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Thursday, January 28, 2010

Xian Libang Pharmaceutical Co., Ltd.

  

Department of Health and Human Services logoDepartment of Health and Human Services

Public Health Service
Food and Drug Administration
 CENTER FOR DRUG EVALUATION AND RESEARCH
Division of Manufacturing and Product Quality
International Compliance Branch
White Oak, Building 51
10903 New Hampshire Avenue
Silver Spring, MD 20993

 

Warning Letter


VIA FEDERAL EXPRESS MAIL

WL: 320-10-01

January 28, 2010


Mr. Tao Chen
General Manager
XiAn Libang Pharmaceutical Co., Ltd.
No. 18 Gaoxin 2nd Road
Xian Hi-Tech Zone
Shaanxi, China


Dear Mr. Chen:


This is regarding our July 27-30, 2009 inspection of your active pharmaceutical ingredient (API) manufacturing facility, Xian Libang Pharmaceutical Co., Ltd. located at ShanXi, China.. The inspection identified significant deviations from the Current Good Manufacturing Practice (CGMP) for the manufacture of APIs. These deviations cause your API(s) to be adulterated within the meaning of section 501(a)(2)(B) of the Federal Food, Drug, and Cosmetic Act (the Act) [21 U.S.C. 351(a)(2)(B)] in that the methods used in, or the facilities or controls used for, their manufacture, processing, packing, or holding do not conform to, or are not operated or administered in conformity with CGMP.
 

We have reviewed your firm's response of September 2, 2009, and note that it lacks sufficient corrective actions.
 

Specific deviations observed during the inspection include, but are not limited, to:
 

1. Failure of your quality unit to ensure that materials are appropriately tested and the results are reported.
 

For example, your firm used the infrared spectra for the raw material (b)(4), lot # Y584-090301, tested on March 5, 2009, to support the release of two subsequent incoming lots of (b)(4) # Y584-090401 and # Y584-090701.
 

Your firm used the IR spectra for one lot to approve and release two subsequent incoming lots. This practice is unacceptable and raises serious concerns regarding the integrity and reliability of the laboratory analyses conducted by your firm. It is essential that at least one test be conducted to verify the identity of each lot of incoming material. In addition, the laboratory control records should include complete documentation of all raw data generated during each test, including graphs, charts and spectra from laboratory instrumentation. These records should be properly identified to demonstrate that each raw material batch was tested and met the release specification before its use in production.

Your response of September 2, 2009 is inadequate because you did not perform a comprehensive investigation. A cursory review of records is not sufficient to ensure that other personnel did not manipulate or inaccurately report test data.
 

2. Failure of your quality unit to exercise its responsibility to ensure the APIs manufactured at your facility are in compliance with CGMP, and meet established specifications for quality and purity.
 

For example, your quality control unit failed to detect that IR spectra were being substituted by a laboratory employee and therefore, misrepresenting the actual results of the tested incoming material. Your response is inadequate in that it does not address the ability of your quality unit to control and detect the manipulation or alteration of laboratory documents.
 

In your response of September 2, 2009, you indicated that you "fired the chemist who was responsible for falsifying the data." You indicated that your firm has removed both the previous quality control manager and quality manager from Libang's quality management team. You also indicate that you found another incident of data manipulation involving the IR Spectra for (b)(4), lot # Y535-090601. Your response is incomplete because you have not provided a more comprehensive plan to ensure the integrity of all data used to assess the quality and purity of APIs manufactured at your facility.
 

3. Failure to have adequate controls to prevent manipulation of raw data during routine analytical testing.
 

For example, your firm's laboratory analyst had modified printed raw data related to the IR Spectra test of (b)(4) and (b)(4). We are concerned that the lack of security or system controls allows for this practice.
 

Your response is inadequate because it fails to completely address how your firm will ensure the integrity of raw analytical data. Your response stated that a computer server will be purchased and installed to save and print the IR spectra by September 30th, 2009.
 

Provide describe the new configuration of the system involved, the associated new or revised procedures, and your planned approach to qualify this system.
 

You are responsible not only for having controls to prevent omissions in data, but also for recording any changes made to existing data, which should include the date of change, identity of person who made the change, and an explanation or reason for the change. Your response should address your laboratory equipment and any other process-related equipment that may be affected by the lack of adequate controls to prevent data manipulation. All changes to existing data should be made in accordance with an established procedure.
 

Please provide your Corrective Action Plan that describes your commitment, procedures, actions, and controls to ensure data integrity. This plan should include the corrective actions implemented to ensure that all managers, supervisors, and quality unit personnel are properly trained in detecting data integrity and manipulation. The investigation should provide detailed descriptions of other incidents where your quality unit failed to ensure proper testing of materials and include a retrospective review of all test results generated by your laboratory personnel. If other instances of non-existent, inaccurate or unreliable tests results are found, your investigation should assess the impact of these discrepancies on the quality of the APIs manufactured at your facility. Provide the documentation of specific training offered to all employees regarding the importance of following CGMP and ensuring that all required tests are performed.
 

