This case is part of a Multidistrict Litigation (MDL) involving claims of liver damage from the use of Tylenol at or just above the recommended dosage.
I. Evidentiary Standards
Several of the defendants’ motions in limine involve arguments about the relevancy or prejudicial effect of certain evidence under Federal Rules of Evidence 401 and 403. “A district court is accorded a wide discretion in determining the admissibility of evidence, under the Federal Rules.” Sprint v. Mendelsohn,
Context is important to questions involving Rules 401 and 403. Luce v. U.S.,
Under Rule 403, relevant evidence may be excluded “if its probative value is substantially outweighed by a danger of one or more of the following: unfair prejudice, confusing the issues, misleading the jury, undue delay, wasting time, or needlessly presenting cumulative evidence.” Fed. R. Evid. 403.
1. Defendants’ Motion In Limine to Exclude Evidence of, or Reference . to, Adverse Event Reports. (MIL 1)
The defendants move to exclude evidence of, or reference to, adverse event reports (AERs). The defendants claim they are “irrelevant, unreliable, and unsubstantiated anecdotes.”
Under FDA regulations, manufacturers are required to create an AER in then-safety surveillance database whenever they receive information that a person taking their drug has experienced an adverse event. 21 C.F.R. § 314.80. AERs are created on a standard form and may be submitted alone or accompanied by few or dozens of pages of supporting medical records. See Office of Epidemiology and Biostatis-tics, Food and Drug Administration, Annual Adverse Drug Experience Report: 1996 (Oct. 30, 1997), at 2 (Doc. No. 61, Ex. A). AERs are prepared by an employee of a pharmaceutical manufacturer based either on telephone conversations with a third party or other correspondence received by the manufacturer. AERs are drawn from a variety of sources: patients, their family members, physicians, or even civil complaints. See, e.g., In re Carter-Wallace, Inc. Sec. Litig.,
Both parties recognize that AERs have limitations in terms of their reliability. Because AERs are based on self-reported complaints of adverse events, they may not contain information which can make them a reliable source.
a. Hearsay
First, the defendants argue that AERs would be inadmissible as hearsay: out-of-court statements offered to prove the truth of the matter asserted. See Fed. R. Evid. 801. The defendants claim that they are not admissible under any of the hearsay exceptions or exemptions. The plaintiff counters that they would fall within the public records exception or the business records exception to hearsay. See Fed. R. Evid. 803(c)(8)(A); Fed. R. Evid. 803(c)(6). Whether an AER falls within an exception to the hearsay rule will require a more specific inquiry as to each document. It’s entirely likely that an AER could be offered for a non-hearsay purpose. If offered for knowledge, or state of mind, and not for its inherent.truth, the AER would not be hearsay as to each document. For this reason, I will defer any ruling on the hearsay objection to the AERs.
b. Notice
Even if the AERs are hearsay, the plaintiff argues they are relevant to showing notice. The defendants argue that these AERs are not admissible to show “notice” because they are unreliable. This argument misses the point. An AER is notice of some event or problem. The “reliability” issue is more one of weight than of relevance. Reliable or not, they are notice of some event of significance to this case and that likely takes them out of the hearsay rule.
The purpose of recording AERs is to serve as a warning system, or signaling system for drug manufacturers. See Soldo v, Sandoz Pharms. Corp.,
With all this in mind, AERs would be admissible to show notice. See, e.g,, Benedi v. McNeil-P.P.C., Inc.,
If they are admitted for the purposes of “notice,” the defendants ask that the AERs admitted be limited only to those involving similar circumstances to those surrounding the decedent’s death. I agree that the AERs presented for the purpose
The defendants claim that the admission of only one AER which is substantially similar is necessary; admission of other AERs would be redundant. I disagree, The extent to which the defendants were on notice of the potentially adverse effects of Tylenol would be relevant to showing how intentional their behavior was in not addressing a potential problem or safety signal. The number of AERs will not necessarily be limited. However, the defendants can raise objections to relevance and prejudicial effect at the time of trial for specific AERs.
c. Design Defect
The defendants claim the AERs cannot serve as substantially similar prior incidents to show a design defect. “In the appropriate circumstances, evidence of pri- or occurrences and accidents involving a product which is identical or substantially similar to the product which has allegedly caused an injury has generally been held to be admissible at trial.” Barker v. Deere & Co.,
d. Reliance by Experts
The defendants claim that because AERs- are unreliable sources of data, experts cannot use them in forming their opinions. The plaintiff recognizes that AERs- may have limitations but argues that they may be used by experts to corroborate other information or research.
“If experts in the particular field would reasonably rеly on those kinds of facts or data in forming an opinion on the subject, they need not be admissible for the opinion to be admitted.” Fed. R. Evid. 703. Though AERs do not have the same controls as other sources of data, courts have found that they can be relied upon by experts, along with other data or research, in forming opinions about causation.
For these reasons, an expert’s reliance oh AERs may, in and of itself, be appropriate. Whether the expert used those AERs in a reliable manner is a different question, best addressed by a Daubert motion.
e. Rule 401 and Rule 403 Arguments
Lastly, the defendants argue that AERs are not relevant under Rule 401 and/or any probative value they may have would be substantially outweighed by the risk of prejudice under Rule 403. AERs may be relevant to this case. Whether Rule 403 would bar their admission is better determined at trial.
For these reasons, I will DENY this motion without prejudice. The plaintiff may offer AERs to show notice. The question of whether an expert opinion appropriately relies on AERs will be discussed in rulings on the parties’ Daubert motions. If the plaintiff plans to introduce specific AERs for any reason other than notice (i.e., causation or to show design defect), the defendants may object as appropriate at trial.
2. Defendants’ Motion In Limine to Exclude Evidence or Argument Relating to Fraud on the FDA (MIL 2)
The defendants move to exclude all evidence meant to show that the defen
In Buckman, the liability for fraud was based solely on alleged non-disclosuré of information to the FDA. Id. at 353,
I previously found that the plaintiffs fraud and fraudulent concealment claims were not impliedly preempted by Buck-man. See Memorandum Denying Motion for Summary Judgment on Plaintiffs Short Form Complaint Claims, Nov. 13, 2015 at 14-17 (Doc. No. 177). I did not view them as fraud-on-the-FDA claims, which are preempted under Buckman. Id. at 15. If the evidence in question were being used to establish the defendants’ liability solely based on concealment of information to the FDA or violations of FDA regulations, that evidence would not be permitted under Buckman.
However, evidence that the defendants attempted to manipulate the regulatory process, failed to comply with regulatory duties, or adhere to guidance provided by the FDA can be used to show other elements of the plaintiffs claims. See Eve v. Sandoz Pharmaceutical Corp., No, IP 98-1429-C-Y/S,
It also would be relevant to the plaintiffs fraud claims if the information the defendants sent to or received from the FDA was different from what the defendants were communicating to consumers, such as the decedent. See Globetti v. Sandoz Pharms. Corp., No. CV98-TMP-2649-S,
For these reasons, I will DENY the defendants’ motion.
