Transcript Slide 1

Drug Safety –Perspectives on
Industry’s Duties in the PostVioxx Age
Food & Drug Law Institute
Annual Conference
Washington, D.C.
April 22, 2009
Michael A. Swit, Esq.
Vice President
Standard Disclaimers
 Views expressed here are solely mine and do not
reflect those of my firm or any of its clients.
 This presentation supports an oral briefing and
should not be relied upon solely on its own to
support any conclusion of law or fact.
A New Paradigm? … or Is Ignorance Bliss? …
A View on Safety & Corporate Duty
 Has the “bar been raised” by what has been reported about
corporate handling of drug safety since Sept. 30, 2004?
 My view – YES.
 A key issue today -- Do you have a duty to investigate
even in the absence of any indicia of a problem?
 Answer – Yes … and let me tell you why …
Duties Under the Federal Food, Drug,
and Cosmetic Act
 U.S. v. Park –responsible corporate agents in a position
to prevent a violation can be criminally liable for FDA
violations even w/o intent or knowledge.
 “Positive” duty to seek out potential violations
 “Positive” duty to implement measures to ensure
violations will not occur
Duties Under General Corporate Law
 Delaware law – must have an adequate compliance
program to prevent violations and probe to ensure
violations do not occur – Caremark (1996)
 In considering a board’s potential liability for failure to monitor,
the court emphasized the importance of a board exercising “a
good faith judgment that the corporation’s information and
reporting system is in concept and design adequate to assure the
board that appropriate information will come to its attention in
a timely manner as a matter of ordinary operations .”
Duties Under Corporate Law …
 McCall (2001): Columbia/HCA shareholder derivative
action against board members;
 Directors lose protection of “business judgment” rule and are
personally liable for failure to detect and correct violations
 Board’s duty of care breached through nonfeasance: failure to
investigate items from internal audit
 Abbott – similar result relative to failure to act on GMP
problems
Duties Under Sarbanes-Oxley
 No overt duty to investigate corporate problems;
however, under SOX, multiple duties on a company to
have adequate procedures to ensure accuracy of public
reports
 Question – how can you know if your financial reports
are accurate if you don’t know the status of the licenses –
whether an NDA, BLA, ANDA, etc. – supporting your
key products?
 Answer – duty to probe into the future of those licenses
So, What Do You Do?
Some Ideas
Not Recommended
A “Guidant” Style Independent
Review Group
 Guidant’s Independent Panel – recommended a permanent
outside panel to review adverse events
 Does this create a new standard for corporate action?
 Not clear, but do we want to have the plaintiffs bar cite its
absence?
 Look at your product line – if your products are such that
failure is likely to trigger Class I recall, consider strongly
The Product Dossier &
Development Audit
 Comprehensive review of applications (pending or
approved) –triaged on criteria based on risk
 Goal –
 What did we know?
 When did we know it?
 What did we do about it?
 Was what we did about it consistent with
benefit/risk?
 Do we need to take additional action?
 If so, what is best to protect public health?
Thoughts on Guidances &
Other Actions FDA Should Take
on Drug Safety
Transparency on REMS – Continue to
Disseminate Information on Approved REMS
http://www.fda.gov/cder/drug/DrugSafety/REMS.htm
What FDA Can Do on Drug Safety
 Inspect and Enforce
 Put fear of Wiley in industry
 Home and abroad
 But, be careful in selecting borderline cases – Balanced and Consisten
 Challenge – resources – human and financial
 More guidance – are they needed?
 Current “Drug Safety” Guidances:
 Conducting a Clinical Safety Review of a New Product Application and
Preparing a Report on the Review [HTML] or [PDF] Final 2/2005
 Drug-Induced Liver Injury: Premarketing Clinical Evaluation [PDF] or
[HTML] Draft 10/24/2007
 Drug Safety Information - FDA's Communication to the Public [PDF] or
[HTML] Federal Register Notice [TXT] [PDF] Final 3/2/2007
 However – many other guidances clearly relate to Drug Safety
Lingering Questions
 How will FDA communicate its views of appropriate Risk
Management beyond publishing information on specific
implemented REMS?
 Where is FDA on fully implementing the CGMPs for the
21st Century Initiative?
 How else can industry learn that vigorous compliance is the
best insurance on drug safety issues and good business
practices?
A Side Note on Products Liability
and Drug Safety
Wyeth v. Levine
 Take home message – “logical result” – any doubt, submit a Changes
Being Effected (CBE) supplement
 But – will that lead to over warning?
 Are more warnings the answer? Do we have any empirical data that
more warnings improve patient outcomes?
 Boxed warnings?
 Multiple warnings?
 Access to Clinical Trial Results Databases
 On latter, does it emasculate whatever is left of the Learned Intermediary
Doctrine?
 How possible – too much information to digest; physician can’t keep up; thus,
less learned
 Don’t know the answers, but these bear examination
Ancient Chinese Curse
May You Live In Interesting Times …
(possibly an ancient Chinese Curse)
Questions?
Call, e-mail, fax or write:
Michael A. Swit, Esq.
Vice President
The Weinberg Group Inc.
336 North Coast Hwy. 101
Suite C
Encinitas, CA 92024
Phone 760.633.3343
Fax 760.454.2979
Cell 760.815.4762
[email protected]
www.weinberggroup.com
About your speaker…
Michael A. Swit, Esq., is a Vice President at THE WEINBERG GROUP, where he develops and ensures the
execution of a broad array of regulatory and other services to drug and biologics clients seeking to market products in
the United States. His expertise includes FDA development strategies, compliance and enforcement initiatives, recalls
and crisis management, submissions and related traditional FDA regulatory activities, labeling and advertising, and
clinical research efforts.
Mr. Swit has been addressing critical FDA legal and regulatory issues since 1984. His multi-faceted experience
includes serving for three and a half years as corporate vice president, general counsel and secretary of Par
Pharmaceutical, a prominent, publicly-traded, generic drug company and, thus, he brings an industry and commercial
perspective to his work with FDA-regulated companies. Mr. Swit then served for over four years as CEO of
FDANews.com, a premier publisher of FDA regulatory newsletters and other specialty information products for the
FDA-regulated community. His private FDA regulatory law practice has included service as Special Counsel in the
FDA Law Practice Group in the San Diego office of Heller Ehrman White & McAuliffe and with the Food & Drug
Law practice at McKenna & Cuneo, both in the firm’s Washington office and later in San Diego. He first practiced
FDA regulatory law with the D.C. office of Burditt & Radzius.
Mr. Swit has taught and written on a wide variety of subjects relating to FDA law, regulation and related commercial
activities, including, since 1989, co-directing a three-day intensive course on the generic drug approval process and
editing a guide to the generic drug approval process, Getting Your Generic Drug Approved. A former member of the
Food & Drug Law Journal Editorial Board, he also has been a prominent speaker at numerous conferences sponsored
by such organizations as RAPS, FDLI, and DIA. A magna cum laude graduate of Bowdoin College, he received his
law degree from Emory University Law School and is a member of the California, D.C. and Virginia bars.