We highly recommend that you hire a third party auditor, with experience in detecting data integrity problems, to assist you with this evaluation and assist with your overall compliance with CGMP. It is your responsibility to ensure that data generated during operations is accurate and that the results reported are a true representation of the quality of your APIs. Provide a list of all the lots of APIs shipped to the US. where release relied upon non-existent, inaccurate or unreliable test data.
 

In addition to evaluating and correcting these data integrity concerns, we recommend that you conduct a complete and extensive evaluation of your overall quality and manufacturing controls to ensure that APIs manufactured at your facility meet the quality and purity characteristics that they purport to possess.
 

The deviations cited in this letter are not intended to be an all-inclusive statement of deviations that exist at your facility. You are responsible for investigating and determining the causes of the deviations identified above and for preventing the recurrence of these deviations and the occurrence of other deviations. If you wish to continue to ship APIs to the United States, it is the responsibility of your firm to ensure compliance with all US. standards for CGMP and all applicable US. laws and regulations.
 

Until all corrections have been completed and FDA has confirmed corrections of the deviations and your firm's compliance with CGMP, this office will recommend withholding approval of any new applications or supplements listing your firm as the API manufacturer. In addition, failure to correct these deviations may result in FDA denying entry of articles manufactured at Xian Libang Pharmaceutical Co., Ltd., ShanXi, China into the United States. The articles could be subject to refusal of admission pursuant to section 801(a)(3) of the Act [21 U.S.C. 381(a)(3)], in that, the methods and controls used in their manufacture do not appear to conform to current good manufacturing practice within the meaning of section 501(a)(2)(B) of the Act [21 U.S.C. 351(a)(2)(B)].

Within fifteen working days of receipt of this letter, please notify this office in writing of the specific steps that you have taken to correct deviations. Include an explanation of each step being taken to prevent the recurrence of deviations and copies of supporting documentation. If you cannot complete corrective action within fifteen working days, state the reason for the delay and the date by which you will have completed the correction. Additionally, your response should state if you no longer manufacture or distribute Ropivacaine HCL, Metolazone, Ibutilide Fumarate and Succinylcholine Chloride, and provide the date(s) and reason(s) you ceased production. Please identify your response with FEI # 3003657863.
 

If you have questions or concerns regarding this letter, contact Maan Abduldayem, Compliance Officer, at the below address and telephone number.
 

U.S. Food and Drug Administration
Center for Drug Evaluation and Research
Division of Manufacturing and Product Quality
International Compliance Branch
White Oak, Building 51
10903 New Hampshire Ave
Silver Spring, MD 20993
Tel: (301) 796-3916
Fax: (301) 847-8741
 

Sincerely,

/S/
Richard L. Friedman
Director
Division of Manufacturing and Product Quality
Office of Compliance
Center for Drug Evaluation and Research
 

-

Nasr, Samya, M.D. 1/28/10












  

Department of Health and Human Services logoDepartment of Health and Human Services


Public Health Service

Food and Drug Administration
 Silver Springs, MD 20993

WARNING LETTER



CERTIFIED MAIL

RETURN RECEIPT REQUESTED

 

Ref: 10-HFD-45-01-03



Samya Nasr, M.D. 

1500 East Medical Center Drive

L2221 Women's Hospital, SPC 5212

Ann Arbor, MI 48109-5212



Dear Dr. Nasr:



Between July 20 and August 25, 2009, Ms. Barbara Rusin and Ms. L’Oreal Fowlkes, representing the Food and Drug Administration (FDA), conducted an investigation and met with you to review your conduct of the following clinical investigations:



Protocol CP-AI-005, entitled “A Phase 3, Double-Blind, Multicenter, Randomized, Placebo-Controlled Trial with Aztreonam Lysinate for Inhalation in Cystic Fibrosis Patients with Pulmonary P. aeruginosa Requiring Frequent Antibiotics (AIR-CF2).” of the investigational drug Aztreonam Lysinate, performed for Corus Pharma.



Protocol CP-AI-007, entitled “A Phase 3, Double-Blind, Multicenter, Multinational, Randomized, Placebo-Controlled Trial Evaluating Aztreonam Lysinate for Inhalation in Cystic Fibrosis Patients with Pulmonary P. aeruginosa (AIR-CF1),” of the investigational drug Aztreonam Lysinate, performed for Corus Pharma.



Protocol 08-108, entitled “A Multi-Center, Double-Blind, Placebo-Controlled Randomized, Efficacy and Safety Study of Denufosol Tetrasodium (INS37217) Inhalation Solution in Patients With Mild Cystic Fibrosis Lung Disease,” of the investigational drug Denufosol Tetrasodium, performed for Inspire Pharmaceuticals.



