98-31902. Regulations Requiring Manufacturers to Assess the Safety and Effectiveness of New Drugs and Biological Products in Pediatric Patients  

  • [Federal Register Volume 63, Number 231 (Wednesday, December 2, 1998)]
    [Rules and Regulations]
    [Pages 66632-66672]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 98-31902]
    
    
    
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    Part II
    
    
    
    
    
    Department of Health and Human Services
    
    
    
    
    
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    Food and Drug Administration
    
    
    
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    21 CFR Parts 201, 312, 314 and 601
    
    
    
    Regulations Requiring Manufacturers to Assess the Safety and 
    Effectiveness of New Drugs and Biological Products in Pediatric 
    Patients; Final Rule
    
    Federal Register / Vol. 63, No. 231 / Wednesday, December 2, 1998 / 
    Rules and Regulations
    
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    DEPARTMENT OF HEALTH AND HUMAN SERVICES
    
    Food and Drug Administration
    
    21 CFR Parts 201, 312, 314, and 601
    
    [Docket No. 97N-0165]
    RIN 0910-AB20
    
    
    Regulations Requiring Manufacturers to Assess the Safety and 
    Effectiveness of New Drugs and Biological Products in Pediatric 
    Patients
    
    AGENCY: Food and Drug Administration, HHS.
    
    ACTION: Final rule.
    
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    SUMMARY: The Food and Drug Administration (FDA) is issuing new 
    regulations requiring pediatric studies of certain new and marketed 
    drug and biological products. Most drugs and biologics have not been 
    adequately tested in the pediatric subpopulation. As a result, product 
    labeling frequently fails to provide directions for safe and effective 
    use in pediatric patients. This rule will partially address the lack of 
    pediatric use information by requiring that manufacturers of certain 
    products provide sufficient data and information to support directions 
    for pediatric use for the claimed indications.
    
    DATES: Effective date. The regulation is effective April 1, 1999.
        Compliance dates. Manufacturers must submit any required 
    assessments of pediatric safety and effectiveness 20 months after the 
    effective date of the rule, unless the assessments are waived or 
    deferred by FDA.
    
    FOR FURTHER INFORMATION CONTACT: Khyati N. Roberts, Center for Drug 
    Evaluation and Research (HFD-103), Food and Drug Administration, 5600 
    Fishers Lane, Rockville, MD 20857, 301-594-6779, or Karen D. Weiss, 
    Center for Biologics Evaluation and Research (HFM-570), Food and Drug 
    Administration, 1401 Rockville Pike, Rockville, MD 20852, 301-827-5093.
    
    SUPPLEMENTARY INFORMATION:
    
    I. Introduction
    
        In the Federal Register of August 15, 1997 (62 FR 43900) 
    (hereinafter referred to as the proposal), FDA proposed to require that 
    manufacturers of certain new and marketed drugs and biologics conduct 
    studies to provide adequate labeling for the use of these products in 
    children. As described in the proposal, children are subject to many of 
    the same diseases as adults, and are, by necessity, often treated with 
    the same drugs and biological products as adults. However, many drugs 
    and biological products marketed in the United States that are or could 
    be used in children are inadequately labeled for use in pediatric 
    patients or for use in specific pediatric subgroups (Refs. 1 and 2). 
    Indeed, many of the drugs and biological products that are widely used 
    in pediatric patients carry disclaimers stating that safety and 
    effectiveness in pediatric patients have not been established (Refs. 2 
    and 3). Safety and effectiveness information for some pediatric age 
    groups is particularly difficult to find. For example, there is almost 
    no information on use in patients under 2 years of age for most drug 
    classes (Ref. 1).
        As described in more detail in the proposal, the absence of 
    pediatric labeling information poses significant risks for children. 
    Inadequate dosing information exposes pediatric patients to the risk of 
    adverse reactions that could be avoided with an appropriate pediatric 
    dose. The lack of pediatric safety information in product labeling 
    exposes pediatric patients to the risk of age-specific adverse 
    reactions unexpected from adult experience. The proposal cited reports 
    of injuries and deaths in children resulting from use of drugs that had 
    not been adequately tested in the pediatric population. The absence of 
    pediatric testing and labeling may also expose pediatric patients to 
    ineffective treatment through underdosing, or may deny pediatric 
    patients therapeutic advances because physicians choose to prescribe 
    existing, less effective medications in the face of insufficient 
    pediatric information about a new medication. Failure to develop a 
    pediatric formulation of a drug or biological product, where younger 
    pediatric populations cannot take the adult formulation, may also deny 
    pediatric patients access to important new therapies, or may require 
    pediatric patients to take the drug in extemporaneous formulations that 
    may be poorly or inconsistently bioavailable.
        The proposed rule described previous steps taken by FDA in recent 
    years to address the problem of inadequate pediatric testing and 
    inadequate pediatric use information in drug and biological product 
    labeling. FDA's Center for Drug Evaluation and Research (CDER) and 
    Center for Biologics Evaluation and Research have implemented a 
    ``Pediatric Plan'' designed to focus attention on, and encourage 
    voluntary development of, pediatric data both during the drug 
    development process and after marketing. In addition, in the Federal 
    Register of December 13, 1994 (59 FR 64240) (hereinafter referred to as 
    the 1994 rule), FDA issued a regulation requiring manufacturers of 
    marketed drugs to survey existing data and determine whether those data 
    were sufficient to support additional pediatric use information in the 
    drug's labeling. Under the 1994 rule, if a manufacturer determines that 
    existing data permit modification of the label's pediatric use 
    information, the manufacturer must submit a supplemental new drug 
    application (NDA) to FDA seeking approval of the labeling change.
        Although the preamble to the 1994 rule recognizes FDA's authority 
    to require drug and biological product manufacturers to conduct 
    pediatric studies on a case-by-case basis, the rule does not impose a 
    general requirement that manufacturers carry out studies when existing 
    information is not sufficient to support pediatric use information. 
    Instead, if there is insufficient information to support a pediatric 
    indication or pediatric use statement, the rule requires the 
    manufacturer to include in the product's labeling the statement: 
    ``Safety and effectiveness in pediatric patients have not been 
    established.''
        The response to the 1994 rule has not substantially addressed the 
    lack of adequate pediatric use information for marketed drugs and 
    biological products. Pediatric labeling supplements were submitted for 
    approximately 430 drugs and biologics, a small fraction of the 
    thousands of prescription drug and biological products on the market. 
    Of the supplements submitted, approximately 75 percent did not 
    significantly improve pediatric use information. Over half of the total 
    supplements submitted simply requested the addition of the statement 
    ``Safety and effectiveness in pediatric patients have not been 
    established.'' Others requested minor wording changes or submitted 
    unorganized, unanalyzed collections of possibly relevant data. 
    Approximately 15 percent (approximately 65) of the supplements provided 
    adequate pediatric information for all relevant pediatric age groups, 
    and another 8 percent (approximately 35) provided adequate pediatric 
    information for some but not all relevant age groups.
        The absence of adequate pediatric use information remains a problem 
    for new drugs and biologics as well as for marketed products. The 
    proposal presented data from 1988 through the 1990's showing that the 
    percentage of new products entering the marketplace with adequate 
    pediatric safety and effectiveness information has not increased in the 
    last decade.
        For example, FDA compared the number of new molecular entities 
    (NME's) approved in 1991 and 1996
    
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    with potential usefulness in pediatric patients and looked at the 
    adequacy of pediatric labeling for those drugs. Fifty-six percent (9/
    17) of the NME's approved in 1991 with potential usefulness in 
    pediatric patients had some pediatric labeling at the time of approval. 
    In 1996, only 37 percent (15/40) of the NME's with potential usefulness 
    in pediatric patients had some pediatric labeling at the time of 
    approval. For both 1991 and 1996, those drugs counted as having 
    pediatric labeling may not have been studied in all age groups in which 
    the drug was potentially useful. The manufacturers of an additional 7 
    of the 1991 drugs and 17 of the 1996 drugs promised to conduct 
    pediatric studies after approval. Since publication of the proposal, 
    figures for 1997 NME's have become available. In 1997, 39 NME's were 
    approved. Twenty-seven had potential usefulness in pediatric patients, 
    and 33 percent of these (9/27) had some pediatric labeling at the time 
    of approval. Postapproval studies were requested or promised for an 
    additional six. It is uncertain how many of the commitments made for 
    postapproval studies of the 1996 and 1997 drugs will result in 
    pediatric labeling. Of the seven NME's approved in 1991 for which 
    sponsors made commitments to conduct postapproval pediatric studies, 
    pediatric labeling has been added to only one. This figure reflects 
    both studies that resulted in positive labeling, i.e., safety and 
    dosing information, and studies that resulted in warnings against 
    pediatric use. It does not reflect studies that failed to provide any 
    useful information about pediatric use or studies that were completed 
    but the sponsor failed to seek a change in its pediatric use labeling.
        These data indicate that voluntary efforts have, thus far, not 
    substantially increased the number of products entering the marketplace 
    with adequate pediatric labeling. FDA has therefore concluded that 
    additional steps are necessary to ensure the safety and effectiveness 
    of drug and biological products for pediatric patients. This rule 
    requires the manufacturers of new and marketed drugs and biological 
    products to evaluate the safety and effectiveness of the products in 
    pediatric patients, if the product is likely to be used in a 
    substantial number of pediatric patients or would provide a meaningful 
    therapeutic benefit to pediatric patients over existing treatments.
        In addition to issuing this rule, FDA has initiated other actions 
    that it hopes will encourage the development of adequate pediatric use 
    information. FDA has issued a draft guidance document entitled 
    ``General Considerations for Pediatric Pharmacokinetic Studies for 
    Drugs and Biological Products'' (November 30, 1998). FDA also plans to 
    develop additional guidance on how to develop effectiveness, safety, 
    and dosing information to support pediatric labeling. The agency also 
    supported a provision in the reauthorized Prescription Drug User Fee 
    Act (PDUFA) eliminating user fees for pediatric supplements to 
    encourage the submission of these supplements.
        Finally, FDA has issued a guidance document entitled ``Providing 
    Clinical Evidence of Effectiveness for Human Drug and Biological 
    Products,'' describing the kinds of studies that can support 
    effectiveness in supplemental or original applications. In that 
    document, FDA provides guidance to manufacturers on the circumstances 
    in which FDA may approve an initial or supplemental claim in which 
    substantiation of the results of an adequate and well-controlled trial 
    is provided by information other than a second adequate and well-
    controlled trial precisely replicating the first trial, or the 
    circumstances in which studies without the extensive documentation 
    ordinarily required could be utilized. This guidance will often be 
    relevant to the data needed to support claims in a pediatric 
    population.
        Since the issuance of the proposal, Congress has enacted a bill 
    that has an impact on pediatric studies of certain drugs. The Food and 
    Drug Administration Modernization Act of 1997 (FDAMA) (Pub. L. 105-115) 
    contains provisions that establish economic incentives for conducting 
    pediatric studies on drugs for which exclusivity or patent protection 
    is available under the Drug Price Competition and Patent Term 
    Restoration Act (Pub. L. 98-417) and the Orphan Drug Act (Pub. L. 97-
    414). These provisions extend by 6 months any existing exclusivity or 
    patent protection on a drug for which FDA has requested pediatric 
    studies and the manufacturer has conducted such studies in accordance 
    with the requirements of FDAMA. FDAMA also specifically recognizes 
    FDA's intention to require pediatric studies by regulation and extends 
    by 6 months any existing exclusivity or patent protection on a drug 
    whose manufacturer submits pediatric studies in compliance with this 
    rule, if the studies meet the completeness, timeliness, and other 
    requirements of section 505A. Under FDAMA, a manufacturer who submits 
    pediatric studies required under this rule may receive a 6-month 
    extension of exclusivity or patent protection granted to the 
    manufacturer for that drug.
        Although FDA expects the exclusivity offered by FDAMA to provide a 
    substantial incentive for sponsors to conduct some pediatric studies, 
    the agency nonetheless believes that this final rule is necessary to 
    significantly increase the number of drug and biological products that 
    have adequate labeling. Certain limitations on the scope and effect of 
    the exclusivity offered by FDAMA are likely to leave significant gaps 
    in pediatric labeling. For example, because FDAMA exclusivity applies 
    only to products that have exclusivity or patent protection under the 
    Drug Price Competition and Patent Term Restoration Act and the Orphan 
    Drug Act, it provides no incentive to conduct studies on certain 
    categories of products, including most antibiotics, biologics, and off-
    patent products.
        In addition, the voluntary nature of the incentive provided by 
    FDAMA is likely to leave many drugs, age groups, and indications 
    unstudied. Given limited resources to conduct pediatric studies, it is 
    probable that manufacturers will elect to conduct pediatric studies 
    preferentially on those drugs for which the incentives are most 
    valuable, i.e., on drugs with the largest sales. This may leave 
    unstudied drugs that are greatly needed to treat pediatric patients, 
    but that have smaller markets. For similar reasons, manufacturers are 
    less likely to seek FDAMA exclusivity by conducting studies on drugs 
    that require studies in neonates, infants, or young children. The 
    youngest pediatric populations are more difficult to study and may 
    require pediatric formulations, making pediatric studies of these 
    groups more expensive, thereby reducing the value of the incentives 
    provided by FDAMA. Thus, where there is a great medical need for data 
    on drugs with relatively small markets or for studies on neonates, 
    infants, or young children, it may be necessary to require the 
    collection of such data, rather than rely on incentives.
        Finally, manufacturers are eligible for FDAMA exclusivity when they 
    submit a study to FDA that is consistent with FDA's written request for 
    such a study. The study results are not required to provide useful 
    information on pediatric use (e.g., the results may be inconclusive), 
    and the sponsor is not required to obtain approval of a supplement 
    adding the information gained in the study to the drug's label. Thus, 
    FDAMA provides no guarantee that the studies conducted under the 
    statute will result in improved pediatric labeling.
    
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        For these reasons, FDA believes that there remains an important 
    need for this rule. FDA has concluded, however, that with respect to 
    already marketed drugs eligible for exclusivity under FDAMA, the 
    publication of the list required by section 505A(b) and the 
    availability of pediatric exclusivity may diminish the need to exercise 
    the agency's authority to require studies. Under the rule, FDA has 
    discretion whether to require studies of marketed drugs (see 
    Sec. 201.23 (21 CFR 201.23)). FDA believes that, in exercising its 
    discretion under Sec. 201.23, it is appropriate to determine whether 
    manufacturers will undertake the needed studies voluntarily. FDA will 
    therefore allow an adequate opportunity for manufacturers voluntarily 
    to submit studies for drugs listed by FDA as having a high priority. 
    If, following such an opportunity, there remain marketed drugs for 
    which studies are needed and the compelling circumstances described in 
    the rule are met, the agency will consider exercising its authority to 
    require studies. With respect to marketed drugs and biologics that are 
    not eligible for exclusivity under FDAMA, FDA intends to exercise its 
    authority to require studies as of the effective date of the rule in 
    the circumstances described in the regulation. FDA emphasizes that the 
    appearance of a drug or biologic on the list published under section 
    505A(b) carries no implication that FDA will require studies on that 
    drug or biologic under this rule. FDA intends to reserve its authority 
    to require studies of marketed drugs and biologics to situations in 
    which the compelling circumstances described in the regulation are 
    present.
        FDA intends to issue further regulations and guidance implementing 
    the pediatric exclusivity provisions of FDAMA, which will, among other 
    things, provide guidance on the interaction of this rule and FDAMA 
    exclusivity.
    
    II. Highlights of the Final Rule
    
        This final rule is designed to ensure that new drugs and biological 
    products contain adequate pediatric labeling for the approved 
    indications at the time of, or soon after, approval. The final rule 
    establishes a presumption that all new drugs and biologics will be 
    studied in pediatric patients, but allows manufacturers to obtain a 
    waiver of the requirement if the product does not represent a 
    meaningful therapeutic benefit over existing treatments for pediatric 
    patients and is not likely to be used in a substantial number of 
    pediatric patients. The rule also authorizes FDA to require pediatric 
    studies of those marketed drugs and biological products that: (1) Are 
    used in a substantial number of pediatric patients for the claimed 
    indications, and where the absence of adequate labeling could pose 
    significant risks; or (2) would provide a meaningful therapeutic 
    benefit over existing treatments for pediatric patients, and the 
    absence of adequate labeling could pose significant risks to pediatric 
    patients.
    
    A. Scope of Rule
    
        The proposed rule would have required an application for a drug 
    classified as a ``new chemical entity'' or a new (never-before-
    approved) biological product to contain safety and effectiveness 
    information on relevant pediatric age groups for the claimed 
    indications. Based upon comments observing that changes in already 
    marketed chemical entities, such as new indications or dosage forms, 
    can have as much or more therapeutic significance for pediatric 
    patients than the original product, the final rule expands the scope of 
    the rule to include new active ingredients, new indications, new dosage 
    forms, new dosing regimens, and new routes of administration for which 
    an applicant seeks approval. The final rule does not, however, require 
    the submission of pediatric data for a drug for an indication or 
    indications for which orphan designation has been granted under section 
    526 of the Federal Food, Drug, and Cosmetic Act (the act) (21 U.S.C. 
    360bb).
    
    B. Types of Studies Needed
    
        As described in the 1994 final rule, gathering adequate data to 
    establish pediatric safety and effectiveness may not require controlled 
    clinical trials in pediatric patients. Where the course of the disease 
    and the product's effects are similar in adults and pediatric patients, 
    FDA may conclude that pediatric safety and effectiveness can be 
    supported by effectiveness data in adults together with additional 
    data, such as dosing, pharmacokinetic, and safety data in pediatric 
    patients. The rule also does not necessarily require separate studies 
    in pediatric patients. In appropriate cases, adequate data may be 
    gathered by including pediatric patients as well as adults in the 
    original studies conducted on the product.
        The specific pediatric information needed in each case will depend 
    on the nature of the application, what is already known about the 
    product in pediatric populations, and the underlying disease or 
    condition being treated. The final rule requires an assessment of 
    safety and effectiveness in pediatric patients only for the indications 
    claimed by the manufacturer. It does not require a manufacturer to 
    study its product for unapproved or unclaimed indications, even if the 
    product is widely used in pediatric patients for those indications. In 
    the proposed rule, the pediatric study requirement for drugs was 
    contained in Sec. 314.50(g) (21 CFR 314.50(g)). In the final rule, the 
    requirement is located in new Sec. 314.55, because Sec. 314.50 does not 
    contain other specific study requirements. The location of the 
    requirement for biological products (Sec. 601.27 (21 CFR 601.27)) 
    remains unchanged in the final rule.
    
    C. Age Groups
    
        The final rule requires pediatric studies in each age group in 
    which the drug or biological product will provide a meaningful 
    therapeutic benefit or will be used in a substantial number of 
    pediatric patients for the indications claimed by the manufacturer. The 
    relevant age groups will, however, be defined flexibly, depending on 
    the pharmacology of the drug or biological product, rather than 
    following the fixed age categories defined in the 1994 rule and 
    identified in the preamble to the proposed rule. For drugs and 
    biological products that offer a meaningful therapeutic benefit, the 
    rule requires manufacturers to develop pediatric formulations, if 
    needed, for those age groups in which studies are required. 
    Manufacturers may, however, avoid this requirement if they demonstrate 
    that reasonable attempts to develop a pediatric formulation have 
    failed.
    
    D. Not-Yet-Approved Products
    
    1. Deferral of Studies Until After Approval
        The final rule permits the submission of pediatric information to 
    be deferred until after approval if there is an adequate justification 
    for deferral, e.g., because pediatric studies should not begin until 
    some safety and/or effectiveness information on adults has been 
    collected, or awaiting the completion of pediatric studies would delay 
    the availability of a product to adults. When trials should begin in 
    particular cases, and whether deferral will be necessary, will depend 
    upon the seriousness of the disease for which the drug or biological 
    product is indicated, the need for the product, the amount of safety 
    and effectiveness data available, and what types of pediatric studies 
    are needed.
        In general, FDA expects that studies of drugs or biological 
    products for diseases that are life threatening in pediatric patients 
    and that lack adequate
    
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    therapy could begin earlier than studies of drugs that are less 
    urgently needed, ordinarily as early as the availability of preliminary 
    safety data in adults (frequently referred to as phase 1 data), even if 
    data from well-controlled studies are not yet available. For less 
    critical drugs and biologics, pediatric studies could ordinarily begin 
    when additional safety and/or effectiveness data from the initial well-
    controlled trials in adults (frequently referred to as phase 2 data) 
    became available. Of course, studies of products for exclusively 
    pediatric diseases ordinarily need not await the development of adult 
    data. The timing of individual pediatric studies will, however, 
    necessarily depend on the specific information available about the 
    product in question. For example, a study of a noncritical drug in 
    adolescents might begin after the initial safety studies in adults, if 
    all the parties involved agreed that initiation was appropriate in 
    light of the results of the adult and animal safety studies.
        In other cases, studies should not begin in pediatric patients 
    until significantly more adult data are collected. For example, FDA 
    does not believe that early study or use in pediatric patients is 
    appropriate for some so-called ``me-too'' drugs that are expected to be 
    widely used but are members of a drug class that already contains an 
    adequate number of approved products with pediatric labeling. Such 
    drugs may not have been shown to provide any benefit over other 
    products in the same class, and may introduce new risks that are not 
    apparent until the drug has been in wide use after marketing. Studies 
    of such drugs will therefore usually be deferred until the safety 
    profiles of the drugs are well established through marketing 
    experience. To encourage use of properly labeled drugs in pediatric 
    patients, FDA may require the pediatric use section of the approved 
    labeling of such a me-too drug to contain a statement recommending 
    preferential use of other drugs that are adequately labeled for 
    pediatric use.
    2. Waiver of the Study Requirement
        The pediatric study requirement applies to all applications for new 
    active ingredients, new indications, new dosage forms, new dosing 
    regimens, and new routes of administration, unless FDA waives the 
    requirement. Under criteria established in the rule, FDA may waive the 
    study requirement for some or all pediatric age groups. The burden is 
    on the sponsor to justify a waiver. A waiver will be granted if the 
    waiver request demonstrates that the product meets both of the 
    following conditions: (1) The product does not represent a meaningful 
    therapeutic benefit for pediatric patients over existing treatments, 
    and (2) the product is not likely to be used in a substantial number of 
    pediatric patients. There was some confusion in the comments on the 
    proposed rule over these waiver criteria. FDA emphasizes that the study 
    requirement applies to a product that offers a meaningful therapeutic 
    benefit even if it is not used in a substantial number of pediatric 
    patients, and vice versa.
        In response to comments, FDA has refined its definitions of 
    ``meaningful therapeutic benefit'' and ``substantial number of 
    pediatric patients.'' To define meaningful therapeutic benefit for both 
    drugs and biologics covered by this rule, FDA has relied, in part, on 
    CDER's current administrative definition of a ``Priority'' drug, 
    applied to pediatric populations. The administrative definition of 
    ``Priority'' products for biologics relies on different criteria (Ref. 
    2). Use of CDER's Priority drug definition to help define ``meaningful 
    therapeutic benefit'' is not intended to affect the administrative 
    definition of a Priority biologic. The Priority classification for 
    drugs is determined based on CDER's estimate, at the time of NDA 
    submission, of a drug's therapeutic, preventive, or diagnostic value. A 
    Priority drug is defined as one that, if approved, would be a 
    significant improvement in the treatment, diagnosis, or prevention of a 
    disease, compared to marketed products approved for that use. In 
    establishing meaningful therapeutic benefit for pediatric use, the 
    comparison will be to other products adequately labeled for use in the 
    relevant pediatric population. If there are no such products, a new 
    product would usually be considered to have a meaningful therapeutic 
    benefit. Improvement over existing products labeled for pediatric use 
    can be demonstrated by, for example: (1) Evidence of increased 
    effectiveness in treatment, prevention, or diagnosis of disease; (2) 
    elimination or substantial reduction of a treatment-limiting drug 
    reaction; (3) documented enhancement of patient compliance; or (4) 
    evidence of safety and effectiveness in a new subpopulation. Evidence 
    of improvement over existing therapies need not in all cases come from 
    head-to-head trials.
        To help ensure that pediatric patients have a sufficient range of 
    treatments available, a product will also be considered to provide a 
    meaningful therapeutic benefit if it is in a class of products or for 
    an indication for which there is a need for additional therapeutic 
    options, notwithstanding the fact that it might not be a priority drug. 
    In contrast to the range of therapies for a given indication often 
    available to adults, there are relatively few instances in which 
    therapeutic alternatives are studied and labeled for pediatric 
    patients. For some diseases, however, it is therapeutically important 
    to have a range of available treatment options, e.g., because there are 
    frequent treatment failures. The Priority definition would cover the 
    first product labeled for pediatric use, but might not cover the second 
    or third product for a given indication or in a given class, if the 
    subsequent product did not offer an advantage over existing therapies. 
    The specific number of products needed will depend upon such factors as 
    the severity of the disease being treated and the adverse reaction 
    profile of existing therapies. FDA will seek further guidance on 
    applying this criterion from a panel of pediatric experts.
        Thus, new products will meet the definition of a meaningful 
    therapeutic benefit if: (1) They provide a significant improvement over 
    existing adequately labeled therapies; or (2) if they are indicated for 
    diseases or conditions, or are in product classes, in which there are 
    currently few products labeled for pediatric use and more therapeutic 
    options are needed. FDA expects that over time, as the number of 
    products adequately labeled for pediatric patients grows, the number of 
    new products meeting the second criterion will diminish. FDA emphasizes 
    that the addition of the second criterion for defining meaningful 
    therapeutic benefit under this final rule is not intended to alter the 
    definition of a Priority drug, and that products meeting the second 
    criterion will not thereby be eligible for Priority status. FDA also 
    notes that the rule's definition of meaningful therapeutic benefit is 
    intended to apply only in the pediatric study context.
        FDA has also revised the proposed definition of ``a substantial 
    number of pediatric patients.'' Many comments argued that the number 
    chosen by FDA in the proposal (100,000 prescriptions per year or 
    100,000 pediatric patients with the disease) was arbitrary. Physician 
    mention data from the IMS National Disease and Therapeutic Index (Ref. 
    38), which tracks the use of drugs by measuring the number of times 
    physicians mention drugs during outpatient visits, shows that pediatric 
    use of drugs is generally grouped in two distinct ranges. Physician 
    mentions of drugs for pediatric use generally fall either below 15,000 
    per year or above 100,000 per year. Few drugs fall within the two 
    ranges. Thus, selecting a cut-off
    
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    for ``substantial number of pediatric patients'' in the middle of the 
    two ranges will provide a reasonable discrimination between products 
    that are widely used and those that are less commonly used, and the 
    specific number chosen will not arbitrarily include or exclude a 
    significant number of drugs. FDA has therefore chosen 50,000 as the 
    cut-off for a substantial number of pediatric patients. Because the 
    number of pediatric patients with the disease or condition is easier to 
    determine than the number of prescriptions per year, a substantial 
    number of pediatric patients will be defined as 50,000 pediatric 
    patients with the disease or condition for which the drug or biological 
    product is indicated. Although physician mentions per year does not 
    correspond exactly to the number of patients with the disease or 
    condition, they provide a rough approximation and the IMS data show 
    that the number of products included or excluded is relatively 
    insensitive to changes in the cut-off chosen. As proposed, a partial 
    waiver for a particular pediatric age group would be available under 
    this method if 15,000 patients in that age group were affected by the 
    disease or condition. This definition of ``a substantial number of 
    pediatric patients'' has not been codified, however, and FDA may modify 
    it, after consulting with a panel of pediatric experts. Any 
    modification will be issued in a guidance document with an opportunity 
    for comment.
        FDA will also waive the pediatric study requirement where: (1) The 
    applicant shows that the required studies on the product are impossible 
    or highly impractical because, for example, the population is too small 
    or geographically dispersed; (2) the product is likely to be unsafe or 
    ineffective in pediatric patients; or (3) reasonable efforts to develop 
    a pediatric formulation (if one is needed) have failed.
        To reduce the burden on manufacturers in applying for waivers and 
    deferrals, FDA intends to issue a guidance document providing a format 
    for a request for waiver or deferral.
    
    E. Marketed Products
    
        The final rule is also intended to improve pediatric use 
    information for already marketed drugs and biological products. The 
    rule codifies FDA's authority, discussed in the 1994 rule, to require, 
    in the compelling circumstances described in the regulation, that 
    manufacturers of already marketed drugs and biological products conduct 
    studies to support pediatric-use labeling for the claimed indications. 
    The criteria for requiring studies of marketed products have been 
    revised slightly in response to comments.
    
    F. Early Discussions and Pre- and Postmarket Reports
    
        The final rule contains provisions designed to encourage 
    discussions of the need for pediatric studies early in the drug 
    development process, as well as pre- and postmarketing reporting 
    requirements designed to assist FDA in determining whether pediatric 
    studies are needed for particular products and whether required studies 
    are being carried out with due diligence.
    
    G. Pediatric Committee
    
        Many comments on the proposed rule urged FDA to form a committee of 
    outside experts to assist in various aspects of the implementation of 
    the rule. FDA has concluded that such a panel could provide useful 
    advice and experience. FDA will convene a panel of pediatric experts, 
    including at least one industry representative, and seek its advice on 
    a range of issues related to implementation of the rule, including: (1) 
    The agency's implementation of all aspects of the final rule, including 
    its waiver and deferral decisions; (2) which marketed drugs and 
    biological products meet the criteria for requiring studies; (3) when 
    additional therapeutic options are needed for a given disease or 
    condition occurring in pediatric patients; (4) ethical issues raised by 
    clinical trials in pediatric patients; (5) the design of trials and 
    analysis of data for specific products or classes of products; and (6) 
    issues related to the progress of individual studies.
    
    H. Remedies for Violation of the Rule
    
        For violations of this rule, FDA would ordinarily expect to file an 
    enforcement action for an injunction, asking a Federal court to find 
    that the product is misbranded under section 502 of the act (21 U.S.C. 
    352) or is an unapproved new drug under section 505(a) of the act (21 
    U.S.C. 355) or an unlicensed biologic under section 351 of the Public 
    Health Service Act, and to require the company to submit an assessment 
    of pediatric safety and effectiveness for the product. Violation of the 
    injunction would result in a contempt proceeding or such other 
    penalties as the court ordered, e.g., fines. FDA does not intend, 
    except possibly in rare circumstances, to disapprove or withdraw 
    approval of a drug or biological product whose manufacturer violates 
    requirements imposed under this rule.
    
    III. Comments on the Proposed Rule
    
        FDA received 54 written comments on the proposed rule from 
    pediatricians, professional societies, parents, members of the 
    pharmaceutical industry, organizations devoted to specific diseases, 
    and patient groups. A significant majority of the comments, primarily 
    those from pediatricians, professional societies, parents, 
    organizations devoted to specific diseases, and patient groups, 
    supported regulations requiring that drugs and biologics be studied in 
    children. Many of these comments described the problems faced by the 
    pediatric community and parents resulting from inadequate pediatric 
    labeling and the absence of pediatric formulations, and argued that a 
    pediatric study requirement was long overdue. Some comments, primarily 
    those from the pharmaceutical industry, opposed a pediatric study 
    requirement, arguing that existing voluntary measures and incentives 
    were sufficient to ensure adequate pediatric labeling. Finally, a 
    number of comments addressed FDA's legal authority to require pediatric 
    testing of drugs and biologics.
        FDA also held a day-long public hearing on October 27, 1997, in 
    Washington, DC, at which recognized experts in the field, members of 
    the pharmaceutical industry, and other interested parties were given an 
    opportunity to discuss the issues raised by the proposed rule. There 
    were three panels, each of which comprised representatives from 
    industry, the pediatric community, organizations devoted to specific 
    diseases, patient groups, and a bioethicist. The panels considered the 
    following three issues: (1) When pediatric studies are needed, (2) what 
    types of studies are needed, and (3) special challenges in testing 
    pediatric patients. Those who spoke were nearly unanimous in their 
    support for some kind of regulation requiring pediatric studies of some 
    drugs and biologics. There was, however, a wide range of views on which 
    drugs and biologics should be the subject of required studies and on 
    how the requirement should be implemented.
        Many written and oral comments raised specific issues for 
    consideration by the agency. These comments are addressed below.
    