3. Defendants’ Motion In Limine to Exclude Evidence and Argument Relating to the September 2002 and June 2009 Advisory Committee Meeting (MIL 3)
The defendants move to exclude certain evidence and argument concerning the September 2002 and the June 2009 Advisory Committee Meetings of the FDA discussing acetaminophen-related liver issues. In September 2002, an Advisory Committee of the FDA met to discuss ways to prevent liver injury caused by unintentional acetaminophen overdose.
In June 2009, several advisory committees within the FDA held a joint meeting to discuss the issue of liver injury related to acetaminophen use.
The FDA has over thirty advisory committees which' focus on different aspects of its mission. See FDA website, About Advisory - Committees, http://www.fda.gov/ AdvisoryCommittees/CommitteesMeeting Materials/default.htm. As one might deduce from their title, these committees are meant to be advisory in nature. Their decisions or discussions are not considered binding actions by the FDA. The materials prepared by committees are meant to be recommendations which the FDA can adopt or reject.
a. Hearsay
The defendants argue that materials from these two meetings would be inadmissible hearsay. The plaintiff argues that the documents would be considered a “public record”- which would not be hearsay. “A record or statement of a public office” is not excluded as hearsay “if ... it sets out ... the office’s activities [or] a matter observed while under a legal duty to report ... or ... in a civil case ... factual findings from a legally authorized investigation” and “the opponent does not show that the source of information or other circumstances indicate a lack of trustworthiness.” Fed. R. Evid. 803(8)(2014). “Public records have justifiably carried a presumption of reliability ...” Fed. R. Evid. 803(8), 2014 Amendment Advisory Committee Notes. The party- wishing to admit evidence under this exception simply needs to meet the definition of a “public record” under the Rule. Id. The burden then shifts to the opposing party to show that “the source of information or other circumstances indicate a lack of trustworthiness.” M.; Fed. R. Evid. 803(8). Both facts and opinions contained in documents meeting the requirements of the public records exception are considered to- be admissible.
The plaintiff also argues that documents related to these meetings are “business records,” which are not precluded as hearsay. A record of an act, event, condition, opinion, or diagnosis if: ■
(A) the record was made at or near the time by—or from information transmitted by—someone with knowledge;
(B) the record was kept in the course of a regularly conducted activity of a business, organization, occupation, or calling, whether or not for profit;
(C) making the record was а regular practice of that activity;
(D) all these conditions are shown by the testimony of the custodian or another qualified witness, or by a certification that complies with Rule 902(11) or (12)*293 or with a statute permitting certification; and
(E) the opponent does not show that the source of information or the method or circumstances of preparation indicate a lack of trustworthiness.
Fed. R. Evro. 803(6) (2015).
To determine whether specific advisory-committee documents related to these meetings are “public records” or “business records,” I will need to see the context and content of each document. I will defer ruling on whether specific documents are admissible until trial. At that time, the parties may raise their hearsay arguments with a focus on specific documents.
b. Notice or Knowledge
If offered to prove notice to the defendants of certain risks or to prove the state of mind of the defendants, these documents would not be hearsay. It may not be necessary to determine if these documents are public records or business records. The defendants were involved in these meetings and were well-aware of the information shared at these meetings, This information would be important to showing whether they had notice or knowledge of the potential link between Extra Strength Tylenol and acute liver failure at or just above recommended doses.
c. Rule 403
The defendants also argue that this evidence should be excluded under Federal Rule of Evidence 403 as confusing to the jury, unfairly prejudicial to the defendants, and/or a waste of time. The fact that the Advisory Committee was not a final rule-making body of the FDA, the defendants claim, could make the materials confusing to a jury. There is nothing inherently confusing about the Advisory Committee process. With an adequate foundation, there should be minimal risk of jury confusion.
For these reasons, I will DENY MIL 3 without prejudice. The plaintiff will, in the least, be-permitted to offer information about the 2002 and 2009 meetings as evidence of notice, knowledge, and/or motive of the defendants.
The defendants move to exсlude any evidence or argument relating to employee compensation under Rules 401 or 403. The plaintiff argues that this information is relevant to show bias or conflict of interest. I agree.
If employee compensation evidence is admitted to show bias, the defendants argue that proof of employment alone is enough to show bias. I disagree. For example, an employee’s bonus structure may further implicate a particular bias towards a profit motive. The various ways in which an employee was compensated may be relevant.
The defendants contend that evidence of compensation should only apply to current employees of the defendants. There is no good reason to narrow the focus of this evidence. A witness’s possible bias created by certain compensation structures would relate to • actions taken while the witness was employed with the defendants. While his or her current compensation at a different job may not be relevant, previous compensation while working for the defendants may be relevant to their motivation for making certain decisions on behalf of the defendant corporations. This information appears relevant.
At this time, I see no reason why all employee compensation evidence should be precluded based on “unfair prejudice” under Rule 403.
For these reasons, I will DENY the defendants’motion.
5. Defendants’ Motion In Limine to Exclude Expert Testimony Regarding Corporate State of Mind (MIL 5)
The defendants move to exclude expert testimony about the defendants’ “corporate state of mind.” They argue that this sort of testimony invades the province of the jury and/or offers inappropriate legal conclusions. Juries can draw inferences from the evidence without the benefit of expert testimony. See In re Viagra Prods. Liab. Litig.,
Expert testimony, which draws a legal conclusion about corporate state of mind, is not admissible. See, e.g., Berckeley Inv. Grp., Ltd. v. Colkitt,
The plaintiff argues that this motion is overly broad.
For these reasons, I will GRANT the defendants’ motion without prejudice. Experts cannot opine about the defendants’ corporate state of mind.
6. Defendants’ Motion In Limine to Exclude Evidence and Argument Regarding Defendants’ Draft Company Documents and Internal Reports that were not Disseminated (MIL 6)
The defendants move to exclude draft company documents and internal reports because the plaintiff cannot show that decedent, plaintiff, decedent’s physicians, or any other “relevant” person ever saw and relied on the internal drafts and non-disseminated materials. For this reason, the defendants argue that these documents are irrelevant as they have no probative value. The plaintiff counters that these documents are relevant to what the defendants knew or should have known about risks of liver damage caused by acetaminophen and to the defendants’ state of mind, motive, and intent.
Even if the plaintiff, decedent, or decedent’s physician did not see the defendants’ draft or internal documents at issue, these documents may still be relevant to show the defendants’ knowledge, state of mind, motive, and/or intent.
The defendants make an argument based on Rule 403 that any probative value would be substantially outweighed by prejudice to them. I cannot make a determination under Rule 403 without context.
For these reasons, I will DENY the defendants’ motion without prejudice.
7. Defendants’ Motion In Limine to Exclude Evidence of Manufacturing, Quality Control, and Production Matters Involving McNeil’s Facilities; Related Government Investigations; Regulatory Matters, Including FDA Form 483s and CA-PAs; Recalls; Testimony Before Congress; the 2011 Consent Decree; and the 2015 Plea Agreement (MIL 7)
The defendants move to excludе evidence of or references to the following, as irrelevant, impermissible character evidence, and/or unduly prejudicial under Rule 403: manufacturing, quality control, or production issues at McNeil’s facilities, along with all related government investigations, ' regulatory matters (including Form 483s and corrective actions plans or CAPAs), product recalls, testimony before Congress by William Weldon and Colleen Goggins, the 2011 Consent Decree, and any evidence regarding the 2015 Plea Agreement. The plaintiff counters that the evidence is relevant to the defendants’ motive, state of mind, and/or knowledge, to show the defendants’ character for untruthfulness, or for impeachment purposes.
i. The 483 Forms
The FDA regularly conducts on-site inspections of the facilities of manufacturers of products subject to FDA regulation,
One area that FDA investigates when it makes its site visits is .whether the company had in place appropriate reporting systems of adverse events. On October 19, 1999, the FDA issued a 483 Form for a period of inspection for October 5, 6, 13, and 19, 1999 for a McNeil, facility.
