Pockets of Weakness in Strong Institutions: Post-Marketing Regulation, Psychopharmaceutical Drugs, and Medical Autonomy, 1938–1982

IF 0.5 3区 社会学 Q4 POLITICAL SCIENCE
Herschel Nachlis
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引用次数: 5

Abstract

A central question in the study of health politics and policy is the degree to which the state can shape American medicine. This long-standing debate began amid early battles over health insurance and continues through the contemporary opioid epidemic. Unlike recent and post–Affordable Care Act claims emphasizing the federal government's strong ability to intervene in healthcare marketplaces, this article supports claims of medicine's autonomy from political intervention, drawing on an extensive analysis of recurrent, halting, and largely unsuccessful efforts to regulate popular psychopharmaceutical drugs from the 1940s through the 1980s. I first develop an account of a “pocket of weakness,” the post-marketing pharmaceutical regulatory process, in an otherwise strong institution, the Food and Drug Administration (FDA). I then demonstrate how this regulatory structure, interacting with policymakers’ incentives, caused constrained responses, inaction, and drift. Amid concerns about misuse, overuse, abuse, side effects, and addiction, regulators and legislators found it difficult to restrict access to or disincentivize the prescription and consumption of problematic therapeutics, in spite of their varied and repeated regulatory efforts. This elaboration of a pocket of weakness has important theoretical implications for historical institutionalist scholarship that principally focuses on state strength. This account also has substantive implications for scholarship on health politics and policy, mental health treatment, and the political causes of medicalization, and can help explain the opioid epidemic's emergence, potential trajectory, and circumscribed solution set.
强大机构中的弱点:上市后监管、精神药物和医疗自主,1938-1982
健康政治和政策研究的一个核心问题是国家在多大程度上可以塑造美国医学。这场旷日持久的辩论始于早期关于医疗保险的斗争,并一直持续到当代阿片类药物的流行。与最近和后《平价医疗法案》强调联邦政府干预医疗保健市场的强大能力不同,这篇文章支持医学从政治干预中自主的主张,对20世纪40年代至80年代监管流行精神药物的反复、停滞和基本上不成功的努力进行了广泛分析。我首先在一个强大的机构,美国食品药品监督管理局(FDA),对“弱点”,即上市后的药品监管过程进行了描述。然后,我展示了这种监管结构如何与政策制定者的激励措施相互作用,导致反应受限、无所作为和漂移。在对滥用、过度使用、滥用、副作用和成瘾的担忧中,监管机构和立法者发现,尽管他们做出了各种各样和反复的监管努力,但很难限制获得或抑制有问题的治疗方法的处方和消费。这种对弱点的阐述对主要关注国家实力的历史制度主义学术具有重要的理论意义。这一描述也对健康政治和政策、心理健康治疗以及医学化的政治原因等方面的学术研究具有实质性意义,并有助于解释阿片类药物流行的出现、潜在轨迹和限定的解决方案集。
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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来源期刊
CiteScore
1.30
自引率
12.50%
发文量
21
期刊介绍: Studies in American Political Development (SAPD) publishes scholarship on political change and institutional development in the United States from a variety of theoretical viewpoints. Articles focus on governmental institutions over time and on their social, economic and cultural setting. In-depth presentation in a longer format allows contributors to elaborate on the complex patterns of state-society relations. SAPD encourages an interdisciplinary approach and recognizes the value of comparative perspectives.
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