Protocol 08-110, entitled “A Phase 3, International, Multi-Center, Randomized, Double-Blind, Placebo-Controlled, Parallel-Group, Efficacy and Safety Study of Denufosol Tetrasodium Inhalation Solution in Patients With Cystic Fibrosis Lung Disease and FEV1 ≥ 75% but ≤ 110% Predicted,” of the investigational drug Denufosol Tetrasodium, performed for Inspire Pharmaceuticals.



Protocol 0000726, entitled “A Phase III, Randomized, Double-Blind, Placebo-Controlled Clinical Study Evaluating the Efficacy and Safety of ALTU-135 Treatment in Patients with Cystic Fibrosis-Related Exocrine Pancreatic Insufficiency,” of the investigational drug ALTU-135, performed for Altus Pharmaceuticals.



Protocol 0000767, entitled “An Open-Label Clinical Study Evaluating the Long-Term Safety of ALTU-135 for the Treatment of Patients with Cystic Fibrosis-Related Exocrine Pancreatic Insufficiency (ALTUS-767),” of the investigational drug ALTU-135, performed for Alnara Pharmaceuticals.



This inspection is a part of the FDA's Bioresearch Monitoring Program, which includes inspections designed to evaluate the conduct of research and to ensure that the rights, safety, and welfare of the human subjects of those studies have been protected. From our review of the establishment inspection report, the documents submitted with that report, and your written responses dated September 16, 2009, and November 24, 2009, we conclude that you did not adhere to the applicable statutory requirements and FDA regulations governing the conduct of clinical investigations. We are aware that at the conclusion of the inspection, FDA investigators presented and discussed with you Form FDA 483, Inspectional Observations. We wish to emphasize the following:



1. You failed to obtain the informed consent of each human subject, in accordance with 21 CFR part 50 [21 CFR 312.60].



FDA's regulations at 21 CFR 50.20 state that except as provided in 21 CFR 50.23 and 21 CFR 50.24, no investigator may involve a human being as a subject in research covered by the regulations unless the investigator has obtained the legally effective informed consent of the subject or the subject’s legally authorized representative. The regulation specifies that an investigator shall seek such informed consent only under circumstances that provide the prospective subject or the subject's representative sufficient opportunity to consider whether or not to participate and that minimize the possibility of coercion or undue influence.



Section 50.27 of FDA’s regulations further states that except as provided in 21 CFR 56.109(c), informed consent shall be documented by the use of a written consent document, which is to be signed by the subject or the subject’s representative at the time of consent.



a. The objective of Protocol CP-AI-005 was to assess the safety and efficacy of a 28-day treatment with Aztreonam Lysinate for Inhalation (Cayston™) and the ability of this treatment to maintain or improve clinical status following a 28-day course of Tobramycin Solution for Inhalation therapy in cystic fibrosis (CF) patients with pulmonary Pseudomonas aeruginosa. The original informed consent form approved by the IRB on April 7, 2005, however, incorrectly stated that the purpose of the study was to see if an investigational inhaled antibiotic, Aztreonam Lysinate for Inhalation, “can stop Pa [Pseudomonas aeruginosa] from coming back into your lungs.”

You were notified by (b)(4) in an e-mail dated June 28, 2005, that the sponsor required a number of revisions to be made to the approved informed consent form, including these: “(Purpose): 2nd to last sentence, please change ‘new drug’ to ‘investigational or experimental drug’. Please change the last sentence in this section to correctly reflect the purpose of this study - to see if Al [Aztreonam Lysinate] is safe and effective in CF patients with lung infections, not to see how well Al [Aztreonam Lysinate] can stop PA [Pseudomonas aeruginosa]from coming back into patients [sic] lungs.” Your site resubmitted a revised informed consent form (version 2) to the IRB; that form was approved on August 25, 2005.



In an e-mail dated September 12, 2005, however, the sponsor informed you that there were still problems with the revised informed consent form. The sponsor noted that the statement in section 2.1 of the informed consent form stating that Aztreonam Lysinate can stop Pseudomonas aeruginosa from coming back to your lungs could be considered coercive because Aztreonam Lysinate was still an investigational drug. According to the e-mail, you had requested that the sponsor approve shipment of the study drug and allow patients to be enrolled with the current IRB-approved version of the informed consent form. The sponsor approved the shipment of study drug to your site with the conditions that you submitt a revised informed consent form addressing all outstanding issues to the IRB and that you reconsent all patients enrolled in the study. The sponsor further approved your use of the current IRB-approved version of the informed consent form, provided that on the informed consent form you document that (1) female patients of childbearing potential were notified of the serum pregnancy test at Visit 1; (2) all patients consented with the current version were notified that they would be required at a later date to reconsent, using a revised consent form; and (3) all patients consented with the current IRB-approved version of the informed consent form were notified that Aztreonam Lysinate has not been proven to stop Pseudomonas aeruginosa from coming back into the lungs, as is implied in section 2.1, and that the purpose of the study was actually to see if Aztreonam Lysinate is successful in treating Pseudomonas aeruginosa lung infections in CF patients. In an e-mail dated September 14, 2005, you were again reminded to send the updated, corrected informed consent form to the IRB. The IRB approved version 3.1 of the informed consent form on March 9, 2006.



