Microbiology Devices; Reclassification of Certain Hepatitis C Virus Antibody Assays Devices, To Be Renamed Hepatitis C Virus Antibody Tests, 18490-18496 [2020-06821]
Download as PDF
jbell on DSKJLSW7X2PROD with PROPOSALS
18490
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
performance with all HCV genotypes
detected by the device.
(B) Detailed documentation of clinical
performance testing from either:
(1) A multisite clinical study with an
appropriate number of clinical samples
from chronically HCV infected patients
in which the results are compared to an
FDA-cleared or approved quantitative
HCV RNA test, or a comparator that
FDA has determined is appropriate.
This study must include a sufficient
number of HCV positive samples
containing an analyte concentration
near the LLoQ to describe performance
at this level. Clinical samples must
cover the full range of the device output
and must be consistent with the
distribution of these genotypes in the
U.S. population. Clinical samples may
be supplemented with diluted clinical
samples for those viral load
concentrations that are not sufficiently
covered by natural clinical specimens,
or
(2) A clinical study with
prospectively collected samples
demonstrating clinical validity of the
device.
(C) Detailed documentation of a
qualitative analysis near the lower end
of the measuring range demonstrating
acceptable performance when used as
an aid in diagnosis.
(5) For devices intended for HCV RNA
genotyping, in addition to the special
controls listed in paragraphs (b)(1) and
(2) of this section, design verification
and validation must include the
following:
(i) Detailed documentation of an
analytical performance study
demonstrating the LoD for all HCV
genotypes detected by the device.
(ii) Detailed documentation, including
results, of a multisite clinical study that
assesses genotyping accuracy (i.e., the
proportion of interpretable results that
match with the reference method result)
and the genotyping rate (i.e., the
proportion of results that were
interpretable).
(6) For any nucleic acid-based HCV
RNA test intended for Point of Care
(PoC) use, the following special
controls, in addition to those listed in
paragraphs (b)(1) and (2) of this section,
apply:
(i) Clinical studies must be conducted
at PoC sites.
(ii) Additional labeling must include
a brief summary of the instructions for
use that are appropriate for use in a PoC
environment.
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
Dated: March 27, 2020.
Lowell J. Schiller,
Principal Associate Commissioner for Policy.
[FR Doc. 2020–06820 Filed 4–1–20; 8:45 am]
BILLING CODE 4164–01–P
DEPARTMENT OF HEALTH AND
HUMAN SERVICES
Food and Drug Administration
21 CFR Part 866
[Docket No. FDA–2020–N–1082]
Microbiology Devices; Reclassification
of Certain Hepatitis C Virus Antibody
Assays Devices, To Be Renamed
Hepatitis C Virus Antibody Tests
AGENCY:
Food and Drug Administration,
HHS.
Proposed amendment; proposed
order; request for comments.
ACTION:
The Food and Drug
Administration (FDA or Agency) is
proposing to reclassify certain hepatitis
C virus (HCV) antibody assay devices
intended for the qualitative detection of
HCV, postamendments class III devices
(product code MZO) into class II
(general controls and special controls),
subject to premarket notification. FDA is
also proposing a new device
classification regulation with the name
‘‘hepatitis C virus (HCV) antibody tests’’
along with the special controls that the
Agency believes are necessary to
provide a reasonable assurance of safety
and effectiveness for these devices. FDA
is proposing this reclassification on its
own initiative. If finalized, this order
will reclassify these types of devices
from class III (general controls and
premarket approval) to class II (general
controls and special controls) and
reduce the regulatory burdens
associated with these devices, as these
types of devices will no longer be
required to submit a premarket approval
application (PMA), but can instead
submit a premarket notification under
the Federal Food, Drug, and Cosmetic
Act (FD&C Act) and obtain clearance
before marketing their device.
DATES: Submit either electronic or
written comments on the proposed
order by June 1, 2020. Please see section
XI of this document for the proposed
effective date when the new
requirements apply and for the
proposed effective date of a final order
based on this proposed order.
ADDRESSES: You may submit comments
as follows. Please note that late,
untimely filed comments will not be
considered. Electronic comments must
SUMMARY:
PO 00000
Frm 00020
Fmt 4702
Sfmt 4702
be submitted on or before June 1, 2020.
The https://www.regulations.gov
electronic filing system will accept
comments until 11:59 p.m. Eastern Time
at the end of June 1, 2020. Comments
received by mail/hand delivery/courier
(for written/paper submissions) will be
considered timely if they are
postmarked or the delivery service
acceptance receipt is on or before that
date.
Electronic Submissions
Submit electronic comments in the
following way:
• Federal eRulemaking Portal:
https://www.regulations.gov. Follow the
instructions for submitting comments.
Comments submitted electronically,
including attachments, to https://
www.regulations.gov will be posted to
the docket unchanged. Because your
comment will be made public, you are
solely responsible for ensuring that your
comment does not include any
confidential information that you or a
third party may not wish to be posted,
such as medical information, your or
anyone else’s Social Security number, or
confidential business information, such
as a manufacturing process. Please note
that if you include your name, contact
information, or other information that
identifies you in the body of your
comments, that information will be
posted on https://www.regulations.gov.
• If you want to submit a comment
with confidential information that you
do not wish to be made available to the
public, submit the comment as a
written/paper submission and in the
manner detailed below (see ‘‘Written/
Paper Submissions’’ and
‘‘Instructions’’).
Written/Paper Submissions
Submit written/paper submissions as
follows:
• Mail/Hand delivery/Courier (for
written/paper submissions): Dockets
Management Staff (HFA–305), Food and
Drug Administration, 5630 Fishers
Lane, Rm. 1061, Rockville, MD 20852.
• For written/paper comments
submitted to the Dockets Management
Staff, FDA will post your comment, as
well as any attachments, except for
information submitted, marked and
identified, as confidential, if submitted
as detailed in ‘‘Instructions.’’
Instructions: All submissions received
must include the Docket No. FDA–
2020–N–1082 for ‘‘Reclassification of
Certain Hepatitis C Virus Antibody
Assay Devices, To Be Renamed
Hepatitis C Virus Antibody Tests.’’
Received comments, those filed in a
timely manner (see ADDRESSES) will be
placed in the docket and, except for
E:\FR\FM\02APP1.SGM
02APP1
jbell on DSKJLSW7X2PROD with PROPOSALS
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
those submitted as ‘‘Confidential
Submissions,’’ publicly viewable at
https://www.regulations.gov or at the
Dockets Management Staff between 9
a.m. and 4 p.m., Monday through
Friday.
• Confidential Submissions—To
submit a comment with confidential
information that you do not wish to be
made publicly available, submit your
comments only as a written/paper
submission. You should submit two
copies total. One copy will include the
information you claim to be confidential
with a heading or cover note that states
‘‘THIS DOCUMENT CONTAINS
CONFIDENTIAL INFORMATION.’’ The
Agency will review this copy, including
the claimed confidential information, in
its consideration of comments. The
second copy, which will have the
claimed confidential information
redacted/blacked out, will be available
for public viewing and posted on
https://www.regulations.gov. Submit
both copies to the Dockets Management
Staff. If you do not wish your name and
contact information to be made publicly
available, you can provide this
information on the cover sheet and not
in the body of your comments and you
must identify this information as
‘‘confidential.’’ Any information marked
as ‘‘confidential’’ will not be disclosed
except in accordance with 21 CFR 10.20
and other applicable disclosure law. For
more information about FDA’s posting
of comments to public dockets, see 80
FR 56469, September 18, 2015, or access
the information at: https://
www.govinfo.gov/content/pkg/FR-201509-18/pdf/2015-23389.pdf.
Docket: For access to the docket to
read background documents or the
electronic and written/paper comments
received, go to https://
www.regulations.gov and insert the
docket number, found in brackets in the
heading of this document, into the
‘‘Search’’ box and follow the prompts
and/or go to the Dockets Management
Staff, 5630 Fishers Lane, Rm. 1061,
Rockville, MD 20852.
FOR FURTHER INFORMATION CONTACT:
Maria Ines Garcia, Center for Devices
and Radiological Health, Food and Drug
Administration, 10903 New Hampshire
Ave., Bldg. 66, Rm. 3104, Silver Spring,
MD 20993–0002, 301–796–7017,
Maria.Garcia@fda.hhs.gov.
SUPPLEMENTARY INFORMATION:
I. Background—Regulatory Authorities
The FD&C Act, as amended by the
Medical Device Amendments of 1976
(Pub. L. 94–295), the Safe Medical
Devices Act of 1990 (Pub. L. 101–629),
Food and Drug Administration
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
Modernization Act of 1997 (Pub. L. 105–
115), the Medical Device User Fee and
Modernization Act of 2002 (Pub. L. 107–
250), the Medical Devices Technical
Corrections Act (Pub. L. 108–214), the
Food and Drug Administration
Amendments Act of 2007 (Pub. L. 110–
85), and the Food and Drug
Administration Safety and Innovation
Act (Pub. L. 112–144), among other
amendments, establishes a
comprehensive system for the regulation
of medical devices intended for human
use. Section 513 of the FD&C Act (21
U.S.C. 360c) established three categories
(classes) of devices, reflecting the
regulatory controls needed to provide
reasonable assurance of their safety and
effectiveness. The three categories of
devices are class I (general controls),
class II (general controls and special
controls), and class III (general controls
and premarket approval).
Section 513(a)(1) of the FD&C Act
defines the three classes of devices.
Class I devices are those devices for
which the general controls of the FD&C
Act (controls authorized by or under
sections 501, 502, 510, 516, 518, 519, or
520 (21 U.S.C. 351, 352, 360, 360f, 360h,
360i, or 360j) or any combination of
such sections) are sufficient to provide
reasonable assurance of safety and
effectiveness; or those devices for which
insufficient information exists to
determine that general controls are
sufficient to provide reasonable
assurance of safety and effectiveness or
to establish special controls to provide
such assurance, but because the devices
are not purported or represented to be
for a use in supporting or sustaining
human life or for a use which is of
substantial importance in preventing
impairment of human health, and do
not present a potential unreasonable
risk of illness or injury, are to be
regulated by general controls (section
513(a)(1)(A) of the FD&C Act). Class II
devices are those devices for which
general controls by themselves are
insufficient to provide reasonable
assurance of safety and effectiveness,
and for which there is sufficient
information to establish special controls
to provide such assurance, including the
promulgation of performance standards,
postmarket surveillance, patient
registries, development and
dissemination of guidelines,
recommendations, and other
appropriate actions the Agency deems
necessary to provide such assurance
(section 513(a)(1)(B) of the FD&C Act).