On December 9, 2010,- the FDA issued a second 483 Form for a period of inspection from October 27, 2010 through December 9, 2010.
On April 14, 2011, a third 483 Form was issued for an inspection period of March 21, 2011 to April 14, 2011.
While information in the 483 forms about the actual quality control of the defendants’ products would not be relevant to the plaintiffs claims, the reports of pharmacovigilance deficiencies would definitely be relevant to show defendants’ breach of duty.
Additionally, this information may be relevant to rebut any argument by the defendants that they have been in compliance with FDA regulations. In the same way, it would be appropriate for impeachment purposes.
ii. Recall Evidence
In 2007, the defendants voluntarily withdrew liquid Infant Tylenol products from the market. The recall was presented in internal memos as a way to remove the risk of overdose from foreseeable misuse.
In 2008, the defendants discovered that certain lots of Motrin were not in compliance with FDA regulations. Instead of issuing a formal recall of the product, the defendants allegedly retained a contractor to go to all retail stores where Motrin was sold nationwide, act as regular customers, and buy all of the product on the shelves. The defendants then indicated to the FDA that a formal recall was not necessary because the product was no longer available on the shelves.
The plaintiff argues that this evidence points to the defendants’ character for untruthfulness because the corporate character is imputed to the defendants’ witnesses, acting on behalf of the company. Testimony given at a formal hearing of the House Committee on Oversight and Government Reform raised questions about how forthright the defendants were during the above “recall.” See Transcript of Hearing of the House Committee on Oversight and Government Reform, 09/30/10, at 33-34, 37, 39, 43 (PI. Ex. 7).
The plaintiff claims that this motion may encompass evidence showing that the defendants’ were not cooperative with the FDA during the investigations into their manufacturing concerns and were, at times, trying to “influence” the FDA.
iii. The 2011 Consent Decree, 2015 Plea Agreement, and Related Congressional testimony
From 2008 through 2015, McNeil was involved in several matters related to the contamination of some of its over-the-counter drug products. Some of these issues regarding production were noted in
The plaintiff asserts a design defect claim, not a manufacturing defect claim. Her claims do not involve injury from a contaminated Tylenol product. For this reason, I see little to no relevance in admitting evidence regarding manufacturing defects. Any probative value this evidence might have would be substantially outweighed by the risk of unfair prejudice or confusion by the jury.
iv. Character Evidence
The defendants also argue that this evidence should be excluded under Rule 404, as impermissible character evidence. Rule 404(a)(1) provides that, “Evidence of a person’s character or character trait is not admissible to prove that on a particular occasion the person acted in accordance with the character or trait.” Rule 404(a)(2) provides exceptions to this rule but only in criminal proceedings. Under Rule 404(a), evidence showing the defendants’ character for “untruthfulness” would be excluded to prove the plaintiffs claims.
Rule 404(b)(1) states that: “Evidence of a crime, wrong, or other act is not admissible to prove a person’s character in order to show that on a particular occasion the person acted in accordance with the character.” However, Rule 404(b)(2) provides that evidence of crimes or “prior bad acts” “may be admissible for another purpose, such as proving motive, opportunity, intent, preparation, plan, knowledge, identity, absence of mistake, or lack of accident.” Given that the plaintiff may be offering this evidence to show motive/state of mind or knowledge, I cannot exclude this evidence outright. This evidence has the potential to be very prejudicial. A specific offer of proof is necessary for each item of possible 404(b) evidence.
The plaintiff also argues that the evidence of the Congressional testimony, Plea Agreement, and Consent Decree also show
v. Hearsay Argument
Lastly, the defendants argue that regulatory documents and communications, including recall announcements, Forms 483s, are inadmissible hearsay under Rule 801 because they are out-of-court statements offered for the truth of the matter. The defendants do not address whether any of these documents are exempted or excepted under hearsay rules. If these documents are being used to show motive, state of mind, or knowledge, they would not be hearsay. If they are being used for the truth of the matter, I will determine at trial whether they are hearsay or whether they fall within an -exception or exemption.
For these reasons, I will GRANT MIL 7 in part and DENY it in part without prejudice. The 2011 Consent Decree and 2015 Plea Agreement' shall be excluded. 483 Form evidence will be limited to deficiencies regarding pharmacovigilance (i.e., AERs, complaint reporting, etc.). The admissibility of all other evidence will be considered at trial, in context.
8. Defendants’ Motion In Limine to Exclude Evidence of Other Lawsuits, Settlements, Government Investigations, and Unrelated Actions (MIL 8)
The defendants move tо exclude evidence of or references to any other pending or former lawsuits, claims, or settlements of non-parties who allegedly experienced adverse reactions from ingesting any Tylenol product.
It is unclear what evidence to this effect might be presented or how it might be used. Evidence of past settlements is highly disfavored under Rule 408. However, evidence of past lawsuits may be probative of' notice/knowledge of a possible defect and/or of the motive of the defendants. Information related to past lawsuits also may be relevant for impeachment purposes. Without more information about the content and context of the evidence at issue, I cannot make a blanket ruling on its exclusion. See Luce v. U.S.,
For this reason, I will DENY MIL 8 without prejudice.
9. Defendants’ Motion In Limine to Exclude Evidence or Argument Regarding Any Documents, Events, or Labeling that Post-Date Decedent’s August 2010 Acute Liver Failure (MIL 9)
The defendants move to exclude evidence or argument regarding documents,
The defendants argue that changes to prescription acetaminophen labels are irrelevant.' Unlike other ÓTC drugs, acetaminophen’s maximum total daily limit is the same for both OTC and prescription products. Because one of the key issues in this case is whether the defendants should have recommended different dosing or warnings for .Extra Strength Tylenol, there may be instances when changes to a prescription acetaminophen label may be relevant. Without more of a context, I cannot say for certain that this evidence would not have probative value.
They also argue the change of the dosing on Extra Strength Tylenol’s label, after thе decedent’s death, would be- inadmissible as a subsequent remedial measure under Rule 407. Rule 407 prohibits the introduction of evidence of post-injury measures which “would have made an earlier injury or harm less likely to occur” (i.e., “subsequent remedial measures”) to show negligence, a defendants’ culpable conduct, a defect in a product or its design, or a need for a warning or instruction. However, “the court may admit this evidence for another purpose, such as impeachment or—if disputed—proving own-érship, control, or thé feasibility of precautionary measures.” The defendants have already claimed that their making a label change prior to the decedent’s death was not possible. Under Rule 407, the plaintiff would be allowed to rebut this argument offering the post-death label changes.
For these reasons, I will DENY the defendants’ MIL 9 without prejudice. The parties may raise their arguments under Rules 401, 403, and 407 at trial.
