recognize that the effects from nicotine exposure
by inhalation are likely not responsible for the high prevalence of
tobacco-related death and disease in this country (Refs. 10, 11).
Although nicotine has not been shown to cause the chronic disease
associated with tobacco use, the 2014 Surgeon General's report noted
that there are risks associated with nicotine (Ref. 9 at 111). For
example, nicotine at high enough doses has acute toxicity (id.).
Nicotine exposure during fetal development has lasting adverse
consequences for brain development (id.). Nicotine also adversely
affects maternal and fetal health during pregnancy, contributing to
multiple adverse outcomes such as preterm delivery and stillbirth
(id.). Further, data in animal models suggest that nicotine exposure
during adolescence may have lasting adverse consequences for brain
development (id.). Some studies also have found that nicotine can have
detrimental effects on the cardiovascular system and potentially
disrupt the central nervous system (Refs. 14, 15). (See also section
VIII.C discussing the increase in poisoning due to accidental nicotine
ingestion.)
(Comment 180) FDA received a large number of comments discussing
the addictive nature of nicotine and the impact of nicotine on
adolescents. Several comments stated that research indicates that the
adolescent brain is more vulnerable to nicotine addiction than the
adult brain. The comments noted that researchers have found that,
``most likely owing to its ongoing development, the adolescent brain is
more vulnerable to the effects of nicotine than the adult brain.
Adolescents progress faster to nicotine dependence than adults, find
nicotine more rewarding, underestimate the risks of smoking, and are
more influenced by smoking behavior in their social milieu.'' (Refs.
207, 208). One comment noted that animal research showing the
adolescent brain is particularly vulnerable to nicotine addiction, and
that adolescents are also less susceptible to withdrawal symptoms,
creating an all-reward, no-regret system for psychostimulant use (Refs.
209, 210, 211). Another comment noted that the U.S. Surgeon General has
found that key symptoms of nicotine dependence--such as withdrawal and
tolerance--develop in adolescents following even minimal exposure to
nicotine. Additionally, the comment stated that the Surgeon General's
2012 report cites one study following occasional adolescent smokers
that found that a large proportion experienced at least one symptom of
nicotine dependence upon quitting, even in the first 4 weeks after
initiating monthly smoking (at least two cigarettes within a 2-month
period) (Ref. 49 at 24, citing Ref. 212).
(Response) FDA agrees that given their developmental stage, and the
fact that brain maturation continues into the mid-twenties, adolescents
and young adults are more uniquely susceptible to biological, social,
and environmental influences to use and become addicted to tobacco
products. If individuals do not start using cigarettes by age 26, they
are unlikely ever to smoke (Ref. 3). Research shows that 87 percent of
established adult smokers began smoking before the age of 18 (Ref. 9).
An analysis by the WHO of studies performed among final-year high
school students in the United States suggests that fewer than two out
of five smokers who believe that they will quit within 5 years actually
do quit. In high-income countries, about 7 out of 10 adult smokers say
they regret initiating smoking and would like to stop (Ref. 213).
In addition, FDA agrees that there are data suggesting that the
adolescent brain is more vulnerable to developing nicotine dependence
than the adult brain and that there is evidence to suggest that these
brain changes are permanent (Refs. 49, 214). The Surgeon General
reported that ``most people begin to smoke in adolescence and develop
characteristic patterns of nicotine dependence before adulthood'' (Ref.
3). These youth develop physical dependence and experience withdrawal
symptoms when they try to quit smoking (id.). As a result, addiction to
nicotine is often lifelong (Ref. 4). Additionally, youth and young
adults generally ``underestimate the tenacity of nicotine addiction and
overestimate their ability to stop smoking when they choose'' (Ref. 5).
For example, one survey revealed that ``nearly 60 percent of
adolescents believed that they could smoke for a few years and then
quit'' (Ref. 7). Research conducted in animal models have indicated
that exposure to substances such as nicotine can disrupt adolescent
brain development and may have long-term consequences on executive
cognitive function and on the risk of developing a substance abuse
disorder and various mental health problems as an adult (Ref. 8). This
exposure to nicotine can also have long-term results on decreasing
attention performance and increasing impulsivity which could in turn
promote the maintenance of nicotine use behavior (id.).
B. Dissolvables
FDA noted in the NPRM that it was proposing to deem certain
dissolvable products (i.e., those dissolvable products that do not
currently meet the definition of ``smokeless tobacco'' in section
900(18) of the FD&C Act because they do not contain cut, ground,
powdered, or leaf tobacco and instead contain nicotine extracted from
tobacco). We explained that little evidence is available to ascertain
the pharmacological properties and harmful effects of dissolvable
tobacco products or compare them with FDA-approved nicotine replacement
products or other tobacco products. We also noted that certain
dissolvable smokeless tobacco products, given their candy-like
appearance, have the potential for unintended poisonings. FDA deems
these dissolvable products with this final rule.
[[Page 29048]]
(Comment 181) Comments stated that FDA should not rely on a study
investigating flavored tobacco products in young adults as evidence
that dissolvables are more attractive to children. They indicated that
this study is inapplicable because it only looked at behaviors of
people 18 years or older.
(Response) The cited study (Ref. 54) assessed the prevalence of
flavored tobacco products (including dissolvables) in individuals 18
and older, which encompasses both young adults and adults. The study
stated that the products' packaging looks like candy packaging and the
products often are sold next to candy. FDA believes that these factors
cause confusion regarding the safety of these novel tobacco products
for adult consumers as well as children (Ref. 215). In addition, this
study cited an additional study that concluded that sugar preference is
greater in youth and young adults (Ref. 53). Accordingly, FDA believes
it was appropriate to cite to this study as evidence supporting FDA's
concerns with certain dissolvable products.
(Comment 182) Some comments expressed concerns regarding possible
confusion between dissolvable tobacco products and candy and the
possibility of inadvertent poisonings.
(Response) FDA agrees that the candy-like appearance of some
dissolvable products may result in accidental poisonings. As FDA
discussed in the NPRM, data from 2010 indicates that 13,705 tobacco
product ingestion cases were reported and more than 70 percent of those
cases involved infants under a year old (Ref. 215). Although it is
unclear exactly how many of these cases involved dissolvables,
smokeless tobacco products (in all forms, including dissolvables) were
the second most common tobacco product ingested by children, after
cigarettes (id.).
(Comment 183) Some comments mentioned that dissolvable tobacco
products may be easily confused with NRTs and, therefore, should be
regulated.
(Response) The Agency finds that FDA regulation of all dissolvable
products under chapter IX of the FD&C Act will help to alleviate
potential confusion about the safety and use of these products.
Products that contain nicotine derived from tobacco, are intended for
human consumption, and are not marketed for therapeutic purposes, are
subject to FDA's tobacco product authorities under chapter IX of the
FD&C Act.
(Comment 184) Comments provided unpublished data (Ref. 216)
indicating that dissolvable tobacco products deliver nicotine levels
sufficient to promote and sustain addiction. They also indicated that
dissolvable tobacco products have a higher average pH than other
tobacco products, increasing the amount of absorbable nicotine.
(Response) FDA acknowledges that information about harmful or
potentially harmful constituents in such products is sparse, but
studies indicate that the level of nicotine in dissolvable products may
differ from cigarettes and may lead to nicotine addiction (Ref. 217).
These studies support the public health need to regulate all
dissolvable tobacco products.
(Comment 185) Comments stated that dissolvable tobacco products are
safer than other tobacco products and have lower levels of nitrosamines
than snus or snuff and just slightly higher levels than some NRTs (Ref.
218). They also provided information that evaluated plasma nicotine
levels, heart rates, and reduction in cigarette cravings, and found
that the levels in certain dissolvables were similar to the levels in
NRTs (Ref. 219).
(Response) While a continuum of nicotine-delivering products
exists, deeming all tobacco products will enable the Agency to collect
information about the ingredients and the health and behavioral effects
of these products. These products are ``tobacco products'' with the
potential to addict users and harm children, particularly given their
candy-like appearance, and are subject to FDA's tobacco control
authorities upon the effective date of this final rule. FDA also notes
that NRTs are regulated products and subject to premarket review by
FDA.
C. Gels
As proposed, FDA is deeming nicotine gels with this final rule.
(Comment 186) Some comments agreed that nicotine gels should be
subject to FDA's chapter IX authorities under the FD&C Act. In support
of their argument, they provided studies showing that children and
young adults are more susceptible than adults to nicotine poisoning
through the skin (Ref. 220).
(Response) With this final rule, FDA is finalizing its proposal to
deem all ``tobacco products'' including nicotine gels, which are
absorbed through the skin. In addition to meeting the definition of
``tobacco product,'' nicotine gels can be addictive and lead to use of
other tobacco products that have well-documented risks of tobacco-
related death and disease. Regulating these products also will help,
among other things, to address consumers' unsubstantiated beliefs that
non-cigarette tobacco products are safe alternatives to cigarettes.
D. Pipe Tobacco
FDA proposed to cover pipe tobacco with this deeming rule. FDA
indicated that pipe tobacco smokers have a risk of tobacco-related
disease similar to the risk of those who inhale cigar smoke or smoke
cigarettes (Ref. 221). The Surgeon General also found that pipe and
cigar smokers experience oral and laryngeal cancer risks similar to
that of cigarette smokers (Ref. 222). FDA is deeming pipe tobacco with
this final rule.
(Comment 187) A few comments provided suggestions as to how FDA
should define pipe tobacco in this final rule to differentiate it from
roll-your-own tobacco. For example, comments suggested FDA define pipe
tobacco to include the moisture measured at the time of packing, the
amount of reducing sugars, and the fact that it does not use
reconstituted sheet tobacco or expanded leaf tobacco as part of the
blend. Others suggested FDA define the term based on the ``consumer's
reasonable perception of the product'' or include language stating that
it is ``suitable for use and likely to be offered to, or purchased by,
consumers as tobacco to be smoked in a pipe.'' Comments also requested
that FDA enforce against the misuse of pipe tobacco as roll-your-own
tobacco, regardless of whether it defines pipe tobacco, because
mislabeled pipe tobacco already meets the definition of cigarette
tobacco or roll-your-own tobacco.
(Response) FDA disagrees. The Agency finds that it is not necessary
to define pipe tobacco in this rule. FDA also notes that it has issued
Warning Letters for products bearing the package description of ``pipe
tobacco,'' but that are sold or distributed for use as cigarettes for
the purposes of chapter IX of the FD&C Act due to the fact that,
because of its appearance, the type of tobacco used in the filler, or
its packaging and labeling, it is suitable for use and likely to be
offered to consumers as cigarettes, and/or likely to be purchased by
consumers for making cigarettes or intended for use in cigarettes. FDA
will continue to do so as circumstances warrant.
(Comment 188) Comments stated that when consumers use pipe tobacco
for its intended use, it does not have the same public health concerns
as other tobacco products. They also stated that pipe tobacco users are
only a small percentage of adults and that only 0.2 percent of minors
indicate that they are dual users of pipe tobacco and cigarettes (Ref.
9). They stated that based on these differences, some of the automatic
[[Page 29049]]
deeming provisions should not apply to pipe tobacco. For example, they
claimed premarket review requirements should not apply to pipe tobacco,
because manufacturers make changes to maintain consistent taste for
older populations and not to create ``new'' products.
Other comments disagreed, citing evidence of the dangers of pipe
tobacco, as discussed in the NPRM (79 FR 23142 at 23156 and 23168).
They also expressed concerns that extended use of pipe tobacco releases
significant amounts of secondhand smoke into the environment.
(Response) FDA disagrees that pipe smoking is not a public health
issue. As we stated in the NPRM, studies of pipe tobacco smokers have
found that their risk of tobacco-related disease is similar to the risk
in those who inhale cigar smoke or smoke cigarettes (Ref. 221). The
Surgeon General also previously found that pipe and cigar smokers
experience oral and laryngeal cancer risks similar to that of a
cigarette smoker (Ref. 222). While the Surgeon General's report does
indicate that pipe tobacco smokers may have a lower risk of developing
cardiovascular disease than cigarette smokers, pipe tobacco users still
are at risk for these diseases, and those who use both cigarettes and
pipe tobacco may have even higher levels of risk due to their usage
patterns (Ref. 9 at 428). Moreover, researchers have found that when
compared with individuals who have never used tobacco, pipe smokers
have an increased risk of death from cancers of the lung, oropharynx,
esophagus, colorectum, pancreas, and larynx, and from coronary heart
disease, cerebrovascular disease, and COPD (Refs. 32, 221).
(Comment 189) A few comments expressed concern that retailers who
blend pipe tobacco would be subject to all FD&C Act requirements for
manufacturers, preparers, compounders, or processors of tobacco
products, such as premarket review, and registration and listing. These
comments requested that retailers blending up to either 3,000 pounds or
5,000 pounds of pipe tobacco per year be exempt from the requirements
of the law that apply to manufacturers.
(Response) All entities that meet the definition of ``tobacco
product manufacturer'' in section 900(20) of the FD&C Act, including
retail establishments that blend pipe tobacco, are subject to and must
comply with all applicable statutory and regulatory requirements for
tobacco product manufacturers.
E. Waterpipe Tobacco
The NPRM included waterpipe tobacco as an example of a tobacco
product that would be covered under this deeming rule. We noted
concerns regarding the safety of waterpipe tobacco given the nicotine
and carcinogens in waterpipe tobacco smoke, and the availability of
waterpipe tobacco in a variety of flavors that could be appealing to
youth and young adults. FDA's final rule includes waterpipe tobacco in
the scope of products subject to FDA's tobacco control authorities.
(Comment 190) One comment requested that FDA clarify whether the
term ``hookah'' refers to the waterpipe or the tobacco used in the
waterpipe.
(Response) In the NPRM, FDA generally used the term ``hookah'' to
mean waterpipe smoking and ``hookah tobacco'' as the tobacco used in
the waterpipe. Waterpipe smoking may also be referred to by other names
such as shisha or narghile. To alleviate any confusion in this final
rule, FDA has referred to ``waterpipe smoking'' and ``waterpipe
tobacco'' to cover all types of tobacco smoking using a waterpipe.
(Comment 191) At least one comment expressed concern about the
public health risk of herbal waterpipe tobacco, which they assert has
the same levels of toxicant exposure but without nicotine.
(Response) FDA's tobacco product authorities under chapter IX of
the FD&C Act do not extend to substances that are not made or derived
from tobacco (like herbal waterpipe tobacco), because they do not meet
the definition of ``tobacco product'' under section 201(rr) of the FD&C
Act.
1. Dual and Polytobacco Use
(Comment 192) Many comments expressed concern about the growth in
dual and polytobacco use among youth and young adults. For example, the
North Carolina Public Health Association submitted a preliminary
analysis of the 2013 NCYTS, which indicated that 19.1 percent of high
school students reported using two or more tobacco products and that
88.4 percent of high school students who currently are using waterpipe
tobacco reported using at least one other tobacco product. Some
comments noted that dual use of waterpipe tobacco and cigarettes is
more prevalent than exclusive waterpipe tobacco use and that waterpipe
tobacco users typically smoke cigarettes with greater intensity than
nonwaterpipe tobacco users (Ref. 222). In fact, dual use of waterpipe
tobacco and cigarette use is one of the most common tobacco use
profiles found in young adults age 18 to 24 years (e.g., Ref. 223).
(Response) FDA remains concerned about the potential for dual and
polytobacco use, particularly among youth and young adults. As the
North Carolina research shows, a noncigarette tobacco product (like
waterpipe tobacco) can be the first product used by new tobacco users
and there is concern such users could continue using the initial
product or transition to cigarettes or other tobacco products. There is
also the concern that existing users could become dual users.
Accordingly, it is critical to deem these noncigarette tobacco products
and place restrictions upon them that are appropriate for the
protection of the public health, including age and identification
restrictions to help prevent youth use of these products.
2. Popularity
(Comment 193) Many comments expressed concern about the growing use
of waterpipe tobacco, particularly among young adults. For example,
they noted that the percentage of young adults aged 18 to 24 who use
waterpipe tobacco (7.8 percent) is significantly higher than adult use
(1.5 percent) (Ref. 224). A few comments suggested that FDA
overestimated this trend.
(Response) FDA agrees with the many comments that supported
regulation of waterpipe tobacco and noted the increase in use among
young adults. Waterpipe tobacco use continues to increase in
popularity, particularly among college students, with as many as 40
percent reporting ever using waterpipe tobacco and 20 percent reporting
use (i.e., use within the past 30 days) on some college campuses (Refs.
25, 26).
3. Harms
(Comment 194) Many comments supplemented the data in the NPRM
regarding the dangers of smoking waterpipe tobacco. For example, they
referred to several studies showing significant nicotine, carbon
monoxide, and other carcinogen intake during waterpipe use (e.g., Refs.
225, 226, 227, 228). Further, in studies involving the use of
waterpipes in a hospital research ward, researchers found greater
carbon monoxide exposure and a different pattern of carcinogen exposure
for waterpipe tobacco smokers (when compared to cigarette smokers), and
concluded that exposure to tobacco smoke toxicants during waterpipe use
is similar qualitatively (though not quantitatively) to cigarette smoke
(Refs. 229, 230). Comments concluded that waterpipe users have a
significant risk of smoking-related diseases, but the
[[Page 29050]]
magnitude of the risk depends upon the extent of the use.
(Response) FDA agrees with this assessment and that it supports
finalizing its proposal to include waterpipe tobacco in the scope of
this rule.
(Comment 195) Many comments included data regarding the increased
cancer risks associated with waterpipe smoking. For example,
researchers identified significant associations between waterpipe
tobacco use and esophageal squamous cell carcinoma and a 6-fold
increase in risk of lung cancer from waterpipe tobacco use (Refs. 231,
232). In addition, the existence of tobacco-related toxicants in
waterpipe tobacco smoke may place users at risk for many of the same
diseases as cigarette smokers, including a risk of lung cancer and
respiratory illness (e.g., Refs. 233, 234, 235, 236). While some
comments maintained that many of these users will use waterpipe tobacco
only once in their lifetime, these products are growing in popularity
with youth and young adults and cause tobacco-related death and
disease.
Other comments opposed FDA's proposal to regulate waterpipe
tobacco, claiming that the dangers of waterpipe tobacco use are
unsupported, that FDA has not adequately reviewed scientific studies,
and that FDA ignored evidence. They also believed that use of
disposable mouth piece tips would alleviate the risks of spreading
communicable diseases through waterpipe use. In addition, they
indicated that FDA's comparison of a waterpipe smoking session to
smoking a single cigarette is inherently flawed due to the different
patterns of use of these tobacco products.
(Response) Although it is possible that use of disposable mouth
piece tips could help alleviate the risks of spreading communicable
diseases through waterpipe use, the products nevertheless present a
significant risk of smoking-related diseases. Accordingly, FDA is
finalizing its proposal to include waterpipe tobacco in the scope of
this rule. Further, although the products have different use
topographies, FDA continues to believe that a comparison between the
toxicants emitted during a waterpipe session and cigarette smoking is
valid and indicative of the dangers associated with waterpipe use. In
fact, the WHO study group on tobacco regulation has found that a
waterpipe session can be the equivalent of smoking more than 100
cigarettes (Ref. 237). Moreover, regardless of the number of waterpipe
tobacco users who use waterpipe tobacco for more than 1 day, the
product presents significant health risks and is appropriately included
in the scope of this rule.
4. Addiction
(Comment 196) Some comments claimed that waterpipe tobacco smokers
do not get addicted and, therefore, there is no need for FDA to
regulate waterpipe tobacco. Others disagreed and claimed that waterpipe
tobacco is addictive. These comments provided extensive data about the
significant health effects (including nicotine and toxicant exposure)
and the highly addictive nature of waterpipe use (e.g., dual use)
(e.g., Ref. 233).
(Response) Waterpipe tobacco contains nicotine, which is the
primary addictive chemical in tobacco products. Researchers have
observed nicotine dependence characteristics in some users, including
suppressed cravings to smoke and anxiousness (Refs. 238, 239, 240),
with one study showing that waterpipe tobacco use suppressed withdrawal
symptoms just as cigarette smoking suppresses withdrawal symptoms (Ref.
240).
5. Misunderstanding
(Comment 197) Consumers stated that waterpipe tobacco should be
regulated given its appeal to youth and adolescents' belief that it is
not as harmful as traditional cigarettes. They agreed that a failure to
regulate the proposed deemed products could reinforce consumers'
existing confusion and misinformation about these products. However,
other comments stated that FDA's concerns over youth's misperception of
the safety of certain tobacco products should not be a factor that FDA
should consider in deciding whether to regulate them. They stated that
regulation cannot remedy the fact that certain youth affirmatively
disregard available safety information. Comments noted that waterpipe
tobacco users perceive this product to be much less harmful that
cigarette smoking (Ref. 241), because they mistakenly think that the
water filters out toxicants from the smoke and the fact that waterpipe
tobacco use is frequently exempted from clean indoor air laws.
(Response) While we continue to believe that alleviating
misperceptions is important, we note that the potential to alleviate
youth's misperception regarding the toxicity of unregulated tobacco
products was only one of many public health benefits associated with
deeming tobacco products, as discussed in the NPRM (79 FR 23142 at
23148 and 23149). Waterpipe smoking carries health risks similar to
smoking cigarettes, and waterpipe smoke contains many of the same
carcinogens and heavy metals as cigarette smoke (79 FR 23142 at 23156
and 23157). In addition, given that waterpipe tobacco smoking sessions
last significantly longer than smoking a cigarette, smoking waterpipe
tobacco could potentially be even more dangerous than smoking a
cigarette (79 FR 23142 at 23156). Consequently, based on the various
impacts on public health, FDA believes regulation of waterpipe tobacco
is important.
F. Additional Novel and Future Tobacco Products
In the NPRM, FDA proposed to deem additional novel and future
tobacco products if the products meet the definition of ``tobacco
product'' in section 201(rr) of the FD&C Act. FDA is finalizing this
proposal here.
(Comment 198) Several comments supported deeming all future tobacco
products. One comment requested that the future regulated products
should include products that extend beyond buccal or dermal absorption.
(Response) Future products that meet the definition of ``tobacco
product'' under section 201(rr) of the FD&C Act, including the
requirement that they be ``intended for human consumption,'' are deemed
subject to FDA's chapter IX authorities as a result of this rule. A
product may be intended for human consumption in a variety of ways,
such as through the lungs or by buccal or dermal absorption. However,
future accessories of newly deemed products are not deemed subject to
chapter IX as a result of this rule.
(Comment 199) At least one comment cautioned FDA that regulations
for future products should be based on the continuum of risk to ensure
that there is continued innovation to reduce harm.
(Response) FDA recognizes the existence of a continuum of nicotine-
delivering products and will continue to consider this continuum in
regulating future tobacco products.
(Comment 202) A few comments stated that FDA should not regulate
products with de minimis amounts of nicotine derived from tobacco that
may be used in cosmetics, food, animal feed, or other products, and for
purposes not related to traditional tobacco use (such as protein).
Additionally, they stated that these types of products should not have
to bear the warning, ``This product is derived from tobacco.''
(Response) With this final rule, FDA deems all products meeting the
definition of tobacco product, except for accessories of newly deemed
products, to be subject to FDA's authorities under chapter IX of the
FD&C Act.
[[Page 29051]]
Determinations about whether particular products meet this definition
would be made on a case-by-case basis. However, animal feed is a
veterinary product and not for human consumption and, therefore, would
not be a tobacco product. Products that contain nicotine derived from
tobacco meet the definition of a tobacco product under the FD&C Act and
are required to bear a health warning on packages and in advertisements
stating: ``WARNING: This product contains nicotine. Nicotine is an
addictive chemical.'' For products that are made or derived from
tobacco (but do not contain nicotine), manufacturers may submit a
certification to FDA and, instead, bear the statement ``This product is
made from tobacco.'' See section XVI.H for additional information
regarding this certification.
(Comment 203) One comment stated that alternative nicotine
products, such as nicotine toothpicks, have a net positive impact on
the public health because they pose fewer health and safety risks than
conventional cigarettes and could help addicted smokers transition to
less toxic tobacco products. The comment argued that the regulatory
burden for such products should be proportionately reduced.
(Response) While FDA recognizes the existence of a continuum of
nicotine-delivering products, all tobacco products are addictive and
potentially dangerous and, therefore, should be subject to FDA
regulation. Therefore, FDA is deeming all tobacco products (except
accessories of newly deemed tobacco products) subject to the
requirements of chapter IX of the FD&C Act and requiring certain
additional provisions (i.e., minimum age and identification, vending
machine, and health warnings) for covered tobacco products. FDA will
continue to take this continuum of nicotine-delivering products into
consideration as it contemplates future regulations of the newly deemed
products.
XI. Additional Automatic Provisions Applicable to Newly Deemed Products
In addition to the requirement that non-grandfathered tobacco
products obtain authorization through one of the three marketing
pathways, several provisions in the Tobacco Control Act and its
implementing regulations will automatically apply to the newly deemed
products as of the effective date of this final rule (79 FR 23142 at
23148 and 23149). These provisions include:
(1) Adulteration and misbranding provisions (sections 902 and 903
of the FD&C Act);
(2) Ingredient listing and HPHC reporting requirements (sections
904 and 915 of the FD&C Act);
(3) Registration and product listing requirements (section 905 of
the FD&C Act);
(4) Prohibition against the use of ``light,'' ``low,'' and ``mild''
descriptors and products with other unauthorized modified risk claims
(section 911 of the FD&C Act); and
(5) Prohibition of free samples of the proposed deemed products (21
CFR 1140.16(d)).
Comments regarding these provisions, and FDA's responses to
comments, are as follows.
(Comment 204) In the proposed deeming rule, FDA noted that it was
taking this action to address the public health concerns associated
with the use of tobacco products. Some comments stated that health
policies based on tobacco use prevention and cessation are not
sufficient to protect the public health.
(Response) FDA is deeming products that meet the definition of
``tobacco product,'' except accessories of newly deemed tobacco
products, to address the public health concerns with these products. In
the NPRM, FDA included discussion of public health benefits to better
inform the public about the likely results of deeming these tobacco
products. FDA intends to supplement this final rule with regulations as
appropriate to protect the public health.
A. Sections 902 and 903--Adulteration and Misbranding
In the proposed deeming rule, we explained that the adulteration
and misbranding provisions of sections 902 and 903 of the FD&C Act
would subject all tobacco products to certain basic requirements. For
example, their labeling and advertising cannot be false or misleading,
which will help reduce consumer confusion and misperception. The Agency
can take enforcement action against any tobacco product that did not
meet these basic requirements.
(Comment 205) A large number of comments discussed the
applicability of sections 902 and 903 of the FD&C Act to the newly
deemed tobacco products. Most comments expressed general support for
applying adulteration and misbranding provisions to the newly deemed
tobacco products. Others supported the application of the provisions
based on concerns that some e-cigarette manufacturers may not be
producing their products in sterile conditions. Several comments
cautioned that the differences between the newly deemed tobacco
products might result in unwarranted restrictions if the provisions are
applied mechanically across all product categories. At least one
comment stated that the adulteration and misbranding provisions should
not apply to e-cigarettes because there is no evidence that
adulteration and misbranding currently occurs with those products or
causes any harm.
(Response) The adulteration and misbranding provisions of sections
902 and 903 of the FD&C Act will automatically subject all tobacco
products to certain basic requirements. For example, their labeling and
advertising cannot be false or misleading, which will help reduce
consumer confusion and misperception. FDA will be able to take
enforcement action against any tobacco product that does not meet these
basic requirements. For example, if a product is produced in insanitary
conditions or is contaminated, or if its labeling contains a misleading
claim, it will be subject to enforcement action, including seizure and
injunction.
B. Sections 904 and 915--Ingredient Listing and Reporting of HPHCs
As stated in the NPRM, the newly deemed products will be required
to comply with the ingredient listing and HPHC reporting requirements
of sections 904 and 915 of the FD&C Act. FDA intends to issue a
guidance regarding HPHC reporting, and later a testing and reporting
regulation as required by section 915, with enough time for
manufacturers to report given the 3-year compliance period for HPHC
reporting. As noted elsewhere in this document, FDA does not intend to
enforce the reporting requirements for newly deemed products before the
close of the 3-year compliance period, even if the guidance is issued
well in advance of that time.
(Comment 206) A couple of comments urged FDA not to require newly
deemed products to comply with the ingredient and HPHC listing
requirements. One comment argued that such reports are useless for
educating consumers, who will invariably use them in an attempt to
determine the relative risk of each product. Another comment claimed
that the HPHC and ingredient listing requirements should be abandoned
because they are not helpful and the cost of producing these reports
would destroy industry.
(Response) FDA disagrees with these comments. Ingredient and HPHC
reporting assist FDA in better understanding the contents of regulated
products. This information will assist FDA in assessing potential
health risks and determining if future regulations to
[[Page 29052]]
address these health risks would be appropriate. The FD&C Act directs
FDA to make certain HPHC information publicly available, but it must do
so in a way that is understandable and not misleading to lay persons.
(Comment 207) Several comments discussed ingredient and HPHC
listing requirements in the context of small businesses and particular
products. A few comments urged FDA to exempt small businesses that
manufacture e-cigarettes from the HPHC reporting requirement because
the testing would impose a large financial burden on them and would
likely drive them out of business. One comment countered these
arguments, urging FDA to require manufacturers of all products to
comply with the ingredient and HPHC listing requirements and not
provide an exemption for small businesses. The comment argued that the
size of a business does not change a product's potential health impact
and that the health benefits of regulation far exceed the costs.
Other comments focused on ingredient and HPHC listing requirements
for specific product categories. At least one comment expressed concern
that HPHC testing would disproportionately affect the premium cigar
industry, which has a high number of low-volume products, and requested
that the requirements not apply to small batch or special release
products. One comment claimed that many of the new tobacco products on
the market, such as e-cigarettes, are virtually identical with the
exception of flavoring and nicotine levels and recommended that FDA
allow for these products to be grouped together for the purposes of
HPHC testing.
(Response) With respect to HPHC testing of similar products, FDA
recognizes that some manufacturers of newly deemed products sell
products in various flavors or with varying levels of nicotine.
Manufacturers of these products will be required to test each variation
for HPHCs, even where the products are otherwise the same. At this
time, there is little known about the constituents of some newly deemed
products. HPHC testing will allow FDA to track the level of HPHCs
across different categories of flavors and by nicotine level. FDA's
compliance policies for the HPHC requirements are described elsewhere
in this document.
(Comment 208) Several comments stated that FDA should establish
HPHC lists and testing methodology before requiring HPHC testing. One
comment requested that FDA establish an HPHC list and testing
methodology for e-cigarettes in the same manner that it did for
currently regulated tobacco products, including holding public
workshops, requesting and considering Tobacco Products Scientific
Advisory Committee recommendations, publishing draft and final lists in
the Federal Register for public comment, and providing a reasonable
compliance period for e-cigarette manufacturers. A few comments
expressed the opinion that FDA should establish separate lists of HPHCs
for each category of newly deemed tobacco products and not require HPHC
reporting until the lists and corresponding testing methodologies are
created and validated. Other comments stated that because not all
deemed products are likely to have the same HPHCs as currently
regulated products, testing for all of the constituents would be
wasteful.
(Response) As discussed elsewhere in this document, the compliance
period for HPHC reporting and testing is the effective date of this
rule plus 3 years. FDA intends to issue a guidance regarding HPHC
reporting, and later a testing and reporting regulation as required by
section 915 of the FD&C Act, with enough time for manufacturers to
report given this compliance period. As noted elsewhere in this
document, FDA does not intend to enforce the reporting requirements for
newly deemed products before the close of the 3-year compliance period,
even if the guidance is issued well in advance of that time.
(Comment 209) Several comments suggested that manufacturers should
be required under section 904 of the FD&C Act to include a statement of
the ingredients and/or nicotine concentration on their product labeling
as a condition of sale. These comments indicated that consumers could
use this information to select e-cigarette liquids with decreasing
nicotine content levels as part of a nicotine replacement therapy to
quit smoking.
(Response) Sections 915(b) of the FD&C Act and 206 of the Tobacco
Control Act give FDA authority to require the disclosure of nicotine
and certain other information on labeling and by other means. FDA has
not issued regulations for the currently regulated tobacco products and
did not propose this in the proposed deeming rule. FDA will consider
whether it should do so in the future. To the extent the comment is
about ENDS marketed for smoking cessation, such a product would be
subject to FDA's drug/device authorities and not subject to FDA's
tobacco product authorities.
(Comment 210) Some comments suggested that any HPHC requirement for
cigars should require analysis of HPHCs in the tobacco (rather than the
smoke) in a manner similar to that for hand-rolling tobacco. They
stated that HPHC smoke analysis is neither available nor readily
producible for most cigars. They also stated that smoking regimens
recommended for collecting HPHC data for tobacco smoke were developed
for cigarettes and suggested that cigars are inherently more variable
than cigarettes. Finally, they stated that the cigar smoke test method
recommended by the Centre de Coop[eacute]ration pour les Recherches
Scientifiques Relatives au Tabac in 2005 has produced more variable
data than that obtained using the comparable test method for
cigarettes, making it difficult to compare consistent test results for
cigars.
(Response) FDA disagrees with the comments. In order to determine
the HPHC deliveries that each cigar provides, it is important that
manufacturers submit HPHC data on smoke yields for cigars. HPHC
quantities in cigar tobacco only would not provide a complete
understanding of the toxicity of each cigar. As stated by the comments,
Centre de Coop[eacute]ration pour les Recherches Scientifiques
Relatives au Tabac (CORESTA) published method 64 in 2005 that describes
a smoking regimen for cigars. It is not clear that the variability in
cigar HPHC yields will be greater than that for cigarette yields.
Variability in HPHC smoke yields is dependent on the smoking regimen,
analytical method, and batch-to-batch consistency in product
composition. Therefore, it is expected that the variability in HPHC
smoke yields from some cigarettes will exceed that for cigars. In any
case, as with cigarettes, it is important to understand the HPHC
deliveries in cigar smoke.
C. Section 905--Registration and Listing
As stated in the NPRM, manufacturers of the newly deemed products
will be required to comply with section 905(b) of the FD&C Act, which
requires the registration of any establishment engaged in the
manufacture, preparation, compounding, or processing of a tobacco
product. In addition, they must comply with section 905(i) of the FD&C
Act, which requires registrants to submit a list of all tobacco
products that are being manufactured, prepared, compounded, or
processed for commercial distribution. FDA must issue a regulation
before foreign establishments are required to comply with these
requirements.
(Comment 211) Several comments stated that FDA should apply the
same
[[Page 29053]]
requirements to both foreign and domestic manufacturers of tobacco
products, including manufacturers of the newly deemed products. They
expressed concern that FDA has not yet issued a proposed registration
and listing rule and has not provided a timeframe for a final rule that
would apply these requirements to foreign establishments. They also
stated that the absence of registration and listing requirements for
foreign establishments creates incentives for manufacturers of the
newly deemed products to move their facilities overseas.
(Response) As indicated in the Unified Agenda of Spring 2015 (Ref.
242), FDA plans to issue a proposed registration and listing rule that
would extend these requirements to foreign tobacco product
establishments. In addition, upon the effective date of this final
deeming rule, both foreign and domestic manufacturers will be subject
to, among other things, adulteration and misbranding restrictions
(sections 902 and 903 of the FD&C Act); requirements for ingredient
listing and reporting of HPHCs for all tobacco products (section 904 of
the FD&C Act); and premarket authorization requirements (sections 905
and 910 of the FD&C Act).
D. Section 911--Elimination of Low, Light, and Mild, and Other
Unauthorized Modified Risk Claims
Section 911 of the FD&C Act is one of the automatic statutory
provisions that will apply to the newly deemed products on the
effective date of this regulation. The purpose of this section is to
prohibit the introduction into interstate commerce of MRTPs, including
products the label, labeling, or advertising of which uses ``low,''
``light,'' or ``mild,'' or other modified risk claims unless FDA issues
an order authorizing their marketing. This requirement will help
consumers better understand and appreciate the health risks of the
newly deemed products. In addition to any applicable premarket review
under section 910 of the FD&C Act, if a manufacturer wishes to sell a
MRTP, the company must submit an MRTP application under section 911 and
receive an FDA order to legally market an MRTP.
