ORDER AND REASONS
Defendants have raised the affirmative defense of preemption. The question presented is whether Plaintiffs product liability claims are preempted by federal law. For the following reasons, the Court finds Defendants have failed to carry their burden of demonstrating preemption.
BACKGROUND
This a pharmaceutical products liability action. Plaintiff Keisha Hunt suffered personal injury on February 4, 2010 after ingesting Children’s Motrin — a non-prescription drug manufactured by Defendants McNeil Consumer Healthcare
LEGAL STANDARD
The doctrine of preemption derives from the Supremacy Clause, which provides that federal law “shall be the supreme Law of the Land; ... any Thing in the Constitution or Laws of any State to the Contrary notwithstanding.” U.S. Const, art. VI, cl. 2. Accordingly, “state laws that conflict with federal law are ‘without effect.’ ” Altria Grp., Inc. v. Good,
Whether state law is preempted by federal law vel non is a question of congressional intent. Medtronic, Inc. v. Lohr,
In undertaking the preemption analysis — whether express, field, or conflict — courts must heed “the assumption that the historic police powers of the States [are] not to be superseded by the Federal Act unless that was the clear and manifest purpose of Congress.” Altria Grp.,
LAW AND ANALYSIS
Defendants contend Plaintiffs LPLA claims that Children’s Motrin is defectively designed and contains inadequate warnings are preempted by the Federal Food, Drug, and Cosmetic Act (“FDCA”), 21 U.S.C. § 301 et seq. Specifically, Defendants invoke the doctrine of impossibility preemption, arguing that it was impossible to comply with both state-law duties under the LPLA and federal duties imposed by the FDCA. The Court addresses each of Plaintiffs LPLA claims separately.
I. Whether Plaintiffs Inadequate-Warning Claim Is Preempted by Federal Law
Defendants contend the Supreme Court’s decision in Wyeth v. Levine, 555 U.S. 555,
Wyeth involved the brand-name prescription drug Phenergan — an antihistamine administered intravenously by the “IV-push” method or the “IV-drip” method.
In addressing the first, the Court began by noting the general rule that a manufacturer may not alter a drug label absent the Food and Drug Administration’s (“FDA”) approval of a supplemental application. Id. at 568,
Defendants contend Wyeth preempts Plaintiffs inadequate-warning claim because there is “clear evidence” the FDA would not have approved Plaintiffs proposed changes to the Children’s Motrin label. But this argument erroneously presupposes its legal predicate — that Wyeth is on point. There is a crucial distinction between Wyeth and the case at bar: whereas Wyeth involved a prescription drug, Children’s Motrin is available over the counter.
Non-prescription drugs are regulated by a special statute — 21 U.S.C. § 379r. While this statute contains an explicit preemption clause, 21 U.S.C. § 379r(a), it also contains a savings clause, which “expressly preserved] product liability actions.” Wyeth,
Even assuming arguendo that Wyeth is on point, Defendants’ preemption argument still fails. As Wyeth makes clear, an inadequate warning claim is only preempted when a defendant adduces “clear evidence that the FDA would not have approved a change to [the drug’s] label” that was necessary to comply with state law.
A. Whether the FDA’s Response to a 2005 Citizen Petition Constitutes “Clear Evidence ”
On February 15, 2005, a group of citizens (including several doctors) petitioned the FDA (the “Citizen Petition”) to conduct a full risk assessment of SJS/TEN associated with ibuprofen, and to require manufacturers of prescription and nonprescription ibuprofen to amply their warning labels. The Citizen Petition requested the FDA to require the following warning label on nonprescription ibuprofen products like Children’s Motrin:
Warnings (to follow “Allergy alert”) Serious Skin Reactions: Ibuprofen may cause serious skin reactions that begin as rashes and blisters on the skin, and in the areas of the eyes, mouth and genitalia. These early symptoms may progress to more serious and potentially life-threatening diseases, including Er-ythema Multiforme, Stevens Johnson Syndrome and Toxic Epidermal Necro-lysis. Seek immediate medical attention if any of these symptoms develop while taking ibuprofen.
Stop use and ask a doctor if:
• a skin rash or blisters on the eyes, mouth or genitalia occur because these symptoms may be an early sign of rare and life-threatening reactions including Erythema Multiforme, Stevens Johnson Syndrome and Toxic Epidermal Necro-lysis.
The FDA responded to the Citizen Petition on June 22, 2006. With respect to the labeling of nonprescription ibuprofen products, the FDA stated:
We agree that the labeling for OTC NSAIDs, including all ibuprofen products, should be improved to warn consumers about the risks of severe skin reactions associated with OTC ibuprofen products. As a result, we have requested that manufacturers include under the Allergy alert subheading the symptoms associated specifically with SJS and TEN. We do not believe that it is useful to include the specific terms SJS, TEN, or erythema multiforme, Stevens-Johnson syndrome, and toxic epidermal nec-rolysis in the OTC label because most consumers are unfamiliar with these terms. In addition, effective OTC labeling communicates warning information in a manner that consumers can quickly and easily identify and understand. Consequently, we believe that a description of symptoms is more appropriate, Therefore, prominently displayed under the Allergy alert subheading in the Drug Facts Label, the labeling will include:
• skin reddening
• rash
• blisters
In addition, under the Allergy alert subheading, the labeling will state: “If an allergic reaction occurs, stop use and seek medical help right away.” We believe that adding these symptoms to the Allergy alert, with advice to stop use and seek medical attention immediately, will alert and educate consumers to the nature of the allergic reactions associated with SJS and TEN.