Class III devices are those devices for
which insufficient information exists to
determine that general controls and
special controls would provide a
PO 00000
Frm 00021
Fmt 4702
Sfmt 4702
18491
reasonable assurance of safety and
effectiveness, and are purported or
represented to be for a use in supporting
or sustaining human life or for a use
which is of substantial importance in
preventing impairment of human
health, or present a potential
unreasonable risk of illness or injury
(section 513(a)(1)(C) of the FD&C Act).
Devices that were not in commercial
distribution prior to May 28, 1976
(generally referred to as
postamendments devices) are
automatically classified by section
513(f)(1) of the FD&C Act into class III
without any FDA rulemaking process.
Those devices remain in class III and
require premarket approval unless, and
until, (1) FDA reclassifies the device
into class I or class II, or (2) FDA issues
an order finding the device to be
substantially equivalent, in accordance
with section 513(i) of the FD&C Act, to
a predicate device that does not require
premarket approval. FDA determines
whether new devices are substantially
equivalent to predicate devices by
means of premarket notification
procedures in section 510(k) of the
FD&C Act and part 807 (21 CFR part
807), subpart E, of the regulations.
A postamendments device that has
been initially classified in class III
under section 513(f)(1) of the FD&C Act
may be reclassified into class I or II
under section 513(f)(3) of the FD&C Act.
Section 513(f)(3) of the FD&C Act
provides that FDA, acting by
administrative order, can reclassify the
device into class I or class II on its own
initiative, or in response to a petition
from the manufacturer or importer of
the device. To change the classification
of the device, the proposed new class
must have sufficient regulatory controls
to provide a reasonable assurance of the
safety and effectiveness of the device for
its intended use.
FDA relies upon ‘‘valid scientific
evidence,’’ as defined in section
513(a)(3) and 21 CFR 860.7(c)(2), in the
classification process to determine the
level of regulation for devices. To be
considered in the reclassification
process, the ‘‘valid scientific evidence’’
upon which the Agency relies must be
publicly available (see section 520(c) of
the FD&C Act). Publicly available
information excludes trade secret and/or
confidential commercial information,
e.g., the contents of a pending PMA (see
section 520(c) of the FD&C Act).
In accordance with section 513(f)(3) of
the FD&C Act, the Agency is issuing this
proposed order to reclassify hepatitis C
virus (HCV) antibody tests intended for
the qualitative detection of HCV,
postamendment class III devices, into
class II (general controls and special
E:\FR\FM\02APP1.SGM
02APP1
18492
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
controls), subject to premarket
notification because the Agency believes
the standard in section 513(a)(1)(B) of
the FD&C Act is met as there is
sufficient information to establish
special controls, which, in addition to
general controls, will provide
reasonable assurance of the safety and
effectiveness of the device.1
Section 510(m) of the FD&C Act
provides that a class II device may be
exempted from the premarket
notification requirements under section
510(k) of the FD&C Act, if the Agency
determines that premarket notification
is not necessary to provide reasonable
assurance of the safety and effectiveness
of the device. FDA has determined that
premarket notification is necessary to
reasonably assure the safety and
effectiveness of HCV antibody tests
intended for the qualitative detection of
HCV. Therefore, the Agency does not
intend to exempt these proposed class II
devices from premarket notification
requirements. If this proposed order is
finalized, persons who intend to market
this type of device must submit to FDA
a premarket notification under section
510(k) of the FD&C Act.
jbell on DSKJLSW7X2PROD with PROPOSALS
II. Regulatory History of the Devices
This proposed order applies to HCV
antibody assay device for use as a
prescription device as an aid in the
diagnosis of HCV infection. These are
prescription devices that are assigned
product code MZO. On August 30, 2001,
FDA approved its first HCV antibody
test (Ortho-Clinical Diagnostics, Inc.’s
VITROS IMMUNODIAGNOSTIC
PRODUCTS ANTI–HCV REAGENT
PACK AND CALIBRATOR) intended for
use as a prescription device as an aid in
the diagnosis of HCV infection by a
qualified licensed healthcare
professional in conjunction with other
relevant clinical and laboratory findings
through its PMA process under section
515 of the FD&C Act (21 U.S.C. 360e).
In a May 22, 2002, Federal Register
notice (67 FR 36009), FDA announced
the PMA approval order and the
availability of the Summary of Safety
and Effectiveness Data (SSED) for this
device.
Since the first approval order, FDA
has approved nine additional original
PMAs for HCV antibody tests that are
prescription devices intended for use as
1 In December 2019, FDA began adding the term
‘‘Proposed amendment’’ to the ‘‘ACTION’’ caption
for these documents, typically styled ‘‘Proposed
order’’, to indicate that they ‘‘propose to amend’’
the Code of Federal Regulations. This editorial
change was made in accordance with the Office of
Federal Register’s (OFR) interpretations of the
Federal Register Act (44 U.S.C. chapter 15), its
implementing regulations (1 CFR 5.9 and parts 21
and 22), and the Document Drafting Handbook.
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
an aid in the diagnosis of HCV infection
by a qualified licensed healthcare
professional in conjunction with other
relevant clinical and laboratory findings
(hereafter referred to as ‘‘HCV antibody
test’’).
A review of the medical device
reporting databases indicates that there
is a low number of reported events for
HCV antibody tests relative to the
number of tests conducted using these
devices. Events reported included false
positive results, low test results, false
negative results, unspecified incorrect
or inadequate results, mechanical
problems, and leak/splash. As of the
date of this proposed order, FDA is
aware of two class III recalls, 2 two class
II recalls, 3 and no class I recalls for
these devices.4 The class II recalls
occurred in 2007 and 2014, and were
related to: (1) Sporadic lower than
expected anti-HCV test results, and (2)
failure of the instrument to open
(actuate) some reagent packs from
certain lots. All recalls have been
resolved and no patient harm has been
identified. These facts, coupled with the
low number of reported events, indicate
a good safety record for this device
class. These recall events reflect the
risks to health identified in section V
below, and FDA believes the special
controls proposed herein, in addition to
general controls, can effectively mitigate
the risks identified in these recalls.
III. Device Description
HCV antibody tests are
postamendments prescription devices
for the qualitative detection of HCV and
are classified into class III under section
513(f)(1) of the FD&C Act. HCV antibody
tests are described in FDA’s SSEDs and
product code database (assigned
product code MZO) as devices for the
qualitative detection of antibodies to
HCV in human serum and plasma. HCV
antibodies, when present in samples,
bind to HCV antigens to form a complex
that is bound to a solid phase (e.g.
microparticles, microtiter plate or else).
Detection of the complexes can be
performed using different methods that
measure the presence/absence of HCV
antibodies in the sample. HCV antibody
tests are intended for use as aids in the
presumptive diagnosis of HCV infection
in persons with signs and symptoms of
hepatitis and in persons at risk of
acquiring HCV infection. These devices
are not intended for screening blood,
plasma, cell or tissue donors. This
proposed order does not apply to HCV
2 Class
III recalls are defined in 21 CFR 7.3(m)(3).
II recalls are defined in 21 CFR 7.3(m)(2).
4 Class I recalls are defined in 21 CFR 7.3(m)(1).
3 Class
PO 00000
Frm 00022
Fmt 4702
Sfmt 4702
antibody tests that are intended for
home use or over-the-counter use.
FDA is proposing to reclassify HCV
antibody tests from class III (general
controls and premarket approval) to
class II (general controls and special
controls) and to establish a new name
for the device type that will be within
the classification regulation; i.e.,
hepatitis C virus (HCV) antibody tests.
FDA believes that this name and
proposed identification language most
accurately describes these devices. An
HCV antibody test is tentatively
identified as a device intended for use
with human serum, plasma, or other
matrices as a prescription device that
aids in the diagnosis of HCV infection
in persons with signs and symptoms of
hepatitis and in persons at risk for
hepatitis C infection. The test is
intended as an aid in the diagnosis of
HCV infection in specified populations,
and/or as an aid in the management of
HCV-infected patients including guiding
the selection of genotype-specific
treatment in individuals with chronic
HCV infection. The test is not intended
for screening blood, plasma, cell, or
tissue donors.
Based upon our review experience
and consistent with the FD&C Act and
FDA’s regulations in 21 CFR 860.134,
FDA believes that these devices should
be reclassified from class III into class
II with special controls because there is
sufficient information to establish
special controls that, along with general
controls, can provide reasonable
assurance of the devices’ safety and
effectiveness.
IV. Proposed Reclassification
FDA is proposing to reclassify HCV
antibody tests. On March 22, 2018, FDA
held a public meeting of the
Microbiology Devices Panel (Panel) of
the Medical Devices Advisory
Committee convened to discuss and
make recommendations regarding the
reclassification of HCV antibody tests
from class III (general controls and
premarket approval) into class II
(general controls and special controls)
(Ref. 1). Panel members unanimously
agreed that special controls, in addition
to general controls, are necessary and
sufficient to mitigate the risks to health
of patients presented by these devices
and to provide reasonable assurance of
the safety and effectiveness of these
devices (Ref. 2). In addition, Panel
members generally agreed with the
development of special controls as
presented by FDA.
FDA agrees and believes that at this
time, sufficient data and information
exist such that the risks identified in
section V below can be mitigated by
E:\FR\FM\02APP1.SGM
02APP1
jbell on DSKJLSW7X2PROD with PROPOSALS
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
establishing special controls that,
together with general controls, can
provide a reasonable assurance of the
safety and effectiveness of these devices
and therefore proposes these devices to
be reclassified from class III (general
controls and premarket approval) to
class II (general controls and special
controls).