(Comment 212) A number of comments discussed the application of the
MRTP restrictions to the newly deemed products. Several comments
argued, as a general matter, that subjecting the newly deemed products
to section 911 would be an unconstitutional restriction of free speech
because FDA either has no substantial interest that would be advanced
by such restrictions or has not demonstrated that restricting modified
risk claims for these products would advance its substantial interest
in protecting the public health. A couple of comments argued that the
brand names of newly deemed products that contain the descriptor
``low,'' ``light,'' or ``mild'' should be prohibited only where the
descriptors specifically convey a modified risk claim. These comments
stated that where ``low,'' ``light,'' or ``mild'' is used and
understood by consumers to describe something other than a modified
risk (such as the product's taste), restricting the use of a brand name
containing one of these terms would be unconstitutional, arbitrary, and
capricious because the government does not advance any substantial
interest by doing so. Other comments supported the application of
section 911 to all newly deemed tobacco products, with some comments
maintaining that certain e-cigarette companies are currently marketing
their products using unauthorized modified risk claims.
(Response) FDA disagrees with the suggestion that subjecting the
newly deemed products to section 911 would be an unconstitutional
restriction of free speech. The Sixth Circuit upheld the modified risk
provisions against a First Amendment challenge to the facial validity
of the statute in Discount Tobacco v. FDA, 674 F.3d 509, 531-37 (6th
Cir. 2012). We discuss this issue in depth in section II.B.3.b. FDA has
and will continue to apply section 911 of the FD&C Act consistent with
the First Amendment and will take all relevant facts into account on a
case-by-case basis.
FDA agrees with comments that supported the application of section
911 to all newly deemed products. Historically, certain users have
initiated and continued using certain tobacco products based on
unauthorized modified risk claims and consumers' unsubstantiated
beliefs about the relative safety of these products. Section 911 will
prevent the use of unsubstantiated modified risk claims, which may
mislead consumers and lead them to initiate tobacco product use or to
continue using tobacco when they would otherwise quit. This will allow
for better-informed consumers and help to prevent the use of misleading
marketing targeted to youth populations.
(Comment 213) Many comments stated that e-cigarette companies make
direct and indirect health claims in the marketing and promotion of
their products (e.g., by posting customer comments and testimonials on
their Web sites) and that some e-cigarette advertising implies FDA
approval or endorsement (e.g., use of the FDA logo on labels or
statements such as ``made in an FDA-approved facility'') (Ref. 151). As
a result, the comments suggested a number of different actions to curb
these unsubstantiated or misleading claims, including: (1) Prohibiting
direct and implied therapeutic claims that e-cigarettes are effective
cessation products unless there is evidence; (2) using existing
enforcement authority to prohibit therapeutic, health, and cessation
claims unless there is evidence of safety and efficacy; (3) working
with the FTC to prohibit such claims as false advertising until such
time as there is evidence of safety and efficacy; (4) working with the
FTC to introduce or strengthen disclosure rules on the Internet (e.g.,
product reviews) to promote transparency; and (5) prohibiting explicit
or implicit statements that e-cigarettes are approved or endorsed by
FDA.
(Response) Under section 911 of the FD&C Act, no person may
introduce or deliver for introduction into interstate commerce any MRTP
without an order in effect under section 911(g). Also, a tobacco
product is misbranded if its label, labeling, or advertising is false
or misleading in any particular. Therefore, by deeming ENDS and other
tobacco products, FDA is now authorized to take enforcement action
against manufacturers who sell and distribute products with
unsubstantiated MRTP claims, or false or misleading claims on their
label, labeling, or advertising. Additionally, under section 301(tt) of
the FD&C Act, anyone making explicit or implicit statements that a
product is, among other things, ``approved'' or ``endorsed by FDA'' is
committing a prohibited act. An ENDS product claiming to be an NRT or
otherwise marketed for therapeutic purposes is a drug or device subject
to FDA's regulations and laws for those products. Additionally, the
Agency will consider these comments in the future, and, if FDA
determines that it is appropriate, will issue additional regulations.
E. Section 919--User Fees
In 2014, FDA issued a final rule regarding user fees for
cigarettes, snuff, chewing tobacco, and roll-your-own tobacco,
including the submission of information needed to calculate and assess
those user fees (79 FR 39302, July 10, 2014). In that final rule, FDA
stated that if it deems cigars or pipe tobacco, FDA would respond to
the NPRM comments regarding user fee provisions for cigars and pipes,
and revise the user fee regulations (79 FR 39302 at 39305).
[[Page 29054]]
Accordingly, elsewhere in this issue of the Federal Register, FDA is
issuing a final rule revising the current user fee regulations.
(Comment 214) Some comments supported applying the user fee
provisions of the Tobacco Control Act to all tobacco products,
explaining that application of user fee provisions to all products is
essential to ensure uniformity and fairness across the regulated
entities. They also noted that section 919(b)(3) of the FD&C Act states
that no manufacturer or importer of tobacco products shall be required
to pay a user fee in excess of the percentage share of such
manufacturer or importer. Accordingly, they argued that FDA cannot
assess user fees based on the continuum of nicotine-delivering
products.
(Response) Elsewhere in this issue of the Federal Register, FDA is
issuing a final rule regarding user fees for cigars and pipe tobacco,
including the submission of information needed to calculate their user
fee assessments. These comments are addressed in that rule.
F. Tobacco Control Act, Section 102--Prohibition Against Free Samples
In this final rule, FDA is not modifying the existing restriction
on distributing free samples of tobacco products (21 CFR 1140.16(d)).
As a result, this restriction will prohibit the distribution of free
samples of newly deemed tobacco products, as required by section 102 of
the Tobacco Control Act. See section II.B.3.a for discussion regarding
the constitutionality of this free sample prohibition.
FDA understands concerns from some retailers about the effect that
a ban on free samples would have on their ability to promote new
products. FDA wishes to clarify that allowing prospective adult buyers
to smell or handle one of the newly deemed products is not considered
distribution of a ``free sample'' as long as the free product is not
actually consumed, in whole or in part, in the retail facility and the
prospective buyer does not leave the facility with a free tobacco
product. For example, affording adult consumers the opportunity to
handle a cigar will give them the ability to feel the resistance of the
cigar's structure and allow them to clearly see the color of the
product, which is an indication of the fermentation period for the
tobacco. Handling the product also will allow users to capture the
aroma of a cigar and the box (if the cigar is sold in a package).
However, if the prospective buyer lights and draws or puffs on the
cigar to keep it lit, or otherwise uses the free cigar or leaves the
retail establishment with a free cigar (partially used or intact
whole), this would constitute a ``free sample'' in violation of the
restriction on free samples mandated by section 102 of the Tobacco
Control Act. We believe that, in most circumstances, other retail
facilities, including ENDS retail establishments, can similarly allow
customers to touch, hold, and smell their products without violating
the free sample ban. We note that nothing in this policy should be
construed to alter or amend the regulation implementing the free sample
ban at Sec. 1140.16.
(Comment 215) A large number of comments discussed whether FDA
should allow the continued distribution of free samples of the newly
deemed tobacco products. Most comments expressed general support for
the ban on free samples, citing concerns that such samples serve as a
gateway for youth tobacco initiation. Several comments argued that
there is no reason to believe that free samples of pipe tobacco and
premium cigars encourage youth initiation because the samples are
distributed almost exclusively in adult-only retail operations. One
comment claimed that because epidemiological data suggest that the
majority of premium cigar smokers fall into a category where there is
no significant difference in the incidence of disease compared to
never-smokers, banning free samples of premium cigars would have no
corresponding benefit even if it did reduce youth initiation. This
comment also claimed that it would similarly not help prevent youth
access because they assert that, as indicated in a recent SAMHSA
survey, there is no evidence that youth obtain premium cigars at all,
let alone as free samples from retailers.
Several comments, referring specifically to pipe tobacco, premium
cigars, and e-cigarettes, stated that, in light of the lack of evidence
that youth obtain free samples of their products, banning these
samples, which are a vital part of their industries, would only hurt
sales and small businesses without a corresponding public health
benefit. Comments referring to premium cigars and pipe tobacco stated
that free samples of these products are necessary to entice adult
consumers to purchase what are frequently unique and sometimes
expensive products. Comments on e-cigarettes argued that, because their
products are new, free samples are necessary to convince cigarette
users to switch to them.
One comment argued that FDA's proposed ban on free samples
impermissibly restricts commercial speech that is protected by the
First Amendment. The comment stated that while the court in Discount
Tobacco City & Lottery v. United States upheld the Tobacco Control
Act's sampling ban on cigarettes, the evidence the court used to uphold
that ban does not support the same ban for the newly deemed tobacco
products. The comment argued that FDA has presented no evidence that
samples of these products lead to youth initiation and, therefore, the
Agency would not be advancing a legitimate government interest with
this ban. Additionally, the comment suggested that even if the ban did
advance a legitimate government interest, FDA could achieve the same
results through less restrictive means, such as by allowing samples in
qualified adult-only facilities, as FDA does with smokeless tobacco.
(Response) FDA disagrees with the assertions that the proposed ban
on free samples would hurt businesses without corresponding public
health benefits or that this prohibition impermissibly restricts
commercial speech. This prohibition will eliminate a pathway for youth
to access tobacco products, which can help reduce youth initiation and
therefore short-term and long-term morbidity and mortality resulting
from these products. The IOM has stated that free samples of cigarettes
``encourage experimentation by minors with a risk free and cost-free
way to satisfy their curiosity'' (Ref. 30). While the IOM was speaking
in the context of cigarettes, FDA believes that the same rationale
applies to the newly deemed products. In addition, the U.S. Court of
Appeals for the Sixth Circuit held that the free sample ban as applied
to cigarettes does not violate the First Amendment. The court
recognized that FDA has provided ``extensive'' evidence that free
tobacco samples constitute an ``easily accessible source'' for youth
(Discount Tobacco City & Lottery, Inc. v. United States, 674 F.3d 509,
541 (6th Cir. 2012) (citing 61 FR 44396 at 44460, August 28, 1996),
cert. denied sub nom. Am. Snuff Co., LLC v. United States, 133 S. Ct.
1966 (2013)). Moreover, the panel unanimously found that the ban
``embodie[d] a narrow fit between the harm articulated and the
restrictions employed'' (id.). See section II.B.3.a for more detailed
discussion of the constitutionality of the free sample prohibition.
FDA understands concerns from cigar retailers about the effect that
a ban on free samples would have on their ability to promote new
products. FDA wishes to clarify that allowing prospective adult buyers
to smell or handle a cigar is not considered the distribution of a
[[Page 29055]]
``free sample'' as long as the product is not actually consumed, in
whole or in part, in the retail facility and the prospective buyer does
not leave the facility with a free tobacco product. Affording adult
consumers the opportunity to handle the product will give them the
ability to feel the resistance of the cigar's structure, and allow them
to clearly see the color of the product, which is an indication of the
fermentation period for the tobacco. It also will allow users to
capture the aroma of the cigar and the box (if the cigar is sold in a
package). However, if the prospective buyer lights and draws or puffs
on the free cigar or otherwise uses the free cigar or leaves the retail
establishment with a free cigar (partially used or intact whole), this
would constitute a ``free sample'' in violation of the ban on free
samples mandated by section 102 of the Tobacco Control Act. We believe
that, in most circumstances, other retail facilities, including ENDS
retail establishments, can similarly allow customers to touch, hold,
and smell their products without violating the free sample ban.
XII. Requests for Additional Regulations Applicable to Newly Deemed
Products
In the NPRM, FDA noted that certain provisions would automatically
apply to the newly deemed products and that the Agency was proposing
additional restrictions that also would apply to covered tobacco
products. FDA also noted that after the final rule becomes effective,
the Agency would have the authority to issue additional regulations
applicable to the newly deemed products, including product standards
under section 907 of the FD&C Act. Many stakeholders submitted comments
and data regarding the need for additional requirements and
restrictions for the newly deemed products. Some of these requests
would require a separate NPRM, and they will help inform FDA as it
considers additional regulations for newly deemed products.
A. Ban on Flavored Tobacco Products
FDA received numerous comments regarding flavored tobacco products,
including comments expressing concerns regarding the impact of flavors
on youth and young adults and preliminary data regarding some
individuals' use of flavored ENDS products to transition away from
combusted tobacco use. FDA's summary of comments and data regarding
flavored tobacco products is included in section V.B of this document.
FDA's responses to comments regarding a possible ban on flavored
tobacco products are included below.
(Comment 216) Many comments suggested that FDA include a ban on
flavored tobacco products with this final rule. Other comments
suggested that FDA continue to allow the sale of fruit or candy-
flavored e-cigarettes, because they aid cigarette smokers in decreasing
cigarette use and in smoking cessation. These comments generally relied
on a research article that found that most e-cigarette users switched
between flavors on a daily basis or within the day, with former smokers
switching more frequently than current smokers, and that respondents
indicated that flavor variety was ``very important'' in reducing or
quitting smoking (Ref. 62). This survey also noted that almost half of
respondents indicated that a reduction in available flavors would
``increase craving[s] for tobacco cigarettes and would make reducing or
completely substituting smoking less likely'' (id.). Therefore, they
believed that FDA should not sacrifice adults' use of flavored tobacco
products in an attempt to prevent children from using flavored tobacco
products. These comments also noted that flavors are used in other
legally marketed products including nicotine replacement therapies
(NRTs), which are FDA-approved products.
(Response) FDA is not banning flavored tobacco products with this
final deeming rule. To address concerns with the growing flavored cigar
market and its impact on youth and young adult initiation with tobacco
products, FDA is announcing here that it intends to issue in the future
a proposed product standard that would prohibit characterizing flavors
in all cigars, including cigarillos and little cigars.
As discussed in section VIII.F of this document, we recognize that
there is evidence that some individual former smokers may now report
using ENDS (Ref. 24). However, the study referred to in the comments
(Ref. 62) examined self-selected research subjects who were recruited
through an e-cigarette Web site. All respondents were either former
smokers (91.2 percent) or current smokers (8.8 percent); both groups
had smoked on average 22 years before beginning to use ENDS. The
article did not consider whether either the self-selection or the
demographic profile of the respondents might affect the applicability
of its results to any larger population. Moreover, the study did not
address the question of whether study participants would have increased
cigarette use if there were no available flavored ENDS or if the
variety of flavored ENDS were limited. If additional evidence emerges
that flavored ENDS make it more likely that smokers switch completely
to ENDS, such evidence submitted as part of a PMTA would help support
that application, as part of the analysis of whether the marketing of
the product is appropriate for the protection of public health.
Further, new data shows continued growth in youth and young adult
usage of flavored tobacco products. FDA has balanced those concerns
with preliminary data showing that some adults may potentially use
flavored ENDS to transition from combusted tobacco use when developing
the compliance policy for premarket review.
(Comment 217) Many comments responded to FDA's request for data,
research, and information regarding the characteristics or factors it
should consider in determining whether a particular tobacco product is
a ``cigarette'' as defined in section 900(3) of the FD&C Act and,
consequently, subject to the prohibition against characterizing
flavors, despite being labeled as a little cigar or other noncigarette
tobacco product. Several comments stated that little cigars are being
marketed and used as cigarettes and, therefore, FDA should communicate
that such products are subject to the cigarette flavor ban. Other
comments provided information regarding the differences between
cigarettes and little cigars or other noncigarette tobacco products and
indicated that such products should not be subject to the cigarette
flavor ban.
(Response) FDA understands and appreciates comments regarding the
role that flavored little cigars, or similar products, might play on
initiation of tobacco product use and dual use. FDA will continue to
determine whether a product is a ``cigarette'' under the FD&C Act and
subject to the statutory flavor ban on a case-by-case basis.
(Comment 218) One comment stated that section 907(d)(3) of the FD&C
Act, which prohibits FDA from banning certain enumerated tobacco
products, demonstrates that Congress did not intend to grant FDA the
power to ban any tobacco product by any means, including by enacting a
product standard that would be a tantamount ban of newly deemed
products, especially when some of these products present lower risks of
death and disease than the specifically enumerated ones. Some comments
also referred to the difficulty in defining ``characterizing flavor''
in the context of instituting a ban on flavored newly deemed tobacco
products.
[[Page 29056]]
(Response) If FDA decides to issue a product standard, it will do
so in accordance with section 907 of the FD&C Act. Because FDA is not
banning flavored tobacco products with this final deeming rule, it is
not necessary to consider whether and how to define ``characterizing
flavor.''
B. Additional Access Restrictions
(Comment 219) Some comments suggested that FDA require face-to-face
sales for all covered tobacco products, as it does for sales of
cigarettes and smokeless tobacco, as provided in Sec. 1140.14(a)(3).
For example, they suggested that FDA ban self-service displays for
newly deemed tobacco products. They expressed concern that treating
cigarettes and smokeless tobacco differently from other tobacco
products would lead to confusion for retailers and complicate retailer
training programs.
(Response) FDA will continue to monitor this issue and, if it
determines that it is appropriate for the protection of public health
to extend the self-service display prohibition to newly deemed tobacco
products, the Agency will issue a new NPRM in accordance with the APA.
(Comment 220) Some comments suggested that we simultaneously issue
this final rule with an ANPRM seeking additional information to draft a
proposal that would apply the additional restrictions in part 1140
(e.g., ban on self-service displays, the sale and distribution of
nontobacco items, and the sponsorship of events) to newly deemed
products.
(Response) FDA is taking this comment under advisement. If FDA
decides to issue such a proposal, the Agency will comply with the
requirements of the APA.
(Comment 221) A few comments requested that FDA regulate all
dissolvables and other newly deemed products in the same manner it
regulates other tobacco products, including application of all of the
marketing and advertising restrictions in part 1140.
(Response) At this time, FDA is subjecting newly deemed products to
the automatic requirements and covered tobacco products to the
additional provisions (i.e., age and identification requirements,
vending machine restrictions, and health warning requirements)
discussed in this final rule. However, if FDA later determines that
extending such marketing and advertising restrictions to the newly
deemed products is appropriate and meets the applicable standard in
section 906(d), FDA will comply with the requirements of the APA when
implementing such restrictions.
C. Nicotine Exposure Warnings
(Comment 222) Many comments expressed concern about the increase in
nicotine poisonings due to accidental ingestion of e-liquids and
offered suggestions to address this issue: (1) Set a maximum nicotine
content level for e-liquids; (2) require the use of child-resistant
containers; (3) require a poison warning on the packaging and point of
sale for liquid-based products; and (4) set a limit on the allowable
speed of flow of the product from its container (e.g., by requiring a
flow-restricting apparatus on the opening of the container or requiring
a rigid container to prevent quick dispensing of product by squeezing
the container).
(Response) FDA expressed similar concerns about the increase in
nicotine poisonings in the NPRM and section VIII.D. Once this final
rule becomes effective, FDA has authority to issue additional
regulations to address these concerns. In addition, FDA has issued an
ANPRM prior to this deeming rule, seeking comments, data, research, or
other information that may inform regulatory actions FDA might take
with respect to nicotine exposure warnings and the use of child-
resistant packaging. Moreover, elsewhere in this issue of the Federal
Register, FDA has made available draft guidance, which when final will
describe FDA's current thinking regarding some appropriate means of
addressing the premarket authorization requirements for newly deemed
ENDS products, including recommendations for nicotine exposure warnings
and child-resistant packaging that would help to support a showing that
the marketing of a product is appropriate for the protection of the
public health.
XIII. Severability
This rule is being finalized with several changes from the NPRM.
Specific comments regarding proposed codified language, and FDA's
responses to those comments, are included in section VII.
In accordance with section 5 of the Tobacco Control Act, FDA
considers and intends the extension of its authorities over all tobacco
products and the various requirements and prohibitions established by
this rule to be severable. It is FDA's interpretation and position that
the invalidity of any provision of this rule shall not affect the
validity of any other part of this rule. In the event any court or
other lawful authority were to temporarily or permanently invalidate,
restrain, enjoin, or suspend any provision of this final rule, FDA
would conclude that the remaining parts continue to be valid. As stated
in section 5 of the Tobacco Control Act, if certain applications of
this rule to persons or circumstances (discussed in the preamble or
otherwise) are held to be invalid, application of such provisions to
any other person or circumstance will not be affected and will continue
to be enforced to the fullest extent possible. Each provision of the
rule is independently supported by data and analysis as described or
referenced in this preamble and, if issued separately, would remain a
proper exercise of FDA authority.
XIV. Description of the Final Rule--Part 1100
In the NPRM, FDA explained that new part 1100 would describe the
scope of FDA's authority over tobacco products, the requirements that
would apply to tobacco products, applicable definitions, and the
effective date of the rule. We consider and intend the extension of our
authorities over tobacco products and the various requirements and
prohibitions established by this rule to be severable.
A. Section 1100.1--Scope
FDA selects Option 1 with this final rule, deeming all cigars
(rather than a subset), which has been applied throughout the codified
text for parts 1100, 1140, and 1143. Therefore, this section now states
that in addition to FDA's authority over cigarettes, cigarette tobacco,
roll-your-own tobacco, and smokeless tobacco, FDA deems all other
products meeting the definition of ``tobacco product'' under section
201(rr) of the FD&C Act, except accessories of such other tobacco
products, to be subject to chapter IX of the FD&C Act. The definition
of ``accessory'' is now included in Sec. 1100.3 (as discussed in
section VI.A).
B. Section 1100.2--Requirements
Because FDA selected Option 1 for the scope of the deeming rule,
Sec. 1100.2 states that cigarettes, cigarette tobacco, roll-your-own
tobacco, smokeless tobacco are subject to chapter IX of the FD&C Act
and its implementing regulations. In addition, this section states that
FDA has deemed all other tobacco products, except accessories of such
other tobacco products, subject to chapter IX of the FD&C Act and its
implementing regulations.
C. Section 1100.3--Definitions
FDA requested comment on definitions for cigar, covered cigar, and
tobacco product. Because we are
[[Page 29057]]
selecting Option 1 deeming all cigars (rather than a subset) with this
final rule, comments regarding the definition of covered cigar are no
longer relevant to this rulemaking. In addition, FDA received many
comments regarding components, parts, and accessories, including how
they should be defined and the application of requirements to these
objects. We have added definitions of ``component or part'' and
``accessory'' to this section. The discussion of this language is
included in section VI.A.
XV. Description of the Final Rule--Part 1140
Currently, part 1140 generally applies to cigarettes, cigarette
tobacco, roll-your-own tobacco, and smokeless tobacco. FDA proposed
additional provisions to apply to ``covered tobacco products'' (namely,
the requirement to prohibit the sale and distribution of products to
individuals under 18 years of age and the prohibition on vending
machine sales except in adult-only facilities). As stated elsewhere in
this document, ``covered tobacco product'' means any tobacco product
deemed to be subject to the FD&C Act pursuant to Sec. 1100.2, but
excludes any component or part that is not made or derived from
tobacco. FDA is finalizing these requirements without substantive
change. FDA intends to update the current guidance documents for civil
money penalties and frequently asked questions to reflect that
violations of health warning requirements may lead to the issuance of
civil money penalties. We consider and intend the extension of our
authorities over tobacco products and the various requirements and
prohibitions established by this rule to be severable.
A. Section 1140.1--Scope
The NPRM offered several amendments to part 1140 in order to apply
select existing sale and distribution restrictions, including age,
identification, and vending machine provisions, to address youth access
to the deemed tobacco products. As currently written, part 1140
generally applies to cigarettes, cigarette tobacco, roll-your-own
tobacco, and smokeless tobacco products. Accordingly, FDA is finalizing
this rule to add the phrase ``and covered tobacco products'' to Sec.
1140.1(a) and (b) to ensure the products are subject to select existing
restrictions and access provisions. We also have added language to
Sec. 1140.1(a) to clarify the scope of Sec. 1140.16(d).
B. Section 1140.2--Purpose
This final rule adds ``and covered tobacco products'' to indicate
that the purpose of this part is to establish restrictions on the sale,
distribution, and access to covered tobacco products in addition to
those restrictions in place for cigarettes and smokeless tobacco.
Therefore, the final rule states that retailers of the newly deemed
covered tobacco products may not sell them to individuals under 18
years of age and requires retailers of covered tobacco products to
verify the purchaser's birth date by reviewing the individual's
photographic identification. However, as noted in Sec.
1140.14(b)(2)(ii), a retailer is not required to verify the age of any
person who is more than 26 years of age. In addition, Sec.
1140.14(b)(3) prohibits the sale of covered tobacco products using an
electronic or mechanical device such as a vending machine, unless it is
located in a facility where the retailer ensures that no person younger
than 18 years of age is present, or permitted to enter, at any time.
FDA does not intend for section 1140.14(b)(3) to prohibit the sale of
tobacco products via the Internet, but the sale of covered tobacco
products via any medium, including the Internet, must only be to
persons 18 years of age or older. Therefore, any sale of covered
tobacco products over the Internet must comply with the minimum age and
identification requirements in this rule.
C. Section 1140.3--Definitions
In the NPRM, we sought comments on definitions of the following
terms: Cigar, cigarette, cigarette tobacco, covered tobacco product,
distributor, importer, nicotine, package, point of sale, retailer,
smokeless tobacco, and tobacco product. FDA received many comments
regarding whether e-liquids and components, parts, and accessories are
tobacco products. FDA also received many comments regarding the need to
define components, parts, and accessories, which resulted in the
addition of definitions of ``component or part'' and ``accessory'' in
Sec. 1140.3. The discussion of this language in included in section
VI.A. Further, we revised the definition of ``package'' to refer to
``package or packaging.'' We also added a definition of ``roll-your-
own'' to provide further clarity to the definition of ``cigarette.''
D. Section 1140.10--General Responsibilities of Manufacturers,
Distributors, and Retailers
With the selection of Option 1, Sec. 1140.10 now provides that
manufacturers, distributors, importers, and retailers are responsible
for ensuring that the covered tobacco products (in addition to
cigarettes and smokeless tobacco) they manufacture, label, advertise,
package, distribute, import, sell, or otherwise hold for sale comply
with all applicable requirements in part 1140. The revisions to
Sec. Sec. 1140.10 and 1140.14 clarify that the minimum age and
identification requirements and vending machine restrictions apply to
the newly deemed covered tobacco products.
Previously, Sec. 1140.10 stated that each manufacturer,
distributor, importer, and retailer is responsible for ensuring that
its products comply with all applicable requirements under part 1140.
FDA proposed to add ``and covered tobacco products'' to the existing
language of this section to clarify that the provision also applies to
``covered tobacco products'' as defined in Sec. 1140.3. In addition,
FDA proposed that Sec. 1140.10 cover importers, because the Tobacco
Control Act defines ``tobacco product manufacturer'' to include
importers (section 900(20) of the FD&C Act), signaling Congress' intent
for tobacco product importers to be subject to requirements like those
in Sec. 1140.10. FDA is finalizing this section as drafted in the
NPRM.
E. Section 1140.14--Additional Responsibilities of Retailers
FDA proposed to divide this section into responsibilities for
retailers of cigarettes and smokeless tobacco products and
responsibilities for retailers of covered tobacco products. FDA is
finalizing this section as drafted in the NPRM. Therefore, upon the
effective date of this final rule, Sec. 1140.14(a)(1) through (a)(5)
will provide the retailer's responsibilities for the sale of cigarettes
and smokeless tobacco. Section 1140.14(b)(1) through (b)(3) will
provide the retailer's responsibilities for the sale of newly deemed
products.
F. Comments and Responses Regarding Minimum Age and Identification
Requirements
In the NPRM, FDA sought comment regarding whether to prohibit the
sale of newly deemed products to individuals under 18 years of age and
to require photographic identification for individuals aged 26 and
under (which are the same requirements that currently apply to
cigarettes and smokeless tobacco). FDA discussed the benefits of a
uniform minimum age and identification requirement, including: (1)
Decreasing youth access to tobacco products in another jurisdiction
with less stringent requirements; (2) addressing youth misperceptions
that tobacco products without minimum age or identification
requirements are safer; and (3) increasing the ease with which
retailers can comply with minimum age
[[Page 29058]]
and identification requirements for covered tobacco products (79 FR
23142 at 23160 23162). In addition, we expressed our intention to use
an aggressive nationwide enforcement program to increase compliance and
deter youth consumption of tobacco products (79 FR 23142 at 23160).
Nearly all comments supported a minimum age and identification
requirement for the newly deemed tobacco products. FDA is finalizing
these requirements without change. FDA also intends to update the
current guidance documents for civil money penalties and frequently
asked questions to reflect that violation of these provisions may lead
to the imposition of civil money penalties. A summary of comments
regarding these provisions, and FDA's responses, is included in the
following paragraphs.
(Comment 223) Many comments supported FDA's proposal due to the
fact that many of the newly deemed products are easily available. For
example, they noted that tobacco industry documents refer to the
increased frequency with which self-service tobacco products are
stolen, and some of the proposed deemed products (e.g., cigars) are
frequently sold in self-service displays (Ref. 243). They expressed
concern that self-service displays increase the likelihood that minors
will have access to tobacco products.
(Response) FDA agrees that the newly deemed tobacco products are
readily available to consumers. FDA finds that the age and
identification restrictions that are included in this final rule (Sec.
1140.14) will help to limit youth access to the newly deemed tobacco
products. In the event that FDA determines that extending the
prohibition on self-service displays (Sec. 1140.16(c)) to the newly
deemed products is appropriate and meets the applicable standard in
section 906(d), FDA will issue a new NPRM and seek comment.
(Comment 224) Many comments supported the minimum age and
identification requirements for covered tobacco products based on
increased youth use of newly deemed products and the impact of nicotine
on youth. They noted that, according to the CDC, e-cigarette use among
youth doubled from 2011 to 2012, with 1.78 million high school and
middle school students having ever used e-cigarettes (Ref. 108). Others
noted that the 2012 Surgeon General's report stated that youth are more
sensitive to developing nicotine dependence than adults (Ref. 49). In
addition, other comments stated that because minimum age and
identification requirements for covered tobacco products vary among the
states, a uniform age requirement would help prevent youth from
accessing tobacco products in a neighboring state with less stringent
requirements.
(Response) FDA agrees with comments supporting the implementation
of minimum age and identification requirements for covered tobacco
products. As we noted in the NPRM, the goal of the minimum age
restriction is to limit youth access to the newly deemed tobacco
products. FDA concludes that the restrictions included with this final
deeming rule are appropriate for the protection of the public health
because they will reduce youth access to and, therefore, likely limit
use of tobacco products.
(Comment 225) Several comments recommended that FDA raise the
minimum age to purchase tobacco products to 21 years old. They claimed
that a higher minimum age would restrict youth access to social sources
of tobacco products because minors tend to have less contact in their
social network with 21-year-olds than with 18-year-olds (Ref. 244).
They also suggested that the minimum age and identification requirement
should mirror the minimum age requirement for alcohol and marijuana
purchases in some States.
(Response) FDA has determined that minimum age and identification
restrictions, which will apply to all covered tobacco products, are
appropriate for the protection of public health. FDA also will continue
to provide prevention and tobacco product risk awareness campaigns
targeted to youth and young adults. Although section 906(d)(3)(ii)
precludes FDA from raising the minimum age of sale of tobacco products,
section 104 of the Tobacco Control Act required FDA to conduct a study
on the public health implications of raising the minimum age of sale of
tobacco products. This study's report was published (Ref. 245) and can
be found at: https://www.iom.edu/Reports/2015/TobaccoMinimumAgeReport.aspx.
(Comment 226) Several comments discussed Internet sales of tobacco
products. Some comments favored a ban on Internet sales for all tobacco
products, some supported a ban on only certain tobacco products, and
others opposed a ban on Internet sales of any tobacco products.
(Response) As explained elsewhere, under this rule, retailers may
not sell covered tobacco products (through any medium, including the
Internet) to individuals under 18 years of age. FDA will continue to
actively enforce the minimum age restriction for Internet sales. FDA
will consider these comments in the future and continue to assess
whether additional access restrictions would be appropriate.
(Comment 227) Several comments recommended that FDA impose stiff
penalties for noncompliance with minimum age and identification
requirements and institute youth tobacco prevention campaigns and other
actions to effectively reduce youth access to tobacco products.
(Response) As noted in the NPRM, FDA believes that combining the
minimum age and identification restriction with comprehensive and
consistent enforcement, both at the Federal level and in partnership
with States, will decrease the likelihood of youth smoking initiation
(79 FR 23142 at 23161). In addition, FDA will continue to invest in a
number of public education campaigns to help educate the public--
especially youth--about the dangers of tobacco products.
(Comment 228) Several comments recommended that FDA prohibit the
sale of tobacco product components, parts, and accessories (not just
covered tobacco products), including ENDS, to minors under 18 years of
age to provide consistency across the country.
(Response) FDA disagrees. FDA concludes that the application of
minimum age requirements and vending machine requirements to covered
tobacco products, together with its regulation of components and parts
of newly deemed products, will protect the public from the dangers of
tobacco use, discourage initiation, and encourage cessation of use of
such products.
(Comment 229) A few comments suggested that FDA prohibit cigar
sales to individuals under 18 years of age, except for minors serving
in the U.S. military. They argued that there are greater health hazards
for military personnel than using tobacco products.
(Response) We disagree with the suggestion that we provide an
exception for minors in the military. Military personnel face the same
risk of tobacco-related death and disease as civilians. As FDA stated
in the preamble, cigars can contain greater levels of nicotine than
cigarettes; cigar smoking is strongly related to certain cancers; and
in certain circumstances, cigars may be as harmful to a person's health
as cigarettes (79 FR 23142 at 23151, 23156).
(Comment 230) Some comments suggested that retailers record and
retain copies of each purchaser's unexpired driver's license (if the
document includes a photo), an armed forces identification card, or a
valid passport as an acceptable identification to verify a purchaser's
minimum age. Other
[[Page 29059]]
comments recommended that FDA implement a registration requirement for
mail order sale of tobacco products and require carriers to verify that
the seller sending out packages is registered before accepting the
packages for delivery.
(Response) The requirements for photo identification are included
in Sec. 1140.14(b)(2). Retailers may choose any method of
identification verification that complies with this provision. FDA
finds that these requirements are appropriate for the protection of the
public health and declines to adopt the recommendations for additional
requirements at this time. However, we will continue to assess whether
additional requirements regarding identification are appropriate.
G. Comments and Responses Regarding Vending Machines
Consistent with the minimum age and identification provisions, FDA
proposed to ban the sale of covered tobacco products in vending
machines (i.e., requiring face-to-face transactions in retail
facilities) unless the vending machine is located in a facility where
the retailer ensures that individuals under 18 years of age are
prohibited from entering at any time. FDA is finalizing this
requirement without change in Sec. 1140.14. Therefore, upon the
effective date of this final rule, covered tobacco products, including
ENDS and cigars, may not be sold in electronic or mechanical devices
such as vending machines unless the device is in an adult-only
facility. This restriction is appropriate for the protection of the
public health because it will eliminate one more method of youth access
to tobacco products.
A summary of the comments regarding these provisions, and FDA's
responses to them, is included in the following paragraphs.
(Comment 231) Multiple comments supported restricting vending
machines sales to adult-only facilities. They asserted that FDA's
discussion of this issue demonstrates that the vending machine
restriction serves the stated public health purpose of the regulation.
Other comments stated that FDA's rationale for this restriction for
cigarettes and smokeless tobacco also applies to the newly deemed
tobacco products.
(Response) FDA agrees that there is a public health benefit to
limiting vending machines to adult-only facilities. As we stated in the
NPRM, studies show that youth are able to access tobacco products in
vending machines (79 FR 23142 at 23162). Therefore, the vending machine
restrictions are important in preventing youth from gaining access to
these products.
(Comment 232) Several comments suggested that FDA prohibit all
vending machine sales of all tobacco products.
(Response) FDA disagrees with prohibiting all vending machine sales
of all tobacco products. Sections 1140.14(a)(3) and 1140.14(b)(3)
permit the sale of cigarettes and smokeless tobacco products and
covered tobacco products, respectively, in a non-face-to-face exchange
with the assistance of a mechanical device as long as the retailer
ensures that no person younger than 18 years of age is present, or
permitted to enter, at any time. FDA is permitting adult-only
facilities to sell tobacco products in a vending machine because these
locations employ safeguards to prohibit entry to individuals less than
18 years of age. FDA is not seeking to ban adult access to legally
marketed tobacco products.