    A. Purpose of Rule
    
        1. FDA received many comments arguing that this rule is needed to 
    ensure adequate medical care for children. Many comments from 
    pediatricians stated that they regularly must prescribe to young 
    children drugs
    
    [[Page 66637]]
    
    that are not labeled for children under 6 or even 12, and for which 
    pediatric dosage forms do not exist. One comment stated that, without 
    adequate testing and labeling, physicians must estimate appropriate 
    pediatric doses, and that even at ``appropriate'' doses, it is not 
    known whether use in children is as safe as use in adults. One comment 
    argued that the absence of pediatric labeling puts children at greater 
    risk for adverse drug reactions (ADR's) and therapeutic failures than 
    adults. According to another comment, most common and severe ADR's in 
    pediatric patients would be eliminated by adequate testing, and that 
    perhaps 2 percent of all pediatric hospitalizations are due to ADR's. 
    One comment concluded that the failure to conduct pediatric studies 
    results in a different standard of care for children and adults in this 
    country.
        A comment from a pharmaceutical trade association argued, however, 
    that most of the toxicity problems identified by FDA as caused by 
    inadequate pediatric labeling were from the 1950's and that these 
    ``dated'' examples are not relevant to current practice. As an example, 
    the comment cited chloramphenicol, a drug referred to by FDA in the 
    proposed rule because, when it was used in the 1950's in neonates 
    without adequate testing, it was responsible for many infant deaths 
    (Ref. 4). According to the comment, it is now known that 
    chloramphenicol can be used in neonates if the dose is correct. The 
    comment also stated that practicing physicians have access to adequate 
    dosing information from case reports in the medical literature.
        FDA agrees that the absence of adequate pediatric labeling puts 
    pediatric patients at risk for adverse drug reactions and ineffective 
    dosing. FDA believes that the reference to new dosing information that 
    permits use of chloramphenicol in infants illustrates the need for this 
    final rule. Had adequate safety and dosing information been available 
    earlier, many babies' lives could have been saved. Instead, adequately 
    supported dosing information was not available until after the drug had 
    been used in a large number of babies, with tragic consequences. FDA 
    also disagrees with the comment that the remaining reports cited in the 
    proposal of unexpected toxicity in pediatric patients from inadequately 
    tested drugs are ``dated.'' Contrary to the assertion in the comment, a 
    majority of these reports are from the 1980's and 1990's (Refs. 5 
    through 14).
        FDA also does not believe that case reports scattered through the 
    medical literature are an adequate substitute for organized and 
    complete pediatric labeling information. To the extent that published 
    experience is informative and credible, it should be used to improve 
    labeling. The comments received from pediatricians reflect their view 
    that there is often no adequately supported dosing and safety 
    information for the drugs they use routinely in their patients. Even 
    where case reports are available, they describe a limited number of 
    pediatric patients and cannot provide sufficient information to 
    establish the safety profile of a drug in pediatric patients.
        2. Some comments argued that pediatric studies are needed because 
    differences between children and adults can make extrapolation from 
    adult data treacherous. One comment pointed out that research on 
    antiarrhythmics in pediatric patients has revealed many surprises in 
    dosing and side effects. For example, drugs that bind to milk may cause 
    safety or effectiveness problems in pediatric patients not detected in 
    adults.
        FDA agrees that pediatric dosing cannot necessarily be extrapolated 
    from adult dosing information using an equivalence based either on 
    weight milligram/kilogram (mg/kg) or body surface area (mg/m \2\). 
    There are potentially significant differences in pharmacokinetics, or 
    unique drug-food interactions, that may alter a drug's blood levels in 
    pediatric patients. Moreover, there can be pharmacodynamic differences 
    between adults and pediatric patients.
        3. Several comments argued that voluntary measures have not 
    resulted in a significant increase in pediatric labeling, and that new 
    products continue to enter the market without adequate, or any, 
    pediatric labeling. Pediatricians, professional societies, parents, 
    organizations devoted to specific diseases, and patient groups provided 
    many examples of diseases and drug classes for which pediatric labeling 
    was long-delayed, inadequate, or nonexistent. Acquired immune 
    deficiency syndrome (AIDS) drugs were frequently cited as an example of 
    the industry's failure to obtain adequate pediatric labeling at or near 
    the time of approval. One comment pointed to protease inhibitors, which 
    are theoretically most effective in newborns but have not been tested 
    or approved for use in this group. Even for older children, the comment 
    observed that it has taken over a year after adult approval to obtain 
    pediatric labeling for these life-saving drugs. Another comment stated 
    that the absence of drugs for human immunodeficiency virus (HIV) 
    infection that are appropriately labeled and formulated for pediatric 
    patients causes parents to give children inappropriate doses, sometimes 
    giving up part of their own dose if the child's physician will not 
    prescribe it.
        Other comments pointed out that epilepsy is considered a pediatric 
    disease but claimed that many new epilepsy drugs are approved without 
    information for use in pediatric patients. These comments urged that 
    anti-epileptic drugs be added to the list of drug classes with 
    inadequate labeling. A comment from a specialist in pulmonary medicine 
    stated that although asthma is a common disease in pediatric patients, 
    adult formulations are often released first, leaving pediatric patients 
    without effective treatments. Other comments observed that not one of 
    the standard immunosuppressive medications used in pediatric patients 
    has been tested in pediatric patients. One comment contended that poor 
    information about the pharmacokinetics of these drugs in pediatric 
    patients has led to inadequate dosing to achieve effectiveness and 
    possibly unnecessary toxicity.
        The American Psychiatric Association commented that significant 
    psychiatric diseases are increasingly diagnosed in pediatric patients, 
    who may be treated with drugs despite the lack of pediatric labeling. 
    According to this comment, most psychoactive medications are 
    underutilized in pediatric patients due to the lack of pediatric 
    labeling and to fear of overdosing. In the case of anti-hyperactivity 
    drugs, however, the comment states that as many children are 
    overtreated as undertreated, especially among pre-school age children. 
    A comment from the National Institute of Mental Health (NIMH) stated 
    that the rule was much needed to provide essential data on the safety 
    and effectiveness of psychiatric medications in pediatric patients. 
    This comment attached seven NIMH reviews of the existing data on 
    psychotropic medications for pediatric patients, identifying many 
    critical knowledge gaps that remain to be addressed by pediatric 
    research.
        One comment stated that pediatric nephrologists frequently 
    prescribe drugs to pediatric patients for life-threatening conditions, 
    including antihypertensive medications, diuretics, lipid-lowering 
    agents, and immunosuppressive agents, even for pediatric patients less 
    than 2 years of age, without benefit of formal studies. This comment 
    further stated that drug therapy for chronic conditions like kidney 
    failure is currently based only on experience gained from drug usage in 
    children after approval for the indication in adults, and that
    
    [[Page 66638]]
    
    discovering ``inadequate dosing or severe side effects by empiric use 
    of these drugs is not desirable or safe.'' Another comment provided the 
    results of a survey of 4,898 pediatric patients with end-stage renal 
    disease on the medications they receive. Ninety-seven percent received 
    prednisone or prednisolone, 91 percent received cyclosporine, and 84 
    percent received azathioprine. According to the comment, none of these 
    drugs was studied in pediatric patients and no information on the 
    pharmacokinetics of these drugs in pediatric patients is available.
        In contrast, several comments from the pharmaceutical industry 
    argued that voluntary measures, the 1994 rule, and the incentives 
    provided by FDAMA are adequate to assure adequate pediatric labeling 
    and that FDA has not given these steps sufficient time to work. Several 
    comments argued that to obtain pediatric studies, FDA should use 
    encouragement and early discussion with sponsors, together with 
    incentives, rather than imposing new requirements. These comments 
    contended that sponsors should make ``phase 4 commitments'' 
    (commitments to conduct pediatric studies after approval) and FDA 
    should track these commitments. According to one comment, these methods 
    have not been systematically used by FDA. According to another comment, 
    FDA did not describe its present experience in getting manufacturers to 
    conduct pediatric studies. Other comments argued that FDA has not 
    allowed the 1994 rule sufficient time to produce results and that the 
    agency should wait until it has reviewed and acted upon all supplements 
    submitted under that rule before imposing new requirements. One comment 
    contended that if the 1994 rule was successful in producing pediatric 
    labeling for marketed drugs, the new rule should apply only to new 
    drugs. One comment argued that incentives, including exclusivity, 
    waiver of user fees, tax credits, and expedited reviews of pediatric 
    supplements, and liability protection for research physicians, 
    Institutional Review Boards (IRB's), universities, pharmaceutical 
    firms, and parents, are the best means of obtaining pediatric labeling. 
    A few comments argued that excessive litigation will follow imposition 
    of this rule.
        Two comments argued that the 53 NME's approved in 1996 demonstrate 
    that pediatric labeling efforts by the industry are adequate, and that 
    new requirements are not needed. Although the figures used in the 2 
    comments do not agree exactly, these comments stated that 20 or 21 of 
    the 53 have potential for pediatric use. According to these comments, 
    of these, 4 have approved pediatric labeling, 14 have planned or 
    ongoing studies, 1 is switching to over-the-counter (OTC) use, and 1 or 
    2 have no immediate plans for pediatric labeling activities. One 
    comment contended that, between 1990 and 1997, a 28 percent increase 
    occurred in the number of new drugs in development for pediatric uses, 
    but provided no data to support this claim.
        FDA believes that the current state of pediatric labeling for drugs 
    and biologics in the United States, as amply illustrated by comments 
    from the pediatric community, is unsatisfactory. The agency's failure 
    to obtain a significant increase in labeling for either new or marketed 
    drugs or biologics through other measures implemented over the last 
    several years demonstrates the need for a requirement that sponsors 
    conduct pediatric studies of drugs and biologics that represent a 
    meaningful therapeutic benefit to pediatric patients or that will be 
    widely used in pediatric patients. As described in section I of this 
    document, the response to the 1994 rule has not produced a significant 
    improvement in pediatric labeling for marketed drugs. FDA received 
    labeling supplements only for a small fraction of the drugs and 
    biologics on the market. Of those supplements it did receive, over half 
    of the submissions merely sought to add a statement to the product's 
    labeling that ``safety and effectiveness in pediatric patients have not 
    been demonstrated,'' and less than a quarter provided adequate 
    pediatric information for some or all relevant age groups.
        The agency's experience in attempting to obtain pediatric labeling 
    for new drugs entering the marketplace through voluntary measures has 
    also been disappointing. As described in the proposal, the percentage 
    of NME's with adequate pediatric labeling has not increased since 1991, 
    when the agency began systematic efforts to obtain better pediatric 
    labeling. Although the number of requests by the agency and commitments 
    by sponsors to conduct phase 4 (postapproval) pediatric studies may 
    have increased, these requests and commitments have so far infrequently 
    resulted in pediatric labeling. Table 1 of this document displays the 
    results of commitments or requests to conduct pediatric studies 
    postapproval between 1991 and 1996. FDA notes that the table does not 
    reflect any labeling supplements under review. There are a total of six 
    pediatric labeling supplements currently under review for NME's 
    approved between 1991 and 1996. These supplements may or may not add 
    significant new labeling information; but, in any case, would not 
    substantially increase the number of successfully conducted 
    postapproval studies.
    
                                              Table 1.--Pediatric Labeling
    ----------------------------------------------------------------------------------------------------------------
                  Status of pediatric labeling                 1991    1992    1993    1994    1995    1996   Totals
    ----------------------------------------------------------------------------------------------------------------
    NME's approved..........................................      30      25      25      22      28      53     183
    Pediatric studies not needed............................      14      11      11       7      14      13      70
    Label includes some pediatric use information or
     pediatric studies complete at time of approval.........       9       4   \1\ 5   \1\ 6       5      15      44
    Postapproval pediatric studies promised or requested....       7      10  \2\ 10  \2\,\3
                                                                                        \ 10  \2\ 10      17      64
    Pediatric labeling added after approval.................       1       0       2       4       2       2     11
    ----------------------------------------------------------------------------------------------------------------
    \1\ In one case, pediatric use information provided for one of two approved indications.
    \2\ In one case, pediatric data requested for second of two approved indications.
    \3\ In one case, pediatric data requested for additional age groups.
    
        As Table 1 of this document reflects, FDA's figures disagree with 
    those of the comments for the number of 1996 NME's with potential for 
    pediatric use, the number with some pediatric labeling at the time of 
    approval and the number for which commitments or requests for 
    postapproval studies have been made. The comments did not identify 
    specific drugs, so it is not possible to determine why the two sets of 
    figures conflict. Nevertheless, the historical experience reflected in 
    the table suggests that most of the postapproval pediatric studies for 
    which commitments were made for the
    
    [[Page 66639]]
    
    1996 NME's will not result in pediatric labeling. Of the 17 commitments 
    to conduct pediatric studies in 1996, there have thus far been only 2 
    additions of pediatric labeling. Although some additional studies 
    supporting labeling changes may be submitted in the future, the 
    experience reflected in Table 1 of this document suggests that this 
    will not be a large number. For example, the 27 promised or requested 
    studies for the 1991 through 1993 cohorts have resulted in just 3 
    additions of pediatric labeling 5 to 7 years after approval. Thus, FDA 
    does not agree that the experience with 1996 NME's demonstrates the 
    adequacy of current efforts to obtain pediatric labeling.
        None of the comments claiming that the rule will result in 
    excessive litigation provided any evidence suggesting a relationship 
    between pediatric testing and increased litigation or liability. As 
    shown in the number of NME's with pediatric labeling at the time of 
    approval, a significant minority of drug and biologic manufacturers 
    already conducts pediatric testing. FDA is aware of no evidence that 
    excessive litigation has been associated with this testing.
        With respect to the argument that the incentives provided by FDAMA 
    will be sufficient to ensure adequate pediatric labeling, FDA believes 
    that a mixture of incentives and requirements is most likely to result 
    in real improvements in pediatric labeling. FDA is hopeful, e.g., that 
    the FDAMA incentives will make more resources available for pediatric 
    studies. As described earlier, FDA does not believe, however, that 
    incentives alone will result in pediatric studies on some of the drugs 
    and biologics where the need is greatest. The incentives provided by 
    FDAMA are available only for drugs already covered by the exclusivity 
    or patent protection provided by sections 505 and 526 of the act. Thus, 
    the FDAMA incentives are not available for many already marketed drugs, 
    or for many antibiotics or biologics. In addition, limited resources 
    available to conduct pediatric studies and fiduciary obligations to 
    shareholders may cause manufacturers to conduct pediatric studies 
    preferentially on those drugs where the incentives are most valuable, 
    rather than on those drugs or biological products where studies are 
    most needed.
        4. Two comments argued that the rule is inconsistent with a 1977 
    FDA document entitled ``General Considerations for the Clinical 
    Evaluation of Drugs in Infants and Children,'' which recommended, among 
    other things, that ``reasonable evidence of efficacy generally * * * be 
    known before infants and children are exposed to [a drug].''
        As described in more detail in section III.D of this document under 
    ``Deferral,'' FDA expects that for drugs and biologics other than those 
    for life-threatening diseases without adequate treatment, clinical 
    trials in pediatric patients will ordinarily begin no earlier than when 
    initial data from well-controlled trials in adults (frequently referred 
    to as phase 2 data) become available to ensure that reasonable 
    preliminary evidence of safety and/or effectiveness is available before 
    pediatric patients are exposed to the drug or biological product. How 
    much evidence of safety or effectiveness is ``reasonable evidence'' 
    that should be available before pediatric trials may begin will be 
    determined on a case-by-case basis. Thus, FDA believes that this rule 
    is substantially consistent with the 1977 document.
        FDA notes that the 1977 document was based upon a report prepared 
    for FDA under a contract with the American Academy of Pediatrics (AAP). 
    The AAP is currently developing proposed revisions to this document 
    concerning the types of data needed to support pediatric labeling. The 
    1977 document, which falls under the general category of guidance 
    documents, does not bind FDA or the public, but represents the agency's 
    current thinking on a particular issue. Alternative approaches may be 
    used if the alternative satisfies the requirements of the applicable 
    statute and regulations (62 FR 8961, February 27, 1997) (Good Guidance 
    Practices document). Until such time as an updated guidance on the 
    clinical evaluation of drugs in infants and children is published, 
    sponsors are encouraged to confer with the agency before initiating 
    pediatric studies.
        5. Several comments challenged FDA's use of the 1994 IMS National 
    Disease and Therapeutic Index (NDTI) data on the 10 drugs used most 
    frequently in pediatric patients without adequate labeling, arguing 
    that the data incorrectly imply that physicians have no labeling 
    information, when in fact prescribing information is now, or will be, 
    available for most of the 10 drugs listed.
        These comments misunderstand the purpose for which FDA cited the 
    1994 data. Those data provided a snapshot of the labeling information 
    available to physicians for 10 widely used drugs at a given point in 
    time. Even if additional information had been added to the labels of 
    these drugs in the 4 years since the survey was conducted, there was 
    none available during a year in which the drugs, together, were 
    prescribed to pediatric patients over 5 million times. FDA notes, 
    moreover, that, contrary to the suggestion in the comments, adequate 
    labeling has been added for only 1 of the 10 drugs for the age group 
    described in the proposal.
        6. Two comments disputed the estimated number of times their 
    products were prescribed to pediatric patients. One manufacturer argued 
    that the total units sold of Auralgan were less than the listed number 
    of prescriptions. Another manufacturer disputed the estimates of 
    Ritalin usage. This manufacturer also complained that it was not 
    contacted by FDA about use of Ritalin despite the statement in the 
    proposal that FDA had contacted the manufacturers of the top 10 drugs 
    used without adequate labeling in pediatric patients.
        Limitations on the data used to estimate number of prescriptions 
    may have resulted in the discrepancy noted by the manufacturers of 
    Auralgan or Ritalin. The number of prescriptions is estimated from data 
    provided by IMS America, Ltd. IMS NDTI surveys a sample of physicians 
    (more than 2,940 physicians representing 27 specialities) to determine 
    the number of times that, during patient contacts, physicians mentioned 
    specific drugs for particular age groups. Physician mentions may not 
    correlate exactly with actual usage. In addition, the NDTI numbers 
    taken from the sample of physicians are extrapolated to the nation as a 
    whole, using a given formula. With respect to the claim that FDA has 
    not contacted the manufacturer of Ritalin, FDA notes that it has 
    scheduled meetings with the manufacturer to discuss use of the drug in 
    children, which have been canceled at the manufacturer's request.
        7. One comment challenged FDA's use of quinolones as an example of 
    a class of drug that does not need to be studied in pediatric patients. 
    The comment claimed quinolones do need to be studied in pediatric 
    patients because of their important use in cystic fibrosis patients.
        FDA agrees that fluoroquinolones may provide important therapeutic 
    benefits to patients with cystic fibrosis. At present, all approved 
    fluoroquinolones are labeled with the following statement: ``Safety and 
    effectiveness in children and adolescents less than 18 years of age 
    have not been established.'' In addition, the label includes a 
    statement advising that the fluoroquinolones cause arthropathy in 
    juvenile animals. Historically, the agency has recognized a potential 
    therapeutic role for the fluoroquinolones in children with cystic 
    fibrosis and hematology/oncology
    
    [[Page 66640]]
    
    disorders. Indeed, FDA recently approved ciprofloxacin labeling 
    containing a discussion of cystic fibrosis experience in the pediatric 
    use subsection. These actions show that the agency recognizes that 
    there may be a need to study fluoroquinolones in some pediatric 
    patients.
        8. One comment from a pharmaceutical company argued that serious 
    ethical, legal, medical, and technical difficulties often prevent 
    conducting pediatric studies. The comment cited difficulties in 
    enrolling pediatric patients in sufficient numbers, unwillingness of 
    parents to enroll children, and the absence of pediatric patients with 
    the disease near convenient and qualified study centers. According to 
    the comment, studies have been successfully conducted in pediatric 
    patients in the past where there was a medical need for the drug in 
    pediatric patients, but this rule will require pediatric studies of 
    drugs intended for adults that may or may not be administered to 
    pediatric patients. The comment also contended that the rule will 
    necessitate a massive infusion of resources for industry, FDA, and 
    medical speciality organizations, and that the agency should start with 
    a small list of diseases with similar pathophysiology in adults and 
    children, and a small list of drug classes known to have similar 
    metabolism, and plan a graduated approach.
        Contrary to the suggestion in the comment, this rule is designed to 
    require studies only in those settings in which there is a significant 
    medical need or where usage among pediatric patients is likely to be 
    substantial. FDA acknowledges the difficulties encountered in some 
    cases, but agrees that where there is a need for studies these 
    difficulties have been overcome and that pediatric studies have been 
    successfully conducted in many situations. FDA believes that the number 
    of such studies already conducted each year, for example of 
    antibiotics, vaccines, and roughly 25 percent of NME's, support the 
    view that such studies are not medically, ethically, or technically 
    impossible. FDA also emphasizes that this rule will not require studies 
    in settings where ethical or medical concerns militate against studies. 
    As with all studies regulated by FDA, no pediatric study may go forward 
    without the approval of an IRB, which is responsible for ensuring that 
    the study is ethical and adequately protects the safety of the 
    subjects. In addition, the deferral provisions of the rule are 
    specifically designed to ensure that no pediatric study begins until 
    there are sufficient safety and effectiveness data to conclude that the 
    study is ethically and medically appropriate.
    
    B. Scope
    
        The proposal would have covered only original applications for 
    those drugs classified as ``new chemical entities,'' including 
    antibiotics, and new biological products that had never been approved 
    for any indication. A ``new chemical entity,'' defined in 21 CFR 
    314.108(a), is a drug that contains no previously approved active 
    moiety. Under the proposal, chemical modifications that did not change 
    the active moiety, such as the formation of a different salt or ester 
    of the moiety, would not have required further study. New indications 
    or dosage forms of a previously approved moiety also would not have 
    required further studies. FDA sought comment on whether the requirement 
    should apply more broadly, e.g., to applications for minor chemical 
    variations of approved products, new indications, new dosage forms or 
    new routes of administration.
        9. A majority of those who commented on the scope of the rule 
    recommended that the final rule cover all new drugs and biologics, 
    including new dosage forms and indications, because modifications in 
    existing drugs may be as therapeutically significant to pediatric 
    patients as the original drug or biologic. These comments included 
    pediatricians, medical societies, one pharmaceutical company, and one 
    disease-specific organization. Several comments, including two 
    companies, an IRB, the AAP, a disease-specific organization, and a 
    professional society recommended including new indications and dosage 
    forms on a case-by-case basis, generally if their inclusion were 
    recommended by an expert panel. Several comments supported the narrow 
    scope of the proposal, including a pharmaceutical trade association, a 
    professional society, and several companies. The pharmaceutical trade 
    association suggested that the rule might also apply to new 
    formulations uniquely suited to pediatric patients.
        FDA has reconsidered the scope of the rule in light of the comments 
    and has concluded that, in some cases, the need for pediatric studies 
    is as great for modifications of existing products and new claims as 
    for the original products. A new indication or dosage form for a 
    previously approved drug, e.g., could be far more relevant to pediatric 
    patients than the originally approved product. From a public health 
    standpoint, FDA cannot justify the distinction in the proposal between 
    new chemical entities and never-before approved biologics, on one hand, 
    and significant modifications of those products, on the other hand. 
    Therefore, FDA has revised proposed Secs. 314.55 (proposed 314.50(g)) 
    and 601.27(a) to cover applications for new active ingredients, new 
    indications, new dosage forms, new dosing regimens, and new routes of 
    administration. The final rule exempts from its coverage any drug for 
    an indication or indications for which orphan designation has been 
    granted under the Orphan Drug Act (21 U.S.C. 360bb). FDA believes this 
    exemption is appropriate because the purpose of the Orphan Drug Act is 
    to encourage the development of drugs for patient populations that are 
    so small as to make the manufacture and sale of the drug unprofitable 
    if not for the incentives offered by the Orphan Drug Act. Imposition of 
    a pediatric study requirement on an orphan drug could conflict with the 
    balance struck by the Orphan Drug Act, by further raising the cost of 
    marketing the drug. This exemption does not apply after marketing under 
    Sec. 201.23 of this final rule.
        FDA's decision to expand the scope of the rule does not mean, 
    however, that pediatric studies would always be needed for a new 
    product entering the marketplace, or for a new claim. The waiver 
    criteria will apply equally to modifications of existing drugs and 
    biological products. Thus, FDA will require studies only of those new 
    drugs and biologics that offer a meaningful therapeutic benefit to 
    pediatric patients or that are expected to be used in a substantial 
    number of pediatric patients. In many cases, moreover, new dosage forms 
    might need relatively little pediatric data, such as pharmacokinetic 
    data alone.
        10. One comment sought clarification of the applicability of the 
    rule to generic drugs. The comment argued that the collection of 
    pediatric data was unwarranted where a generic manufacturer was copying 
    a drug with an adult dose, and that FDA should require a pediatric 
    bioequivalence study only where the innovator submits a supplement for 
    a new dose or regimen in the pediatric population. Another comment from 
    a generic drug trade association argued that bioequivalence studies in 
    children should never be required to support approval of a generic 
    drug.
        This rule does not impose any requirements on studies submitted in 
    support of applications for generic copies of approved drugs that meet 
    the requirements of section 505(j) of the act. FDA also does not 
    currently require bioequivalence studies to be conducted
    
    [[Page 66641]]
    
    in children for generic drugs. FDA notes that petitions submitted under 
    section 505(j)(2)(C) for a change in active ingredient, dosage form, or 
    route of administration may be denied if ``investigations must be 
    conducted to show the safety and effectiveness of'' the change. Thus, 
    if a petition is submitted for a change that would require a pediatric 
    study under this rule, the petition may be denied.
    
    C. Required Studies
    
        FDA proposed to amend its regulations related to the content of NDA 
    and biologic license applications (BLA's) to include required 
    information on pediatric studies for certain applications. Under the 
    proposal, an application for a new chemical entity or never before 
    approved biologic would have been required to contain data adequate to 
    assess the safety and effectiveness of the product for all pediatric 
    age groups for the claimed indications, unless FDA granted a deferral 
    or full or partial waiver of the requirement. As described in section 
    III.B of this document under ``Scope'', FDA has revised Sec. 314.55(a) 
    (proposed Sec. 314.50(g)(1)) and Sec. 601.27(a)) to cover applications 
    for new active ingredients, new indications, new dosage forms, new 
    dosing regimens, and new routes of administration. Under the final 
    rule, all covered applications will be required to contain data 
    adequate to assess the safety and effectiveness of the product, unless 
    FDA has granted a waiver or deferral of the requirement (see ``Waiver'' 
    and ``Deferred Submission'' in section III.D and E of this document).
        Assessments required under this section for a product that 
    represents a meaningful therapeutic benefit over existing treatments 
    must be carried out using appropriate formulations for the age group(s) 
    for which the assessment is required, unless reasonable efforts to 
    produce a pediatric formulation had failed (see ``Waiver'' in section 
    III.E of this document). Comments on issues related to formulation are 
    addressed under ``Pediatric Formulations'' in section III.I of this 
    document.
        The proposal did not mandate particular types of studies. The 
    proposal recommended that the sponsor consult with FDA on the types of 
    data that would be considered adequate to assess pediatric safety and 
    effectiveness in particular cases.
        FDA received several comments on the design and conduct of clinical 
    trials in pediatric patients.
        11. One comment asked for clarification of what is meant by 
    ``adequate evidence'' to demonstrate safety and effectiveness. The 
    comment argued that FDA should not require two adequate and well-
    controlled trials for pediatric studies, and that the amount of 
    evidence required should depend on the ability of the data to be 
    extrapolated from adult to pediatric patients, the seriousness of the 
    illness to be treated, the ability to assess meaningful measures of 
    efficacy in pediatric patients, and the feasibility of conducting 
    adequate trials in relatively uncommon pediatric disease states. 
    Another comment claimed that the ability to extrapolate from adult 
    efficacy data is limited and argued that well-controlled trials in 
    pediatric patients should be the norm. This comment also stated that 
    safety cannot be extrapolated from adult data and recommended studying 
    300 pediatric patients for an adequate period to identify frequent 
    ADR's. Other comments questioned the appropriateness of extrapolating 
    from adult effectiveness data in a variety of settings. One comment 
    argued that in the area of blood products, in addition to extrapolating 
    from pharmacokinetic data, it may be appropriate to extrapolate from 
    adult data using relative blood volume replacement. Several comments 
    urged reliance on a variety of other sources of data, including 
    published studies and reports, and actual use information. One comment 
    urged FDA to rely on advanced scientific and statistical methods that 
    optimize safety, convenience, and informativeness, while minimizing 
    unnecessary or uninformative clinical trials.
        FDA agrees that ``adequate evidence'' of safety and effectiveness 
    for pediatric patients does not necessarily require two adequate and 
    well-controlled trials. One of two central purposes of the 1994 rule 
    was to make it clear that pediatric effectiveness may, in appropriate 
    circumstances, be based on adequate and well-controlled studies in 
    adults with supporting data in pediatric patients that permit 
    extrapolation from the adult data. FDA agrees, however, that 
    extrapolation from adult effectiveness data would not always be 
    appropriate and that it may not be appropriate to extrapolate pediatric 
    safety from adult safety data. FDA has specifically noted, in the FDA 
    guidance document entitled ``Providing Clinical Evidence of 
    Effectiveness for Human Drug and Biological Products,'' that if further 
    controlled trial data were needed in a population subset, it would 
    usually be sufficient to conduct a single additional controlled trial. 
    FDA also agrees that useful information can come from data other than 
    adequate and well-controlled trials, and encourages the submission of 
    valid and reliable data from a variety of sources. The type and amount 
    of data required in any particular case will depend upon many factors, 
    including those cited in the comments.
        12. One comment urged FDA, in the final rule, to encourage sponsors 
    to use Computer-Assisted Trial Design (CATD), allowing them to reduce 
    number of actual trials in pediatric patients.
        FDA encourages the use of any validated scientific method for 
    designing, conducting, or analyzing clinical trials.
        13. One comment questioned whether there will be a sufficient pool 
    of pediatric subjects to complete trials, in light of the increase in 
    the number of trials occasioned by the rule.
        FDA believes that with appropriate organization, the pool of 
    pediatric patients available for studies should be adequate. The 
    Pediatric Pharmacology Research Units (PPRU's), a network of groups 
    instituted to conduct pediatric research, some of which are located 
    outside of major population centers, have an established record of 
    recruiting pediatric patients and completing valid studies. Even where 
    the number of pediatric patients affected by a disease is small, valid 
    studies have sometimes been successfully conducted. It should also be 
    reemphasized that many of the studies contemplated under the rule are 
    pharmacokinetic studies, dose-response studies with short-term 
    endpoints (pharmacodynamic studies) and safety studies that are likely 
    to impose relatively little burden on individual patients. Where, 
    however, patient recruitment is so difficult as to make the study 
    impossible or highly impractical, the rule permits a waiver of the 
    study requirement (Secs. 314.55(c) and 601.27(c)).
        14. One comment urged that the final rule include a broader 
    research requirement, and sought to have drug interactions and drug 
    metabolism taken into consideration. Another comment sought to have the 
    final rule codify minimal requirements for studies, such as toxic 
    overdose and pharmacokinetic data. One comment urged FDA not to codify 
    specific requirements for clinical trials, but to establish these 
    requirements in consultation with an expert pediatric committee.
        FDA declines to codify specific requirements for pediatric studies. 
    Flexibility is necessary to assure that required studies are 
    appropriate for each product. FDA will, however, consult with a 
    pediatric committee on specific pediatric study issues.
    