In accordance with section 513(f)(3) of
the FD&C Act and 21 CFR part 860,
subpart C, FDA is proposing to
reclassify postamendments HCV
antibody tests to be renamed ‘‘hepatitis
C virus (HCV) antibody tests,’’ from
class III into class II. FDA believes that,
at this time, there are sufficient data and
information available to FDA through
FDA’s accumulated experience with
these devices from review submissions
and from published peer-reviewed
literature, as well as the
recommendations provided by the
Panel, to demonstrate that the proposed
special controls, along with general
controls, would effectively mitigate the
risks to health identified in section V
below and provide a reasonable
assurance of the safety and effectiveness
of these devices. Absent the special
controls identified in this proposed
order, general controls applicable to the
device type are insufficient to provide
reasonable assurance of the safety and
effectiveness of these devices. FDA
expects that the reclassification of these
devices would enable more
manufacturers to develop HCV antibody
tests such that patients would benefit
from increased access to safe and
effective tests.
FDA is proposing to create a
classification regulation for HCV
antibody tests that will be reclassified
from class III to class II. Under this
proposed order, if finalized, HCV
antibody tests will be identified as
prescription devices. As such, the
prescription device must satisfy
prescription labeling requirements for in
vitro diagnostic products (See 21 CFR
809.10(a)(4) and (b)(5)(ii)). In this
proposed order, if finalized, the Agency
has identified the special controls under
section 513(a)(1)(B) of the FD&C Act
that, together with general controls, will
provide a reasonable assurance of the
safety and effectiveness for HCV
antibody tests.
Section 510(m) of the FD&C Act
provides that FDA may exempt a class
II device from the premarket notification
requirements under section 510(k) of the
FD&C Act if FDA determines that
premarket notification is not necessary
to provide reasonable assurance of the
safety and effectiveness of the device.
For HCV antibody tests, FDA has
determined that premarket notification
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
is necessary to provide reasonable
assurance of the safety and effectiveness
of these devices. Therefore, FDA does
not intend to exempt this proposed class
II devices from the 510(k) requirements.
If this proposed order is finalized,
persons who intend to market this type
of device must submit a 510(k) to FDA
and receive clearance prior to marketing
the device.
This proposed order, if finalized, will
decrease regulatory burden on industry,
as manufacturers will no longer have to
submit a PMA for these types of devices
but can instead submit a 510(k) to the
Agency for review prior to marketing
their device. A 510(k) typically results
in a shorter premarket review timeline
compared to a PMA, which ultimately
provides more timely access of these
types of devices to patients.
In addition, the Agency believes that
certain changes could be made to HCV
antibody tests that could significantly
affect the safety and effectiveness of
those devices and for which a new
510(k) is likely required.5 Based on
FDA’s accumulated experience with
these devices, changes that likely could
significantly affect the safety and
effectiveness of these devices include,
but are not limited to, changes to critical
reagents, changes to final release
specifications, and changes in shelf-life
of the device. For more information
about when to submit a new 510(k),
manufacturers should refer to FDA’s
guidance entitled ‘‘Deciding When to
Submit at 510(k) for a Change to an
Existing Device’’ (Ref. 3).
V. Risks to Health
It is estimated by the Centers for
Disease Control and Prevention that
chronic HCV infection in the United
States affects at least between 2.7 and
3.9 million people (Ref. 4). HCV
infection can be asymptomatic, and
accordingly, many HCV-infected
individuals are unaware of their HCV
infection. Between 20 percent and 30
percent of patients with acute infection,
defined as the first 6 months after
infection, clear the virus spontaneously
while the other 70 percent to 80 percent
of individuals become chronically
infected with HCV (Ref. 5). Later
diagnosis can lead to a more severe
disease outcome and premature death
among those who are chronically
infected (Ref. 6). Patients who are tested
and become aware that they are HCV
infected may modify risk behaviors to
prevent transmission to others and can
be referred for treatment.
If left untreated, patients with chronic
HCV infection have a significant risk of
5 See
PO 00000
21 CFR 807.81(a)(3)(i).
Frm 00023
Fmt 4702
Sfmt 4702
18493
developing severe liver disease and/or
hepatocellular cancer. Treatment of
chronic HCV is highly effective,
resulting in a sustained virological
response (SVR) considered synonymous
with cure. SVR is associated with
improved clinical outcome, and a
decrease in HCV-associated mortality
(Ref. 7). Therefore, diagnosis of patients
with chronic HCV infection through
devices such as hepatitis C virus
antibody tests is essential to ensure that
patients are linked to the appropriate
care (Ref. 6).
After consideration of FDA’s
accumulated experience with these
devices from FDA review submissions,
recommendations of the Panel for the
classification of these devices (Ref. 2),
and published literature, FDA has
identified the following probable risks
to health associated with HCV Antibody
Tests:
• Inaccurate interpretation of test
results. Inaccurate interpretation of test
results by clinicians may negatively
influence patient management
decisions. A reactive test result
misinterpreted as non-reactive may
delay or prevent a patient with HCV
infection from being identified and
linked to care. Missed identification of
patients with chronic HCV infection
could lead to adverse effects on patient
health such as progressive liver disease,
cirrhosis and/or hepatocellular cancer,
all of which are known to contribute to
patient morbidity and mortality (Ref. 6).
A reactive test incorrectly interpreted as
non-reactive also may contribute to
public health risk by leading to
inadvertent transmission of virus by an
infected person. A non-reactive test
result incorrectly identified as reactive
may contribute to unnecessary
additional patient testing to exclude
active HCV infection or potentially
delay diagnosis of alternative causes of
liver disease when present.
• Failure of the device to perform as
indicated (e.g., false negative results or
false positive results). A false negative
test result due to failure of the device to
perform may delay or prevent a patient
with HCV infection from being
identified and linked to care. Missed
identification of patients with chronic
HCV infection could lead to adverse
effects on patient health such as
progressive liver disease, cirrhosis and/
or hepatocellular cancer, all of which
are known to contribute to patient
morbidity and mortality (Ref. 6). A false
negative/false non-reactive test result
also may contribute to public health risk
by leading to inadvertent transmission
of virus by an infected person. Factors
that may cause decreased test sensitivity
and/or an increased rate of false
E:\FR\FM\02APP1.SGM
02APP1
18494
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
negative results include, but are not
limited to, the presence of interfering
substances in the sample, acute
infection at a stage that is too early for
a device to detect the infection, and
antibody concentrations that are too low
to be detected by the device. They also
can be caused by misinterpretation of
invalid results as negative. A false
positive test result may contribute to
unnecessary additional patient testing to
exclude active HCV infection or
potentially delay diagnosis of
alternative causes of liver disease when
present. Factors that may lead to false
positive results include device
contamination from positive samples,
cross-reactivity with other antibodies, or
misinterpretation of invalid results as
positive.
VI. Summary of the Reasons for
Reclassification
FDA believes that HCV antibody tests
should be reclassified from class III
(general controls and premarket
approval) into class II (general controls
and special controls) because special
controls, in addition to general controls,
can be established to mitigate the risks
to health identified in section V and
provide a reasonable assurance of the
safety and effectiveness of these devices.
The proposed special controls are
identified by FDA in section VII.
Taking into account the probable
health benefits of the use of theses
device and the nature and known
incidence of the risks of the devices,
FDA, on its own initiative, is proposing
to reclassify these postamendments
class III devices into class II. FDA
believes that, when used as indicated,
HCV antibody tests can provide
significant benefits to clinicians and
patients.
FDA’s reasons for reclassification are
based on the substantial scientific and
medical information available regarding
the nature, complexity, and risks
associated with HCV antibody tests in
the identified intended use populations
(Ref. 1). The safety and effectiveness of
this device type has become wellestablished since the initial approval of
the first HCV antibody test for the
qualitative detection of HCV in 2001.
VII. Proposed Special Controls
FDA believes that these devices can
be classified into class II with the
establishment of special controls. FDA
believes that the following special
controls, together with general controls,
will provide a reasonable assurance of
the safety and effectiveness of HCV
antibody tests. Table 1 demonstrates
how these proposed special controls
will mitigate each of the identified risks
to health in section V.
The risk of inaccurate interpretation
of test results can be mitigated by
special controls requiring certain
labeling, including providing clearly
stated warnings and limitations and
information on principles of operation
and procedures in performing the test.
Risks associated with the failure of
the device to perform as indicated (e.g.,
false negative and false positive test
results) can be mitigated through a
combination of special controls
including certain labeling requirements,
certain design verification and
validation information, and
performance studies. Examples of
verification and validation information
to be included in the design of the
device includes documentation of
performance specifications including
analytical and clinical performance
criteria. In addition, design verification
and validation activities must include
documentation of a complete device
description, critical reagents, risk
analysis strategies, lot release criteria,
stability studies and protocols. Required
statements in labeling can aid in
mitigating the failure of the device to
perform as indicated, for example
including a statement that use of the test
with specimen types other than those
specifically identified for use with this
device may cause inaccurate test results.
jbell on DSKJLSW7X2PROD with PROPOSALS
TABLE 1—RISKS TO HEALTH AND MITIGATION MEASURES FOR HCV ANTIBODY TESTS
Identified risks to health
Mitigation measures
Inaccurate interpretation of test results ..............
Failure of the device to perform as indicated .....
Certain labeling warnings, limitations, and explanation of procedures.
Certain labeling warnings, limitations, and explanation of procedures.
Performance specifications including analytical and clinical performance criteria.
Certain design verification and validation information including documentation of device description, critical reagents, risk analysis strategies, lot release criteria, stability studies and
protocols.
If this proposed order is finalized,
HCV antibody tests will be reclassified
into class II (general controls and
special controls) and would be subject
to premarket notification requirements
under section 510(k) of the FD&C Act.
As discussed below, the intent is for the
reclassification to be codified in 21 CFR
866.3169. Firms submitting a premarket
notification under section 510(k) of the
FD&C Act for HCV antibody tests will be
required to comply with the particular
mitigation measures set forth in the
special controls. Adherence to the
special controls, in addition to the
general controls, is necessary to provide
a reasonable assurance of the safety and
effectiveness of these devices.