Defendants’ argument that this response constitutes “clear evidence” the FDA would have rejected the stronger warnings proposed by Plaintiff fails for two distinct reasons. See generally Newman v. McNeil Consumer Healthcare, No. 10-CV-1541,
Second, the FDA’s response in 2006 to the Citizen Petition is not clear evidence the agency would have rejected in 2010 the stronger warnings Plaintiff proposes. See Newman,
B. Whether the FDA’s August 2013 Letter Constitutes Clear Evidence
On August 1, 2013, the FDA responded to a CBE supplemental request from McNeil regarding Tylenol. The letter stated that the FDA had recently become aware of the risk of SJS/TEN among users of non-prescription products containing acetaminophen. In order to address those risks, the FDA ordered manufacturers of acetaminophen to supplement their warning labels. As Defendants note, the new warnings are substantially similar to
Acetaminophen is not ibuprofen. Defendants offer no evidence as to chemical similarity between the two drugs, the comparative safety profile of acetaminophen, the nature, number, and extent of acetaminophen-related AERs, and the specific factors considered by the FDA in ordering stronger warnings. Moreover, the FDA’s August 1, 2013 letter was not written in response to a citizen petition. Defendants essentially compare apples with oranges.
II. Whether Plaintiffs Design-Defect Claim Is Preempted by Federal Law
Defendants contend Plaintiffs design-defect claim must be dismissed as preempted under Mutual Pharmaceutical Co. v. Bartlett. The Court disagrees, because Bartlett — like Wyeth — does not apply to non-prescription drugs. Before addressing the preemptive effect (or lack thereof) of Bartlett on this case, the Court first discusses PLIVA, Inc. v. Mensing, an earlier Supreme Court decision on which Bartlett heavily relies.
The plaintiffs in Mensing sustained injury after ingesting generic metoclopramide and alleged that the manufacturers were liable in tort for failing to provide adequate warning labels.
Bartlett extended Mensing in ways not yet clear. The plaintiff in Bartlett took a generic form of sulindac, after which she developed an acute case of toxic epidermal necrolysis (the affliction with which Plaintiff herein suffers).
The Court began by identifying the relevant duties under state law. The Court explained that New Hampshire law requires manufacturers to ensure their products are not “unreasonably dangerous.” Id. A manufacturer complies with this duty either by changing the drug’s composition or by strengthening its labeling. Id. The Court found that redesign was unavailable for two reasons. First, generic drugs must have the same active ingredients, route of administration, dosage form, strength, and labeling as their brand-name counterpart. Id. at 2475. Moreover, manufacturers in general — whether generic or brand-name — are prohibited from
The scope of the Bartlett holding has been the subject of much debate among lower courts.
In a footnote at the beginning of its preemption analysis, the Mensing Court noted that the regulations governing generic drugs contain neither an express preemption clause nor a saving clause.
Unlike the Court in Mensing, the Bartlett Court expressly stated that the presence of a preemption or savings- clause would have influenced its analysis. The Court lamented the fact that Congress had not expressly addressed “the difficult preemption questions that arise in the prescription drug context.” Bartlett,
There are equally compelling policy justifications for reading Bartlett and Mens-ing narrowly so as to preserve the viability of products liability actions. As the Court recognized in Wyeth, state-law tort suits play an important “complementary” role to federal drug regulation. See 555 U.S. at 578,
CONCLUSION
Congressional intent to preserve products liability actions against manufacturers of nonprescription drugs could not be more clear. This intent is divined simply by examining the governing legislation, which contains an express non-preemption clause. Accordingly, and for the reasons previously stated, the Court finds Defendants have failed to carry their heavy burden of demonstrating preemption.
Notes
. Defendant’s full ñamé is listed on the docket as "McNeil Consumer Healthcare, a Division of McNeil-PPC, Inc.”
. SJS/TEN is a rare but life-threatening disease that causes severe blistering and consequent sloughing off of skin over much of the body, together with serious damage to the mouth, eyes, throat, and esophagus. Robinson v. McNeil Consumer Healthcare,
. The three different categories of federal preemption are not "rigidly distinct” and often overlap. See English,
. Defendants also argue that to the extent Plaintiff asserts a so-called "fraud-on-the-FDA claim,” that claim is preempted under Buckman Co. v. Plaintiffs’ Legal Committee,
. As explained more fully below, unlike the statute governing non-prescription drugs, the statute which regulates prescription drugs does not contain a savings clause. See 21 U.S.C. § 355.
. At least one court has questioned whether the FDA's response to a citizen petition requesting label changes can ever constitute "clear evidence” under Wyeth. See Dorsett v. Sandoz, Inc.,
. As explained supra, Wyeth established that brand-name manufacturers can — and indeed must — -use the CBE process to update their labels.
. One issue is whether Bartlett only applies to design-defect claims that require the manufacturer to alter a drug’s warning, or whether Bartlett also preempts claims that the manufacturer was required to alter a drug’s composition. There is language in the opinion which appears to support both interpretations. Compare Bartlett,
. These courts tend to focus on the following excerpt from Bartlett: “Once a drug — whether generic or brand-name — is approved, the manufacturer is prohibited from making any major changes to the 'qualitátive or quantitative formulation of the drug product, including active ingredients, or in the specifications provided in the approved application.’ ”
. At least one court of appeal appears to have arrived as the same conclusion. In Drager v. PLIVA USA, Inc., the Fourth Circuit stated that it is unnecessary to undertake the conflict preemption analysis if the federal statute "expressly preempts or expressly preserves otherwise applicable state law duties.”
. See 21 U.S.C. § 337(a); IQ Prods. Co. v. Pennzoil Prods. Co.,