10. Defendants’ Motion In Limine to Exclude Evidence or Argument Regarding What the FDA May Do in the Future (MIL 10)
The defendants have indicated they are -withdrawing this motion and that any rulings on this point can be made at trial. For
11. Defendants’ Motion In Limine to Exclude Evidence or Argument Relating to the Alleged Inadequacy of the FDA’s Regulatory Process (MIL 11)
The defendants move to exclude evidence and arguments related to the alleged inadequacy of the FDA’s regulatory process. They claim this evidence and argument is preempted by Buckman Co. v. Plaintiffs’ Legal Committee,
The defendants also argue that this evidence would be prejudicial, confusing, or a waste of time and should be excluded under Rule 403. Without more information, I cannot determine whether this will be the case. This information may be irrelevant or confusing to a jury if the plaintiff raises criticism of the FDA process in her ease-in-chief. However, if the defendants claim they were compliant with them duties under FDA ■ regulations and were not required to do more, the plaintiff could potentially offer evidence of the criticism of the FDA regulatory process to rebut these assertions.
For these reasons, I will DENY the defendants’ motion without prejudice.
12. Defendants’ Motion In Limine tо Exclude Evidence and Argument Based on Defendants’ Exercise of their Constitutionally Protected Right to Petition the Government (MIL 12)
The defendants move to exclude any evidence or argument regarding their lobbying efforts towards Congress or the FDA, They argue that this evidence is barred by the Noerr-Pennington doctrine and is violative, of their First Amendment rights to petition the government.
The First Amendment provides the right to petition the government without fear of retribution or penalty. See U.S. Const, amend. I (“Congress shall make no law.. .abridging.. .the right of the people to petition the government for a redress of grievances.”); see also U.S. Const, amend. XIV. “Under the Noerr-Pennington doctrine—established by Eastern Railroad Presidents Conference v. Noerr Motor Freight, Inc.,
The defendants argue that Noerr-Pen-nington is applicable beyond just the antitrust context.' While that is true, the Noerr-Pennington doctrine has no place here.
Instead, the plaintiff seeks to offer evidence about how the defendants attempted to influence, petition, or communicate with Congress and/or the FDA to show their knowledge, state of mind, or intent. It would be a stretch to say that Noerr-Pennington bars any use of any evidence of the defendants’ petitioning of the government, and its agencies, or evidence of any communications with the FDA. See Wolfe v. McNeil-PPC, Inc., No. 07-348,
They also argue this evidence should be precluded under Rules 401 and 403. The context of this evidence is important to understanding its relevance and/or risk of undue prejudice. I will decline to rule based on Rules 401 or 403 at this time.
For these reasons, I will DENY the defendants’ motion without prejudice.
13. Defendants’ Motion In Limine to Exclude Evidence and Argument Related to Foreign Labeling and Foreign Regulatory Actions (MIL 13)
The defendants argue that evidence related to labeling or regulatory ac
The plaintiff also argues that defendants’ foreign labeling can be offered to show how the defendants fell below their standard of care. Here, I agree with the defendants. It would be unfair to allow evidence of foreign labeling in countries requiring different regulatory and/or statutory duties to show that the defendants breached their duties under United States laws. Use of foreign regulatory activities in this way would be inappropriate.
The plaintiff claims this evidence could also be used to show causation. It is unclear to me how this evidence would be probative of causation. I would need to see how it was used in context to determine whether its admission for this purpose would be appropriate.
In addition, I will decline to make rulings as to the admissibility of this evidence based on Rule 403. The context, and content of the evidence regarding foreign labels and foreign, regulatory actions will be important to my determining its probative value and any risk of prejudice, undue delay, or confusion to the jury.
Lastly, the defendants claim that the plaintiff cannot authenticate foreign labeling evidence. The plaintiff argues that the evidence is self-authenticating under Rule 902(3). Argument on this point is better addressed at trial.
For the foregoing reasons, I will DENY the defendants’ MIL 13 without prejudice.
14. Defendants’ Motion In Limine to Exclude Marketing and Promotional Materials (MIL 14)
The defendants move for the exclusion of any evidence related to marketing, pub-he relations, and/or promotional materials for Tylenol products. They argue the information is irrelevant, would confuse the jury,-or cause undue delay in the trial. The plaintiff argues that evidence regarding marketing and advertising decisions made by the defendants should be allowed to show knowledge, state of mind, and/or conscious disregard arid is relevant to the plaintiffs fаilure-to-warn, design defect, and wrongful death claims.
First, the defendants argue that the information is irrelevant because the plaintiff cannot assert a deceptive marketing claim under Alabama law.
Next, the defendants claim that advertising is irrelevant because the plaintiff admits that the decedent read the label. The plaintiff notes that advertising, marketing, and public relations are other ways the defendants use to communicate with the public and physicians about Tylenol
There is a question—to be answered by the jury—about whether the decedent took the recommended dose or accidentally took an overdose. The plaintiff argues that marketing and advertising affected consumers’ perceptions of how strictly to adhere to the warnings, giving consumers the impression that Tylenol was “safe.” Given that the jury will have to decide whether the decedent overdosed or misused the product and whether this misuse was foreseeable, marketing and advertising may be relevant to the plaintiffs theory that the defendants’ branding of Extra Strength Tylenol “blunted” the warnings provided.
Third, the defendants argue that any advertising not actually seen or relied upon by the decedent should be excluded as irrelevant.
Lastly, the defendants argue that financial information related to rharketing should be excluded under Rule 403 because it would be unfairly prejudicial or would cause undue delay in the trial. The defendants have filed a separate motion (MIL 17) seeking to exclude all financial information. I will address the admissibility of financial information in discussing that motion.
The plaintiff counters that sales of Tylenol were influenced by the defendants’ branding of'Tylenol products as safe and recommended most by doctors and hospitals. She also claims marketing evidence may show the defendants’ breach of their pharmacovigilance duties. One of the plaintiffs main theories of the case is that the defendants put profits over safety. The plaintiff has offered evidence about how expenditures on marketing far exceeded those budgeted for research and development. This information would, in the least, be relevant to the plaintiffs theory about the defendants’ state of mind and/or motive.
The plaintiff argues that evidence related to marketing and advertising would be relevant to the plaintiffs failure-to-warn claim—to show that the danger of liver failure was not known and obvious under the circumstances, thereby imposing a duty to warn of such risks on the defendants. The marketing and promotional materials could establish the context in which the decedent perceived the risks associated with Extra Strength Tylenol.
Furthermore, the Tylenol- label itself included the defendants’ marketing message of “How Tylenol® Products are Different.” This message, on the box of Tylenol products, stated how Tylenol is “[r]ecom-mended the most by doctors and used the most by hospitals” and is “[u]nlikely to cause the gastric irritation often associated with aspirin, naproxen sodium or even ibuprofen.” This information most certainly would be relevant, given Rebecca Hayes’ testimony that her' sister took Extra Strength Tylenol—as opposed to another pain reliever—because she thought it was gentler on her stomach and was a safer
The evidence may also help the plaintiff make out her fraud claims, by showing that the information communicated to the public through marketing, advertising, public relations, and the products’ label did not fully inform the decedent of Extra Strength Tylenol’s risks. The drug product in this case is sold over-the-counter (OTC). A consumer does not need the advice of a doctor to take it. From that vantage point, the label and any other information, i.e., marketing, advertising, and public relations, would be the primary means by which consumers learn about the product.