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
VIII. Analysis of Environmental Impact
The Agency has determined under 21
CFR 25.34(b) that this action is of a type
that does not individually or
cumulatively have a significant effect on
the human environment. Therefore,
neither an environmental assessment
nor an environmental impact statement
is required.
IX. Paperwork Reduction Act of 1995
FDA tentatively concludes that this
proposed order contains no new
collections of information. Therefore,
clearance by the Office of Management
and Budget (OMB) under the Paperwork
Reduction Act of 1995 (PRA) (44 U.S.C.
3501–3521) is not required. This
proposed order refers to previously
approved FDA collections of
information. These collections of
PO 00000
Frm 00024
Fmt 4702
Sfmt 4702
information are subject to review by
OMB under the PRA. The collections of
information in 21 CFR part 820 have
been approved under OMB control
number 0910–0073; the collections of
information in 21 CFR parts 807,
subpart E, have been approved under
OMB control number 0910–0120; and
the collections of information in 21 CFR
parts 801 and 809 have been approved
under OMB control number 0910–0485.
X. Codification of Orders
Under section 513(f)(3) of the FD&C
Act, FDA may issue final orders to
reclassify devices. FDA will continue to
codify classifications and
reclassifications in the Code of Federal
Regulations (CFR). Changes resulting
from final orders will appear in the CFR
as newly codified orders. Therefore,
E:\FR\FM\02APP1.SGM
02APP1
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
under section 513(f)(3), in the proposed
order, we are proposing to codify HCV
antibody tests in the new 21 CFR
866.3169, under which certain HCV
antibody tests would be reclassified
from class III to class II.
XI. Proposed Effective Date
FDA proposes that any final order
based on this proposed order become
effective 30 days after its date of
publication in the Federal Register.
jbell on DSKJLSW7X2PROD with PROPOSALS
XII. References
The following references marked with
an asterisk (*) are on display at the
Dockets Management Staff (see
ADDRESSES) and are available for
viewing by interested persons between
9 a.m. and 4 p.m., Monday through
Friday; they also are available
electronically at https://
www.regulations.gov. References
without asterisks are not on public
display at https://www.regulations.gov
because they have copyright restriction.
Some may be available at the website
address, if listed. References without
asterisks are available for viewing only
at the Dockets Management Staff. FDA
has verified the website addresses, as of
the date this document publishes in the
Federal Register, but websites are
subject to change over time.
* 1. Executive Summary of the FDA
Microbiology Devices Panel Meeting,
March 22, 2018 (available at https://
www.fda.gov/media/111502/download).
* 2. Transcript of the FDA Microbiology
Devices Panel Meeting, March 22, 2018
(available at https://www.fda.gov/media/
119966/download).
* 3. ‘‘Deciding When to Submit a 510(k) for
a Change to an Existing Device—
Guidance for Industry and Food and
Drug Administration Staff,’’ issued
October 25, 2017 (available at https://
www.fda.gov/regulatory-information/
search-fda-guidance-documents/
deciding-when-submit-510k-changeexisting-device).
* 4. Department of Health and Human
Services—Viral Hepatitis Action Plan for
2017–2020 (available at https://
www.hhs.gov/sites/default/files/National
%20Viral%20Hepatitis%20Action
%20Plan%202017-2020.pdf).
5. Aisyah, D.N., L. Shallcross, A.J. Hully, et
al., ‘‘Assessing Hepatitis C Spontaneous
Clearance and Understanding Associated
Factors—A Systematic Review and MetaAnalysis.’’ Journal of Viral Hepatitis,
25(6): 680–698, 2018.
6. Moorman, A.C., J. Xing, S. Ko, et al., ‘‘Late
Diagnosis of Hepatitis C Virus Infection
in the Chronic Hepatitis Cohort Study
(CHeCS): Missed Opportunities for
Intervention.’’ Hepatology, 61(5): 1479–
1484, 2015.
7. Ioannou, G.N., P.K. Green, and K. Berry,
‘‘HCV Eradication Induced by DirectActing Antiviral Agents Reduces the
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
Risk of Hepatocellular Carcinoma.’’
Journal of Hepatology, 68(1): 25–33,
2018.
List of Subjects in 21 CFR Part 866
Biologics, Laboratories, Medical
devices.
Therefore, under the Federal Food,
Drug, and Cosmetic Act and under
authority delegated to the Commissioner
of Food and Drugs, it is proposed that
21 CFR part 866 be amended as follows:
PART 866—IMMUNOLOGY AND
MICROBIOLOGY DEVICES
1. The authority citation for part 866
continues to read as follows:
■
Authority: 21 U.S.C. 351, 360, 360c, 360e,
360j, 360l, 371.
2. Add § 866.3169 to subpart D to read
as follows:
■
§ 866.3169
Tests.
Hepatitis C Virus Antibody
(a) Identification. A hepatitis C virus
(HCV) antibody test is identified as an
in vitro diagnostic device intended for
use with human serum, plasma, or other
matrices as a prescription device that
aids in the diagnosis of HCV infection
in persons with signs and symptoms of
hepatitis and in persons at risk for
hepatitis C infection. The test is not
intended for screening blood, plasma,
cell, or tissue donors.
(b) Classification. Class II (special
controls). The special controls for this
device are:
(1) The labeling required under 21
CFR 809.10(b) must include:
(i) A prominent statement that the test
is not intended for the screening of
blood, plasma, and cell or tissue donors.
(ii) Limitations, which must be
updated to reflect current clinical
practice and disease presentation and
management. The limitations must
include, but are not limited to,
statements that indicate:
(A) When appropriate, the
performance characteristics of the test
have not been established in
populations of immunocompromised or
immunosuppressed patients or, other
special populations where test
performance may be affected.
(B) The detection of HCV antibodies
indicates a present or past infection
with hepatitis C virus, but does not
differentiate between acute, chronic, or
resolved infection.
(C) The specimen types for which the
device has been cleared, and that use of
the test with specimen types other than
those specifically cleared for this device
may result in inaccurate test results.
(D) Test results are to be interpreted
by qualified licensed healthcare
PO 00000
Frm 00025
Fmt 4702
Sfmt 4702
18495
professionals in conjunction with the
individual’s clinical presentation,
history, and other laboratory results.
(E) A non-reactive test result may
occur early during acute infection, prior
to development of a host antibody
response to infection, or when analyte
levels are below the limit of detection of
the test.
(iii) A detailed explanation of the
principles of operation and procedures
for performing the test.
(2) Design verification and validation
must include the following:
(i) A detailed device description,
including all parts that make up the
device, ancillary reagents required but
not provided, an explanation of the
device methodology, and design of the
antigen(s) and capture antibody(ies)
sequences, rationale for the selected
epitope(s), degree of amino acid
sequence conservation of the target, and
the design and nature of all primary,
secondary, and subsequent standards
used for calibration.
(ii) Documentation and
characterization (e.g., supplier,
determination of identity, and stability)
of all critical reagents (including
description of the antigen(s) and capture
antibody(ies)), and protocols for
maintaining product integrity
throughout its labeled shelf life.
(iii) Risk analysis and management
strategies, such as Failure Modes Effects
Analysis and/or Hazard Analysis and
Critical Control Points summaries and
their impact on test performance.
(iv) Final release criteria to be used
for manufactured test lots with
appropriate evidence that lots released
at the extremes of the specifications will
meet the claimed analytical and clinical
performance characteristics as well as
the stability claims.
(v) Stability studies for reagents must
include documentation of an assessment
of real-time stability for multiple reagent
lots using the indicated specimen types
and must use acceptance criteria that
ensure that analytical and clinical
performance characteristics are met
when stability is assigned based on the
extremes of the acceptance range.
(vi) All stability protocols, including
acceptance criteria.
(vii) Final release test results for each
lot used in clinical studies.
(viii) Multisite reproducibility study
that includes the testing of three
independent production lots.
(ix) Analytical performance studies
and results for determining the limit of
blank (LoB), limit of detection (LoD),
cutoff, precision (reproducibility)
including lot-to-lot and/or instrumentto-instrument precision, interference,
cross reactivity, carry-over, hook effect,
E:\FR\FM\02APP1.SGM
02APP1
18496
Federal Register / Vol. 85, No. 64 / Thursday, April 2, 2020 / Proposed Rules
seroconversion panel testing, matrix
equivalency, specimen stability, reagent
stability, and cross-genotype antibody
detection sensitivity, when appropriate.
(x) Analytical sensitivity of the test is
the same or better than that of other
cleared or approved tests.
(xi) Detailed documentation of
clinical performance testing from a
multisite clinical study. Performance
must be analyzed relative to an FDA
cleared or approved HCV antibody test,
or a comparator that FDA has
determined is appropriate. This study
must be conducted using appropriate
patient samples, with an acceptable
number of HCV positive and negative
samples in applicable risk categories.
Additional relevant patient groups must
be validated as appropriate. The
samples may be a combination of fresh
and repository samples, sourced from
geographically diverse areas. The study
designs, including number of samples
tested, must be sufficient to meet the
following criteria:
(A) Clinical sensitivity of the test
must have a lower bound of the 95
percent confidence interval of greater
than or equal to 95 percent.
(B) Clinical specificity of the test must
have a lower bound of the 95 percent
confidence interval of greater than or
equal to 96 percent.
(3) For any HCV antibody test
intended for Point of Care (PoC) use, the
following special controls, in addition
to those listed in paragraphs (b)(1) and
(2) of this section, apply:
(i) Clinical studies must be conducted
at PoC sites.
(ii) Additional labeling must include
a brief summary of the instructions for
use that are appropriate for use in a PoC
environment.
Dated: March 27, 2020.
Lowell J. Schiller,
Principal Associate Commissioner for Policy.
[FR Doc. 2020–06821 Filed 4–1–20; 8:45 am]
BILLING CODE 4164–01–P
DEPARTMENT OF THE TREASURY
Internal Revenue Service
26 CFR Parts 1 and 301
[REG–132529–17]
jbell on DSKJLSW7X2PROD with PROPOSALS
RIN 1545–BO13
Computation and Reporting of
Reserves for Life Insurance
Companies
Internal Revenue Service (IRS),
Treasury.
