Mulligan v. Impax Laboratories, Inc.

36 F. Supp. 3d 942, 2014 WL 1569246
CourtDistrict Court, N.D. California
DecidedApril 18, 2014
DocketNo. C-13-1037 EMC; No. C-13-1566 EMC
StatusPublished
Cited by14 cases

This text of 36 F. Supp. 3d 942 (Mulligan v. Impax Laboratories, Inc.) is published on Counsel Stack Legal Research, covering District Court, N.D. California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mulligan v. Impax Laboratories, Inc., 36 F. Supp. 3d 942, 2014 WL 1569246 (N.D. Cal. 2014).

Opinion

(Docket No. 66)

ORDER DENYING DEFENDANTS’ MOTION TO DISMISS CLASS COMPLAINT

EDWARD M. CHEN, United States District Judge

I. INTRODUCTION

Plaintiffs Boilermaker-Blacksmith National Pension Trust and Haverhill Retirement System (“Plaintiffs”) have filed the instant securities class action alleging that Defendant Impax Laboratories (“Impax”) and its CEO (Larry Hsu) and CFO (Arthur Koch) made false and misleading material statements. These statements pertained to Impax’s response to various FDA notices and warnings regarding problems in the manufacturing and quality control processes at Impax’s manufacturing facility. Specifically, Plaintiffs allege that Defendants failed to disclose the true nature of the problems present in the facility and misrepresented the scope, nature, and efficacy of the remediation efforts made in response to the FDA warnings. Defendants have moved to dismiss on a number of grounds, including: (1) that the alleged misstatements are protected- under the Private Securities Litigation Reform Act’s (“PSLRA”) safe harbor provision for forward looking statements, (2) that they constitute “mere puffery,” and (3) that there [947]*947are insufficient allegations suggesting that the statements were false when made. Finally, Defendants argue that the-Plaintiffs’ allegations fail to give rise to a “strong inference” of scienter as required. The Court DENIES Defendants’ motion to dismiss.

II. FACTUAL & PROCEDURAL BACKGROUND

Defendant Impax Laboratories is a pharmaceutical company that “engages in the development, manufacture, and marketing of bio-equivalent pharmaceutical products referred to as generics as well as branded products.” First Amended Complaint (“FAC”) ¶2. Impax maintains a manufacturing facility in Hayward, California. Id.

A. FDA Inspection and Noncompliance Procedures

The Food and Drug Administration (“FDA”) is statutorily required to inspect all manufacturing facilities such as Impax’s Hayward facility every two years, but given a lack of resources, the FDA has prioritized certain facilities over others. Id. ¶ 37. The purpose of these inspections is to ensure that the facility is in compliance with applicable laws and to “ensure[ ] the quality of drug products by carefully monitoring drug manufacturers’ compliance with the FDA’s Current Good Manufacturing Practice (‘cGMP’) regulations.” Id. ¶ 35, 36. cGMP regulations constitute “minimum requirements for the methods, facilities, and controls used in manufacturing, processing, and packaging of a drug product.” Id. ¶ 36 (citation omitted).

Plaintiffs First Amended Complaint contains a voluminous description of the inspection process and procedures the FDA employs where a manufacturing facility is found to not be in noncompliance with cGMP. The Court need not recount the entire discussion on this point. Relevant for purposes of the instant motion, Plaintiff alleges that trained FDA “investigators tour facilities, accompanied at all times by the inspected company’s staff, and cite factual observations of significant deviations from the” statutes the FDA enforces. Id. ¶42. These deviations are recorded in a “Form 483” which is presented and explained to the company’s management. Id. A Form 483 is intended for use in “notifying the inspected establishment’s top management in writing of signiñcant objectionable conditions, relating to products and/or processes” observed during the inspection. ,M ¶ 44 (citation omitted). While the investigators may note whether an observation is recurring/not-correctéd, it need not do so. Id. Investigators then draft an Establishment Inspection Report (“EIR”) which contains more detail than a Form 483 and may contain additional objectionable conditions in the manufacturing facility than those listed in the Form 483. Id. ¶ 43. Management of a company that receives a Form 483 has an opportunity to provide written responses to the FDA. Id. '¶46. If the FDA finds a company’s responses to a Form 483 to be inadequate, it may issue a Warning Letter. Id.

Plaintiffs provide the following definition of a “Warning Letter” (emphases in original):

A Warning Letter is a correspondence that notifies regulated industry about violations that FDA has documented during its inspections or investigations. Typically, a Warning Letter notifies a responsible individual or firm that the Agency considers one or more products, practices, processes, or other activities to be in violation of the Federal Food, Drug, and Cosmetic Act (the Act), its implementing regulations and other federal statutes. Warning Letters should [948]*948only be issued for violations of regulatory significance, i.e., those that may actually lead to an enforcement action if the documented violations are not promptly and adequately corrected. A Warning Letter is one of the Agency’s principal means of achieving prompt voluntary compliance with the Act.

Id. ¶ 47 (quoting FDA, Regulatory Procedures Manual 4.1 (2012)). Prior to issuing a Warning Letter, the FDA considers: (1) The company’s compliance history; (2) the nature of the violation at issue; and (3) the overall adequacy of the firm’s corrective action. Id. The FDA’s policy states that a Warning Letter “should not be issued if the agency concludes that a firm’s corrective actions are adequate and that the violations that would have supported the letter have been corrected.” Id. (citation omitted).

B. FDA Inspections, Form I88s, and Warning Letter Regarding Impax’s Hayward Facility

1. 2009, 2010, and 2011 FDA Inspections and Form I83s

In 2009, two FDA inspectors inspected Impax’s Hayward facility between July 27 and August 7, 2009. Id. ¶ 55. They presented Impax’s VP of Regulatory Affairs & Compliance (Mr. Mark Shaw) a Form 483 which enumerated four categories of deficiencies, supported by observations of nine specific events. Id. These four categories of deficiencies were:

(1) the “quality system, for failure to investigate root causes of out of specification (‘OOS’) events;
(2) facilities and equipment, for failure to validate (e.g., investigate and justify) standards Impax set for cleaning;
(3) laboratory systems, for failure to update weight calibration and for three instances of failure to note in data notebooks that certain retesting samples emanated from a particular sample that failed; and
(4)production systems, for failure to stop operations and investigate when product powder “was flowing in a steady stream’ outside of the plastic enclosure on a piece of equipment.”

Id. The FAC alleges two specific occasions where product was erroneously packaged and Impax failed to document the root cause of these deviations were contained in the 2009 Form 493 — “failure to document the probable root cause for product erroneously packaged without desiccant on two occasions or to document the probable root cause related to that deviation’s impact on product quality.” Id. ¶ 52(a) (emphasis omitted)

Between April 7, 2010 and April 22, 2010, three different FDA inspectors toured Impax’s Hayward facility. Id. ¶ 57.

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Bluebook (online)
36 F. Supp. 3d 942, 2014 WL 1569246, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mulligan-v-impax-laboratories-inc-cand-2014.