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        15. One comment from a professional pharmacy organization urged 
    that all protocols for pediatric studies be reviewed by pediatric 
    experts, including a pharmacist knowledgeable about pharmacodynamic 
    factors in each age group.
        FDA reviews protocols for pediatric studies submitted in 
    investigational new drug applications (IND's), and its reviewers 
    include experts in pediatrics and pharmacology.
    
    D. Deferred Submission
    
        The proposal recognized that there would be circumstances in which 
    it would be appropriate to permit the submission of pediatric data 
    after approval. Two such circumstances were described in the preamble 
    to the proposal: (1) Where adult safety or effectiveness data need to 
    be collected before the product could be appropriately studied in 
    pediatric patients, and (2) where the product was ready for approval in 
    adults before studies in pediatric patients were completed. Although 
    not included in the text of the proposal, these examples have been 
    added to the final rule. Under the proposal, FDA would have the 
    authority to defer the submission of some or all of the required 
    pediatric data until after approval of the product for adult use, on 
    its own initiative or at the request of the applicant. Under the 
    proposed provisions, if the applicant requested deferral, the request 
    would be required to contain an adequate justification for delaying 
    pediatric studies. If FDA concluded that there were adequate 
    justification for deferring the submission of pediatric use studies, 
    the agency could approve the product for use in adults subject to a 
    requirement that the applicant submit the required pediatric studies 
    within a specified time after approval. It is important to appreciate 
    that deferred submission of pediatric data refers to the date on which 
    the data are submitted, not when the studies are initiated. Thus, 
    deferred studies will generally be initiated before approval, unless it 
    is concluded that the full adult data base or marketing experience are 
    needed before pediatric studies may appropriately begin.
        FDA stated in the proposal that it would consult with the sponsor 
    in determining a deadline for the deferred submission, but tentatively 
    concluded that it would require the submission not more than 2 years 
    after the date of the initial approval. To ensure that deferral would 
    not unnecessarily delay the submission of pediatric use information, 
    FDA proposed that a request for deferred submission include a 
    description of the planned or ongoing pediatric studies, and evidence 
    that the studies were being, or would be, conducted: (1) With due 
    diligence, and (2) at the earliest possible time. FDA sought comment on 
    the circumstances in which FDA should permit deferral, and on the 
    factors that should be considered in determining whether a given 
    product was one that should be studied in adults before pediatric 
    patients. FDA received many comments on the deferral provisions in the 
    proposal.
        16. A few comments stated that the deferral provisions are an 
    appropriate means of assuring that pediatric patients are not studied 
    before adequate safety data have been gathered. A number of comments 
    from the pharmaceutical industry asserted, however, that the proposal 
    would require concurrent testing in adults and pediatric patients 
    despite medical and ethical reasons for delaying testing pediatric 
    testing. For example, a comment from a pharmaceutical trade association 
    claimed that the rule:
    
        * * * would require testing of new medical compounds in children 
    before safety in adults has been studied adequately, before 
    effectiveness in adults has been established, and in young children and 
    neonates without adequate information about the effects of the drug in 
    older pediatric patients.
    
        These industry comments appear to have misunderstood the explicit 
    deferral provisions of the rule and perceived them as rare exceptions 
    to a usual requirement that adults and children be studied at the same 
    time. Nothing in the rule requires concurrent testing in adults and 
    pediatric patients, nor testing in infants and neonates before testing 
    in older children. As stated previously and in the proposal, the 
    deferral provisions were specifically included to, among other things, 
    ensure that pediatric studies could be delayed when necessary to assure 
    that appropriate safety and/or effectiveness data were available to 
    support pediatric testing.
        17. Most of the comments on deferral focused on whether the need 
    for safety and/or effectiveness data in adults before initiating 
    pediatric studies should be a basis for deferral. Comments from 
    disease-specific organizations, medical societies, including the AAP, 
    and pediatricians argued that deferrals should be granted rarely if at 
    all on this basis. One comment argued that delaying availability of 
    life-saving drugs to children cannot be rationalized scientifically, 
    legally, or ethically, and contended that deferral should not be 
    permitted for serious and life-threatening diseases where there is no 
    substantial difference between the disease or the anticipated effect of 
    the drug in children or adults. Another comment argued that deferral 
    should be used sparingly in all age groups, including infants and 
    neonates, and that its use should be evaluated in the context of the 
    seriousness of the condition to be treated, the therapeutic advance the 
    drug represents, and the likelihood that the drug will be given to 
    children as soon as it is approved. According to this comment, the 
    risks of research in pediatric patients may be outweighed by the risks 
    that the drug will be given to them without data.
        One comment argued that pediatric studies of important drugs should 
    be conducted in parallel to adult studies, especially in children under 
    12. Several comments from the pediatric community, however, supported 
    the development of some adult safety and/or effectiveness data before 
    initiation of pediatric studies. One comment from an organization 
    devoted to pediatric AIDS stated that while the general assumption 
    should be that pediatric studies will be submitted at the same time as 
    adult studies, it may be appropriate to have some testing in adults 
    before children. The AAP stated that it is appropriate to begin studies 
    in pediatric patients after phase 1 and phase 2 studies in adults have 
    defined routes of clearance and metabolic pathways. Thus, the comment 
    urged that pediatric studies be conducted during phases 2 and 3, not 4. 
    A comment from a nephrology organization argued that drugs for organ-
    specific diseases should be studied in phase 3, as soon as phase 1 and 
    2 trials have shown safety in adults. This and another comment stated 
    that deferring studies until after approval compromises clinical trial 
    enrollment, citing the experience with recombinant erythropoietin. 
    According to these comments, erythropoietin was not studied in 
    pediatric patients until after its approval for adults, and enrollment 
    was so difficult that pediatric studies were not completed for 5 years.
        Several comments from the pediatric community also cited limited 
    circumstances in which they believed deferral to be appropriate. A 
    medical society argued that data should be collected after adult 
    studies only for drugs with narrow therapeutic indices, unusual 
    accumulation in the body, where the drug study requires extensive blood 
    sampling, or where the study design places young patients at risk for 
    limited information gain.
        Many comments from the pharmaceutical industry argued, in contrast, 
    that deferral should be the
    
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    rule, rather than the exception. Most of these comments contended that 
    it was unethical to begin studying drugs in pediatric patients, other 
    than those that are intended primarily for pediatric patients, until 
    the drugs are shown to be reasonably safe and effective in adult 
    patients. All argued that pediatric studies must not be initiated until 
    substantial data in adults are available, but cited different 
    initiation points, e.g., after phase 2, after safety and effectiveness 
    is established in adults and an approvable letter is received, after 
    approval, after 1 year of marketing.
        Although many of these industry comments argued that pediatric 
    studies should be conducted exclusively as phase 4 (postapproval) 
    commitments, a significant number of industry comments acknowledged 
    that pediatric studies could begin before approval, generally after 
    phase 2, and that there were circumstances in which deferral was not 
    appropriate. One comment argued that because early pediatric studies 
    often require pediatric formulations and because up to 50 percent of 
    drugs are abandoned before phase 3, it is wasteful to require companies 
    to manufacture a pediatric formulation and begin studies before the end 
    of phase 2. Another comment argued that no pediatric studies should 
    begin before the decision to proceed to phase 3, except where: (1) The 
    disease affects only pediatric patients; (2) the disease mainly affects 
    pediatric patients, or the natural history or severity of the disease 
    is different in pediatric patients and adults; or (3) the disease 
    affects both pediatric patients and adults and lacks adequate treatment 
    options. One comment urged that the final rule state that ``in most 
    cases, pediatric testing should not begin with any drug or biological 
    product until certain adult safety and/or effectiveness information has 
    been collected.'' According to this comment, there could be exceptions 
    where no other therapy was available and there was a potential for the 
    drug to be lifesaving. A pharmaceutical trade association argued for a 
    presumption that pediatric studies not begin until the end of phase 2 
    or 3, but listed circumstances in which deferral should not occur: (1) 
    Where the disease is life threatening and there is no alternative 
    therapy, (2) where the drug is intended for a pediatric indication, (3) 
    where the drug presents no major safety issues, (4) where the drug 
    class is well studied in pediatric patients, or (5) where a large 
    amount of ``off-label'' use in pediatric patients is anticipated.
        In general, FDA expects that some data on adults will be available 
    before pediatric studies begin, but that less data will usually be 
    required to initiate studies of drugs and biologics for life-
    threatening diseases without adequate treatment than for less serious 
    diseases. Pediatric studies of drugs and biologics for life-threatening 
    diseases may in some cases be appropriately begun as early as the 
    initial safety data in adults become available, because the urgency of 
    the need for such products may justify early trials despite the 
    relative lack of safety and effectiveness information. In such cases, 
    deferral of submission of pediatric studies until after approval will 
    be unnecessary, unless drug development is unusually rapid and the 
    product is ready for approval in adults before completion of the 
    pediatric studies.
        Pediatric studies on products for less serious diseases should 
    generally not begin until more adult data have been collected, 
    ordinarily no earlier than the availability of data from the initial 
    well-controlled studies in adults. As noted earlier in this document, 
    there may occasionally be exceptions to this principle where all 
    parties agree that earlier initiation is appropriate. Whether deferral 
    of submission of the data until after approval will be necessary for 
    such products will depend upon when pediatric studies can 
    scientifically and ethically begin in each case and how difficult the 
    studies are to complete.
        In some cases, FDA expects that scientific and ethical 
    considerations will dictate that studies not begin until after approval 
    of the drug or biological product. For example, pediatric studies of 
    ``me-too'' drugs that do not offer a meaningful therapeutic benefit and 
    that are members of a drug class that already contains an adequate 
    number of approved products with pediatric labeling may be deferred 
    until well after approval. In cases where a drug has not been shown to 
    have any benefit over other adequately labeled drugs in the class, the 
    therapeutic need is likely to be low and the risks of exposing 
    pediatric patients to the new product may not be justified until its 
    safety profile is well established in adults through marketing 
    experience. Because the basis for the deferral in such cases will be 
    concern that the drug presents risks to pediatric patients that will 
    not be known until there is widespread marketing experience, without 
    offsetting benefit, FDA may require, in appropriate cases, that such 
    drugs carry labeling statements recommending preferential use in 
    pediatric patients of products that are already adequately labeled. 
    Such a statement might read:
    
        The safety and effectiveness of this product have not been 
    established in children. There are alternative therapies that have 
    been shown to be safe and effective for use in children with 
    [indicated condition]. Ordinarily, products already labeled for use 
    in children should be used in preference to [name of this product].
    
    FDA labeling regulations at 21 CFR 201.57 express the agency's 
    authority to ensure that drugs are safe for use under the conditions 
    prescribed, recommended, or suggested in their labeling, and to require 
    labeling identifying safety considerations that limit the use of drugs 
    to certain situations. Some drugs with no demonstrated advantage over 
    available therapy can nonetheless be expected to have wide use in 
    pediatric patients. Pediatric studies of such drugs should be initiated 
    relatively early, even if they are not completed at the time of 
    approval.
        18. A comment from a pharmaceutical company listed several 
    circumstances in which it argued FDA should permit deferral: (1) The 
    pediatric population is so small that enrollment and completion of 
    trials cannot be accomplished in parallel with adult trials, (2) the 
    natural course of the disease is different in adults and children, (3) 
    analytic tools and clinical methodologies cannot be easily adapted to 
    the pediatric population, (4) the drug has complex pharmacokinetic 
    properties in adults making it hard to extrapolate a pediatric dosage 
    range, (5) the scope and nature of nonclinical studies support only 
    adult clinical studies, (6) two or more attempts to develop a pediatric 
    formulation have failed, or (7) unique drug-drug or drug-food 
    interactions in children confound drug development. Another comment 
    added to this list: (1) Where fewer than 200,000 pediatric patients are 
    affected by the disease being treated, and (2) drugs with a low 
    therapeutic index.
        FDA agrees that some of these circumstances could make completion 
    of studies prior to approval in adults difficult, but does not agree 
    that they would make studies impossible or impractical in all cases. 
    The need for deferral must be considered case-by-case. A small 
    pediatric population, e.g., might make completion of controlled trials 
    very slow, but might not prevent obtaining pharmacokinetic data. Simply 
    citing a pediatric population under 200,000 will not be sufficient to 
    justify deferral; a small fraction of this number participating in 
    trials may be sufficient to support timely pediatric studies, depending 
    on the nature of the studies. As an example, over 70 percent of the 
    estimated 6,000 pediatric patients with cancer each year are enrolled 
    in clinical trials (Ref. 15). There does not seem to
    
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    be any reason to conclude that deferral is warranted solely because the 
    natural course of the disease is different in adults and children. FDA 
    also disagrees that deferral is necessarily warranted where analytic 
    tools and clinical methodologies cannot be easily adapted to pediatric 
    patients. Deferral may be necessary in some cases where the infants and 
    toddlers are unable to provide subjective outcome data, but it may also 
    be possible to utilize alternative endpoints or to extrapolate 
    effectiveness data from older pediatric age groups, obtaining 
    pharmacokinetic data from the younger age groups to determine an 
    appropriate dose. Drugs with a low therapeutic index that do not 
    fulfill an urgent need should, in general, be studied in pediatric 
    patients later in drug development.
        With respect to complex pharmacokinetic properties that prevent 
    extrapolation of adult data to pediatric patients, low-therapeutic 
    index drugs, and unique drug-drug or drug-food interactions in 
    pediatric patients, FDA believes that the need for pediatric studies 
    before approval is even greater where these conditions are present; 
    moreover, none of them represents a significant impediment to studies. 
    Recognizing that drugs and biologics approved for adults are regularly 
    prescribed to pediatric patients despite the absence of adequate dosing 
    and safety data, information positively suggesting that dosing and 
    safety cannot be extrapolated from adult data increases the importance 
    of conducting pediatric studies before the product is widely used in 
    pediatric patients. The absence of supporting nonclinical studies 
    (e.g., studies in young animals) should not usually be a basis for 
    deferral. These studies, if needed, are readily conducted. Moreover, a 
    full adult data base provides pertinent safety information that might 
    make further preclinical data unnecessary. Difficulties in developing 
    an adequate pediatric formulation may, in some cases, justify deferral 
    of studies in young pediatric patients. In other cases, however, it may 
    be appropriate to study a less-than-optimal formulation, e.g., an 
    injection, if one is available, in pediatric patients while awaiting 
    the development of a more desirable pediatric formulation.
        19. One comment argued that it was ``unacceptable'' to defer 
    pediatric studies to avoid delaying approval for adult use. Instead, 
    the comment urged FDA to provide a ``limited approval'' for adult use 
    until pediatric data are available and impose a monetary penalty for 
    failure to comply. Another comment argued that permitting deferral to 
    avoid delay in adult marketing could be applied to most applications, 
    creating a de facto situation in which pediatric data were understood 
    to be not required until 2 years after approval. One comment stated 
    that while pediatric dosing schedules are essential, pediatric studies 
    should not delay approval of drugs for a major population, adults.
        FDA continues to believe that deferral is appropriate where 
    awaiting the completion of pediatric studies would delay the 
    availability of a safe and effective drug or biological product for 
    adults. Granting a deferral does not automatically mean, however, that 
    pediatric studies need not be submitted for 2 years or that initiating 
    them should be long delayed. The proposal suggested 2 years as the 
    maximum period for a deferral. Where pediatric studies are supposed to 
    be nearing completion at the time a product is ready for approval in 
    adults, FDA expects that the period of deferral would be significantly 
    shorter than 2 years. Where some useful pediatric information, e.g., 
    safety information, is available at the time of approval, even if some 
    required studies are not complete, FDA may require that the pediatric 
    use section of the product's labeling include that information, to the 
    extent consistent with 21 CFR 201.57(f)(9). FDA also notes that it has 
    no authority to impose a monetary penalty for failure to submit a 
    required study of a drug or biological product. FDA must ask a court to 
    impose such a penalty in a contempt proceeding.
        20. Several comments argued that pediatric trials should be 
    conducted sequentially, beginning with the oldest pediatric age group, 
    and ending with the youngest. One comment stated that IRB's would 
    question testing a drug in younger children before older children. The 
    AAP argued that there is little defense for studying pediatric patients 
    sequentially from oldest to youngest, and that such a policy will 
    result in approvals without data in neonates. This comment argued that 
    the timing of studies should give consideration to safety, but without 
    consideration of sequence. Another comment argued that FDA should not 
    routinely require that drugs for serious and life-threatening diseases 
    be studied sequentially. In HIV, according to this comment, drug 
    testing should be ``as simultaneous as possible'' because safety and 
    dosing may be initiated in each age group in a dose escalating manner 
    regardless of the results in previously tested groups.
        FDA agrees that age-dependent sequential studies are not 
    necessarily appropriate. Particularly were there is urgent need for a 
    product, there may be good reason to study older and younger children 
    at the same time.
        21. A few comments objected to FDA's tentative decision to require 
    the submission of studies ordinarily no later than 2 years after the 
    initial approval. One comment stated that deferral of up to 2 years was 
    excessive, citing the ``critical'' need to ensure timely performance of 
    pediatric studies in populations where the drug is likely to be used. 
    Another comment stated that 2 years may be adequate for collecting 
    pharmacokinetic data, but not necessarily for collecting safety data. 
    According to this comment, the size of the clinical data base will be 
    the principal determinant of when data should be submitted. A comment 
    from the American Red Cross stated that the extensive IRB review of 
    studies of blood products involving pediatric patients, and the 
    difficulty in enrolling such patients, makes the 2-year deferral 
    deadline unrealistic for this category of product.
        FDA agrees with the comments that the 2-year deadline suggested by 
    the proposal may not be appropriate, and that the length of the 
    deferral should be decided on a case-by-case basis. The timing of the 
    deferred submission will depend upon such factors as the need for the 
    drug or biologic in pediatric patients, when sufficient safety data 
    become available to initiate pediatric trials, the nature and extent of 
    pediatric data required to support pediatric labeling, and 
    substantiated difficulties encountered in enrolling patients and in 
    developing pediatric formulations. FDA may also extend the date for 
    submission of studies at the time of approval, e.g., where other drugs 
    in the class have been approved during the pendency of the NDA and the 
    new drug is no longer needed as a therapeutic option.
    
    E. Waivers
    
        FDA does not intend to require pediatric assessments unless the 
    product represents a meaningful therapeutic benefit over existing 
    treatments or is expected to be used in a substantial number of 
    pediatric patients. FDA also does not intend to require pediatric 
    assessments in other situations where the study or studies necessary to 
    carry out the assessment are impossible or highly impractical or would 
    pose undue risks to pediatric patients. Thus, FDA proposed to add 
    Sec. 314.50(g)(3) (now Sec. 314.55(c)) and Sec. 601.27(c) to authorize 
    FDA to grant a waiver of the pediatric study requirement on its own 
    initiative or at the request of the applicant unless the product 
    represented a meaningful therapeutic benefit over existing
    
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    treatments, or was likely to be used in a substantial number of 
    pediatric patients. These provisions also require FDA to grant a waiver 
    if necessary studies were impossible or highly impractical, because, 
    e.g., the number of pediatric patients was very small or patients were 
    geographically dispersed, or there was evidence strongly suggesting 
    that the product would be ineffective or unsafe in some or all 
    pediatric populations. If a waiver were granted because there was 
    evidence that the product would be ineffective or unsafe in pediatric 
    patients, this information would be included in the product's labeling.
        An applicant could request a full waiver of all pediatric studies 
    if one or more of the grounds for waiver applied to the pediatric 
    population as a whole. A partial waiver permitting the applicant to 
    avoid studies in particular pediatric age groups could be requested if 
    one or more of the grounds for waiver applied to one or more pediatric 
    age groups. In addition to the other grounds for waiver, the proposal 
    would authorize FDA to grant a partial waiver for those age groups for 
    which a pediatric formulation was required (see ``Pediatric 
    Formulations'' in section III.I of this document), if reasonable 
    attempts to produce a pediatric formulation had failed.
        The proposal would require the applicant to include in the request 
    for a waiver an adequate justification for not providing pediatric use 
    information for one or more pediatric populations.
        FDA would grant the waiver request if the agency found that there 
    was a reasonable basis on which to conclude that any of the grounds for 
    a waiver had been met. If a waiver were granted on the ground that it 
    was not possible to develop a pediatric formulation, the waiver would 
    cover only those pediatric age groups requiring a pediatric 
    formulation.
        The agency also proposed two possible methods of determining a 
    ``substantial number of patients.'' The first method would focus on the 
    number of times the drug or biologic was expected to be used in 
    pediatric patients, annually. Under this method, FDA tentatively 
    concluded that 100,000 or more prescriptions or uses per year in all 
    pediatric age groups would be considered a substantial number.
        The second proposed method for establishing whether there was a 
    substantial number of pediatric patients would focus on the number of 
    pediatric patients affected by the disease or condition for which the 
    product is intended. Under this method, FDA tentatively concluded that 
    100,000 pediatric patients affected by the disease or condition for 
    which a product was indicated would be considered a ``substantial 
    number'' of pediatric patients. FDA sought comment on the waiver 
    criteria and on these methods of calculating a substantial number of 
    pediatric patients. FDA also sought comment on whether cost to the 
    manufacturer should justify a waiver.
        FDA received many comments on the waiver provisions of the 
    proposal, and has made certain changes in response to the comments, as 
    described below.
        22. As proposed, new drugs and biologics are presumptively required 
    to be studied in pediatric patients, unless a waiver is granted. The 
    presumption in the proposal was supported by comments from 
    pediatricians, a pharmacy organization, disease specific organizations, 
    and medical societies, including the AAP. Several industry comments 
    argued, however, that new drugs and biologics should presumptively not 
    be covered by the rule, unless they were specifically identified by FDA 
    as needing to be studied. One of these comments stated that companies 
    should not have to waste the effort of applying for waiver for drugs of 
    no potential benefit to pediatric patients, which the comment estimated 
    as a majority of those developed.
        FDA continues to believe that it is appropriate to presume that 
    drugs and biologics should be studied in pediatric patients, and that 
    this presumption should be overcome only if there are clear grounds for 
    concluding that such studies are unnecessary. Pediatric patients are a 
    significant subpopulation, affected by many of the same diseases as 
    adults, and are foreseeable users of new drugs and biologics. The 
    agency has stated, in the context of pediatric studies and other 
    subpopulations, that an application for marketing approval should 
    contain data on a reasonable sample of the patients likely to be given 
    a drug or biological product once it is marketed (59 FR 64240 at 64243; 
    58 FR 39406 at 39409, July 22, 1993). FDA does not believe that the 
    cost of drafting a waiver request will be great, particularly where the 
    basis for the waiver is that the product has no potential use in 
    pediatric patients. To assist sponsors in preparing such waivers, FDA 
    has included in this document a partial list of diseases that are 
    unlikely to occur in pediatric patients and for which waiver requests 
    need include only reference to this document.
        23. FDA received many comments on the proposed criteria for waiving 
    pediatric studies. A few comments supported the proposed criteria. Many 
    comments from pediatricians, medical societies, and disease-specific 
    organizations argued that the proposed grounds for waiver were too 
    broad. Several of these stated that the rule should apply to drugs for 
    all conditions that affect pediatric patients unless there is a special 
    reason not to do so. One comment argued that waivers should be 
    available only for drugs known to be extremely toxic in pediatric 
    patients or to have no anticipated use in pediatric patients.
        Other comments from the pharmaceutical industry argued that the 
    waiver provisions were too narrow. One comment from a generic trade 
    association urged that pediatric studies be required only when there is 
    a significant public health concern with respect to the safety of a 
    drug product in pediatric patients or to the availability of adequate 
    pharmacological intervention for pediatric patients for the indication. 
    Another comment stated that the criteria in the proposal ``do not begin 
    to address the complexities associated with moving forward on a 
    clinical development plan'' and argued that additional criteria should 
    include: (1) The lack of correlative safety evidence, (2) liability 
    concerns, and (3) prohibitive cost (but the sponsor, not FDA, should be 
    allowed to determine the importance of cost).
        FDA believes that the criteria for waiver in the final rule strike 
    a careful balance. On the one hand, requiring studies for all new 
    products would have potentially severe resource implications for 
    manufacturers and the agency. On the other hand, obtaining studies only 
    where the studies impose no burden on the sponsor would continue to 
    expose millions of pediatric patients to unnecessary risks and 
    ineffective treatment. Requiring pediatric studies only of those drugs 
    or biologics that offer a meaningful therapeutic benefit or that are 
    expected to be used in a substantial number of pediatric patients 
    focuses limited resources on those products that are most critically 
    needed for the care of pediatric patients.
        24. Several comments addressed the definition of ``meaningful 
    therapeutic benefit.'' Some comments from the pharmaceutical industry 
    stated that ``meaningful therapeutic benefit'' should be defined as it 
    is used in 21 CFR 314.500. (That regulation applies to drugs ``that 
    provide meaningful therapeutic benefit to patients over existing 
    treatments (e.g., ability to treat patients unresponsive to, or 
    intolerant of, available therapy, or improved patient response over 
    available therapy).'') One of these comments
    
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    suggested that analogous cases in the pediatric context would be: (1) 
    Where the drug treats a pediatric disease for which no other treatments 
    exist; (2) where the drug treats patients who are unresponsive to or 
    intolerant of other drugs; or (3) where the drug produces a superior 
    response over other treatments. One industry comment argued that the 
    agency should consult with the sponsor, and the pediatric investigators 
    involved to assess whether the drug will provide a ``meaningful 
    therapeutic benefit.'' According to the comment, the assessment should 
    include the likely use of the product in a specific pediatric 
    population, the likely benefit without increased risk to patients 
    versus existing treatments, a ``definitive need'' for a new therapy in 
    very serious or life-threatening illnesses, and the cost and 
    feasibility of developing the necessary formulations and of conducting 
    studies. Another comment from a disease-specific organization argued 
    that ``meaningful therapeutic benefit'' should be a relative term, 
    depending on the severity of the illness, the potential risk posed by 
    the drug, and the availability of alternative treatments. One comment 
    from a medical society devoted to the treatment of psychiatric 
    disorders contended that ``meaningful therapeutic benefit'' should mean 
    that the product enables a child to function better, and participate in 
    age-appropriate activities, such as playing and going to school, 
    without undue pain and suffering from the disease or disorder. Another 
    comment argued that ``meaningful therapeutic benefit'' should mean 
    better response or ability to treat nonresponsive patients. Another 
    comment maintained that the presumption should be that a product 
    represents a meaningful therapeutic benefit in pediatric patients if it 
    is expected to provide a meaningful therapeutic benefit in adults.
        Several comments from the pharmaceutical industry contended that it 
    is not possible to define meaningful therapeutic benefit before 
    approval or that FDA should not be responsible for defining it. A 
    pharmaceutical trade association argued that meaningful therapeutic 
    benefit is the decision of the sponsor, not FDA, and that it is not 
    possible to determine meaningful therapeutic benefit until a drug has 
    been used for some period of time. Another comment maintained that FDA 
    must first have adult data to reach the conclusion that a drug offers a 
    meaningful therapeutic benefit. The same comment also argued that a 
    rigorous determination of meaningful therapeutic benefit would require 
    randomized, controlled trials in pediatric patients.
        FDA disagrees that it is impossible or beyond FDA's expertise to 
    reach a conclusion before approval about whether a product has the 
    potential to offer a meaningful therapeutic benefit. FDA routinely 
    estimates the therapeutic benefit of new drugs and biologics at the 
    time applications are first submitted, in order to determine whether to 
    assign ``Priority'' (expedited) status to the review of the 
    application. In assigning Priority status to new drug applications, 
    CDER determines whether the product, if approved, ``would be a 
    significant improvement compared to'' marketed (or approved, if such is 
    required) products, including nondrug products or therapies. 
    ``Improvement can be demonstrated by, for example: (1) Evidence of 
    increased effectiveness in treatment, prevention, or diagnosis of 
    disease; (2) elimination or substantial reduction of a treatment-
    limiting drug reaction; (3) documented enhancement of patient 
    compliance; or (4) evidence of safety and effectiveness in a new 
    subpopulation'' (Ref. 16). These criteria are similar to many of the 
    criteria suggested in the comments. FDA notes that demonstration of an 
    advantage over existing products may come from evidence other than 
    head-to-head comparisons of the new product and existing products. For 
    example, in some cases a new product could be shown to lack an adverse 
    effect associated with an existing product, or to have an effect on a 
    different outcome or on a different stage of disease than an existing 
    product, without a direct comparison of the two products.
        FDA has concluded that in determining whether a product offers a 
    meaningful therapeutic benefit, it will use the Priority definition, 
    with some modifications. First, in determining whether a product is 
    expected to be an improvement over other products, the comparison will 
    be made only to other products that are already adequately labeled for 
    use in the relevant pediatric population. Second, it is often 
    therapeutically necessary to have two or more therapeutic options 
    available, because some patients will be unresponsive to a given 
    therapy. Because the Priority definition would not cover more than the 
    first or second product for a given indication or in a given class 
    (unless the product offered an advantage over others for the indication 
    or in the class), a drug or biologic will also be considered to provide 
    a meaningful therapeutic benefit if it is in a class of drugs and for 
    an indication for which there is a need for additional therapeutic 
    options. The specific number of products needed will depend upon such 
    factors as the severity of the disease being treated, and the adverse 
    reaction profile of existing therapies. FDA has added this definition 
    of meaningful therapeutic benefit to Secs. 314.55(c)(5) and 
    601.27(c)(5). This rule's definition of meaningful therapeutic benefit 
    is intended to apply only in the pediatric study context and is not 
    intended to alter the definition of a Priority drug.
        25. Several comments addressed the definition of ``a substantial 
    number of pediatric patients.'' A few comments argued that it would be 
    difficult to estimate product use until after marketing. Several 
    comments argued that FDA should not base waivers on the number of 
    patients or prescriptions. Many other comments claimed that the 
    proposed numerical cut-offs are arbitrary. These comments maintained 
    that waivers should be decided on a case-by-case basis. Several 
    comments urged that FDA consult with an expert panel in deciding 
    whether pediatric use was substantial.
        Comments from the pediatric community contended that the numerical 
    cut-offs in the proposal were too high, and would preclude studies of 
    many serious diseases affecting fewer than 100,000 pediatric patients. 
    One comment, for example, voiced concern that pediatric patients with 
    less common seizure types may not benefit from the regulations because 
    the use is not sufficiently widespread. Another comment argued that 
    numerical cut-offs should not apply to drugs for serious and life-
    threatening diseases, unless the number of pediatric patients was so 
    low as to make clinical study impossible. Another comment suggested 
    that studies be required not only for uses greater than 100,000 
    prescriptions, but for ``drugs used chronically for a defined, though 
    smaller group of pediatric patients, usually for organ-specific 
    diseases, such as kidney failure or hypertension.''
        Comments from the pharmaceutical industry argued that the numerical 
    cut-offs proposed by FDA were too low. Some of these comments argued 
    that 100,000 prescriptions per year translates to fewer than 100,000 
    patients, and that the resulting population could be so small that it 
    would be difficult to study. Several of these comments urged that cut-
    off for substantial use be 200,000 patients with the disease, the 
    threshold established by the Orphan Drug Act for identifying rare 
    diseases.
        FDA has decided to revise its proposed method of defining a 
    substantial number of patients, in light of the comments. Physician 
    mention
    
