American Home Products Corporation v. Finch

303 F. Supp. 448, 1969 U.S. Dist. LEXIS 10316
CourtDistrict Court, D. Delaware
DecidedAugust 18, 1969
DocketCiv. A. 3744
StatusPublished
Cited by9 cases

This text of 303 F. Supp. 448 (American Home Products Corporation v. Finch) is published on Counsel Stack Legal Research, covering District Court, D. Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
American Home Products Corporation v. Finch, 303 F. Supp. 448, 1969 U.S. Dist. LEXIS 10316 (D. Del. 1969).

Opinion

FINDINGS OF FACT, CONCLUSIONS OF LAW AND ORDER

LATCHUM, District Judge.

This action arises under the Federal Food, Drug and Cosmetic Act. Plaintiff, a manufacturer of certain antibiotic drugs, on July 9, 1969, filed a complaint and motion seeking a preliminary injunction and other relief to stay the defendants’ implementation, pending a hearing, of certain orders, the effect of which was to require the plaintiff to recall its drugs from the market by July 23, 1969. On July 16, 1969, the defendants filed affidavits in opposition to plaintiff’s motion for injunctive relief and moved to dismiss the complaint or alternatively for summary judgment. The matter came on for hearing on July 22, 1969, at which time the defendants were temporarily restrained from enforcing the orders of defendants pending further order, findings and decision of this Court.

On the basis of the record before this Court, the following findings of fact and conclusions of law are made and entered:

FINDINGS OF FACT

1. Plaintiff is a Delaware corporation and the defendants, Robert H. Finch and Herbert L. Ley, Jr., are, respectively, the Secretary (the “Secretary”) of Health, Education and Welfare and the Commissioner (the “Com *450 missioner”) of the Food and Drug Administration (“FDA”).

2. The plaintiff, through its subsidiaries and divisions, manufactures and markets certain prescription antibiotic drugs (“plaintiff’s drugs”):

(a) Wycillin SM Injection 400 and Wycillin SM Injection 600, each of which contains as its active ingredients procaine penicillin G and streptomycin sulfate.
(b) Bicillimycin All-Purpose Injection, which contains as its active ingredients benzathine penicillin G, potassium penicillin G, procaine penicillin G, and streptomycin sulfate.
(c) Bicillin-Sulfas, Suspension and Tablets, each of which contains as its active ingredients benzathine penicillin G, sulfadiazine, sulfamerazine, and sulfamethazine.
(d) Pen-Vee Sulfas, Suspension and Tablets, each of which contains as its active ingredients phenoxymethyl penicillin, sulfadiazine, and sulfamerazine.

3. Pursuant to § 507 (a) of the Food, Drug and Cosmetic Act (“the Act”), 21 U.S.C. § 357(a), which was applicable only to penicillin when first enacted in 1945 and which was later amended in 1947 to include streptomycin, and regulations contained in part 146a of 21 CFR establishing standards of identity, strength, purity and quality for plaintiff’s products, FDA has certified batches of each of plaintiff’s products to be safe and effective for the uses indicated in its labeling (including “package inserts”) for periods beginning in 1954, 1953, 1952, and 1956, respectively, in the sequence as listed in paragraph 2.

4. A total of 569 batches have been so certified, 1 each certification representing a determination by the Commissioner that the drug certified is safe and effective. The last such certification, involving a batch of Bicillin-Sulfas, Suspension, was on April 23, 1969.

5. In 1962 Congress amended §§ 505 and 507 of the Act. Section 505 (21 U.S.C. § 355) requires manufacturers of “new drugs”, other than antibiotics covered by § 507, to file with FDA a new drug application. The 1962 amendments required for the first time that new drug applications be supported by “substantial evidence” of their efficacy. Section 507 was amended to expand its coverage to include “other antibiotics” than those previously specified therein (which specification included penicillin and streptomycin), to add a definition of “antibiotic”, to impose certain reporting requirements, and to provide for the possible future coverage under § 507 of “other antibiotics” previously covered under § 505. The certification provisions of § 507(a), however, pursuant to which plaintiff’s products had been continuously certified as effective and safe, were not amended.

6. In 1966 the then Commissioner undertook to evaluate the efficacy of all drugs, marketed under new drug applications which became effective between 1938 and October 10, 1962, under § 505 as safe and to re-evaluate the efficacy of antibiotic drugs previously certified as safe and effective pursuant to § 507, including plaintiff’s drugs, and contracted with the National Academy of Sciences — National Research Council to conduct said evaluation and re-evaluation.

7. On October 6, 1966, the Commissioner caused to be published in the Federal Register an order requiring manufacturers of drugs certified pursuant to § 507 to submit certain data to FDA within thirty days, such data to be utilized in connection with the NAS/NRC drug review aforementioned. 2 Plaintiff complied with this re *451 quest on October 31, 1966 with respect to its products involved in this case, without, however, waiving its right to dispute the authority of FDA to require the submission of such data for such purpose.

8. Defendants received the NAS/ NRC’s reports on plaintiff’s drugs in or about September, 1968. The reports concluded that plaintiff’s penicillin-streptomycin products were “ineffective as fixed combinations”. The basis of such conclusions appears to be a determination that plaintiff’s drugs are not relatively more effective than their individual components used separately, or than other antibiotics.

9. The reports acknowledge that simultaneous uses of penicillin and streptomycin or penicillin and sulfanomide are effective for certain diseases and infections.

10. Prior to initiation of the NAS/ NRC study, public conferences were held between representatives of NAS/ NRC, FDA, the medical profession and the drug industry, and public statements by FDA representatives were made concerning the then proposed study, and guidelines for the study were laid down. Throughout these conferences and until December 24, 1968, plaintiff had no reason to believe that a finding of “ineffective as a fixed combination” would be made. Rather, plaintiff was led to believe that findings would be limited to “effective, probably effective, possibly effective, or ineffective”. Plaintiff was not informed until April 2, 1969 that the evidence upon which FDA had certified its drugs for many years was inadequate, or that long clinical experience with a drug would not be considered important evidence of efficacy — that is, of substantially equivalent weight as the type of controlled clinical studies now required in respect of new drugs. In addition, it had some reason to believe, until April 2, 1969, that a hearing would be held before any drug was removed from the market by FDA for lack of evidence of efficacy.

11. On April 2, 1969, at least six months after receiving NAS/NRC’s reports, the Commissioner caused to be published in the Federal Register (34 Fed.Reg. 6006-07) notices of intention to amend FDA regulations so as to delete plaintiff's products from the list of drugs acceptable for certification pursuant to § 507.

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Bluebook (online)
303 F. Supp. 448, 1969 U.S. Dist. LEXIS 10316, Counsel Stack Legal Research, https://law.counselstack.com/opinion/american-home-products-corporation-v-finch-ded-1969.