ACTION: Notice of proposed rulemaking.
AGENCY:
VerDate Sep<11>2014
18:28 Apr 01, 2020
Jkt 250001
This document contains
proposed regulations that provide
guidance on the computation of life
insurance reserves and the change in
basis of computing certain reserves of
insurance companies. These proposed
regulations implement recent legislative
changes to the Internal Revenue Code.
This document invites comments on
these proposed regulations. This
document affects entities taxable as
insurance companies.
DATES: Written or electronic comments
and requests for a public hearing must
be received by June 1, 2020.
ADDRESSES: Submit electronic
submissions via the Federal
eRulemaking Portal at
www.regulations.gov (indicate IRS and
REG–132529–17) by following the
online instructions for submitting
comments. Once submitted to the
Federal eRulemaking Portal, comments
cannot be edited or withdrawn. The
Department of the Treasury (Treasury
Department) and the IRS will publish
for public availability any comment
received to its public docket, whether
submitted electronically or in hard
copy. Send hard copy submissions to:
CC:PA:LPD:PR (REG–132529–17), Room
5203, Internal Revenue Service, P.O.
Box 7604, Ben Franklin Station,
Washington, DC 20044.
FOR FURTHER INFORMATION CONTACT:
Concerning the proposed regulations,
Dan Phillips, (202) 317–6995;
concerning submissions of comments
and requests for a public hearing,
Regina Johnson, (202) 317–5177 or
fdms.database@irscounsel.treas.gov (not
toll-free numbers).
SUPPLEMENTARY INFORMATION:
SUMMARY:
Background
This document contains proposed
amendments to 26 CFR part 1 under
sections 807 and 816 of the Internal
Revenue Code (Code). Sections 807 and
816 were added to the Code by section
211(a) of the Deficit Reduction Act of
1984, Public Law 98–369, 98 Stat. 494.
Section 807 was amended by sections
13513 and 13517 of the Tax Cuts and
Jobs Act, Public Law 115–97, 131 Stat.
2054, 2143, 2144 (2017) (TCJA). These
amendments by the TCJA apply to
taxable years beginning after December
31, 2017.
This document also proposes to
amend or remove the following
regulations in 26 CFR: §§ 1.338–11,
1.381(c)(22)–1, 1.801–2, 1.801–5, 1.801–
7, 1.801–8, 1.806–4, 1.807–1, 1.809–2,
1.809–5, 1.810–3, 1.817A–0, 1.817A–1,
1.818–2, 1.818–4, 1.848–1, 1.6012–2,
and 301.9100–6T. These proposed
changes are conforming changes to
PO 00000
Frm 00026
Fmt 4702
Sfmt 4702
regulations that (i) relate to repealed or
amended law, (ii) reference regulations
that are proposed to be removed, (iii)
have no future application, or (iv) relate
to other regulations proposed by this
document.
A. Reserves Taken Into Account in
Determining Life Insurance Company
Taxable Income
Section 801(a) imposes a tax on the
life insurance company taxable income
of every life insurance company.
Section 801(b) defines life insurance
company taxable income to mean life
insurance gross income, reduced by life
insurance deductions. Under section
803(a)(2), life insurance gross income
includes a net decrease in items
described in section 807(c) as required
by section 807(a). Under sections 804
and 805(a)(2), life insurance deductions
include a deduction for a net increase in
items as required by section 807(b).
The items described in section 807(c)
are: (i) Life insurance reserves (as
defined in section 816(b)); (ii) unearned
premiums and unpaid losses included
in total reserves; (iii) amounts that are
discounted at the appropriate rate of
interest to satisfy obligations under
insurance and annuity contracts that do
not involve life, accident, or health
contingencies when the computation is
made; (iv) dividend accumulations and
other amounts held at interest in
connection with insurance and annuity
contracts; (v) premiums received in
advance and liabilities for premium
deposit funds; and (vi) reasonable
special contingency reserves under
contracts of group term life insurance or
group accident and health insurance
that are held for retired lives, premium
stabilization, or a combination of both.
B. Life Insurance Reserves Taken Into
Account in Determining Premiums
Earned for a Nonlife Insurance
Company
Section 831(a) generally imposes a tax
on the taxable income of every
insurance company other than a life
insurance company (a nonlife insurance
company). Section 832 defines taxable
income for this purpose to be gross
income (as defined in section 832(b)(1))
less allowed deductions. Section
832(b)(1) provides that gross income
includes underwriting income, and
section 832(b)(3) provides that
underwriting income means premiums
earned on insurance contracts during
the taxable year less losses incurred and
expenses incurred.
Under sections 832(b)(4) and
832(b)(7)(A), premiums earned on
insurance contracts during the taxable
year are reduced by life insurance
E:\FR\FM\02APP1.SGM
02APP1
Agencies
[Federal Register Volume 85, Number 64 (Thursday, April 2, 2020)]
[Proposed Rules]
[Pages 18490-18496]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2020-06821]
-----------------------------------------------------------------------
DEPARTMENT OF HEALTH AND HUMAN SERVICES
Food and Drug Administration
21 CFR Part 866
[Docket No. FDA-2020-N-1082]
Microbiology Devices; Reclassification of Certain Hepatitis C
Virus Antibody Assays Devices, To Be Renamed Hepatitis C Virus Antibody
Tests
AGENCY: Food and Drug Administration, HHS.
ACTION: Proposed amendment; proposed order; request for comments.
-----------------------------------------------------------------------
SUMMARY: The Food and Drug Administration (FDA or Agency) is proposing
to reclassify certain hepatitis C virus (HCV) antibody assay devices
intended for the qualitative detection of HCV, postamendments class III
devices (product code MZO) into class II (general controls and special
controls), subject to premarket notification. FDA is also proposing a
new device classification regulation with the name ``hepatitis C virus
(HCV) antibody tests'' along with the special controls that the Agency
believes are necessary to provide a reasonable assurance of safety and
effectiveness for these devices. FDA is proposing this reclassification
on its own initiative. If finalized, this order will reclassify these
types of devices from class III (general controls and premarket
approval) to class II (general controls and special controls) and
reduce the regulatory burdens associated with these devices, as these
types of devices will no longer be required to submit a premarket
approval application (PMA), but can instead submit a premarket
notification under the Federal Food, Drug, and Cosmetic Act (FD&C Act)
and obtain clearance before marketing their device.
DATES: Submit either electronic or written comments on the proposed
order by June 1, 2020. Please see section XI of this document for the
proposed effective date when the new requirements apply and for the
proposed effective date of a final order based on this proposed order.
ADDRESSES: You may submit comments as follows. Please note that late,
untimely filed comments will not be considered. Electronic comments
must be submitted on or before June 1, 2020. The https://www.regulations.gov electronic filing system will accept comments until
11:59 p.m. Eastern Time at the end of June 1, 2020. Comments received
by mail/hand delivery/courier (for written/paper submissions) will be
considered timely if they are postmarked or the delivery service
acceptance receipt is on or before that date.
Electronic Submissions
Submit electronic comments in the following way:
Federal eRulemaking Portal: https://www.regulations.gov.
Follow the instructions for submitting comments. Comments submitted
electronically, including attachments, to https://www.regulations.gov
will be posted to the docket unchanged. Because your comment will be
made public, you are solely responsible for ensuring that your comment
does not include any confidential information that you or a third party
may not wish to be posted, such as medical information, your or anyone
else's Social Security number, or confidential business information,
such as a manufacturing process. Please note that if you include your
name, contact information, or other information that identifies you in
the body of your comments, that information will be posted on https://www.regulations.gov.
If you want to submit a comment with confidential
information that you do not wish to be made available to the public,
submit the comment as a written/paper submission and in the manner
detailed below (see ``Written/Paper Submissions'' and
``Instructions'').
Written/Paper Submissions
Submit written/paper submissions as follows:
Mail/Hand delivery/Courier (for written/paper
submissions): Dockets Management Staff (HFA-305), Food and Drug
Administration, 5630 Fishers Lane, Rm. 1061, Rockville, MD 20852.
For written/paper comments submitted to the Dockets
Management Staff, FDA will post your comment, as well as any
attachments, except for information submitted, marked and identified,
as confidential, if submitted as detailed in ``Instructions.''
Instructions: All submissions received must include the Docket No.
FDA-2020-N-1082 for ``Reclassification of Certain Hepatitis C Virus
Antibody Assay Devices, To Be Renamed Hepatitis C Virus Antibody
Tests.'' Received comments, those filed in a timely manner (see
ADDRESSES) will be placed in the docket and, except for
[[Page 18491]]
those submitted as ``Confidential Submissions,'' publicly viewable at
https://www.regulations.gov or at the Dockets Management Staff between
9 a.m. and 4 p.m., Monday through Friday.
Confidential Submissions--To submit a comment with
confidential information that you do not wish to be made publicly
available, submit your comments only as a written/paper submission. You
should submit two copies total. One copy will include the information
you claim to be confidential with a heading or cover note that states
``THIS DOCUMENT CONTAINS CONFIDENTIAL INFORMATION.'' The Agency will
review this copy, including the claimed confidential information, in
its consideration of comments. The second copy, which will have the
claimed confidential information redacted/blacked out, will be
available for public viewing and posted on https://www.regulations.gov.
Submit both copies to the Dockets Management Staff. If you do not wish
your name and contact information to be made publicly available, you
can provide this information on the cover sheet and not in the body of
your comments and you must identify this information as
``confidential.'' Any information marked as ``confidential'' will not
be disclosed except in accordance with 21 CFR 10.20 and other
applicable disclosure law. For more information about FDA's posting of
comments to public dockets, see 80 FR 56469, September 18, 2015, or
access the information at: https://www.govinfo.gov/content/pkg/FR-2015-09-18/pdf/2015-23389.pdf.
Docket: For access to the docket to read background documents or
the electronic and written/paper comments received, go to https://www.regulations.gov and insert the docket number, found in brackets in
the heading of this document, into the ``Search'' box and follow the
prompts and/or go to the Dockets Management Staff, 5630 Fishers Lane,
Rm. 1061, Rockville, MD 20852.