(Comment 233) Several comments recommended that FDA subject tobacco
product components, parts, and accessories (particularly e-cigarettes)
to the proposed vending machine restrictions. These comments expressed
concern regarding exploding tanks and nicotine poisoning due to
accidental e-liquid exposure.
(Response) FDA agrees that these tobacco product components and
parts can pose public health concerns. At this time, FDA has determined
that it is appropriate for the protection of the public health to
restrict impersonal modes of sale of nicotine-containing components and
parts in vending machines. However, FDA has concluded that it is not
warranted at this time to impose the vending machine restrictions on
components or parts that are not made or derived from tobacco as they
will only be able to deliver nicotine to users by combining them with
covered tobacco products that are subject to the vending machine
restriction (and, therefore, youth cannot access). Accordingly, FDA
believes that the public health will be protected by applying the
vending machine restrictions to components and parts that contain
nicotine or tobacco in order to prevent youth access to these products.
(Comment 234) Some comments suggested that the deeming rule include
a ban on Internet sales. These comments asserted that manufacturers and
retailers are not enforcing age verification effectively and that youth
are able to purchase tobacco products when they are not in the physical
presence of the seller. Several comments also recommended that FDA
require retailers to verify the age of purchasers of newly deemed
tobacco products using methods similar to those found in the Prevent
All Cigarette Trafficking (PACT) Act of 2009 (which ensures the
collection of Federal, State, and local tobacco taxes on cigarettes and
smokeless tobacco sold via the Internet or mail order sales). Other
comments opined that neither the PACT Act nor State laws have been
effective in preventing youth access to tobacco products.
(Response) Under this rule, retailers may not sell covered tobacco
products (through any medium) to individuals under 18 years of age. FDA
will continue to actively enforce the minimum age restriction for mail
order sales and Internet sales. FDA will continue to assess whether
additional access restrictions would be appropriate.
(Comment 235) A few comments stated that because newly deemed
tobacco products are generally not sold in vending machines, there will
be little impact from the proposed vending machine restrictions.
(Response) FDA disagrees. As discussed in the NPRM (79 FR 23142 at
23162), FDA expects that the vending machine restrictions will have a
positive impact by preventing some youth from accessing tobacco
products. Therefore, FDA concludes that this restriction is appropriate
for the protection of the public health.
(Comment 236) A few comments stated that FDA should permit tobacco
product sales through vending machines in all locations. They noted
that technological advancements now allow for accurate non-face-to-face
age verification, including electronic age and identity verification
(EAIV) technology and that the PACT Act already requires retailers to
verify a tobacco product purchaser's name, birth date, and address
through an EAIV database prior to accepting a delivery order.
(Response) FDA disagrees. We explained in the NPRM that other types
of vending machine restrictions, such as electronic locking devices on
vending machines, have not sufficiently limited youth access to tobacco
products (79 FR 23142 at 23162). In addition, vending machines may be
located in facilities that are not as sophisticated as the common
carriers or Internet sellers that are subject to the PACT Act, or these
retailers may not have the financial resources to update their vending
machines to incorporate EAIV technology. Therefore, FDA concludes that
the vending machine restriction is appropriate for the protection of
public health.
[[Page 29060]]
XVI. Description of the Final Rule--Part 1143
In the proposed deeming rule, FDA proposed to add part 1143, which
would mandate the use of ``required warning statements'' for covered
tobacco products, as well as for roll-your-own and cigarette tobacco,
for which health warnings are not already required by Federal statutes
or regulations. As stated throughout this document, FDA has selected
Option 1 with this final rule. Therefore, these requirements apply to
all newly deemed covered tobacco products, including premium and other
types of cigars. We consider and intend the extension of our
authorities over tobacco products and the various requirements and
prohibitions established by this rule to be severable.
A. Section 1143.1--Definitions
In the NPRM, FDA sought comment on definitions for the following
terms: Cigar, covered cigar, covered tobacco product, package, required
warning statement, and roll-your-own tobacco. As stated throughout this
document, FDA has selected Option 1 as the scope of this rule.
Therefore, the definition of covered cigar is unnecessary and has been
removed from this section. We also added definitions of point-of-sale,
retailer, and tobacco product. These terms are used in part 1143 and
were already included in parts 1100 and 1140.
FDA received many comments regarding the need to define components,
parts, and accessories, which resulted in the addition of definitions
of ``component or part'' and ``accessory'' in Sec. 1140.3. The
discussion of this language in included in section VI.A. In addition,
we included a definition of ``cigarette tobacco'' given that the health
warning requirements apply to covered tobacco products, roll-your-own
tobacco, and cigarette tobacco. We also have added a definition of
``principal display panels'' to address comments suggesting that a
definition was necessary to comply with this part. The term ``principal
display panels'' is defined as the panels of a package that are most
likely to be displayed, presented, shown, or examined by the consumer.
B. Section 1143.3--Required Warning Statement Regarding Addictiveness
of Nicotine
Proposed Sec. 1143.3 included a requirement that any person who
manufactures, sells, offers to sell, distributes, or imports for sale
or distribution within the United States, cigarette tobacco, roll-your-
own tobacco and covered tobacco products other than cigars must include
the following warning statement on each product package and in each
advertisement: ``WARNING: This product contains nicotine derived from
tobacco. Nicotine is an addictive chemical.'' The NPRM provided that a
manufacturer could submit a certification that its tobacco product does
not contain nicotine and notify FDA that it intends to use the
alternative warning statement: ``This product is derived from
tobacco.'' FDA also proposed size and placement requirements for the
use of this warning statement on packages and in advertisements.
Upon review of the comments, FDA is revising the language of this
warning to read: ``WARNING: This product contains nicotine. Nicotine is
an addictive chemical.'' The alternative warning statement is also
revised to read: ``This product is made from tobacco.'' This warning
will be required to appear on at least 30 percent of the two principal
display panels of the package and at least 20 percent of the area of
the advertisement. We also added language to Sec. 1143.3(a) to clarify
that the warning statement must be printed in at least 12-point font
size in order to be clear and legible.
Further, we added language to Sec. 1143.3(a)(3)(ii) to clarify
when a retailer of any tobacco product covered by paragraphs (a)(1) and
(2) of this section will not be in violation of this section for
packaging that does not comply with these requirements. This final rule
provides that a retailer will not be in violation if the package: (1)
Contains a health warning; (2) is supplied to the retailer by a tobacco
product manufacturer, importer, or distributor, who has the required
state, local, or TTB-issued license or permit, if applicable
(consistent with the language in Sec. 1143.5(a)(4)(ii)); and (3) is
not altered by the retailer in a way that is material to the
requirements of this section.
In addition, in response to comments regarding minimum font size
for advertisements, we have revised Sec. 1143.3(b)(2)(ii) to include a
12-point minimum font size for the warnings on advertisements. We note
that the warning also needs to occupy ``the greatest possible portion
of the warning area set aside for the required text.'' Therefore, a
print advertisement would require a much larger font size in order to
comply with this requirement.
Given that comments expressed uncertainty as to how the self-
certification process in Sec. 1143.3(c) would work, we also included
language in this section to further clarify this process. This section
now provides that the certification statement can be submitted by the
tobacco product manufacturer to FDA. FDA recommends that all data used
to support the self-certification, or copies of the data, be maintained
at the manufacturing facility or another location that is reasonably
accessible to the manufacturer and to any officers or employees duly
designated by the Secretary, which includes FDA employees. These data,
including data not stored at the inspected facility, should be made
readily available for copying or inspection by an officer or employee
duly designated by the Secretary. Manufacturers interested in
submitting a certification statement may contact CTP at 1-877-CTP-1373
for more information regarding this submission.
Further, in response to comments, we added Sec. 1143.3(d), which
states that, if a product package is too small or otherwise unable to
accommodate a label with sufficient space to bear such information, it
will be exempt from the requirement to place the warning statement
directly on the product package if the warning appears on the outer
carton or other outer container or wrapper or on a tag otherwise
permanently affixed to the tobacco product package. Under this
provision, the warning statement must be printed using the
specifications required in Sec. 1143.3(a)(1) and (a)(2). In these
cases, the outer carton, outer container, wrapper, or tag would serve
as the location for the principal display panels. If a tag is used for
the principal display panels, both sides of the tag must be visible to
the consumer. The warning statements must be printed on both sides of
the tag to comply with Sec. 1143.3(a)(2).
We also note that this requirement in Sec. 1143.3 applies to
cigarette tobacco, roll-your-own tobacco, and covered tobacco products
other than cigars. Both cigarette tobacco and roll-your-own tobacco are
defined in Sec. 1143.1. This warning requirement does not apply to
smokeless tobacco products. Smokeless tobacco products must meet the
warnings requirements in CSTHEA (15 U.S.C. 4401 et seq.).
C. Section 1143.5--Required Warning Statements for Cigars
In Sec. 1143.5, FDA proposed warnings for the cigars that would be
covered under this final rule. In addition to the addictiveness
warning, FDA proposed that all cigars (except those sold individually
and not in product packages) would be required to include
[[Page 29061]]
the following warnings on packages and in advertisements:
WARNING: Cigar smoking can cause cancers of the mouth and
throat, even if you do not inhale.
WARNING: Cigar smoking can cause lung cancer and heart
disease.
WARNING: Cigars are not a safe alternative to cigarettes.
WARNING: Tobacco smoke increases the risk of lung cancer
and heart disease, even in nonsmokers.
FDA also proposed size and placement requirements for the warning
statements on packages and in advertisements. FDA is finalizing these
warning requirements in accordance with Option 1 deeming all cigars
(rather than a subset). Further, FDA is adding an additional warning
statement (WARNING: Cigar use while pregnant can harm you and your
baby.) with an optional alternative statement (SURGEON GENERAL WARNING:
Tobacco Use Increases the Risk of Infertility, Stillbirth and Low Birth
Weight) as discussed in section XVI.H.16.
Therefore, the full list of required warnings for use on cigar
packages and in cigar advertisements is as follows:
WARNING: This product contains nicotine. Nicotine is an
addictive chemical.
WARNING: Cigar smoking can cause cancers of the mouth and
throat, even if you do not inhale.
WARNING: Cigar smoking can cause lung cancer and heart
disease.
WARNING: Cigars are not a safe alternative to cigarettes.
WARNING: Tobacco smoke increases the risk of lung cancer
and heart disease, even in nonsmokers.
WARNING: Cigar use while pregnant can harm you and your
baby. (Or, as an optional alternative statement: SURGEON GENERAL
WARNING: Tobacco Use Increases the Risk of Infertility, Stillbirth and
Low Birth Weight.)
The health warnings are required to appear on at least 30 percent of
each of the two principal display panels of the package and on at least
20 percent of the area of the print advertisements and other
advertisements with a visual component. As we did for Sec.
1143.3(a)(2)(ii) and (b)(2)(ii), we added language to Sec.
1143.5(a)(2)(ii) and (b)(2)(ii) to clarify that the font used for
warnings on packaging and advertisements must be at least 12-point font
size in order to be clear and legible. We note that the warning also
must occupy ``the greatest possible portion of the warning area set
aside for the required text.'' Therefore, a print advertisement would
require a much larger font size in order to comply with this
requirement.
For packages, the six warnings for cigars (five specifically for
cigars and the one addictiveness warning) will be required to be
randomly displayed in each 12-month period, in as equal a number of
times as is possible on each brand of cigar sold in product packaging
and randomly distributed in all areas of the United States. This random
display and distribution must be done in accordance with a warning plan
submitted to, and approved by, FDA. For advertisements, the warnings
must be rotated quarterly in alternating sequence in each advertisement
for each brand of cigar in accordance with a warning plan submitted to,
and approved by, FDA. Warning plans must be submitted for FDA review
and approval by responsible manufacturers, distributors, importers, and
retailers by 1 year after the date of publication of the final rule
(however, all other part 1143 requirements shall take effect 2 years
after the publication date of this final rule).
In the NPRM, FDA did not have a separate section (with its own
effective date) explicitly requiring the submission of warning plans
with its own effective date. Rather, the sections of part 1143
requiring random display and distribution of warning statements for
packaging and quarterly rotation of warning statements for
advertisements (for which FDA proposed a 2-year effective date) stated
that such random display and distribution and quarterly rotation be
done in accordance with a warning plan submitted to and approved by
FDA. Thus, those provisions implicitly required that submission of the
warning plan and approval by FDA be done prior to the 2-year effective
date by which manufacturers must comply with the plan. FDA has added
Sec. 1143.5(c)(3) to specifically include the requirement to submit a
proposed warning plan. (See section XVI.H.17 for additional information
regarding the warning plan requirement and timeframe for submission.)
The same warning statement requirements will apply to cigars sold
individually and not in product packages.\15\ However, instead of being
required to place warnings directly on these product packages,
retailers will be required to post signage at the point of sale listing
the six warnings (five specifically for cigars and one addictiveness
warning) on a minimum of 8.5 x 11 inch sign. The rule requires that the
sign be placed on or within 3 inches of each cash register where
payment is made and the sign is unobstructed in its entirety and can be
easily read by each consumer making a purchase.
---------------------------------------------------------------------------
\15\ In general, pursuant to the Internal Revenue Code at 26
U.S.C. 5751, a tobacco product cannot be sold at retail unless it is
in the package in which the product is removed, upon payment of
Federal excise tax, from the factory or from customs custody.
Section 5751(a)(3) and TTB regulations at 27 CFR 46.166(a) state
that tobacco products may be sold, or offered for sale, at retail
from such packages, provided the products remain in the packages
until removed by the customer or in the presence of the customer.
---------------------------------------------------------------------------
D. Section 1143.7--Language Requirements for Required Warning
Statements
Consistent with section 3(b) of CSTHEA (15 U.S.C. 4402(b)), FDA
proposed in Sec. 1143.7 that the warning statement appear in the
English language, with two exceptions. First, under Sec. 1143.7(a), if
an advertisement appears in a non-English language publication, the
required warning statement would be required to appear in the
predominant language (i.e., the primary language used in the
nonsponsored content) of the publication. Second, under Sec.
1143.7(b), if an advertisement is in an English language publication
but the advertisement is presented in a language other than English,
the required warning statement would be required to appear in the same
foreign language as that principally used in the advertisement. FDA is
finalizing this section as proposed in the NPRM with one change; given
that FDA has noted throughout this document that the health warning
requirements apply to advertisements in any medium, we have changed the
references from ``publication'' to ``medium'' in this section.
E. Section 1143.9--Irremovable or Permanent Required Warning Statements
FDA proposed that the warning statements for covered tobacco
products be indelibly printed on or permanently affixed to packages and
advertisements. FDA is finalizing this requirement without change.
F. Section 1143.11--Does Not Apply to Foreign Distribution
FDA proposed to limit the applicability of the health warning
requirements by clarifying that they would not apply to manufacturers
or distributors of tobacco products that do not manufacture, package,
or import the products for sale or distribution within the United
States. FDA is finalizing this requirement.
[[Page 29062]]
G. Section 1143.13--Effective Date
In the NPRM, FDA sought comment regarding the effective date of the
health warning requirements. FDA proposed that these requirements would
take effect 24 months after the date that the final rule publishes in
the Federal Register and all products manufactured on or after the
effective date must include the required warning statements on their
labels.
This means that:
After the effective date, no manufacturer, packager,
importer, distributor, or retailer of cigarette tobacco, roll-your-own
tobacco, cigars, or other covered tobacco products may advertise any
such product if the advertisement does not comply with this rule;
After the effective date, no person may manufacture for
sale or distribution within the United States any such product the
package of which does not comply with this rule;
Beginning 30 days after the effective date, a manufacturer
may not introduce into domestic commerce, any such product,
irrespective of the date of manufacture, if its package does not comply
with this rule;
After the effective date, a distributor or retailer may
not sell, offer to sell, distribute, or import for sale or distribution
within the United States any such product the package of which does not
comply with this regulation, unless the covered tobacco product was
manufactured prior to the effective date; and
After the effective date, however, a retailer may sell
covered tobacco products in packages of which do not have a required
warning if the retailer demonstrates it falls outside the scope of this
rule as described in Sec. Sec. 1143.3(a)(3) and 1143.5(a)(4).
In addition to proposed Sec. 1143.13, we added paragraph (b)
indicating that the requirement to submit a warning plan pursuant to
Sec. 1143.5(c)(3), describing the random display and distribution of
warning statements on cigar packages and the quarterly rotation of
warning statements in cigar advertisements, will take effect 12 months
after the date of publication of this final rule. FDA is establishing
this effective date at 12 months before the effective date of the
required warnings for cigars described under part 1143 (24 months after
the publication of the final rule) because the Agency anticipates that
there will be a need for communication with submitters during its
review of the warning plan submissions. This submission deadline also
helps FDA to ensure that its surveillance program for compliance with
the warning label requirements under section 1143 is implemented as of
the effective date of 24 months after the publication of the final
rule. FDA intends to work with manufacturers, importers, distributors,
and retailers to get an approved warning plan in place. Cigar entities
may wish to contact FDA to discuss the submission of their warning
plans in order to make the subsequent approval process more orderly and
efficient. See section XVI.H.17 for additional information regarding
the warning plan requirement.
H. Comments and Responses Regarding Required Warning Statements
1. General
(Comment 237) Several comments urged FDA to clearly define
``advertisement'' in the final rule as it is unclear what constitutes
an advertisement that must contain the required warning statements. At
least one comment suggested that the final rule contain language
explaining that any statement regarding the availability of tobacco
products in a store does not by itself constitute an advertisement.
(Response) FDA does not believe it is necessary to include a
definition of ``advertisement'' in this final rule, but notes that for
purposes of this rule, the term ``advertisement'' should be interpreted
broadly and should be interpreted to include statements regarding the
availability of tobacco products.
In addition, advertisements subject to this final rule may appear
in or on, for example, promotional materials (point-of-sale or non-
point-of-sale), billboards, posters, placards, published journals,
newspapers, magazines, other periodicals, catalogues, leaflets,
brochures, direct mail, shelf-talkers, display racks, Internet Web
pages, television, electronic mail correspondence, and also include
those communicated via mobile telephone, smartphone, microblog, social
media Web site, or other communication tool; Web sites, applications,
or other programs that allow for the sharing of audio, video, or
photography files; video and audio promotions; and items not subject to
the sale or distribution ban in Sec. 1140.34. FDA intends to provide
guidance on how to comply with the health warning requirements on
unique types of media.
(Comment 238) Several comments noted that the proposed cigar
warnings are appropriate for the protection of public health. The
comments noted that the rule would enhance public health by extending
the labeling requirements beyond the seven manufacturers currently
required to use them under the FTC consent decrees, by providing for
random display on cigar packages and rotation in advertisements, and by
requiring point-of-sale warnings for cigars sold individually that are
not packaged. The comment also noted that the substance of each warning
is strongly supported by the available scientific evidence. However,
several comments took issue with the proposed warnings for premium
cigars, claiming that they lack a sound scientific basis.
(Response) FDA finds there is a strong scientific basis to require
health warnings on cigar packages and in cigar advertisements (as well
as on signs for unpackaged cigars), which was extensively discussed in
the NPRM (79 FR 23142 at 23167 through 23170).
(Comment 239) Several comments stated that the NPRM is unclear
regarding the requirement to develop and submit rotation plans for
warnings signs required where cigars are sold individually and not in a
product package. One comment stated that the final rule should make
clear that this obligation falls on cigar manufacturers and not on
retailers that sell cigars. Another comment stated that retailers
should be responsible for creating and posting the point of sale signs.
(Response) To clarify, retailers of cigars sold individually and
not in product packaging are not required to submit a warning plan for
warnings on packages, because the warning signs posted at a retailer's
point-of-sale would include all six warnings applicable to cigars, as
we have noted above in our discussion of Sec. 1143.5(c)(1). Cigar
retailers would be responsible for creating and posting these signs in
accordance with Sec. 1143.5(a)(3)(i)-(iv). Therefore, there is no need
to rotate these health warnings, nor is it necessary to submit a
rotational warning plan for them. However, manufacturers must submit a
warning plan for advertisements, as the rule requires manufacturers of
all cigars to include warnings in advertisements that must be rotated
quarterly in alternating sequence in each advertisement for each brand
of cigar. Similarly, retailers who are responsible for or direct their
own cigar advertising must submit a warning plan for those
advertisements.
(Comment 240) One comment suggested that FDA adopt labeling rules,
similar to those proposed for premium cigars, for e-cigarette products
that are sold without packaging (i.e., require signage at the point of
sale for stores selling e-cigarettes rather than require labels on
their packages).
(Response) Unlike cigars sold individually and not in product
[[Page 29063]]
packages, ENDS and any e-liquids containing nicotine that are sold
separately are sold in some sort of packaging on which the
addictiveness warning can be provided. Therefore, it is not necessary
at this time to instead require warnings at the point-of-sale. The
warning requirements in this final rule are appropriate for the
protection of the public health because they provide information to the
consumers each time they use the product.
2. Continuum of Risk
(Comment 241) Several comments asserted that different product
categories should carry different health warnings relative to the
health risk the products present to adult consumers. They also thought
that, in view of the continuum of risk, the size of the proposed
addictiveness warning on e-cigarettes and other noncombusted products
is too large and the location too prominent. For example, one comment
suggested that FDA require that this warning be smaller for these
products than for smokeless tobacco products (i.e., 20 percent of the
principal display panel) and it should appear only on one of the
principal display panels of the package. Another comment noted that,
because of its relative size and placement, the proposed e-cigarette
warning could deter combusted cigarette smokers from switching to a
noncombusted product based on a misunderstanding of the relative risks
of smoking versus electronic and noncombusted products. This comment
suggested that the warning on e-cigarettes should be no larger or more
prominently located than the currently required cigarette warnings.
(Response) FDA disagrees. As discussed in section VIII, though FDA
recognizes the existence of a continuum of nicotine-delivering
products, all tobacco products are addictive and potentially dangerous.
There is a public health benefit to warning consumers regarding the
addictiveness of nicotine, regardless of how it is delivered. Numerous
studies show that the likelihood that warnings are seen and noticed
depends upon their size and position. (Refs. 36, 37, 38, 39; see
section II.B.4). In addition, as mentioned in section VIII.C, study
results have been inconclusive about the effects of ENDS products on
the population. FDA does not believe, at this time, that it has
sufficient evidence about the risks of ENDS products to justify the use
of different warnings sizes and to determine the appropriate size for
each product category. FDA will continue to monitor research regarding
the health effects of different types of ENDS.
As to the comment that e-cigarette warnings should be no larger or
more prominently located than currently required for cigarettes, the
final rule requires the warnings to appear on at least 30 percent of
the two principal display panels of the package, and at least 20
percent of the area of advertisements. These are the same warning sizes
that Congress established for smokeless tobacco in the Tobacco Control
Act. 15 U.S.C. 4402(a)(2)(A), (b)(2)(A). In the same Act, Congress
prescribed an even larger size for cigarette warnings: 50 percent on
the front and rear panels of cigarette packaging (and the same 20
percent size for cigarette advertisements) (id. Sec. 1333(a)(2),
(b)(2)). However, the larger warning sizes required for cigarettes have
not yet been implemented because the final rule was challenged in
court, and on August 24, 2012, the United States Court of Appeals for
the District of Columbia Circuit vacated the rule and remanded the
matter to the Agency. R.J. Reynolds Tobacco Co., v. Food & Drug
Administration, 696 F.3d 1205 (D.C. Circuit 2012), overruled on other
grounds by Am. Meat Inst. v. U.S. Dep't of Agric., 760 F.3d 18, 25
(D.C. Cir. 2014) (en banc). On December 5, 2012, the Court denied the
government's petition for panel rehearing and rehearing en banc, and
FDA decided not to seek further review of the Court's ruling. FDA is
conducting research that aims to support a new rulemaking consistent
with the Tobacco Control Act (see Generic Clearance for the Collection
of Qualitative Data on Tobacco Products and Communications (OMB Control
Number 0910-0796) and Pretesting of Tobacco Communications (OMB Control
Number 0910-0674)). For smokeless tobacco packaging, the warning labels
must be located on the two principal display panels and cover at least
30 percent of each panel (15 U.S.C. 4402(a)(2)(A)), which is consistent
with the warning labels required for newly deemed tobacco products.
(Comment 242) Several comments stated that informing consumers that
tobacco products are addictive by requiring an addictiveness warning
does not fulfill any useful public health goal. These comments believed
that it is misleading to describe all nicotine-containing products as
addictive without describing the relative risk of the products.
(Response) FDA disagrees. The addictive nature of tobacco products
has been well documented. The Surgeon General has long recognized the
addictive nature of tobacco products due to the presence of nicotine,
which is highly addictive and can be absorbed into the bloodstream
(Ref. 1). Congress also expressed concern about the addictiveness of
these ``inherently dangerous products'' (section 2(2) of the Tobacco
Control Act). Because the covered tobacco products are made or derived
from tobacco and most (if not all) contain nicotine, they are likely
addictive (Refs. 14, 246, 247, 248, 249). For products that do not
contain nicotine (i.e., no nicotine at detectable levels), the rule
provides for an alternative warning statement, ``This product is made
from tobacco.''
Consumers, especially youth and young adults, wrongly believe that
many tobacco products covered by this rule are less addictive than
cigarettes; systematically underestimate their vulnerability to
becoming addicted to nicotine and the use of tobacco products; and
overestimate their ability to stop using tobacco products when they
choose (79 FR at 23158-59, 23166). The addictiveness warning will help
consumers understand and appreciate the consequences of using tobacco
products. The addictiveness warning will help ensure that youth and
young adults, who may be more susceptible to the addictiveness of
nicotine, have a greater awareness of the presence of nicotine and the
addictiveness of these products before they might become addicted.
Additionally, any manufacturer that wishes can submit an MRTP
application to FDA to show that its product is less hazardous than
another tobacco product. When the Tobacco Control Act was passed,
Congress found that unless tobacco products that purport to reduce the
risks to the public of tobacco use actually reduce such risks, those
products can cause substantial harm to the public health (section 2(37)
of the Tobacco Control Act). Furthermore, Congress noted that the
dangers of products sold or distributed as MRTPs that do not in fact
reduce risk are so high that FDA must ensure that statements about
MRTPs are complete, accurate, and relate to the overall disease risk of
the product (section 2(40) of the Tobacco Control Act). Accordingly,
Congress determined that manufacturers must demonstrate that such
products meet a series of rigorous criteria, and will benefit the
health of the population as a whole before they may be marketed to
reduce the harm or the risk of tobacco-related disease or to reduce
exposures to harmful substances associated with tobacco products
(section 911 of the FD&C Act (21 U.S.C. 387k)). If new research on the
relative risks presented by the use of smokeless
[[Page 29064]]
tobacco products and ENDS products emerges, FDA may consider proposing
changes to the warning label requirements. If it does, the Agency will
initiate a new rulemaking in accordance with the APA.
3. Warning Requirements for Other Media
(Comment 243) Several comments stated that FDA should clarify the
application of the proposed warnings to television and radio
advertisements, as well as in catalogs, on Internet sites, and on
social media. One comment recommended that advertisers be required to
include a voiceover stating the warning out loud, in a clear,
conspicuous, and neutral manner. Another comment suggested that FDA
clarify in the final regulation that Sec. 1143.3(b) applies only to
print advertising and not to radio and broadcast advertising.
(Response) FDA clarifies that Sec. 1143.3(b)(1) applies to
cigarette tobacco, roll-your-own tobacco, and covered tobacco products
except for cigars as they have their own warning requirements as
enumerated in Sec. 1143.5(b)(1). The FCLAA (15 U.S.C. 1331 et seq.),
as modified by the Little Cigar Act of 1973 (Pub. L. 93-109), makes it
unlawful to advertise ``cigarettes'' and ``little cigars'' on any
medium of electronic communication subject to the jurisdiction of the
Federal Communications Commission (15 U.S.C. 1333). In 1986, Congress
enacted CSTHEA (15 U.S.C. 4401 et seq.), extending the broadcast ban to
include advertisements for smokeless tobacco products.
FDA further clarifies that the requirements to include a warning in
Sec. 1143.3(b)(1) and Sec. 1143.5(b)(1) apply to all forms of
advertising, regardless of the medium in which it appears, for
cigarette tobacco, roll-your-own tobacco, and covered tobacco products,
including cigars. This final rule applies to advertisements appearing
in or on, for example, promotional materials (point-of-sale and non-
point-of-sale), billboards, posters, placards, published journals,
newspapers, magazines, other periodicals, catalogues, leaflets,
brochures, direct mail, shelf-talkers, display racks, Internet Web
pages, television, electronic mail correspondence, or be communicated
via mobile telephone, smartphone, microblog, social media Web site, or
other communication tool; Web sites, applications, or other programs
that allow for the sharing of audio, video, or photography files; video
and audio promotions; and items not subject to the sale or distribution
restriction in Sec. 1140.34. Accordingly, the language of Sec. Sec.
1143.3(b)(2) and 1143.5(b)(2) have been changed to clarify that the
formatting requirements only apply to print advertisements and other
advertisements with a visual component. FDA intends to provide guidance
on how to comply with the health warning requirements on unique types
of media.
4. Appropriateness of Required Warnings To Protect Public Health
(Comment 244) In response to FDA's request in the NPRM, comments
included data and research regarding the effectiveness of health
warnings. They submitted research indicating a need for accurate health
warnings that are large enough to be readable (Refs. 3, 40) and grab
the consumer's attention (Ref. 40). Comments also submitted research
indicating that warning labels influence and increase awareness of the
health risks associated with tobacco (Ref. 36, 37, 250) and discourage
initiation in nonsmoking youth (Ref. 251). One comment cited other
research which found that novel information presented to smokers was
associated with greater relevance of the message and motivation to quit
(Ref. 252).
(Response) FDA agrees that health warnings are an effective means
to help consumers understand and appreciate the risks of using tobacco
products.
(Comment 245) Many comments supported the requirement for all
tobacco products to contain health warnings. For example, one comment
cited WHO's 2011 report on the Global Tobacco Epidemic, which states
that effective warning labels increase smokers' awareness of health
risks and increase the likelihood they will think about reducing
tobacco consumption and quitting (Ref. 253). The comment also cited a
cohort study of textual warnings in the United Kingdom, before and
after they were enhanced in 2003 to meet the minimum FCTC standard
(Ref. 37). This study found that, after the enhanced warnings were
implemented, UK smokers were more likely to think about quitting, to
think about the health risks of smoking, and to be deterred from having
a cigarette compared to smokers in Australia and the United States
where smaller warnings did not conform to FCTC standards. Another
comment stated that required warning statements on packages and
advertisements should provide needed information to consumers in a
conspicuous and clear manner.
(Response) FDA agrees. Health warnings on packages and
advertisements help consumers to understand and appreciate the health
risks of tobacco use and have a number of advantages. The frequency of
exposure is high. In addition, package warnings are delivered both at
the time of tobacco product use and at the point of purchase. Thus, the
messages are delivered to tobacco users at the two most important
times--when users are considering using or purchasing the tobacco
product. The messages on packages also help the public at large,
including potential tobacco users, better understand and appreciate the
health and addictiveness risks of using the products. (See In re
Lorillard et al., 80 FTC 455 (1972); FCLAA; CSTHEA.)
5. Staleness of Warnings
(Comment 246) Several comments noted that requiring only a single
health warning for some newly deemed tobacco products does not allow
for rotation and the warning will likely grow stale, resulting in
little to no effect on consumers. They argued that FDA should require
multiple warnings for the newly deemed products to allow for rotation
and to maintain their effectiveness. Additionally, comments urged FDA
to revise this warning and the other required health warnings as new
evidence emerges on the health risks associated with tobacco products.
(Response) FDA acknowledges that the use of a single health warning
for some newly deemed tobacco products could allow the warning to grow
stale over time. While FDA declines to add additional warnings at this
time, FDA issued an ANPRM prior to this deeming rule, seeking comments,
data, research, or other information that may inform regulatory actions
FDA might take with respect to nicotine exposure warnings. FDA also
intends to conduct research and keep abreast of scientific developments
regarding the efficacy of the final health warnings and the ways in
which their efficacy could be improved. FDA will use the results of
this monitoring and research to help determine whether any of the
warning statements should be revised, or if any additional warning
statements should be added, in a future rulemaking.
6. Other Format Issues
(Comment 247) There were several comments on the general format of
the health warnings. One comment stated that the warning provisions
should require black text on a bright yellow background. According to
the comment, researchers have found that yellow seizes attention, is
the most noticeable, is the color the eye perceives fastest, and
universally signals warning or danger (Refs. 254, 255). Another comment
suggested that the front of the
[[Page 29065]]
package should include a short and explicit warning statement that is
large enough to be readily visible and readable, and the back of the
package should contain a warning large enough to more fully develop the
basis for the front warning statement. The comment noted that the
combination of short and salient health claims on the front of the
package with more fully developed health information on the back would
produce better consumer awareness and understanding, and greater
believability of the health claim in the mind of the consumer. Finally,
several comments stated that newly deemed products should be required
to display large graphic warnings.
(Response) FDA declines to make these suggested changes at this
time. The format requirements included with this final rule are similar
to those included in a 2001 EU directive, which have been shown to
increase the effectiveness of health warnings. EU Directive 2001/37/EC
requires that tobacco warnings in all member countries meet certain
minimum standards that are similar to those that FDA is finalizing here
(i.e., the EU required health warnings comprise 30 percent of the area
on the front of package and 40 percent on the back of the package; are
in black Helvetica bold type on a white background; occupy the greatest
possible proportion of the warning area set aside for the text
required; and messages are centered in the warning area and surrounded
by a black border of 3 to 4 millimeters (mm) in width). Before the 2001
Directive, warnings in most EU countries were very small and general.
In one study conducted for the European Commission, a majority of
respondents stated that the Directive's new warning format was more
effective and more credible than the previous format (Ref. 256). A
study of Spanish university students also concluded that text warnings
based on the Directive significantly increased perceptions of the risk
of tobacco products (Ref. 257). Additionally, studies showed that the
requirement that the warnings appear in black text on a white
background or white text on a black background improved the legibility
and noticeability of the warnings (Refs. 7, 38).
FDA believes that the prescribed format of the health warnings will
be effective in helping consumers better understand and appreciate the
risks of these products. However, FDA intends to conduct research and
keep abreast of scientific developments regarding the efficacy of the
final health warnings and the ways in which their efficacy could be
improved. If FDA determines that modification of the format
requirements is appropriate, we will consider changing these
requirements in a future rulemaking.
(Comment 248) FDA received a large number of comments regarding the
size of the required health warnings. Several comments agreed with the
format requirements proposed in the rule. One comment cited a study
concluding that youth and adults are more likely to recall larger
warnings, rate larger warnings as having greater impact, and often
equate the size of the warning with the magnitude of the risk (Ref.
36). The comment also stated that requiring health warnings that cover
at least 30 percent of the front and back of cigarette packages is
consistent with the FCTC.
Several comments argued that the required health warnings are too
large. One comment stated that if the warnings are too large, they
could have the unintended effect of making consumers numb to the
warning message or otherwise lead to consumers ignoring the warning.
Another comment stated that the size of FDA's proposed addictiveness
warning should be evaluated in the context of the other information
that already appears on the packaging of noncombusted tobacco products.
This comment asserted that packaging for certain newly deemed products
includes detailed warnings and other information important to reduce
risks from inappropriate use or handling of the product and that such
information may not fit on the package if the proposed health warning
occupies 30 percent of the principal display.
Several comments stated that the proposed warning statement should
not be required on cigars sold individually and not in product
packages. One cigar retailer stated that requiring warnings on 30
percent of the principal display panels would be excessive. The comment
believed that a health warning covering 30 percent of each cigar box
would be excessive when there are multiple boxes, particularly when
combined with the requirement for a warning sign at the point of sale.
Another comment asserted that the size of the proposed health warnings
would be inconsistent with the First Amendment.
