Weeks v. Wyeth, Inc.

120 F. Supp. 3d 1278, 2015 U.S. Dist. LEXIS 100744, 2015 WL 4635176
CourtDistrict Court, M.D. Alabama
DecidedAugust 3, 2015
DocketCase No. 1:10-CV-602-WKW
StatusPublished
Cited by3 cases

This text of 120 F. Supp. 3d 1278 (Weeks v. Wyeth, Inc.) is published on Counsel Stack Legal Research, covering District Court, M.D. Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Weeks v. Wyeth, Inc., 120 F. Supp. 3d 1278, 2015 U.S. Dist. LEXIS 100744, 2015 WL 4635176 (M.D. Ala. 2015).

Opinion

MEMORANDUM OPINION AND ORDER

WILLIAM KEITH WATKINS, Chief Judge.

This action is one in a long line of lawsuits alleging inadequate and illegal conduct on the part of the various pharmaceutical companies that “innovated, made, promoted, and sold” the prescription drug Reglan® or its generic counterpart, Meto-clopramide (“MCP”). (Doc. # 142,' at 1.) Plaintiffs Danny and Vicki Weeks contend that Mr. Weeks ingested MCP in' accordance with a prescription from his treating physician and developed a severe and incurable neurological disorder as a re-suit. The Weeks allege that his diagnosis is the proximate result of Defendants Wyeth, Inc. (“Wyeth”),1 Pfizer, Inc. (“Pfizer”), Schwarz Pharma, Inc. (“Schwarz”),2 Actavis Elizabeth, LLC, (“Actavis”), and Teva Pharmaceuticals USA’s (“Teva”) dissemination of “inaccurate, misleading, materially, incomplete, false and/or otherwise inadequate information” concerning the potential effects of exposure to Re-glan/MCP, (Doc. # 142, at 8.) They bring the following claims against each Defendant: strict liability (Count I); negligence (Count II); breach of implied warranty (Count III); breach of express warranty (Count IV); fraud by misrepresentation (Count V); fraud by concealment, suppression, or omission of material facts (Count VI); failure to adequately warn (Count VII); and loss of consortium (Count VIII).,

Presently before the court is Defendants Teva and Actavis’s (“Generic Defendants”) Motion for Judgment on the Pleadings, in which they argue that the Weeks’s claims against them are preempted by federal law. (Doc. # 191.) The motion has been fully briefed. (Docs.# 191, 194, 197.) Upon consideration of the parties’ arguments, the record, and the relevant case law, the court finds that the Generic Defendants’ motion is due to be granted.

I. JURISDICTION AND VENUE

Subject-matter jurisdiction is proper pursuant to 28 U.S.C. § 1332. The parties do not contest personal jurisdiction or venue.

[1280]*1280II. BACKGROUND

A. Facts

The FDA approved Reglan® in 1980 as a short-term therapy3 for adults suffering from gastroesophageal reflux who did not respond to conventional therapy and to relieve the symptoms associated with acute and recurrent diabetic gastric stasis. Simply put, Reglan® was designed to increase the speed at which food travels through the digestive system. In 1985, pharmaceutical manufacturers began producing MCP — a generic version of Reglan®. MCP is equivalent to Reglan® in all therapeutically relevant aspects, including dosage, strength, and active ingredients.

Mr: Weeks’s physician prescribed’’him MCP in 2007, and he took the drug for approximately two years. In 2009, Mr. Weeks was diagnosed with tardive dys-kinesia (“TD”). TD is a neurological disorder that commonly causes “involuntary, repetitive movements of the extremities, or lip smacking, grimacing, tongue protrusion, teeth grinding, rapid eye movements or blinking, puckering and pursing of the lips, and/or impaired and involuntary movement of the fingers.” (Doc. # 142, at 12.) Mr. Weeks suffers from one or more of these symptoms. At present, there is no known cure for TD, and its effects rarely are reversible.

The Weeks allege that Mr. Weeks’s prolonged ingestion of MCP caused him to develop TD. The active ingredient in MCP works to block the transfer of dopamine within the brain, which in turn causes, the brain to produce. additional dopamine receptors. Ultimately, prolonged MCP ingestion may lead the areas within the brain that control movement to become hypersensitive to dopamine, potentially resulting -in the development of a neurological movement disorder. “Studies have shown that up to 29% of patients who take [MCP] for several years develop [TD].” PLIVA, Inc. v. Mensing, — U.S. -, 131 S.Ct. 2567, 2572, 180 L.Ed.2d 580 (2011).

In the Amended Complaint, the Weeks allege that Defendants had actual knowledge that the risk of developing TD or another neurological side effect from long-term use of Reglan® or, MCP was “approximately 100 times greater” than the risk that Defendants disclosed to medical professionals. (Doc. ,# 142, at 13.) . The Weeks contend that Defendants failed to warn doctors and patients of the risks associated with long-term use and even “encouraged long term use of the drug,” concealing the drug’s “true, risks and the true prevalence of side effects.” (Doc. # 142, at 13.) The Weeks assert that, had Mr. Weeks’s treating physician been warned of the true risks of MCP, he would have adjusted the prescription to avoid the risks associated with long-term use or not prescribed the drug at all.

B. Procedural History

This case has a lengthy and complex procedural history. The Weeks initially brought suit in July 2010. The Brand-Name Defendants4 responded with a motion to dismiss. In the motion, they argued that Mr. Weeks only ingested the generic MCP, and accordingly, the Weeks could not maintain products-liability claims against them as the manufacturers and sellers of Reglan®. On March 31, 2011, the Brand-Name Defendants’ motion to dismiss was granted in part,and denied in part. The court held that to the extent the Weeks were seeking “to' argue- that the Brand-Name Defendants owed Mr. Weeks a duty to disclose information either 'about Reglan or .generic MCP, the Weeks’s [1281]*1281claims must fail.” (Doc. # 86, at 6.) However, it was determined that the Brand-Name Defendants had not carried their burden of persuading the court that the Brand-Name Defendants did not. owe a duty to disclose information about Re-glan® to Mr. Weeks’s prescribing physician.

Shortly after it was determined that the Weeks’s claims would withstand, the motion to dismiss, the Brand-Name Defendants moved to stay the action to allow the Eleventh Circuit to issue its opinion in Simpson v. Wyeth, Inc., No. 11-11197 (11th Cir.). The Brand-Name Defendants argued that Simpson presented the same issue existing in this case — “namely, whether brand-name drug manufacturers can be held liable for harm caused by a generic product manufactured and distributed by an unrelated generic manufacturer. (Doc. # 87, at 1.) The Weeks opposed the stay and moved to amend their complaint. On April 14, 2011, the motion to stay was denied.

In response to the denial, the Brand-Name Defendants moved the court to certify the unresolved question to the Alabama Supreme Court. On August 25, 2011, the court granted the motion and certified the following question to the Supreme Court of Alabama: “Under, Alabama law, may a drug company be held liable for fraud or misrepresentation (by misstatement or omission), based on statements it made in connection with the manufacture or distribution of a brand-name drug, by a plaintiff claiming physical injury from a generic drug manufactured and distributed by a different company?” (Doc, # 117.)

Before the Alabama Supreme Court responded to the certification request, the Generic Defendants filed a motion to dismiss and a response in opposition to the Weeks’s motion to amend their complaint. They argued that the recent Supreme Court decision in PLIVA, Inc. v. Mensing, — U.S. -, 131 S.Ct.

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Bluebook (online)
120 F. Supp. 3d 1278, 2015 U.S. Dist. LEXIS 100744, 2015 WL 4635176, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weeks-v-wyeth-inc-almd-2015.