FOR FURTHER INFORMATION CONTACT: Maria Ines Garcia, Center for Devices
and Radiological Health, Food and Drug Administration, 10903 New
Hampshire Ave., Bldg. 66, Rm. 3104, Silver Spring, MD 20993-0002, 301-
796-7017, [email protected].
SUPPLEMENTARY INFORMATION:
I. Background--Regulatory Authorities
The FD&C Act, as amended by the Medical Device Amendments of 1976
(Pub. L. 94-295), the Safe Medical Devices Act of 1990 (Pub. L. 101-
629), Food and Drug Administration Modernization Act of 1997 (Pub. L.
105-115), the Medical Device User Fee and Modernization Act of 2002
(Pub. L. 107-250), the Medical Devices Technical Corrections Act (Pub.
L. 108-214), the Food and Drug Administration Amendments Act of 2007
(Pub. L. 110-85), and the Food and Drug Administration Safety and
Innovation Act (Pub. L. 112-144), among other amendments, establishes a
comprehensive system for the regulation of medical devices intended for
human use. Section 513 of the FD&C Act (21 U.S.C. 360c) established
three categories (classes) of devices, reflecting the regulatory
controls needed to provide reasonable assurance of their safety and
effectiveness. The three categories of devices are class I (general
controls), class II (general controls and special controls), and class
III (general controls and premarket approval).
Section 513(a)(1) of the FD&C Act defines the three classes of
devices. Class I devices are those devices for which the general
controls of the FD&C Act (controls authorized by or under sections 501,
502, 510, 516, 518, 519, or 520 (21 U.S.C. 351, 352, 360, 360f, 360h,
360i, or 360j) or any combination of such sections) are sufficient to
provide reasonable assurance of safety and effectiveness; or those
devices for which insufficient information exists to determine that
general controls are sufficient to provide reasonable assurance of
safety and effectiveness or to establish special controls to provide
such assurance, but because the devices are not purported or
represented to be for a use in supporting or sustaining human life or
for a use which is of substantial importance in preventing impairment
of human health, and do not present a potential unreasonable risk of
illness or injury, are to be regulated by general controls (section
513(a)(1)(A) of the FD&C Act). Class II devices are those devices for
which general controls by themselves are insufficient to provide
reasonable assurance of safety and effectiveness, and for which there
is sufficient information to establish special controls to provide such
assurance, including the promulgation of performance standards,
postmarket surveillance, patient registries, development and
dissemination of guidelines, recommendations, and other appropriate
actions the Agency deems necessary to provide such assurance (section
513(a)(1)(B) of the FD&C Act). Class III devices are those devices for
which insufficient information exists to determine that general
controls and special controls would provide a reasonable assurance of
safety and effectiveness, and are purported or represented to be for a
use in supporting or sustaining human life or for a use which is of
substantial importance in preventing impairment of human health, or
present a potential unreasonable risk of illness or injury (section
513(a)(1)(C) of the FD&C Act).
Devices that were not in commercial distribution prior to May 28,
1976 (generally referred to as postamendments devices) are
automatically classified by section 513(f)(1) of the FD&C Act into
class III without any FDA rulemaking process. Those devices remain in
class III and require premarket approval unless, and until, (1) FDA
reclassifies the device into class I or class II, or (2) FDA issues an
order finding the device to be substantially equivalent, in accordance
with section 513(i) of the FD&C Act, to a predicate device that does
not require premarket approval. FDA determines whether new devices are
substantially equivalent to predicate devices by means of premarket
notification procedures in section 510(k) of the FD&C Act and part 807
(21 CFR part 807), subpart E, of the regulations.
A postamendments device that has been initially classified in class
III under section 513(f)(1) of the FD&C Act may be reclassified into
class I or II under section 513(f)(3) of the FD&C Act. Section
513(f)(3) of the FD&C Act provides that FDA, acting by administrative
order, can reclassify the device into class I or class II on its own
initiative, or in response to a petition from the manufacturer or
importer of the device. To change the classification of the device, the
proposed new class must have sufficient regulatory controls to provide
a reasonable assurance of the safety and effectiveness of the device
for its intended use.
FDA relies upon ``valid scientific evidence,'' as defined in
section 513(a)(3) and 21 CFR 860.7(c)(2), in the classification process
to determine the level of regulation for devices. To be considered in
the reclassification process, the ``valid scientific evidence'' upon
which the Agency relies must be publicly available (see section 520(c)
of the FD&C Act). Publicly available information excludes trade secret
and/or confidential commercial information, e.g., the contents of a
pending PMA (see section 520(c) of the FD&C Act).
In accordance with section 513(f)(3) of the FD&C Act, the Agency is
issuing this proposed order to reclassify hepatitis C virus (HCV)
antibody tests intended for the qualitative detection of HCV,
postamendment class III devices, into class II (general controls and
special
[[Page 18492]]
controls), subject to premarket notification because the Agency
believes the standard in section 513(a)(1)(B) of the FD&C Act is met as
there is sufficient information to establish special controls, which,
in addition to general controls, will provide reasonable assurance of
the safety and effectiveness of the device.\1\
---------------------------------------------------------------------------
\1\ In December 2019, FDA began adding the term ``Proposed
amendment'' to the ``ACTION'' caption for these documents, typically
styled ``Proposed order'', to indicate that they ``propose to
amend'' the Code of Federal Regulations. This editorial change was
made in accordance with the Office of Federal Register's (OFR)
interpretations of the Federal Register Act (44 U.S.C. chapter 15),
its implementing regulations (1 CFR 5.9 and parts 21 and 22), and
the Document Drafting Handbook.
---------------------------------------------------------------------------
Section 510(m) of the FD&C Act provides that a class II device may
be exempted from the premarket notification requirements under section
510(k) of the FD&C Act, if the Agency determines that premarket
notification is not necessary to provide reasonable assurance of the
safety and effectiveness of the device. FDA has determined that
premarket notification is necessary to reasonably assure the safety and
effectiveness of HCV antibody tests intended for the qualitative
detection of HCV. Therefore, the Agency does not intend to exempt these
proposed class II devices from premarket notification requirements. If
this proposed order is finalized, persons who intend to market this
type of device must submit to FDA a premarket notification under
section 510(k) of the FD&C Act.
II. Regulatory History of the Devices
This proposed order applies to HCV antibody assay device for use as
a prescription device as an aid in the diagnosis of HCV infection.
These are prescription devices that are assigned product code MZO. On
August 30, 2001, FDA approved its first HCV antibody test (Ortho-
Clinical Diagnostics, Inc.'s VITROS IMMUNODIAGNOSTIC PRODUCTS ANTI-HCV
REAGENT PACK AND CALIBRATOR) intended for use as a prescription device
as an aid in the diagnosis of HCV infection by a qualified licensed
healthcare professional in conjunction with other relevant clinical and
laboratory findings through its PMA process under section 515 of the
FD&C Act (21 U.S.C. 360e). In a May 22, 2002, Federal Register notice
(67 FR 36009), FDA announced the PMA approval order and the
availability of the Summary of Safety and Effectiveness Data (SSED) for
this device.
Since the first approval order, FDA has approved nine additional
original PMAs for HCV antibody tests that are prescription devices
intended for use as an aid in the diagnosis of HCV infection by a
qualified licensed healthcare professional in conjunction with other
relevant clinical and laboratory findings (hereafter referred to as
``HCV antibody test'').
A review of the medical device reporting databases indicates that
there is a low number of reported events for HCV antibody tests
relative to the number of tests conducted using these devices. Events
reported included false positive results, low test results, false
negative results, unspecified incorrect or inadequate results,
mechanical problems, and leak/splash. As of the date of this proposed
order, FDA is aware of two class III recalls, \2\ two class II recalls,
\3\ and no class I recalls for these devices.\4\ The class II recalls
occurred in 2007 and 2014, and were related to: (1) Sporadic lower than
expected anti-HCV test results, and (2) failure of the instrument to
open (actuate) some reagent packs from certain lots. All recalls have
been resolved and no patient harm has been identified. These facts,
coupled with the low number of reported events, indicate a good safety
record for this device class. These recall events reflect the risks to
health identified in section V below, and FDA believes the special
controls proposed herein, in addition to general controls, can
effectively mitigate the risks identified in these recalls.
---------------------------------------------------------------------------
\2\ Class III recalls are defined in 21 CFR 7.3(m)(3).
\3\ Class II recalls are defined in 21 CFR 7.3(m)(2).
\4\ Class I recalls are defined in 21 CFR 7.3(m)(1).
---------------------------------------------------------------------------
III. Device Description
HCV antibody tests are postamendments prescription devices for the
qualitative detection of HCV and are classified into class III under
section 513(f)(1) of the FD&C Act. HCV antibody tests are described in
FDA's SSEDs and product code database (assigned product code MZO) as
devices for the qualitative detection of antibodies to HCV in human
serum and plasma. HCV antibodies, when present in samples, bind to HCV
antigens to form a complex that is bound to a solid phase (e.g.
microparticles, microtiter plate or else). Detection of the complexes
can be performed using different methods that measure the presence/
absence of HCV antibodies in the sample. HCV antibody tests are
intended for use as aids in the presumptive diagnosis of HCV infection
in persons with signs and symptoms of hepatitis and in persons at risk
of acquiring HCV infection. These devices are not intended for
screening blood, plasma, cell or tissue donors. This proposed order
does not apply to HCV antibody tests that are intended for home use or
over-the-counter use.
FDA is proposing to reclassify HCV antibody tests from class III
(general controls and premarket approval) to class II (general controls
and special controls) and to establish a new name for the device type
that will be within the classification regulation; i.e., hepatitis C
virus (HCV) antibody tests. FDA believes that this name and proposed
identification language most accurately describes these devices. An HCV
antibody test is tentatively identified as a device intended for use
with human serum, plasma, or other matrices as a prescription device
that aids in the diagnosis of HCV infection in persons with signs and
symptoms of hepatitis and in persons at risk for hepatitis C infection.
The test is intended as an aid in the diagnosis of HCV infection in
specified populations, and/or as an aid in the management of HCV-
infected patients including guiding the selection of genotype-specific
treatment in individuals with chronic HCV infection. The test is not
intended for screening blood, plasma, cell, or tissue donors.