In the least, the plaintiff argues that marketing and sales documents should be admissible for impeachment purposes. I agree.
For these reasons, I will DENY the defendants’ MIL 14 -without prejudice. The parties may raise arguments regarding relevance and unfair prejudice at trial.
15, Defendants’ Motion In Limine to Exclude Media Reports Relating to Tylenol (MIL 15)
The defendants move to preclude the plaintiff from introducing into evidence media reports concerning Tylenol “that are unrelated to Plaintiffs claims in this case.” Specifically, the. defendants take issue with admission of an April 1995 television pro
The plaintiff counters that the defendants’ motion is vague and overly brоad. Further, she argues that media reports may be relevant because the defendants used aggressive public relations tactics as part of their marketing of Tylenol as safe. The plaintiff “acknowledges that, in general, media video and/or publications may fall under the hearsay rule.” However, the plaintiff claims media reports may fall into hearsay exceptions or may be appropriate impeachment material. Media reports, the plaintiff claims, also may be offered for a purpose other than the truth of their content (i.e., notice, breach of duty, knowledge, state of mind, etc.).
The defendants have not provided these specific pieces of evidence. It is not entirely clear what they discuss or include. The lack of information about this evidence makes it difficult for me to assess their admissibility. See Luce v. U.S.,
For these reasons, I will DENY the defendants’ MIL 15 without prejudice.
16. Defendants’ Motion In Limine to Exclude Evidence or Argument Related to Statements Submitted to the American Association for the Study of Liver Diseases to the FDA and the 2006 Press Release Issued by the American Liver Foundation (MIL 16)
The defendants move to. exclude evidence and argument concerning two related pieces of evidence created by third-parties: 1) the July 2006 press release issued by the American Liver Foundation (ALF) regarding the dangers of “excess acetaminophen,” and 2) the April 27, 2007 memorandum prepared by the American Association for the Study of Liver Diseases (AASLD) that was submitted to the FDA. See Doc. No. 79, Ex. C and D. They argue that this evidence is inadmissible hearsay or is barred by Rule 403. a. AASLD and ALF
The AASLD “was founded in 1950 by a small group of leading liver specialists... to bring together those who had contributed to the field of hepatology.” See http://www.aasld.org/aboutus/Pages/ default.aspx; see also Doc. No. 79, Ex. A: “About Us,” from http://www.aasld.org/ aboutus/Pages/default.aspx. The AASLD’s stated mission is “[t]o advance and disseminate the science and practice of hepatolo-gy, and to promote liver health and quality patient care.” Id. The American Liver Foundation is a non-profit organization created by the AASLD in 1976 with a mission of “facilitat[ing], advócat[ing], and promoting] education, support and research for the prevention, treatment and cure of liver disease.” See http://www.liver foundation.org/about/; see also Doc. No. 79, Ex. B: “About Us,” from http://www.hver foundation.org/about/.
In July 2006, the American Liver Foundation (ALF) issued a press release to warn of the “dangers of excess acetaminophen.” See ALF press release, Jul. 18, 2006 (Doc. No. 79, Ex. C). The press release discussed a recently published study in the Journal of the American Medical Association (JAMA) that “showed that healthy adults who took the maximum recommended dose of acetaminophen for two weeks had drastically increased liver enzyme levels which could lead to liver damage.” Id.
In response to the article, the ALF recommended “that people not exceed three grams of acetaminophen a day for any prolonged period of time.” Id. The press release explained that the recommendation concerned persons taking “the equivalent of six ‘extra-strength’ tablets a day for several weeks” not those taking acetaminophen for “[r]egular, short-term use.” Id.
c.The AASLD’s Public Comment on FDA’s December 2006 Rulemaking
In December 2006, the FDA proposed certain amendments to its OTC labeling regulations and the tentative final monograph for OTC internal analgesic, antipy-retic, and antirheumatic (IAAA) drug products to include new warnings and other labeling requirements. See 71 Fed. Reg. 77314-01 (Dec. 26, 2006). Proposed changes included removing the prior-enacted alcohol warning and adding a new liver warning that also included an alcohol warning. See id. at 77333. The FDA requested comments and data from interested persons. See id. at 77346.
The AASLD submitted a public comment in April 2007, which recommended, inter alia, that the FDA add: 1) a warning that using acetaminophen at the maximum recommended dose (4 grams/day) for 5 or more consecutive days increases the chance for severe or fatal injury; and 2) a warning that using acetaminophen at the maximum recommended dose (4 grams/ day) when food intake is restricted or prohibited increases the chance for severe or fatal injury. See Doc. No. 79, Ex. D. The FDA did not adopt these recommendations because the FDA did not have sufficient data to support the warnings. See 74 Fed. Reg. 19385-01, 19391, 19397 (Apr. 29, 2009).
d.Hearsay
The defendants argue that the press release and public comment are inadmissible hearsay. The plaintiff counters that she plаns to use the evidence not for its truth, but instead to show notice, knowledge, standard of care, or state of mind.
The defendants argue that these documents cannot be admitted to show “notice” because the risks they discuss are not substantially similar to those experienced by the decedent.
“In products liability cases evidence of prior accidents involving the same product under similar circumstances is admissible to show notice to the defendant of the danger, to show existence of the danger, and to show the cause of the accident.” Gumbs v. International Harvester, Inc.,
From the information provided, the ALF press release and the AASLD public comment offer information that is highly probative of the risks later experienced by the decedent (i.e., plaintiff was fasting and/or taking recommended daily dose of Extra Strength Tylenol for more than five days). The evidence, in question involves risks related to taking acetaminophen for long periods and/or while fasting. The information is similar enough that I do not see a substantial risk of undue prejudice in admitting it for the purpose of notice.
As the plaintiff argues, the press release, together with other evidence showing the defendants’ reaction to this press release, can also be offered to show the defendants’ knowledge of potential risks and state of mind. Additionally, the documents could be relevant to show how reasonable the defendants’ conduct was or was not by comparing it to the actions other members оf the scientific community took regarding information about potential risks.
f. Rule 403 Generally
The defendants argue the evidence would be unduly prejudicial, confusing, or misleading as compared to their probative value. From what has been provided, I cannot say for certain. Context is -key to rulings regarding Rule 403.
For these reasons, I will DENY the defendants’ motion without prejudice.
•The defendants move to exclude any evidence or argument' relating to the defendants’ profit margins, wealth, or other financial information. They argue this information- is irrelevant or considered “highly prejudicial” under Alabama law. The plaintiff counters that this motion is overly broad and vague.
\ Both sides agree that the defendants’ net worth is not admissible under Alabama law because it would be highly prejudicial. See Southern Life Health Ins. Co. v. Whitman,
The plaintiff further argues that other monetary numbers, beyond the defendants’ net worth, may be admissible to show the defendants’ level of culpability: the amount of money spent on marketing and advertising to influence consumers to purchase Tylenol; the amount the defendants earned “as a result of that misleading marketing and advertising;” ' the amount the defendants saved because they did not conduct clinical trials and testing; the amount of revenue preserved because a warning was not added; and the amount donated to “influence” the American Liver Foundation to change its position on acute liver failure. Admission of these numbers might implicitly allow the jury to draw conclusions about the defendants’ wealth. Implicit references to the defendants’-net worth may аlso not- be appropriate under Alabama law.