Other comments argued that FDA should require larger health
warnings. One comment stated that numerous studies show that youth and
adults are more likely to recall larger warning messages and rate
larger messages as having a greater impact (Ref. 37). Another comment
stated that the FCTC suggests that warnings should cover 50 percent or
more of a pack's principal surface, a standard adopted by a number of
countries.
(Response) FDA finds that the required size of the health warnings
is appropriate for the protection of public health. The IOM, Congress,
and Article 11 of the FCTC recognize the importance of having the
warnings cover at least 30 percent of the area of the principal display
panels, and users are more likely to recall warnings that are a larger
size and that appear on the front/major surfaces of the tobacco package
(Ref. 7). The 30-percent warning label area requirement for product
packages is also consistent with the size requirements for similar
text-only warnings for smokeless tobacco mandated by Congress in CSTHEA
(15 U.S.C. 4402(a)(2)(A)). FDA does not believe that the 30-percent
warning label area requirement will make consumers numb to the warning
message. Rather, FDA believes that the size of the warnings will be
effective in helping consumers better understand and appreciate the
critical information presented by the health warning.
FDA also believes that the 30-percent warning label area
requirement is consistent with the First Amendment (as discussed in
section II.B). Although the warning will occupy at least 30 percent of
the packaging, there will remain sufficient space for additional
warnings, manufacturer instructions, and branding. However, FDA intends
to conduct research and keep abreast of scientific developments
regarding the efficacy of the health warnings in the final rule and the
ways in which their efficacy could be improved. If FDA determines that
larger warnings would be more effective for these newly deemed
products, the Agency will issue a new NPRM in accordance with the APA.
(Comment 249) Comments stated that FDA should not require
manufacturers to use a font size that occupies the greatest possible
proportion of the warning area because that would leave limited, if
any, white space and may prove to be illegible. These comments
suggested that FDA reduce the font size requirement to be consistent
with smokeless tobacco warnings, which are required to take up 60 to 70
percent of the warning area.
(Response) FDA disagrees. Newly deemed tobacco products are sold in
a variety of packaging sizes. By requiring the font size to be at least
12-point font, FDA is ensuring that the required warning statement will
be noticed by consumers regardless of the package size. Further, FDA
believes that this requirement will leave adequate background space so
that the warning is
[[Page 29066]]
legible. The format requirements are similar to those included in a
2001 EU directive (requiring warnings to occupy the greatest possible
portion of the warning area set aside for the required text), which
have been shown to increase the effectiveness of health warnings, as
further discussed in this section of the document. FDA is not aware of
any legibility issues with the EU health warnings and does not expect
any legibility issues with the health warnings included in this final
rule.
The size of the warning clearly matters, as recall increases
significantly with font size (Ref. 258). In a study on recall of health
warnings in smokeless tobacco ads, conducted with 895 young males, 63
percent of participants recalled a high contrast warning in 10-point
font; doubling the font size for the warning to a 20-point font
increased recall from 63 percent to 76 percent representing a 20
percent improvement in recall (id.). Research on cigarette package
warnings confirms that larger warnings are better noticed and more
likely to be recalled (Ref. 7 at App. C-3; Refs. 38, 49). These studies
support FDA's conclusion that requiring the proposed warnings to appear
in at least 12-point font size will improve their noticeability.
(Comment 250) At least one comment believed that requiring warnings
to occupy at least 20 percent of the area of an advertisement would
result in warning statements that, while visible, are more likely to be
ignored. This comment suggested that appropriate warning statements be
presented in a minimum font size (e.g., no smaller than 11-point type).
(Response) FDA is unaware of any evidence stating that a health
warning occupying at least 20 percent of the area of an advertisement
is likely to be ignored. Nevertheless, to ensure that the statements
are visible and effectively conveying information, FDA is finalizing
Sec. Sec. 1143.3(b)(2)(ii) and 1143.5(b)(2)(ii) to require a minimum
12-point font size for the health warnings on advertisements. Moreover,
the requirement that the warning statement occupy at least 20 percent
of the area of the advertisement is the same as the statutory
requirement for press and poster advertisements for smokeless tobacco
products (section 3(b)(2)(B) of CSTHEA (15 U.S.C. 4402(b)(2)(B))).
(Comment 251) At least one comment expressed concern with the font
requirements of the labeling provisions because they require businesses
to purchase a software package that provides either or both of the
prescribed fonts (Helvetica and Arial), and these are proprietary
fonts.
(Response) FDA disagrees. Both Helvetica and Arial fonts are
included in common printing software. Thus, the requirement that
manufacturers use Helvetica or Arial font should not cause them to
incur any additional costs. However, we also have included language
throughout part 1143, which allows manufacturers to use other similar
sans serif fonts in order to provide additional flexibility while still
ensuring that the warnings are conspicuous and legible to consumers.
(Comment 252) Many comments argued for different formatting
requirements for the health warnings. Some suggested that they should
be consistent with the current FTC Consent Decree, which requires that
health warnings be clear and conspicuous in relation to the other
communications on the packaging and be presented in a black box format
to attract consumer attention. One comment stated that FDA should
accept alternative warning sizes, placements, and font sizes for
different packaging sizes and configurations, as long as the warning is
clear and conspicuous. This comment urged FDA to be flexible about the
size and placement of the warnings on deemed products, some of which
are offered in packaging sizes and configurations very different from
cigarette and smokeless tobacco packaging. This comment also noted that
it can be difficult to identify the two principal display panels.
(Response) FDA disagrees. FDA has concluded that the formatting
requirements for the health warnings, which are similar to the
requirements for smokeless products and similar to those suggested by
FCTC, are appropriate for the protection of the public health. In
addition, we have added language to this final rule which recognizes
that if a product package is too small to bear the required warning
statement, the manufacturer of the product can include the warning
statement on the outer carton or on a hang tag attached to the product
package.
To clarify how to determine the principal display panels, FDA is
defining ``principal display panels'' of a product package as the
panels of a package that are most likely to be displayed, presented,
shown or examined by the consumer. In addition, the principal display
panels should be large enough to accommodate all mandatory label
information in a clear and conspicuous manner. The principal display
panels may be on an outer carton for small vials holding e-liquids.
7. Waterpipe Tobacco
(Comment 253) One comment argued that the required warning should
not be applied to hookah (or waterpipe tobacco) because there is a lack
of substantial scientific evidence of the addictiveness of this
product. The comment expressed the belief that the majority of
waterpipe tobacco smokers in the United States use the product once a
week or less. Another comment asserted that studies of noncigarette
products, including waterpipe tobacco, show that these products are
perceived to present less risk of harm and addictiveness, thereby
encouraging use among young adults. The comment added that strong
warnings regarding the addictiveness of all tobacco products may reduce
trial and use in vulnerable populations (Ref. 259).
(Response) FDA disagrees that the addictiveness warning should not
be applied to waterpipe tobacco. Waterpipe tobacco contains nicotine,
which is the primary addictive chemical in tobacco products.
Researchers have observed nicotine dependence characteristics in some
users (Refs. 238, 239, 240), with one study showing that waterpipe
tobacco use suppressed withdrawal symptoms just as cigarette smoking
suppresses withdrawal symptoms (Ref. 240). Because waterpipe smoking
sessions last longer than smoking a cigarette and there is increased
smoke volume, a single session of waterpipe smoking (which typically
lasts 20 to 80 minutes) likely exposes users to more nicotine than
smoking a cigarette (which typically takes 5 to 7 minutes). Indeed, a
meta-analysis of studies regarding waterpipe use showed that a single
episode of waterpipe use is associated with exposure to 1.7 times the
nicotine in a single cigarette.
FDA agrees that there is consumer confusion about the addictiveness
of waterpipe tobacco. Whereas studies have shown that cigarette and
waterpipe tobacco smoking deliver similar nicotine levels, one study
showed that 46.3 percent of high school students wrongly believed that
waterpipe tobacco is less addictive or less harmful than cigarettes,
and one-third of these students wrongly believed that the product had
less nicotine, no nicotine, or was generally less addictive than
cigarettes (Ref. 260). Mistaken beliefs that waterpipe tobacco smoking
is ``safer or less addictive than cigarettes'' were more prevalent
among those who had ever used waterpipe tobacco (78.2 percent) compared
to nonusers (31.6 percent) (Ref. 260). A study of nearly 2,000
university students found that waterpipe tobacco was considered by
[[Page 29067]]
those students to be less addictive than e-cigarettes, marijuana, cigar
products, smokeless tobacco, and cigarettes (Ref. 261). Research found
that college students who had used waterpipes within the past 30 days
considered them less addictive and less harmful than never-users did
(Ref. 26). Similarly, another study found that ``[freshmen college]
students who used waterpipes and cigars perceived them as less harmful
than regular cigarettes'' (Ref. 262). Moreover, research has shown that
such false beliefs about product risks can be a significant predictor
of subsequent use behavior (Refs. 263, 264). For instance, adolescents
with the lowest perceptions of short-term risks related to smoking were
2.68 times more likely to initiate smoking (Ref. 264). We note that the
Surgeon General's 2014 Report provides an objective discussion of
nicotine and addiction, where ``nicotine addiction develops as a
neurobiologic adaptation to chronic nicotine exposure. However, all
forms of nicotine delivery do not pose an equal risk in establishing or
maintaining nicotine addiction'' (Ref. 9 at 112). Thus, pattern of use
is a factor in the facilitation of addiction.
(Comment 254) One comment stated that FDA should require the
addictiveness warning on all components of waterpipe tobacco use,
including those products without nicotine or tobacco.
(Response) FDA disagrees. FDA finds that requiring health warnings
on covered tobacco products only (and not on the components and parts
that are not made or derived from tobacco) is appropriate to protect
the public health, because youth and young adults will not be able to
use such components and parts, and potentially suffer the consequences
of tobacco use, without also using the covered tobacco product. In the
event that FDA later determines it is appropriate for the protection of
the public health to extend the warning requirements to components and
parts that are not made or derived from tobacco, the Agency will
initiate a new rulemaking in accordance with APA requirements.
8. Dissolvable Products
(Comment 255) One comment suggested that FDA recognize all
dissolvable tobacco products as smokeless tobacco products for the
purpose of warning label regulation and, as a result, subject all
dissolvables to the smokeless warning requirements in section 204 of
the Tobacco Control Act.
(Response) ``Smokeless tobacco product'' is defined in section
900(18) of the FD&C Act and for purposes of the warning requirements in
CSTHEA (as amended by the Tobacco Control Act) as ``any tobacco product
that consists of cut, ground, powdered, or leaf tobacco and that is
intended to be placed in the oral or nasal cavity.'' Some dissolvable
tobacco products do not meet the definition of ``smokeless tobacco
product'' because they do not contain cut, ground, powdered, or leaf
tobacco; instead, these products contain nicotine extracted from
tobacco. These products are the dissolvable products covered by this
final rule. Because they do not meet the statutory definition of a
smokeless tobacco product, FDA cannot recognize them as such, as
suggested by the comments. If FDA determines that the warning
statements for any type of dissolvable product should be revised, or if
any additional warning statements should be added to them, the Agency
will initiate a new rulemaking in accordance with APA requirements.
(Comment 256) One comment stated that the use of an addictiveness
warning would serve to protect the public health by more clearly
identifying dissolvable products as addictive tobacco products and
differentiating them from candy.
(Response) FDA agrees. Certain tobacco products have a candy-like
appearance, frequently are sold next to candy, and are packaged in a
way that makes them more attractive to children, which can mislead
consumers to think that they are, in fact, candy (Refs. 54, 215). The
addictiveness warning will clearly identify these products as tobacco
products and help differentiate them from candy.
9. Premium Cigars and Unpackaged Cigars
(Comment 257) Several comments stated that not requiring warnings
on premium cigars and those sold individually and without product
packages would greatly diminish the effectiveness of the cigar
warnings. One comment stated there are many instances where cigars are
purchased as gifts and, in those instances, the recipients would not
see these warnings. One comment also stated that if a purchaser
receives with the premium cigar any wrapper, container, pack or bag,
then FDA should require that it include a health warning. This would
ensure that if the premium cigar is given for a celebratory occasion,
or if a minor obtained a premium cigar from an adult and did not see
the point-of-sale warning, the user would be warned of the health
risks. Another comment stated that the warning labels should be
permanently affixed to or inside the cellophane wrappers in which the
cigars are sold and in a way that is clearly visible to potential
purchasers.
(Response) FDA understands these concerns. However, for those
cigars sold individually and not in a product package, the placement of
warnings at the point of sale will be adequate to disseminate the
required health information and is appropriate for the protection of
the public health. For cigars that are sold in cellophane wrappers,
these wrappers are considered packaging and, under this final rule,
must include the required cigar warnings. In addition, FDA notes that
youth attempting to purchase these cigars would be prohibited from
doing so under the minimum age requirements included in this final
rule.
(Comment 258) One comment expressed concern that the NPRM did not
provide for warnings where premium cigars and cigars sold individually
and without product packaging are sold online. The comment suggested
that these cigars should either not be allowed to be sold individually
or that individual cigars should be required to be packaged and include
a warning label.
(Response) Under the Internal Revenue Code and TTB regulations,
cigars that are taxpaid upon removal from the factory or release from
customs custody must be in the packages in which they will be delivered
to the ultimate consumer (bearing any marks or notices required by the
Internal Revenue Code and TTB regulations) at the time of removal, and
must remain in those consumer packages until taken from the package by
the consumer or in the presence of the consumer. Removing taxpaid
cigars from the package, other than in the presence of the waiting
consumer, is a violation of the Internal Revenue Code. Cigars may
nonetheless be sold individually, provided that the individual product
packaging meets the requirements of the IRC and TTB regulations. An
online retailer sending such individual cigars purchased online can
comply with FDA's requirements by placing the warning statement on the
box or container that is used to ship the product. In addition, FDA
clarifies that the warning requirements apply to all forms of
advertising, regardless of the medium in which they appear. As stated
previously, advertisements subject to this final rule may appear in or
on, for example, promotional materials (point-of-sale and non-point-of-
sale), billboards, posters, placards, published journals, newspapers,
magazines, other periodicals, catalogues, leaflets, brochures, direct
mail, shelf-talkers, display racks, Internet Web pages, television,
electronic mail
[[Page 29068]]
correspondence, or be communicated via mobile telephone, smartphone,
microblog, social media Web site, or other communication tool; Web
sites, applications, or other programs that allow for the sharing of
audio, video, or photography files; video and audio promotions; and
items subject to the sale or distribution restriction in Sec. 1140.34.
As stated in Sec. 1143.5(b)(2), the formatting requirements only apply
to advertisements with a visual component. FDA intends to provide
guidance on how to comply with the health warning requirements on
unique types of media.
(Comment 259) One comment stated that premium cigars sold
individually should include a health warning on the cigar tube, if
applicable, or FDA should require retailers to provide a paper warning
to the purchaser or put cigars in bags that are pre-printed with the
warning labels.
(Response) It is unclear exactly how this comment intends to affix
the warning to the premium cigar. If this comment is referring to
affixing a warning to the cigar tube, this may damage the cigar and,
therefore, is impractical. If this comment is seeking to add the
warning to the tube that packages some individual cigars, FDA does not
believe this is appropriate. Cigars sold individually in product
packages, including cigars sold in tubes, must comply with the warning
statement requirements for packaging. For cigars sold individually and
not in product packages, the required warning statements must instead
be posted at the retailer's point of sale. FDA believes that the point
of sale signage requirement will ensure that premium cigar purchasers,
as well as purchasers of other individual cigars, receive the required
health warnings while allowing persons selling or distributing the
cigars to maintain existing business practices.
(Comment 260) One comment expressed concern about retailers having
to forfeit counter space for the placement of health warnings for
cigars sold individually and not in product packages. The comment
stated that this space is reserved for some of the most profitable
items for sale in convenience stores. The comment also stated that the
U.S. Circuit Court of Appeals for the District of Columbia struck down
a similar, judicially imposed warning requirement that required
retailers to set aside valuable retail space to display a point-of-sale
sign. (United States v. Philip Morris USA Inc., 566 F.3d 1095 (D.C.
Cir. 2009).)
(Response) FDA believes that the point-of-sale warnings are
necessary and appropriate for the protection of public health. FDA
notes that the requirement only applies where cigars are sold
individually and unpackaged, and will ensure that consumers of these
products are exposed to the same health warnings as consumers of other
cigar products. FDA also believes the point-of-sale warnings are
necessary to prevent manufacturers and retailers of cigars from
circumventing the warning requirement by selling their products without
packaging.
Moreover, the United States v. Philip Morris holding cited in the
comment was not on the merits and in any event is not applicable here.
That case involved corrective statements mandated in a civil Racketeer
Influenced and Corrupt Organizations Act (RICO) case brought against
the United States' major cigarette companies. After finding the
defendants liable for racketeering and fraud, the lower court issued an
injunction that required the defendants to disseminate public
statements in order to prevent and restrain future fraud. The
statements were required to appear in various types of media--including
large-point-of-sale signs present at the checkout counter of retailers
that participated in defendants' ``participating retailer'' programs.
On appeal, noting that the retailers were not involved in the RICO
litigation but were negatively affected by the injunctive remedy, and
had not had the opportunity to present arguments against the point-of-
sale location before the lower court ruled, the appellate court vacated
the point-of-sale requirement on due process grounds, and remanded for
further consideration by the lower court. Philip Morris USA Inc., 566
F.3d at 1141-42. The appellate court did not rule on whether mandatory
point-of-sale corrective statements in valuable retail space are
permissible under the RICO statute, but simply ruled that before the
district court could impose such a requirement, the RICO statute
required ``considering the rights of third parties and existing
contracts'' (id. at 1145). By contrast, these warning requirements are
being issued under the Tobacco Control Act, not the RICO statute; and
are the product of notice-and-comment rulemaking.
10. Cigarettes and Roll-Your-Own
(Comment 261) Some comments stated that FDA should conform the
proposed health warnings for cigarette tobacco and roll-your-own
tobacco to the federally mandated health warnings for cigarettes
required by section 4(s) of FCLAA and to health warnings that FDA
mandates for cigarettes in the future.
(Response) FDA disagrees. Cigarette tobacco and roll-your-own
tobacco do not meet the definition of the term ``cigarette'' in section
3(1) of FCLAA. Because cigarette tobacco and roll-your-own tobacco are
not cigarettes as defined by FCLAA, they do not need to comply with
section 4 of FCLAA requiring cigarette warnings and, therefore, do not
contain any warning to alert consumers of the health effects of these
products. Instead, the Tobacco Control Act defines cigarette tobacco
and roll-your-own tobacco in sections 900(4) and 900(15) of the FD&C
Act, respectively. The lack of a warning on these tobacco products may
lead consumers to believe that they are safe products. Therefore, with
this final rule, FDA is requiring that manufacturers of such products
comply with the addiction warning in Sec. 1143.3 and any other future
health warnings that FDA mandates for these products, where
appropriate.
(Comment 262) Some comments expressed concern about the following
warning as applied to pipe tobacco products: ``WARNING: This product
contains nicotine derived from tobacco. Nicotine is an addictive
chemical.'' They stated that this warning is not appropriate for these
products because the first sentence of the warning suggests that it is
targeted at e-cigarettes whose nicotine is derived from tobacco, not
tobacco itself. Other comments expressed concern that the word
``derived'' would not be well understood by the majority of consumers
and introduced unnecessary complexity. They also noted that the
statement that the nicotine is derived from tobacco does not provide
information that is relevant to the user's health. One comment
suggested a number of changes to the proposed addiction warning,
including a simpler alternative: ``WARNING: This product contains
nicotine. Nicotine is an addictive chemical.''
(Response) FDA agrees with concerns using the word ``derived.'' FDA
has concluded that the suggested warning statement ``WARNING: This
product contains nicotine. Nicotine is an addictive chemical'' is a
more appropriate warning label because it provides an accurate warning
for both products that contain leaf tobacco and products that contain
nicotine derived from tobacco. It is also clearer and does not
introduce unnecessarily complex terms that may make it more difficult
for consumers to understand and appreciate the risks of addiction.
Similarly, FDA is revising the alternative statement to
[[Page 29069]]
read ``This product is made from tobacco.'' to remove use of the word
``derived,'' which may not be easily understood. However, FDA disagrees
with comments stating that this warning should not be required on pipe
tobacco packages because pipe tobacco contains nicotine, which is the
primary addictive constituent in tobacco products.
Thus, FDA has changed Sec. 1143.3(a)(1) to require that for
cigarette tobacco, roll-your-own tobacco, and covered tobacco products
other than cigars, it is unlawful for any person to manufacture,
package, sell, offer to sell, distribute, or import for sale or
distribution within the United States such product unless the tobacco
product bears the following required warning statement on each product
package label: ``WARNING: This product contains nicotine. Nicotine is
an addictive chemical.''
11. Addictiveness Warning
(Comment 263) One comment stated that the need to inform consumers
about the addictiveness of nicotine has been implicitly recognized by a
number of manufacturers of e-cigarette products. The comment stated
that a recent investigation by the staff of 11 U.S. Senators and
Representatives of the practices of 9 of the largest e-cigarette
manufacturers revealed that, although their product warning labels
``lack uniformity and may confuse consumers,'' 6 of the 9 companies
included some form of nicotine warning as part of their packaging or
instructions for use, in addition to the nicotine warning these
companies included to satisfy California's Proposition 65 (see Ref.
31). Although the warnings are not as comprehensive as FDA's required
health warnings in terms of size and prominence, they reflect the
companies' own recognition that their products are addictive and that
consumers should be informed of their addictive properties.
(Response) Requiring health warnings on all newly deemed tobacco
products will help consumers better understand and appreciate the
addictive properties of these products.
(Comment 264) Some comments questioned whether large cigars,
particularly premium cigars, should be required to carry an addiction
warning because users do not inhale the cigar smoke.
(Response) Regardless of whether cigar smokers inhale, they are
still subject to the addictive effects through nicotine absorption
(Refs. 32, 34). Cigar smoke dissolves in saliva, allowing the smoker to
absorb sufficient nicotine to create dependence, even if the smoke is
not inhaled (Refs. 34, 35). Therefore, consumers using premium or other
cigars can become addicted to cigars given the absorption of nicotine.
Accordingly, FDA finds that it is appropriate for the protection of the
public health to require this warning on all cigars.
12. Alternative Statement/Certification for Products Without Nicotine:
``This Product Is Derived From Tobacco.''
(Comment 265) Several comments expressed concern about requiring a
tobacco product that does not contain nicotine to have an alternate
health warning stating that, ``this product is derived from tobacco.''
These comments stated that future products that are not derived from
tobacco would fall outside of FDA's jurisdiction and, therefore, would
not be required to include this statement on product packages.
(Response) FDA agrees. If a product is not made or derived from
tobacco, it would not be required to bear the alternative statement.
However, if a product is made or derived from tobacco but does not
contain nicotine, the product is required to bear the alternative
statement. As discussed in section XVI.B, FDA is revising this
alternative statement to read ``This product is made from tobacco.''
(Comment 266) Several comments stated that FDA should not permit
use of the alternate statement ``This product is derived from tobacco''
because there are studies showing instances of e-cigarette products
being labeled as zero nicotine and actually containing nicotine (Refs.
20, 170).
(Response) FDA disagrees. If a tobacco product manufacturer has
mislabeled its product to indicate that it does not contain nicotine
when in fact it actually does, the manufacturer will be subject to
enforcement action for misbranding and the product will be required to
bear the addictiveness warning (instead of the alternative statement).
(Comment 267) A few comments suggested that the alternative warning
statement will cause consumer confusion because most people believe
nicotine causes cancer and the alternative statement suggests there is
a difference in the health risks based on solely the presence of
nicotine. Other comments stated that the alternative statement should
not use the term ``tobacco product'' because e-cigarettes do not
contain tobacco leaf. These comments also stated that the words
``tobacco product'' could also potentially cause confusion because
consumers do not consider e-cigarettes to be tobacco products.
(Response) FDA disagrees that the language in the alternative
statement will cause confusion. The alternative statement does not use
the term ``tobacco product'' and does not state that any ENDS product
contains tobacco. Instead, the alternative statement included with this
final rule states: ``This product is made from tobacco.''
FDA is not aware of any currently marketed tobacco product that
does not contain nicotine. If such a product is introduced in the
future, FDA believes it is important that both consumers and retailers
be alerted that, although it may not contain nicotine, it is
nevertheless a tobacco product. From a public health perspective, FDA
believes that it is important to convey this factual information to
consumers because tobacco products (i.e., products made or derived from
tobacco) could contain other addictive chemicals (like anabasine or
nornicotine) and/or dangerous toxicants and can be psychologically
addictive as well. For example, users of de-nicotinized cigarettes
consistently report a significant degree of subjective satisfaction
(Refs. 265, 266, 267). The alternative warning statement is especially
important in light of the recent proliferation of novel tobacco
products (e.g., dissolvables that may appear like candy) that do not
resemble traditional tobacco products, and therefore, which consumers
may not know are made from tobacco. As the comments noted, some
consumers are not even aware that e-cigarettes are tobacco products.
FDA believes that the fact that a product without nicotine is made
from tobacco is important factual information that should be conveyed
to both consumers and retailers. In addition to providing consumers
with significant information that could affect their health, the
statement will help ensure that retailers are aware that the product is
and must be treated as a tobacco product. This will result in increased
retailer compliance with the minimum age and photo identification
requirements, as well as other applicable requirements. FDA believes
that this factual alternative statement is the simplest, least
burdensome, and yet effective way to inform both consumers and
retailers that, despite the absence of nicotine, the product is still a
tobacco product that, like other tobacco products, may not be purchased
by or sold to persons under the age of 18 and requires the presentation
and examination of a photo identification card.
[[Page 29070]]
13. Warning: Cigars Are Not a Safe Alternative to Cigarettes
(Comment 268) A few comments noted that evidence indicates there is
a widespread perception, particularly among young people, that cigars
are less hazardous than cigarettes and this perception may be
contributing to the increased incidence of cigar smoking. According to
the comments, one study found that adult cigar smokers in general are
three times more likely to believe cigars are a safe alternative to
cigarettes compared to those who do not smoke cigars (Ref. 268). They
also cited an online survey of college students at six colleges in the
southeastern United States, which found that smokers of little cigars
and cigarillos ``were more likely to report perceiving the harm of
little cigars, cigarillos, and cigars to be less than that of
cigarettes'' when compared to nonusers (Ref. 269). In addition, a study
of middle school and high school students in Massachusetts found that
34.9 percent of current youth cigar users agreed that ``cigars are not
as bad for you as cigarettes,'' while only 12.2 percent of the total
study population of students agreed with the statement (Ref. 270). The
comments also cited a similar study that included a focus group study
of 230 middle school, high school, and college students, which found
that 30 percent of teen cigar users made the statement that, compared
to cigarettes, cigars are less risky, and only 10 percent of teens with
no cigar experience made that statement (Ref. 271).
(Response) FDA agrees that there is an unsubstantiated perception,
especially among young people, that cigars are less hazardous than
cigarettes (see 79 FR at 23158). This warning requirement will help to
consumers understand and appreciate the risks of cigars.
14. Warning: Tobacco Smoke Increases the Risk of Lung Cancer and Heart
Disease, Even in Nonsmokers
(Comment 269) The comments differed as to whether the warning
``Tobacco Smoke Increases the Risk of Lung Cancer and Heart Disease,
Even in Nonsmokers'' was appropriate. Some comments thought that the
health warning was appropriate. At least one noted that a causal
relationship exists between secondhand smoke exposure and lung cancer
among lifetime nonsmokers, and individuals living with smokers had a 20
to 30 percent increase in the risk of developing lung cancer from
secondhand exposure (Ref. 272 at 445). They stated that, since all
cigars produce higher levels of toxicants than cigarette smoke, the
science clearly supports the proposed warning.
However, several other comments stated that the scientific evidence
does not support the claim that ``secondhand smoke causes premature
death and disease in youth and in adults who do not smoke.'' One of
these comments stated that the epidemiological links between ``being
married to a smoker'' and increased disease are tenuous at best. While
these comments agreed that on a per-stick basis, cigars can produce
larger amounts of environmental tobacco smoke than do cigarettes, they
stated that it is not accurate to conclude that this exposes household
members to a considerable involuntary health risk.
(Response) FDA agrees with the comments stating that this warning
is appropriate for the protection of the public health. It is well
established that secondhand smoke causes premature death and disease in
youth and in adults who do not smoke (Ref. 272 at 445, 532). Adult
exposure to secondhand smoke has immediate adverse effects on the
cardiovascular system and causes lung cancer and coronary heart disease
(id.). Tobacco smoke contains over 7,000 compounds, and there are more
than 70 carcinogens in sidestream and mainstream smoke generated from
cigars (Refs. 9, 70, 273). Mainstream cigar smoke is the smoke that one
draws into his or her mouth from the butt end or mouthpiece of a cigar;
whereas sidestream cigar smoke is the smoke emitted from the burning
cone of a cigar during the interval between puffs (Ref. 69 at 65).
Cigar smoke ``tar'' appears to be at least as carcinogenic as cigarette
smoke ``tar'' (Ref. 272). The Surgeon General recently reiterated that
cigar smoke contains the same toxic substances as cigarette smoke, with
varying concentrations of these constituents found in different types
and sizes of cigars (Ref. 69 at 17-18; Ref. 272 at 362).
There is a causal relationship between lung cancer and secondhand
smoke. Exposure of nonsmokers to secondhand smoke also has been shown
to cause a significant increase in urinary levels of metabolites of
tobacco-specific nitrosamines, a carcinogen that specifically links
exposure to secondhand smoke with an increased risk for lung cancer
(Ref. 69 at 65). All cigars produce higher levels of carcinogenic
tobacco-specific nitrosamines per gram in mainstream cigar smoke than
cigarettes produce in mainstream cigarette smoke (id. at 75-76). Cigar
smoke also produces measurable amounts of lead and cadmium (id. at 75-
76). Little cigars with filter tips and regular cigars contain higher
levels of certain nitrosamines in sidestream smoke than do filtered tip
cigarettes (Ref. 69 at 81).
The Surgeon General has reiterated that there is considerable
evidence that certain nitrosamines are major factors in the development
of lung cancer (Ref. 272 at 30). According to the Surgeon General, the
evidence is sufficient to infer a causal relationship between
secondhand smoke exposure and lung cancer among lifetime nonsmokers
(Ref. 272 at 434). Individuals living with smokers have a 20 to 30
percent increase in risk of developing lung cancer from secondhand
exposure (id. at 445). Although data particular to cigars are not
available, FDA believes it is reasonable to expect that cigar smoke
would produce similar effects as cigarette smoke, given that data from
the National Cancer Institute (NCI) cigar monograph shows that some
carcinogens determined to cause lung cancer are present at higher
levels in cigar smoke than in cigarette smoke and are present at levels
comparable to other carcinogens linked to lung cancer (Ref. 69 at 76-
93).
There is also a causal relationship between secondhand smoke and
heart disease. The health warning statement indicating that tobacco
smoke can cause heart disease is thoroughly supported by the evidence
reiterated in reports from the Surgeon General. FDA believes it is
reasonable to conclude that this finding would produce similar effects
with respect to secondhand cigar smoke exposure based on the similar
smoke profiles for cigars and cigarettes, the risk of coronary heart
disease associated with active cigar smoking, and the low levels of
toxicant exposure that can cause coronary heart disease (Ref. 272).
In a 2006 Surgeon General's report regarding the health effects of
exposure to secondhand smoke, the evidence demonstrated that exposure
of adults to secondhand smoke had immediate adverse effects on the
cardiovascular system and caused coronary heart disease (id. at 11).
Secondhand smoke increased the risk of coronary heart disease nearly as
much as active heavy smoking. In fact, the estimated increase in risk
of coronary heart disease from exposure to secondhand smoke was 25 to
30 percent above that of unexposed persons (id. at 519; Ref. 273 at
532). Based on these data, the Surgeon General concluded that ``the
evidence is sufficient to infer a causal relationship between exposure
to secondhand smoke and increased risks of coronary heart disease
morbidity and mortality among both men and women'' (Ref. 272 at 15).
The IOM agreed, concluding that there is a causal relationship between
[[Page 29071]]
secondhand smoke exposure and cardiovascular disease, as well as a
causal relationship between secondhand smoke exposure and acute
myocardial infarction (Ref. 275 at 219).
Even a relatively brief exposure to secondhand tobacco smoke can
lead to heart disease, as some studies have demonstrated. The IOM found
there is compelling circumstantial evidence that a relatively brief
exposure to secondhand smoke can bring about an acute coronary event
(id. at 220).
Given that the effects of secondhand smoke on coronary heart
disease are linked to the combustion of tobacco itself, FDA concludes
that exposure to secondhand cigar smoke can cause the same or similarly
dangerous effects as exposure to secondhand cigarette smoke. Thus, FDA
believes the warning statement that ``Tobacco smoke increases the risk
of lung cancer and heart disease, even in nonsmokers'' is appropriate
for the protection of the public health.
15. Warning: Cigar Smoking Can Cause Cancers of the Mouth and Throat,
Even if You Do Not Inhale
(Comment 270) Several comments disagreed with FDA's rationale for
the warning ``Cigar smoking can cause cancers of the mouth and throat,
even if you do not inhale.'' These comments noted that the rationale
depends almost exclusively on Monograph 9 from the National Cancer
Institute, which did not distinguish among cigar types and, therefore,
should not be required for premium cigars. They also stated that cigars
are safe products if users do not inhale the smoke, as illustrated by
experimental data showing minimal toxicity because cigar smokers do not
inhale (Refs. 32, 74).
(Response) FDA disagrees. The fact that Monograph 9 did not
distinguish among types of cigars does not mean that it only applies to
certain cigar types. In fact, the statement in the Monograph applied to
all types of cigars. Any cigar use exposes the mouth and throat to
tobacco smoke and can cause several different types of cancer even
without inhalation (Refs. 69, 104). For example, one study found an
increased risk of head and neck cancers for those who do not smoke
cigarettes but had previously smoked cigars (Ref. 104).
While inhaling cigar smoke poses higher risk rates than not
inhaling, significant risk still exists for those who do not inhale. In
addition, most cigar smokers do inhale some amount of smoke and are not
aware that they are doing it, including those who do not intend to
inhale (Ref. 33).
16. Reproductive Health Warning for Cigars
In the proposed deeming rule, FDA proposed to require four of the
five warnings already included on most cigar packages and in most cigar
advertisements as a result of settlement agreements between the FTC and
the seven largest U.S. cigar manufacturers. (See, e.g., In re Swisher
International, Inc., Docket No. C-3964.) FDA proposed not to require
the fifth warning (SURGEON GENERAL WARNING: Tobacco Use Increases the
Risk of Infertility, Stillbirth and Low Birth Weight) because although
cigarette smoke causes these health effects (and cigar smoke is similar
to cigarette smoke), the Agency stated it was not aware of studies
specifically linking cigars to all three reproductive effects. FDA
requested comment on its proposal to require the use of only four of
the five current FTC warnings for cigars.
During the comment period, FDA received several comments
encouraging FDA to reconsider its proposal and finalize the rule to
include all five warnings. In response to these comments, FDA
reconsidered whether to require use of the FTC reproductive health
warning. While FDA agrees that FTC's general warning statement
``Tobacco Use Increases the Risk of Infertility, Stillbirth and Low
Birth Weight'' is a factually correct statement and recognizes that
cigar smoke is similar to cigarette smoke in both chemical content and
effects, on balance, FDA prefers a warning that is specific to cigars.
Therefore, FDA has reconsidered the issue and is including a fifth
warning statement to read ``WARNING: Cigar Use While Pregnant Can Harm
You and Your Baby.'' which is well supported by direct evidence and is
appropriate for the protection of the public health. However, FDA is
also allowing manufacturers to use the FTC warning, which is
appropriate for the protection of the public health, as an optional
alternative to the new reproductive health warning.
The FTC warning is about tobacco smoke generally, and the statement
itself is well supported by scientific evidence. Researchers have
confirmed that smoking causes negative effects on fertility,
pregnancies, and infants and children born to women who smoke. For
example, cigarette smoking increases rates of preterm delivery,
shortened gestation, and orofacial clefts, and studies have indicated
that women who smoke are twice as likely to have low birth weight
infants as women who do not smoke (Ref. 9 at p. 499; Ref. 275 at pp.