Based upon our review experience and consistent with the FD&C Act
and FDA's regulations in 21 CFR 860.134, FDA believes that these
devices should be reclassified from class III into class II with
special controls because there is sufficient information to establish
special controls that, along with general controls, can provide
reasonable assurance of the devices' safety and effectiveness.
IV. Proposed Reclassification
FDA is proposing to reclassify HCV antibody tests. On March 22,
2018, FDA held a public meeting of the Microbiology Devices Panel
(Panel) of the Medical Devices Advisory Committee convened to discuss
and make recommendations regarding the reclassification of HCV antibody
tests from class III (general controls and premarket approval) into
class II (general controls and special controls) (Ref. 1). Panel
members unanimously agreed that special controls, in addition to
general controls, are necessary and sufficient to mitigate the risks to
health of patients presented by these devices and to provide reasonable
assurance of the safety and effectiveness of these devices (Ref. 2). In
addition, Panel members generally agreed with the development of
special controls as presented by FDA.
FDA agrees and believes that at this time, sufficient data and
information exist such that the risks identified in section V below can
be mitigated by
[[Page 18493]]
establishing special controls that, together with general controls, can
provide a reasonable assurance of the safety and effectiveness of these
devices and therefore proposes these devices to be reclassified from
class III (general controls and premarket approval) to class II
(general controls and special controls).
In accordance with section 513(f)(3) of the FD&C Act and 21 CFR
part 860, subpart C, FDA is proposing to reclassify postamendments HCV
antibody tests to be renamed ``hepatitis C virus (HCV) antibody
tests,'' from class III into class II. FDA believes that, at this time,
there are sufficient data and information available to FDA through
FDA's accumulated experience with these devices from review submissions
and from published peer-reviewed literature, as well as the
recommendations provided by the Panel, to demonstrate that the proposed
special controls, along with general controls, would effectively
mitigate the risks to health identified in section V below and provide
a reasonable assurance of the safety and effectiveness of these
devices. Absent the special controls identified in this proposed order,
general controls applicable to the device type are insufficient to
provide reasonable assurance of the safety and effectiveness of these
devices. FDA expects that the reclassification of these devices would
enable more manufacturers to develop HCV antibody tests such that
patients would benefit from increased access to safe and effective
tests.
FDA is proposing to create a classification regulation for HCV
antibody tests that will be reclassified from class III to class II.
Under this proposed order, if finalized, HCV antibody tests will be
identified as prescription devices. As such, the prescription device
must satisfy prescription labeling requirements for in vitro diagnostic
products (See 21 CFR 809.10(a)(4) and (b)(5)(ii)). In this proposed
order, if finalized, the Agency has identified the special controls
under section 513(a)(1)(B) of the FD&C Act that, together with general
controls, will provide a reasonable assurance of the safety and
effectiveness for HCV antibody tests.
Section 510(m) of the FD&C Act provides that FDA may exempt a class
II device from the premarket notification requirements under section
510(k) of the FD&C Act if FDA determines that premarket notification is
not necessary to provide reasonable assurance of the safety and
effectiveness of the device. For HCV antibody tests, FDA has determined
that premarket notification is necessary to provide reasonable
assurance of the safety and effectiveness of these devices. Therefore,
FDA does not intend to exempt this proposed class II devices from the
510(k) requirements. If this proposed order is finalized, persons who
intend to market this type of device must submit a 510(k) to FDA and
receive clearance prior to marketing the device.
This proposed order, if finalized, will decrease regulatory burden
on industry, as manufacturers will no longer have to submit a PMA for
these types of devices but can instead submit a 510(k) to the Agency
for review prior to marketing their device. A 510(k) typically results
in a shorter premarket review timeline compared to a PMA, which
ultimately provides more timely access of these types of devices to
patients.
In addition, the Agency believes that certain changes could be made
to HCV antibody tests that could significantly affect the safety and
effectiveness of those devices and for which a new 510(k) is likely
required.\5\ Based on FDA's accumulated experience with these devices,
changes that likely could significantly affect the safety and
effectiveness of these devices include, but are not limited to, changes
to critical reagents, changes to final release specifications, and
changes in shelf-life of the device. For more information about when to
submit a new 510(k), manufacturers should refer to FDA's guidance
entitled ``Deciding When to Submit at 510(k) for a Change to an
Existing Device'' (Ref. 3).
---------------------------------------------------------------------------
\5\ See 21 CFR 807.81(a)(3)(i).
---------------------------------------------------------------------------
V. Risks to Health
It is estimated by the Centers for Disease Control and Prevention
that chronic HCV infection in the United States affects at least
between 2.7 and 3.9 million people (Ref. 4). HCV infection can be
asymptomatic, and accordingly, many HCV-infected individuals are
unaware of their HCV infection. Between 20 percent and 30 percent of
patients with acute infection, defined as the first 6 months after
infection, clear the virus spontaneously while the other 70 percent to
80 percent of individuals become chronically infected with HCV (Ref.
5). Later diagnosis can lead to a more severe disease outcome and
premature death among those who are chronically infected (Ref. 6).
Patients who are tested and become aware that they are HCV infected may
modify risk behaviors to prevent transmission to others and can be
referred for treatment.
If left untreated, patients with chronic HCV infection have a
significant risk of developing severe liver disease and/or
hepatocellular cancer. Treatment of chronic HCV is highly effective,
resulting in a sustained virological response (SVR) considered
synonymous with cure. SVR is associated with improved clinical outcome,
and a decrease in HCV-associated mortality (Ref. 7). Therefore,
diagnosis of patients with chronic HCV infection through devices such
as hepatitis C virus antibody tests is essential to ensure that
patients are linked to the appropriate care (Ref. 6).
After consideration of FDA's accumulated experience with these
devices from FDA review submissions, recommendations of the Panel for
the classification of these devices (Ref. 2), and published literature,
FDA has identified the following probable risks to health associated
with HCV Antibody Tests:
Inaccurate interpretation of test results. Inaccurate
interpretation of test results by clinicians may negatively influence
patient management decisions. A reactive test result misinterpreted as
non-reactive may delay or prevent a patient with HCV infection from
being identified and linked to care. Missed identification of patients
with chronic HCV infection could lead to adverse effects on patient
health such as progressive liver disease, cirrhosis and/or
hepatocellular cancer, all of which are known to contribute to patient
morbidity and mortality (Ref. 6). A reactive test incorrectly
interpreted as non-reactive also may contribute to public health risk
by leading to inadvertent transmission of virus by an infected person.
A non-reactive test result incorrectly identified as reactive may
contribute to unnecessary additional patient testing to exclude active
HCV infection or potentially delay diagnosis of alternative causes of
liver disease when present.
Failure of the device to perform as indicated (e.g., false
negative results or false positive results). A false negative test
result due to failure of the device to perform may delay or prevent a
patient with HCV infection from being identified and linked to care.
Missed identification of patients with chronic HCV infection could lead
to adverse effects on patient health such as progressive liver disease,
cirrhosis and/or hepatocellular cancer, all of which are known to
contribute to patient morbidity and mortality (Ref. 6). A false
negative/false non-reactive test result also may contribute to public
health risk by leading to inadvertent transmission of virus by an
infected person. Factors that may cause decreased test sensitivity and/
or an increased rate of false
[[Page 18494]]
negative results include, but are not limited to, the presence of
interfering substances in the sample, acute infection at a stage that
is too early for a device to detect the infection, and antibody
concentrations that are too low to be detected by the device. They also
can be caused by misinterpretation of invalid results as negative. A
false positive test result may contribute to unnecessary additional
patient testing to exclude active HCV infection or potentially delay
diagnosis of alternative causes of liver disease when present. Factors
that may lead to false positive results include device contamination
from positive samples, cross-reactivity with other antibodies, or
misinterpretation of invalid results as positive.
VI. Summary of the Reasons for Reclassification
FDA believes that HCV antibody tests should be reclassified from
class III (general controls and premarket approval) into class II
(general controls and special controls) because special controls, in
addition to general controls, can be established to mitigate the risks
to health identified in section V and provide a reasonable assurance of
the safety and effectiveness of these devices. The proposed special
controls are identified by FDA in section VII.
Taking into account the probable health benefits of the use of
theses device and the nature and known incidence of the risks of the
devices, FDA, on its own initiative, is proposing to reclassify these
postamendments class III devices into class II. FDA believes that, when
used as indicated, HCV antibody tests can provide significant benefits
to clinicians and patients.
FDA's reasons for reclassification are based on the substantial
scientific and medical information available regarding the nature,
complexity, and risks associated with HCV antibody tests in the
identified intended use populations (Ref. 1). The safety and
effectiveness of this device type has become well-established since the
initial approval of the first HCV antibody test for the qualitative
detection of HCV in 2001.
VII. Proposed Special Controls
FDA believes that these devices can be classified into class II
with the establishment of special controls. FDA believes that the
following special controls, together with general controls, will
provide a reasonable assurance of the safety and effectiveness of HCV
antibody tests. Table 1 demonstrates how these proposed special
controls will mitigate each of the identified risks to health in
section V.
The risk of inaccurate interpretation of test results can be
mitigated by special controls requiring certain labeling, including
providing clearly stated warnings and limitations and information on
principles of operation and procedures in performing the test.
Risks associated with the failure of the device to perform as
indicated (e.g., false negative and false positive test results) can be
mitigated through a combination of special controls including certain
labeling requirements, certain design verification and validation
information, and performance studies. Examples of verification and
validation information to be included in the design of the device
includes documentation of performance specifications including
analytical and clinical performance criteria. In addition, design
verification and validation activities must include documentation of a
complete device description, critical reagents, risk analysis
strategies, lot release criteria, stability studies and protocols.
Required statements in labeling can aid in mitigating the failure of
the device to perform as indicated, for example including a statement
that use of the test with specimen types other than those specifically
identified for use with this device may cause inaccurate test results.
