Reassessing the Regulation of High-Risk Medical Device Cases

R. Rabin, A. Picard
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引用次数: 2

Abstract

In 1976, Congress enacted the Medical Device Amendments (MDA), plugging a gap between regulation of prescription drugs, which were subjected to a premarket protocol aimed at assuring safety and efficacy, and medical devices, which were solely monitored for adulteration and misbranding after distribution in the marketplace. Class III devices “usually sustain or support life, are implanted, or present potential unreasonable risk of illness or injury;” they represent the remaining 10% of medical devices and include devices like pacemakers, breast implants, and intrauterine devices. Only Class III devices are required to go through the premarket approval process (PMA)—a process that requires clinical data. In a leading case on the preemption of tort claims, Riegel v. Medtronic, Inc., 552 U.S. 312 (2008), the U.S. Supreme Court had occasion to review the rigor of PMA premarketing oversight and concluded that it was indeed notable for its scrupulousness. On average, the Court noted, the FDA spent 1,200 hours reviewing an application, which included reports of every study and investigation of the device, a description of component parts, samples of products, a specimen of the proposed labeling, and descriptions of the production, manufacturing, packaging, and installation methods. As part of the PMA process, the FDA had discretion to bring in a panel of outside experts and could request more information or data from the manufacturer. Viewing the process through this lens, the Court preempted the plaintiff’s tort claim, which was based on failure to adequately warn of the risk that defendant manufacturer’s balloon catheter would rupture during angioplasty surgery—a risk that came to fruition. According to the Court, Section 360k of the MDA—an express preemption clause barring “any requirement…which is different from, or in addition to, any requirement…[under the Act] which relates to the safety or effectiveness of the device….”—was applicable to the claim. A sharp line was drawn between the PMA process in Riegel and FDA’s 510(k) substantial equivalence review, which only subjects a device to a limited form of review to determine whether it is “substantially equivalent” to a preexisting legally marketed device. Twelve years earlier, in Medtronic, Inc., v. Lohr, 552 U.S. 312 (2008), the Supreme Court found substantial equivalence review insufficiently rigorous to preempt tort claims. Taken together, the two decisions seemed to mark out a persuasive boundary between tort claims that would, if allowed, impermissibly re-tread the same ground covered by the agency (via the PMA process), and claims premised on a risk/utility tort process complementary to the once-over-lightly of “substantial equivalence” review. In this Article, Part I probes more deeply into the case for recognizing a safe harbor from tort claims under the existing regime of FDA premarket assessment of high-risk devices. Part II addresses post-market FDA strategies for assessment of product safety. Part III shifts the focal point to tort, revisiting the shadow cast by preemption over tort as a complementary regulatory strategy. Finally, Part IV offers concluding thoughts on the necessity of a fresh look at the regulatory process in action—and reconsideration of how it might be improved in this vital area of health and safety.
对高风险医疗器械案件监管的再评估
1976年,国会颁布了《医疗器械修正案》(MDA),填补了处方药监管和医疗器械监管之间的空白。处方药在上市前必须遵守旨在确保安全性和有效性的协议,而医疗器械在上市后只对掺假和贴错标签进行监管。III类设备“通常维持或支持生命,植入或存在潜在的不合理的疾病或伤害风险”;它们代表了剩余的10%的医疗设备,包括起搏器、乳房植入物和宫内节育器等设备。只有III类器械需要通过上市前批准程序(PMA) -一个需要临床数据的过程。在Riegel v. Medtronic, Inc., 552 U.S. 312(2008)这一侵权索赔优先权的主要案例中,美国最高法院有机会审查PMA上市前监管的严谨性,并得出结论认为PMA确实因其严谨而值得注意。最高法院指出,FDA平均花费1200小时审查一份申请,其中包括对设备的每项研究和调查报告、组件描述、产品样品、拟议标签样本,以及对生产、制造、包装和安装方法的描述。作为PMA程序的一部分,FDA有权引入外部专家小组,并可以要求制造商提供更多信息或数据。从这个角度来看这个过程,法院先发制人地驳回了原告的侵权索赔,原告的侵权索赔是基于未能充分警告被告制造商的球囊导管在血管成形术中破裂的风险——这一风险最终成为现实。根据法院的说法,fda第360k条是一个明确的优先条款,禁止“任何要求……不同于或除了任何要求……[在法案下]与设备的安全性或有效性相关的要求....”——适用于索赔。Riegel的PMA流程与FDA的510(k)实质等同审查之间划清了界限,后者仅对器械进行有限形式的审查,以确定其是否与先前存在的合法上市器械“实质等同”。12年前,在美敦力公司诉Lohr案(552 U.S. 312(2008))中,最高法院认定实质对等审查不足以阻止侵权索赔。综上所述,这两项裁决似乎在侵权索赔和索赔之间划出了一条有说服力的界限,侵权索赔在允许的情况下(通过PMA程序)将不允许重新涉足机构所涵盖的相同领域,而索赔则以风险/效用侵权程序为前提,与曾经过于轻率的“实质等同”审查相辅相成。在本文中,第一部分更深入地探讨了在FDA对高风险器械上市前评估的现行制度下,承认侵权索赔的安全港的案例。第二部分介绍了上市后FDA产品安全性评估策略。第三部分将焦点转移到侵权行为上,重新审视作为一种补充性监管策略的优先购买权对侵权行为所投下的阴影。最后,第四部分总结了对行动中的监管过程重新审视的必要性,并重新考虑如何在健康和安全这一至关重要的领域改进监管过程。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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