FDA’s investigation found that for all six subjects enrolled into the study, there was no documentation on either the informed consent form or the assent forms that you told the subjects about the true purpose of the study, as required by the sponsor. In addition, handwritten notes documenting the sponsor’s requirements regarding the serum pregnancy test and the reconsenting of subjects were either (1) not documented on the informed consent form and/or the assent form, and/or (2) not consistently documented on all copies of the informed consent form and/or the assent form. Furthermore, Subjects 004, 005 and 006 were not reconsented with revised informed consent form version 3.1 until July 2006, approximately three months after the IRB had approved version 3.1.



In your written responses, you acknowledged that you failed to recognize any substantive difference between articulations of the study purpose as stated in informed consent form version 2 versus that in the protocol. You also acknowledged that you failed to correct this oversight in a timely manner when the sponsor first brought it to your attention in July 2005. You further stated that while handwritten statements were added to the consent forms prior to the subject’s/parent’s consent, you now recognized and understand that these statements should not have been added to the consents at any time. Your corrective actions to this finding included the development of new standard operating procedures (SOPs) including: “Completing the eResearch Application” to ensure that a member of the study team reviewed the consistency of the information in the protocol, investigator’s brochure, consent document and the eResearch submission; “Responding to Monitoring Reports” which required prompt response to any observations and a formal report to the IRB for further consideration; and “Obtaining Informed Consent” which will prohibit handwritten statements on the informed consent form.



Your response is inadequate. In review of the SOP entitled “Standard Operating Procedure for eResearch Submissions”, there were no procedures detailing the methods used by your site to verify consistency of all elements between the informed consent form, protocol, investigator’s brochure and eResearch submission as noted in your promised corrective action. Your assertion that handwritten statements were added prior to consents being given to the subjects could also not be verified. In many cases the copy of the informed consent form in your research record was different from the copy found in the medical record.



b. No informed consent form and/or assent form could be found for Subjects 385-003 and 385-007, who were screened for Protocol 08-108. However, study-related screening procedures were performed on these subjects (on February 22, 2007, and September 5, 2007, respectively).



In your written responses, you acknowledged this finding. You noted that your corrective action to prevent the recurrence of this finding included the development of new SOPs including “Obtaining Informed Consent”, “Document Management and Storage”, and “Patient Completion/Early Termination/Screen Failure” and the education of your study team on these SOPs. These corrective actions appear adequate.



c. The following was noted for Protocol 08-110:



i. The informed consent documents for Subjects 385-101 and 385-102 did not have check marked responses to show whether consent was given either to participate in or to abstain from having saliva collected for P2Y2 genotyping. However, you collected these subjects’ saliva samples and sent them to the central laboratory for testing.



ii. The original informed consent document signed by Subject 385-104 and dated January 9, 2009, did not have a checkmark in the box noting whether the subject elected to participate in or to abstain from having saliva collected for P2Y2 genotyping. However, you collected a saliva sample from this subject and sent it to the central laboratory for testing. A checkmark showing that the subject elected to participate in the collection of saliva for genotyping was subsequently made on February 13, 2009, which was after the time of saliva sample collection.



In your written responses, you acknowledged this finding and stated that your site detected the error in failing to get appropriate consent “before any genetic analysis” was performed on the samples from these subjects. Your corrective action included a policy for changing the check box for the optional tests to the last page of the informed consent document. You stated that if the IRB endorsed this new approach, it would be included in the newly created SOP on “Obtaining Informed Consent”.



Your response is inadequate. We found no evidence that your site detected this error before genetic analysis was performed on these samples. Rather, it appears that the lack of consent of subjects to having samples taken for testing was identified during the FDA inspection. Furthermore, documents provided by you during the inspection showed that when the sponsor was informed of the lack of consent of Subjects 385-101 and 385-102 to the testing in an email dated July 23, 2009, the sponsor stated that the samples were to be destroyed. The sponsor’s email made no mention that the samples had not undergone any genetic testing. In addition you provided no evidence to show that the error was detected before testing occurred. We also note that even if genetic analysis was not performed, this does not negate the fact that samples should not have been drawn from subjects without their consent.



d. The informed consent documents signed by Subjects 009-001 and 009-002 for Protocol 0000726 did not include a reference to testing of blood samples for Vitamin K levels. However, you tested these subjects’ blood samples for Vitamin K.