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    data from the IMS National Disease and Therapeutic Index (Ref. 38), 
    which tracks the use of drugs by measuring the number of times 
    physicians mention drugs during outpatient visits, shows that pediatric 
    use of drugs is generally grouped in two distinct ranges. Physician 
    mentions of drugs for pediatric use generally fall either below 15,000 
    per year or above 100,000 per year. Few drugs fall within the two 
    ranges. Thus, selecting a cut-off for ``substantial number of pediatric 
    patients'' in the middle of the two ranges will provide a reasonable 
    discrimination between products that are widely used and those that are 
    less commonly used, and the specific number chosen will not arbitrarily 
    include or exclude a significant number of drugs. FDA has therefore 
    chosen 50,000 as the cut-off for a substantial number of pediatric 
    patients. Because the number of pediatric patients with the disease is 
    easier to determine than the number of prescriptions per year, a 
    substantial number of pediatric patients will be defined as 50,000 
    pediatric patients with the disease for which the drug or biological 
    product is indicated. Although physician mentions per year does not 
    correspond exactly to the number of patients with the disease, they 
    provide a rough approximation and the IMS data show that the number of 
    products included or excluded is relatively insensitive to changes in 
    the cut-off chosen. As proposed, a partial waiver for a particular 
    pediatric age group would be available under this method if 15,000 
    patients in that age group were affected by the disease or condition. 
    This definition of ``a substantial number of pediatric patients'' has 
    not been codified, however, and FDA may modify it, after consulting 
    with the pediatric panel discussed in section III.M of this document 
    (``Pediatric Committee''). Any modification will be issued as a 
    guidance document.
        In response to those comments that voiced concern that this 
    definition would exclude a number of serious diseases, FDA emphasizes 
    that the definition of ``meaningful therapeutic benefit'' assures that 
    drugs and biologics will be covered by the rule if they are medically 
    needed as therapeutic options because there are insufficient products 
    adequately labeled for pediatric patients for that indication or in 
    that drug class. Until there are enough adequately labeled products 
    available, many new drugs and biologics for serious and life-
    threatening diseases will be considered to offer a meaningful 
    therapeutic benefit and thus will be required to be studied, even if 
    the products are not also used in a substantial number of pediatric 
    patients. This will be particularly true during the first few years 
    after implementation of this rule when few drugs and biologics will yet 
    be adequately labeled for use in pediatric patients, and a larger 
    proportion of new entrants into the marketplace will be considered to 
    be medically necessary therapeutic options.
        In response to the comments arguing that FDA's proposed numerical 
    cut-off is too low and will result in too many pediatric studies, FDA 
    expects to defer until after approval many of the studies of products 
    that will be used in a substantial number of pediatric patients but 
    that do not offer a meaningful therapeutic benefit. As described 
    previously in response to comments on the deferral provisions, studies 
    of new drugs and biologics that do not offer a meaningful therapeutic 
    benefit and are members of a class that is already adequately labeled 
    for pediatric patients are likely to be deferred until well after 
    approval of the product for adults.
        26. A few comments addressed the provisions that would permit 
    waiver if pediatric trials were impossible or impractical. One comment 
    argued that the provision authorizing waiver if the proposed population 
    was ``too small or geographically dispersed'' was too broad. This 
    comment urged that tests should be waived only if ``significant efforts 
    to recruit patients fail.'' The comment also argued that the 
    unsupported suggestion that tests are ``impractical'' should not be 
    accepted, and that evidence of due diligence should be required. 
    Another comment argued that waivers should never be granted because the 
    population is too small or dispersed. According to this comment, many 
    safety and pharmacokinetic studies are already performed in dispersed 
    populations, and the comment maintained that no experimental drug 
    should be administered to a child with a serious or life-threatening 
    disease without requiring that some safety data and pharmacokinetics 
    data be obtained. Another comment observed that although only 600 renal 
    transplants are performed each year in pediatric patients, pediatric 
    academic centers have been creative in forming collaborative efforts to 
    study these small groups. One comment from an organization devoted to 
    children with HIV stated that the ``impossible or highly impractical'' 
    standard must be narrowly interpreted, and that a manufacturer should 
    show that all reasonable efforts to recruit patients have failed. 
    According to this comment HIV/AIDS drugs should be a benchmark of when 
    a waiver should not be granted: Any group as big or bigger than the 
    pediatric AIDS population should be considered big enough to study.
        Another comment argued that because of special difficulties 
    encountered in recruiting pediatric patients into studies of blood 
    products, such as parental fear of disease transmission, the inability 
    to obtain a sufficient number of test subjects should be added to the 
    criteria for waiver or to the definition of ``highly impractical.''
        FDA agrees with those comments urging that this ground for waiver 
    be interpreted narrowly and that unsupported assertions be rejected as 
    a basis for waiver. Although the number of patients necessary to permit 
    a study must be decided on a case-by-case basis, FDA agrees that there 
    are methods available to conduct adequate studies in very small 
    populations. Moreover, where only safety or pharmacokinetic studies are 
    required to support pediatric labeling, the size of the population or 
    geographic dispersion would only rarely be a sufficient basis to 
    consider trials impossible or highly impractical. Because of the speed 
    and efficiency of modern communications tools, geographic dispersion 
    will justify a waiver only in extraordinary circumstances and will 
    generally have to be coupled with very small population size. FDA is 
    not persuaded that inability to recruit patients because of parental 
    fears associated with administration of the drug is an adequate basis 
    to conclude that studies are impractical where there is also evidence 
    that similar products are regularly prescribed to pediatric patients 
    outside of clinical trials.
        27. Several comments responded to the request for comment on 
    whether cost should justify a waiver. Comments from the pediatric 
    community argued that cost to the manufacturer should never or rarely 
    justify a waiver. Two of these comments stated that the cost of failure 
    to study is always higher than the cost of research. Another comment 
    stated that cost may be a factor, but FDA must be careful not to allow 
    studies to be waived automatically because they ``cost too much.'' Two 
    comments from a pharmaceutical company and a pharmaceutical trade 
    association argued that FDA should not have responsibility for 
    assessing the costs of a study.
        In light of the comments, FDA has concluded that it does not have 
    an appropriate basis to evaluate and weigh cost in granting or 
    declining to grant a waiver. Therefore, cost will not ordinarily be a 
    factor in determining whether a waiver should be granted.
    
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        28. One comment claimed that the proposal lacks adequate regulatory 
    procedures for timely processing of waiver requests and will result in 
    a new layer of bureaucracy.
        As described previously in response to comments on the deferral 
    provisions, preliminary decisions on whether to grant waivers will be 
    provided to the sponsor at the end of phase 1 for drugs and biologics 
    for life-threatening diseases and at the end of phase 2 for other 
    products. FDA does not agree that processing of waiver requests will 
    result in a new layer of bureaucracy. The decisions will be made by the 
    division responsible for reviewing the NDA or BLA. FDA intends to 
    ensure that the process is timely and fair. To reduce the burden on 
    manufacturers in applying for waivers and deferrals, FDA intends to 
    issue a guidance document providing a format for a request for waiver 
    or deferral.
        29. One comment asked that the rule clarify that the onus is on the 
    manufacturer to justify waivers. Another comment argued that the 
    proposed standard for granting a waiver (``reasonable basis'') places 
    an inadequate burden of proof on manufacturers. According to this 
    comment, manufacturers should be required to present ``persuasive 
    proof,'' and FDA should have to find that the grounds for waiver have 
    ``in fact'' been met.
        FDA agrees that the burden is on the manufacturer to justify 
    waivers, but believes that the rule already adequately imposes that 
    burden. The rule requires both a certification from the manufacturer 
    that the grounds for waiver have been met and an adequate justification 
    for the waiver request. FDA believes that it would be inappropriate to 
    require ``proof'' that the grounds for waiver have ``in fact'' been met 
    because each ground requires a degree of speculation about the safety 
    and effectiveness of, or the ability to test, a product, in a 
    population in which it has not yet been tested.
        30. Many comments from pediatricians, disease-specific 
    organizations, a pharmacists' organization, a medical society, several 
    companies, a pharmaceutical trade association, and the AAP urged that 
    the decision to require pediatric studies be reviewed by a panel of 
    outside pediatric experts. Some of the comments recommended that the 
    panel include industry representatives. The comments were divided on 
    whether the panel would review only waiver requests or would be 
    responsible for identifying, in the first instance, those drugs that 
    need study. Some of these comments believed that the rule should 
    include no criteria for granting waivers and that the decision should 
    be made on a case-by-case basis in consultation with the expert panel.
        As described later in this document, FDA intends to convene a panel 
    of pediatric experts, which will include one or more industry 
    representatives, to assist the agency in implementing this rule. FDA 
    will bring before that panel some issues related to waivers. FDA does 
    not believe, however, that it is reasonable to bring every product 
    undergoing clinical studies before the panel for a decision on whether 
    pediatric studies are required. Because many dozens of drugs and 
    biologics reach the end of phase 1 and phase 2 each year, and the panel 
    could not realistically meet more than once every few months, insisting 
    that each product be brought before the panel would introduce 
    substantial delay into the development and review of drugs and 
    biologics. Moreover, many waiver decisions will be straightforward and 
    noncontroversial.
        FDA does, however, agree that it would be beneficial to have the 
    advice of pediatric experts on its administration of the waiver 
    provisions of the rule. FDA will therefore ask the panel, at least on 
    an annual basis for the first several years, to review the agency's 
    waiver decisions and provide advice on whether it believes that the 
    criteria used in making those decisions were appropriate. FDA will use 
    the advice it receives to modify future waiver decisions. FDA also 
    expects to consult with individual members of the panel on difficult 
    waiver decisions in their fields of expertise.
        31. One comment suggested that FDA identify diseases that are not 
    likely to occur in pediatric patients, such as prostate cancer, and 
    classes of drugs not likely to be used in pediatric patients, and grant 
    blanket waivers. Another comment listed the following product classes 
    as having no applicability to pediatric patients: Alcohol abuse agents, 
    Alzheimer's agents, Amyotrophic lateral sclerosis agents, antifibrosis 
    therapy, antiparkinsonian agents, fertility agents, gout preparations, 
    multiple sclerosis drugs, oral hypoglycemics, osteoporosis agents, 
    oxytocics, tremor preparations, uterine relaxants, and vasodilators 
    (including cerebral vasodilators).
        FDA agrees that there are some disease and drug classes that have 
    extremely limited applicability to pediatric patients and that waiver 
    is appropriate for these. The decision to grant a waiver in such cases 
    would be based on a conclusion that a disease does not have sufficient 
    significance in the pediatric population (either because of frequency 
    or severity) to constitute a meaningful therapeutic benefit for 
    pediatric patients or to be used in a substantial number of pediatric 
    patients. FDA emphasizes that this decision would not be intended to 
    prevent or impede studies of these diseases or drug classes in the 
    pediatric population, should a sponsor wish to conduct them.
        The agency has identified the diseases following for which waivers 
    will be likely to be granted. Some of the diseases listed in the 
    comment are included in FDA's list. Others, such as osteoporosis, gout, 
    multiple sclerosis, and tremors can develop in children, and are not 
    included in FDA's list. Waiver decisions on products for the listed 
    diseases are expected to be straightforward and noncontroversial. FDA 
    may add to or revise this list in the future by issuing guidance 
    documents. An applicant who wishes to obtain a waiver because the 
    product is indicated for a disease on the list may refer in the waiver 
    request to this Federal Register notice, or to any guidance document 
    modifying this notice. FDA's list follows:
    
    1. Alzheimer's disease.
    2. Age-related macular degeneration.
    3. Prostate cancer.
    4. Breast cancer.
    5. Non-germ cell ovarian cancer.
    6. Renal cell cancer.
    7. Hairy cell Leukemia.
    8. Uterine cancer.
    9. Lung cancer.
    10. Squamous cell cancers of the oropharynx.
    11. Pancreatic cancer.
    12. Colorectal cancer.
    13. Basal cell and squamous cell cancer.
    14. Endometrial cancer.
    15. Osteoarthritis.
    16. Parkinson's disease.
    17. Amyotrophic lateral sclerosis.
    18. Arteriosclerosis.
    19. Infertility.
    20. Symptoms of the menopause.
    
    F. Pediatric Use Section of Application
    
        FDA proposed to add Sec. 314.50(d)(7), under which applicants would 
    be required to include in their applications a section summarizing and 
    analyzing the data supporting pediatric use information for the 
    indications being sought. FDA received no comments on this provision. 
    The new pediatric use section will be required to contain only brief 
    summaries of the studies together with a reference to the full 
    description of each provided elsewhere in the application.
    
    [[Page 66649]]
    
    G. Planning and Tracking Pediatric Studies
    
    1. Sections 312.23(a)(3)(v), 312.47 (b)(1)(i), (b)(1)(iv) and (b)(2), 
    and 312.82--Early Discussion of Plans for Pediatric Studies
        In the proposal, FDA identified several critical points in the drug 
    development process, before submission of an NDA or BLA, during which 
    the sponsor and FDA should focus on the sponsor's plans to assess 
    pediatric safety and effectiveness. These time points include: Any pre-
    IND meeting or ``end-of-phase 1'' meeting for a drug designated under 
    subpart E of part 312 (21 CFR part 312), the IND submission, the IND 
    annual report, any ``end-of-phase 2'' meeting, the presentation of the 
    IND to an FDA drug advisory committee, and any pre-NDA or pre-BLA 
    meeting. Of these, the pre-IND meeting, the ``end-of-phase 1'' meeting, 
    the IND submission, the IND annual report, the ``end-of-phase 2'' 
    meeting, and the pre-NDA/pre-BLA meeting are codified in part 312, 
    FDA's regulations governing IND's.
        In a separate rulemaking, FDA has already amended the IND annual 
    report requirement to include discussion of pediatric patients entered 
    in trials (63 FR 6854, February 11, 1998). In the proposal, FDA 
    proposed to amend Secs. 312.23(a)(3)(v), 312.47 (b)(1)(i) and (b)(2), 
    and 312.82 (a) and (b) to specify that these meetings and reports 
    should include discussion of the assessment of pediatric safety and 
    effectiveness. To assist manufacturers in planning for studies that may 
    be required under this proposal, FDA also proposed to inform 
    manufacturers, at the ``end-of-phase 2'' meeting, of the agency's best 
    judgment, at that time, of whether pediatric studies would be required 
    for the product and when any such studies should be submitted. The 
    proposal also stated that, in addition to the discussions of pediatric 
    testing codified in the proposal, FDA would assist manufacturers by 
    providing early consultations on chemistry and formulation issues 
    raised by requirements under this rule.
        Because, as described previously, studies of drugs and biologics 
    for life-threatening diseases may begin as early as the end of phase 1, 
    FDA will, at the end-of-phase 1 meeting, provide the sponsor of such a 
    product the agency's best judgment, at that time, whether pediatric 
    studies will be waived or deferred. Section 312.82(b) has been revised 
    to include this requirement. Because studies of other products may 
    begin as early as the end of phase 2, FDA will, at the end-of-phase 2 
    meeting, provide the agency's best judgment, at that time, whether 
    waiver or deferral is appropriate. Although a formal request for 
    deferral or waiver is not required until submission of the NDA or BLA, 
    FDA has revised Sec. 312.47(b)(1)(iv) to state that a manufacturer who 
    plans to seek a waiver or deferral should provide information related 
    to the waiver or deferral in the advance submission required before the 
    end-of-phase 1 or end-of-phase 2 meeting, as appropriate.
        As described earlier, a pediatric study required under this rule 
    may be eligible for exclusivity under FDAMA, if such study ``meets the 
    completeness, timeliness, and other requirements of [section 505A].'' 
    (See 21 U.S.C. 355A(i).) Among other requirements, a pediatric study 
    must, to be eligible for exclusivity, be responsive to a written 
    request for the study from FDA. To obtain a written request, a 
    manufacturer may submit a proposed written request to FDA that contains 
    the information described in a guidance document issued by FDA 
    entitled, ``Qualifying for Pediatric Exclusivity Under Section 505A of 
    the Federal Food, Drug, and Cosmetic Act.'' A manufacturer who has been 
    told in the end-of-phase 1 or end-of-phase 2 meeting that it is FDA's 
    best judgment at that time that it does not intend to waive the study 
    requirement may submit a proposed written request at any time 
    thereafter. FDA will issue a written request for a study required under 
    this rule promptly after an adequate proposed written request is 
    submitted.
        FDA also sought comment on the types of evidence that FDA should 
    examine to ensure that deferred pediatric studies are carried out in a 
    timely fashion. In response to comments, FDA has revised Secs. 312.47 
    (b)(1)(iv) and (b)(2) to require submission of information about 
    planned and ongoing pediatric studies.
        32. One comment supported the proposed provisions and the need for 
    early consultation with sponsors, stating that discussions should take 
    place as early as possible in drug development. The comment urged that 
    proposed Sec. 312.47(b)(1) be revised to acknowledge the possibility 
    that studies could already be underway.
        FDA agrees with this comment and has revised Sec. 312.47(b)(1) as 
    suggested in the comment.
        33. Several comments provided suggestions on how to assure that 
    deferred studies are carried out expeditiously. One comment urged that 
    the criteria to ensure deferred studies are carried out in a timely 
    fashion be modeled on the AIDS Clinical Trials Group (ACTG) system of 
    National Institute of Allergy and Infectious Diseases (NIAID). Another 
    comment recommended that evidence demonstrating that the required 
    studies were underway be submitted to FDA within 6 months of approval. 
    This comment suggested that the evidence should include: (1) A 
    finalized protocol, (2) evidence of sufficient entry of patients to 
    address the objective of the protocol, and (3) a time line for data 
    analysis and submission to FDA. Another comment argued that the burden 
    should be on manufacturers to provide evidence that studies are being 
    conducted with due diligence through submission of protocols, progress 
    reports and certifications by researchers. To hold manufacturers 
    accountable, this comment suggested that nonproprietary information 
    related to deferrals be made available to the public, including 
    deferral requests, FDA action, postmarketing status reports, and the 
    time line for deferred studies. One comment argued that FDA's current 
    procedures are adequate to track the timeliness of pediatric studies. A 
    pharmaceutical trade association argued that FDA should institute an 
    adequate tracking system and meet periodically with the sponsor to 
    discuss the progress of the studies, but that no new rules are needed.
        FDA agrees that an adequate system for ensuring that studies, both 
    deferred and nondeferred, are carried out in a timely manner requires 
    the submission of plans and progress reports from the sponsor at 
    defined intervals. As described previously, FDA will provide sponsors 
    with a preliminary decision on whether pediatric studies will be 
    required and their timing at the end-of-phase 1 meeting, for drugs and 
    biologics for life-threatening diseases, and at the end-of-phase 2 
    meeting, for other products. FDA has revised Sec. 312.47(b)(1)(iv) to 
    state that sponsors should submit, in the advance submission for the 
    end-of-Phase 2 meeting, a proposed time line for protocol finalization, 
    enrollment, completion, data analysis, and submission of pediatric 
    studies, or, in the alternative, information to support a planned 
    request for waiver or deferral. For drugs and biologics for life-
    threatening diseases, the submission should be made in advance of the 
    end-of-Phase 1 meeting. FDA has also revised Sec. 312.47(b)(2)(iii) to 
    state that sponsors should submit, in the submission in advance of the 
    pre-NDA or pre-BLA meeting, information on the status of needed and 
    ongoing pediatric studies. The proposed language of Sec. 312.47 has 
    been slightly modified to
    
    [[Page 66650]]
    
    seek information on ``needed'' and ongoing studies rather than 
    ``planned'' and ongoing studies. This change has been made because not 
    every sponsor elects to have an end-of-phase 1 or end-of-phase 2 
    meeting. In those cases, the need for a pediatric study may be 
    discussed for the first time at the pre-NDA or pre-BLA meeting. FDA has 
    also revised the title of Sec. 312.47(b)(2) from `` `Pre-NDA' 
    meetings'' to `` `Pre-NDA' and `pre-BLA' meetings.'' This is merely a 
    clarification, because part 312 is expressly applicable to products 
    subject to the licensing provisions of the Public Health Service Act, 
    as well to products subject to section 505 of the act and 21 CFR 
    312.2(a).
    2. Sections 314.81(b)(2) and 601.37--Postmarketing Reports
        To permit FDA to monitor the conduct of postapproval studies to 
    ensure that they are carried out with due diligence, FDA proposed to 
    amend Sec. 314.81(b)(2) of the postmarketing report requirements to 
    require applicants to include in their annual reports: (1) A summary 
    briefly stating whether labeling supplements for pediatric use have 
    been submitted and whether new studies in the pediatric population to 
    support appropriate labeling for the pediatric population have been 
    initiated; (2) where possible, an estimate of patient exposure to the 
    drug product, with special reference to the pediatric population; (3) 
    an analysis of available safety and efficacy data in the pediatric 
    population and changes proposed in the label based on this information; 
    (4) an assessment of data needed to ensure appropriate labeling for the 
    pediatric population; and (5) whether the sponsor has been required to 
    conduct postmarket pediatric studies and, if so, a report on the status 
    of those studies. (Additional postmarketing reporting requirements are 
    described under ``Remedies'' in section III.L of this document.) 
    Although the proposal was intended to cover both drugs and biological 
    products, the proposal inadvertently omitted a postmarketing reports 
    requirement specifically applicable to biological products. In the 
    final rule, FDA has corrected this oversight and included an identical 
    postmarketing reports requirement in Sec. 601.37.
        FDA notes that FDAMA includes a provision requiring reports of 
    postmarketing studies in a form prescribed by the Secretary of Health 
    and Human Services (the Secretary) in regulations. (Section 506 of the 
    act (21 U.S.C. 356B).) At such time as regulations implementing this 
    provision are issued, FDA may modify or withdraw Secs. 314.81(b)(2) and 
    601.37 for consistency with the implementing regulations.
        34. Three comments from the pharmaceutical industry agreed that it 
    was appropriate to require postmarketing reports on the progress of 
    postapproval pediatric studies. One comment argued, however, that 
    collection of this information along with an adequate system to track 
    pediatric studies could preclude the need to finalize the rule. Another 
    comment argued that the required analyses of pediatric data ``may lead 
    to exposure of a larger number of children to an unapproved product.'' 
    This comment also contended that estimates of patient exposure are 
    difficult to obtain and unreliable.
        FDA disagrees that postmarket reports and a tracking system are an 
    adequate means of assuring that drugs and biologics are appropriately 
    labeled for pediatric use. As shown above, even postmarket commitments 
    to conduct pediatric studies have infrequently resulted in pediatric 
    labeling submissions. FDA also disagrees that the analyses required 
    under Sec. 314.81(b)(2) require exposure of any new patients. The 
    analyses referred to in the provision are of already collected data. 
    Finally, the rule requires estimates of patient exposure ``where 
    possible.'' If there are no data on which to make such estimates, the 
    estimates are not required. FDA notes, however, that there are 
    commercial data bases designed to estimate use of marketed drugs.
        35. One comment argued that FDA should require postmarket 
    surveillance of approved drugs that do not have pediatric labeling, to 
    generate helpful comparative information and provide additional 
    information useful for analysis of adverse event profiles.
        The provisions of the final rule require manufacturers of approved 
    drugs without pediatric labeling to conduct postmarket surveillance on 
    their products and provide an analysis of available safety and efficacy 
    data in the pediatric population.
    
    H. Studies in Different Pediatric Age Groups
    
        Because the pharmacokinetics and pharmacodynamics of a drug or 
    biological product may be different in different pediatric age groups 
    or stages of development, FDA proposed to require an assessment of 
    safety and effectiveness in each pediatric age group for which a waiver 
    was not granted. The following age categories for the pediatric 
    population were distinguished in the proposal: (1) Neonates (birth to 1 
    month); (2) infants (1 month to 2 years); (3) children (2 years to 12 
    years), and (4) adolescents (12 years to 16 years). The proposal stated 
    that the need for studies in more than one age group would depend on 
    whether the drug or biological product was likely to be used or offered 
    meaningful therapeutic benefit in each age group (see ``Waivers'' 
    section III.E of this document), the metabolism and elimination of the 
    drug, and whether safety and effectiveness in one age group could be 
    extrapolated to other age groups. The proposal further stated that it 
    would not ordinarily be necessary to establish effectiveness in each 
    age group, but there would generally need to be pharmacokinetic data in 
    each group to allow dosing adjustments. The proposal recognized that 
    studies in neonates and young infants present special problems, and 
    sought comment on whether it is appropriate to require the assessment 
    of safety and effectiveness in this age group.
        36. Several comments addressed the requirement that all relevant 
    age groups be studied. Some comments opposed studies in more than one 
    age group. One comment contended that requiring safety data in each 
    pediatric group may place an unnecessary burden on the sponsor, and 
    that FDA should require safety data only in one group, presumably that 
    with the highest potential use. Another comment claimed that requiring 
    studies in all four age groups would almost never be justified. In most 
    cases, according to this comment, it should be possible to study a 
    single subgroup and extrapolate. Other comments argued that studies in 
    more than one age group could be necessary depending on the 
    pharmacokinetics of the drug, the disease, and expected use of the 
    drug. Most of these comments stated that the type and extent of studies 
    in different age groups must be decided on a case-by-case basis. 
    Several comments contended that drugs should be studied in each age 
    group in which they are expected to be used. One comment stated that 
    studies in toddlers are especially needed. A comment from an 
    organization devoted to pediatric AIDS argued that all age groups 
    should be studied unless the manufacturer provides compelling evidence 
    that it would be impossible or virtually impossible to study that 
    group.
        FDA continues to believe that studies in more than one age group 
    may be necessary, depending on expected therapeutic benefit and use in 
    each age group, and on whether data from one age group can be 
    extrapolated to other age groups.
    
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        37. Many comments argued that the pediatric subgroups identified in 
    the proposal were arbitrary and that FDA should be flexible in 
    determining which age ranges or stages of development need to be 
    studied. A comment from a pharmaceutical trade association contended 
    that rigid age divisions for required studies were inappropriate, and 
    that the method by which the compound is cleared from the body must be 
    considered in light of what is known about physical development. The 
    AAP stated that the groups identified in the proposal provide 
    acceptable guidelines, but should not be adhered to rigidly. One 
    comment argued that the definition of pediatric patients should include 
    all subgroups of growth and development from 0 to 21 years.
        FDA agrees that the age ranges identified in the proposal may be 
    inappropriate in some instances and that it will be reasonable in some 
    cases to define subgroups for study using other methods, such as stage 
    of development. FDA has deleted the references in the rule to specific 
    age ranges.
        38. Several comments addressed inclusion of neonates in studies. 
    One comment maintained that because neonates are a special challenge, 
    they should not ordinarily be included in studies under this rule. 
    Another comment described the difficulties in conducting studies in 
    infants and neonates and recommended that before studies in this group 
    there be an assessment of ``the expected extent of use and potential 
    benefit in this patient population'' and an evaluation of safety data 
    in adults and older pediatric patients. One comment contended that 
    there are not many instances in which the benefit will outweigh the 
    risk of exposing neonates and young infants to drugs. This and another 
    comment also argued that it is not always possible to extrapolate from 
    data in older pediatric patients. A pharmaceutical trade association 
    maintained that validated end-points and ability to assess these by age 
    should determine which age groups to include, and that it may not be 
    possible to study certain end-points in very young pediatric patients. 
    One comment argued that early research on neonates raises special 
    ethical issues. Citing the 1977 FDA guideline, this comment asserted 
    that testing in neonates should occur only when substantial evidence of 
    benefit or superiority over accepted agents has been demonstrated in 
    older pediatric patients and adults.
        Other comments argued that neonates should not be excluded from 
    studies. According to one comment, study designs will be appropriate 
    and necessary ethical issues will be addressed if neonatologists are 
    included in the review of studies. Another comment stated that neonates 
    represent the greatest disparity in drug disposition compared to 
    adults, and that, on a scientific and ethical basis, they must 
    therefore be included in drug studies. The AAP stated that premature 
    infants, newborns, and infants are more difficult to study, but that 
    the difficulties do not outweigh the importance of studying them. 
    According to this comment, inadequate study of neonates has led to 
    frequent and severe toxicity. This comment agreed that it is 
    inappropriate to extrapolate from older pediatric patients to the 
    youngest age group.
        FDA agrees that the benefits and risks to premature infants, 
    neonates, and infants must be carefully weighed before these pediatric 
    patients are included in pediatric studies. Although the agency 
    believes that studies in these groups may be frequently waived or 
    deferred until adequate safety data have been collected, there will be 
    cases in which the drug or biologic is important and expected to be 
    used in these groups. In such cases, it will be appropriate to require 
    studies in these groups. To exclude them from study would be to subject 
    the most vulnerable patients to the risks of the drugs in clinical use 
    without adequate information about safety or dosing. FDA agrees that 
    studies in neonates and young infants raise special ethical issues, but 
    once these issues are addressed in each case, the studies should 
    proceed.
    