The defendants also argue, with little explanation, that Johnson & Johnson cannot be liable because it is a holding company of McNeil and does not design, manufacture, market, or sell Extra Strength Tylenol. For this reason, they claim, no liability can attach to Johnson & Johnson. The plaintiff has. offered evidence that Johnson & Johnson executives were involved in decision making about the day-to-day operations regarding Tylenol.
Lastly, the defendants argue that all financial information is unfairly prejudicial, can cause juror confusion, or cause undue delay. Under Alabama law, I agree that there is a risk of unfair prejudice in presenting financial information to the jury that could implicate defendants’ net worth. However, I am not convinced that all financially-related evidence should be excluded. As the plaintiff argues, some of this information would be relevant to the plaintiffs theory that the defendants’ decisions regarding Extra Strength Tylenol were driven by profits and not consumer safety. There are ways that this sort of information can be presented to the jury (i.e., graphs without numbers, use of percentages, jury instructions on appropriate use of information, etc.), which can reduce the risk of unfair prejudice.
For these reasons, I will GRANT the defendants’ motion in part and DENY it in part without prejudice. Evidence of the defendants’ net worth will be excluded. Argument about the admissibility of all other financial information will be reserved for trial.
The parties have agreed that any rulings on this motion should be deferred until trial. For this reason, I will DENY MIL 18 without prejudice.
II. Conclusion
For the foregoing reasons, I make the following rulings:
• MIL 1 is DENIED without prejudice;
• MIL 2 is DENIED;
• MIL 3 is DENIED without prejudice;
• MIL 4 is DENIED;
• MIL 5 is GRANTED without prejudice;
• MIL 6 is DENIED without prejudice;
• MIL 7 is GRANTED in part and DENIED in part;
• MIL 8 is DENIED without prejudice;
• MIL 9 is DENIED without prejudice;
• MIL 10 is DENIED without prejudice;
• MIL 11 is DENIED without prejudice;
• MIL 12 is DENIED without prejudice;
• MIL 13 is DENIED without prejudice;
• MIL 14 is DENIED without prejudice;
• MIL 15 is DENIED without prejudice;
• MIL 16 is DENIED without prejudice;
• MIL 17 is GRANTED in part and DENIED in part; and
• MIL 18 is DENIED without prejudice.
An appropriate Order follows.
Notes
. See Master Compl., 13-md-2436, Doc. No. 32. There are close to two hundred other cases included in this MDL, along with several similar cases in New Jersey state court.
. A ‘ 'bellwether” case is a test case. "Bellwether” trials should produce representative verdicts and settlements. The parties can use these verdicts and settlements to gauge the strength of the common MDL claims to determine if a global resolution of the MDL is possible. See Federal Judicial Center, Manual for Complex Litigation, Fourth Edition 360 (2004); Duke Law Center for Judicial Studies,
.' See 71 Fed. Reg. 77314, 77321 (Dec. 26, 2006)("FDA noted that there are limitations to interpreting the AERS data. Dosing infor
. The plaintiff also argues that the AERs could be considered party admissions, I will need to see .the context and content of the AERs in order to make a ruling on this point.
. The- 2002 Advisory Committee reviewed .AERs. to determine what risk of injury recommended dosing posed. See FDA Safety Analysis Power Point, Sept. 19, 2002 (Doc. No. 96, Ex. 7); FDA Memorandum Aug. IS, 2002 (Doc. No. 95, Ex. 17). The Acetaminophen Working Group of the FDA relied on AERs in making its recommendation to reduce the single caplet strength from 500 mg to 325 mg. See CDER Working Group Executive Summary and Recommendations, Feb. 26, 2008 (Doc. No. 96, Ex.- 1). Other Committees Groups of the FDA use AERs as data for understanding further regulatory needs. See Characterization of Acetaminophen Overdose , and Related Hepatotoxic Events, Joint Meet
. See Reference Manual on Scientific Evidence (2d Edition, Federal Judicial Center, 2000), at 469.
. See also Tyler v. Sterling Drug, Inc.,
But see Soldo v. Sandoz Pharms. Corp.,
. Daubert motions filed by the parties on this issue are still pending.
. To support their motion, the defendants cite cases where courts found that claims were impliedly preempted under Buckman. See, e.g., Farina v. Nokia Inc.,
. See also In re Vioxx Products Liab. Litig., MDL No. 1657,
. The plaintiff argues that this evidence also may be relevant if the defendants "open the door" and claim they are absolved from liability by complying with FDA regulations. These sorts of arguments will likely be precluded under Wyeth v. Levine,
. See In re Yasmin & Yaz (Drospirenone) Mktg., Sales Practices & PMF Products Liab. Litig., 3:09-CV-1 0012-DRH,
. The defendants only argued that this evidence should be precluded under Buckman. They did not argue that it should be precluded under other Federal Rules of the Evidence (i.e., Rule 403, etc.). Any objections or arguments regarding admissibility for other reasons may still be raised at trial.
. See FDA Safety Analysis Power Point, Sept. 19, 2002 (Doc. No. 95, Ex. 11); FDA Memorandum, Aug. 15, 2002- (Doc. No. 95, Ex. 17).
. See FDA Safety Analysis (Doc. No. 95, Ex. 11). See also Larson, et al., Acetaminophen-Induced Acute Liver Failure: Results of a United States Multicenter, Prospective Study, Hepatology 2005; 42(6):1364-1372 (Doc. No. 95, Ex. 7)(explaining how fasting may enhance toxicity and how unintentional “overdose” seemed possible at recommended dosing levels).
. See FDA Safety Analysis at Slide 44 (Doc. No. 95, Ex. 11). This data was later published in the Federal Register as part of FDA’s Proposed Rule for the 2009 Label Change, discussed below. See 71 Fed, Reg. 77314 (Dec. 26, 2006)(Doc. No. 95, Ex. 10).
. See FDA, CDER, Joint Meeting of the Drug Safety and Risk Management Advisory Committee, NDAC, and the Anesthetic and Life Support Drugs Advisory Committee, Questionnaire (Doc. No. 90, Ex. 14).
. See McNeil Briefing packet for June 2009 Meeting (Pi. Ex. 9 attached to Response for MIL 3, filed under seal).
. See FDA, CDER, Joint Meeting of the Drug Safety and Risk Management Advisory Committee, NDAC, and the Anesthetic and Life Support Drugs Advisory Committee, Questionnaire (Doc. No. 90, Ex. 14).
. Sée FDA, CDER, Joint Meeting of the Drug Safety and Risk Management Advisory Committee, NDAC, "and the Anesthetic and Life Support Drugs Advisory Committee, Questionnaire (Doc. No. 90, Ex. 14).