In your written responses, you acknowledged this finding and stated that you had developed an SOP for “Managing Investigational Materials and Supplies” which would serve as corrective actions to prevent the recurrence of this finding.

 

Your response is inadequate. You provided no corrective action plan to ensure that only those tests included in the informed consent document would be performed on study subjects. In addition, in review of the SOP for “Managing Investigational Materials and Supplies”, your procedure stated that your staff would examine the “contents of study kits to validate that only collection tubes for IRB-approved tests are included in the kit before it is delivered to the research phlebotomy team.” There were no clear procedures for how your site would verify that the test or tests in the kit are in line with the currently approved protocol or protocol amendment that is in effect at the time of arrival of the kit.



2. You failed to ensure that the investigations were conducted according to the investigational plans [21 CFR 312.60].



a. Protocol 08-110 stated that either a chest X-ray must be performed at Visit 1, or there must be a chest X-ray, high resolution computed tomography (HRCT), chest CT scan, or MRI of the lung performed 12 months before Visit 1. Subject 385-101 was enrolled into the study on September 10, 2008, and received study drug on September 17, 2008 at Visit 2. However, no chest X-ray was performed for this subject at Visit 1, and there is no documentation indicating that either a chest X-ray, high resolution computed tomography (HRCT), chest CT scan, or MRI of the lung had been performed 12 months before Visit 1. Source documents confirm that the chest X-ray for this subject was taken on September 17, 2008, approximately an hour after the subject had received the first dose of investigational drug.



In your written responses, you acknowledged this finding and stated that you had developed SOPs for “Protocol Deviations and Study Amendments” and “Document Management and Storage” which would serve as corrective actions to prevent the recurrence of this finding.

We acknowledge that in your letters, you describe the corrective actions you have taken to prevent the recurrence of this finding. While these corrective actions appear appropriate, it was the absence of such measures during the conduct of these trials that led to the violations listed here, raising concerns regarding the adequacy of human subject protections at your site.



b. Protocol 0000726 defined an Adverse Event (AE) as any untoward medical occurrence in a patient or clinical investigation patient, regardless of its causal relationship to study drug. According to the protocol, all AEs were to be collected beginning on Study Day B1, and would continue inclusive of the 2-week follow-up visit. In addition, the protocol stated that all study staff were responsible for ensuring that complete safety information was recorded on the case report form (CRF). FDA’s investigation found that several AEs noted in the progress reports were not recorded onto the CRF. Examples include the following:

 

 



































SubjectAEDate(s) AE noted in the source records
009-001Flatulence

10/22/07

10/29/07

11/05/07


009-001Crackles and Diminished Breath in Right Lung

10/24/07

10/29/07


009-002Bilateral Crackles in Bases of Lungs12/03/07
009-002Darkened Sputum12/03/07
009-002Bilateral rhonchi noted in the upper and lower lobes of the lungs12/06/07
009-005Mild Rhonchi03/03/08
009-005Boggy, swollen turbinates with cloudy discharge03/05/08 - 3/07/08



In your written responses, you stated that with some exceptions, including the items noted with an asterisk (*) above, you acknowledged this finding. You stated that you would provide documentation that those exceptions were reported. You further stated that as you were conducting the protocol, you interpreted "untoward medical occurrence" to mean something new or different in a patient, and your corrective action to prevent this finding is to more carefully analyze the protocol for unclear language. In addition, you developed an SOP for “Adverse

Events” to ensure that similar deviations and misunderstandings were avoided in future studies.



For the items noted with an asterisk (*) above, there was no supporting documentation found in the information you provided in your written responses to verify that these AEs were reported in the CRF. However, we acknowledge that in your response letters you describe the corrective actions you have taken to prevent this from happening in the future. While these corrective actions appear appropriate, it was the absence of such measures during the conduct of these trials that led to the violations listed here.



c. Protocol 08-108 specified that all medications that the patient has taken from 28 days prior to Visit 1 (screening visit) through the follow-up visit were to be recorded in the CRF. The generic name of the drug, dose, route of administration, duration of treatment (including start and stop dates), frequency, and indication were also to be recorded for each medication.



i. For Subject 385-002, Lacinex chewable tablets, taken by the subject and identified in the progress note dated November 1, 2007, were not listed on the prior and concurrent medication and therapies log.



ii. For Subject 385-004, Benadryl, taken by the subject and identified in the progress note dated May 23, 2007, was not listed on the prior and concurrent medication and therapies log.



In you written responses you acknowledged this finding. You, however, provided no corrective action to prevent the recurrence of this finding.