    I. Pediatric Formulations
    
        As described in the proposal, testing of a product in pediatric 
    patients could require the development of a pediatric formulation. Many 
    young children are unable to swallow pills and may require a liquid, 
    chewable or injectable form of the product. A standardized pediatric 
    formulation also ensures bioavailability and consistency of dosing, 
    compared to alternatives such as mixing ground-up tablets with food, 
    and permits meaningful testing of safety and effectiveness. FDA 
    proposed in Secs. 201.23, 314.50(g)(1) (now 314.55(a)) and 601.27(a) to 
    require a manufacturer to produce a pediatric formulation, if one were 
    necessary, only in those cases where a new drug or new biological 
    product provided a meaningful therapeutic benefit over existing 
    treatments, and where the study requirement had not been waived in the 
    age group requiring the pediatric formulation. The proposal recognized 
    that the difficulty and cost of producing a pediatric formulation may 
    vary greatly depending upon such factors as solubility of the compound 
    and taste. FDA proposed to waive the requirement for pediatric studies 
    (see ``Waivers'' in section III.E of this document) in age groups 
    requiring a pediatric formulation, if the manufacturer provided 
    evidence that reasonable attempts to produce a pediatric formulation 
    had failed.
        FDA sought comment on whether it is appropriate to require a 
    manufacturer to develop a pediatric formulation, on whether the cost of 
    developing a pediatric formulation should ever justify a waiver of the 
    pediatric study requirement, and on how to define ``reasonable 
    attempts'' to develop a pediatric formulation.
        39. Many comments from the pediatric community argued that it is 
    appropriate to require manufacturers to produce pediatric formulations. 
    Several comments from pediatricians and parents described the 
    difficulties and uncertainties in attempting to administer adult 
    formulations to pediatric patients, and argued that pediatric 
    formulations are essential to assure bioavailability, accurate dosing, 
    and patient compliance, and to avoid wasting medications. The AAP 
    argued that FDA should require development of an appropriate 
    formulation for each age group for which the drug will be used, taking 
    into account ease of administration and ability to dose accurately.
        Comments from the pharmaceutical industry described technical 
    problems in producing pediatric formulations, including stability, 
    taste and palatability, and claimed that FDA underestimated these 
    difficulties. Some of these comments maintained that requiring 
    development of pediatric formulations during the investigational phase 
    will necessitate diversion of resources, increase the cost of the adult 
    formulation, and create a disincentive to produce drugs with pediatric 
    uses. One comment argued that it would be wasteful to require 
    development of a pediatric formulation before some evidence of 
    effectiveness has been collected and dose selection has been achieved, 
    because before that time the drug could be abandoned because of lack of 
    safety or effectiveness. A pharmaceutical trade association opposed a 
    pediatric formulation requirement, arguing that the government has no 
    right to tell manufacturers what products to market. This comment 
    stated that only if FDA successfully demonstrated that ``all attempts 
    to develop a voluntary solution have failed'' might the industry 
    consider other options. One comment stated that
    
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    a single drug could require more than one pediatric formulation for 
    different pediatric age group, such as a chewable tablet, a nonalcohol 
    containing liquid, and sprinkles. Counting failed attempts, this 
    comment claimed that producing a pediatric formulations may cost 
    millions of dollars.
        FDA believes that for drugs and biologics that offer a meaningful 
    therapeutic benefit to pediatric patients, it is essential to provide 
    pediatric formulations that ensure bioavailability and accurate dosing. 
    FDA disagrees that it is inappropriate for the government to require 
    manufacturers to produce pediatric formulations. As many comments 
    demonstrated, adult formulations of these drugs are frequently used in 
    pediatric patients because there is no other choice. Drug manufacturers 
    profit from these uses, but do not take responsibility for them. Where 
    a product is commonly being used in a subpopulation for an indication 
    recommended by the manufacturer, it is appropriate to require the 
    manufacturer to take steps to ensure that the use is safe and 
    effective.
        FDA agrees that producing a pediatric formulation can be difficult 
    or, rarely, impossible and has attempted to account for this problem by 
    permitting waiver of the pediatric study requirement where reasonable 
    attempts to produce a pediatric formulation have failed. FDA notes that 
    the pharmaceutical industry did not respond to FDA's request to help 
    define what should constitute such ``reasonable attempts.''
        To permit pediatric studies that may begin, for products for life-
    threatening diseases, at the end of phase 1, or, for other products, at 
    the end of phase 2, it may be necessary to begin development of a 
    pediatric formulation before initiation of clinical trials. FDA does 
    not agree that it is wasteful to begin development of a pediatric 
    formulation at this stage. This rule is premised on the view that for 
    drugs and biologics that will have important use in pediatric patients, 
    it is the responsibility of the manufacturer to ensure that use is safe 
    and effective. Although some such products may ultimately prove to be 
    unsafe or ineffective, work on pediatric formulations of such products 
    is not necessarily more wasteful than work on adult formulations. FDA 
    does not agree that manufacturers will be required to develop several 
    pediatric formulations for different age groups. Even for a drug that 
    was to be used in all pediatric age groups, a liquid formulation, e.g., 
    might be usable in all age groups.
        FDA has no basis to conclude that producing pediatric formulations 
    will increase the cost of adult formulations or create disincentives 
    for producing drugs and biologics with pediatric uses. No evidence was 
    submitted to support either of these assertions.
        40. Several comments discussed how to define ``reasonable 
    attempts'' to produce a pediatric formulation. The AAP argued that 
    difficulty in producing a pediatric formulation should be a basis for 
    waiver only if the sponsor provides data showing that formulation 
    experts encountered insurmountable problems of solubility, stability, 
    compatibility, or palatability using accepted methods, and that cost be 
    given only limited consideration. The AAP urged that such an assertion 
    be corroborated by a panel of pediatric experts and FDA as well as 
    formulation experts. Another comment agreed that formulations 
    appropriate for younger age groups should be developed unless the 
    manufacturer shows it would be virtually impossible. This comment 
    argued that if a manufacturer wants to show that the cost is 
    prohibitive, it should provide information allowing the financial and 
    other costs of development to be seen in terms of the entire drug 
    development process. Another comment argued that waivers should not be 
    based on whether reasonable efforts to develop a pediatric formulation 
    have failed because this ground for a waiver would permit small 
    companies to avoid producing pediatric formulations on cost grounds. 
    This comment urged that waivers be allowed only if a pediatric 
    formulation cannot be produced for scientific or technological reasons. 
    One comment argued that even if producing a pediatric formulation is 
    impossible, the manufacturer should be required to study the adult 
    formulation in pediatric patients, because it will be used in pediatric 
    patients.
        One industry comment urged that the decision to require a pediatric 
    formulation be made on a case-by-case basis. Another comment argued 
    that pediatric formulations should be required only if a panel of 
    pediatric experts concludes that there is a genuine pediatric need and 
    substantial benefit.
        FDA agrees that the burden should be on the manufacturer to provide 
    evidence that experts in formulation chemistry had encountered 
    unusually difficult technological problems in the development of a 
    pediatric formulation. In determining whether those problems were 
    sufficiently severe to warrant a waiver of pediatric studies, FDA will 
    consider the potential importance of the product for pediatric 
    patients. The more important the product, the more efforts should be 
    made to develop a pediatric formulation. FDA will also, at its 
    discretion, take to the Advisory Committee for Pharmaceutical Sciences 
    questions about whether ``reasonable attempts'' have been made to 
    produce pediatric formulations in particular cases. Although FDA 
    believes that it is appropriate to consider the cost to the 
    manufacturer in determining whether attempts to produce a pediatric 
    formulation have been reasonable, the agency received no helpful 
    guidance on how to assess whether the costs of producing a pediatric 
    formulation were unreasonable. In addition to any informative cost 
    information provided by the manufacturer, FDA will take into account 
    whether a product is still under patent or exclusivity protection. FDA 
    will assume that manufacturers can incur greater costs for products 
    that have significant patent life or exclusivity remaining.
        41. One comment contended that FDA chemistry requirements have 
    increased over the last 10 years. Another comment urged that FDA be 
    more flexible in its review of formulations, e.g., by permitting 
    generally recognized as safe (GRAS) substances in pediatric 
    formulations.
        FDA recently held a conference on pediatric formulations at which 
    the agency sought input from industry on identifying the regulatory 
    issues that affect the development of pediatric formulations for both 
    new and approved marketed drugs. At this meeting, FDA also requested 
    proposals for solutions to facilitate the development and approval of 
    pediatric formulations. FDA is committed to removing unnecessary 
    burdens on the review and approval of pediatric formulations.
        42. Two comments urged manufacturers to provide formulas in product 
    labeling for extemporaneous pediatric formulations made by pharmacists. 
    These comments stated that the current practice among hospital 
    pharmacies is to use unvalidated formulas, resulting in a lack of 
    consistency from one hospital to another, no stability testing, and, in 
    some cases, reluctance to produce pediatric formulations at all because 
    of the lack of guidance. One comment stated that information on 
    extemporaneous formulations should be provided only where: (1) A 
    commercial formulation is not possible or (2) the drug has extremely 
    limited use in pediatric patients.
        FDA is concerned that the availability of this approach may 
    undermine efforts to produce standardized pediatric formulations. There 
    are, however, one or two examples in which approved labeling carries 
    directions for producing
    
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    extemporaneous pediatric formulations. FDA will consider, on a case-by-
    case basis whether such an approach is appropriate, e.g., where it has 
    not been possible to develop a stable commercial formulation.
    
    J. Marketed Drug and Biological Products
    
        FDA proposed in Sec. 201.23 to codify its authority to require, in 
    certain circumstances, a manufacturer of a marketed drug or biological 
    product to submit an application containing data evaluating the safety 
    and effectiveness of the product in pediatric populations. FDA proposed 
    to impose such a requirement only where the agency made one of two 
    findings: (1) That the product was widely used in pediatric populations 
    and the absence of adequate labeling could pose significant risks to 
    pediatric patients; or (2) the product was indicated for a very 
    significant or life-threatening illness, but additional dosing or 
    safety information was needed to permit its safe and effective use in 
    pediatric patients.
        Before requiring a study under this section, FDA proposed to 
    consult with the manufacturer on the type of studies needed and on the 
    length of time necessary to complete them, and would notify the 
    manufacturer, by letter, of the agency's tentative conclusion that such 
    a study was needed and provide the manufacturer an opportunity to 
    provide a written response and to have a meeting with the agency. At 
    the agency's discretion, such a meeting could be an advisory committee 
    meeting. If, after reviewing any written response and conducting any 
    requested meeting, FDA determined that additional pediatric use 
    information was necessary, FDA proposed to issue an order requiring the 
    manufacturer to submit a supplemental application containing pediatric 
    safety and effectiveness data within a specified time. The proposal 
    referred to the order in one place as a letter. FDA has clarified the 
    final rule by stating that the manufacturer will receive ``an order, in 
    the form of a letter.'' A few other minor clarifying revisions have 
    also been made in this section.
        FDA sought comment on whether it should codify its authority to 
    require the manufacturers of marketed drugs and biologics to conduct 
    pediatric studies, and, if so, on the circumstances in which the agency 
    should exercise that authority.
        43. Many comments from the pediatric community agreed that FDA 
    should codify its authority to require pediatric studies on marketed 
    drugs. Several comments from the pharmaceutical industry argued that 
    FDA lacked authority to require studies of marketed drugs and that the 
    1994 rule sufficiently addressed pediatric labeling for marketed drugs. 
    Some comments argued that adding pediatric labeling for indications 
    applicable to pediatric patients should be at the sponsor's discretion. 
    Others claimed that incentives are better than requirements. One 
    comment contended that the proposed requirement forces manufacturers 
    ``to take on unwanted liabilities in order to maintain an asset which 
    was created and earned under a different set of rules.'' Other comments 
    maintained that companies should not be required to conduct new 
    studies, and that pediatric labeling should be based on existing data, 
    such as marketing experience and dosing regimens generally accepted by 
    experts. A comment from a pharmaceutical trade association argued that 
    studies should not be required but that FDA should work with industry 
    and others to ``develop creative ways to obtain the needed labeling 
    information'' for marketed drugs.
        FDA believes that it has ample authority to require pediatric 
    studies of marketed drugs and biologics, as described in the preamble 
    to the 1994 rule (59 FR 64240 at 64243) and in ``Legal Authority'' 
    section IV of this document. FDA has also concluded, as described 
    previously, that the response to the 1994 rule and other voluntary 
    measures have not produced a significant improvement in pediatric 
    labeling for many marketed drugs and biologics. In addition, as one 
    pharmaceutical company conceded, manufacturers are unlikely to initiate 
    clinical research on marketed drugs whose patents have expired, or are 
    about to expire. FDA has therefore concluded that where pediatric 
    information is critical to patient care, it is necessary to require 
    that pediatric studies be carried out. FDA notes that new requirements 
    are sometimes imposed on already marketed consumer products when such 
    requirements are necessary to protect the public health. FDA 
    emphasizes, however, that it will require studies of marketed products 
    only in the compelling circumstances described in the regulation.
        44. FDA received many comments on the grounds for requiring studies 
    of marketed products. Comments from medical societies, pediatricians, 
    and disease-specific organizations argued that the proposed grounds 
    were too narrow. One comment stated that pediatric studies should be 
    required of any marketed drug that is likely to be used in pediatric 
    patients. Several comments argued that the phrase ``very significant 
    illness'' was ill-defined. One comment stated that it was ``so open-
    ended and subjective as to be impossible for use as a regulatory 
    standard.'' Another comment suggested that any definition of ``very 
    significant illness'' would be arbitrary and overbroad. Several 
    comments urged that the same criteria that are applied to not-yet-
    approved drugs be applied to marketed drugs. One of these comments 
    argued that even if the criteria remain as proposed, ``widely used'' 
    and ``significant risk'' should be defined in terms of the severity of 
    the illness. According to this comment, if the consequences of no 
    treatment are serious, the absence of labeling should be more readily 
    found to present a significant risk. One industry comment maintained 
    that the requirement should apply to marketed drugs only where there is 
    a ``compelling need'' for pediatric data. One comment argued that the 
    requirement should apply to all marketed drugs unless an expert panel 
    concluded that studies were not required, while other comments urged 
    that FDA utilize an expert panel to affirmatively identify and 
    prioritize marketed drugs that should be studied in pediatric patients. 
    Some of these comments suggested that there be no criteria and that the 
    panel should determine which drugs should be studied on a case-by-case 
    basis. One comment suggested that the list should be prioritized using 
    the number of pediatric prescriptions.
        FDA believes that criteria are necessary to assure consistency and 
    fairness in deciding which marketed drugs and biologics are studied. 
    FDA has reviewed the grounds for requiring pediatric studies of 
    marketed drugs and biologics and has revised them in light of the 
    comments. FDA has concluded that the phrase ``very significant 
    illness'' is not sufficiently defined and agrees that it would be less 
    confusing to use the same concepts that are used in defining which new 
    products will be subject to the pediatric study requirement. FDA has 
    therefore replaced the concept of ``very significant illness'' and 
    replaced it with ``meaningful therapeutic benefit.'' However, to ensure 
    that this authority is reserved for cases in which there is a 
    compelling need for studies, FDA has added the requirement (already 
    present in the first criterion) that FDA also find that the absence of 
    adequate labeling could pose significant risks for pediatric patients. 
    The second criterion will now read:
    
    
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        * * * there is reason to believe that the drug product would 
    represent a meaningful therapeutic benefit over existing treatments 
    for pediatric patients for one or more of the claimed indications, 
    and the absence of adequate labeling could pose significant risks to 
    pediatric patients.
    
        FDA has also revised the first criterion to conform more closely to 
    the criteria for requiring studies in not-yet-approved drugs and 
    biologics, replacing ``widely used'' with ``used in a substantial 
    number of pediatric patients.'' FDA will use the same definition of 
    ``substantial number'' for both marketed and not-yet-approved drugs and 
    biologics. The first criterion will, however, continue to include the 
    requirement that ``the absence of adequate labeling could pose 
    significant risks to patients.'' FDA believes that the pediatric study 
    requirement may impose greater burdens on the manufacturers of marketed 
    drugs and biologics than the manufacturers of not-yet-approved 
    products, and that it is appropriate to require such studies only in 
    the compelling circumstances described in the regulation. In 
    determining which marketed products ``could pose significant risks to 
    patients,'' FDA will consider such factors as the severity of the 
    illness and the consequences of inadequate treatment, the number of 
    pediatric prescriptions, and any available information on adverse 
    events associated with use of the product.
        FDA emphasizes that it intends to exercise its authority under 
    Sec. 201.23 only in compelling circumstances. FDA has estimated that it 
    will require studies of approximately two marketed drugs per year.
        FDA agrees that an expert panel can provide useful experience and 
    guidance in developing a prioritized list of marketed drugs and 
    biologics that meet the criteria for required studies. FDA intends to 
    seek advice on developing such a list from a pediatric panel, as 
    described in section III.M of this document (``Pediatric Committee'').
        FDA also notes that FDAMA requires the agency to publish a list of 
    marketed drugs for which ``additional pediatric information may produce 
    health benefits in the pediatric population.'' FDA published this list 
    within 180 days of the enactment of FDAMA, as required by that statute. 
    Although the products on the list designated as high priority may be 
    appropriate candidates for required studies under this rule, the list 
    of high priority products is not necessarily exhaustive. Other products 
    that might be subject to a requirement under this rule might not appear 
    on the list. FDA also emphasizes that there is no implication that the 
    agency will require studies of any particular product on the list. As 
    noted in the Introduction to this preamble, before imposing any 
    requirements under Sec. 201.23, FDA intends to allow manufacturers 
    eligible for FDAMA incentives an adequate opportunity to voluntarily 
    conduct studies of marketed drugs in response to those incentives. If, 
    following such an opportunity, there remain marketed drugs for which 
    studies are needed and the compelling circumstances described in the 
    rule are met, the agency will consider exercising its authority to 
    require studies.
        45. One comment claimed that the proposal requires studies only 
    from manufacturers of innovator drugs (sponsors of the original 
    application for the drug), while the major market share for many of 
    these drugs is now held by generic manufacturers. This comment argued 
    that a waiver should be granted if ANDA holders fail to share the costs 
    of required studies. Another comment argued that the pediatric study 
    requirement should apply only to the sponsor of the original 
    application.
        Where the agency requires pediatric studies on a multi-source 
    marketed drug, each manufacturer of that drug, whether innovator or 
    generic, will be responsible for satisfying the study requirement. To 
    avoid duplication of research, FDA will encourage all the manufacturers 
    to jointly fund an appropriate study. If, however, a joint study is not 
    agreed to, each manufacturer will be responsible for submitting 
    adequate studies.
    
    K. Ethical Issues
    
        In the proposal, FDA noted that because pediatric patients 
    represent a vulnerable population, special protections are needed to 
    protect their rights and to shield them from undue risk. To address 
    ethical concerns in research on pediatric patients, both the AAP (Ref. 
    17) and the Department of Health and Human Services (DHHS), 45 CFR part 
    46, subpart D, have developed guidelines for the ethical conduct of 
    clinical studies in pediatric patients. FDA advised in the proposal 
    that sponsors should adhere to these guidelines for pediatric studies 
    conducted under this rule. The agency also sought comment on ethical 
    issues raised by the proposal.
        46. A few comments addressed appropriate ethical guidelines for 
    pediatric studies. Several comments said that existing ethical 
    guidelines provide an adequate framework for pediatric studies. A 
    comment from the AAP stated that ethical conduct should be guided by 
    the DHHS and AAP guidelines, and that IRB approval that explicitly 
    ensures protection of vulnerable subjects should be obtained. This 
    comment also stated that the AAP guidelines provide a means to ensure 
    ethical conduct of studies without impeding pediatric research. One 
    comment said that DHHS ethics regulations may not provide sufficient 
    protection for pediatric patients and suggested incorporating AAP 
    guidelines for ethical conduct of pediatric studies into FDA's human 
    subjects protections regulations. Another comment contended that 
    pediatric studies should strictly adhere to regulations currently in 
    effect for studies of human subjects who are unable to give consent, 
    and urged FDA to further define requirements for investigation in 
    vulnerable populations.
        FDA believes that adherence to the DHHS and AAP guidelines will 
    provide sufficient protection to pediatric patients from the risks of 
    research. FDA will, however, seek advice from a panel of pediatric 
    experts on whether additional protections are necessary.
        47. Several comments addressed the ethics of requiring pediatric 
    studies as described in the proposal. Two comments asserted that 
    children are overmedicated and that administering drugs to children is 
    unacceptable and ``ungodly.'' Comments from the pharmaceutical industry 
    claimed that the rule as drafted would result in unethical testing of 
    pediatric patients. One comment maintained that the regulations do not 
    adequately protect pediatric patients from the risks of research 
    because they impose a ``general rule that a deferral of testing in 
    pediatrics will only be granted in narrow and limited circumstances.''
        In contrast, comments from the pediatric community maintained that 
    far more serious ethical concerns are raised by using untested drugs in 
    pediatric patients than by conducting pediatric research. A comment 
    from the AAP stated that there is no greater ethical dilemma than 
    whether to give a drug with insufficient safety and effectiveness data 
    to a child, or to withhold treatment and let the disease progress 
    unabated.
        Some comments suggested specific points in drug development at 
    which pediatric testing becomes ethical. One comment argued that 
    testing in pediatric patients before efficacy is demonstrated in adults 
    may unnecessarily expose pediatric patients to a product's risks before 
    its benefits are established. Another comment contended that it is 
    unethical to begin studying drugs in pediatric patients that are not 
    intended primarily for pediatric patients until the drug is adequately 
    characterized in
    
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    adult patients, including choice of appropriate adult dose and 
    establishment of reasonable evidence of safety and efficacy with an 
    acceptable therapeutic margin. A pharmaceutical trade association 
    argued that it is unethical to begin trials in pediatric patients until 
    enough adult safety and effectiveness data have been gathered to 
    conclude that the drug ``is likely to be approved for use in adults.''
        FDA believes that some of the comments from the pharmaceutical 
    industry misstate the application of the rule. As described fully 
    previously, deferral of pediatric studies is specifically permitted in 
    those cases where data should be collected in adults before exposing 
    pediatric patients to the agent. There is no suggestion in either the 
    proposed or final rule that deferral will be granted only in ``narrow 
    and limited circumstances.'' FDA believes that, as drafted, the 
    deferral provisions of the rule permit ethical pediatric testing that 
    does not expose pediatric patients to inappropriate risks.
        48. A few comments urged that placebo-controlled trials in 
    pediatric patients be used rarely if at all. The AAP stated that 
    placebo controls should not be used where that design would impose a 
    substantial increase in risk to the child or would impede the ability 
    to perform useful clinical trials. This comment urged that alternatives 
    to placebo controls be used wherever possible and that where placebo 
    controls are used, the study design should incorporate safeguards to 
    avoid undue risk.
        The question of appropriate control group arises only when there is 
    a need for controlled trials to establish efficacy in the pediatric 
    population. FDA agrees that alternatives to placebo-controlled trials 
    should be used wherever they can provide sufficient information to 
    establish effectiveness. FDA often accepts data from active control 
    studies for certain therapeutic classes, such as anti-infectives and 
    oncologic drugs. (See 21 CFR 314.126.) In some cases, new treatments 
    can also be studied against a placebo together with a background of 
    existing therapy, i.e., studied in ``add-on'' trials.
        49. One comment argued that parents should not be given money or 
    equivalent compensation for participation in drug studies. This comment 
    suggested that any compensation could be put in the child's IRA.
        The IRB overseeing a research study, rather than FDA, is 
    responsible for determining whether compensation offered to the 
    subjects of the study is ethically appropriate.
    
    L. Remedies
    
        If a manufacturer failed, in the time allowed, to submit adequate 
    studies to evaluate pediatric safety and effectiveness required under 
    proposed Sec. 201.23(c) or Sec. 314.55 (proposed Sec. 314.50(g)), FDA 
    proposed to consider the product misbranded under section 502 of the 
    act or an unapproved new drug under section 505(a) of the act (see 
    ``Legal Authority,'' in section IV of this document). Although proposed 
    Sec. 201.23 expressly covered both drugs and biologics, FDA 
    inadvertently omitted in that section a reference to actions against 
    biologics that have not obtained a license under section 351 of the 
    Public Health Service Act. Such a reference has been added in the final 
    rule. When a product is misbranded or an unapproved new drug, sections 
    302, 303, and 304 of the act (21 U.S.C. 332, 333, 334) authorize 
    injunction, prosecution or seizure. FDA may also seek an injunction or 
    bring a prosecution under the Public Health Service Act. In the 
    proposal, FDA advised that it would bring an enforcement action for 
    injunctive relief for failure to submit a required assessment of 
    pediatric safety or effectiveness. Violation of the injunction would 
    result in a contempt proceeding or such other penalties as the court 
    ordered, e.g., fines. As noted in the proposal, FDA does not intend to 
    deny or withdraw approval of a product for failure to conduct pediatric 
    studies, except possibly in rare circumstances, because removal of a 
    product from the marketplace could deprive other patients of the 
    benefits of a useful medical product. Such circumstances might arise 
    where the predominant use of the product was in pediatric patients 
    rather than adults, and there were life-threatening risks associated 
    with use of the product in pediatric patients when used without proper 
    dosing and safety information in the labeling.
        To assist FDA in determining whether pediatric assessments are 
    needed or are being carried out with due diligence, FDA proposed to 
    amend Sec. 314.81(b)(2) (21 CFR 314.81(b)(2)) (annual postmarketing 
    reports) to require that annual reports filed by the manufacturer 
    contain information on labeling changes that have been initiated in 
    response to new pediatric data, analysis of clinical data that have 
    been gathered on pediatric use, assessment of data needed to ensure 
    appropriate labeling for the pediatric population, and information on 
    the status of ongoing pediatric studies. FDA also proposed to require 
    that, where possible, the annual report contain an estimate of patient 
    exposure to the drug product, with special reference to the pediatric 
    population.
        50. Several comments agreed with the agency that withdrawal or 
    denial of approval is infeasible and supported the use of injunctive 
    remedies. One comment argued that if FDA provides no incentives, 
    disincentives to avoid pediatric trials must be strong, and that 
    withdrawal and denial of approval must therefore be used as a remedy.
        FDA continues to believe that refusal to approve or removal from 
    the market is generally an unsatisfactory remedy from a public health 
    perspective because it denies adequately studied populations access to 
    safe and effective medicines.
        51. Several comments supported the imposition of monetary fines. 
    One comment urged that fines be imposed in the amount of a percentage 
    of the profits to ensure that large and small companies had an equal 
    disincentive. Several comments argued that fines should be used by FDA 
    to fund pediatric studies carried out by government or private 
    agencies. One comment contended that monetary penalties, such as fines 
    or shortening of exclusivity, are the only practical remedy because 
    industry and government are economically driven, but that injunctions 
    are too costly.
        Although FDA continues to believe that court-imposed fines are an 
    appropriate remedy for failure to submit pediatric assessments, the 
    agency has no authority itself to impose fines for violation of this 
    rule, to set the amount of such fines, or to take the fines and direct 
    them to specific activities.
        52. Two comments opposed treating violative products as 
    ``misbranded'' because this could limit access to the drugs or could 
    delay availability of the products for adult use. According to one 
    comment, FDA should consider a misbranding charge only if the sponsor 
    failed to meet a phase 4 commitment. Another comment argued that 
    injunction or prosecution are appropriate only as a final response, and 
    that other, unspecified means are more efficient to elicit compliance. 
    This comment also argued that seizure would serve only to deprive 
    patients of safe and effective drugs.
        The comments arguing that a misbranding charge could limit access 
    or delay approval provided no basis for concluding that these results 
    would occur, and FDA is aware of none. FDA agrees that injunction and 
    prosecution are appropriate remedies only after the sponsor has been 
    given an adequate opportunity to meet its obligations under the rule. 
    FDA emphasizes, however, that providing adequate
    
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    pediatric labeling cannot be long-delayed without putting the health of 
    pediatric patients at risk and that the agency will not accept 
    unwarranted delays in submitting required studies. FDA also notes that 
    it does not intend ordinarily to use seizure as a remedy for failure to 
    conduct required studies.
        53. Some comments offered additional or alternative remedies for 
    failure to conduct required studies. One comment urged that failure to 
    provide information to support pediatric labeling result in highly 
    visible warnings on prescription and OTC labels that the drug has not 
    been approved by FDA for pediatric use. Two comments argued that the 
    label should disclose the status of pediatric studies, whether waivers 
    or deferrals had been requested or granted, and the timetable for full 
    compliance. Another comment contended that incentives are more 
    effective than penalties, and that FDA discussions with sponsors during 
    drug development will achieve the results sought in the proposal.
        FDA agrees that publicity can sometimes be a useful tool for 
    encouraging compliance. FDA does not believe, however, that it is 
    feasible to include in labeling detailed information on the status of 
    pediatric trials, because that information could change frequently. As 
    described in section III.M of this document, FDA will, in appropriate 
    cases, bring issues related to the progress of pediatric studies before 
    a panel of pediatric experts, and may utilize other forms of publicity 
    to provide the public with information about the status of required 
    pediatric studies. FDA notes, e.g., that FDAMA contains provisions 
    concerning disclosure of information on the status of postmarketing 
    studies. FDA may also consider the use of prominent warnings about the 
    absence of data on pediatric use, if necessary in particular cases.
    
    M. Pediatric Committee
    
        A large number of comments recommended that FDA form a panel of 
    pediatric experts to provide advice on a range of topics related to 
    implementation of this rule. Two comments recommended that an expert 
    panel give advice on all facets of the rule. Several comments suggested 
    more specific roles for the panel. For example, the AAP recommended 
    that the panel provide advice on waiver requests, which marketed drugs 
    require study, whether a drug is ``widely used,'' whether to accept a 
    manufacturer's failure to develop a pediatric formulation, relevant age 
    groups for study, the appropriateness of deferral, and appropriate 
    timetables for completion of deferred studies. A disease-specific 
    organization urged that a pediatric committee assist in establishing 
    ``pediatric guidelines and practice,'' including a list of drugs for 
    which studies would be required, protocol design, formulations, and age 
    ranges. Two industry comments recommended that the panel review which 
    drugs require testing and labeling, at what phase of drug development 
    pediatric patients should be exposed, when waivers should be granted, 
    what methods should be used to evaluate safety and effectiveness, the 
    economic burdens on industry, and liability issues. Several comments, 
    including comments from a pharmaceutical trade association, a disease-
    specific organization, a medical society, and pediatricians, 
    recommended that the panel give advice on which drugs should be studied 
    in pediatric patients. One comment suggested that FDA appoint a 
    pediatric pharmacology expert to each of the existing drug advisory 
    committees, except possibly the Fertility and Maternal Health Advisory 
    Committee.
        FDA has concluded that a panel of pediatric experts could provide 
    useful advice and experience on several aspects of the implementation 
    of the rule. FDA will therefore convene a panel of pediatric experts, 
    including at least one industry representative, and seek its advice on 
    a range of issues. Such a panel may be composed of pediatric experts 
    appointed to each of FDA's existing drug advisory committees. As 
    described in section III.E of this document under ``Waivers,'' FDA does 
    not believe that it would be practical to ask such a committee to 
    review every waiver or deferral request. However, the agency will ask 
    the panel to provide annual oversight of the agency's implementation of 
    the final rule, including the agency's record of granting or refusing 
    waivers and deferrals. FDA will also seek the advice of the panel in 
    identifying specific marketed drugs and biological products that should 
    be studied in pediatric patients, and the age groups in which they 
    should be studied. FDA will also ask for advice on assessing when 
    additional therapeutic options are needed in treating specific diseases 
    and conditions occurring in pediatric patients. As described 
    previously, FDA will seek the panel's advice on ethical issues raised 
    by clinical trials in pediatric patients, and whether additional rules 
    should be implemented in this area. Where a manufacturer is not 
    carrying out required studies according to the agreed upon timetable, 
    FDA may seek the advice of the panel on whether the manufacturer is 
    acting with due diligence. In addition, FDA may bring before the panel 
    other issues that arise in the implementation of the rule, including 
    the design of trials and analysis of data for specific products and 
    classes of products.
    
    N. Other Comments
    
        54. Several comments suggested various forms of oversight for the 
    implementation of the rule. One comment suggested that FDA establish a 
    plan to prospectively evaluate these regulations, including their 
    effect on the cost of drug development and on the time to new drug 
    approval, and the number and success of pediatric studies actually 
    performed. Another comment urged FDA to appoint a ``Children's Studies 
    Ombudsman.'' One comment asked that the rule include an appeals 
    mechanism to resolve disputes between sponsors and agency reviewers.
        As described previously, FDA intends to convene a panel of 
    pediatric experts, including at least one representative of the 
    pharmaceutical industry, to, among other things, review the agency's 
    implementation of the rule. FDA notes that it already has procedures 
    for resolution of disputes between sponsors and FDA reviewing 
    divisions, 21 CFR 312.48 and 314.103, and that these procedures will be 
    available for disputes that arise under this rule.
        55. Several comments contended that the rule is inconsistent with 
    requirements in Canada, Europe, and Japan for pediatric studies. These 
    comments argued that the rule was at odds with harmonization efforts 
    and urged FDA to harmonize its requirements with those of other 
    countries. One comment recommended that the United States, the European 
    Union (EU), and Japan adopt pediatric drug development as a topic for 
    global discussion and harmonization.
        Although FDA is not required to harmonize its labeling regulations 
    and enforcement with those of our International Conference on 
    Harmonization (ICH) partners, harmonization is a goal that the agency 
    strives to achieve. FDA intends to work through the ICH process to 
    harmonize methods for conducting pediatric studies.
        56. A few comments sought additional incentives for pediatric 
    studies. One industry comment suggested that FDA should provide: (1) 
    Priority reviews for applications containing pediatric data or ongoing 
    studies; (2) waiver of user fees for pediatric effectiveness 
    supplements; and (3) application of the subpart E
    
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    regulations (21 CFR part 312, subpart E) to pediatric development of 
    new drugs and biological products, to address the issues associated 
    with small sample size and therapeutic need.
        Since the publication of the proposal, two significant new 
    incentives have become available for pediatric research. First, as 
    described elsewhere in this document, FDAMA provides 6 months of 
    exclusive marketing to certain applicants who conduct pediatric 
    studies. Second, as a result of changes made during the reauthorization 
    of the PDUFA, user fees are no longer required for supplements that are 
    solely for the purpose of adding a new indication for use in pediatric 
    populations.
    