569, 576). In addition, scientific evidence supports that women who
smoke have an increased risk of infertility and stillbirth (Ref. 276).
It also causes an increased risk of sudden infant death syndrome (SIDS)
for infants whose mothers smoke during and after pregnancy (Ref. 275 at
pp. 587 and 601). In addition, scientific evidence supports the
conclusion that cigar smoke has similarly toxic effects. NCI's
Monograph 9 states:
there is no reason to expect that cigar smoke would be any less
toxic for the mother or fetus. Regular cigar smoking, particularly
with inhalation, should be presumed to have risks similar to that of
cigarette smoking for the pregnant smoker.
(Ref. 69 at 10). On balance, FDA prefers a warning that is specific to
cigars, so FDA is finalizing this rule with different warning language
specifically relating to cigars that the Agency concludes is
appropriate for the protection of the public health. However, given the
accuracy of the original FTC warning on its face, given that cigar
smoke contains and delivers the same harmful constituents as cigarette
smoke, and given extensive evidence that cigar smoke has similar
physiological effects on the body, it is also appropriate for the
protection of the public health for FDA to allow the use of the
optional alternative (SURGEON GENERAL WARNING: Tobacco Use Increases
the Risk of Infertility, Stillbirth and Low Birth Weight) to the
reproductive health warning.
FDA selected the new warning language for several reasons. First,
FDA finds that this warning is supported by direct scientific evidence
that nicotine adversely affects maternal and fetal health (Ref. 9).
Second, this warning uses the term ``cigar use'' rather than ``tobacco
use,'' because the warning would appear on cigars only. Third, FDA
finds that this is powerful and comprehensible phrasing, which will be
understandable to a wide audience. Nevertheless, FDA recognizes that
many cigar manufacturers currently use FTC's truthful warning on the
reproductive risks of tobacco smoke. Therefore, FDA is also allowing an
optional alternative (SURGEON GENERAL WARNING: Tobacco Use Increases
the Risk of Infertility, Stillbirth and Low Birth Weight) to the
reproductive health warning to comply with the warning requirements for
cigars. FDA expects that allowing the optional alternative will benefit
entities bound by the FTC consent decrees.
(Comment 271) Comments from cigar makers contended that because the
NPRM and the FTC consent orders both required five warnings, but not
the same
[[Page 29072]]
five warnings, manufacturers would not be able to use one set of
warnings to comply with both regimes. As one comment put it, ``For
example, manufacturers could not ensure a random display of FDA's five
warnings `in as equal a number of times as is possible,' as required by
the NPRM, while including the reproductive effects warning required by
FTC in that random distribution.'' This comment went on to state that a
reproductive warning for cigars is also required by California's
Proposition 65, and added that in response to an inquiry from FTC at
the time of the FTC consent orders, the California Attorney General
agreed that ``compliance with the FTC Consent Order will result in
compliance with Proposition 65.'' (Comments of Altria Client Services
Inc. on behalf of John Middleton Co., FDA-2014-N-0189-79814.)
Other comments urged that there is scientific support to require a
reproductive warning for cigars. For example, one comment asserted that
this warning is based on data related to cigarette smoke, and given
that cigarette smoke is very similar to cigar smoke, and in many cases,
cigar smoke is more dangerous than cigarette smoke, it is a logical
conclusion that this warning is appropriate for cigars. Another comment
noted that the 2014 U.S. Surgeon General Report on tobacco use devotes
an entire chapter to the health effects of nicotine and documents that
nicotine crosses the placenta and concentrates in the fetus (Ref. 9).
The comment also noted that nicotine constricts vessels and thus limits
the amount of nutrients and oxygen delivered to the fetus.
(Response) While FDA is unaware of data directly and explicitly
linking cigar smoke to such reproductive issues, FDA recognizes the
similarities between cigarette smoke and cigar smoke. On balance, FDA
prefers a warning specific to cigars. However, as noted previously, FDA
is allowing an optional alternative (SURGEON GENERAL WARNING: Tobacco
Use Increases the Risk of Infertility, Stillbirth and Low Birth Weight)
to the reproductive health warning to comply with the warning
requirements for cigars. FDA expects that allowing the optional
alternative will benefit entities bound by the FTC consent decrees.
(Comment 272) One comment expressed concern that the exclusion of
the reproductive effects warning in a final rule (i.e., the FTC warning
that states ``Tobacco Use Increases The Risk Of Infertility, Stillbirth
And Low Birth Weight''), and the subsequent advertising and sale of
cigar packages without the warning, could result in claims that the FTC
consent orders have been violated. The comment requested that FDA
ensure that the absence of such warning in any final rule will not
result in a claim that the FTC consent orders have been violated.
(Response) In the NPRM, FDA indicated that it planned to consult
with FTC ``to harmonize national requirements for health warnings on
cigar product packages and in advertisements'' (79 FR 23142 at 23163).
As noted previously, FDA has given careful consideration to the
comments and the scientific evidence on this issue and has decided to
require a reproductive health warning for cigars, and the Agency has
discussed this evidence and decision with FTC. At this time, FDA is not
aware of any concerns from FTC regarding the cigar warnings included
with this final rule.
17. Rotation of Warnings on Advertisements
(Comment 273) Several comments stated that rotational warning
requirements should be simple, streamlined, and easily administrated,
especially for small businesses. One comment suggested that it should
be sufficient to print equal numbers of labels containing all six
warnings and rely on the randomness of market distribution patterns
without the administrative burden of demonstrating to FDA in a written
rotational plan, and in subsequent facility inspections, that FDA can
determine that each different warning was equally displayed to each
consumer for each brand during a 12-month period.
(Response) While FDA recognizes that the random display and
distribution of warning statements on cigar product packages and the
rotation of statements on advertisements can result in administrative
and financial costs for cigar manufacturers, FDA does not believe it
would be sufficient to rely on the randomness of market distribution
patterns. Relying on random distribution would not ensure that the
different health warning messages are reaching as many individuals as
possible, and the health warnings may grow stale from overuse if
repeated too many times for the same individual. Thus, FDA is requiring
warning statements for cigar packages to be randomly displayed in each
12-month period in as equal a number of times as possible on each brand
of cigar. The required warning statements also are required to be
randomly distributed in all areas of the United States in which the
product is marketed. The random display and distribution of required
warning statements for cigar packages must be carried out in accordance
with a warning plan submitted by the cigar manufacturer, importer,
distributor, or retailer to, and approved by FDA.
FDA is also requiring that the required warning statements be
rotated quarterly in alternating sequence in each advertisement for
each brand of cigar, regardless of whether the cigar is sold in product
packaging. This rotation of warning statements in cigar advertisements
also must be done in accordance with a warning plan submitted to FDA by
the cigar manufacturer, importer, distributor, or retailer to, and
approved by FDA. As stated in Sec. 1143.5(c)(3) of this final rule,
each person required to randomly display and distribute or rotate
warnings in accordance with an FDA-approved plan under this part must
submit a proposed warning plan to FDA no later than either 12 months
after [date of publication of final rule], or 12 months before
advertising or commercially marketing a product that is subject to such
requirement, whichever is later. This 12-month submission timeframe
provides cigar entities time to develop and submit warning plans to
FDA. FDA encourages firms to submit warning plans any time within this
12-month period, and FDA plans to begin reviewing warning plans as soon
as they are received. FDA is establishing this effective date at 12
months before the effective date of the required warnings for cigars
described under part 1143 (24 months after the publication of the final
rule) because the Agency anticipates that there will be a need for
communication with submitters during its review of the warning plan
submissions. This submission effective date also helps FDA to ensure
that its surveillance program for compliance with the warning label
requirements under Sec. 1143 is implemented as of the effective date
of 24 months after the publication of the final rule.
FDA intends to work with manufacturers, importers, distributors, or
retailers to get an approved warning plan in place. Cigar entities may
wish to contact FDA to discuss the submission of their warning plans in
order to make the approval process more orderly and efficient. FDA's
review and approval of a warning plan enables the Agency to more
effectively conduct surveillance and inspection activities to ensure
compliance with the warning label requirements under Sec. 1143, once
effective, by providing a guide regarding the expected rotation of the
various warnings as required by the regulation. In addition, the review
and approval
[[Page 29073]]
process will help manufacturers, importers, distributors, and retailers
understand the requirements under this part; and help cigar entities
minimize potential economic loss from the commercial distribution of
nonconforming products in the market.
Additionally, FDA believes that it will be able to complete its
review of the submitted warning plans by the effective date of the
required cigar warnings. In FDA's experience with the review of warning
plans for smokeless tobacco products, no smokeless tobacco product
manufacturer, importer, distributor, or retailer was delayed or
prevented from advertising or distributing smokeless tobacco products
due to FDA's review of its warning plan, and FDA does not anticipate a
different outcome here. FDA intends to issue a guidance document within
12 months after publication of the final rule to assist the cigar
industry with the requirements for the submission of warning plans. In
addition, if FDA receives a higher volume of warning plans than
anticipated, and determines that it will not be able to review and
approve submitted warning plans by the 24-month effective date, FDA may
also consider implementing a compliance policy to ensure that cigar
entities are not delayed or prevented from advertising or distributing
cigars due to FDA's review of their warning plans.
These requirements are consistent with those established by
Congress in the Tobacco Control Act for currently regulated tobacco
products. Section 3 of CSTHEA (as amended by section 204 of the Tobacco
Control Act) requires the random distribution and rotation of warnings
for smokeless tobacco products. Further, rotation of cigar warning
statements already occurs under the FTC consent decrees. The WHO also
has recognized the need to rotate health warnings for tobacco products.
The WHO's FCTC, evidence of a strong worldwide consensus regarding a
regulatory strategy for addressing the serious negative impacts of
tobacco products, calls for warnings that are ``rotating'' and ``large,
clear, visible and legible'' (WHO FCTC article 11.1(b)).
(Comment 274) One comment stated that the proposed requirement that
the warning statements be permanent or irremovable is ambiguous and
does not specifically address whether labels applied by manufacturers
(which manufacturers intend not to be removed but technically are
removable) are compliant with the rule.
(Response) Section 1143.9 requires that the health warnings be
indelibly printed on or permanently affixed to packages and
advertisements. If a warning statement can be removed, then it is not
permanent and does not meet the requirements of Sec. 1143.9. Removable
or impermanent warnings on packages and in advertisements could become
separated from the package or advertisement and thus would not meet the
requirement that they be conspicuous on the package or advertisement.
Removable warnings would run counter to FDA's purpose of effectively
conveying risk information to consumers.
18. Warnings for E-Liquids
(Comment 275) Several comments recommended that FDA require
multiple and rotating warnings on all e-liquids that contain nicotine.
They stated the potential consequences of nicotine use need to be
listed explicitly, as explicit warnings are associated with greater
perception of potential danger than vague or general warnings (Ref.
277). Suggestions for e-cigarette warning label content included: (1)
Toxicity and potential lethality of nicotine; (2) danger to skin and
eyes; (3) danger from ingestion of nicotine liquids; (4) other
potential health hazards, including burns and explosions, from ENDS
use; (5) keep out of reach of children; (6) information about the
heating mechanism (coil) and energy source (battery); (7) information
about overheating or overuse, including risk of fire (if applicable);
(8) warnings or precautions about use in or near water as well as any
electrical shocks; and (9) warnings and instructions about replacing
components and parts.
Another comment believed the Agency should consider requiring
manufacturers of e-cigarettes to provide additional information for
consumers in e-cigarette packaging, and as appropriate, for other newly
deemed tobacco products. The comment suggested that this information
could be presented using communication principles similar to those used
in ``Drug Facts'' for over-the-counter drugs and should include
information such as the nicotine addiction warning, age limits,
warnings about danger to children and pets, and information about use
during pregnancy and breast feeding.
(Response) At this time, FDA finds it is appropriate for the
protection of the public health to require the warning regarding the
addictiveness of nicotine on ENDS. However, as we have stated
previously, this deeming regulation is a foundational rule, affording
the Agency the ability to publish additional regulations as necessary
and appropriate for the protection of the public health. FDA remains
concerned about all of the health risks and hazards listed in this
comment and will be focusing efforts and resources on future efforts to
prevent nicotine poisoning in both users and nonusers. Therefore, FDA
issued an ANPRM prior to this deeming rule, seeking comments, data,
research, or other information that may inform regulatory actions FDA
might take with respect to nicotine exposure warnings and the use of
child-resistant packaging. In addition, elsewhere in this issue of the
Federal Register, FDA has made available draft guidance for public
comment, which when final will represent FDA's current thinking
regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products, including
recommendations for exposure warnings and child-resistant packaging
that would help to support a showing that the marketing of a product is
appropriate for the protection of public health.
(Comment 276) Several comments noted that FDA should establish
alternative methods for providing health warnings on tobacco products
with small packages, such as e-cigarettes. One comment noted that FDA
has created special rules for small food packages and small over-the-
counter drug packages where the size of the package prevents the
manufacturer from satisfying certain mandatory labeling requirements.
This comment suggested that FDA implement similar alternatives for
displaying warnings on small e-cigarette packages, and that the warning
on advertising materials should not exceed 10 percent of the area of
the advertisement. Another comment asserted that many e-liquids are
packaged in relatively small 10 milliliter vials and that FDA should
consider package size and design when mandating health warnings.
(Response) To address the issue of tobacco products with small
packages, we have added Sec. 1143.3(d) to this final rule, which
states that a tobacco product that would otherwise be required to bear
the warning in Sec. 1143.3(a)(1) but is too small or otherwise unable
to accommodate a label with sufficient space to bear the information is
exempt from compliance with the requirement provided the information
and specifications required under Sec. 1143.3(a)(1) and (a)(2) appear
on the carton or other outer container or wrapper if the carton, outer
container, or wrapper has sufficient space to bear such information, or
appears on a tag otherwise permanently affixed to the tobacco product
package. In these cases, the carton, outer container, wrapper, or tag
will serve as the location of the
[[Page 29074]]
principal display panels. For example, FDA is aware that e-liquids are
frequently sold in small vials that may be unable to accommodate a
label with sufficient space to bear a health warning. In addition,
small boxes of replacement cartridges will be required to carry a
warning if they contain nicotine or tobacco, or are otherwise made or
derived from tobacco, and, therefore, are covered tobacco products.
Such products also may not have sufficient space to bear a health
warning. In these cases, a manufacturer could include such information
on the carton or other outer container or wrapper if the carton, outer
container, or wrapper has sufficient space to bear the information, or
appear on a tag that is permanently affixed to the tobacco product
package. With respect to the part of this comment stating that health
warnings on advertising materials should not exceed 10 percent of the
area of the advertisement, see the NPRM (79 FR 23142 at 23164) for
additional discussion regarding the need for prominent health warnings.
XVII. National Environmental Policy Act
The Agency has carefully considered the potential environmental
effects of deeming products to be subject to the FD&C Act and the age
and identification restrictions. FDA has concluded that the actions
will not have a significant impact on the human environment, and that
an environmental impact statement is not required. The Agency's finding
of no significant impact and the evidence supporting that finding,
contained in an environmental assessment, may be seen in the Division
of Dockets Management (see ADDRESSES) between 9 a.m. and 4 p.m., Monday
through Friday.
FDA's responses to comments regarding the proposed Environmental
Assessment are included in the following paragraphs.
(Comment 277) One comment stated that FDA erroneously relied upon
the environmental impact analyses required by the National
Environmental Policy Act (NEPA), suggesting that the Agency should
review and analyze the total environmental impact of the rule.
(Response) FDA disagrees. The analysis of a regulation's
environmental impact is governed by NEPA, which requires FDA to assess,
as an integral part of its decisionmaking process, the environmental
impacts of any proposed Federal action to ascertain the environmental
consequences of that action on the quality of the human environment and
to ensure that the interested and affected public is appropriately
informed. FDA satisfied these requirements with the preparation of a
proposed environmental assessment and a final environmental assessment
(Ref. 278).
(Comment 278) One comment requested that FDA issue a new
Environmental Assessment due to ``the loss of irreplaceable cultural
historical resources that directly relate to the heritage of the [Ybor
City National Historic Landmark] District, the City of Tampa, the State
of Florida[, and] the United States of America.''
(Response) FDA denies this request. FDA prepared its Environmental
Assessment in accordance with the requirements of 21 CFR part 25. FDA
properly accounted for all potential environmental consequences of that
action on the quality of the human environment. Therefore, a new
Environmental Assessment is unnecessary and contrary to the
requirements of NEPA (Ref. 279).
XVIII. 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 (Public
Law 104-4). Executive Orders 12866 and 13563 direct us 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 developed a comprehensive Economic Analysis of Impacts
that assesses the impacts of the final rule. We believe that this final
rule is a significant regulatory action as defined by Executive Order
12866.
The Regulatory Flexibility Act requires us to analyze regulatory
options that would minimize any significant impact of a rule on small
entities. We find that the final rule will have a significant economic
impact on a substantial number of small entities.
The Unfunded Mandates Reform Act of 1995 (section 202(a)) requires
us to prepare a written statement, which includes an assessment of
anticipated costs and benefits, before issuing ``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 $144
million, using the most current (2014) Implicit Price Deflator for the
Gross Domestic Product. This final rule would result in a 1-year
expenditure that meets or exceeds this amount.
This final rule finalizes Option 1 of the NPRM, which deems all
products meeting the statutory definition of ``tobacco product,''
except accessories of a newly deemed tobacco product, to be subject to
chapter IX of the FD&C Act. This final rule also finalizes additional
provisions that would apply to certain newly deemed products as well as
to certain other tobacco products. Once deemed, tobacco products become
subject to the FD&C Act and its implementing regulations. The FD&C Act
requirements that will apply to newly deemed products include
establishment registration and product listing, ingredient listing,
submissions prior to the introduction of new products, and labeling
requirements. Free samples of newly deemed tobacco products will also
be prohibited. The additional provisions of this final rule include
minimum age and identification requirements, vending machine
restrictions, and required warning statements for packages and
advertisements.
While FDA currently has authority to regulate cigarettes, cigarette
tobacco, roll-your-own tobacco, and smokeless tobacco under chapter IX
of the FD&C Act, under the final rule, all additional tobacco products
that meet the statutory definition, except accessories of those newly
deemed tobacco products, will be subject to chapter IX of the FD&C Act
and its implementing regulations.\16\ These products include cigars,
pipe tobacco, waterpipe tobacco, ENDS (including e-cigarettes), and
other novel tobacco products such as certain dissolvable products and
gels. These products further include components and parts of the newly
deemed products, including pipes, e-liquids, atomizers, batteries,
cartomizers (atomizer plus replaceable fluid-filled cartridge), tank
systems, flavors for e-liquids, vials that contain e-liquids,
programmable software, flavor enhancers for waterpipe tobacco,
waterpipe cooling attachments, water
[[Page 29075]]
filtration base additives, flavored waterpipe tobacco charcoals, and
waterpipe bowls, valves, hoses, and heads.
---------------------------------------------------------------------------
\16\ As stated in section 201(rr) of the Federal Food, Drug, and
Cosmetic Act in relevant part, a tobacco product: (1) Means any
product made or derived from tobacco that is intended for human
consumption, including any component, part, or accessory of a
tobacco product (except for raw materials other than tobacco used in
manufacturing a component, part, or accessory of a tobacco product);
and (2) Does not mean an article that is a drug under section
201(g)(1) of the Federal Food, Drug, and Cosmetic Act (21 U.S.C.
321(g)(1)), a device under section 201(h) of the Federal Food, Drug,
and Cosmetic Act (21 U.S.C. 321(h)), or a combination product
described in section 503(g) of the Federal Food, Drug, and Cosmetic
Act (21 U.S.C. 353(g)).
---------------------------------------------------------------------------
The final deeming action differs from most public health
regulations in that it is an enabling regulation. In addition to
directly applying the substantive requirements of chapter IX of the
FD&C Act and its implementing regulations to newly deemed tobacco
products, it enables FDA to issue further regulations related to such
products that are appropriate for the protection of the public health.
We expect that asserting our authority over these tobacco products will
enable us to propose further regulatory action in the future as
appropriate, and those actions will have their own costs and benefits.
Without deeming these products to be subject to the FD&C Act, FDA would
lack the authority to require manufacturers to provide, for example,
vital ingredient and health information about them. We would also lack
the authority to take regulatory action with respect to them, if we
determined it was appropriate to do so.
The direct benefits of making each of the newly deemed tobacco
products subject to the requirements of chapter IX of the FD&C Act are
difficult to quantify, and we cannot predict the size of these benefits
at this time. Among other effects, new products will be subject to an
evaluation to ensure they meet the appropriate public health standard
for the pathway before they can be marketed, labeling cannot contain
misleading statements, and FDA will be made aware of the ingredients in
newly deemed tobacco products. If, without the final rule, new products
would pose substantially greater health risks than those already on the
market, the premarket requirements made effective by this final rule
would keep such products from appearing on the market and worsening the
health effects of tobacco product use. The warning statements required
by this final rule will help consumers better understand and appreciate
the risks and characteristics of tobacco products.
The final rule as a whole will impose costs in the form of
registration, submission, and labeling requirements. Manufacturers of
newly deemed products, as well as some manufacturers of currently
regulated products, will need to comply with the warning label
provisions, which will impose additional costs, including costs for
signs with warnings at point-of-sale for cigars sold singly without
packaging. There will be potential costs for removing non-compliant
point-of-sale advertising and complying with vending machine
restrictions.
The primary estimate for the present value of total quantified
costs over 20 years is approximately $988 million at a 3 percent
discount rate and $817 million at a 7 percent discount rate. The
quantified costs of the final rule can also be expressed as annualized
values, as shown in table 1. Unquantified costs which may be
attributable to this final rule include: Some consumer costs for users
of the newly deemed products due to loss of product variety or higher
prices; recordkeeping costs for exporters of deemed tobacco products;
compliance costs for components and parts other than complete pipes,
waterpipes, and ENDS delivery systems; the cost of testing and
reporting for HPHCs; the cost of any clinical testing that may
potentially be conducted to support SE reports; market adjustment
(friction) costs and lost producer surplus associated with product
consolidation, exit of manufacturers, and the switch to pure retailing
among retailers such as vape shops who currently engage in
manufacturing activities.
Table 5--Summary of Quantified Costs Over 20 Years ($ million)
--------------------------------------------------------------------------------------------------------------------------------------------------------
Lower bound Upper bound Lower bound Upper bound
(3%) Primary (3%) (3%) (7%) Primary (7%) (7%)
--------------------------------------------------------------------------------------------------------------------------------------------------------
Present Value of Private Sector Costs................... 517.7 783.7 1,109.8 450.4 670.9 939.8
Present Value of Government Costs \1\................... 204.6 204.6 204.6 145.7 145.7 145.7
Present Value of Total Costs............................ 722.3 988.2 1,314.4 596.1 816.5 1,085.4
Annualized Value of Private Sector Costs................ 34.8 52.7 74.6 42.5 63.3 88.7
Annualized Value of Government Costs \1\................ 13.8 13.8 13.8 13.8 13.8 13.8
Annualized Value of Total Costs......................... 48.5 66.4 88.3 56.3 77.1 102.5
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ FDA costs represent an opportunity cost, but this rule will not result in changes to overall FDA accounting costs, the size of the federal budget,
or the total amount of tobacco industry user fees.
Because it is not possible to compare benefits and costs directly
when the benefits are not quantified, we employ a breakeven approach.
For the reasons provided elsewhere in this preamble and in the analysis
of impacts, FDA has concluded that the benefits of the final rule
justify the costs.
In addition to the benefits and costs of this final rule, we assess
the benefits and costs of four different approaches. These approaches
consist of regulatory alternatives (i.e., alternatives to the rule) as
well as enforcement options (i.e., periods of time during which FDA
does not intend to enforce certain requirements). First, we assess the
regulatory alternative of exempting premium cigars from regulation.
Second, we assess two hybrid regulatory alternatives/enforcement
options of providing either a 36-month or 12-month compliance period
for labeling changes. Lastly, we assess the enforcement option of not
extending the premarket review compliance policy to new flavored
tobacco products (other than tobacco flavored products).\17\ For the
sake of simplicity only, we have referred to these four approaches as
``alternatives to the rule.''
---------------------------------------------------------------------------
\17\ Throughout the final RIA, any reference to ``flavored
tobacco products'' means flavored products other than tobacco
flavor.
---------------------------------------------------------------------------
In addition to the above alternatives, comments discussed changing
the grandfather date as an alternative. FDA has decided not to include
this option in the analysis of alternatives because we determined that
the Agency lacks the authority to change the grandfather date.
Primary estimates of the costs of the regulatory alternatives
appear as present values and annualized values in table 6.
[[Page 29076]]
Table 6--Primary Estimate of Quantified Costs for Regulatory Alternatives (Present and Annualized Values, $
million) \1\
----------------------------------------------------------------------------------------------------------------
Present value Present value Annualized Annualized
Alternative (3%) (7%) value (3%) value (7%)
----------------------------------------------------------------------------------------------------------------
1--Exempt Premium Cigars from Regulation........ 959 794 64 75
2a--36-month compliance period for labeling 968 797 65 75
changes........................................
Final Rule and Compliance Period................ 988 817 66 77
2b--12-month compliance period for labeling 1,043 871 70 82
changes........................................
3--Do not extend the premarket review compliance 1,141 961 77 91
policy to new flavored tobacco products........
----------------------------------------------------------------------------------------------------------------
\1\ Nonquantified benefits are described in the text.
In addition to the social costs described in this document, the
final rule would lead to distributional effects, such as: Reduced
revenues for firms in affected sectors, payment of user fees, and
potential changes in tax revenues.
Domestic tobacco product manufacturers, tobacco product importers,
and vape shops are the businesses primarily affected by this rule; most
of these businesses are small. We focus the quantitative analysis of
small entities on manufacturers and importers of cigars and ENDS
products. We note that most pipe tobacco and waterpipe tobacco
manufacturers and importers are also small, and we expect the impact on
them to be similar to the impact on cigar manufacturers and importers.
Even though user fees are a transfer payment and not a societal cost,
they are a cost from the standpoint of the cigar and pipe manufacturers
who must pay them under this final rule and have been included in the
estimated burden for cigar manufacturers and importers. Estimated costs
per cigar manufacturer or importer are $278,000 to $397,000 in the
first year, $292,000 to $411,000 in the second year, and $235,000 to
$257,000 in the third year. (The inclusion of user fees in these
estimates will cause costs to be overstated for manufactures and
importers who also manufacture currently regulated products. In
addition, costs will vary by firm size as user fees are based on market
share). Estimated costs per ENDS manufacturer or importer are $827,000
to $1.21 million in the first year, $832,000 to $1.21 million in the
second year, and $22,000 to $64,000 in subsequent years. Although we do
not quantitatively examine the financial effects on vape shops, we
expect the proportion of vape shops that mix e-liquids may fall during
the initial compliance policy period for submission and FDA receipt of
PMTAs. After this initial compliance policy period, we expect that most
vape shops will continue to operate but those that have not already
switched pure retailing will likely do so. Regulatory alternatives that
would reduce costs are analyzed as potential regulatory relief options
for small businesses.
The Economic Analysis of Impacts of the final rule performed in
accordance with Executive Order 12866, Executive Order 13563, the
Regulatory Flexibility Act, and the Unfunded Mandates Reform Act is
available at https://www.regulations.gov under the docket number(s) for
this final rule (Ref. 204) and at https://www.fda.gov/AboutFDA/ReportsManualsForms/Reports/EconomicAnalyses/default.htm.
XIX. Paperwork Reduction Act of 1995
This final rule contains information collection provisions that are
subject to review by the Office of Management and Budget (OMB) under
the Paperwork Reduction Act of 1995 (PRA) (44 U.S.C. 3501-3520). The
title, description, and respondent description of the information
collection provisions are shown in the following paragraphs with an
estimate of the annual reporting and recordkeeping burden. Included in
the estimate is the time for reviewing instructions, searching existing
data sources, gathering and maintaining the data needed, and completing
and reviewing each collection of information.
Title: Deeming Tobacco Products To Be Subject to the Federal Food,
Drug, and Cosmetic Act, as Amended by the Family Smoking Prevention and
Tobacco Control Act; Restrictions on the Sale and Distribution of
Tobacco Products and Required Warning Statements for Tobacco Products.
Description: On June 22, 2009, the President signed the Tobacco
Control Act into law. In this rule, the Agency is extending FDA's
``tobacco product'' authorities in the FD&C Act to all other categories
of products meeting the statutory definition of ``tobacco product'' in
section 201(rr) of the FD&C Act, excluding accessories of deemed
tobacco products. (Two options were presented in the NPRM. Under Option
1, all products meeting the definition of a ``tobacco product,'' except
accessories of newly deemed tobacco products, would be deemed. Option 2
was the same as Option 1, except a subset of cigars known as ``premium
cigars'' would be excluded. After thorough review of the comments and
the scientific evidence, FDA has concluded that Option 1 more
effectively protects the public health and therefore has made that the
scope of the final rule.) The rule also prohibits the sale of covered
tobacco products to individuals under the age of 18 and prohibits the
sale of covered tobacco products using the assistance of any retail-
based electronic or mechanical device (such as a vending machine)
except in facilities where the retailer ensures that no person younger
than 18 years of age is present, or permitted to enter, at any time.
The requirement that a retailer sell covered tobacco products in only a
direct, face-to-face exchange without the assistance of electronic or
mechanical devices is not intended to prevent the sale of tobacco
products via the Internet, but the sale of covered tobacco products via
any medium (including the Internet) must only be to persons 18 years of
age or older.
The rule also provides that manufacturers, distributors, importers,
and retailers are responsible for ensuring that the covered tobacco
products (in addition to cigarettes and smokeless tobacco) they
manufacture, label, advertise, package, distribute, import, sell, or
otherwise hold for sale comply with all applicable requirements.
In addition, elsewhere in this issue of the Federal Register, FDA
has made available a final guidance to provide information on how to
establish and reference a Tobacco Product Master File (TPMF). TPMFs are
expected to reduce the burden on applicants preparing premarket and
other regulatory submissions because they can reference information in
TPMFs rather than develop the information on their own.
[[Page 29077]]
Currently, FDA does allow for the submission and use of information to
be incorporated by reference similar to master file programs for other
FDA-regulated products.
A. Responses to Comments Regarding Proposed Collection of Information
1. Whether the Proposed Collection of Information Is Necessary for the
Proper Performance of FDA's Functions, Including Whether the
Information Will Have Practical Utility
(Comment 279) We received several comments regarding the practical
utility of the information to be collected by FDA under the proposed
regulations. The main concern among comments was that some of the
requirements impose significant administrative burdens without
generating useful information. Also, the comments believed that FDA is
predicting that the paperwork burden will force almost all of the e-
cigarette products to come off the market because manufacturers will go
out of business.
(Response) FDA's regulation of the newly deemed products and the
information the Agency is seeking will benefit the public health. As
FDA discussed in the NPRM, deeming all tobacco products to be subject
to chapter IX of the FD&C Act will provide FDA with critical
information regarding the health risks of the products. FDA has not
received any data indicating that regulation ``will destroy almost all
of the e-cigarette products on the market.'' We also note that FDA is
announcing a compliance policy for small-scale tobacco product
manufacturers, offering them targeted relief to address concerns that
small manufacturers may need additional time to comply with certain
requirements of the deeming rule, as discussed in section IV.D. This
compliance policy will provide small-scale tobacco product
manufacturers (i.e., those manufacturers with 150 employees or fewer
and $5,000,000 or less in annual revenues) with additional time to
submit ingredient listing information (under section 904(a)(1)) and
health documents (under section 904(a)(4)). This policy also provides
that, for the first 30 months following the effective date of the rule,
small-scale tobacco product manufacturers may receive extensions of
time for providing responses to SE deficiency letters.
(Comment 280) One comment stated that FDA's proposed regulation is
unnecessary and does not address any valid need in society. It also
stated that the PRA should set limits on regulations that do not
provide significant return to the U.S. population. Another comment
asked that FDA not stifle advertisements, nor saddle the industry with
unnecessary testing and reporting standards that stifle innovation and
increase costs.
(Response) FDA disagrees with comments suggesting that FDA's rule
will have such effects on industry or the nation. FDA finds that
deeming tobacco products and applying the automatic provisions of the
FD&C Act in accordance with this final rule will result in significant
public health benefits and that the additional restrictions imposed by
this rule are appropriate for the protection of the public health. For
example, benefits that will arise as a result of deeming ENDS,
including FDA review of premarket submissions/applications for new
tobacco products in the United States pursuant to sections 905 and 910
of the FD&C Act, which will result in increased product consistency.
FDA expects to receive premarket submissions/applications from ENDS
manufacturers that will allow the Agency to determine whether a new
product is substantially equivalent to a valid predicate product,
exempt from SE., or appropriate for the protection of the public
health.
2. Accuracy of FDA's Estimate of the Burden of the Proposed Collection
of Information, Including the Validity of the Methodology and
Assumptions Used
(Comment 281) Many comments argued that their products could be
driven from the market due to the paperwork reporting requirements and
FDA's authorization process. The comments claimed that many companies
(particularly e-cigarette companies) lack experience or the systems in
place to comply with the NPRM and that the premarket requirements would
discourage the development of new products. They also said that
requirements like labeling and registration would be unfeasible for
small producers lacking the experience of navigating this regulatory
environment.
(Response) FDA expects that the greater regulatory certainty
created by the premarket review process will help companies to invest
in creating novel products that benefit the health of the population as
a whole, with greater confidence that the improved products in which
they have invested will enter the market without having to compete
against equally novel products that do not have to meet the same basic
requirements. We also note that FDA is announcing a compliance policy
for small-scale tobacco product manufacturers, offering them targeted
relief in certain areas to address concerns that small manufacturers
may need additional time to comply with certain requirements of the
FD&C Act, as discussed in section IV.D. This compliance policy will
provide small-scale tobacco product manufacturers (i.e., those
manufacturers with 150 employees or fewer and $5,000,000 or less in
annual revenues) with additional time to submit ingredient listing
information (under section 904(a)(1)) and health documents (under
section 904(a)(4)). This policy also provides that, for the first 30
months following the effective date of the rule, small-scale tobacco
product manufacturers may receive extensions of time for providing
responses to SE deficiency letters.
(Comment 282) Several comments stated that the PMTA process imposes
a number of burdens on manufacturers, the most onerous burden being the
requirement for scientific investigations.
(Response) In the NPRM (79 FR 23142 at 23176), FDA included
discussion intended to supplement and clarify the requirement for
scientific investigations. As we noted, FDA expects that, in some
cases, it will be possible for an applicant to obtain a PMTA marketing
order without conducting new nonclinical or clinical studies where
there is an established body of evidence regarding the public health
impact of the product. Therefore, FDA believes that certain categories
of PMTAs may not require significant financial and administrative
resources associated with clinical investigations. Elsewhere in this
issue of the Federal Register, FDA is announcing the availability of a
draft guidance, which when final will provide the Agency's current
thinking regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products, including
the need for ``clinical studies'' for the purposes of preparing PMTAs
for ENDS. In addition, elsewhere in this issue of the Federal Register,
FDA has made available a final guidance to provide information on how
to establish and reference a Tobacco Product Master File. TPMFs are
expected to reduce the burden on applicants preparing premarket and
other regulatory submissions.
We also note that FDA is announcing an enforcement policy for
small-scale tobacco product manufacturers, offering them targeted
relief in certain areas to address concerns that smaller manufacturers
may have, as discussed in section IV.D. This compliance policy will
provide small-scale tobacco product manufacturers (i.e., those
manufacturers with 150 employees or
[[Page 29078]]
fewer and $5,000,000 or less in annual revenues) with additional time
to submit ingredient listing information (under section 904(a)(1)) and
health documents (under section 904(a)(4)). This policy also provides
that, for the first 30 months following the effective date of the rule,
small-scale tobacco product manufacturers may receive extensions of
time for providing responses to SE deficiency letters.