Table 1--Risks to Health and Mitigation Measures for HCV Antibody Tests
------------------------------------------------------------------------
Identified risks to health Mitigation measures
------------------------------------------------------------------------
Inaccurate interpretation of Certain labeling warnings, limitations,
test results. and explanation of procedures.
Failure of the device to Certain labeling warnings, limitations,
perform as indicated. and explanation of procedures.
Performance specifications including
analytical and clinical performance
criteria.
Certain design verification and
validation information including
documentation of device description,
critical reagents, risk analysis
strategies, lot release criteria,
stability studies and protocols.
------------------------------------------------------------------------
If this proposed order is finalized, HCV antibody tests will be
reclassified into class II (general controls and special controls) and
would be subject to premarket notification requirements under section
510(k) of the FD&C Act. As discussed below, the intent is for the
reclassification to be codified in 21 CFR 866.3169. Firms submitting a
premarket notification under section 510(k) of the FD&C Act for HCV
antibody tests will be required to comply with the particular
mitigation measures set forth in the special controls. Adherence to the
special controls, in addition to the general controls, is necessary to
provide a reasonable assurance of the safety and effectiveness of these
devices.
VIII. Analysis of Environmental Impact
The Agency has determined under 21 CFR 25.34(b) that this action is
of a type that does not individually or cumulatively have a significant
effect on the human environment. Therefore, neither an environmental
assessment nor an environmental impact statement is required.
IX. Paperwork Reduction Act of 1995
FDA tentatively concludes that this proposed order contains no new
collections of information. Therefore, clearance by the Office of
Management and Budget (OMB) under the Paperwork Reduction Act of 1995
(PRA) (44 U.S.C. 3501-3521) is not required. This proposed order refers
to previously approved FDA collections of information. These
collections of information are subject to review by OMB under the PRA.
The collections of information in 21 CFR part 820 have been approved
under OMB control number 0910-0073; the collections of information in
21 CFR parts 807, subpart E, have been approved under OMB control
number 0910-0120; and the collections of information in 21 CFR parts
801 and 809 have been approved under OMB control number 0910-0485.
X. Codification of Orders
Under section 513(f)(3) of the FD&C Act, FDA may issue final orders
to reclassify devices. FDA will continue to codify classifications and
reclassifications in the Code of Federal Regulations (CFR). Changes
resulting from final orders will appear in the CFR as newly codified
orders. Therefore,
[[Page 18495]]
under section 513(f)(3), in the proposed order, we are proposing to
codify HCV antibody tests in the new 21 CFR 866.3169, under which
certain HCV antibody tests would be reclassified from class III to
class II.
XI. Proposed Effective Date
FDA proposes that any final order based on this proposed order
become effective 30 days after its date of publication in the Federal
Register.
XII. References
The following references marked with an asterisk (*) are on display
at the Dockets Management Staff (see ADDRESSES) and are available for
viewing by interested persons between 9 a.m. and 4 p.m., Monday through
Friday; they also are available electronically at https://www.regulations.gov. References without asterisks are not on public
display at https://www.regulations.gov because they have copyright
restriction. Some may be available at the website address, if listed.
References without asterisks are available for viewing only at the
Dockets Management Staff. FDA has verified the website addresses, as of
the date this document publishes in the Federal Register, but websites
are subject to change over time.
* 1. Executive Summary of the FDA Microbiology Devices Panel
Meeting, March 22, 2018 (available at https://www.fda.gov/media/111502/download).
* 2. Transcript of the FDA Microbiology Devices Panel Meeting, March
22, 2018 (available at https://www.fda.gov/media/119966/download).
* 3. ``Deciding When to Submit a 510(k) for a Change to an Existing
Device--Guidance for Industry and Food and Drug Administration
Staff,'' issued October 25, 2017 (available at https://www.fda.gov/regulatory-information/search-fda-guidance-documents/deciding-when-submit-510k-change-existing-device).
* 4. Department of Health and Human Services--Viral Hepatitis Action
Plan for 2017-2020 (available at https://www.hhs.gov/sites/default/files/National%20Viral%20Hepatitis%20Action%20Plan%202017-2020.pdf).
5. Aisyah, D.N., L. Shallcross, A.J. Hully, et al., ``Assessing
Hepatitis C Spontaneous Clearance and Understanding Associated
Factors--A Systematic Review and Meta-Analysis.'' Journal of Viral
Hepatitis, 25(6): 680-698, 2018.
6. Moorman, A.C., J. Xing, S. Ko, et al., ``Late Diagnosis of
Hepatitis C Virus Infection in the Chronic Hepatitis Cohort Study
(CHeCS): Missed Opportunities for Intervention.'' Hepatology, 61(5):
1479-1484, 2015.
7. Ioannou, G.N., P.K. Green, and K. Berry, ``HCV Eradication
Induced by Direct-Acting Antiviral Agents Reduces the Risk of
Hepatocellular Carcinoma.'' Journal of Hepatology, 68(1): 25-33,
2018.
List of Subjects in 21 CFR Part 866
Biologics, Laboratories, Medical devices.
Therefore, under the Federal Food, Drug, and Cosmetic Act and under
authority delegated to the Commissioner of Food and Drugs, it is
proposed that 21 CFR part 866 be amended as follows:
PART 866--IMMUNOLOGY AND MICROBIOLOGY DEVICES
0
1. The authority citation for part 866 continues to read as follows:
Authority: 21 U.S.C. 351, 360, 360c, 360e, 360j, 360l, 371.
0
2. Add Sec. 866.3169 to subpart D to read as follows:
Sec. 866.3169 Hepatitis C Virus Antibody Tests.
(a) Identification. A hepatitis C virus (HCV) antibody test is
identified as an in vitro diagnostic device intended for use with human
serum, plasma, or other matrices as a prescription device that aids in
the diagnosis of HCV infection in persons with signs and symptoms of
hepatitis and in persons at risk for hepatitis C infection. The test is
not intended for screening blood, plasma, cell, or tissue donors.
(b) Classification. Class II (special controls). The special
controls for this device are:
(1) The labeling required under 21 CFR 809.10(b) must include:
(i) A prominent statement that the test is not intended for the
screening of blood, plasma, and cell or tissue donors.
(ii) Limitations, which must be updated to reflect current clinical
practice and disease presentation and management. The limitations must
include, but are not limited to, statements that indicate:
(A) When appropriate, the performance characteristics of the test
have not been established in populations of immunocompromised or
immunosuppressed patients or, other special populations where test
performance may be affected.
(B) The detection of HCV antibodies indicates a present or past
infection with hepatitis C virus, but does not differentiate between
acute, chronic, or resolved infection.
(C) The specimen types for which the device has been cleared, and
that use of the test with specimen types other than those specifically
cleared for this device may result in inaccurate test results.
(D) Test results are to be interpreted by qualified licensed
healthcare professionals in conjunction with the individual's clinical
presentation, history, and other laboratory results.
(E) A non-reactive test result may occur early during acute
infection, prior to development of a host antibody response to
infection, or when analyte levels are below the limit of detection of
the test.
(iii) A detailed explanation of the principles of operation and
procedures for performing the test.
(2) Design verification and validation must include the following:
(i) A detailed device description, including all parts that make up
the device, ancillary reagents required but not provided, an
explanation of the device methodology, and design of the antigen(s) and
capture antibody(ies) sequences, rationale for the selected epitope(s),
degree of amino acid sequence conservation of the target, and the
design and nature of all primary, secondary, and subsequent standards
used for calibration.
(ii) Documentation and characterization (e.g., supplier,
determination of identity, and stability) of all critical reagents
(including description of the antigen(s) and capture antibody(ies)),
and protocols for maintaining product integrity throughout its labeled
shelf life.
(iii) Risk analysis and management strategies, such as Failure
Modes Effects Analysis and/or Hazard Analysis and Critical Control
Points summaries and their impact on test performance.
(iv) Final release criteria to be used for manufactured test lots
with appropriate evidence that lots released at the extremes of the
specifications will meet the claimed analytical and clinical
performance characteristics as well as the stability claims.
(v) Stability studies for reagents must include documentation of an
assessment of real-time stability for multiple reagent lots using the
indicated specimen types and must use acceptance criteria that ensure
that analytical and clinical performance characteristics are met when
stability is assigned based on the extremes of the acceptance range.
(vi) All stability protocols, including acceptance criteria.
(vii) Final release test results for each lot used in clinical
studies.
(viii) Multisite reproducibility study that includes the testing of
three independent production lots.
(ix) Analytical performance studies and results for determining the
limit of blank (LoB), limit of detection (LoD), cutoff, precision
(reproducibility) including lot-to-lot and/or instrument-to-instrument
precision, interference, cross reactivity, carry-over, hook effect,
[[Page 18496]]
seroconversion panel testing, matrix equivalency, specimen stability,
reagent stability, and cross-genotype antibody detection sensitivity,
when appropriate.
(x) Analytical sensitivity of the test is the same or better than
that of other cleared or approved tests.
(xi) Detailed documentation of clinical performance testing from a
multisite clinical study. Performance must be analyzed relative to an
FDA cleared or approved HCV antibody test, or a comparator that FDA has
determined is appropriate. This study must be conducted using
appropriate patient samples, with an acceptable number of HCV positive
and negative samples in applicable risk categories. Additional relevant
patient groups must be validated as appropriate. The samples may be a
combination of fresh and repository samples, sourced from
geographically diverse areas. The study designs, including number of
samples tested, must be sufficient to meet the following criteria:
(A) Clinical sensitivity of the test must have a lower bound of the
95 percent confidence interval of greater than or equal to 95 percent.
(B) Clinical specificity of the test must have a lower bound of the
95 percent confidence interval of greater than or equal to 96 percent.
(3) For any HCV antibody test intended for Point of Care (PoC) use,
the following special controls, in addition to those listed in
paragraphs (b)(1) and (2) of this section, apply:
(i) Clinical studies must be conducted at PoC sites.
(ii) Additional labeling must include a brief summary of the
instructions for use that are appropriate for use in a PoC environment.
Dated: March 27, 2020.
Lowell J. Schiller,
Principal Associate Commissioner for Policy.
[FR Doc. 2020-06821 Filed 4-1-20; 8:45 am]
BILLING CODE 4164-01-P