    IV. Legal Authority
    
        In the proposal, FDA cited as authority for the requirements in the 
    rule sections 502(a), 502(f), 505(d)(7) of the act, and Sec. 201.5 (21 
    CFR 201.5), which require adequate directions for use and prohibit 
    false or misleading labeling; section 201(n) of the act, which defines 
    as misleading labeling that fails to reveal material facts related to 
    consequences of the customary or usual use of a drug; sections 201(p), 
    301(a) and (d) (21 U.S.C. 331(a) and (d)), and 505(a) of the act, which 
    subject a drug to enforcement action if it is not recognized as safe 
    and effective or approved for the conditions prescribed, recommended, 
    or suggested in the labeling; section 502(j) of the act, which 
    prohibits drugs that are dangerous to health when used in the manner 
    suggested in their labeling; sections 505(i) and 505(k) of the act, 
    which authorize FDA to impose conditions on the investigation of new 
    drugs, including conditions related to the ethics of an investigation, 
    and to require postmarketing reports; section 701(a) of the act, which 
    authorizes FDA to issue regulations for the efficient enforcement of 
    the act; and section 351 of the Public Health Service Act, which 
    formerly required biological products to meet standards designed to 
    insure their ``continued safety, purity, and potency.'' FDA notes that 
    section 351 was amended by FDAMA, and now requires biological products 
    to be ``safe, pure, and potent.''
        FDA has authority under section 302 of the act and under the Public 
    Health Service Act to seek an injunction requiring studies of certain 
    marketed drugs on the grounds that the absence of pediatric safety and 
    effectiveness information in the labeling renders the product 
    misbranded or an unapproved new drug. The act also authorizes seizures 
    of misbranded or unapproved drugs under section 304 of the act. 
    Misbranding drugs and introducing unapproved new drugs into interstate 
    commerce are prohibited acts under sections 301(a), (d), and (k) of the 
    act. The statutory definition of ``drug'' is set out at section 201(g) 
    of the act.
        57. Several comments agreed that FDA has authority to require 
    pediatric testing of drugs and biological products. One comment argued 
    that the act already gives FDA the authority to require that all drugs 
    be tested in pediatric patients, and that the rule, which permits 
    waivers and deferred testing in some cases, weakens the agency's 
    existing statutory authority. One comment contended a provision of 
    FDAMA granting exclusivity to ``any pediatric study [that] is required 
    pursuant to regulations promulgated by the Secretary [and that meets 
    certain other requirements]'' shows that Congress agrees that FDA has 
    authority to require pediatric studies. This comment also argued that, 
    to the extent that FDA's position on its authority to require pediatric 
    studies has changed, the change in position is justified because the 
    proposal articulates a reasoned basis for the change.
        FDA agrees that it has the authority to require pediatric testing 
    of drugs and biologics. For the reasons cited in the preamble to the 
    proposed and final rules, FDA has concluded that the requirements in 
    the rule appropriately balance the need for adequate pediatric labeling 
    and the limitations on resources available for pediatric testing and 
    agency review. FDA also agrees that the reference in FDAMA, which was 
    enacted after the proposal was issued, to pediatric studies required by 
    FDA, demonstrate that Congress is aware of FDA's position that it has 
    the authority to issue this rule and agrees that the agency has such 
    authority. Finally, FDA agrees that it has articulated a reasoned basis 
    for its position that the agency has authority to require pediatric 
    studies, but notes that FDA previously stated its position that it has 
    the authority to require pediatric studies in 1994 (59 FR 64240 at 
    64243).
        58. Several comments argued that FDA lacks authority to require 
    pediatric studies of drugs. A few comments cited remarks by former 
    Commissioner David Kessler during a 1992 speech. In that speech, David 
    Kessler stated his opinion that FDA does not have ``the authority to 
    require manufacturers to seek approval for indications which they have 
    not studied.'' Other comments argued that FDA has no authority to 
    require the study of any indications or populations other than those 
    proposed by the manufacturer. One comment challenged FDA's reliance on 
    section 201(n) of the act for not-yet-approved drugs, claiming that the 
    agency cannot know what will be the ``customary or usual uses'' of an 
    unmarketed drug. A few comments argued that the agency's legal theory 
    would authorize the agency to require studies of all off-label 
    indications.
        FDA disagrees that any of these arguments show that FDA lacks 
    authority to issue this rule. Under FDA's longstanding policy, 
    statements made in speeches, even by Commissioners, are informal 
    expressions of opinion and do not constitute a formal agency position 
    on a matter. As such they are not binding on the agency. (See, e.g., 21 
    CFR 10.85(k).)
        FDA also disagrees that it has no authority to require a drug or 
    biologic to be studied in a population that is expected to use the 
    product for the claimed indication, or that this is a new position. The 
    agency has repeatedly stated that an application for marketing approval 
    should contain data on a reasonable sample of the patients likely to be 
    given the product once it is marketed (59 FR 64240 at 64243; 58 FR 
    39406 at 39409). The agency has also previously asserted its authority 
    to require studies in pediatric patients and in other subpopulations 
    for both not-yet-approved products and marketed products. In the 
    preamble to the 1994 rule, FDA made the following statement:
    
        If FDA concludes that a particular drug is widely used, 
    represents a safety hazard, or is therapeutically important in the 
    pediatric populations, and the drug sponsor has not submitted any 
    pediatric use information, then the agency may require that the 
    sponsor develop and/or submit pediatric use information.
        If FDA has made a specific request for the submission of 
    pediatric use information because of expected or identified 
    pediatric use, and the sponsor fails to provide such information, 
    the agency may consider the product to be a misbranded drug under 
    section 502 of the act, or a falsely labeled biological product 
    under section 351 of the PHS Act, as an unapproved new drug or 
    unlicensed biological product. (See 21 U.S.C. 355 and 42 U.S.C. 
    262.)
    
    (59 FR 64240 at 64248; see also 58 FR 39406 at 39409)
    
        The act and implementing regulations require drugs to be adequately 
    labeled for their intended uses. See sections 502(f) of the act and 
    Sec. 201.5. ``Intended uses'' encompass more than the uses explicitly 
    included in the manufacturer's proposed labeling. Id., 21 CFR 201.128. 
    In determining the intended uses of a drug for which it must be 
    adequately labeled, FDA may consider both the uses for which it is 
    expressly labeled and those for which the drug is commonly used, 
    Sec. 201.5.
    
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    FDA may also consider the actual uses of the drug of which the 
    manufacturer has, or should have, notice, even if those uses are not 
    promoted by the manufacturer, 21 CFR 201.128. Section 201(n) of the act 
    defines labeling as misleading if it fails to include material facts 
    about the consequences of ``use of the [drug] * * * under such 
    conditions of use as are customary or usual.'' Sections 201(p) and 
    505(d) of the act authorize FDA to require evidence establishing the 
    safety and effectiveness of uses ``suggested'' by the manufacturer's 
    labeling as well as those expressly recommended in the labeling. Thus, 
    the agency has authority to require a manufacturer to establish the 
    safety and effectiveness of, and adequately label its product for, use 
    of the product in a subpopulation for which the product is not labeled 
    if that use is common or suggested in the labeling.
        As described in the proposal, there is extensive evidence that 
    drugs and biologics indicated for diseases that affect both adults and 
    pediatric patients are routinely used in pediatric patients despite the 
    absence of pediatric labeling, and even in the face of disclaimers 
    stating that safety and effectiveness have not been established in 
    pediatric patients. FDA may therefore consider pediatric use to be 
    ``customary or usual'' or ``commonly used'' where the drug is indicated 
    for a disease or condition that affects both adults and children, and 
    the drug is not contraindicated in pediatric patients. FDA may also 
    consider pediatric use to be ``suggested'' in a drug's labeling even 
    where such use is not expressly recommended or is even disclaimed. The 
    medical community generally expects that drugs and biological products 
    will behave similarly in demographic subgroups, including age and 
    gender subgroups, even though there may be variations among the 
    subgroups, based on, e.g., differences in pharmacokinetics. Thus, where 
    a drug or biological product is indicated for a disease suffered 
    equally by men, women, and children, and is not contraindicated in 
    women or pediatric patients, the product will be widely prescribed for 
    all three subgroups even if it were studied only in, or labeled only 
    for, men.
        FDA disagrees that it can know nothing, in advance of marketing, 
    about whether a drug or biological product will be used in pediatric 
    patients. The evidence cited in the proposal and confirmed by comments 
    from the pediatric community is overwhelming that products indicated 
    for diseases that affect both adults and children are and will be 
    commonly used in pediatric patients. Indeed, pediatricians often have 
    no choice but to use these products in pediatric patients. A drug 
    product that provides a meaningful therapeutic benefit either because 
    it represents a significant improvement in therapy or because it is a 
    necessary therapeutic option can be expected to be routinely used in 
    the treatment of pediatric patients. Under the rule, the decision that 
    a product will provide a meaningful therapeutic benefit or will be used 
    in a substantial number of pediatric patients is made on a case-by-case 
    basis, depending upon such factors as the number of pediatric patients 
    affected by the disease for which the product is indicated, the 
    availability and adequacy of other therapeutic options to treat 
    pediatric patients for the disease, and whether similar products, e.g., 
    products in the same drug class, have been widely used in pediatric 
    patients.
        Finally, FDA emphasizes that this rule applies only where a product 
    is expected to have clinically significant use in pediatric populations 
    for the indications already claimed by the manufacturer. The record 
    before the agency documents widespread evidence of actual use of 
    products in the pediatric population for indications labeled for 
    adults. This record supports FDA's conclusion that it has authority to 
    require pediatric studies of drugs and biologics that have or are 
    expected to have clinically significant use among pediatric patients 
    for the claimed indications. The agency has not examined evidence 
    concerning the use of approved products for diseases or conditions not 
    in the label, and the rule does not apply in those situations.
        59. Two comments addressed the agency's reliance on section 701(a) 
    of the act. One comment argued that 701(a) of the act, in combination 
    with the substantive statutory provisions cited by FDA, authorizes this 
    rule because the agency has demonstrated that the rule is reasonably 
    related to the purposes of the act. Another comment argued that 701(a) 
    of the act does not authorize the agency to enforce requirements beyond 
    those imposed by the act.
        Section 701(a) of the act gives the Secretary authority to issue 
    regulations for the efficient enforcement of the act. Consonant with 
    the Supreme Court's determination that the language of the act should 
    not be read restrictively, but in a manner consistent with the act's 
    purpose of protecting the public health, a regulation issued under 
    section 701(a) of the act will be sustained so long as it is reasonably 
    related to the purposes of the act. United States v. Nova Scotia Food 
    Products Corp., 568 F.2d 240, 246 (2nd Cir. 1977). FDA believes that it 
    has demonstrated that this regulation is reasonably related to the 
    purposes of the act.
    
    V. Implementation Plan
    
        FDA proposed that the rule would become effective 90 days after the 
    date of its publication in the Federal Register. For new drug and 
    biologic product applications submitted before the effective date of 
    the final rule, the agency proposed a compliance date of 21 months 
    after the effective date of the final rule (for a total of 2 years 
    after issuance of the final rule). For new drug and biologic product 
    applications submitted on or after the effective date of the final 
    rule, the agency proposed a compliance date of 15 months after the 
    effective date of the final rule (for a total of 18 months after 
    issuance of the final rule). FDA has revised the final rule to become 
    effective 120 days after publication in the Federal Register, to allow 
    additional time for comment on the revised information collection 
    requirements. FDA has also revised the compliance dates. All 
    applications will have a compliance date of 20 months after the 
    effective date of the rule (for a total of 2 years after publication of 
    the final rule).
        60. Two industry comments argued that the proposed effective dates 
    were too short. One of these suggested that 15 and 21 months were too 
    short to develop a pediatric program and formulation, conduct trials, 
    analyze data, and submit an application. Two comments asked that FDA 
    clarify what ``compliance'' means. According to one of these comments, 
    15 months would be adequate for initiation of discussions with a 
    sponsor about plans, but inadequate for completion of studies. This 
    comment also argued that it is not in children's interest to rush 
    through pediatric studies to meet an arbitrary deadline. Another 
    comment offered the example of Ritonavir, a drug to treat HIV 
    infection, for which pediatric studies reportedly took 21 months even 
    after development of a pediatric formulation. According to the comment, 
    it took 15 months to agree on a protocol, 3 months to recruit patients, 
    and 3 months to the first interim analysis of data. One disease-
    specific organization argued that the effective dates were too long. 
    This comment proposed 12 months from the effective date of final rule, 
    which could be extended by 6 months if genuine difficulties occurred. 
    This comment also urged that compliance with the early discussion 
    requirements be immediate. One comment argued that pending applications 
    should be granted a full
    
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    waiver and treated as marketed products.
        ``Compliance,'' as referred to in the proposal, means the 
    submission of an assessment of pediatric safety and effectiveness under 
    Sec. 314.55(a) (proposed Sec. 314.50(g)(1) or 601.27(a)), unless a 
    waiver or deferral for all relevant age groups has been granted. FDA 
    has reconsidered the compliance dates and has concluded that 
    applications submitted on or after the effective date of the final rule 
    should be given 20 months from the effective date of the final rule to 
    achieve compliance. Although FDA does not believe that development of, 
    and agreement on, a protocol should take 15 months, protocol 
    development, recruitment, enrollment, and data analysis may together 
    take up to 2 years. There is no reasonable basis on which to 
    distinguish between an application submitted 1 day before the effective 
    date of the final rule, and one submitted a day later.
        All other provisions of the rule will become effective on the 
    effective date of the rule. One hundred twenty days from the date of 
    publication in the Federal Register is sufficient time to meet these 
    new requirements.
    
    VI. Paperwork Reduction Act of 1995
    
        This final rule contains information collection requirements that 
    are subject to review by the Office of Management and Budget (OMB) 
    under the Paperwork Reduction Act of 1995 (the PRA) (44 U.S.C. 3501-
    3520). The title, description, and respondent description of the 
    information collection requirements are shown below with an estimate of 
    the annual reporting burden. Included in the estimate is the time for 
    reviewing instructions, searching existing data sources, gathering and 
    maintaining the data needed, and completing and reviewing each 
    collection of information.
        With respect to the following collection of information, FDA 
    invited comment on: (1) Whether the proposed collection of information 
    is necessary for proper performance of FDA's functions, including 
    whether the information will have practical utility; (2) the accuracy 
    of FDA's estimate of the burden of the proposed collection of 
    information, including the validity of the methodology and assumptions 
    used; (3) ways to enhance the quality, utility, and clarity of the 
    information to be collected; and (4) ways to minimize the burden of the 
    collection of information on respondents, including through the use of 
    automated collection techniques, when appropriate, and other forms of 
    information technology.
        OMB filed a Notice of Action, not approving the proposed collection 
    of information. OMB requested that, as part of the final rule, FDA 
    address all comments received on the information collection 
    requirements contained in the rule, particularly with respect to the 
    reporting burden imposed by the rule. FDA received one comment 
    concerning the proposed burden estimates of this rulemaking under the 
    PRA. The comment contended that FDA underestimated the time required to 
    comply with the annual reporting requirements of the proposed 
    rulemaking.
        The agency received several comments that questioned the accuracy 
    of FDA's estimate of the burden of the proposed collection of 
    information as being too low and requested changes. For example, one 
    comment requested changes in the burden estimate for manufacturers 
    requesting deferrals of submission of pediatric data as well as the 
    estimate for manufacturers to submit pediatric information in their 
    annual report. In addition, the estimate for manufacturers to submit in 
    their annual reports the analysis of available safety and efficacy data 
    conducted or obtained in the pediatric population as well as proposed 
    labeling was questioned. Based on these comments the agency increased 
    the proposed burden estimates. These issues are discussed in more 
    detail in the preamble to the final rule.
        Concerning Sec. 314.50(d)(7), the comment stated that in order to 
    comply with this requirement, ``one company'' estimated that, for one 
    pediatric reporting project, medical staff had spent at least 118 
    hours, rather than the 8 hours that FDA had estimated, reviewing the 
    medical literature and summarizing the findings. FDA does not believe 
    that this comparison is fully appropriate because Sec. 314.50(d)(7) 
    does not require an applicant to review the medical literature, or 
    other studies, de novo. It simply requires an applicant to provide a 
    brief summary of data that have already been fully reported and 
    analyzed elsewhere in the same application. However, because the data 
    to be summarized may be more extensive than originally estimated, FDA 
    has, in response to the comment, increased its estimate of the 
    reporting burden for this requirement from 8 hours to 50 hours.
        Concerning Sec. 314.55(a), the comment contended that FDA's 
    estimate of 10 companies submitting NDA's annually for NME's is too 
    low. The comment implied that, based on data for 1996, 50 companies 
    would be a more realistic estimate. The comment also contended that 
    FDA's estimate of 16 hours for a manufacturer to prepare the report of 
    the data supporting the safety and effectiveness of the drug for the 
    indication for the pediatric population is too low. In response to this 
    comment, FDA has revised its burden estimate from 16 to 48 hours. FDA 
    has also made a corresponding change in the estimate for 
    Sec. 601.27(a). FDA has revised the estimate of the number of companies 
    affected from 10 to 51 to reflect the broader scope of the rule.
        Concerning Sec. 314.55(b), the comment stated that FDA's estimate 
    of 9 manufacturers requesting deferrals of the submission of pediatric 
    study data and the estimate that this would take 8 hours to complete 
    are too low. In response to this comment, FDA has revised its burden 
    estimate from 8 hours to 24 hours. FDA has also made a corresponding 
    change in the estimate for Sec. 601.27(b). FDA has revised the estimate 
    of the number of companies affected from 8 to 51 to respond to the 
    comment and to reflect the broader scope of the rule.
        Concerning Sec. 314.81(b)(2)(i), the comment contended that FDA's 
    estimate of 1.5 hours for manufacturers to submit pediatric information 
    in their annual reports is too low. In response to this comment, FDA 
    has revised its burden estimate from 1.5 hours to 8 hours and has made 
    a corresponding change in its estimate for Sec. 601.27(c).
        Concerning Sec. 314.81(b)(2)(vi)(c), the comment contended that 
    FDA's estimate of 1.5 hours for manufacturers to submit in their annual 
    reports the analysis of available safety and efficacy data conducted or 
    obtained in the pediatric population as well as proposed labeling 
    changes is too low. The comment stated that even an estimate of 15 
    hours would be too low. Although the comment did not provide an 
    estimate of the hours required to satisfy Sec. 314.81(b)(2)(i) and 
    (b)(2)(vi)(c), FDA has increased its estimates to 8 and 24 hours, 
    respectively.
        Based upon these comments, FDA has decided to increase the agency's 
    proposed burden estimates. These revisions are reflected in the Table 2 
    of this document. In addition, the burden estimates for 
    Secs. 314.55(a), (b), and (c), and 601.27(a), (b), and (c), have 
    increased because of the new requirements in the final rule to include, 
    in addition to applications for new chemical entities and never-before-
    approved biologics, applications for new active ingredients, new 
    indications, new dosage forms, new dosing regimens, and new routes of 
    administration. These estimates are based upon FDA's analysis of all 
    marketing applications and efficacy
    
    [[Page 66660]]
    
    supplements approved over the 5-year period of 1993 to 1997 and those 
    that would likely have needed additional pediatric data had this rule 
    been in effect by 1993 (see ``Analysis of Impacts,'' in section VIII of 
    this document). In addition, burden estimates have been added in Table 
    2 of this document for the new requirements in the final rule 
    concerning submissions for end-of-phase 1 and end-of-phase 2 meetings 
    under Sec. 312.47(b)(1)(iv) and submissions for pre-NDA meetings under 
    Sec. 312.47(b)(2). These estimates are based on FDA's records of the 
    number of these meetings held during 1997. Finally, burden estimates 
    have been added for new postmarket report requirements added for 
    biological products under Sec. 601.37 (a), (b), and (c), corresponding 
    to Sec. 314.81 (b)(2)(i), (b)(2)(vi)(c), and (b)(2)(vii). These 
    estimates are based upon FDA's records of the number of licensed 
    biological products.
        Title: Regulations Requiring Manufacturers to Assess the Safety and 
    Effectiveness of New Drugs and Biological Products in Pediatric 
    Patients.
        Description: This final rule includes the following reporting 
    requirements: (1) Reports on planned pediatric studies in IND's 
    (Sec. 312.23(a)(10)(iii)); (2) Reports for end-of-phase 1 and end-of-
    phase 2 meetings (Sec. 312.47(b)(1)(iv)) and reports for pre-NDA 
    meetings (Sec. 312.47(b)(2)); (3) Summaries of data on pediatric safety 
    and effectiveness in NDA's (Sec. 314.50(d)(7)); (4) Reports assessing 
    the safety and effectiveness of certain drugs and biological products 
    for pediatric use in NDA's and BLA's or in supplemental applications 
    (Secs. 314.55(a) and 601.27(a)); (5) Requests seeking deferral of 
    required pediatric studies (Secs. 314.55(b) and 601.27(b)); (6) 
    Requests seeking waiver of required pediatric studies (Secs. 314.55(c) 
    and 601.27(c)); (7) Postmarketing reports of analyses of data on 
    pediatric safety and effectiveness (Secs. 314.81(b)(2)(vi)(c) and 
    601.37(a)(1)); (8) Postmarketing reports on patient exposure to certain 
    marketed drug products (Secs. 314.81(b)(2)(i) and 601.37(a)(2)); (9) 
    Postmarketing reports on labeling changes initiated in response to new 
    pediatric data (Secs. 314.81(b)(2)(vi)(c) and 601.37(a)(3)); and (10) 
    Postmarketing reports on the status of required postapproval studies in 
    pediatric patients (Secs. 314.81(b)(2)(vii) and 601.37). The purpose of 
    these reporting requirements is to address the lack of adequate 
    pediatric labeling of drugs and biological products by requiring the 
    submission of evidence on pediatric safety and effectiveness for 
    products with clinically significant use in children.
        Description of Respondents: Sponsors and manufacturers of drugs and 
    biological products.
    
                                     Table 2.--Estimated Annual Reporting Burden \1\
    ----------------------------------------------------------------------------------------------------------------
                                                                  Annual        Total
                   21 CFR section                    No. of      frequency      annual      Hours per    Total hours
                                                  respondents  per response   responses     response
    ----------------------------------------------------------------------------------------------------------------
    201.23......................................            2           1              2          48            96
    312.47(b)(1)(iv)............................           27           1.2           32          16           512
    312.47(b)(2)................................           36           1.3           46          16           736
    314.50(d)(7)................................          213           1            213          50        10,650
    314.55(a)...................................           51           1             51          48         2,448
    314.55(b)...................................           51           1             51          24         1,224
    314.55(c)...................................          176           1            176           8         1,408
    314.81(b)(2)(i).............................          625           1            625           8         5,000
    314.81(b)(2)(vi)(c).........................          625           1            625          24        15,000
    314.81(b)(2)(vii)...........................          625           1            625           1.5         937.5
    601.27(a)...................................            2           1              3          48           144
    601.27(b)...................................            2           1              3          24            72
    601.27(c)...................................            3           1              4           8            32
    601.37(a)...................................           69           1             69           8           552
    601.37(b)...................................           69           1             69          24         1,656
    601.37(c)...................................           69           1             69           1.5         103.5
                                                 -------------------------------------------------------------------
        Total...................................  ...........  ............  ...........  ............      40,571
    ----------------------------------------------------------------------------------------------------------------
    \1\There are no capital or operating and maintenance costs associated with this collection of information.
    
        The information collection provisions of this final rule have been 
    submitted to OMB for review. Prior to the effective date of this final 
    rule, FDA will publish a notice in the Federal Register announcing 
    OMB's decision to approve, modify, or disapprove the information 
    collection provisions in this final rule. An agency may not conduct or 
    sponsor, and a person is not required to respond to, a collection of 
    information unless it displays a currently valid OMB control number.
    
    VII. Environmental Impact
    
        The agency has determined under 21 CFR 25.30(h) that this action is 
    of a type that does not individually or cumulatively have a significant 
    effect on the human environment. Therefore, neither an environmental 
    assessment nor an environmental impact statement is required.
    
    VIII. Analysis of Impacts
    
    A. Introduction and Summary
    
        FDA has examined the impacts of the final rule under Executive 
    Order 12866, the Regulatory Flexibility Act (5 U.S.C. 601-612), and the 
    Unfunded Mandates Reform Act (Pub. L. 104-4). Executive Order 12866 
    directs agencies to assess all costs and benefits of available 
    regulatory alternatives and, when regulation is necessary, to select 
    regulatory approaches that maximize net benefits (including potential 
    economic, environmental, public health and safety, and other 
    advantages; distributive impacts; and equity). Under the Regulatory 
    Flexibility Act, unless an agency certifies that a rule will not have a 
    significant economic impact on a substantial number of small entities, 
    the agency must analyze regulatory options that would minimize the 
    impact of the rule on small entities. The Unfunded Mandates Reform Act 
    (Pub. L. 104-4) (in section 202) requires that agencies prepare an 
    assessment of anticipated costs and benefits before proposing any rule 
    that may result in an expenditure by State, local, and tribal 
    governments,
    
    [[Page 66661]]
    
    in the aggregate, or by the private sector, of $100 million or more in 
    any one year (adjusted annually for inflation).
        The agency has reviewed this final rule and has determined that the 
    rule is consistent with the regulatory philosophy and principles 
    identified in Executive Order 12866, and in these two statutes. This 
    rule is an economically significant regulatory action, because of its 
    substantial benefits. It is also a significant regulatory action as 
    defined by the Executive Order due to the novel policy issues it 
    raises. With respect to the Regulatory Flexibility Act, the agency 
    certifies that the rule will not have a significant economic impact on 
    a substantial number of small entities. Since the rule does not impose 
    any mandates on State, local, or tribal governments, or the private 
    sector that will result in an expenditure of $100 million or more in 
    any one year, FDA is not required to perform a cost-benefit analysis 
    according to the Unfunded Mandates Reform Act.
        FDA is requiring that a limited class of important new drugs and 
    biologicals that are likely to be used in pediatric patients contain 
    sufficient data and information to support directions for this use. As 
    the approved labeling for many of these new products lacks adequate 
    pediatric information, their use in children greatly increases the risk 
    of inappropriate dosing, unexpected adverse effects, and suboptimal 
    therapeutic outcomes. This rule is designed to ensure that new drugs, 
    including biological drugs, that are therapeutically important and/or 
    likely to be used in a substantial number of children contain adequate 
    pediatric labeling at the time of, or soon after, approval.
        The agency estimated the costs to industry of the required new 
    pediatric studies by first determining what the annual costs would have 
    been in 1993 to 1997, had the rule become effective in 1993. The 
    methodology included: (1) Constructing a data base of all 583 NDA's and 
    efficacy supplements approved by the agency over that 5-year period for 
    drugs and biologicals likely to produce health benefits in the 
    pediatric population, (2) determining which of those applications would 
    have been required to conduct additional pediatric studies, (3) 
    calculating how many unapproved and already marketed drugs and 
    biologicals would have needed additional pediatric studies, and (4) 
    estimating the size and cost of the additional studies. The analysis 
    indicated that, on average, this regulation would have required an 
    estimated 378 additional pediatric studies on about 82 drugs and 
    biologicals per year. These studies would have involved a total of 
    10,860 pediatric patients, 7,408 in efficacy studies, and 3,452 in PK 
    studies. In addition, an estimated 33 of the 82 drugs and biologicals 
    needing new pediatric data each year may have needed new pediatric 
    dosage forms. FDA judges that the additional studies would have cost 
    about $45 million and the new dosage formulations about $33 million 
    annually, for a total annual cost of almost $80 million. The agency 
    found, however, that roughly 42 percent of the costs of the studies 
    would have been spent voluntarily had the extended pediatric 
    exclusivity provisions of the recent FDAMA statute been in place. 
    Adjusting for this effect lowers the agency's final cost estimate for 
    this rule to about $46.7 million per year.
        FDA could not develop a quantifiable estimate of the benefits of 
    this regulation, although numerous anecdotal examples illustrate the 
    current health problem. To consider some of the potential benefits, the 
    agency examined hospitalization rates for five serious illness (asthma, 
    HIV/AIDS, cancer, pneumonia, and kidney infections) and found 
    significantly higher rates for children than for middle-aged adults. 
    Although FDA can not estimate the extent to which these differentials 
    reflect the relative lack of pharmaceutical safety and efficacy 
    information for pediatric compared to adult use, the agency calculated 
    that a 25 percent reduction in these differentials would lead to direct 
    medical cost savings of $228 million per year. FDA also estimates that 
    about two-thirds of the approved applications needing pediatric studies 
    will be addressed by the incentives established by FDAMA. If the 
    estimated medical cost savings were adjusted by a similar ratio, the 
    analysis suggests that a 25 percent reduction in the pediatric/adult 
    hospitalization rate differentials would yield annual savings of $76 
    million for these five illnesses.
    
    B. Number of Affected Products and Required Studies
    
        In the preamble to its proposal, FDA explained that neither the 
    precise number of drugs that would require additional pediatric studies 
    nor the cost of these studies could be predicted with certainty. To 
    develop plausible estimates of the number of new drugs and biologicals 
    that would be affected, the agency had examined the pediatric labeling 
    status at time of approval for each NME and important biological 
    approved from 1991 to 1995, and used these estimates to project the 
    number of drugs that would have required additional pediatric data had 
    the proposal been in place over that period.
        Several industry comments declared that FDA's analysis of the 
    proposal substantially underestimated the economic impact by 
    understating both the number and size of the studies that would be 
    required. Only two of the comments, however, included alternative 
    estimates. One suggested that each new drug could require the testing 
    of 300 or more pediatric patients for safety data alone. The other 
    comment estimated that, ``each new drug studied would probably require 
    a minimum of six clinical trials (two each in Phases I, II, and III), 
    for one indication and one formulation.'' This comment explained that 
    Phase I trials would include 20 patients, Phase II trials 50 patients, 
    and Phase III trials 100 patients. Assuming two trials for each phase, 
    the comment projected that 34,000 pediatric patients would need to be 
    studied each year (170 patients x 2 trials x 100 drugs).
        FDA agrees that some applications will require data from a 
    substantial number of pediatric patients. The agency believes, however, 
    that most studies will not include large numbers of pediatric patients. 
    For example, FDA does not necessarily require two pediatric studies for 
    each trial phase. Moreover, FDA's 1994 final rule (59 FR 64240) 
    explains that extrapolations from adult effectiveness data based on PK 
    studies and other safety data can be sufficient to provide the 
    necessary pediatric dosing information for those drugs and biologicals 
    that work by similar mechanisms in adults and children. The agency 
    expects that the majority of the studies will rely, to some extent, on 
    such extrapolations.
        On the other hand, the proposal primarily addressed drugs and 
    biologicals that contained no previously approved active moiety. The 
    final rule requires pediatric data for new active ingredients, new 
    indications, new dosage forms, new dosing regimens, and new routes of 
    administration that represent a meaningful clinical benefit over 
    existing treatments for children, or that are likely to be widely used 
    in children. The rule also requires pediatric studies for marketed 
    drugs and biologicals that are already widely used among children for 
    the claimed indications, if the absence of adequate labeling could pose 
    significant risks; or if the drug would provide a meaningful clinical 
    benefit over existing treatments for pediatric patients, but additional 
    dosing or safety information is needed to permit their safe and 
    effective use in children.
        To develop a revised estimate of the number of drugs and 
    biologicals that
    
    [[Page 66662]]
    
    would require additional pediatric data, FDA constructed a data base of 
    all 583 applications and efficacy supplements approved over the 5-year 
    period from 1993 to 1997 for drugs and biologicals for which pediatric 
    labeling would be likely to provide a significant health benefit. The 
    selected drugs and biologicals included all those for which the active 
    moiety was listed in the priority section in the Federal Register of 
    May 20, 1998 (63 FR 27733), document entitled ``List of Drugs For Which 
    Additional Pediatric Information May Produce Health Benefits in the 
    Pediatric Population'' (``List''). Mandated by FDAMA, this publication 
    includes the agency's priority list of drugs and biologicals that would 
    likely provide a significant benefit to the pediatric population. The 
    selection criteria used to prepare this priority list were almost 
    identical to those set forth in this final rule, i.e.,
         The drug product, if approved for use in the pediatric 
    population, would be a significant improvement compared to marketed 
    products labeled for use in the treatment, diagnosis, or prevention of 
    a disease in the relevant pediatric population (i.e., a pediatric 
    priority drug); or,
         The drug is widely used in the pediatric population, as 
    measured by at least 50,000 prescription mentions per year; or,
         The drug is in a class or for an indication for which 
    additional therapeutic options for the pediatric population are needed.
        FDA then identified each of the 583 applications that would likely 
    have needed additional pediatric studies had this rule been in effect. 
    The number and type of studies needed were projected based on specific 
    decision rules derived from agency experience in reviewing drug 
    applications and developed strictly for the purpose of estimating the 
    regulatory costs of this rule. Although in practice, these rules would 
    have been subject to numerous exceptions, in the aggregate, FDA 
    believes that they provide plausible estimates of the total number and 
    type of pediatric studies that would have been required. The decision 
    rules were as follows:
        1. All New Chemical Entities (NCE's) and biologicals were assumed 
    to need both an efficacy study and a PK study for each age group 
    identified in the priority section of the ``List'' as needing pediatric 
    information, although FDA believes that this assumption overstates the 
    true number of efficacy studies that will be needed.
        2. For the following categories of applications, both an efficacy 
    and a PK study were assumed for each designated age group. Again, FDA 
    believes that this assumption may overstate the true number of efficacy 
    studies that will be needed:
    
    Neurological drugs;
    Oncology drugs;
    Nausea agents;
    Pulmonary agents;
    NSAIDs--arthritis/pain;
    AIDS/HIV agents;
    Asthma drugs;
    Anesthesia drugs;
    Hormones;
    Dermatological agents;
    Acne agents
    
        3. A PK study alone was assumed sufficient for each relevant age 
    group for the following types of non-NCE applications:
    
    Allergies;
    Infectious diseases;
    Cardiovascular diseases;
    Imaging agents;
    Hematology agents;
    GI disorders;
    Urologic drugs
    
        4. If pediatric labeling was already adequate as the result of an 
    approved application, additional applications for new dosage forms were 
    assumed to be exempt.
        5. If a second applicant sought approval for the same indication of 
    the same drug as a previous applicant that had already satisfied the 
    pediatric labeling requirements, the second applicant was considered 
    exempt from the pediatric labeling requirement.
        6. Because the regulation imposes requirements only on new NDA's or 
    efficacy supplements that specifically address an indication needing 
    pediatric data, no pediatric requirements were assumed for an NDA 
    supplement submitted for a new indication not identified as needing 
    pediatric data.
        7. Orphan drugs were excluded from additional research 
    requirements.
        The results of this analysis (see Table 3 of this document) show 
    that about 44 percent, or an estimated 255, of the total 583 drug and 
    biological applications for the products on the priority section of the 
    ``List'' drugs approved over the 5-year period would have required 
    additional pediatric studies, had the rule been in effect starting in 
    1993. Assuming separate studies for each pediatric age group specified 
    in the ``List,'' indicates that an estimated 459 efficacy studies and 
    713 PK studies would have been required for these applications.
        These estimates understate the required research effort, however, 
    because they omit pediatric studies for drugs that fail to gain 
    approval. It is difficult to judge how much additional pediatric 
    research would be directed towards nonapprovable products. The agency 
    notes, however, that because only about 63.5 percent of all NME's that 
    enter phase III trials are eventually approved (Ref. 18), the number of 
    drugs entering phase III trials is about 58 percent greater than the 
    number of actual approvals (100/63.5 = 1.58). Moreover, there are two 
    additional complications. First, under the rule, FDA expects to defer 
    for several years the conduct of pediatric studies of ``me-too'' drugs 
    that do not offer a meaningful therapeutic benefit and that are members 
    of a drug class that already contains an adequate number of approved 
    products with pediatric labeling. No additional pediatric studies would 
    be expected for this group of never approved drugs. On the other hand, 
    applications for ``lifesaving'' drugs may need to begin pediatric 
    trials by the start of Phase II. On the assumption that these two 
    factors would roughly offset, FDA has retained the 58 percent figure as 
    a reasonable adjustment factor to account for the number of studies 
    conducted for drugs that fail to gain approval. Finally, each year, the 
    agency expects to identify about two ``already marketed'' drugs that 
    require additional pediatric efficacy data.
        As shown in Table 4 of this document, adjusting for the ``never 
    approved'' and the ``already marketed'' applications implies that, had 
    this rule become effective in 1993, about 1,892 new pediatric studies 
    would have been required over the 1993 to 1997 period. About 740 of the 
    studies would have been efficacy studies and 1,151 PK studies. Thus, on 
    average, each year, the rule would have required about 378 new 
    pediatric studies for about 82 NDA's and or NDA supplements--148 
    efficacy studies and 230 PK studies.
    