3. You failed to promptly report to the IRB all changes in research activities and made changes in the research without IRB approval [21 CFR 312.66].



FDA's regulations at 21 CFR 312.66 state that an investigator shall not make any changes to the research without IRB approval, except where necessary to eliminate apparent immediate hazards to human subjects. Protocol CP-AI-005 was approved by the IRB on April 7, 2005. In monitoring letters dated February 26, May 9, July 18, and September 1, 2006, you were asked whether you had requested approval from the IRB for tote bags, diary cards, and subject calendars that were given to subjects participating in the study. You failed to inform the IRB of the changes you had implemented to the research by distributing these items. The IRB was not made aware of these changes until March 22, 2007, which was one month before the study was terminated with the IRB (on April 12, 2007).



In your written response, you acknowledged these findings and stated that while the IRB eventually approved the use of the subject diary cards, by that time, enrollment had ended. Your corrective action was the development of a new SOP for “Protocol Deviations and Study Amendments” to assure appropriate procedures are followed to avoid unauthorized deviations, and in the event they occur, proper procedures were followed for promptly reporting and correcting them. You also state that study team members will be re-educated about "the IRB application and amendment processes" and to the fact that all items and services given to study subjects must be approved by the IRB in advance. These corrective actions appear appropriate.



This letter is not intended to be an all-inclusive list of deficiencies with your clinical study of an investigational drug. It is your responsibility to ensure adherence to each requirement of the law and relevant FDA regulations. You should address these deficiencies and establish procedures to ensure that any ongoing or future studies will be in compliance with FDA regulations.



Within fifteen (15) working days of your receipt of this letter, you should notify this office in writing of the actions you have taken to prevent similar violations in the future. Failure to adequately and promptly explain the violations noted above may result in regulatory action without further notice.



If you have any questions, please contact Constance Lewin, M.D., M.P.H., at 301-796-3397; FAX 301-847-8748. Your written response and any pertinent documentation should be addressed to:



Constance Lewin, M.D., M.P.H.

Branch Chief, Good Clinical Practice Branch I

Division of Scientific Investigations

Office of Compliance

Center for Drug Evaluation and Research

Food and Drug Administration

Building 51, Room 5354

10903 New Hampshire Avenue

Silver Spring, MD 20993

Sincerely yours,

{See appended electronic signature page}

Leslie K. Ball, M.D.

Director

Division of Scientific Investigations

Office of Compliance

Center for Drug Evaluation and Research

Food and Drug Administration

---------------------------------------------------------------------------------------------------------

This is a representation of an electronic record that was signed electronically and this page is the manifestation of the electronic

signature.

---------------------------------------------------------------------------------------------------------

/s/

----------------------------------------------------

LESLIE K BALL

01/28/2010

-

Xian Libang Pharmaceutical Co., Ltd.

  

Department of Health and Human Services logoDepartment of Health and Human Services

Public Health Service
Food and Drug Administration
 CENTER FOR DRUG EVALUATION AND RESEARCH
Division of Manufacturing and Product Quality
International Compliance Branch
White Oak, Building 51
10903 New Hampshire Avenue
Silver Spring, MD 20993

 

Warning Letter


VIA FEDERAL EXPRESS MAIL

WL: 320-10-01

January 28, 2010


Mr. Tao Chen
General Manager
XiAn Libang Pharmaceutical Co., Ltd.
No. 18 Gaoxin 2nd Road
Xian Hi-Tech Zone
Shaanxi, China


Dear Mr. Chen:


This is regarding our July 27-30, 2009 inspection of your active pharmaceutical ingredient (API) manufacturing facility, Xian Libang Pharmaceutical Co., Ltd. located at ShanXi, China.. The inspection identified significant deviations from the Current Good Manufacturing Practice (CGMP) for the manufacture of APIs. These deviations cause your API(s) to be adulterated within the meaning of section 501(a)(2)(B) of the Federal Food, Drug, and Cosmetic Act (the Act) [21 U.S.C. 351(a)(2)(B)] in that the methods used in, or the facilities or controls used for, their manufacture, processing, packing, or holding do not conform to, or are not operated or administered in conformity with CGMP.
 

We have reviewed your firm's response of September 2, 2009, and note that it lacks sufficient corrective actions.
 

Specific deviations observed during the inspection include, but are not limited, to:
 

1. Failure of your quality unit to ensure that materials are appropriately tested and the results are reported.
 

For example, your firm used the infrared spectra for the raw material (b)(4), lot # Y584-090301, tested on March 5, 2009, to support the release of two subsequent incoming lots of (b)(4) # Y584-090401 and # Y584-090701.
 