. As I’ve explained in earlier decisions, the fact that the FDA does not adopt a recommendation by the advisory committee does not necessarily absolve the defendants of their duty to warn or design a safe product. FDA regulations are a floor and not a ceiling. For a further explanation, see Memorandum Denying Defendants’ Motion for Summary Judgment on Failure-to-Warn Claim, Nov. , 13, 2015 (Doc. No. 182); Memorandum Denying Defendants’ Motion for Summary Judgment on Design Defect Claim, Nov. 13, 2015 (Doc. No. 184). See also Wyeth v. Levine, 555 U.S. 806, 129 S.Ct. 337,
. Beech Aircraft Corp. v. Rainey,
. The documents at issue were ones produced by the defendants, indicating they were in their possession.
. See, e,g„ E. Kuffner Dep., Mar. 31, 2011 at 92 (Pi. Ex. 17 to Response for MIL 3, filed under seal); E. Kuffner Dep., Apr. 30, 2014 at 32, 201 (Pi. Ex. 13 to Response for MIL 3, filed under seal); L, Pawelski Dep., Feb. 28, 2014 at 85-86 (Pi. Ex. 14 to Response for MIL 3, filed under seal); A. Temple Dep,, Mar. 20, 2014 at 158 (PL Ex. 15 to Response for MIL 3, filed under seal); Email to C. Goggins re: meeting recommendations, May 27, 2009 (PI. Ex. 7 to Response for MIL 3, filed under seal); Letter to the FDA about. “Risk Mitigation Plan,” Jul. 29, 2009 (PI. Ex. 11 to Response for MIL 3, filed under seal).
.The defendants argue that the information presented at these meetings still has to be "substantially similar” to the injuries presented in this case. It is clear that the purpose of these meetings was to address the very concern at issue in this case—what risk was there to consumers of liver injury from taking Extra Strength Tylenol for therapeutic reasons. These meetings were on point with the issues presented in this case. This argument is not helpful.
. I made a previous ruling in this regard during the deposition of Ashley McEvoy. The parties could not agree' about whether the evidence of employee compensation was relevant. They contacted me during the deposition to decide the issue. I ruled that the financial stake or interest in the corporation was relevant to bias. I confirmed this ruling in an Order dated February 26, 2014. See 13-md-2436, Doc. No. 123. While this Order pertained to the ability of the MDL plaintiffs to discover evidence related to employee compensation, the parameters set out in that Order offer good guidance on what types of employee compensation evidence would be relevant to show bias.
. See also Wolfe v. McNeil-PPC, Inc., No. 07-348,
. Much of the plaintiff's response revolves around their expert testimony for Dr. Marvin Goldberg. Whether his testimony is appropriate has been addressed in my ruling on the Daubert motion challenging his expert testimony. See Doc. No. 315 (Mar. 2, 2016).
. This does not mean, however, that the plaintiff's experts cannot offer evidence that could allow a jury to infer what the defendants’ corporate state of mind would be. That is entirely appropriate. The specifics of what evidence experts can discuss (as opposed to opinions they may render) is better addressed in the context of Daubert motions, deposition designations, and/or at trial. My ruling on Motion in Limine #5 is meant to be narrow.
. The plaintiffs response centers on the expert report of Dr. Marvin Goldberg, the plaintiffs marketing expert, Whether these documents can be used by Dr. Goldberg is a different question. I addressed what testimony Dr. Goldberg could offer in my Daubert ruling. See Doc. No, 315 (Mar. 2, 2016).
. See Investigations Operations Manual, 5.5, available at http://www.fda.gov/ICECI/ Inspections/IOM/ucml22533.htm.
. Id. See also K. Kwong Dep. at 24-25 (Pl. Ex. ll)(calling a 483 Form a "[c]itation of significant finding”).
. See Investigations Operations Manual, 5.5, available at http://www.fda.gov/ICECI/ Inspections/IOM/uem 122533 .htm.
. Id.
. See FDA Form 483, Oct. 19, 1999 (Pl. Ex. 12); K. Kwong Dep. at 269 (Pl. Ex. 11).
. FDA Form 483, Oct. 19, 1999 (Pl. Ex. 12).
. FDA Form 483, Oct. 19, 1999 (Pl. Ex. 12).
. FDA Form 483, Oct. 19, 1999 (Pl. Ex. 12). During the same timeframe, the defendants also conducted internal audits showing similar deficiencies about adverse event reporting. See Quintiles Memorandum, May 2, 2003 (Pl. Ex. 13). I do not consider those internal audits to be at issue in this motion.
'. FDA Form 483, Dec. 9, 2010 (Pl. Ex. 14).
. FDA Form 483, Dec. 9, 2010 (Pl. Ex. 14). The Form specifically noted deficiencies in how the defendants’ pharmacovigilance department inappropriately handled complaints of stomach pain, diarrhea, and vomiting. This information may be relevant to notice, given that the reported conditions not appropriately handled were those experienced by the decedent,
. FDA Form 483, Apr, 14, 2011 (Pl. Ex. 15).
. Id.
. Even if the information about deficiencies in manufacturing were relevant, its probative value would be substantially outweighed by the risk of unfair prejudice. See Fed. R. Evid. 403. That evidence will be excluded.
. See C. Goggins Email with Internal Memo, Oct. 10, 2007 (PL Ex. 5). See also 2003 Consumer OTC Medication Use Survey, Executive Summary (PL Ex. 6).
. See C. Goggins Email, Jul. 3, 2009, "Stakeholder plans” (PL Ex. 1); McNeil PowerPoint, Jul. 20, 2009 (PL Ex. 4).
. See 2011 Consent Decree (Doc. No. 69, Ex. B).
. See 2015 Plea Agreement (Doc. No. 69, Ex. A).
. The plaintiff argues that these are “prior bad acts” which can show "proof of motive, opportunity, intent, preparation, plan, knowledge, identity, or absence of mistake:” See Fed. R. Evid. 404(b). If the plaintiff had a manufacturing defect claim, this argument would have merit. However, I do not see this act as being similar enough to count as "prior bad acts” under Rule 404.
The plaintiff also claims this evidenсe is relevant to the punitive damages claim, because it reflects "a pattern and practice of evading federal marketing regulations'- and federal obligations.” I disagree. Again, the Consent Decree and' Plea Agreement involved manufacturing defect issues. This is not a manufacturing defect case.
. The plaintiff also argues that this evidence may be considered party admissions, which would not be hearsay, See Fed. R. Evid. 801(d). This also may be a reason the evidence would not be considered hearsay. Context, again, is important to determine this.
. I do not consider a 2011 Consent Decree (i.e., settlement) or 2015 Plea Agreement with the federal government to be included in this evidence. Arguments about the admissibility of that evidence were raised in MIL 7 and are addressed in my ruling on that motion.
.Specifically; the defendants would like to exclude:
• Post-injury changes to the labeling for over-the-counter Extra Strength Tylenol® labeling (e.g., McNeil’s voluntary reduction of the listed maximum daily dose on its OTC acetaminophen products that was made in conjunction with FDA input-namely a reduction from 4,000 mg to 3,000 mg in a 24 hour period);
• Post-injury changes to prescription acetaminophen labeling (see, 76 Fed. Reg. 2691 (Jan. 14, 2011));
• Post-injury FDA statements/pronouncements or regulations concerning prescription acetaminophen ■ (see, e.g., FDA safety communications regarding limiting prescription acetaminophen products to 325 mg per dosage, and recommendations to health care professionals to stop dispensing prescription combination drug products with more than 325 mg of acetaminophen, http://www.fda.gov/drugs/ drugsafety/informationbydrugclass/ucm 165107.htm; and notice of public hearing on Over-The-Counter Drug Monograph System -Past Present, and Future, 79 Fed. Reg. 10168 (Feb. 24, 2014));
• Post-injury MedWatch 3500 forms, including that of Ms. Hayes, or other adverse event reports; and
• The notice of proposed rulemaking for acetaminophen currently on the unified agenda with a projected completion date of December 2015 (79 Fed. Reg. 76718-01 (Dec. 22, 2014)).