    [[Page 66663]]
    
    
    
                    Table 3.--Approved New Drug Applications and Their Supplements From 1993 to 1997
    ----------------------------------------------------------------------------------------------------------------
                                                    Applications
                                      Applications     needing      Efficacy    PK studies     Total      New dosage
              Approval year           for ``List''    pediatric     studies      required     studies       forms
                                          Drugs        studies      required                  required
    ----------------------------------------------------------------------------------------------------------------
    1993............................            77            43           63          122          185           12
    1994............................            76            42           74          118          192           17
    1995............................           107            38           69          107          176           13
    1996............................           177            74          147          213          360           29
    1997............................           146            58          106          153          259           19
                                     -------------------------------------------------------------------------------
        Total.......................           583           255          459          713        1,172           90
                                     -------------------------------------------------------------------------------
        Average.....................           117            51           92          143          234           18
    ----------------------------------------------------------------------------------------------------------------
    
    
                     Table 4.--All New Drug Applications and Their Supplements From 1993 to 1997 \1\
    ----------------------------------------------------------------------------------------------------------------
                                                    Applications
                                      Applications     needing      Efficacy    PK studies     Total      New dosage
              Approval year           for ``List''    pediatric     studies      required     studies       forms
                                        Drugs \2\      studies      required                  required
    ----------------------------------------------------------------------------------------------------------------
    1993............................           124            69          102          197          299           22
    1994............................           123            68          119          190          310           32
    1995............................           173            61          111          173          284           24
    1996............................           286           119          237          344          581           54
    1997............................           236            94          171          247          418           35
                                     -------------------------------------------------------------------------------
        Total.......................           942           411          740        1,151        1,892          167
                                     -------------------------------------------------------------------------------
        Average.....................           188            82          148          230          378          33
    ----------------------------------------------------------------------------------------------------------------
    \1\ Includes estimates for ``unapproved'' and ``already marketed'' drugs.
    \2\ Adjusted for ``unapproved'' and ``already marketed'' drugs.
    
    C. Number of Pediatric Patients
    
        The number of pediatric patients needed varies with the particular 
    type of drug studied. However, based on agency experience, FDA 
    estimates that, for each pediatric age group studied, typical pediatric 
    PK studies may involve about 15 patients and typical efficacy studies 
    about 50 patients. For example, if 2 of the 4 age groups lack PK 
    studies, FDA assumed that a total of 30 subjects would be needed for 
    the studies. If 3 of the 4 age groups lack efficacy studies, a total of 
    150 subjects were assumed to be needed in all 3 age groups. These 
    assumptions indicate that, had this rule become effective in 1993, each 
    year, about 82 NDA's would have required additional pediatric studies; 
    7,408 pediatric patients in efficacy studies and 3,452 pediatric 
    patients in PK studies, for an annual total of about 10,860 pediatric 
    patients.
    
    D. Costs of Compliance
    
    1. Cost of Pediatric Studies
        FDA's analysis of the proposal assumed that new studies would cost 
    pharmaceutical firms from $5,000 to $9,000 per pediatric patient. Only 
    one comment, that of a large U.S. pharmaceutical company, submitted 
    actual estimates of the cost of conducting pediatric trials. This 
    comment stated that a PK or bioavailability/bioeqivalency study of 20 
    patients would cost at least $100,000, a Phase II trial of 50 patients 
    would cost a minimum of $150,000, and a Phase III trial of 100 patients 
    would cost $200,000. For its revised analysis, therefore, FDA assumes 
    that a PK study of 15 patients will cost $100,000 per affected age 
    group and that an efficacy study of 50 patients will cost $150,000 per 
    affected age group. Although a few trials may need to be larger and, 
    thus more expensive; others will require substantially fewer pediatric 
    patients. Thus, FDA believes these figures reasonably project the 
    average added costs.
        As FDA estimates that the regulation would have required 
    pharmaceutical companies to annually conduct an estimated 378 
    additional pediatric studies for 82 NDA's, 148 efficacy studies, and 
    230 PK studies; the above unit cost estimates imply total industry 
    costs of $45 million annually. Although the industry comment that 
    included the cost data projected clinical trial costs totaling over 
    $100 million per year, this estimate assumed the need for 34,000 
    additional pediatric patients. FDA found that had this rule been in 
    place over the 1993 to 1997 period, it would have required additional 
    data from about 10,860 patients per year.
    2. Cost of New Formulations
        In its earlier analysis of the proposal, FDA calculated that about 
    30 percent of all NME's were available only in tablets or hard capsules 
    at the time of approval. Acknowledging the potential difficulties of 
    developing new formulations for certain drugs, FDA estimated that the 
    overall costs could average $1 million for each new formulation 
    developed. Several comments questioned the agency's estimates. Based on 
    an informal survey of its members, a major industry trade association 
    reported that the development of a pediatric formulation could take 
    from 5 months to 4 years and cost from $500,000 to $3.5 million. It 
    also objected to the agency's estimate of the number of drugs that 
    would require reformulation. The association, however, apparently 
    misunderstood FDA's methodology. The agency had found that 10 of 14 
    drugs per year would not need reformulation because a potentially 
    adequate dosage form (liquid, an injectable, a solution, a 
    dermatological, etc.) was already available. The association believed 
    that FDA has assumed that only tablets and/or capsules were available 
    for the ten drugs. None of these comments,
    
    [[Page 66664]]
    
    however, offered an alternative methodology for projecting the 
    aggregate value of these costs.
        To develop reasonable estimates of the number of new dosage forms 
    that would be needed, FDA again reviewed all of the 255 approved drug 
    applications that would likely have required new pediatric studies 
    during the 1993 to 1997 period, had this rule been in place. The agency 
    generally assumed that those drugs identified as having a meaningful 
    clinical pediatric benefit for the youngest three age groups, but 
    available only in tablets or hard capsules at the time of approval, 
    would have needed to develop an alternative dosage form. The agency 
    also assumed that a new pediatric formulation would not be counted if a 
    more appropriate pediatric dosage form was subsequently approved for 
    the same drug. FDA is aware that these estimates can not be considered 
    precise. For example, not all liquids are adequate for pediatric 
    populations. On the other hand, new formulations may not be needed if a 
    drug is used primarily for children between the ages of 8 and 12 years. 
    Nevertheless, as shown in Table 3 of this document, the results of this 
    methodology show that about 35 percent of the approved applications 
    needing studies, or about 18 per year, would have needed new dosage 
    forms. Table 4 of this document raises this estimate by 83 percent, or 
    to 33 per year, to account for the number of new dosage forms developed 
    for drugs not subsequently approved. While FDA cannot confidently 
    predict a typical initiation time for this effort, the 83 percent 
    adjustment calculation assumes that work on about 25 percent of all new 
    formulations would be initiated at the start of Phase 2 trials and 75 
    percent by the start of Phase 3 trials. (The probability of approval 
    was assumed to be .635 for a drug entering phase 3 trials and .31 for a 
    drug entering phase 2 trials (Ref. 18).)
        The development of some pediatric formulations will be difficult, 
    the development of others relatively straightforward and achieved 
    without substantial problem. The rule requires only that sponsors take 
    all reasonable steps to develop needed new formulations. Thus, while 
    acknowledging that the cost for particularly difficult formulations may 
    be higher, FDA has retained its average cost estimate of $1 million to 
    develop each new dosage form and projects this total industry cost at 
    nearly $33 million per year.
    3. Cost of Added Paperwork Requirements
        The rule also requires additional industry effort for new or 
    expanded paperwork reporting. Section VI of this document describes 
    these reporting tasks, discusses the industry comment that questioned 
    the agency's estimate of the paperwork burden for the proposal, and 
    presents the agencies revised estimate for this final rule. As shown in 
    that section, FDA projects an annual burden of about 40,000 hours per 
    year. On the assumption that 25 percent of these hours will be for 
    upper management staff, 50 percent for middle management staff, and 25 
    percent for administrative and clerical support, at respective labor 
    costs of $52, $34, and $17 per hour, FDA estimates these total 
    paperwork costs at about $1.4 million per year.
    4. Total Costs
        Table 5 of this document summarizes the agency's estimates of costs 
    for efficacy studies, PK studies, new dosage forms, and paperwork. 
    Because the expense of pediatric trials and dosage form development 
    will be spread over 2 or 3 years for any given drug, the total costs to 
    industry in any given year are unlikely to vary as much as shown in 
    Table 5. Most importantly, however, the average $80.1 million annual 
    cost figure reflects only what the rule would have cost had the rule 
    been in effect from 1993 to 1997. The incentives generated by the 
    additional 6-month marketing exclusivity offered by FDAMA will reduce 
    the future costs of the regulation.
    
                         Table 5.--Estimated Industry Costs--Compliance With Pediatric Labeling
                                                      [in millions]
    ----------------------------------------------------------------------------------------------------------------
                                                                                New dosage
                          Year                         Efficacy    PK studies      form      Paperwork      Total
                                                       studies                  developed
    ----------------------------------------------------------------------------------------------------------------
    1993...........................................        $15.3         19.7         22.3          1.4         58.6
    1994...........................................         17.9         19.0         31.6          1.4         69.9
    1995...........................................         16.7         17.3         24.1          1.4         59.5
    1996...........................................         35.6         34.4         53.9          1.4        125.2
    1997...........................................         25.7         24.7         35.3          1.4         87.0
                                                    ----------------------------------------------------------------
        Average Per Year...........................        $22.2        $23.0        $33.4         $1.4        $80.0
    ----------------------------------------------------------------------------------------------------------------
    
        FDA cannot develop precise adjustments for the forthcoming effects 
    of FDAMA, due to the complexity of the economic forecasting that would 
    be needed. Nevertheless, the agency developed rough projections of the 
    potential impact of this statute by comparing the estimated present 
    value of the 6-month exclusivity gain with the estimated cost of the 
    new pediatric studies, for each of the 85 drugs with applications 
    approved in 1993 and 1994 that would have needed new pediatric 
    labeling. (More recent years were not used, because the revenues of 
    newer drugs are far below their peak values.) Where the estimated 
    exclusivity gain exceeded the cost of all required studies, including 
    the development of new dosage forms, FDA concluded that the studies for 
    that drug would have been initiated voluntarily and their cost 
    attributable to FDAMA rather than to this regulation.
        The methodology assumed that a 6-month gain of marketing 
    exclusivity would be worth about 25 percent of a drug's annual sales 
    revenue during the year the exclusivity is needed, less 60 percent for 
    production, administrative, and marketing costs (Ref. 19). Costs of 
    conducting the required studies for each of the 85 drugs were based on 
    the cost estimates described previously ($150,000 for each efficacy 
    study, $100,000 for each PK study, and $1 million for each new dosage 
    form. The present value of the additional revenues (at a 7 percent 
    discount rate) were calculated from 1997 sales data published by IMS 
    America (Ref. 20). Because 1997 sales revenues probably underestimate 
    the sales revenues that will be realized at the time that the added 
    exclusivity is used, this methodology likely underestimates the effects 
    of FDAMA, hence overestimating the costs of the rule. In general,
    
    [[Page 66665]]
    
    however, this analysis was insensitive to the precise assumptions used. 
    For example, using an 11 percent rather than 7 percent discount rate 
    raises the cost totals by only $1.2 million per year.
        The analysis found that the necessary studies would have been 
    conducted voluntarily for 56 out of the 85 affected applications (66 
    percent). Adjusting estimates of only the approved applications by this 
    percentage (FDAMA was not assumed to affect studies for applications 
    not obtaining approval), FDA projects that the annual costs 
    attributable to this rule will be approximately $46.7 million, or about 
    42 percent below the non-FDAMA adjusted figure of $80 million.
        Further, although the agency has not yet evaluated the full 
    economic impact of the FDAMA legislation, it believes that the present 
    value of the net revenues expected from the 6 months of added 
    exclusivity granted under the new FDAMA legislation will greatly exceed 
    the additional costs imposed by this regulation. One industry 
    publication (MedAdNews, June 1998, p. 10) for example, reports that 
    products currently valued at $41 billion in annual sales will come off 
    patent between 1998 and 2008, or an average of $11 billion per year. 
    Alternatively, FDA estimates that the annual revenues for NCE's coming 
    off patent may average between $200 and $300 million each. If 25 NCE's 
    lose exclusivity each year, these annual revenues would range from $5 
    billion to $7.5 billion. If only 60 percent of these NCE's become 
    eligible for extended exclusivity, the methodology described above 
    implies that industry net incomes will increase from $300 to $450 
    million per year. Thus, FDAMA and this rule, taken together, will 
    provide critical pediatric information without diverting current 
    resources from pharmaceutical innovation.
    
    *COM041**COM041*E. Benefits
    
        The rule addresses two major problems associated with the lack of 
    adequate information on the effects of drugs on pediatric patients: (1) 
    Adverse drug reactions in children due to inadvertent drug overdoses or 
    other drug administration problems that could be avoided with better 
    information on appropriate pediatric use; and (2) under use of safe and 
    effective drugs for children due to the prescribing of an inadequate 
    dosage or regimen, a less effective drug, or no drug at all because of 
    uncertainty over the drug's effect on children or the unavailability of 
    a pediatric formulation. By developing improved information on whether, 
    and in what dosage, a drug is safe and effective for use in children, 
    FDA believes that the regulation will result in fewer adverse drug 
    reactions and fewer instances of less-than-optimal treatment of 
    pediatric patients.
        Despite numerous reports of children endangered by the absence of 
    adequate drug labeling, FDA has found no systematic studies in the 
    literature that evaluate the overall magnitude of the harm that results 
    from the incomplete labeling of drugs for use in children. In the 
    preamble to the proposal, the agency specifically requested, 
    ``information on any available studies or data related to the incidence 
    and costs of either undertreatment or avoidable ADE's in pediatric age 
    groups due to the lack of information on the effects of 
    pharmaceuticals.'' The comments received cited case after case of 
    children who have died or suffered because of the inadequate testing of 
    drugs in children, but the information was largely anecdotal and 
    related to particular instances of drug misuse or underuse.
        For example, physicians who care for HIV-infected patients 
    expressed frustration at their inability to treat children with drugs 
    known to be effective in adults. Pulmonary specialists described the 
    dearth of information on risks versus benefits of new antimicrobials 
    for pediatric patients, citing the example of ciprofloxacin, a 
    quinolone that may be valuable in treating cystic fibrosis, although 
    the safety and effectiveness of the drug in children has not been 
    established. Comments received from asthma specialists reaffirmed the 
    difficulties of administering medications, treating drug side effects, 
    or withholding treatment for children with asthma, due to the lack of 
    research on drug safety and effectiveness.
        In both written comments and in commentary at the public hearing in 
    October 1997, concerns were raised about the costs of not implementing 
    a requirement for pediatric labeling. Avoidable adverse outcomes, cited 
    in relation to pediatric dosage problems, included opportunistic 
    infections from too much immunosuppression, and loss of grafts in 
    pediatric renal transplant patients with too little immunosuppression. 
    Comments also cited added health care, including increased 
    hospitalizations, required as a result of less effective treatment for 
    pediatric patients. One comment estimated the cost of delayed access in 
    terms of infant deaths, attributing an additional 2,000 unnecessary 
    infant deaths over a 2-year period to the delay in access to AZT for 
    HIV-exposed infants. Another suggested using the Vaccine Injury 
    Compensation program figure of $250,000 per child as the value of an 
    avoided death resulting from an ADR. Other comments confirmed that many 
    adverse outcomes develop quickly and would be detected in early 
    clinical studies (e.g., ``gray syndrome'' in babies treated with 
    chloramphenicol).
        While clearly demonstrating the critical need for improved 
    pediatric information, these comments do not suggest a practical 
    methodology for quantifying the aggregate benefits of this rule. FDA, 
    also, has been unable to develop a precise assessment of the probable 
    regulatory benefits. The agency's approach to estimating regulatory 
    benefits therefore is framed in terms of the following two questions: 
    (1) Are data available to assess current differences in the safety of 
    drug therapy for adults versus children with the same condition? and 
    (2) Are data available to assess current differences in the 
    effectiveness of drug therapy for adults versus children with the same 
    condition?
        FDA first attempted to assess the safety of drug therapy by looking 
    for differences in the frequency and severity of ADR's for adults 
    versus children treated for the same condition. The available clinical 
    and health survey data, however, did not provide a reliable estimate of 
    the contribution of ADR's to pediatric as compared to adult rates of 
    mortality and morbidity. ADR-related data are limited by the lack of a 
    general requirement and a ready mechanism for the comprehensive 
    reporting of incidents directly attributable to ADR's (Ref. 21). 
    Moreover, most available studies have not addressed ADR rates and 
    associated death rates by age group within a treated condition (Refs. 
    22, 23, and 24). For example, one study of pediatric patients shows an 
    ADR-related admission rate in the range of only 2.0 to 3.2 percent, 
    well below the average for adult and pediatric studies combined. 
    Pediatric cancer patients, however, experienced a 22 percent ADR-
    admission rate (Ref. 25), suggesting that pediatric risks may be 
    significantly greater within condition-defined subpopulations. In 
    addition, potential concerns about negative public attention (Ref. 26) 
    or liability inhibit reporting of ADR's. Finally, for many seriously 
    ill patients, it is very difficult to attribute a specific medical 
    outcome to a particular medication, as opposed to some other 
    complication in the patient's condition, or misadventure in the 
    patient's care. The agency found therefore that it could not rely on 
    available ADR studies to derive an assessment of the potential benefits 
    of this rule.
    
    [[Page 66666]]
    
        Data to assess the effectiveness of drug therapy would indicate 
    differences in clinical outcomes, or in other health care utilization 
    concomitant with drug therapy. If drug therapies for children were less 
    effective than that for adults with the same condition, one might see 
    longer recovery times, or lower recovery rates, together with increased 
    health services use, assuming a similar prognosis and course of 
    illness. A limitation to this approach is that the prognosis and course 
    of illness may not be the same in children and adults with the same 
    serious health condition, even if the same drugs were included in best-
    practice treatment. Moreover, differential patterns of health care 
    utilization may reflect variations in physician practice patterns, 
    insurance benefits, or patient and family behavior and preferences, 
    rather than measures of drug effectiveness. Notwithstanding such 
    limitations, comparisons of health care resource use for one 
    therapeutic approach compared to another are commonly used in 
    evaluations of therapy effectiveness in the field of pharmacoeconomics. 
    In this instance, FDA finds that health care utilization data may 
    provide at least an indirect indication of potential benefits. 
    Hospitalization rates, in particular, are the most extensively studied 
    measure of morbidity related to adverse drug reactions and of quality 
    of care for a number of chronic (e.g., asthma) and acute conditions 
    (e.g., pneumonia) (Refs. 27 and 28). While hospitalizations due to 
    adverse drug reactions or drug therapy undertreatment are not always 
    recognized, these admissions are routinely classified with a primary 
    diagnosis of the underlying disease. FDA therefore has relied on 
    diagnosis-related hospitalization rates to develop an order-of-
    magnitude assessment of the potential benefits of this rule.
        For this assessment, the agency compared rates of hospitalization 
    of pediatric patients to rates of hospitalization of adult patients for 
    several important disease conditions. Next, the agency examined the 
    potential direct and indirect cost savings that would be realized by 
    diminishing any age-related disparities. The pediatric population was 
    defined to be all persons under the age of 15 and the comparison group 
    to be those adults between the ages of 15 and 44. (The exclusion of 
    older adult patients minimizes the confounding effect of the age-
    related increased morbidity and mortality.) Comparisons were limited to 
    asthma, HIV/AIDS, cancer, pneumonia, and kidney infection, as these 
    conditions are life threatening, occur in both adults and children, and 
    comparable data are available for adult and pediatric patients. 
    Moreover, reports received in the FDA Spontaneous Reporting System 
    (SRS) in 1993 indicated that the therapeutic areas for which the 
    highest number of ADR's were reported for patients under age 15, 
    relative to the number reported for patients 15 to 44, included those 
    for anti-infectives, pulmonary drugs and oncology drugs.
        Direct costs were based on the estimated number of cases, 
    hospitalization rates, and length of stay for each of the selected 
    conditions. The number of cases reported were based on national health 
    survey (Ref. 29) and public surveillance data (Refs. 30, 31, and 32). 
    In 1994, the total number of cases for these 5 conditions, in patients 
    under age 15, was approximately 6.65 million. The total number of cases 
    for patients ages 15 to 44 was approximately 8.3 million. The number of 
    hospitalizations per year for which the selected condition was the 
    primary diagnosis was obtained from the National Hospital Discharge 
    Survey (Ref. 33). As shown in Table 6 of this document, the pediatric 
    hospitalization rate exceeded the adult rate for all five conditions.
    
              Table 6.--Hospitalization Rates per Patient per Year
    ------------------------------------------------------------------------
                                                                       Rate
                                                              Rate     for
                       Primary diagnosis                     under   ages 15-
                                                             age 15     44
    ------------------------------------------------------------------------
    Asthma................................................     .045     .024
    HIV/AIDS..............................................     .533     .233
    Cancer................................................    4.247    3.903
    Pneumonia.............................................     .147     .129
    Kidney Infection......................................     .191     .073
    ------------------------------------------------------------------------
    
        The average length of hospital stay (ALOS) for patients with the 
    selected condition as the primary diagnosis (based on ICD-9 code) was 
    obtained from recent hospital survey data (Ref. 34), the average cost 
    per day of inpatient hospital care for each of the selected conditions 
    was based on hospital charge data reported in the survey (Ref. 35), and 
    the cost of physician services associated with each episode of 
    hospitalization was based on physician charge data (Ref. 36). Each 
    episode of care was assumed to include physician charges for emergency 
    room service, daily inpatient visits, and a postdischarge office visit. 
    For cancer hospitalizations, daily inpatient visits and a followup 
    office visit were included. The calculation of indirect costs assumed 8 
    hours of parental time away from work for each episode of 
    hospitalization and income and productivity losses based on average 
    employee compensation, as reported in the 1997 U.S. Statistical 
    Abstract. A detailed description of all assumptions, calculations, and 
    data sources is included in the full agency report (Ref. 37).
        The assumed hypothesis is that a substantial fraction of the 
    difference between pediatric and adult hospitalization rates for like 
    disease conditions are attributable to the greater range of drug 
    therapies and better information on drug dosages for adults. FDA cannot 
    estimate the precise magnitude of the relevant fraction. Nevertheless, 
    if the differentials between pediatric and adult hospitalization rates 
    were reduced by 25 percent, the resulting direct cost savings would be 
    $228 million, with indirect cost savings of $5.3 million per year. If 
    the differentials were reduced by as much as 50 percent, the direct 
    cost savings would be $456 million per year, with indirect savings of 
    $10.6 million. Even if the differentials were as low as 10 percent, the 
    resulting reductions in hospitalization would lead to direct cost 
    savings of $91.2 million, with indirect savings of $2.1 million per 
    year.
        The timing of the benefit after the rule's implementation is 
    uncertain. The previous values represent the potential benefit over 
    time as the safety and effectiveness of drugs are more extensively 
    tested, new and already marketed drugs become labeled for use in 
    children, and new formulations and dosage forms are developed to 
    facilitate therapy for children. The figures may overestimate the 
    impact for the selected conditions over the next few years, but may 
    underestimate the potential benefits for these patients in the longer 
    term if there is an increasing prevalence of asthma, cancer, and 
    respiratory and other infectious diseases in the pediatric population. 
    Thus, the lower reduction estimate may be more realistic in the near-
    term, with the higher reduction estimates offering a better indication 
    of longer-term benefit.
        As discussed previously, FDA believes that the new FDAMA statute 
    will cause some of these pediatric studies to be conducted voluntarily. 
    In its assessment of costs, the agency found that about two-thirds of 
    the applications for approved drugs needing pediatric studies may be 
    undertaken voluntarily due to the incentives established by FDAMA. 
    Adjusting the previous medical cost savings by a similar ratio suggests 
    that if all of the new pediatric studies achieved a 25 percent 
    reduction in the pediatric/adult hospitalization differentials, the 
    additional studies prompted by this rule would yield
    
    [[Page 66667]]
    
    annual savings of $76 million for just those five diseases. This 
    estimate may represent a lower bound on the benefits to pediatric 
    patients, however, because a number of other disease conditions are 
    also common to children and adults, including such life-threatening 
    conditions as hypertensive disease and renal disease. These pediatric 
    populations also would experience significant benefits from increased 
    safety and access to drug treatments currently available only to adult 
    patients. Moreover, the analysis omits any quantification of benefits 
    for reduced pain and suffering and reduced pediatric mortality. Thus, 
    the full benefits of the rule could easily exceed $100 million per 
    year. Therefore, in accordance with the SBREFA, the Administrator of 
    the Office of Information and Regulatory Affairs of the Office of 
    Management and Budget (the Administrator) has determined that this rule 
    is likely to result in an annual effect on the economy of $100 million 
    or more and thus is a major rule for the purpose of congressional 
    review.
    
    F. Small Entities
    
        The rule will impose a burden on relatively few small entities, 
    because new drug development is typically an activity completed by 
    large multinational firms. Only one industry comment questioned the 
    agency's determination that the rule would not have a significant 
    effect on a substantial number of small entities. That comment 
    indicated that about 1,500 small entities are conducting diagnostic and 
    therapeutic R&D in the United States and that ``[c]ontributions to new 
    drug approvals by the `biotech' and `small pharma' sector are 
    increasing year by year, and the pace of change will--almost 
    certainly--continue.''
        FDA agrees that small firms contribute substantially to the early 
    development of many new drugs and biologicals. Nevertheless, because of 
    the considerable resources needed for clinical testing and marketing, 
    the agency finds that very few of these small firms retain ownership 
    and control through the large-scale clinical testing and approval 
    stages. Moreover, many of the products that are sponsored by small 
    companies are eligible for orphan designation and therefore exempted 
    from this rule. To approximate the number of small firms that might be 
    significantly affected, FDA determined the sponsor company size for all 
    of the approved applications that may have required additional 
    pediatric studies had this rule been in place over the years from 1993 
    to 1997. The agency found that, on average, based on the Small Business 
    Administration's definition of a small firm, only three approved 
    applications per year were submitted by small companies. Multiplying by 
    the previously described 1.58 factor to account for unapproved 
    applications increases this estimate of the number of small entities 
    that may have been significantly affected by this rule to just five 
    small firms per year. Because the agency has certified that the rule 
    will not impose a significant economic impact on a substantial number 
    of small entities, the Regulatory Flexibility Act does not require the 
    agency to prepare a Regulatory Flexibility Analysis. Moreover, the 
    agency further points out that the required new studies will comprise a 
    very small part of the total cost of developing new drugs or biologics, 
    which is generally estimated in the hundreds of millions of dollars for 
    each new drug.
    
    G. Regulatory Alternatives
    
        The agency carefully examined two major alternatives to the final 
    rule. The first alternative considered was the initial proposal, which 
    covered only NCE's. The estimated cost of this alternative, excluding 
    the FDAMA adjustment, would be about $40 million, or roughly 50 percent 
    of the cost of the final rule. The agency rejected this alternative 
    because of the predominant view of the medical community that 
    additional pediatric data were needed for all of the drugs and 
    biologicals that may be therapeutically significantly in pediatric 
    populations, not just for the new chemical entities.
        The other major alternative considered was to delay implementation 
    of the rule until the effects of the new FDAMA statute were reviewed. 
    FDA fully expects the FDAMA exclusivity provisions to provide a 
    substantial incentive to conduct large numbers of pediatric studies. 
    Nevertheless, the agency finds that relying on these incentives, alone, 
    would leave numerous gaps in many important areas of pediatric 
    labeling. For example, as described earlier in this preamble, voluntary 
    research may overlook studies for many important drugs, especially 
    where such studies require the development of new pediatric dosage 
    forms. Thus, notwithstanding FDAMA incentives, FDA has determined that 
    this regulation is necessary to protect the pediatric population and 
    that further delay is not warranted.
    