Your firm used the IR spectra for one lot to approve and release two subsequent incoming lots. This practice is unacceptable and raises serious concerns regarding the integrity and reliability of the laboratory analyses conducted by your firm. It is essential that at least one test be conducted to verify the identity of each lot of incoming material. In addition, the laboratory control records should include complete documentation of all raw data generated during each test, including graphs, charts and spectra from laboratory instrumentation. These records should be properly identified to demonstrate that each raw material batch was tested and met the release specification before its use in production.

Your response of September 2, 2009 is inadequate because you did not perform a comprehensive investigation. A cursory review of records is not sufficient to ensure that other personnel did not manipulate or inaccurately report test data.
 

2. Failure of your quality unit to exercise its responsibility to ensure the APIs manufactured at your facility are in compliance with CGMP, and meet established specifications for quality and purity.
 

For example, your quality control unit failed to detect that IR spectra were being substituted by a laboratory employee and therefore, misrepresenting the actual results of the tested incoming material. Your response is inadequate in that it does not address the ability of your quality unit to control and detect the manipulation or alteration of laboratory documents.
 

In your response of September 2, 2009, you indicated that you "fired the chemist who was responsible for falsifying the data." You indicated that your firm has removed both the previous quality control manager and quality manager from Libang's quality management team. You also indicate that you found another incident of data manipulation involving the IR Spectra for (b)(4), lot # Y535-090601. Your response is incomplete because you have not provided a more comprehensive plan to ensure the integrity of all data used to assess the quality and purity of APIs manufactured at your facility.
 

3. Failure to have adequate controls to prevent manipulation of raw data during routine analytical testing.
 

For example, your firm's laboratory analyst had modified printed raw data related to the IR Spectra test of (b)(4) and (b)(4). We are concerned that the lack of security or system controls allows for this practice.
 

Your response is inadequate because it fails to completely address how your firm will ensure the integrity of raw analytical data. Your response stated that a computer server will be purchased and installed to save and print the IR spectra by September 30th, 2009.
 

Provide describe the new configuration of the system involved, the associated new or revised procedures, and your planned approach to qualify this system.
 

You are responsible not only for having controls to prevent omissions in data, but also for recording any changes made to existing data, which should include the date of change, identity of person who made the change, and an explanation or reason for the change. Your response should address your laboratory equipment and any other process-related equipment that may be affected by the lack of adequate controls to prevent data manipulation. All changes to existing data should be made in accordance with an established procedure.
 

Please provide your Corrective Action Plan that describes your commitment, procedures, actions, and controls to ensure data integrity. This plan should include the corrective actions implemented to ensure that all managers, supervisors, and quality unit personnel are properly trained in detecting data integrity and manipulation. The investigation should provide detailed descriptions of other incidents where your quality unit failed to ensure proper testing of materials and include a retrospective review of all test results generated by your laboratory personnel. If other instances of non-existent, inaccurate or unreliable tests results are found, your investigation should assess the impact of these discrepancies on the quality of the APIs manufactured at your facility. Provide the documentation of specific training offered to all employees regarding the importance of following CGMP and ensuring that all required tests are performed.
 

We highly recommend that you hire a third party auditor, with experience in detecting data integrity problems, to assist you with this evaluation and assist with your overall compliance with CGMP. It is your responsibility to ensure that data generated during operations is accurate and that the results reported are a true representation of the quality of your APIs. Provide a list of all the lots of APIs shipped to the US. where release relied upon non-existent, inaccurate or unreliable test data.
 

In addition to evaluating and correcting these data integrity concerns, we recommend that you conduct a complete and extensive evaluation of your overall quality and manufacturing controls to ensure that APIs manufactured at your facility meet the quality and purity characteristics that they purport to possess.
 

The deviations cited in this letter are not intended to be an all-inclusive statement of deviations that exist at your facility. You are responsible for investigating and determining the causes of the deviations identified above and for preventing the recurrence of these deviations and the occurrence of other deviations. If you wish to continue to ship APIs to the United States, it is the responsibility of your firm to ensure compliance with all US. standards for CGMP and all applicable US. laws and regulations.
 

Until all corrections have been completed and FDA has confirmed corrections of the deviations and your firm's compliance with CGMP, this office will recommend withholding approval of any new applications or supplements listing your firm as the API manufacturer. In addition, failure to correct these deviations may result in FDA denying entry of articles manufactured at Xian Libang Pharmaceutical Co., Ltd., ShanXi, China into the United States. The articles could be subject to refusal of admission pursuant to section 801(a)(3) of the Act [21 U.S.C. 381(a)(3)], in that, the methods and controls used in their manufacture do not appear to conform to current good manufacturing practice within the meaning of section 501(a)(2)(B) of the Act [21 U.S.C. 351(a)(2)(B)].