This is not an exhaustive list, however, of the types of evidence that might be covered by this motion. - -
. The plaintiff offers another example: evidence that the defendants neglected to follow up on adverse events after the decedent’s death. This information will likely not be relevant. Punitive damages cannot be imposed on the defendants for conduct that occurred after the injury asserted. I note this example but decline to rule definitely on it until trial.
. See, e.g., Kenny v. Southeastern Pennsylvania Transp.,
. The plaintiff also argues that the subsequent remedial measures were not voluntary and are, therefore, not covered by Rule 407. In January 2011,.the FDA asked manufacturers of combination drugs containing acetaminophen, sold globally under trade names such as Tylenol and Pánadol, to limit acetaminophen doses to no more than 325 mg in each tablet or capsule by January 14, 2014. For this reason, the plaintiff argues, the changes were not voluntary. The majority of Circuits agree that a subsequent remedial measure is not "voluntary” if it is not done by the defendants. See Steele, Texas Emp. Ins. Ass'n, Intervenor v. Wiedemann Mach. Co.,
The more specific question presented here is whether a subsequent remedial measure is "voluntary” if it was undertaken at the request or authority of a regulatory agency, like the FDA. Several Circuits have held that a subsequent remedial change made at the bequest on a "superior authority” is not "voluntary” and, therefore, is not to be covered by Rule 407. See O'Dell v. Hercules, Inc.,
The Third Circuit has not ruled on this issue. See Stecyk v. Bell Helicopter Textron, Inc., No. CIV. A. 94-CV-1818,
. See, e.g., Whitehead v. St. Joe Lead Co., Inc.,
See also Standridge v. Alabama Power Co.,
. The defendants support this argument with Horn v. Thoratec Corp.,
. The doctrine also includes a "sham exception” which provides that “activity ‘ostensibly directed toward influencing governmental action' does not qualify for Noerr immunity if it ‘is a mere sham to cover... an attempt to interfere directly with the business relationships of a competitor.’ •” Octane Fitness, LLC v. ICON Health & Fitness, Inc., — U.S. -,
. See, e.g., We, Inc. v. City of Philadelphia,
.The Third Circuit in In re Asbestos School Litigation,
. See also In re Cardizem CD Antitrust Litigation,
. The defendants cite In re VIOXX Litig.,
They also cite to Meridia Prods. Liab. Litig. v. Abbot Labs.,
The other cases offered by the defendants to support their relevance argument are also not on point or are not persuasive. See Hurt v. Coyne Cylinder Co.,
. The plaintiff counters that these labels are adoptive admissions under Rule 801(d)(2)(A), (B), I would need to see more information about the content and context of the labels in order to rule appropriately on this point.
. The plaintiff also argues that her experts may rely on the foreign labels and regulatory actions in rendering an opinion. This may be true. See Fed. R. Evid, 703. However, this argument is better addressed in the context of ■ pending Daubert motions.
. See, e.g., Tobin v. SmithKline Beecham Pharms., No. 00-CV-0025,
. See A. McEvoy Dep., Feb. 12, 2014 at 332-339 (Pl. Ex. 2)(discussing how negative press about liver damage side effects was shown to hurt sales of Tylenol); A. Vernon Dep., Aug. 5, 2014 at 128-129, 132 (Pi. Ex. 3)(discussing the lack of warning about serious side effects in advertising).
. The parties also discuss the relevant regulatory standards for over-the-counter drug marketing, as enforced by the Federal Trade Commission (FTC). Because there is no deceptive marketing claim, I do not see this information as relevant or helpful to the motion at hand,
. See McClain v, Metabolife Int'l, Inc.,
. See A. McEvoy Dep., Feb. 12, 201,4 at 282-89 (PL Ex. 2).
, To support this point, the defendants point to other cases which have excluded marketing evidence: Zundel v. Johnson & Johnson, No. MID-L-6854-05, Hrg. Tr., at 60-62 (N.J. Super. Ct., Middlesex Cty. Jan. 13, 2009)(Doc. No. 76, Ex. E); In re Norplant Contraceptive Prods. Liab. Litig.,
Appleby v. Glaxo Wellcome, Inc.,
.To support this theory, the defendants cite decisions in Wolfe v. McNeil-PPC, Inc.,
. See Forst v. Smithkline Beecham Corp., No. 07-CV-612,
. See, e.g., Strickland v. Royal Lubricant Co.,
. See Hon v. Stroh Brewery Co.,
. See Wilson Sporting Goods Co. v. Hickox,
. See Torsiello v. Whitehall Labs., Div. of Home Prods. Corp.,
. See id. at 322-23,
. The article in question was Paul B. Watkins, Aminotransferase Elevations in Healthy Adults Receiving 4 Grams of Acetaminophen Daily, 296 JAMA 87, 91 (Jul. 5, 2006)("An association between therapeutic dosing of acetaminophen and elevations in ALT has not been previously reported.”).
. I explained in a previous decision that the FDA’s decision to not adopt these recommendations based on insufficient data did not preempt the plaintiff’s claims under Wyeth v. Levine. See Memorandum Denying Motion for Summary Judgment regarding Failure-to-Warn Claim, Doc. No. 181 at 41-44.
.The plaintiff also plans to have their experts use these documents in forming opinions about post-marketing reporting and labeling. Evidence relied upon by experts need not be admissible so long "experts in the particular fiel’d would reasonably rely on those kinds of facts or data in forming an opinion on the subject.” Fed. R. Evid. 703. Whether the press release or public comment can be relied upon by experts in rendering an opinion is a question more appropriately answered in Daubert motions pending before the court.
. See Benedi v. McNeil-P.P.C., Inc.,
. See also Ex parte Hsu,
This rule of exclusion has been considered substantive and not procedural by other federal courts. See Wilson v. Gillis Adver. Co.,
. The plaintiff also argues that financial wealth information may be admissible if the defendants “open the door” to such evidence. There is caselaw in Alabama supporting this point. See Mutual Sav. Life Ins. Co. v. Smith,
. The defendants are also precluded from implying that their net worth is the reason the plaintiff has brought suit against' them. See Baptist Med. Ctr. Montclair v. Whitfield,
. See Southern Life and Health Ins. Co. v. Smith,
. See PL Brief Opposing MIL 17 at 4-13 (outlining evidence that high-level J & J executives were involved in decisions regarding the marketing and sales of Tylenol products)(filed under seal) and attached exhibits.
. I note, as the plaintiff has, that Johnson & Johnson remains a named defendant in this case. No summary judgment motion or other motion has been filed asserting the theory stated above. If the defendants disagree with my ruling on this point, they may file a motion for reconsideration.