(Comment 283) Several comments expressed concern that FDA failed to
provide any data on the number or type of e-cigarette businesses
currently operating in the United States. According to the comments,
there are at least 1,250 businesses. Other comments estimated that
there are 14,000 to 16,000 e-cigarette retail outlets in the United
States. They stated that these small manufacturing entities will not be
able to participate in the PMTA process and most will go out of
business.
(Response) At the time of the NPRM, FDA did not have precise
estimates for ENDS products. Now that we have more data, the Agency is
estimating the numbers for ENDS liquids and delivery systems elsewhere
in the PRA section. As stated previously, FDA believes the TPMF process
will help companies as they can reference information in TPMFs rather
than develop the information on their own. Additionally, the
enforcement policy for small-scale tobacco product manufacturers will
assist small manufacturers. This compliance policy will provide small-
scale tobacco product manufacturers (i.e., those manufacturers with 150
employees or fewer and $5,000,000 or less in annual revenues) with
additional time to submit ingredient reporting (under sections 904 and
915) and health documents (under section 904). This policy also
provides that small-scale tobacco product manufacturers may receive
extensions of time for providing responses to SE deficiency letters.
(Comment 284) Some comments noted that the NPRM made it appear that
FDA would not allow any SE reports to be submitted for e-cigarette
products, as there were only about a half dozen first generation e-
cigarette products that were sold in the United States in February 2007
(the grandfather date), and those products are not substantially
equivalent to any of today's products. Comments stated that applicants
would then need to submit PMTAs and estimated that each PMTA would cost
a successful applicant between $3 and $20 million.
(Response) The FD&C Act provides three pathways for obtaining FDA
authorization to market a new tobacco product. Where a new product does
not meet the requirements for SE exemption under section 905(j)(3) and
does not have an appropriate predicate under section 905(j)(1)(A)(i) or
is otherwise unable make a showing supporting a finding of SE., the
manufacturer of the new product must submit a PMTA. As FDA stated in
the NPRM, the Agency expects that some applicants may not need to
engage in resource-intensive clinical investigations and provide long-
term data to prepare and submit a complete PMTA. In addition, elsewhere
in this issue of the Federal Register, FDA has made available draft
guidance, which when final will describe FDA's current thinking
regarding some appropriate means of addressing the premarket
authorization requirements for newly deemed ENDS products, including
the need for clinical studies for the purposes of preparing PMTAs for
ENDS.
(Comment 285) Several comments argued that FDA has greatly
underestimated the total number of e-liquid products that are on the
market. According to one comment, there are nearly 1,700 e-cigarette
and e-liquid businesses on record, which does not include the many
companies that manufacture hardware components used in ARPVs. One
comment stated that a recent study found that greater than 34,000
different e-liquid products alone were sold on the Internet (i.e. 7,764
unique brand flavors averaging 4.4 different nicotine levels per brand)
not including different vegetable glycerin/propylene glycol water
levels or components in 466 identified different e-cigarette brands.
Several comments estimated that there are 5,000 to 15,000 e-liquid
producers and e-cigarette retail establishments in the United States.
Other comments projected that there are at least 100,000 e-cigarette
products currently on the market.
Similarly, some commenters felt that FDA grossly underestimated the
number of responses for certain proposed information collections. For
example, they noted that the NPRM states that FDA expects only 25 new
product applications from e-cigarette manufacturers. They claimed that
FDA has either miscalculated the number of distinct brands and types of
e-cigarettes on the market, or the Agency expects most manufacturers to
exit the market rather than submit product applications.
(Response) We have revised our estimates to reflect the most recent
information available at the time of drafting this final analysis. FDA
estimates the average number of vape shops that meet the definition of
a manufacturer are 4,250. FDA also estimates that there will be 186
other manufacturers and 14 importers of ENDS products.
(Comment 286) Many comments said that FDA's estimates of the
burdens imposed by the rule's information collection requirements are
understated. Specifically, they stated that the Agency's estimates of
the number of respondents in the category of ``other tobacco, e-
cigarettes, and nicotine product manufacturers,'' as well as the number
of products on the market manufactured by these companies, were off by
orders of magnitude.
(Response) Based on the comments and other evidence, FDA estimates
there will be 186 manufacturers of ENDS products. Regarding the number
of products, the number will depend on what type of submission is being
sent to FDA. The burden charts in this section detail the current
estimates FDA believes to be accurate.
(Comment 287) Some comments indicated that FDA equates the time and
financial burden of preparing a PMTA with an SE application, but the
PMTA requirements are significantly more burdensome than SE
requirements, and it is completely unreasonable to allocate the same
amount of man-hours needed to successfully complete a PMTA and an SE
application.
(Response) The Agency has revised the estimated burden per PMTA
response to an average of 1,500 hours to complete a PMTA. In reaching
this average, FDA considered efficiencies achieved through manufacturer
experience, application overlap, economies of scale, incorporation of
evidence by reference, and other means including availability of the SE
FAQ guidance. Based on this information, FDA believes an SE submission
will take considerably less time and money. If the manufacturer is
unable to show that its product is substantially equivalent to a
predicate product or that its product is exempt from SE., then the
manufacturer must submit a PMTA. The requirements of a PMTA may vary
based on the type and complexity of the product.
(Comment 288) One comment said that FDA erred in its estimate of
the in-house cost burdens imposed by the proposed information
collections. The comment said internal costs can only be excluded when
estimating the burden of an information collection if such costs are
related to ``usual and customary'' activities. In this case, the
comment believed FDA did not consider the types of internal costs that
will be incurred by companies to comply with the information
collections.
(Response) FDA disagrees with this comment. The Agency was thorough
in
[[Page 29079]]
its identification of usual and customary activities. The Agency used
various existing data sources and considered all the costs associated
with the collections of information. In reaching this average cost, FDA
considered efficiencies achieved through manufacturer experience,
application overlap, economies of scale, incorporation of evidence by
reference, and other means.
(Comment 289) A few comments stated that most of the cost burden
created by paperwork requirements will fall upon consumers, as hundreds
of thousands of American consumers would lose access to what the
comments state are ``low-risk products'' that have allowed consumers to
quit smoking. They said FDA should take into consideration small
business and consumer stakeholders' suggested alternatives to minimize
the NPRM's potential impact.
(Response) FDA disagrees with these comments. This final rule will
prevent new products from entering the market that are not appropriate
for the protection of the public health, are not substantially
equivalent to a valid predicate product, or are not exempt from SE. We
also note that FDA is announcing a compliance policy for small-scale
tobacco product manufacturers, offering them targeted relief in certain
areas to address concerns that smaller manufacturers may need
additional time to comply with certain requirements of the FD&C Act, as
discussed in section IV.D. This compliance policy will provide small-
scale tobacco product manufacturers (i.e., those manufacturers with 150
employees or fewer and $5,000,000 or less in annual revenues) with
additional time to submit ingredient listing information (under section
904(a)(1)) and health documents (under section 904(a)(4)). This policy
also provides that, for the first 30 months following the effective
date of the rule, small-scale tobacco product manufacturers may receive
extensions of time for providing responses to SE deficiency letters.
(Comment 290) Several comments stated that FDA significantly
underestimated the burden on the tobacco industry. The Agency estimated
that 13,745 products will be affected by the NPRM and almost 90 percent
of them were cigars and pipe tobacco. They noted that FDA estimated
that up to 7,869 products will submit SE reports within the first 24
months after the rule is finalized, which they believed was very low,
especially given the February 15, 2007, grandfather date.
(Response) FDA used available public information to estimate the
burden on the tobacco industry and the comments did not provide
empirical evidence of a different number of affected products. However,
based on experience with currently regulated products and changes in
the industry we have revised the burden accordingly. The Agency also
finds that these comments have not provided evidence as to why the
grandfather date will cause applicants to submit more SE applications
than FDA estimated.
(Comment 291) One comment argued that FDA has greatly
underestimated the number of premium cigar products that will be
subject to premarket review. According to the comment, premium cigar
makers are distinct from other tobacco product manufacturers in the
number of products they market and the volume of those lines. This
comment stated that the average number of cigars produced for any given
product in a year is 32,655, with 33.6 percent of reported annual
production rates at or below 10,000 units.
Several other comments argued that the typical premium cigar
manufacturer may have over 100 unique stock keeping units (SKUs) and
typically will turn over about 15 percent of those SKUs in any given
year. Their data indicates there are at least 10,000 and maybe as many
as 20,000 unique SKUs in the United States, which would add to FDA's
workload for evaluating new product applications. They also estimated
that the premium hand-rolled cigar category alone could generate
numbers in excess of 10,000 new product applications.
Other comments stated that the premarket application process will
be costly and time consuming for cigar manufacturers and will likely
result in many different kinds of newly deemed tobacco products being
removed from the marketplace. The constant variation in the cigar
tobacco used to make premium cigars will create significant regulatory
burdens and costs for cigar manufacturers to be constantly submitting
premarket applications. Comments stated that cigar manufacturers that
are unable to bear the cost of applications will cease bringing new
products to the marketplace.
The comments expressed similar concerns regarding e-cigarettes,
stating that each e-cigarette manufacturer would need to submit a PMTA
for every brand of e-cigarette currently being sold and new e-
cigarettes introduced into the marketplace. Small manufacturers may not
have the financial resources to submit PMTAs, which will result in the
removal of e-cigarettes from the marketplace. The end result of the
PMTA process will be a significant negative impact on small businesses.
(Response) The FD&C Act provides for three marketing pathways for
new tobacco products--SE to a valid predicate product, exemption from
SE., and PMTA. If the manufacturer is unable to show that its product
is substantially equivalent to a valid predicate product or that its
product is exempt from SE., then the firm must submit a PMTA. The
requirements and costs of a PMTA may vary based on the type and
complexity of the product. For example, where there is limited
understanding of a product's potential impact on public health, several
nonclinical and clinical studies may be required for market
authorization. In such case, the requirements and cost of the PMTA
likely would be higher than for a product in which there is already
substantial scientific data on the potential public health impact.
(Comment 292) Many comments noted that FDA included a small number
of PMTAs for e-cigarette products in its analysis. Some comments stated
that if this is the case, FDA's estimates would probably include only a
fraction of the products that are believed to be used to stop smoking
cigarettes. They commented that the cost burdens of the paperwork
requirements will result in an unnecessary price increase for the
consumer and the PMTA requirements will limit the availability of e-
cigarettes to addicted smokers trying to quit. Their concern is the
burden of the paperwork would fall on both merchants and consumers.
(Response) FDA disagrees with these comments. The Agency's
intention is not to impose additional costs to consumers but, instead,
to prevent new products from entering the market that are not
appropriate for the protection of the public health, are not
substantially equivalent to a predicate product, or are not exempt from
SE. Per Agency experience and updates in the industry, FDA has updated
the number of ENDS products we estimate will submit a PMTA.
(Comment 293) Some comments disagreed with FDA's estimate that it
expects only one ``other tobacco, e-cigarette and nicotine product
manufacturers'' respondent to submit an annual health and toxicological
report and its estimate that there would only be one respondent to
self-certify that its product does not contain nicotine. They stated
that there may be hundreds of e-liquid manufacturers self-certifying
for use of the alternative statement, because it is standard industry
practice to offer 0 milligram nicotine flavors in vials.
[[Page 29080]]
(Response) At this time, we do not have sufficient evidence to
warrant revising the burden estimates.
(Comment 294) Many comments stated that FDA's estimates do not
reflect the realities of the market and FDA's estimates assume that
most of these small companies will be forced to exit the industry
because of the high compliance and paperwork burdens envisioned by the
NPRM. However, others believed that as the market evolves, many
companies will continue to operate and comply with FDA's regulations.
Further, many other comments stated that, at best, FDA's estimate
that there are only 140 to 188 potential respondents in the category of
``other tobacco, e-cigarettes, and nicotine product manufacturers'' is
``egregiously off target'' based on the available evidence. They
believed that the entire industry will be eliminated as a result of the
regulatory and paperwork burdens in the NPRM. They also noted that the
reason for the difference between 140 and 188 in the Analysis of
Impacts and PRA sections is unclear.
(Response) There is a high level of uncertainty in the number of
manufacturers of ENDS. FDA is required to estimate burden as part of
the PRA analysis. As many comments describe, the industry is ever
changing; during the time that the NPRM was in review, and since the
NPRM was published, the ENDS industry has grown. The comments on the
number of ENDS manufacturers provided industry estimates rather than
concrete data sources. In the case of non-retail manufacturers, the
comment did not always specify whether the cited numbers included both
domestic and foreign manufacturers, or only domestic manufactures.
Therefore, considerable uncertainty remains as to the number of
domestic non-retail manufacturers. Similarly, the comments did not
address the number of non-retail importers. In the Regulatory Impact
Analysis (RIA) for this final rule, based on logo counts from trade
association Web sites and FDA listening sessions, it is estimated that
there are 168 to 204 formal manufacturers of ENDS products (not
including ENDS retail establishments that meet the definition of a
manufacturer). For the PRA analysis, we took the average for a total of
186 manufacturers. We also estimate that there are 14 importers of ENDS
products.
(Comment 295) Many comments stated that it would not be possible to
complete a PMTA within 24 months after the effective date of the final
rule and that it is an insufficient amount of time for manufacturers to
conduct any required clinical studies in support of a PMTA.
(Response) As stated throughout this document, FDA is providing a
24-month compliance period for manufacturers to submit (and for FDA to
receive) a PMTA. If manufacturers submit the appropriate applications
during this compliance period, FDA will not enforce against those
manufacturers continuing to market their products without FDA
authorization for a certain time period. For products using the PMTA
pathway, this compliance period closes 36 months after the effective
date. Once the continued compliance period ends, FDA intends to
actively monitor and enforce the premarket authorization requirements
regarding products on the market without authorization even if the
respective submission is still under review. As noted previously, FDA
expects that, in some cases, it will be possible for an applicant to
obtain a PMTA order without conducting any new nonclinical or clinical
studies where there is an established body of evidence regarding the
public health impact of the product. Therefore, FDA believes that many
PMTAs may not require significant administrative resources associated
with clinical investigations.
(Comment 296) Several comments noted that if FDA requires health
documents from manufacturers and importers of newly deemed tobacco
products, the Agency should establish a similar production timeline as
it did for currently regulated products (i.e., cigarettes, cigarette
tobacco, smokeless tobacco, and roll-your-own tobacco) and only require
production of health documents developed during the 6-month period
following the effective date of the regulation.
(Response) As stated in the compliance date tables, the compliance
period for manufacturers of products currently on the market to submit
health documents is 6 months after the effective date of the final
rule. Manufacturers of products entering the market after the effective
date of the final rule must comply within 90 days before delivery of
the product for introduction into interstate commerce. With this final
rule, FDA also is announcing that it will extend the compliance period
for an additional 6 months from the effective date to allow small-scale
tobacco product manufacturers time to organize, compile, and digitize
documents. Additionally, as stated elsewhere, FDA generally does not
intend to take enforcement action regarding the submission of all such
documents at this time so long as a specified set of documents are
submitted by [the effective date plus 6 months]. FDA will publish
additional guidance that specifies the scope of such documents with
sufficient advance time for manufacturers and importers to prepare
their submissions.
(Comment 297) Some comments stated that FDA has underestimated the
number of other tobacco product manufacturers that will submit the
required health documents.
(Response) FDA based this burden estimate on the existing
collection that applies to tobacco products currently subject to the
FD&C Act and FDA experience. The comments did not provide a basis or an
estimate of other tobacco product manufacturers for FDA to utilize in
its review, and the Agency is not aware of any information that
warrants changing this estimate. We note that at this time, FDA intends
to limit enforcement to finished tobacco products. A finished tobacco
product refers to a tobacco product, including all components and
parts, sealed in final packaging intended for consumer use (e.g.,
filters, filter tubes, e-cigarettes, or e-liquids sold separately to
consumers or as part of kits). FDA does not at this time intend to
enforce this requirement for components and parts of newly deemed
products that are sold or distributed solely for further manufacturing
into finished tobacco products. However, any component or part of a
newly deemed tobacco product that is sold directly to consumers as a
``finished tobacco product'' will be required to comply with the
premarket review requirements discussed throughout this document.
(Comment 298) Some comments stated that e-liquid companies should
be allowed to amend their ingredient lists if they add or remove
ingredients or increase the maximum concentration of any of their
current ingredients in any of their products, rather than submit a new
ingredient list for the new product.
(Response) Ingredient listings contain important data that enable
FDA to gain better understanding of the contents of regulated products.
This information will assist FDA in assessing potential health risks
and determining if future regulations to address these health risks are
warranted. In addition, when an e-liquid manufacturer adds or removes
ingredients from a product, it becomes a ``new tobacco product.''
(Comment 299) Several comments disagreed with FDA's proposed
premarket review burdens for pipe tobacco manufacturers. At least one
comment indicated that FDA's proposed estimate that it will receive
only one
[[Page 29081]]
new product application for pipe tobacco products grossly
underestimates the number of brands of pipe tobacco that have entered
the market since 2007 or indicates that the Agency expects all but one
manufacturer to voluntarily stop production of new pipe tobacco
products without submitting an SE report or PTMA application. In
addition, the comments stated that pipe tobacco manufacturers will
incur cost and time burdens if they are required to submit PMTAs for
each new blend of pipe tobacco that they manufacture, including
millions of dollars per year in research to prepare the PMTAs.
(Response) At this time, FDA finds there is insufficient evidence
to increase the burden estimates. FDA believes that pipe tobacco
manufacturers will utilize the SE and SE exemption pathways. We believe
they are manufactured similarly with few, if any, modifications and
many of the ingredients and suppliers are the same as those utilized in
previous years.
(Comment 300) Several comments pointed out inconsistencies between
the PRA and Analysis of Impacts sections in the NPRM. They noted that
the Analysis of Impacts clearly states that FDA does not have an
estimate of e-cigarette entities that would register with FDA. If FDA
could not estimate the number of affected entities in the Analysis of
Impacts, they believed this should also be reflected in the PRA
section. In addition, they stated that the estimated number of PMTAs
(25) in the PRA section contradicts the number of estimated PMTAs in
the Analysis of Impacts.
(Response) The RIA and PRA analyses are conducted to fulfill
different purposes and must adhere to different requirements; as a
result, the two analyses would rarely, if ever, be the same. For
example, the time horizons for the analyses are typically different.
Information collections are approved for a up to a 3-year period and
are reanalyzed every time they are up for extension, whereas a
prospective RIA is conducted before a rule is issued using a time
horizon chosen to capture the most important effects of the rule
(generally 20 years). If estimates differ from year to year, the RIA
will often explicitly identify how the estimates vary, whereas the PRA
analysis will most often use an average or the estimate for the current
year. Regulatory impact analyses also tend to make more frequent use of
ranges rather than point estimates.
As referenced previously, there is a high level of uncertainty in
the number of manufacturers for ENDS. In the RIA for this final rule,
based on logo counts from trade association Web sites and FDA listening
sessions, it is estimated that there are 168 to 204 formal
manufacturers of ENDS products. For the PRA analysis, we took the
average of 168 and 204 for a total of 186 manufacturers. We also
estimate that there are 14 importers of ENDS products.
(Comment 301) A number of comments also noted that FDA should be
required to estimate and report the full social costs of eliminating
what they considered to be beneficial products from the market where
the manufacturers are unable to afford the PMTA costs.
(Response) FDA is not aware of any evidence indicating that such
social costs will accrue. Nevertheless, such estimates are outside the
scope of the PRA analysis.
3. Ways To Enhance the Quality, Utility, and Clarity of the Information
To Be Collected
(Comment 302) One comment stated that FDA has not consulted with
industry nor has the Agency audited industry recordkeeping to support
the assumption that manufacturers have enough information to prepare SE
reports.
(Response) FDA's proposed burden estimates are based on information
available at the time of preparing the NPRM. If interested parties have
evidence that warrants revising these burden estimates, they were
requested to submit such evidence during the comment period for FDA to
take into account when preparing final burden estimates.
(Comment 303) One comment recommended that the Office of
Information and Regulatory Affairs (OIRA) should void the proposed
regulations as they relate to e-cigarettes, that OIRA and FDA should
urge Congress to work with FDA to create a new regulatory framework for
e-cigarettes, and, at the very least, that OIRA require that FDA
prepare new estimates of the paperwork burdens.
(Response) FDA disagrees with this comment. FDA has estimated the
PRA burdens with the best evidence that is currently available. In
addition, as stated in the NPRM and throughout this final rule, the
deeming provisions are beneficial to the public health and the
additional provisions are appropriate for the protection of the public
health.
4. Ways To Minimize the Burden of the Collection of Information on
Respondents, Including Through the Use of Automated Collection
Techniques, When Appropriate, and Other Forms of Information Technology
(Comment 304) One comment asserted that, under the PRA, a review of
regulations should include an attempt to ensure that the paperwork is
not unduly burdensome. The comment also stated that FDA appears to be
ignoring the greatest cost of the paperwork burden (i.e., most
manufacturers will find the paperwork burden to be so great that they
will abandon products or their entire businesses without attempting to
comply with the requirements). They argued that FDA should follow the
requirements as stated in the PRA and limit data collection to
information that is useful and dependable.
(Response) FDA disagrees with this comment. FDA has faithfully
complied with the all aspects of the PRA and any other applications
laws and regulations.
B. Existing Burdens Associated With Tobacco Products Currently Subject
to the FD&C Act (i.e., Cigarettes, Cigarette Tobacco, Roll-Your-Own
Tobacco, and Smokeless Tobacco) With Approved OMB Control Numbers
The information collection requirements referenced in this section
are amending currently approved information collections. Once the rule
is finalized, the associated collections of information will be
submitted to OMB for approval as revisions to the currently approved
information collections. After submission to OMB, the revised
collections and associated documents can be viewed at OMB's public Web
site (https://www.reginfo.gov).
The burden estimates found in this section include existing
collections that have been approved by OMB and cover tobacco products
that are currently subject to the FD&C Act (i.e., cigarettes, cigarette
tobacco, roll-your-own tobacco, and smokeless tobacco). In developing
the burden estimates for newly deemed tobacco products, FDA based the
estimates on the existing collections that currently cover cigarettes,
cigarette tobacco, roll-your-own tobacco, and smokeless tobacco.
1. Tobacco Product Establishment Registration and Submission of Certain
Health Information (OMB Control Number 0910-0650)
Description of Respondents: The respondents to this collection of
information are manufacturers or importers, or agents thereof, of new
and currently regulated tobacco products
[[Page 29082]]
who are required to make submissions to FDA under section 904 of the
FD&C Act, including the submission of an initial list of all
ingredients in their tobacco products and the submission of information
whenever additives or their quantities are changed. The respondents to
this collection are also persons engaged in the manufacture,
preparation, compounding, or processing of a tobacco product or tobacco
products who must register their establishments and submit a list of
all tobacco products being manufactured, prepared, compounded, or
processed by that person for commercial distribution at the time of
registration under section 905 of the FD&C Act.
Section 101 of the Tobacco Control Act amended the FD&C Act by
adding sections 905 and 904. Section 905(b) of the FD&C Act requires
that every person who owns or operates any establishment in any State
engaged in the manufacture, preparation, compounding, or processing of
a tobacco product or tobacco products register with FDA the name,
places of business, and all establishments owned or operated by that
person. Section 905(i)(1) of the FD&C Act requires that all
registrants, at the time of registration, must submit to FDA a list of
all tobacco products that are being manufactured, prepared, compounded,
or processed by that person for commercial distribution, along with
certain accompanying consumer information and other labeling for such
products and a representative sampling of advertisements.
If an ENDS retail establishment engages in these activities, it
will be required to register and list their products with FDA. These
requirements apply under the statute for all distinct products
manufactured, and they enable FDA to assess the landscape of products
manufactured by these entities. If ENDS retail establishments are
custom mixing e-liquids and/or other ENDS products or components, then
they will have to list each combination that they sell. For such
establishments to continue to engage in mixing after this rule becomes
effective, they would need to satisfy the requirements for
manufacturers and the premarket authorization of new tobacco products
as a result of this final rule. We note, however, that FDA does not
intend to enforce the premarket authorization requirements during
staggered compliance periods following the effective date, as stated
previously in this preamble to this rule.
Section 904(a)(1) of the FD&C Act requires each tobacco product
manufacturer or importer, or agent thereof, to submit a listing of all
ingredients, including tobacco, substances, compounds, and additives
that are added by the manufacturer to the tobacco, paper, filter, or
other part of each tobacco product by brand and by quantity in each
brand and subbrand. Section 904(c) of the FD&C Act also requires
submission of information whenever additives or their quantities are
changed.
As previously referenced in section IV, for small-scale tobacco
product manufacturers, FDA is providing a one-time allowance of an
additional 6 months after the effective date of this final rule for
initial reporting of ingredients. This regulatory relief is only for
small-scale tobacco product manufacturers.
FDA issued guidance documents on both (1) Registration and Product
Listing for Owners and Operators of Domestic Tobacco Product
Establishments (74 FR 58298, November 12, 2009) and (2) Listing of
Ingredients in Tobacco Products (74 FR 62795, December 1, 2009) to
assist persons making these submissions to FDA under the FD&C Act.
Although electronic submission of registration, product listing, and
ingredient listing information are not required, FDA strongly
encourages electronic submission to facilitate efficiency and
timeliness of data management and collection. To that end, FDA designed
the eSubmitter application, and then the FDA FURLS, to streamline the
data entry process for registration, product listing, and ingredient
listing. This tool allows for importation of large quantities of
structured data, attachments of files (e.g., in PDFs and certain media
files), and automatic acknowledgement of FDA's receipt of submissions.
FDA also developed paper forms (Form FDA 3741--Registration and Listing
for Owners and Operators of Domestic Tobacco Product Establishments and
Form FDA 3742--Listing of Ingredients in Tobacco Products) as
alternative submission tools. Both the FURLS and the paper forms can be
accessed at https://www.fda.gov/tobacco. FDA estimates the additional
annual burden for the information collection as a result of this rule
as follows:
Table 7--Estimated Annual Reporting Burden \1\
--------------------------------------------------------------------------------------------------------------------------------------------------------
Number of
Activity Number of responses per Total annual Average burden per response (in hours) Total hours
respondents respondent \2\ responses
--------------------------------------------------------------------------------------------------------------------------------------------------------
Tobacco Product Establishment Initial First Year Registration (electronic and paper submission):
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Entities (Including Large and Small, 221 1 221 2......................................... 442
and Importers).
Pipe and Waterpipe Tobacco Entities 96 1 96 2......................................... 192
(Including Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine 193 1 193 2......................................... 386
Product Entities and ENDS Products
Importers (7) \3\.
Vape shops that qualify as manufacturers \4\ 4,250 1 4,250 2......................................... 8,500
-----------------------------------------------------------------------------------------------------------
Total Tobacco Product Establishment .............. .............. .............. .......................................... 9,520
Initial First Year Registration.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Tobacco Product Establishment Recurring Registration (electronic and paper submission):
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Entities (Including Large and Small, 221 1 221 0.20 (12 minutes)......................... 44
and Importers).
Pipe and Waterpipe Tobacco Entities 96 1 96 0.20 (12 minutes)......................... 19
(Including Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine 193 1 193 0.20 (12 minutes)......................... 39
Product Entities and ENDS Products
Importers (7) \3\.
[[Page 29083]]
Vape shops that qualify as manufacturers \4\ 4,250 1 4,250 0.20 (12 minutes)......................... 850
-----------------------------------------------------------------------------------------------------------
Total Tobacco Product Establishment .............. .............. .............. .......................................... 952
Recurring Registration.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Tobacco Product Listing Initial First Year (electronic and paper submission):
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Entities (Including Large and Small, 221 1 221 2......................................... 442
and Importers).
Pipe and Waterpipe Tobacco Entities 96 1 96 2......................................... 192
(Including Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine 193 1 193 2......................................... 386
Product Entities and ENDS Products
Importers (7)) \3\.
Vape shops that qualify as manufacturers \4\ 4,250 1 4,250 2......................................... 8,500
-----------------------------------------------------------------------------------------------------------
Total Hours Tobacco Product Listing .............. .............. .............. .......................................... 9,520
Initial First Year.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Tobacco Product Listing Recurring (electronic and paper submission):
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Entities (Including Large and Small, 221 2 442 0.40 (24 minutes)......................... 177
and Importers).
Pipe and Waterpipe Tobacco Entities 96 2 192 0.40 (24 minutes)......................... 77
(Including Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine 193 2 386 0.40 (24 minutes)......................... 154
Product Entities and ENDS Products
Importers (7) \3\.
Vape shops that qualify as manufacturers \4\ 4,250 2 8,500 0.40 (24 minutes)......................... 3,400
-----------------------------------------------------------------------------------------------------------
Total Hours Tobacco Product Listing .............. .............. .............. .......................................... 3,808
Recurring.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Obtaining a Dun and Bradstreet (DUNS) Number:
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Entities (Including Large and Small, 221 1 221 0.5 (30 minutes).......................... 111
and Importers).
Pipe and Waterpipe Tobacco Entities 96 1 96 0.5 (30 minutes).......................... 48
(Including Importers (22)).
Other Tobacco, E-Cigarettes, and Nicotine 193 1 193 0.5 (30 minutes).......................... 97
Product Entities and ENDS Products
Importers (7) \3\.
Vape shops that qualify as manufacturers \4\ 4,250 1 4,250 0.5 (30 minutes).......................... 2,125
-----------------------------------------------------------------------------------------------------------
Total Hours Obtaining DUNS Number....... .............. .............. .............. .......................................... 2,381
-----------------------------------------------------------------------------------------------------------
Total Hours Registration, Product .............. .............. .............. .......................................... 26,181
Listing, and DUNS Number.
--------------------------------------------------------------------------------------------------------------------------------------------------------
Tobacco Product Ingredient Listing (electronic and paper submission):
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Entities (Including Large and Small, 329 5.38 1,770 3......................................... 5,310
and Importers).
Pipe and Waterpipe Tobacco Entities 117 20.62 2,413 3......................................... 7,239
(Including Importers (43)).
Other Tobacco, E-Cigarettes, and Nicotine 200 11.40 2,280 3......................................... 6,840
Product Entities and ENDS Products
Importers (7) \3\.
Vape shops that qualify as manufacturers \4\ 4,250 11.73 49,853 1......................................... 49,853
-----------------------------------------------------------------------------------------------------------
Total Hours Submitting Product .............. .............. .............. .......................................... 69,242
Ingredient Listing.
-----------------------------------------------------------------------------------------------------------
Total Burden Tobacco Product .............. .............. .............. .......................................... 121,604
Establishment Registration and
Submission of Certain Health
Information.
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of information.
\2\ This number is estimated to be the total annual responses divided by the number of respondents, rounded to the nearest tenth.
\3\ Importers are included throughout this Table 7 to the extent that they engage in the manufacture, preparation, compounding, or processing of tobacco
products, which includes repackaging or otherwise changing the container, wrapper, or labeling of any tobacco product package in furtherance of the
distribution of the tobacco product from the original place of manufacturer to the person who makes final delivery or sale to the ultimate consumer or
use.
\4\ FDA assumes that vape shops will register and list only during the first two years after the rule becomes effective.
[[Page 29084]]
Based on aggregate information obtained from the TTB, in 2013 there
were 113 domestic manufacturers of cigars, 216 importers of cigars, 74
manufacturers of pipe (including waterpipe) tobacco, and 43 importers
of pipe (including waterpipe) tobacco who will be required to register
under section 905 of the FD&C Act. For the purposes of this analysis,
FDA estimates that the majority of the 4,250 vape shops that qualify as
manufacturers will only register and list in the first two years after
the rule becomes effective. In addition, FDA estimates that 186 ENDS
manufacturers will be required to register under section 905 of the
FD&C Act.
Product listing information is provided at the time of
registration. Currently, registration and listing requirements only
apply to domestic establishments engaged in the manufacture,
preparation, compounding, or processing of a tobacco product. This
includes importers to the extent that they engage in the manufacture,
preparation, compounding, or processing of a tobacco product, including
repackaging or otherwise changing the container, wrapper, or labeling
of any tobacco product package.\18\ Foreign establishments are not
required to register and list until FDA issues regulations establishing
such requirements in accordance with section 905(h) of the FD&C Act. To
account for the foregoing, we include both domestic manufacturing
establishments and importers in our estimates. Specifically, for the
PRA analysis, we have used the midpoint between TTB permit counts for
manufacturers and permit counts for manufacturers and importers as a
likely overestimate of the number of entities that need to comply with
registration and product listing (The Analysis of Impacts includes
importers in the upper bound.)
---------------------------------------------------------------------------
\18\ Under the Internal Revenue Code, the manufacture,
preparation, compounding, or processing of a tobacco product may
require a permit as a manufacturer of tobacco products. As we
understand TTB's permitting requirements, entities lacking a
manufacturer permit, including importers, may not engage in any of
the listed activities, including repackaging tobacco products after
such products are released from customs custody. It is unclear
whether TTB would require a manufacturer permit for all activities
for which FDA would determine the entity must register and list;
because there may be some entities with import permits for which FDA
would conclude registration is necessary, FDA includes those numbers
as part of its upper-bound estimate of affected entities.
---------------------------------------------------------------------------
The PRA burden estimates have been updated to fully incorporate the
use of an electronic system known as FURLs for submitting registration
and product listing information to FDA. With the FURLs system,
manufacturers can enter information quickly and easily. For example,
product label pictures can be uploaded directly and we anticipate that
most, if not all companies, already have electronic versions of their
labels for printing, sales, or marketing purposes. We anticipate that
initial entity registration will take 2 hours and initial product
listing will take an additional 2 hours per entity.
FDA estimates that the initial first year submission of
registration information required by section 905 of the FD&C Act will
take 2 hours per establishment, with a total of 4,760 establishments
that will be required to register under this rule, for a total of 9,520
hours (4,760 x 2).
The estimate for the number of product listing submissions for
cigars is derived by using product counts from two retail Web sites:
https://www.cigarsinternational.com/ and https://www.pipesandcigars.com/.
These two large Internet retailers had larger product offerings than
other sites reviewed and sell both mass-market and specialty products.
Estimates of product formulations and product-package combinations for
cigars are centered over the product counts from the two Web sites. To
derive the product listing count for pipe tobacco, we count the
products on a Web site with a broad product offering, https://www.pipesandcigars.com/. We estimate formulations with the number of
the product names and product-packages with the number of product-
package combinations. FDA derives the product listing estimate for ENDS
products by consulting experts at FDA's CTP who cataloged the ENDS
products currently available on five Web sites and in scanner data from
Nielsen. FDA estimates that the initial first year submission of
product listing information required by section 905 of the FD&C Act
will take 2 hours per submission for 4,760 submissions/annual responses
for a total of 9,520 hours.
Once information is entered into FURLs, the twice yearly
confirmation of annual registration and product listing updates is
simplified as all information previously entered is maintained in the
system. Therefore, we expect the recurring burden of subsequent years
for updating registration and product listing information will take 1
hour annually per establishment (12 minutes for registration and 48
minutes for product listing). The total hours are 4,760 (952 updating
registration and 3,808 product listing).
FDA estimates that obtaining a DUNS number will take 30 minutes.
FDA assumes that all the establishment facilities that will be required
to register under section 905 of the FD&C Act would obtain a DUNS
number, with a total of 4,760 establishments that would need to obtain
this number. The total burden to obtain a DUNS number is 26,181 hours.
FDA estimates that the submission of ingredient listing information
as required by section 904 of the FD&C Act will take 3 hours per
tobacco product based on the estimates found in the existing
collection. The Agency estimates that approximately 56,316 ingredient
listings/annual responses will be submitted annually based on the
methodology used for estimating the number of product listing
submissions described in this section. The total ingredient listing
reporting is 69,242 hours. FDA estimates that the total burden for
tobacco product establishment registration and ingredient listing
reporting is 121,604 hours.
2. Tobacco Health Document Submission (OMB Control Number 0910-0654)
Description of Respondents: Respondents to this collection of
information are tobacco product manufacturers or, importers, or agents
thereof, who will submit all documents to FDA developed after June 22,
2009, that relate to health, toxicological, behavioral, or physiologic
effects of current or future tobacco products. As stated elsewhere,
however, FDA generally does not intend to take enforcement action
regarding the submission of all such documents at this time so long as
a specified set of documents are submitted by [the effective date plus
6 months]. FDA will publish additional guidance that specifies the
scope of documents that manufacturers and importers will be required to
submit by [the effective date plus 6 month], with sufficient advance
time for manufacturers and importers to prepare their submissions.