    IX. References
    
        The following references have been placed on display in the Dockets 
    Management Branch (HFA-305), Food and Drug Administration, 5630 Fishers 
    Lane, rm. 1061, Rockville, MD 20852, and may be seen by interested 
    persons between 9 a.m. and 4 p.m., Monday through Friday.
        1. Pina, L.M., Drugs Widely Used off Label in Pediatrics, Report of 
    the Pediatric Use Survey Working Group of the Pediatric Subcommittee, 
    in News Along the Pike, January 1997.
        2. Food and Drug Administration, Guidance for Industry: Standards 
    for the Prompt Review of Efficacy Supplements, Including Priority 
    Efficacy Supplements, May 1998.
        3. Population Division, United States Bureau of the Census, PPL-91, 
    Appendix a. Resident Population--Estimates by Age, Sex, Race, and 
    Hispanic Origin, Washington, DC 20233, 1998.
        4. Powell, D.A. et al., ``Chloramphenicol: New Perspectives on an 
    Old Drug,'' Drug Intelligences & Clinical Pharmacy, 16:295-300, 1982.
        5. Koren, G. et al., ``Unexpected Alterations in Fentanyl 
    Pharmacokinetics in Pediatric Patients Undergoing Cardiac Surgery: Age 
    Related or Disease Related?'' Developmental Pharmacology Therapeutics, 
    9:183-191, 1986.
        6. Gauntlett, I.S. et al., ``Pharmacokinetics of Fentanyl in 
    Neonatal Humans and Lambs: Effects of Age,'' Anesthesiology, 69:683-
    687, 1988.
        7. Kauffman, R.E., ``Fentanyl, Fads, and Folly: Who Will Adopt the 
    Therapeutic Orphans?'' Journal of Pediatrics, 119:588-589, 1991.
        8. McCloskey J.J. et al., ``Bupivacaine Toxicity Secondary to 
    Continuous Caudal Epidural Infusion in Pediatric Patients,'' Anesthesia 
    Analgesia, 75:287-290, 1992.
        9. Fisher, D.M. et al., ``Neuromuscular Effects of Vecuronium (ORG 
    NC45) in Infants and Pediatric Patients During N2O Halothane 
    Anesthesia,'' Anesthesiology, 58:519-523, 1983.
        10. Agarwal, R. et al., ``Seizures Occurring in Pediatric Patients 
    Receiving Continuous Infusion of Bupivacaine,'' Anesthesia and 
    Analgesia, 75:284-286, 1992.
        11. Mevorach, D.L. et al., ``Bupivacaine Toxicity Secondary to 
    Continuous Caudal Epidural Infusion in Pediatric Patients,'' Anesthesia 
    Analgesia, 77:13005-1306, 1993.
        12. Editorial: ``Cystic Fibrosis and Colonic Strictures,'' Journal 
    of Clinical Gastroenterology, 21(1):2-5, 1995.
        13. Olkkola, K.T. et al., ``A Potentially Hazardous Interaction 
    Between Erythromycin and Midazolam,'' Clinical Pharmacology Therapy, 
    53:298-305, 1993.
    
    [[Page 66668]]
    
        14. Hiller, A. et al., ``Unconsciousness Associated with Midazolam 
    and Erythromycin,'' British Journal of Anaesthesia, 65:826-828, 1994.
        15. Tejeda, H. et al., ``Representation of African-Americans, 
    Hispanics, and Whites in National Cancer Institute Cancer Treatment 
    Trials,'' Journal of the National Cancer Institute, 88(12):812-816, 
    1996.
        16. Center for Drug Evaluation and Research, Manual of Policies and 
    Procedures, Priority Review Policy, MAPP 6020.3, April 22, 1996.
        17. Committee on Drugs, American Academy of Pediatrics, Guidelines 
    for the Ethical Conduct of Studies to Evaluate Drugs in Pediatric 
    Populations, Pediatrics, 95(2):286-294, 1995.
        18. DiMasi et al., ``Cost of Innovation in the Pharmaceutical 
    Industry,'' Journal of Health Economics, p. 127, 10:1991.
        19. Office of Technology Assessment, ``Pharmaceutical R&D: Costs, 
    Risks and Rewards, Washington, DC: U.S. Government Printing Office,'' 
    Appendix G, February 1993.
        20. IMS America, ``1997 Retail Perspective and Provider 
    Perspective.''
        21. Bates, D.W., ``Drugs and Adverse Drug Reactions: How Worried 
    Should We Be?'' Journal of American Medical Association, vol. 279, No. 
    15, April 1998.
        22. Einarson, T.R. ``Drug-Related Hospital Admission'', The Annals 
    of Pharmacotherapy, vol. 27, pp. 832-840, July/August 1993.
        23. Lazarou, J., B.H. Pomeranz, and P.N. Corey, ``Incidence of 
    Adverse Drug Reactions in Hospitalized Patients'', Journal of American 
    Medical Association, vol. 279, No. 15, April 1998.
        24. Phillips, D.P., N. Christenfeld, and L.M. Glynn, ``Increase in 
    U.S. Medication-Error Deaths Between 1983 and 1993'', The Lancet, vol. 
    351, 643-644, February 1998.
        25. Mitchell, A.A., P.G. Lacouture, J.E. Sheehan, R.E. Dauffman, 
    and S. Shapiro, ``Adverse Drug Reactions in Children Leading to 
    Hospital Admission,'' Pediatrics, vol. 82, No. 1, July 1988.
        26. Bates, D.W., ``Drugs and Adverse Drug Reactions: How Worried 
    Should We Be?'' Journal of American Medical Association, vol. 279, No. 
    15, April 1998.
        27. National Committee for Quality Assurance (NCQA) HEDIS 2.5, 
    December 1995.
        28. Agency for Health Care Policy Research (AHCPR) Conquest 1.1.
        29. Vital and Health Statistics, Current Estimates From the 
    National Health Interview Survey, 1994, Series 10: Data From the 
    National Health Survey, No. 193, PHS 96-1521, December 1995.
        30. Center for Disease Control Wonder HIV/AIDS statistics.
        31. World Health Organization, Provisional Working Estimates of 
    Adult HIV Prevalence as of end of 1994 by Country.
        32. SEER 1989, Available Through CDC Wonder, ICD 140-239.
        33. Vital and Health Statistics, National Hospital Discharge 
    Survey: Annual Summary, 1995, Series 13, No. 133, PHS 98-1794, January 
    1998.
        34. Vital and Health Statistics, Detailed Diagnoses and Procedures, 
    National Hospital Discharge Survey, 1995, Series 13: Data From the 
    National Health Survey, No. 130, PHS 98-1791, November 1997.
        35. Statistics From the HCUP-3 Nationwide Inpatient Sample for 
    1994: Principal Diagnoses, http://www.ahcpr.gov/data/94dcchpr.htm, 
    current as of September 1997, AHCPR Pub. No. 97-0058.
        36. Health Care Financing Administration, Office of Research and 
    Demonstrations, Health Care Financing Review: 1997 Statistical 
    Supplement, November 1997.
        37. ``Potential Benefits of Pediatric Information,'' Economics 
    Staff, Office of Planning and Evaluation, FDA, April 1998.
        38. IMS, National Disease and Therapeutic Index, IMS America: 
    Plymouth Meeting, PA.
    
    List of Subjects
    
    21 CFR Part 201
    
        Drugs, Labeling, Reporting and recordkeeping requirements.
    
    21 CFR Part 312
    
        Drugs, Exports, Imports, Investigations, Labeling, Medical 
    research, Reporting and recordkeeping requirements, Safety.
    
    21 CFR Part 314
    
        Administrative practice and procedure, Confidential business 
    information, Drugs, Reporting and recordkeeping requirements.
    
    21 CFR Part 601
    
        Administrative practice and procedure, Biologics, Confidential 
    business information.
    
        Therefore, under the Federal Food, Drug, and Cosmetic Act, the 
    Public Health Service Act, and under authority delegated to the 
    Commissioner of Food and Drugs, 21 CFR parts 201, 312, 314, and 601 are 
    amended as follows:
    
    PART 201--LABELING
    
        1. The authority citation for 21 CFR part 201 continues to read as 
    follows:
    
        Authority: 21 U.S.C. 321, 331, 351, 352, 353, 355, 357, 358, 
    360, 360b, 360gg-360ss, 371, 374, 379e; 42 U.S.C. 216, 241, 262, 
    264.
    
        2. Section 201.23 is added to subpart A to read as follows:
    
    
    Sec. 201.23  Required pediatric studies.
    
        (a) A manufacturer of a marketed drug product, including a 
    biological drug product, that is used in a substantial number of 
    pediatric patients, or that provides a meaningful therapeutic benefit 
    over existing treatments for pediatric patients, as defined in 
    Secs. 314.55(c)(5) and 601.27(c)(5) of this chapter, but whose label 
    does not provide adequate information to support its safe and effective 
    use in pediatric populations for the approved indications may be 
    required to submit an application containing data adequate to assess 
    whether the drug product is safe and effective in pediatric 
    populations. The application may be required to contain adequate 
    evidence to support dosage and administration in some or all pediatric 
    subpopulations, including neonates, infants, children, and adolescents, 
    depending upon the known or appropriate use of the drug product in such 
    subpopulations. The applicant may also be required to develop a 
    pediatric formulation for a drug product that represents a meaningful 
    therapeutic benefit over existing therapies for pediatric populations 
    for whom a pediatric formulation is necessary, unless the manufacturer 
    demonstrates that reasonable attempts to produce a pediatric 
    formulation have failed.
        (b) The Food and Drug Administration (FDA) may by order, in the 
    form of a letter, after notifying the manufacturer of its intent to 
    require an assessment of pediatric safety and effectiveness of a 
    pediatric formulation, and after offering an opportunity for a written 
    response and a meeting, which may include an advisory committee 
    meeting, require a manufacturer to submit an application containing the 
    information or request for approval of a pediatric formulation 
    described in paragraph (a) of this section within a time specified in 
    the order, if FDA finds that:
        (1) The drug product is used in a substantial number of pediatric 
    patients for the labeled indications and the absence of adequate 
    labeling could pose significant risks to pediatric patients; or
        (2) There is reason to believe that the drug product would 
    represent a meaningful therapeutic benefit over
    
    [[Page 66669]]
    
    existing treatments for pediatric patients for one or more of the 
    claimed indications, and the absence of adequate labeling could pose 
    significant risks to pediatric patients.
        (c)(1) An applicant may request a full waiver of the requirements 
    of paragraph (a) of this section if the applicant certifies that:
        (i) Necessary studies are impossible or highly impractical because, 
    e.g., the number of such patients is so small or geographically 
    dispersed, or
        (ii) There is evidence strongly suggesting that the product would 
    be ineffective or unsafe in all pediatric age groups.
        (2) An applicant may request a partial waiver of the requirements 
    of paragraph (a) of this section with respect to a specified pediatric 
    age group, if the applicant certifies that:
        (i) The product:
        (A) Does not represent a meaningful therapeutic benefit over 
    existing therapies for pediatric patients in that age group, and
        (B) Is not likely to be used in a substantial number of patients in 
    that age group, and
        (C) The absence of adequate labeling could not pose significant 
    risks to pediatric patients; or
        (ii) Necessary studies are impossible or highly impractical 
    because, e.g., the number of patients in that age group is so small or 
    geographically dispersed, or
        (iii) There is evidence strongly suggesting that the product would 
    be ineffective or unsafe in that age group, or
        (iv) The applicant can demonstrate that reasonable attempts to 
    produce a pediatric formulation necessary for that age group have 
    failed.
        (3) FDA shall grant a full or partial waiver, as appropriate, if 
    the agency finds that there is a reasonable basis on which to conclude 
    that one or more of the grounds for waiver specified in paragraphs 
    (c)(2) or (c)(3) of this section have been met. If a waiver is granted 
    on the ground that it is not possible to develop a pediatric 
    formulation, the waiver will cover only those pediatric age groups 
    requiring that formulation. If a waiver is granted because there is 
    evidence that the product would be ineffective or unsafe in pediatric 
    populations, this information will be included in the product's 
    labeling.
        (d) If a manufacturer fails to submit a supplemental application 
    containing the information or request for approval of a pediatric 
    formulation described in paragraph (a) of this section within the time 
    specified by FDA, the drug product may be considered misbranded or an 
    unapproved new drug or unlicensed biologic.
    
    PART 312--INVESTIGATIONAL NEW DRUG APPLICATION
    
        3. The authority citation for 21 CFR part 312 continues to read as 
    follows:
    
        Authority: 21 U.S.C. 321, 331, 351, 352, 353, 355, 357, 371; 42 
    U.S.C. 262.
    
        4. Section 312.23 is amended by redesignating paragraph 
    (a)(10)(iii) as paragraph (a)(10)(iv) and adding new paragraph 
    (a)(10)(iii) to read as follows:
    
    
    Sec. 312.23  IND content and format.
    
        (a) * * *
        (10) * * *
        (iii) Pediatric studies. Plans for assessing pediatric safety and 
    effectiveness.
    * * * * *
        5. Section 312.47 is amended by revising paragraph (b)(1)(i) and 
    the first sentence of paragraph (b)(1)(iv), by removing the fifth 
    sentence of paragraph (b)(1)(v) and adding two sentences in its place, 
    by revising the heading of paragraph (b)(2) and the second and last 
    sentences of the introductory text of paragraph (b)(2), and by 
    redesignating paragraph (b)(2)(iii) as paragraph (b)(2)(iv) and by 
    adding new paragraph (b)(2)(iii) to read as follows:
    
    
    Sec. 312.47  Meetings.
    
    * * * * *
        (b) * * *
        (1) End-of-Phase 2 meetings--(i) Purpose. The purpose of an end-of-
    phase 2 meeting is to determine the safety of proceeding to Phase 3, to 
    evaluate the Phase 3 plan and protocols and the adequacy of current 
    studies and plans to assess pediatric safety and effectiveness, and to 
    identify any additional information necessary to support a marketing 
    application for the uses under investigation.
    * * * * *
        (iv) Advance information. At least 1 month in advance of an end-of-
    Phase 2 meeting, the sponsor should submit background information on 
    the sponsor's plan for Phase 3, including summaries of the Phase 1 and 
    2 investigations, the specific protocols for Phase 3 clinical studies, 
    plans for any additional nonclinical studies, plans for pediatric 
    studies, including a time line for protocol finalization, enrollment, 
    completion, and data analysis, or information to support any planned 
    request for waiver or deferral of pediatric studies, and, if available, 
    tentative labeling for the drug. * * *
        (v) Conduct of meeting. * * * The adequacy of the technical 
    information to support Phase 3 studies and/or a marketing application 
    may also be discussed. FDA will also provide its best judgment, at that 
    time, of the pediatric studies that will be required for the drug 
    product and whether their submission will be deferred until after 
    approval. * * *
        (2) ``Pre-NDA'' and ``pre-BLA'' meetings. * * * The primary purpose 
    of this kind of exchange is to uncover any major unresolved problems, 
    to identify those studies that the sponsor is relying on as adequate 
    and well-controlled to establish the drug's effectiveness, to identify 
    the status of ongoing or needed studies adequate to assess pediatric 
    safety and effectiveness, to acquaint FDA reviewers with the general 
    information to be submitted in the marketing application (including 
    technical information), to discuss appropriate methods for statistical 
    analysis of the data, and to discuss the best approach to the 
    presentation and formatting of data in the marketing application. * * * 
    To permit FDA to provide the sponsor with the most useful advice on 
    preparing a marketing application, the sponsor should submit to FDA's 
    reviewing division at least 1 month in advance of the meeting the 
    following information:
    * * * * *
        (iii) Information on the status of needed or ongoing pediatric 
    studies.
    * * * * *
        6. Section 312.82 is amended by revising the last sentence of 
    paragraph (a) and by removing the second sentence of paragraph (b) and 
    adding two sentences in its place to read as follows:
    
    
    Sec. 312.82  Early consultation.
    
    * * * * *
        (a) Pre-investigational new drug (IND) meetings. * * * The meeting 
    may also provide an opportunity for discussing the scope and design of 
    phase 1 testing, plans for studying the drug product in pediatric 
    populations, and the best approach for presentation and formatting of 
    data in the IND.
        (b) End-of-phase 1 meetings. * * * The primary purpose of this 
    meeting is to review and reach agreement on the design of phase 2 
    controlled clinical trials, with the goal that such testing will be 
    adequate to provide sufficient data on the drug's safety and 
    effectiveness to support a decision on its approvability for marketing, 
    and to discuss the need for, as well as the design and timing of, 
    studies of the drug in pediatric patients. For drugs for life-
    threatening diseases, FDA will provide its best judgment, at that time, 
    whether pediatric studies will be required and whether their submission 
    will be deferred until after approval. * * *
    
    [[Page 66670]]
    
    PART 314--APPLICATIONS FOR FDA APPROVAL TO MARKET A NEW DRUG OR AN 
    ANTIBIOTIC DRUG
    
        7. The authority citation for 21 CFR part 314 continues to read as 
    follows:
    
        Authority: 21 U.S.C. 321, 331, 351, 352, 353, 355, 357, 371, 
    374, 379e.
    
        8. Section 314.50 is amended by adding paragraph (d)(7) to read as 
    follows:
    
    
    Sec. 314.50  Content and format of an application.
    
    * * * * *
        (d) * * *
        (7) Pediatric use section. A section describing the investigation 
    of the drug for use in pediatric populations, including an integrated 
    summary of the information (the clinical pharmacology studies, 
    controlled clinical studies, or uncontrolled clinical studies, or other 
    data or information) that is relevant to the safety and effectiveness 
    and benefits and risks of the drug in pediatric populations for the 
    claimed indications, a reference to the full descriptions of such 
    studies provided under paragraphs (d)(3) and (d)(5) of this section, 
    and information required to be submitted under Sec. 314.55.
    * * * * *
        9. Section 314.55 is added to subpart B to read as follows:
    
    
    Sec. 314.55  Pediatric use information.
    
        (a) Required assessment. Except as provided in paragraphs (b), (c), 
    and (d) of this section, each application for a new active ingredient, 
    new indication, new dosage form, new dosing regimen, or new route of 
    administration shall contain data that are adequate to assess the 
    safety and effectiveness of the drug product for the claimed 
    indications in all relevant pediatric subpopulations, and to support 
    dosing and administration for each pediatric subpopulation for which 
    the drug is safe and effective. Where the course of the disease and the 
    effects of the drug are sufficiently similar in adults and pediatric 
    patients, FDA may conclude that pediatric effectiveness can be 
    extrapolated from adequate and well-controlled studies in adults 
    usually supplemented with other information obtained in pediatric 
    patients, such as pharmacokinetic studies. Studies may not be needed in 
    each pediatric age group, if data from one age group can be 
    extrapolated to another. Assessments of safety and effectiveness 
    required under this section for a drug product that represents a 
    meaningful therapeutic benefit over existing treatments for pediatric 
    patients must be carried out using appropriate formulations for each 
    age group(s) for which the assessment is required.
        (b) Deferred submission. (1) FDA may, on its own initiative or at 
    the request of an applicant, defer submission of some or all 
    assessments of safety and effectiveness described in paragraph (a) of 
    this section until after approval of the drug product for use in 
    adults. Deferral may be granted if, among other reasons, the drug is 
    ready for approval in adults before studies in pediatric patients are 
    complete, or pediatric studies should be delayed until additional 
    safety or effectiveness data have been collected. If an applicant 
    requests deferred submission, the request must provide a certification 
    from the applicant of the grounds for delaying pediatric studies, a 
    description of the planned or ongoing studies, and evidence that the 
    studies are being or will be conducted with due diligence and at the 
    earliest possible time.
        (2) If FDA determines that there is an adequate justification for 
    temporarily delaying the submission of assessments of pediatric safety 
    and effectiveness, the drug product may be approved for use in adults 
    subject to the requirement that the applicant submit the required 
    assessments within a specified time.
        (c) Waivers--(1) General. FDA may grant a full or partial waiver of 
    the requirements of paragraph (a) of this section on its own initiative 
    or at the request of an applicant. A request for a waiver must provide 
    an adequate justification.
        (2) Full waiver. An applicant may request a waiver of the 
    requirements of paragraph (a) of this section if the applicant 
    certifies that:
        (i) The drug product does not represent a meaningful therapeutic 
    benefit over existing treatments for pediatric patients and is not 
    likely to be used in a substantial number of pediatric patients;
        (ii) Necessary studies are impossible or highly impractical 
    because, e.g., the number of such patients is so small or 
    geographically dispersed; or
        (iii) There is evidence strongly suggesting that the drug product 
    would be ineffective or unsafe in all pediatric age groups.
        (3) Partial waiver. An applicant may request a waiver of the 
    requirements of paragraph (a) of this section with respect to a 
    specified pediatric age group, if the applicant certifies that:
        (i) The drug product does not represent a meaningful therapeutic 
    benefit over existing treatments for pediatric patients in that age 
    group, and is not likely to be used in a substantial number of patients 
    in that age group;
        (ii) Necessary studies are impossible or highly impractical 
    because, e.g., the number of patients in that age group is so small or 
    geographically dispersed;
        (iii) There is evidence strongly suggesting that the drug product 
    would be ineffective or unsafe in that age group; or
        (iv) The applicant can demonstrate that reasonable attempts to 
    produce a pediatric formulation necessary for that age group have 
    failed.
        (4) FDA action on waiver. FDA shall grant a full or partial waiver, 
    as appropriate, if the agency finds that there is a reasonable basis on 
    which to conclude that one or more of the grounds for waiver specified 
    in paragraphs (c)(2) or (c)(3) of this section have been met. If a 
    waiver is granted on the ground that it is not possible to develop a 
    pediatric formulation, the waiver will cover only those pediatric age 
    groups requiring that formulation. If a waiver is granted because there 
    is evidence that the product would be ineffective or unsafe in 
    pediatric populations, this information will be included in the 
    product's labeling.
        (5) Definition of ``meaningful therapeutic benefit''. For purposes 
    of this section and Sec. 201.23 of this chapter, a drug will be 
    considered to offer a meaningful therapeutic benefit over existing 
    therapies if FDA estimates that:
        (i) If approved, the drug would represent a significant improvement 
    in the treatment, diagnosis, or prevention of a disease, compared to 
    marketed products adequately labeled for that use in the relevant 
    pediatric population. Examples of how improvement might be demonstrated 
    include, for example, evidence of increased effectiveness in treatment, 
    prevention, or diagnosis of disease, elimination or substantial 
    reduction of a treatment-limiting drug reaction, documented enhancement 
    of compliance, or evidence of safety and effectiveness in a new 
    subpopulation; or
        (ii) The drug is in a class of drugs or for an indication for which 
    there is a need for additional therapeutic options.
        (d) Exemption for orphan drugs. This section does not apply to any 
    drug for an indication or indications for which orphan designation has 
    been granted under part 316, subpart C, of this chapter.
        10. Section 314.81 is amended by revising paragraph (b)(2)(i) and 
    (b)(2)(vii), and by adding paragraph (b)(2)(vi)(c) to read as follows:
    
    
    Sec. 314.81  Other postmarketing reports.
    
    * * * * *
        (b) * * *
        (2) * * *
    
    [[Page 66671]]
    
        (i) Summary. A brief summary of significant new information from 
    the previous year that might affect the safety, effectiveness, or 
    labeling of the drug product. The report is also required to contain a 
    brief description of actions the applicant has taken or intends to take 
    as a result of this new information, for example, submit a labeling 
    supplement, add a warning to the labeling, or initiate a new study. The 
    summary shall briefly state whether labeling supplements for pediatric 
    use have been submitted and whether new studies in the pediatric 
    population to support appropriate labeling for the pediatric population 
    have been initiated. Where possible, an estimate of patient exposure to 
    the drug product, with special reference to the pediatric population 
    (neonates, infants, children, and adolescents) shall be provided, 
    including dosage form.
    * * * * *
        (vi) * * *
        (c) Analysis of available safety and efficacy data in the pediatric 
    population and changes proposed in the labeling based on this 
    information. An assessment of data needed to ensure appropriate 
    labeling for the pediatric population shall be included.
        (vii) Status reports. A statement on the current status of any 
    postmarketing studies performed by, or on behalf of, the applicant. The 
    statement shall include whether postmarketing clinical studies in 
    pediatric populations were required or agreed to, and if so, the status 
    of these studies, e.g., to be initiated, ongoing (with projected 
    completion date), completed (including date), completed and results 
    submitted to the NDA (including date). To facilitate communications 
    between FDA and the applicant, the report may, at the applicant's 
    discretion, also contain a list of any open regulatory business with 
    FDA concerning the drug product subject to the application.
    * * * * *
    
    PART 601--LICENSING
    
        11. The authority citation for 21 CFR part 601 is revised to read 
    as follows:
    
        Authority: 15 U.S.C. 1451-1461; 21 U.S.C. 321, 351, 352, 353, 
    355, 360, 360c-360f, 360h-360j, 371, 374, 379e, 381; 42 U.S.C. 216, 
    241, 262, 263.
    
        12. Section 601.27 is added to subpart C to read as follows:
    
    
    Sec. 601.27  Pediatric studies.
    
        (a) Required assessment. Except as provided in paragraphs (b), (c), 
    and (d) of this section, each application for a new active ingredient, 
    new indication, new dosage form, new dosing regimen, or new route of 
    administration shall contain data that are adequate to assess the 
    safety and effectiveness of the product for the claimed indications in 
    all relevant pediatric subpopulations, and to support dosing and 
    administration for each pediatric subpopulation for which the product 
    is safe and effective. Where the course of the disease and the effects 
    of the product are similar in adults and pediatric patients, FDA may 
    conclude that pediatric effectiveness can be extrapolated from adequate 
    and well-controlled effectiveness studies in adults, usually 
    supplemented with other information in pediatric patients, such as 
    pharmacokinetic studies. In addition, studies may not be needed in each 
    pediatric age group, if data from one age group can be extrapolated to 
    another. Assessments required under this section for a product that 
    represents a meaningful therapeutic benefit over existing treatments 
    must be carried out using appropriate formulations for the age group(s) 
    for which the assessment is required.
        (b) Deferred submission. (1) FDA may, on its own initiative or at 
    the request of an applicant, defer submission of some or all 
    assessments of safety and effectiveness described in paragraph (a) of 
    this section until after licensing of the product for use in adults. 
    Deferral may be granted if, among other reasons, the product is ready 
    for approval in adults before studies in pediatric patients are 
    complete, pediatric studies should be delayed until additional safety 
    or effectiveness data have been collected. If an applicant requests 
    deferred submission, the request must provide an adequate justification 
    for delaying pediatric studies, a description of the planned or ongoing 
    studies, and evidence that the studies are being or will be conducted 
    with due diligence and at the earliest possible time.
        (2) If FDA determines that there is an adequate justification for 
    temporarily delaying the submission of assessments of pediatric safety 
    and effectiveness, the product may be licensed for use in adults 
    subject to the requirement that the applicant submit the required 
    assessments within a specified time.
        (c) Waivers--(1) General. FDA may grant a full or partial waiver of 
    the requirements of paragraph (a) of this section on its own initiative 
    or at the request of an applicant. A request for a waiver must provide 
    an adequate justification.
        (2) Full waiver. An applicant may request a waiver of the 
    requirements of paragraph (a) of this section if the applicant 
    certifies that:
        (i) The product does not represent a meaningful therapeutic benefit 
    over existing therapies for pediatric patients and is not likely to be 
    used in a substantial number of pediatric patients;
        (ii) Necessary studies are impossible or highly impractical 
    because, e.g., the number of such patients is so small or 
    geographically dispersed; or
        (iii) There is evidence strongly suggesting that the product would 
    be ineffective or unsafe in all pediatric age groups.
        (3) Partial waiver. An applicant may request a waiver of the 
    requirements of paragraph (a) of this section with respect to a 
    specified pediatric age group, if the applicant certifies that:
        (i) The product does not represent a meaningful therapeutic benefit 
    over existing therapies for pediatric patients in that age group, and 
    is not likely to be used in a substantial number of patients in that 
    age group;
        (ii) Necessary studies are impossible or highly impractical 
    because, e.g., the number of patients in that age group is so small or 
    geographically dispersed;
        (iii) There is evidence strongly suggesting that the product would 
    be ineffective or unsafe in that age group; or
        (iv) The applicant can demonstrate that reasonable attempts to 
    produce a pediatric formulation necessary for that age group have 
    failed.
        (4) FDA action on waiver. FDA shall grant a full or partial waiver, 
    as appropriate, if the agency finds that there is a reasonable basis on 
    which to conclude that one or more of the grounds for waiver specified 
    in paragraphs (c)(2) or (c)(3) of this section have been met. If a 
    waiver is granted on the ground that it is not possible to develop a 
    pediatric formulation, the waiver will cover only those pediatric age 
    groups requiring that formulation. If a waiver is granted because there 
    is evidence that the product would be ineffective or unsafe in 
    pediatric populations, this information will be included in the 
    product's labeling.
        (5) Definition of ``meaningful therapeutic benefit''. For purposes 
    of this section, a product will be considered to offer a meaningful 
    therapeutic benefit over existing therapies if FDA estimates that:
        (i) If approved, the product would represent a significant 
    improvement in the treatment, diagnosis, or prevention of a disease, 
    compared to marketed products adequately labeled for that use in the 
    relevant pediatric population. Examples of how improvement might be 
    demonstrated include, e.g., evidence of increased effectiveness in 
    treatment, prevention, or diagnosis of disease;
    
    [[Page 66672]]
    
    elimination or substantial reduction of a treatment-limiting drug 
    reaction; documented enhancement of compliance; or evidence of safety 
    and effectiveness in a new subpopulation; or
        (ii) The product is in a class of products or for an indication for 
    which there is a need for additional therapeutic options.
        (d) Exemption for orphan drugs. This section does not apply to any 
    product for an indication or indications for which orphan designation 
    has been granted under part 316, subpart C, of this chapter.
        13. Section 601.37 is added to subpart D to read as follows:
    
    
    Sec. 601.37  Annual reports of postmarketing pediatric studies.
    
        Sponsors of licensed biological products shall submit the following 
    information each year within 60 days of the anniversary date of 
    approval of the license, to the Director, Center for Biologics 
    Evaluation and Research:
        (a) Summary. A brief summary stating whether labeling supplements 
    for pediatric use have been submitted and whether new studies in the 
    pediatric population to support appropriate labeling for the pediatric 
    population have been initiated. Where possible, an estimate of patient 
    exposure to the drug product, with special reference to the pediatric 
    population (neonates, infants, children, and adolescents) shall be 
    provided, including dosage form.
        (b) Clinical data. Analysis of available safety and efficacy data 
    in the pediatric population and changes proposed in the labeling based 
    on this information. An assessment of data needed to ensure appropriate 
    labeling for the pediatric population shall be included.
        (c) Status reports. A statement on the current status of any 
    postmarketing studies in the pediatric population performed by, or on 
    behalf of, the applicant. The statement shall include whether 
    postmarketing clinical studies in pediatric populations were required 
    or agreed to, and if so, the status of these studies, e.g., to be 
    initiated, ongoing (with projected completion date), completed 
    (including date), completed and results submitted to the BLA (including 
    date).
    
        Dated: November 24, 1998.
    Michael A. Friedman,
    Acting Commissioner of Food and Drugs.
    Donna E. Shalala,
    Secretary of Health and Human Services.
    [FR Doc. 98-31902 Filed 11-27-98; 8:45 am]
    BILLING CODE 4160-01-P
    
    
    

Document Information

Published:
12/02/1998
Department:
Food and Drug Administration
Entry Type:
Rule
Action:
Final rule.
Document Number:
98-31902
Dates:
Effective date. The regulation is effective April 1, 1999.
Pages:
66632-66672 (41 pages)
Docket Numbers:
Docket No. 97N-0165
RINs:
0910-AB20: Regulations Requiring Manufacturers To Assess the Safety and Effectiveness of New Drugs and Biological Products in Pediatric Patients
RIN Links:
https://www.federalregister.gov/regulations/0910-AB20/regulations-requiring-manufacturers-to-assess-the-safety-and-effectiveness-of-new-drugs-and-biologic
PDF File:
98-31902.pdf
CFR: (9)
21 CFR 201.23
21 CFR 312.23
21 CFR 312.47
21 CFR 312.82
21 CFR 314.50
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