OPINION OF THE COURT
The issue before the court is whether plaintiff’s State law tort claims are preempted by Federal law.
The case at bar presents the question whether a premarket approval (PMA) granted under the Federal Medical Device Amendments preempts a State common-law negligence action against the manufacturer of an allegedly defective pacemaker.
The plaintiff Paul Heymach alleges that he sustained serious physical injury when an automatic implantable cardioverter defibrillator designed, manufactured and distributed by defendant Cardiac Pacemakers, Inc., and implanted into his body, malfunctioned. The plaintiff has asserted four causes of action against Cardiac Pacemakers, Inc. sounding in negligence, breach of express warranties, and a strict products liability claim. Defendant Cardiac Pacemakers, Inc. has moved for summary judgment dismissing the complaint on the ground that all of plaintiff’s causes of action are barred by Federal preemption.
The sale and distribution of medical devices such as the pacemaker involved in this case are governed by that portion of the Federal Food, Drug, and Cosmetic Act of 1938 (21 USC § 301 et seq. [FDCA]) known as the Medical Device Amendments of 1976 (see, 21 USC § 360c et seq.). The MDA, through the FDCA (21 USC § 360c et seq.) empowers the Food and Drug Administration (FDA) with comprehensive authority to regulate medical devices (see, Slater v Optical Radiation Corp., 961 F2d 1330, cert denied
In the case at bar, the device in issue, a pacemaker, was subjected to and passed a full PMA review. The defendant Cardiac Pacemakers, Inc. argues that a medical device which has undergone this comprehensive review is exempted from State common-law liability under the preemption doctrine. The preemption provisions of the MDA provide as follows:
“[N]o State or political subdivision of a State may establish or continue in effect with respect to a device intended for human use any requirement—
“(1) which is different from, or in addition to, any requirement applicable under this chapter to the device, and
“(2) which relates to the safety or effectiveness of the device or to any other matter included in a requirement applicable to the device under this chapter.” (21 USC § 360k [a].)
The Federal Circuit Courts of Appeals are divided over whether and, if so, the extent to which the MDA preempts State common-law claims (see, English v Mentor Corp.,
In Medtronic, Inc. v Lohr (supra), the Supreme Court held that State causes of action sounding in negligence and strict products liability were not preempted with respect to a pacemaker lead which had passed the less rigorous “substantial equivalence” review pursuant to section 510 (k) of the MDA (21 USC § 360 [k]). In reaching its conclusion that a section 510 (k) approval could not preempt a State claim, the plurality opinion stated: “ ‘[Substantial equivalence determinations provide little protection to the public. These determinations simply compare a post-1976 device to a pre-1976 device to ascertain whether the later device is no more dangerous and no less effective than the earlier device. If the earlier device poses a severe risk or is ineffective, then the later device may also be risky or ineffective.’ ” (Supra, at 493.)
Seizing upon this portion of the decision, defendant Cardiac Pacemakers, Inc., argues that the Supreme Court failed to find preemption because the device at issue “ha[d] never been formally reviewed under the MDA for safety or efficacy” (Medtronic, Inc. v Lohr, supra, at 493). The FDA had “simply allowed the pacemaker, as a device substantially equivalent to one that existed before 1976, to be marketed without running the gauntlet of the PMA process” (Medtronic, Inc. v Lohr, supra,
First, before addressing defendant’s argument, there is the issue whether this court is bound by the Appellate Division decisions in the Third Department and here in the Second Department that have specifically found State tort law claims to be preempted by the MDA when a class III device has survived the PMA process.
The rule in New York is that a trial court must follow an Appellate Division precedent in its own Department, and, in the absence of a relevant decision in its own Department, a trial court is bound to follow applicable decisions in another Department of the Appellate Division, until its own Appellate Division decides otherwise
The Court’s holding was not based solely, as defendant suggests, on the distinction between a cursory “substantial equivalency” review under section 510 (k), and a full PMA review for safety and efficacy. Instead, the Court made clear its view that the MDA contemplated preemption only where there exist specific Federal requirements at odds with specific State or local requirements (see, Medtronic, Inc. v Lohr, supra, at 501). Critically, the Court explained that by “specifically,” what is contemplated is “device specific regulations,” meaning “ ‘specific requirements applicable to a particular device’ ” (see, Medtronic, Inc. v Lohr, supra, at 500, n 18). The Court stated “that when Congress enacted § 360k, it was primarily concerned with the problem of specific, conflicting state statutes and regulations rather than the general duties enforced by common-law actions” (Medtronic, Inc. v Lohr, supra, at 489). The language of section 360k suggests “that its focus is device-specific enactments of positive law by legislative or administrative bodies, not the application of general rules of common law by judges and juries” (Medtronic, Inc. v Lohr, supra, at 489). While the plurality opinion did not explicitly rule out the possibility of preemption based on a specific standard of care imposed by a State-law tort action, the Court stated that, “given the critical importance of device specificity in our * * * construction of § 360k, it is apparent that few, if any, common-law duties have been pre-empted by this statute” (Medtronic, Inc. v Lohr, supra, at 502).
Consistent with this rationale, the Appellate Division, First Department, in Sowell v Bausch & Lomb (
In the case at bar, the court can find no conflict between any device-specific Federal requirement and any of the liability-
Finally, with regard to defendant’s separate application for summary judgment dismissing any claim relating to the rate-sensing leads
Accordingly, the defendant’s motion for summary judgment is denied in its entirety.
Notes
. The decision in Medtronic, Inc. v Lohr (supra) was rendered on June 26, 1996, while the decisions in Ambrosio v Barnes-Hind, Inc. (supra) and Berger v Medtronic, Inc. (supra) were handed down in May 1995 and July 1996, respectively.
. This concept is founded upon the time-honored doctrine of stare decisis and the fact that there is in New York State but one Appellate Division even though it is divided into four Departments for administrative convenience (see, Mountain View Coach Lines v Storms,
. The interpretation of a Federal constitutional question by a lower Federal court, on the other hand, may serve as useful and persuasive authority, but is not binding precedent (see, New York R. T. Corp. v City of New York,
. Generally, rate-sensing leads run between the pacemaker and the heart.