Section 904(a)(4) of the FD&C Act requires each tobacco product
manufacturer or importer, or agent thereof, to submit all documents to
FDA developed after June 22, 2009, that relate to health,
toxicological, behavioral, or physiologic effects of current or future
tobacco products, their constituents (including smoke constituents),
ingredients, components, and additives (tobacco health documents). To
address concerns of certain small businesses relating to the tobacco
health documents requirement, FDA is extending the compliance period
for small-scale tobacco product
[[Page 29085]]
manufacturers for an additional 6 months following the end of the
generally applicable compliance period to allow submitters time to
organize, compile, and digitize documents.
FDA is collecting the information submitted under section 904(a)(4)
of the FD&C Act through an electronic portal and through a paper form
(Form FDA 3743) for those individuals who choose not to use the
electronic portal.
FDA estimates the additional annual burden for the information
collection as a result of this rule as follows:
Table 8--Estimated Annual Reporting Burden \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Activity respondents responses per responses response (in Total hours
respondent hours)
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 2 4 8 50 400
Large and Small)...............
Pipe and Waterpipe Tobacco 1 4 4 50 200
Manufacturers..................
Other Tobacco, E-Cigarettes, and 1 4 4 50 200
Nicotine Product Manufacturers
ENDS...........................
Importers of Cigars and Pipe 1 4 4 50 200
Tobacco Who Are Considered
Manufacturers..................
Importers of Other Tobacco, E- 1 4 4 50 200
Cigarettes, and Nicotine
Product Manufacturers ENDS.....
-------------------------------------------------------------------------------
Total Hours Health Document .............. .............. .............. .............. 1,200
Submission.................
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
FDA estimates that a tobacco health document submission for cigars,
pipe and waterpipe tobacco, other tobacco, tobacco importers, and
importers of ENDS required by section 904(a)(4) of the FD&C Act, will
take approximately 50 hours per submission based on the existing
collection that applies to tobacco products currently subject to the
FD&C Act and FDA experience. To derive the number of respondents for
this provision, FDA assumes that very few manufacturers or importers,
or agents thereof, would have health documents to submit. Therefore,
the Agency estimates that approximately six submissions (two for cigar
manufacturers, one for pipe and waterpipe tobacco manufacturers, one
for other tobacco product manufacturers, and one for tobacco importers,
and one for importers of ENDS who are considered manufacturers) will be
submitted on an annual basis. FDA estimates the total number of hours
is 1,200 hours (6 submissions multiplied by 4 times per year multiplied
by 50 average burden hours).
3. Exemptions From Substantial Equivalence Requirements (OMB Control
Number 0910-0684)
Description of Respondents: Respondents to this collection of
information are manufacturers of deemed tobacco products who are
requesting an exemption from the SE requirements of the FD&C Act.
In a final rule that published on July 5, 2011, FDA established
procedures for manufacturers to request exemptions from the SE
requirements of the Tobacco Control Act (SE exemptions final rule). The
SE exemptions final rule was issued under section 905(j)(3) of the FD&C
Act, which provides that FDA may exempt from the requirements relating
to the demonstration of SE tobacco products that are modified by adding
or deleting a tobacco additive, or increasing or decreasing the
quantity of an existing tobacco additive, if FDA determines that: (1)
Such modification would be a minor modification of a tobacco product
that can be sold under the FD&C Act, (2) a report is not necessary to
ensure that permitting the tobacco product to be marketed would be
appropriate for protection of the public health, and (3) an exemption
is otherwise appropriate.
The exemption request may be made only by the manufacturer of a
legally marketed tobacco product for a minor modification to that
manufacturer's product, and the request (and supporting information)
must be submitted in an electronic format that FDA can process, review,
and archive. In addition, the request and all supporting information
must be legible and in (or translated into) the English language.
An exemption request must be submitted with supporting
documentation and contain:
The manufacturer's address and contact information;
identification of the tobacco product(s);
a detailed explanation of the purpose for the
modification;
a detailed description of the modification, including a
statement as to whether the modification involves adding or deleting a
tobacco additive, or increasing or decreasing the quantity of an
existing tobacco additive;
a detailed explanation of why the modification is a minor
modification of a tobacco product that can be sold under the FD&C Act;
a detailed explanation of why a report under section
905(j)(1)(A)(i) intended to demonstrate SE is not necessary to ensure
that permitting the tobacco product to be marketed would be appropriate
for the protection of the public health;
a certification summarizing the supporting evidence and
providing the rationale for why the modification does not increase the
tobacco products appeal to or use by minors, toxicity, addictiveness,
or abuse liability;
other information justifying an exemption; and
an environmental assessment under part 25 (21 CFR part 25)
prepared in accordance with Sec. 25.40.
This information will enable FDA to determine whether the exemption
request is appropriate for the protection of the public health. There
is also a procedural mechanism for rescinding an exemption if FDA finds
the exemption is not appropriate for the protection of the public
health. In general, FDA will rescind an exemption only after providing
the manufacturer notice of the rescission and an opportunity for an
informal hearing under part 16 (21 CFR part 16). However, FDA may
rescind an exemption prior to notice and opportunity for a hearing
under part 16 if the continuance of the exemption presents a serious
risk to public health. In that case, FDA would provide the manufacturer
an opportunity for a
[[Page 29086]]
hearing as soon as possible after the rescission.
FDA reviews the information submitted in support of the request and
determines whether to grant or deny the request based on whether the
criteria specified in the statute are satisfied. FDA may request
additional information from the manufacturer if necessary to make the
determination. If the manufacturer fails to respond within the
timeframe requested, FDA will consider the exemption request withdrawn.
FDA estimates the additional annual burden for the information
collection as a result of this rule as follows:
Table 9--Estimated Annual Reporting Burden (When Manufacturers Choose to Seek Exemption From Substantial
Equivalence) \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
21 CFR Section and activity respondents responses per responses response (in Total hours
respondent \2\ hours)
----------------------------------------------------------------------------------------------------------------
Sec. 1107.1(b) Optional Preparation of Tobacco Product Exemption From Substantial Equivalence Request
Including Sec. 25.40 Preparation of an Environmental Assessment
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 196 1 196 24 4,704
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 105 1 105 24 2,520
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 18 1 18 24 432
Nicotine Product Manufacturers
(ENDS and Delivery Systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Hours (Sec. .............. .............. .............. .............. 7,656
1107.1(b)).................
----------------------------------------------------------------------------------------------------------------
Sec. 1107.1(c) Preparation of Additional Information for Tobacco Product Exemption From Substantial
Equivalence Request:
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 59 1 59 3 177
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 32 1 32 3 96
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 3 1 3 3 9
Nicotine Product Manufacturers
(ENDS and Delivery Systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Hours (Sec. .............. .............. .............. .............. 282
1107.1(c)).................
----------------------------------------------------------------------------------------------------------------
Section 905(j)(1)(A)(ii) of the FD&C Act: If exemption granted, report submitted to demonstrate tobacco product
is modified under section 905(j)(3), modifications are to a product that is commercially marketed and compliant,
and modifications covered by exemptions granted by Secretary under section 905(j)(3):
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 293 1 293 3 879
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 156 1 156 3 468
Manufacturers (including
importers).....................
Other Tobacco, E-Cigarettes, and 26 1 26 3 78
Nicotine Product Manufacturers
(ENDS and Delivery Systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Hours (section .............. .............. .............. .............. 1,425
905(j)(1)(A)(ii))..........
----------------------------------------------------------------------------------------------------------------
Total Hours Exemptions .............. .............. .............. .............. 9,363
From Substantial
Equivalence
Requirements...........
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
\2\ This number is estimated to be the total annual responses divided by the number of respondents, rounded to
the nearest hundredth.
The estimated average burden per response (in hours) is based on
the burdens associated with the existing information collection that
applies to tobacco products currently subject to the FD&C Act (i.e.,
cigarettes, cigarette tobacco, roll-your-own tobacco, and smokeless
tobacco). FDA estimates that we will receive 319 exemption requests
under Sec. 1107.1(b) for 24 hours per response including EA for a
total of 7,656 hours. Since an EA is required for each Sec. 1107.1(b)
(Optional Preparation of Tobacco Product Exemption From Substantial
Equivalence Request), the burden per response for EAs (12 hours) has
been combined with the 12 hours for an SE request for a total of 24
hours.
FDA estimates, based on the existing information collection that
applies to tobacco products currently subject to the FD&C Act, we will
receive 94 submissions requiring additional information in support of
the initial exemption request, and it is expected that it will take an
average of 3 hours to prepare the additional information for a total of
282 hours.
FDA estimates that 475 respondents will prepare 475 responses and
each response will take approximately 3 hours to prepare, as required
by section 905(j)(1)(A)(ii), for a total of 1,425 hours. This
collection of information requires a manufacturer to submit a report at
least 90 days prior to making an introduction or delivery for
introduction into interstate commerce for commercial distribution of a
tobacco product. Section 905(j)(1)(A)(ii) of the FD&C Act states that
if an exemption has been requested and granted, the manufacturer
[[Page 29087]]
must submit to FDA a report that demonstrates that the tobacco product
is modified within the meaning of section 905(j)(3), the modifications
are to a product that is commercially marketed and in compliance with
the requirements of the FD&C Act, and all of the modifications are
covered by exemptions granted by the Secretary pursuant to section
905(j)(3). FDA estimated the total hours for exemptions from
Substantial Equivalence Requirements would be 9,363 hours.
FDA's estimates are based on full analysis of economic impacts
(Ref. 204) and information gathered from other FDA-regulated products.
4. Reports Intended To Demonstrate the Substantial Equivalence of a New
Tobacco Product (OMB Control Number 0910-0673)
Description of Respondents: Respondents to this collection of
information are manufacturers of deemed tobacco products who seek to
submit a report to FDA demonstrating that a tobacco product is
substantially equivalent to a valid predicate product under section
905(j)(1)(A)(i) of the FD&C Act.
Section 905(j)(1) of the FD&C Act authorizes FDA to establish the
form and manner of the submission. FDA issued guidance intended to
assist persons submitting reports under section 905(j) of the FD&C Act
and to explain, among other things, FDA's interpretation of the
statutory sections related to SE (see the Guidance for Industry and FDA
Staff entitled ``Section 905(j) Reports: Demonstrating Substantial
Equivalence for Tobacco Products'' (76 FR 789, January 6, 2011)).
Under the recently issued guidance, which published in the Federal
Register of September 8, 2015, entitled, ``Demonstrating the
Substantial Equivalence of a New Tobacco Product: Responses to
Frequently Asked Questions'' (Edition 2), FDA is recommending that
certain modifications might be addressed in either a ``Same
Characteristics SE Report'' or ``Product Quantity Change Report.'' In
some circumstances manufacturers may be able to submit a shorter SE
report. In particular, if a tobacco product is distinct (e.g., it has a
different name), but has the same characteristics as a valid predicate
product, manufacturers may submit a Same Characteristics SE Report. If
the only change to the tobacco product is a change to product quantity,
and the per-weight composition inside the package remains identical,
the manufacturer may submit a Product Quantity Change SE Report. FDA's
CTP estimates that it will take less time to prepare those shorter SE
reports.
When groups of full or product quantity change SE reports have
identical content, they may be bundled; when a group of similar reports
are bundled, the subsequent bundled reports are expected to take less
time to prepare than the initial report.
FDA recognizes that many manufacturers of newly deemed products may
be at the inception of their businesses. Therefore, FDA is announcing
that the Agency may grant extension requests made by small-scale
tobacco product manufacturers for SE Reports that need additional time
to respond to deficiency letters for the first 30 months following the
effective date of this rule.
FDA estimates the additional annual burden for the information
collection as a result of this rule as follows:
Table 10--Estimated Annual Reporting Burden \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Activity respondents responses per responses response (in Total hours
respondent \2\ hours)
----------------------------------------------------------------------------------------------------------------
Full SE Initial Sections 905(j)(1)(A)(i) and 910(a) and Sec. 25.40 Environmental Assessments:
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 168 1 168 300 50,400
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 151 1 151 300 45,300
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 16 1 16 300 4,800
Nicotine Product Manufacturers
(ENDS and Delivery Systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Hours (sections .............. .............. .............. .............. 100,500
905(j)(1)(A)(i) and 910(a))
----------------------------------------------------------------------------------------------------------------
Full SE Bundled 905(j)(1)(A)(i) and 910(a) and Sec. 25.40 Environmental Assessments:
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 151 1 151 90 13,590
Large, Small, and Importers)...
Pipe and Water Tobacco 83 1 83 90 7,470
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 16 1 16 90 1,440
Nicotine Product Manufacturers
(ENDS and Delivery Systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Hours................. .............. .............. .............. .............. 22,500
----------------------------------------------------------------------------------------------------------------
Same Characteristics SE Report and Sec. 25.40 Environmental Assessments:
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 285 1 285 47 13,395
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 132 1 132 47 6,204
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 1 1 1 47 47
Nicotine Product Manufacturers
(ENDS and Delivery systems
(Including Importers)).........
-------------------------------------------------------------------------------
[[Page 29088]]
Total Same Characteristics.. .............. .............. .............. .............. 19,646
----------------------------------------------------------------------------------------------------------------
Product Quantity Change Initial and Sec. 25.40 Environmental Assessments:
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 108 1 108 87 9,396
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 30 1 30 87 2,610
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 1 1 1 87 87
Nicotine Product Manufacturers
(ENDS and Delivery systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Product Quantity .............. .............. .............. .............. 12,093
Change Initial.............
----------------------------------------------------------------------------------------------------------------
Product Quantity Change Bundled and Sec. 25.40 Environmental Assessments:
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Including 42 1 42 62 2,604
Large, Small, and Importers)...
Pipe and Waterpipe Tobacco 12 1 12 62 744
Manufacturers (Including
Importers).....................
Other Tobacco, E-Cigarettes, and 1 1 1 62 62
Nicotine Product Manufacturers
(ENDS and Delivery systems
(Including Importers)).........
-------------------------------------------------------------------------------
Total Product Quantity .............. .............. .............. .............. 3,410
Change.....................
-------------------------------------------------------------------------------
Total Hours (``Reports .............. .............. .............. .............. 158,149
Intended to Demonstrate
the Substantial
Equivalence of a New
Tobacco Product'').....
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
\2\ This number is estimated to be the total annual responses divided by the number of respondents, rounded to
the nearest hundredth.
FDA has based these estimates on the full analysis of economic
impacts (Ref. 204) and experience with the existing information
collection that applies to tobacco products currently subject to the
FD&C Act (i.e., cigarettes, cigarette tobacco, roll-your-own tobacco,
and smokeless tobacco). In addition, anyone submitting an SE report is
required to submit an environmental assessment under Sec. 25.40.
The burden for environmental reports has been included in the
burden per response for each type of SE report.
FDA estimates that 335 respondents will prepare and submit 335
section 905(j)(1)(A)(i) Full SE Initial reports each year and that it
will take a manufacturer approximately 300 hours per report to prepare
the reports of SE and environmental assessment for a new tobacco
product.
FDA estimates that we will receive 335 Full SE Initial reports for
a total of 100,500 hours. We estimate 250 Full SE Bundled Reports for a
total of 22,500 hours. FDA estimates that we will receive 418 Same
Characteristics SE Reports for a total of 19,646 hours. FDA estimates
receiving 139 Initial Product Quantity Change reports for a total of
12,093 hours. We estimate receiving 55 Product Quantity Change Bundled
SE reports for a total of 3,410 hours. Based on FDA's experience with
environmental assessments (EAs) for currently regulated tobacco
products, we expect industry to spend 80 hours to prepare an
environmental assessment for a full SE Report, but less time to prepare
an environmental assessment for shorter SE reports.
Therefore, FDA estimates the burden for submission of SE
information will be 158,149 hours.
5. Electronic Importer's Entry Notice (OMB Control Number 0910-0046)
Description of Respondents: Respondents to this collection of
information are importers of tobacco products being imported or offered
for import into the United States whose products meet the same
requirements of the Tobacco Control Act as domestic tobacco products.
With the passage of the Tobacco Control Act, section 801 of the
FD&C Act (21 U.S.C. 381) was amended to add tobacco products to the
inventory of FDA-regulated products. The revised section 801 charges
the Secretary of Health and Human Services, through FDA, with the
responsibility of assuring that foreign-origin, FDA-regulated foods,
drugs, cosmetics, medical devices, radiological health, and tobacco
products being imported or offered for import into the United States
meet the same requirements of the FD&C Act as domestic products and for
preventing products from entering the country if they are not in
compliance. The discharge of this responsibility involves close
coordination and cooperation between FDA headquarters and field
inspectional personnel and the U.S. Customs and Border Protection
(CBP). This collection of information is being used by FDA to review
and prevent imported products from entering the United States if the
products do not meet the same requirements of the FD&C Act as do
domestic products.
Until October 1995, importers were required to file manual entry on
OMB-approved forms, which were accompanied by related documents.
Information provided by these forms included information such as
country of origin, name of the importing vessel, entry number (assigned
by CBP), port of entry, the port of lading and unlading, value in U.S.
dollars, shipper or manufacturer, importer of record, original
consignee, broker, broker's
[[Page 29089]]
reference number and CBP house box number, bill of lading numbers, and
location of goods. FDA stopped using these paper forms effective
October 1, 1995, to eliminate duplication of information and to reduce
the paperwork burden both on the import community and FDA. The Agency
then developed and implemented an automated nationwide entry processing
system, which enabled FDA to more efficiently obtain and process the
information it requires to fulfill its regulatory responsibility.
Most of the information FDA requires to carry out its regulatory
responsibilities under section 801 of the FD&C Act is already provided
electronically by filers to CBP. Because CBP relays this data to FDA
using an electronic interface, the majority of data submitted by the
entry filer need be done only once.
FDA estimates the additional annual burden for the information
collection as a result of this rule as follows:
Table 11--Estimated Annual Reporting Burden \1\
--------------------------------------------------------------------------------------------------------------------------------------------------------
Number of
Activity Number of responses per Total annual Average burden per response (in hours) Total hours
respondents respondent responses
--------------------------------------------------------------------------------------------------------------------------------------------------------
Importers of Cigars who are Considered 216 159 34,344 0.14 (8\1/2\ minutes) 4,808
Manufacturers.
Importers of Pipe and Waterpipe Tobacco Who 43 123 5,289 0.14 (8\1/2\ minutes) 740
Are Considered Manufacturers.
Importers Other Tobacco, E-Cigarettes, and 14 68 952 0.14 (8\1/2\ minutes) 133
Nicotine Product Manufacturers (ENDS).
-----------------------------------------------------------------------------------------------------------
Total Hours Importation of Tobacco .............. .............. .............. .......................................... 5,681
Products.
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of information.
FDA estimates the burden hours to be 5,681 burden hours (4,808 +
740 + 133 hours). This reflects the addition of the newly deemed
tobacco products to the list of FDA's regulated products. When testing
the use of electronic and paper forms, FDA determined that the average
time for completing either electronic or manual entries was the same.
Based on the original data collected by FDA when the importer entry
notice information collection was most recently approved, it is
expected that each respondent will take 0.14 hour (8\1/2\ minutes) to
respond. The estimated hours per response are expected to remain the
same for tobacco importers.
FDA estimates that there will be no additional costs to provide
import data electronically to FDA, as filers already have equipment and
software in place to enable them to provide data to CBP via the
automated system. Therefore, no additional software or hardware need be
developed or purchased to enable filers to file the FDA data elements
at the same time they file entries electronically with CBP.
6. Exports: Notification and Recordkeeping Requirements (OMB Control
Number 0910-0482)
Description of Respondents: Respondents are manufacturers,
distributors, and other persons who export tobacco products not
intended for sale in the United States.
In a rule published on February 2, 2012 (77 FR 5171), FDA amended
certain of its general regulations to include tobacco products, where
appropriate, in light of FDA's authority to regulate these products
under the Tobacco Control Act (conforming amendments rule). The
conforming amendments rule subjects tobacco products to the same
general requirements that apply to other FDA-regulated products, where
appropriate.
The conforming amendments rule amended 21 CFR 1.101(b), among other
sections, to require persons who export human drugs, biologics,
devices, animal drugs, foods, cosmetics, and tobacco products that may
not be sold in the United States to maintain records demonstrating
their compliance with the requirements in section 801(e)(1) of the FD&C
Act. Section 801(e)(1) requires exporters to keep records demonstrating
that the exported product: (1) Meets with the foreign purchaser's
specifications; (2) does not conflict with the laws of the foreign
country; (3) is labeled on the outside of the shipping package that is
intended for export; and (4) is not sold or offered for sale in the
United States. These criteria also could be met by maintaining other
documentation, such as letters from a foreign government agency or
notarized certifications from a responsible company official in the
United States stating that the exported product does not conflict with
the laws of the foreign country.
FDA estimates the annual burden for the information collection as a
result of this rule as follows:
Table 12--Estimated Annual Recordkeeping Burden 1 2
--------------------------------------------------------------------------------------------------------------------------------------------------------
Average burden
Activity Number of Number of records Total annual per recordkeeping Total hours
recordkeepers per recordkeeper records (in hours)
--------------------------------------------------------------------------------------------------------------------------------------------------------
21 CFR 1.101(b):
--------------------------------------------------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (Large and Small).................... 57 3 171 22 3,762
Pipe and Waterpipe Tobacco Manufacturers................. 37 3 111 22 2,442
Other Tobacco, E-Cigarettes, and Nicotine Product 93 3 279 22 6,138
Manufacturers (ENDS)....................................
----------------------------------------------------------------------------------------------
[[Page 29090]]
Exports: Notification and Recordkeeping Requirements. ................. ................. ................. ................. 12,342
--------------------------------------------------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of information.
\2\ At publication of the NPRM, the burden for these activities were under OMB control number 0910-0690. The burden has since been transferred to OMB
control number 0910-0482.
The Agency has estimated the number of respondents and burden hours
associated with the recordkeeping requirements by reviewing Agency
records and using Agency expert resources who have experience and
information regarding tobacco product exporters. FDA estimates that 187
establishments (50 percent of all the tobacco manufacturers listed in
the collection of information under OMB Control Number 0910-0046 in
this document who manufacture cigars, pipe tobacco, waterpipe, other
tobacco products, and ENDS) could be involved in the exporting of all
tobacco products annually. Based on previous recordkeeping estimates
for the exporter's reporting burden in the existing OMB-approved
collection of information (OMB Control Number 0910-0482, ``Export
Notification and Recordkeeping Requirements''), each establishment will
maintain an average of three records per year, and it will take each
recordkeeper an average of 22 hours per recordkeeper to maintain each
record. The Agency estimates 12,342 burden hours will be needed for
tobacco product exporters to create and maintain records demonstrating
compliance with section 801(e)(1) of the FD&C Act.
7. Establishing That a Tobacco Product Was Commercially Marketed in the
United States as of February 15, 2007 (OMB Control Number 0910-0775)
Description of Respondents: Respondents to this collection of
information are manufacturers of tobacco products who wish to
demonstrate that their tobacco product was commercially marketed in the
United States on February 15, 2007, and is a grandfathered product not
subject to premarket review.
On September 29, 2014, FDA published the guidance document entitled
``Establishing That a Tobacco Product Was Commercially Marketed in the
United States as of February 15, 2007''. This guidance provides
information on how a manufacturer may demonstrate that a tobacco
product was commercially marketed in the United States on February 15,
2007, and is, therefore, a grandfathered product not subject to
premarket review. The guidance recommends that the manufacturer provide
evidence that may include, among other things, dated copies of
advertisements, dated catalog pages, dated promotional material, and
dated bills of lading. FDA recommends that the manufacturer submit
adequate information to demonstrate that the tobacco product was
commercially marketed in the United States on February 15, 2007.
The estimate for the number of hours in the existing collection is
FDA's estimate of how long it might take one to review, gather, and
submit dated information if making a request for an Agency
determination.
FDA estimates the annual burden for the information collection as a
result of this rule as follows:
Table 13--Estimated Annual Reporting Burden 1 2
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Activity respondents responses per responses response (in Total hours
respondent hours)
----------------------------------------------------------------------------------------------------------------
Cigar Manufacturers (including 1 1 1 5 5
large and small cigars and
importers).....................
Pipe Tobacco Manufacturers 1 1 1 5 5
(Including Importers)..........
Other Tobacco, E-Cigarettes, and 1 1 1 5 5
Nicotine Product Manufacturers
(Including Importers)..........
-------------------------------------------------------------------------------
Total Hours Establishing .............. .............. .............. .............. 15
that a Tobacco Product was
Commercially Marketed in
the United States as of
February 15, 2007..........
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
\2\ At publication of the NPRM, this collection was not yet approved by OMB. On September 8, 2014, OMB approved
the information collection for 3 years.
Based on FDA's experiences to date, and given that stand-alone
grandfather submissions are purely voluntary, FDA does not anticipate
that many manufacturers will make such submissions, but this option is
available. As such, we assigned one respondent annually per type of
product FDA estimates it will take a manufacturer approximately 5 hours
to complete and submit for FDA review the evidence required by this
collection of information for a total of 15 hours.
C. Burdens Associated With Tobacco Products Currently Subject to the
FD&C Act But Not Yet Approved by OMB
The information collections described in this section also involve
collections that have been previously made available for public comment
because they involved tobacco products currently subject to chapter IX
of the FD&C Act. However, these information collections have not yet
been approved by OMB.
[[Page 29091]]
FDA based the estimates on the existing collections that were
previously made available for comment.
Applications for Premarket Review of New Tobacco Products
Description of Respondents: The respondents to this collection of
information are manufacturers who seek a marketing authorization order
under section 910(c)(1)(A)(i) of the FD&C Act.
On September 28, 2011, FDA announced the availability of a draft
guidance entitled ``Applications for Premarket Review of New Tobacco
Products''. This guidance, when finalized, will represent the Agency's
current thinking on the topic. Section 910(a)(1) of the FD&C Act
defines a ``new tobacco product'' as a tobacco product that was not
commercially marketed in the United States on February 15, 2007, or
modification (including a change in design, any component, any part, or
any constituent, including a smoke constituent, or in the content,
delivery or form of nicotine, or any other additive or ingredient) of a
tobacco product where the modified product was commercially marketed in
the United States after February 15, 2007. An order under section
910(c)(1)(A)(i) of the FD&C Act is required prior to marketing a new
tobacco product. This requirement applies unless the product has been
shown to be substantially equivalent to a valid predicate product or is
exempt from SE.
Section 910(b) of the FD&C Act states that a PMTA shall contain
full reports of all investigations of health risks; a full statement of
all components, ingredients, additives, and properties, and of the
principle or principles of operation of such tobacco product; a full
description of methods of manufacturing and processing (which includes;
a listing of all manufacturing, packaging, and control sites for the
product); an explanation of how the product complies with applicable
tobacco product standards; samples of the product and its components;
and labeling.
FDA also encourages persons who would like to study their new
tobacco product to meet with the OS in CTP to discuss their
investigational plan. The request for a meeting should be sent in
writing to the Director of CTP's OS and should include adequate
information for FDA to assess the potential utility of the meeting and
to identify FDA staff necessary to discuss agenda items. FDA is
required to deny a PMTA and issue an order that the product may not be
introduced or delivered for introduction into interstate commerce under
section 910(c)(1)(A)(ii) of the FD&C Act if FDA finds that:
The manufacturer has not shown that the product is
appropriate for the protection of the public health,
the manufacturing, processing, or packing methods,
facilities, or controls do not conform to good manufacturing practices
issued under section 906(e) of the FD&C Act,
the labeling is false or misleading in any particular, or
the manufacturer has not shown that the product complies
with any tobacco product standard in effect under section 907 of the
FD&C Act.
FDA estimates the annual burden for the information collection as a
result of this rule as follows:
Table 14--Estimated Annual Reporting Burden \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Activity respondents responses per responses response (in Total hours
respondent hours)
----------------------------------------------------------------------------------------------------------------
Obtaining an FDA Order Authorizing Marketing of Tobacco Product (the application) and Sec. 25.40 Environmental
Assessments:
----------------------------------------------------------------------------------------------------------------
Other Tobacco, E-Cigarettes, and 200 3.75 750 1,713 1,284,750
Nicotine Product Manufacturers
(ENDS Liquids and ENDS Delivery
Systems (Including Importers)).
Total Hours Obtaining an FDA .............. .............. .............. .............. 1,284,750
Order Authorizing Marketing
of Tobacco Product (the
application)...............
----------------------------------------------------------------------------------------------------------------
Request for Meeting with CTP's Office of Science to Discuss Investigational Plan:
----------------------------------------------------------------------------------------------------------------
Other Tobacco, E-Cigarettes, and 200 1 200 4 800
Nicotine Product Manufacturers
(ENDS Liquids and ENDS Delivery
Systems (Including Importers)).
Total Hours Request for .............. .............. .............. .............. 800
Meeting with CTP's Office
of Science to Discuss
Investigational Plan.......
Total Hours .............. .............. .............. .............. 1,285,550
``Applications for
Premarket Review of New
Tobacco Products''.....
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
FDA estimates that it will take each respondent approximately 1,500
hours to prepare a PMTA seeking an order from FDA allowing the
marketing of a new tobacco product. FDA also estimates that it would on
average take an additional 213 hours to prepare an environmental
assessment in accordance with the requirements of Sec. 25.40, for a
total of 1,713 hours per PMTA application. This average represents a
wide range of hours that will be required for these applications under
different circumstances, with some requiring more hours (e.g., as many
as 5,000 hours for early applications that involve complex products and
for which the company has no experience conducting studies or preparing
analysis of public health impacts, or for which reliance on master
files is not possible) as well as many requiring fewer hours (e.g., as
few as 50 hours for applications for products that are very similar to
other new products).
Although FDA has decreased the burden per each PMTA, we have
increased the number of expected responses for ENDS manufacturers. We
attribute this increase to the rapid growing ENDS market since the NPRM
was published. FDA's estimate includes anticipated burden for the
writing of an application, including intracompany edits and approvals.
FDA also estimates the number of PMTAs that FDA expects to receive
annually will be 750 (642 ENDS Liquids and 108 ENDS Delivery Systems).
We are clarifying here that a PMTA may require one or more types of
studies including chemical analysis,
[[Page 29092]]
nonclinical studies, and clinical studies. FDA expects that chemical
and design parameter analysis would include the testing of applicable
HPHCs and nonclinical analysis would include literature synthesis and,
as appropriate, some combination of in vitro or in vivo studies, and
computational analyses. For the clinical study component, one or more
types of studies may be included to address, as needed, perception, use
pattern, or health impact. It is possible that an applicant may not
need to conduct any new nonclinical or clinical studies. We note that
for most applications, FDA does not expect that applicants will include
randomized clinical trials, like those conducted to support drug and
device approvals.
For tobacco products already on the market at the time of the final
rule, much of the information required to support a PMTA may be
obtained from previously published research on similar products.
Therefore, FDA expects that a large portion of applications may be
reviewed with no or minimal new nonclinical or clinical studies being
conducted to support an application. In contrast, nonclinical and
clinical studies may be required for market authorization of a new
product for which there is limited understanding of its potential
impact on the public health. The range of hours involved to compile
these two types of applications would be quite variable.
FDA anticipates that the 200 potential respondents to this
collection may need to meet with CTP's Office of Science to discuss
their investigational plans. To request this meeting, applicants should
compile and submit information to FDA for meeting approval. FDA
estimates that it will take approximately 4 hours to compile this
information, for a total of 800 hours additional burden (200
respondents x 4 hours).
Therefore, the total annual burden for submitting PMTA applications
is estimated to be 1,285,550 hours. FDA's estimates are based on the
corresponding information collection estimates that apply to tobacco
products currently subject to the FD&C Act and an assumption that
manufacturers would submit applications for the premarket review of
tobacco products.
D. New Collections of Information That Apply Only to Deemed Tobacco
Products
1. Exemption From the Required Warning Statement Requirement
Description of Respondents: Respondents are manufacturers who, to
obtain an exemption from the required addictiveness warning, certify to
FDA that their product does not contain nicotine and that the
manufacturer has data to support that assertion.
This rule contains a new information collection that pertains to an
exemption process related to the requirement to include the warning
statement in Sec. 1143.3(a)(1). Section1143.3(c) will provide an
exemption to the manufacturer of a product that otherwise would be
required to include the warning statement in Sec. 1143.3(a)(1) on its
packages and in its advertisements, i.e., ``WARNING: This product
contains nicotine. Nicotine is an addictive chemical.'' This warning
will be required to appear on at least 30 percent of the two principal
display panels of the package and on at least 20 percent of the area of
the advertisement.
To obtain an exemption from this requirement, a manufacturer would
be required to certify to FDA that its product does not contain
nicotine and that the manufacturer has data to support that assertion.
For any product that obtains this exemption, the section requires that
the product bear the statement: ``This product is made from tobacco.''
The parties that package and label such products will share
responsibility for ensuring that this alternative statement is included
on product packages and in advertisements. The rule will permit
companies to obtain an exemption from this warning requirement in the
event that such tobacco products are developed in the future.
FDA estimates the annual burden for the information collection as a
result of this rule as follows:
Table 15--Estimated Annual Reporting Burden \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Activity respondents responses per responses response (in Total hours
respondent hours)
----------------------------------------------------------------------------------------------------------------
Certification Statement......... 1 1 1 20 20
-------------------------------------------------------------------------------
Total Exemptions From the .............. .............. .............. .............. 20
Required Warning Statement
Requirement................
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
The estimated average burden per response is based on information
collection estimates that apply to tobacco products currently subject
to the FD&C Act. Although very few certifications are expected for
tobacco products that do not contain nicotine, FDA estimates that the
number of certification submissions could rise if the Agency decides in
the future to address not only nicotine, but any other addictive
substances.
The estimated hours listed in the burden table for certification
submissions reflect the time needed to test the product for nicotine
and to prepare and submit the self-certification request. FDA expects
that these types of certifications will be very rare and estimates that
the Agency will receive on average one submission per year.
FDA concludes that the labeling statements in Sec. Sec.
1143.3(a)(1) and 1143.5(a)(1) and the alternative statement in Sec.
1143.3(c) (i.e., ``This product is made from tobacco'') are not subject
to review by OMB because they do not constitute a ``collection of
information'' under the PRA (44 U.S.C. 3501-3520). Rather, these
labeling statements are a ``public disclosure'' of information
originally supplied by the Federal Government to the recipient for the
purpose of ``disclosure to the public'' (5 CFR 1320.3(c)(2)).
2. Submitting Warning Plans for Cigar Manufacturers, Importers,
Distributors, and Retailers
Description of Respondents: The respondents to this collection of
information are manufacturers, importers, distributors, and retailers
of cigar products who will be required to submit warning plans for
cigars to FDA.
The requirement for submission of warning plans for cigar products,
and the specific requirements relating to the random display and
distribution of required warning statements on cigar
[[Page 29093]]
packaging and quarterly rotation of required warning statements in
alternating sequence on cigar product advertising, appear in Sec.
1143.5(c).
The six warnings for cigars (five specifically for cigars and the
one addictiveness warning) will be required to be randomly displayed in
each 12-month period, in as equal a number of times as is possible on
each brand of cigar sold in product packaging and be randomly
distributed in all areas of the United States in which the product is
marketed accordance with a warning plan submitted to and approved by
FDA. For advertisements, the warning statements must be rotated
quarterly in alternating sequence in each advertisement for each brand
of cigar in accordance with a warning plan submitted to and approved by
FDA.
For cigar products that are on the market as of the publication
date of the final rule, the effective date for the requirement to
submit warning plans by responsible manufacturers, distributors,
importers, and retailers is 1 year after the date of publication of the
final rule. FDA is establishing this effective date 1 year before the
effective date of the remainder of the part 1143 requirements because
the Agency anticipates that there will be a need for considerable
communication with submitters during its review of the warning plan
submissions. FDA will work with the submitters to ensure that the plans
submitted meet the established criteria for approval under part 1143.
FDA also intends to update the warning plan draft guidance and
information collection, which currently pertains to smokeless tobacco
products, to assist manufacturers, importers, distributors, and
retailers of cigars with the submission of warning plans. The
information collection in this draft guidance is approved under OMB
Control Number 0910-0671. The draft guidance document discusses, among
other things: The statutory requirement to submit a warning plan;
definitions; who submits a warning plan; the scope of a warning plan;
when to submit a warning plan; what information should be submitted in
a warning plan; where to submit a warning plan; and what approval of a
warning plan means.
The warning statements on cigar packaging must be randomly
displayed in each 12-month period, in as equal a number of times as is
possible on each brand of cigar sold and are required to be randomly
distributed in all areas of the United States in which the product is
marketed in accordance with a warning plan submitted by the responsible
cigar manufacturer, importer, distributor, or retailer to and approved
by FDA.
To clarify, retailers of cigars sold individually and not in
product packaging are not required to submit a warning plan for
warnings on packages, because the warning signs posted at a retailer's
point-of-sale would include all six warnings applicable to cigars, as
we have noted in Sec. 1143.5(c)(1). Therefore, it is not necessary to
submit a rotational warning plan for them. However, manufacturers,
distributors, and those retailers who are responsible for or direct the
health warning of the advertisements of such products must submit a
warning plan for their advertisements for FDA approval. The rule
requires them to include warnings on advertisements, and the warnings
that must be rotated quarterly in alternating sequence in each
advertisement for each brand of cigar, in accordance with an FDA
approved warning plan.
FDA is also requiring that the required warning statements be
rotated quarterly in alternating sequence in each advertisement for
each brand of cigar, regardless of whether the cigar is sold in product
packaging. This rotation of warning statements in cigar advertisements
also must be done in accordance with a warning plan submitted by the
responsible cigar manufacturer, importer, distributor, or retailer to
and approved by FDA.
FDA estimates the annual burden for the information collection as a
result of this rule as follows:
Table 16--Estimated Annual Reporting Burden \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Cigar warning plan respondents responses per responses response (in Total hours
respondent hours)
----------------------------------------------------------------------------------------------------------------
Manufacturers, Importers, and 329 1 329 120 39,480
Retailers......................
-------------------------------------------------------------------------------
Total Cigar Warning Plan.... .............. .............. .............. .............. 39,480
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
The burden estimates are based on FDA's experience with smokeless
warning plans and the associated information collection (OMB Control
Number 0910-0671) as well as warning plans for cigarettes submitted to
the FTC prior to the implementation of the Tobacco Control Act on June
22, 2009.
We estimate 329 entities will submit warning plans, and it will
take an average of 120 hours per respondent to prepare and submit a
warning plan for packaging and advertising for a total of 39,480 hours.
3. Small-Scale Manufacturer Report
Description of Respondents: The respondents to this collection of
information are manufacturers known as ``small-scale tobacco product
manufacturers.''
As discussed in section IV, FDA requested comment on the ability of
smaller manufacturers of newly deemed tobacco products to fully comply
with the requirements of the FD&C Act and how FDA might be able to
address those concerns. Considering the comments and FDA's finite
enforcement resources, the Agency's view is that those resources may
not be best used in immediately enforcing the provisions of this rule
against certain manufacturers that are small-scale tobacco product
manufacturers and that fail to comply with certain requirements of the
FD&C Act. FDA retains discretion in all cases to conduct an
individualized inquiry and to consider any and all relevant facts in
determining whether to bring an enforcement action.
Generally, FDA considers a ``small-scale tobacco product
manufacturer'' to be a manufacturer of any regulated tobacco product
that employs 150 or fewer full-time equivalent employees and has annual
total revenues of $5,000,000 or less. FDA considers a manufacturer to
include each entity that it controls, is controlled by, or is under
common control with such manufacturer. To help make FDA's individual
enforcement decisions more efficient, a manufacturer may voluntarily
submit information regarding employment and revenues. FDA does not
believe a large number of
[[Page 29094]]
manufacturers who fit the criteria of a small-scale tobacco product
manufacturer would submit the voluntary information.
FDA estimates that there are approximately 75 small-scale
manufacturers who will voluntarily submit information. FDA believes it
will take respondents 2 hours to voluntarily submit information
regarding employment and revenues for a total of 150 hours.
FDA has estimated the burden for submitting the ``small-scale
tobacco product manufacturer'' annual report as follows:
Table 17--Estimated Annual Reporting Burden \1\
----------------------------------------------------------------------------------------------------------------
Average
Number of Number of Total annual burden per
Activity respondents responses per responses response (in Total hours
respondent hours)
----------------------------------------------------------------------------------------------------------------
Small-Scale Manufacturer 75 1 75 2 150
Reporting......................
-------------------------------------------------------------------------------
Total Small-Scale .............. .............. .............. .............. 150
Manufacturer Report........
----------------------------------------------------------------------------------------------------------------
\1\ There are no capital costs or operating and maintenance costs associated with this collection of
information.
The total burden for these new collections of information in this
rulemaking is 1,621,212 reporting hours (121,604 + 1,200 + 9,363 +
158,149 + 5,681 + 15 + 1,285,550 + 20 + 39,480 + 150) and 12,342
recordkeeping hours for a total of 1,633,554 burden hours.
The information collection provisions in this final rule have been
submitted to OMB for review as required by section 3507(d) of the
Paperwork Reduction Act of 1995.
Before the effective date of this final rule, FDA will publish a
notice in the Federal Register announcing OMB's decision to approve,
modify, or disapprove the information collection provisions in this
final rule. An Agency may not conduct or sponsor, and a person is not
required to respond to, a collection of information unless it displays
a currently valid OMB control number.
XX. Executive Order 13132; Federalism
FDA has analyzed this final rule in accordance with the principles
set forth in Executive Order 13132. FDA has determined that the rule
does not contain policies that have substantial direct effects on the
States, on the relationship between the National Government and the
States, or on the distribution of power and responsibilities among the
various levels of government. Accordingly, the Agency has concluded
that the rule does not contain policies that have federalism
implications as defined in the Executive Order and, consequently, a
federalism summary impact statement is not required.
XXI. Executive Order 13175; Tribal Consultation
In accordance with Executive Order 13175, FDA has consulted with
Tribal Government officials. FDA sought comment from Tribal Governments
on April 25, 2014, and conducted a consultation with tribes via Webinar
regarding the NPRM on May 29, 2014. FDA received one comment from a
tribe stating that FDA failed to ensure meaningful and timely input
from tribal officials as required by Executive Order 13175 and
requesting tribal consultation in relation to existing premarket review
activities for cigarettes, roll-your-own tobacco, and smokeless
tobacco. In response, FDA conducted a face-to-face meeting with the
tribe regarding the NPRM on January 21, 2015. FDA has determined that
this final rule does not have tribal implications under Executive Order
13175, because it does not, to our knowledge, have a substantial direct
effect on one or more Indian tribes, on the relationship between the
Federal Government and Indian tribes, or on the distribution of power
and responsibilities between the Federal Government and Indian tribes,
nor does it impose substantial direct compliance costs.
(Comment 305) One comment stated that FDA failed to ensure
meaningful and timely input from tribal officials as required by
Executive Order 13175 and the HHS Consultation Policy. The comment
acknowledged FDA's ``Dear Tribal Leader'' letter and Webinar and
requested a face-to-face meeting between FDA and its tribe in relation
to existing premarket review activities for cigarettes, roll-your-own
tobacco, and smokeless tobacco.
(Response) FDA adheres to Executive Order 13175 and the HHS
Consultation Policy. FDA is committed to meaningful consultation with
federally recognized tribes on FDA's implementation and enforcement of
the Tobacco Control Act. As a result of the tribe's inquiry, FDA
participated in a face-to-face meeting.
(Comment 306) One comment encouraged FDA to respect tribal
sovereignty in its enforcement of the tobacco regulation. The comment
recommended that FDA provide both training and funding opportunities to
tribal governments to alleviate the economic burdens stemming from
enforcement of the rule. The comment urged FDA to make certain the
regulatory burdens do not limit the economic viability of tribal
operations.
(Response) FDA recognizes tribal sovereignty and tribal self-
regulation and will work in partnership with tribal leaders to monitor
compliance with this rule. As explained in this rule, FDA is
implementing this rule to protect public health. However, FDA
recognizes that compliance with many of the automatic provisions may be
challenging at first for entities that are new to Federal public health
regulation and as a result, provided compliance policies relating to
provisions such as premarket authorizations and provided additional
time to comply with certain requirements of the FD&C Act for small-
scale tobacco manufacturers. FDA will provide training and other
opportunities to tribal governments after the rule is finalized.
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278. Environmental Assessment for Regulations (21 CFR 1100, 1140,
and 1143) to deem tobacco products meeting the statutory definition
of ``tobacco product'' to be subject to the Federal Food, Drug, and
Cosmetic Act, to revise existing regulations to include
[[Page 29102]]
restrictions on the sale and distribution of covered tobacco
products, and to require the use of health warning statements for
cigarette tobacco, roll-your-own tobacco, and covered tobacco
products.
279. Finding of No Significant Impact for Regulations (21 CFR 1100,
1140, and 1143) to deem tobacco products meeting the statutory
definition of ``tobacco product'' to be subject to the Federal Food,
Drug, and Cosmetic Act, to revise existing regulations to include
restrictions on the sale and distribution of covered tobacco
products, and to require the use of health warning statements for
cigarette tobacco, roll-your-own tobacco, and covered tobacco
products.
List of Subjects
21 CFR Part 1100
Smoking, Tobacco.
21 CFR Part 1140
Advertising, Labeling, Smoking, Tobacco.
21 CFR Part 1143
Advertising, Labeling, Packaging and containers, Smoking, Tobacco.
Therefore, under the Federal Food, Drug, and Cosmetic Act and under
authority delegated to the Commissioner of Food and Drugs, 21 CFR
chapter I is amended as follows:
0
1. Add part 1100 to subchapter K to read as follows:
PART 1100--TOBACCO PRODUCTS SUBJECT TO FDA AUTHORITY
Sec.
1100.1 Scope.
1100.2 Requirements.
1100.3 Definitions.
Authority: 21 U.S.C. 387a(b), 387f(d) and Pub. L. 111-31.
Sec. 1100.1 Scope.
In addition to FDA's authority over cigarettes, cigarette tobacco,
roll-your-own tobacco, and smokeless tobacco, FDA deems all other
products meeting the definition of tobacco product under section
201(rr) of the Federal Food, Drug, and Cosmetic Act, except accessories
of such other tobacco products, to be subject to the Federal Food,
Drug, and Cosmetic Act.
Sec. 1100.2 Requirements.
Cigarettes, cigarette tobacco, roll-your-own tobacco, smokeless
tobacco are subject to chapter IX of the Federal Food, Drug, and
Cosmetic Act and its implementing regulations. FDA has deemed all other
tobacco products, except accessories of such other tobacco products,
subject to chapter IX of the Federal Food, Drug, and Cosmetic Act and
its implementing regulations.
Sec. 1100.3 Definitions.
For the purposes of this part:
Accessory means any product that is intended or reasonably expected
to be used with or for the human consumption of a tobacco product; does
not contain tobacco and is not made or derived from tobacco; and meets
either of the following:
(1) Is not intended or reasonably expected to affect or alter the
performance, composition, constituents, or characteristics of a tobacco
product; or
(2) Is intended or reasonably expected to affect or maintain the
performance, composition, constituents, or characteristics of a tobacco
product but
(i) Solely controls moisture and/or temperature of a stored tobacco
product; or
(ii) Solely provides an external heat source to initiate but not
maintain combustion of a tobacco product.
Component or part means any software or assembly of materials
intended or reasonably expected:
(1) To alter or affect the tobacco product's performance,
composition, constituents, or characteristics; or
(2) To be used with or for the human consumption of a tobacco
product. Component or part excludes anything that is an accessory of a
tobacco product.
Package or packaging means a pack, box, carton, or container of any
kind or, if no other container, any wrapping (including cellophane), in
which a tobacco product is offered for sale, sold, or otherwise
distributed to consumers.
Tobacco product. As stated in section 201(rr) of the Federal Food,
Drug, and Cosmetic Act in relevant part, a tobacco product:
(1) Means any product made or derived from tobacco that is intended
for human consumption, including any component, part, or accessory of a
tobacco product (except for raw materials other than tobacco used in
manufacturing a component, part, or accessory of a tobacco product);
and
(2) Does not mean an article that is a drug under section 201(g)(1)
of the Federal Food, Drug, and Cosmetic Act, a device under section
201(h) of the Federal Food, Drug, and Cosmetic Act, or a combination
product described in section 503(g) of the Federal Food, Drug, and
Cosmetic Act.
PART 1140--CIGARETTES, SMOKELESS TOBACCO, AND COVERED TOBACCO
PRODUCTS
0
2. The authority citation for 21 CFR part 1140 continues to read as
follows:
Authority: 21 U.S.C. 301 et seq., Sec. 102, Pub. L. 111-31, 123
Stat. 1776.
0
3. Revise the heading to part 1140 as set forth above.
0
4. Revise Sec. 1140.1 to read as follows:
Sec. 1140.1 Scope.
(a) This part sets out the restrictions under the Federal Food,
Drug, and Cosmetic Act on the sale, distribution, and use of
cigarettes, smokeless tobacco, and covered tobacco products. Section
1140.16(d) sets out restrictions on the distribution of free samples
for cigarettes, smokeless tobacco, and other tobacco products (as such
term is defined in section 201 of the Federal Food, Drug, and Cosmetic
Act).
(b) The failure to comply with any applicable provision in this
part in the sale, distribution, and use of cigarettes, smokeless
tobacco, covered tobacco products, or other tobacco products renders
the product misbranded under the Federal Food, Drug, and Cosmetic Act.
(c) References in this part to regulatory sections of the Code of
Federal Regulations are to chapter I of title 21, unless otherwise
noted.
0
5. Revise Sec. 1140.2 to read as follows:
Sec. 1140.2 Purpose.
The purpose of this part is to establish restrictions on the sale,
distribution, and use of cigarettes, smokeless tobacco, and covered
tobacco products in order to reduce the number of children and
adolescents who use these products, and to reduce the life-threatening
consequences associated with tobacco use.
0
6. Revise Sec. 1140.3 to read as follows:
Sec. 1140.3 Definitions.
For the purposes of this part:
Accessory means any product that is intended or reasonably expected
to be used with or for the human consumption of a tobacco product; does
not contain tobacco and is not made or derived from tobacco; and meets
either of the following:
(1) Is not intended or reasonably expected to affect or alter the
performance, composition, constituents, or characteristics of a tobacco
product; or
(2) Is intended or reasonably expected to affect or maintain the
performance, composition, constituents, or characteristics of a tobacco
product but
(i) Solely controls moisture and/or temperature of a stored
product; or
(ii) Solely provides an external heat source to initiate but not
maintain combustion of a tobacco product.
Cigarette. (1) Means a product that:
[[Page 29103]]
(i) Is a tobacco product and
(ii) Meets the definition of the term ``cigarette'' in section 3(1)
of the Federal Cigarette Labeling and Advertising Act; and
(2) Includes tobacco, in any form, that is functional in the
product, which, because of its appearance, the type of tobacco used in
the filler, or its packaging and labeling, is likely to be offered to,
or purchased by, consumers as a cigarette or as roll-your-own tobacco.
Cigarette tobacco means any product that consists of loose tobacco
that is intended for use by consumers in a cigarette. Unless otherwise
stated, the requirements applicable to cigarettes under this chapter
also apply to cigarette tobacco.
Component or part means any software or assembly of materials
intended or reasonably expected:
(1) To alter or affect the tobacco product's performance,
composition, constituents, or characteristics; or
(2) To be used with or for the human consumption of a tobacco
product. Component or part excludes anything that is an accessory of a
tobacco product.
Covered tobacco product means any tobacco product deemed to be
subject to the Federal Food, Drug, and Cosmetic Act under Sec. 1100.2
of this chapter, but excludes any component or part that is not made or
derived from tobacco.
Distributor means any person who furthers the distribution of a
tobacco product, whether domestic or imported, at any point from the
original place of manufacture to the person who sells or distributes
the product to individuals for personal consumption. Common carriers
are not considered distributors for the purposes of this part.
Importer means any person who imports any tobacco product that is
intended for sale or distribution to consumers in the United States.
Manufacturer means any person, including any repacker and/or
relabeler, who manufactures, fabricates, assembles, processes, or
labels a finished tobacco product.
Nicotine means the chemical substance named 3-(1-Methyl-2-
pyrrolidinyl)pyridine or C[10]H[14]N[2], including any salt or complex
of nicotine.
Package or packaging means a pack, box, carton, or container of any
kind or, if no other container, any wrapping (including cellophane) in
which a tobacco product is offered for sale, sold, or otherwise
distributed to consumers.
Point of sale means any location at which a consumer can purchase
or otherwise obtain tobacco products for personal consumption.
Retailer means any person who sells tobacco products to individuals
for personal consumption, or who operates a facility where vending
machines or self-service displays are permitted under this part.
Roll-your-own tobacco means any tobacco product that, because of
its appearance, type, packaging, or labeling, is suitable for use and
likely to be offered to, or purchased by, consumers as tobacco for
making cigarettes.
Smokeless tobacco means any tobacco product that consists of cut,
ground, powdered, or leaf tobacco and that is intended to be placed in
the oral or nasal cavity.
Tobacco product. As stated in section 201(rr) of the Federal Food,
Drug, and Cosmetic Act in relevant part, a tobacco product:
(1) Means any product made or derived from tobacco that is intended
for human consumption, including any component, part, or accessory of a
tobacco product (except for raw materials other than tobacco used in
manufacturing a component, part, or accessory of a tobacco product) and
(2) Does not mean an article that is a drug under section 201(g)(1)
of the Federal Food, Drug, and Cosmetic Act, a device under section
201(h) of the Federal Food, Drug, and Cosmetic Act, or a combination
product described in section 503(g) of the Federal Food, Drug, and
Cosmetic Act.
0
7. Revise Sec. 1140.10 to read as follows:
Sec. 1140.10 General responsibilities of manufacturers, distributors,
and retailers.
Each manufacturer, distributor, importer, and retailer is
responsible for ensuring that the cigarettes, smokeless tobacco, or
covered tobacco products it manufactures, labels, advertises, packages,
distributes, imports, sells, or otherwise holds for sale comply with
all applicable requirements under this part.
0
8. Revise Sec. 1140.14 to read as follows:
Sec. 1140.14 Additional responsibilities of retailers.
(a) In addition to the other requirements under this part, each
cigarette and smokeless tobacco retailer is responsible for ensuring
that all sales of cigarettes or smokeless tobacco to any person comply
with the following requirements:
(1) No retailer may sell cigarettes or smokeless tobacco to any
person younger than 18 years of age;
(2)(i) Except as otherwise provided in paragraph (a)(2)(ii) of this
section and in Sec. 1140.16(c)(2)(i), each retailer must verify by
means of photographic identification containing the bearer's date of
birth that no person purchasing the product is younger than 18 years of
age;
(ii) No such verification is required for any person over the age
of 26;
(3) Except as otherwise provided in Sec. 1140.16(c)(2)(ii), a
retailer may sell cigarettes or smokeless tobacco only in a direct,
face-to-face exchange without the assistance of any electronic or
mechanical device (such as a vending machine);
(4) No retailer may break or otherwise open any cigarette or
smokeless tobacco package to sell or distribute individual cigarettes
or a number of unpackaged cigarettes that is smaller than the quantity
in the minimum cigarette package size defined in Sec. 1140.16(b), or
any quantity of cigarette tobacco or smokeless tobacco that is smaller
than the smallest package distributed by the manufacturer for
individual consumer use; and
(5) Each retailer must ensure that all self-service displays,
advertising, labeling, and other items, that are located in the
retailer's establishment and that do not comply with the requirements
of this part, are removed or are brought into compliance with the
requirements under this part.
(b) Notwithstanding the requirements in paragraph (a) of this
section and in addition to the other requirements under this part, each
retailer of covered tobacco products is responsible for ensuring that
all sales of such covered tobacco products to any person comply with
the following requirements:
(1) No retailer may sell covered tobacco products to any person
younger than 18 years of age;
(2)(i) Except as otherwise provided in paragraph (a)(2)(ii) of this
section and in Sec. 1140.16(c)(2)(i), each retailer must verify by
means of photographic identification containing the bearer's date of
birth that no person purchasing the product is younger than 18 years of
age;
(ii) No such verification is required for any person over the age
of 26; and
(3) A retailer may not sell covered tobacco products with the
assistance of any electronic or mechanical device (such as a vending
machine), except in facilities where the retailer ensures that no
person younger than 18 years of age is present, or permitted to enter,
at any time.
0
9. Add part 1143 to subchapter K to read as follows:
PART 1143--MINIMUM REQUIRED WARNING STATEMENTS
Sec.
[[Page 29104]]
1143.1 Definitions.
1143.3 Required warning statement regarding addictiveness of
nicotine.
1143.5 Required warning statements for cigars.
1143.7 Language requirements for required warning statements.
1143.9 Irremovable or permanent required warning statements.
1143.11 Does not apply to foreign distribution.
1143.13 Effective date.
Authority: 21 U.S.C. 387a(b), 387f(d).
Sec. 1143.1 Definitions.
For purposes of this part:
Accessory means any product that is intended or reasonably expected
to be used with or for the human consumption of a tobacco product; does
not contain tobacco and is not made or derived from tobacco; and meets
either of the following:
(1) Is not intended or reasonably expected to affect or alter the
performance, composition, constituents, or characteristics of a tobacco
product; or
(2) Is intended or reasonably expected to affect or maintain the
performance, composition, constituents, or characteristics of a tobacco
product but
(i) Solely controls moisture and/or temperature of a stored tobacco
product; or
(ii) Solely provides an external heat source to initiate but not
maintain combustion of a tobacco product
Cigar means a tobacco product that:
(1) Is not a cigarette and
(2) Is a roll of tobacco wrapped in leaf tobacco or any substance
containing tobacco.
Cigarette tobacco means any product that consists of loose tobacco
that is intended for use by consumers in a cigarette. Unless otherwise
stated, the requirements applicable to cigarettes under this chapter
also apply to cigarette tobacco.
Component or part means any software or assembly of materials
intended or reasonably expected:
(1) To alter or affect the tobacco product's performance,
composition, constituents, or characteristics; or
(2) to be used with or for the human consumption of a tobacco
product. Component or part excludes anything that is an accessory of a
tobacco product.
Covered tobacco product means any tobacco product deemed to be
subject to the Federal Food, Drug, and Cosmetic Act pursuant to Sec.
1100.2 of this chapter, but excludes any component or part that is not
made or derived from tobacco.
Package or packaging means a pack, box, carton, or container of any
kind or, if no other container, any wrapping (including cellophane), in
which a tobacco product is offered for sale, sold, or otherwise
distributed to consumers.
Principal display panels means the panels of a package that are
most likely to be displayed, presented, shown, or examined by the
consumer.
Point of sale means any location at which a consumer can purchase
or otherwise obtain tobacco products for personal consumption.
Retailer means any person who sells tobacco products to individuals
for personal consumption, or who operates a facility where vending
machines or self-service displays are permitted under this part.
Required warning statement means a textual warning statement
required to be on packaging and in advertisements for cigarette
tobacco, roll-your-own tobacco, cigars, and other covered tobacco
products.
Roll-your-own tobacco means any tobacco product that, because of
its appearance, type, packaging, or labeling, is suitable for use and
likely to be offered to, or purchased by, consumers as tobacco for
making cigarettes.
Tobacco product. As stated in section 201(rr) of the Federal Food,
Drug, and Cosmetic Act in relevant part, a tobacco product:
(1) Means any product made or derived from tobacco that is intended
for human consumption, including any component, part, or accessory of a
tobacco product (except for raw materials other than tobacco used in
manufacturing a component, part, or accessory of a tobacco product) and
(2) Does not mean an article that is a drug under section 201(g)(1)
of the Federal Food, Drug, and Cosmetic Act, a device under section
201(h) of the Federal Food, Drug, and Cosmetic Act, or a combination
product described in section 503(g) of the Federal Food, Drug, and
Cosmetic Act.
Sec. 1143.3 Required warning statement regarding addictiveness of
nicotine.
(a) Packages. (1) For cigarette tobacco, roll-your-own tobacco, and
covered tobacco products other than cigars, it is unlawful for any
person to manufacture, package, sell, offer to sell, distribute, or
import for sale or distribution within the United States such product
unless the tobacco product package bears the following required warning
statement on the package label: ``WARNING: This product contains
nicotine. Nicotine is an addictive chemical.''
(2) The required warning statement must appear directly on the
package and must be clearly visible underneath any cellophane or other
clear wrapping as follows:
(i) Be located in a conspicuous and prominent place on the two
principal display panels of the package and the warning area must
comprise at least 30 percent of each of the principal display panels;
(ii) Be printed in at least 12-point font size and ensures that the
required warning statement occupies the greatest possible proportion of
the warning area set aside for the required text;
(iii) Be printed in conspicuous and legible Helvetica bold or Arial
bold type (or other sans serif fonts) and in black text on a white
background or white text on a black background in a manner that
contrasts by typography, layout, or color, with all other printed
material on the package;
(iv) Be capitalized and punctuated as indicated in paragraph (a)(1)
of this section; and
(v) Be centered in the warning area in which the text is required
to be printed and positioned such that the text of the required warning
statement and the other information on the principal display panel have
the same orientation.
(3) A retailer of any tobacco product covered by paragraphs (a)(1)
and (2) of this section will not be in violation of this section for
packaging that:
(i) Contains a health warning;
(ii) Is supplied to the retailer by the tobacco product
manufacturer, importer, or distributor, who has the required state,
local, or Alcohol and Tobacco Tax and Trade Bureau (TTB)-issued license
or permit, if applicable, and
(iii) Is not altered by the retailer in a way that is material to
the requirements of this section.
(b) Advertisements. (1) For cigarette tobacco, roll-your-own
tobacco, and covered tobacco products other than cigars, it is unlawful
for any such tobacco product manufacturer, packager, importer,
distributor, or retailer of the tobacco product to advertise or cause
to be advertised within the United States any tobacco product unless
each advertisement bears the required warning statement specified in
paragraph (a)(1) of this section.
(2) For print advertisements and other advertisements with a visual
component (including, for example, advertisements on signs, shelf-
talkers, Internet Web pages, and electronic mail correspondence), the
required warning statement must appear in the upper portion of the area
of the advertisement within the trim area as follows:
(i) Occupy at least 20 percent of the area of the advertisement;
(ii) Appear in at least 12-point font size and ensures that the
required warning statement occupies the greatest
[[Page 29105]]
possible proportion of the warning area set aside for the required
text;
(iii) Appear in conspicuous and legible Helvetica bold or Arial
bold type (or other similar sans serif fonts) and in black text on a
white background or white text on a black background in a manner that
contrasts by typography, layout, or color, with all other material on
the advertisement;
(iv) Be capitalized and punctuated as indicated in paragraph (a)(1)
of this section;
(v) Be centered in the warning area in which the text is required
to appear and positioned such that the text of the required warning
statement and the other textual information in the advertisement have
the same orientation; and
(vi) Be surrounded by a rectangular border that is the same color
as the text of the required warning statement and that is not less than
3 millimeters (mm) or more than 4 mm.
(3) This paragraph (b) applies to a retailer only if that retailer
is responsible for or directs the health warning required under the
paragraph. However, this paragraph does not relieve a retailer of
liability if the retailer displays, in a location open to the public,
an advertisement that does not contain a health warning or contains a
health warning that has been altered by the retailer in a way that is
material to the requirements of this section.
(c) Self-certification. A tobacco product that would otherwise be
required to bear the warning in paragraph (a)(1) of this section but
does not contain nicotine is not required to bear the warning in
paragraph (a)(1) of this section on packages or advertisements if the
tobacco product manufacturer has submitted to FDA a confirmation
statement certifying to be true and accurate that the product does not
contain nicotine and that the tobacco product manufacturer has data to
support that assertion. Any product not required to bear the warning in
paragraph (a)(1) of this section must include the statement ``This
product is made from tobacco.'' on all packages and advertisements in
accordance with the requirements of this part.
(d) Small packages. A tobacco product that would otherwise be
required to bear the warning in paragraph (a)(1) of this section but is
too small or otherwise unable to accommodate a label with sufficient
space to bear such information is exempt from compliance with the
requirement provided that the information and specifications required
under paragraphs (a)(1) and (2) of this section appear on the carton or
other outer container or wrapper if the carton, outer container, or
wrapper has sufficient space to bear the information, or appear on a
tag otherwise firmly and permanently affixed to the tobacco product
package. In such cases, the carton, outer container, wrapper, or tag
will serve as the location of the principal display panels.
Sec. 1143.5 Required warning statements for cigars.
(a) Packages. (1) It is unlawful for any person to manufacture,
package, sell, offer to sell, distribute, or import for sale or
distribution within the United States any cigar product unless the
product package bears one of the following required warning statements
on the package label:
(i) WARNING: Cigar smoking can cause cancers of the mouth and
throat, even if you do not inhale.
(ii) WARNING: Cigar smoking can cause lung cancer and heart
disease.
(iii) WARNING: Cigars are not a safe alternative to cigarettes.
(iv) WARNING: Tobacco smoke increases the risk of lung cancer and
heart disease, even in nonsmokers.
(v)(A) WARNING: Cigar use while pregnant can harm you and your
baby.; or
(B) SURGEON GENERAL WARNING: Tobacco Use Increases the Risk of
Infertility, Stillbirth and Low Birth Weight.
(vi) WARNING: This product contains nicotine. Nicotine is an
addictive chemical.
(2) Each required warning statement must appear directly on the
package and must be clearly visible underneath any cellophane or other
clear wrapping as follows:
(i) Be located in a conspicuous and prominent place on the two
principal display panels of the package and the warning area must
comprise at least 30 percent of each of the principal display panels;
(ii) Appear in at least 12-point font size and ensure that the
required warning statement occupies the greatest possible proportion of
the warning area set aside for the required text;
(iii) Be printed in conspicuous and legible Helvetica bold or Arial
bold type (or other similar sans serif fonts) and in black text on a
white background or white text on a black background in a manner that
contrasts by typography, layout, or color, with all other printed
material on the package;
(iv) Be capitalized and punctuated as indicated in paragraph (a)(1)
of this section; and
(v) Be centered in the warning area in which the text is required
to be printed and positioned such that the text of the required warning
statement and the other information on that principal display panel
have the same orientation.
(3) No person may manufacture, package, sell, offer to sell,
distribute, or import for sale or distribution within the United States
any cigar without a required warning statement, except for cigars that
are sold individually and not in a product package. For cigars that are
sold individually and not in a product package, the required warning
statements must be posted at the retailer's point-of-sale in accordance
with the following:
(i) All of the warnings in paragraph (a) of this section must be
placed on a sign that is a minimum of 8.5 x 11 inches, posted on or
within 3 inches of each cash register where payment may be made so that
the sign(s) are unobstructed in their entirety and can be read easily
by each consumer making a purchase;
(ii) The sign must be clear, legible, and conspicuous and be
printed in black Helvetica bold or Arial bold type (or other similar
sans serif fonts) against a solid white background in at least 17 point
type with appropriate space between the warning statements;
(iii) Be printed in a manner that contrasts by typography, layout,
or color, with all other printed material; and
(iv) Be capitalized and punctuated as indicated in paragraph (a)(1)
of this section.
(4) A retailer of any cigar covered by paragraphs (a)(1) and (2) of
this section will not be in violation of this section for packaging
that:
(i) Contains a health warning;
(ii) Is supplied to the retailer by the tobacco product
manufacturer, importer, or distributor who has the required state,
local, or Alcohol and Tobacco Tax and Trade Bureau (TTB)-issued license
or permit, if applicable, and
(iii) Is not altered by the retailer in a way that is material to
the requirements of this section.
(b) Advertisements. (1) It is unlawful for any tobacco product
manufacturer, packager, importer, distributor, or retailer of cigars to
advertise or cause to be advertised within the United States any cigar
unless each advertisement bears one of the required warning statements
specified in paragraph (a)(1) of this section.
(2) For print advertisements and other advertisements with a visual
component (including, for example, advertisements on signs, shelf-
talkers, Internet Web pages, and electronic mail correspondence), each
required warning statement must appear in the upper
[[Page 29106]]
portion of the area of the advertisement within the trim area as
follows:
(i) Occupy at least 20 percent of the area of the advertisement;
(ii) Appear in at least 12-point font size that ensures that the
required warning statement occupies the greatest possible proportion of
the warning area set aside for the text required;
(iii) Appear in conspicuous and legible Helvetica bold or Arial
bold type (or other similar sans serif fonts) and in black text on a
white background or white text on a black background in a manner that
contrasts by typography, layout, or color, with all other material on
the advertisement;
(iv) Be capitalized and punctuated as indicated in paragraph (a)(1)
of this section;
(v) Be centered in the warning area in which the text is required
to appear and positioned such that the text of the required warning
statement and the other textual information in the advertisement have
the same orientation; and
(vi) Be surrounded by a rectangular border that is the same color
as the text of the required warning statement and that is not less than
3 mm or more than 4 mm.
(3) This paragraph (b) applies to a retailer only if that retailer
is responsible for or directs the warning statements required under the
paragraph. However, this paragraph does not relieve a retailer of
liability if the retailer displays, in a location open to the public,
an advertisement that does not contain a health warning or contains a
health warning that has been altered by the retailer in a way that is
material to the requirements of this section.
(c) Marketing requirements. (1) Except for cigars sold individually
and not in a product package, the warning statements required for
packages in paragraph (a)(1) of this section must be randomly displayed
in each 12-month period, in as equal a number of times as is possible
on each brand of cigar sold in product packaging and be randomly
distributed in all areas of the United States in which the product is
marketed in accordance with a plan submitted by the cigar manufacturer,
importer, distributor, or retailer to, and approved by, the Food and
Drug Administration.
(2) The warning statements required for advertisements in paragraph
(a)(1) of this section must be rotated quarterly in alternating
sequence in each advertisement for each brand of cigar in accordance
with a plan submitted by the cigar manufacturer, importer, distributor,
or retailer to, and approved by, the Food and Drug Administration.
(3) Each person required to randomly display and distribute or
rotate warnings in accordance with an FDA-approved plan under this part
shall submit a proposed warning plan to FDA no later than either 12
months after May 10, 2016, or 12 months before advertising or
commercially marketing a product that is subject to such requirement,
whichever is later.
Sec. 1143.7 Language requirements for required warning statements.
The text in each warning statement required in Sec. 1143.3 or
Sec. 1143.5 must be in the English language, except as follows:
(a) In the case of an advertisement that appears in a non-English
medium, the text in the required warning statement must appear in the
predominant language of the medium whether or not the advertisement is
in English, and;
(b) In the case of an advertisement that appears in an English
language medium but that is not in English, the text in the required
warning statement must appear in the same language as that principally
used in the advertisement.
Sec. 1143.9 Irremovable or permanent required warning statements.
The warning statements required by this section must be indelibly
printed on or permanently affixed to the package or advertisement.
These warnings, for example, must not be printed or placed on a product
label affixed to a clear outer wrapper that is likely to be removed to
access the product within the package.
Sec. 1143.11 Does not apply to foreign distribution.
The provisions of this part do not apply to a manufacturer or
distributor of tobacco products that does not manufacture, package, or
import tobacco products for sale or distribution within the United
States.
Sec. 1143.13 Effective date.
(a) Except as stated in paragraph (b) of this section, this part
will take effect 24 months after May 10, 2016. The effective date will
be with respect to the date of manufacture, provided that, in any case,
beginning 30 days after the effective date, a manufacturer may not
introduce into the domestic commerce of the United States any product,
irrespective of the date of manufacture, that is not in conformance
with this part.
(b) The requirement to submit a warning plan to FDA under Sec.
1143.5(c)(3) will take effect 12 months after May 10, 2016.
Dated: May 3, 2016.
Leslie Kux,
Associate Commissioner for Policy.
[FR Doc. 2016-10685 Filed 5-5-16; 8:45 am]
BILLING CODE 4164-01-P