Within fifteen working days of receipt of this letter, please notify this office in writing of the specific steps that you have taken to correct deviations. Include an explanation of each step being taken to prevent the recurrence of deviations and copies of supporting documentation. If you cannot complete corrective action within fifteen working days, state the reason for the delay and the date by which you will have completed the correction. Additionally, your response should state if you no longer manufacture or distribute Ropivacaine HCL, Metolazone, Ibutilide Fumarate and Succinylcholine Chloride, and provide the date(s) and reason(s) you ceased production. Please identify your response with FEI # 3003657863.
 

If you have questions or concerns regarding this letter, contact Maan Abduldayem, Compliance Officer, at the below address and telephone number.
 

U.S. Food and Drug Administration
Center for Drug Evaluation and Research
Division of Manufacturing and Product Quality
International Compliance Branch
White Oak, Building 51
10903 New Hampshire Ave
Silver Spring, MD 20993
Tel: (301) 796-3916
Fax: (301) 847-8741
 

Sincerely,

/S/
Richard L. Friedman
Director
Division of Manufacturing and Product Quality
Office of Compliance
Center for Drug Evaluation and Research
 

-

Wednesday, January 27, 2010

OST Medical, Inc.












  

Department of Health and Human Services logoDepartment of Health and Human Services


Public Health Service

Food and Drug Administration
 New England District

One Montvale Avenue

Stoneham, Massachusetts 02180

(781) 596-7700

FAX: (781) 596-7896



WARNING LETTER

NWE -13-10W

VIA FEDERAL EXPRESS

January 27, 2010

Mr. Peter J. Sacchetti

President/Owner

OST Medical,Inc.

11 Knight Street, Building F23

Warwick, RI 02886-1281

Dear Mr. Sacchetti:

The Food and Drug Administration (FDA) recently performed an inspection on November 23

through December 31, 2009 of your medical device manufacturing facility located at 11 Knight

Street, Warwick, RI and determined that you manufacture Sentinel enteral feeding pumps and

distribute both the pumps and disposable delivery sets. Under a United States law, the Federal

Food, Drug and Cosmetic Act, (the Act), all of these above mentioned products are considered

to be medical devices under 201(h) of the Act (21 U.S.C. § 321(h)) because they are used to

diagnose or treat a medical condition.

The recent FDA inspection found that the devices manufactured at your facility are adulterated under section 501(h) of the Act (21 U.S.C. § 351(h)), in that the methods used in, or the facilities or controls used for, the manufacture, packing, storage or installation are not in conformance with the Current Good Manufacturing Practice (CGMP) requirements for medical devices which are set forth in the Quality System regulation, as specified in Title 21 Code of Federal Regulations, (21 CFR), Part 820. FDA has found ongoing systemic violations in the quality management system employed to ensure the safety and effectiveness of the medical devices you distribute. Significant deviations from the QS regulations include, but are not limited to, the following:

1. Failure to establish and maintain procedures to ensure that all received product conforms to specified requirements, as required by 21 CFR 820.50. For example, your firm has not performed testing for 3 out of 4 incoming lots received by one of your suppliers of disposable delivery sets, (b)(4)

Your firm also receives disposable delivery sets from (b)(4). This firm is not on your approved supplier list and you did not have adequate documentation upon receipt to demonstrate that these incoming sets met required specifications.

Also, your firm contracted with an unapproved supplier to print out labels for the Sentinel pumps, which included serial numbers. Your firm did not perform any incoming inspection of the printed labels to demonstrate that they met required specifications. As a result, your firm received two complaints that the labels were smudging and chipping off.

2. Failure to maintain a device history record (DHR) that includes acceptance records which demonstrate that the device is manufactured in accordance with the DHR, as required by 21 CFR 820.184(d). For example, four DHR’s for pumps (8010, 8036, 8039 and 14029) were missing documentation of the “Acceptance Test report and Burn-In Test sheet” for these devices.

3. Failure to review, evaluate and investigate any complaint involving the possible failure of a device, labeling or packaging to meet any of its specification, as required by 21 C.F.R. § 820.198(c). For example, your complaint files for complaints # 96, 98, 99, 104, 105, 108 did not have any documentation demonstrating that an investigation was completed prior to closing the complaints.

4. Failure to establish and maintain procedures for receiving, reviewing, and evaluating complaints by a formally designated unit, as required by 21 CFR 820.198(a). For example, the firm has no procedure describing the review of service calls for potential complaints.

5. Failure to establish and maintain procedures for verifying or validating the corrective and preventive action, to ensure that such action is effective and does not adversely affect the finished device, as required by 21 CFR 820.100(a)(4). For example, CAPA 76 did not contain any record that a validation or verification of your corrective action was performed prior to closure. CAPA 78, opened on 6/11/08 and CAPA 79, opened on 9/22/08 remain open with no corrective action verified or documented. Also, CAPA 82 notes that the CAPA was verified and closed by a person who was not employed by OST. During the inspection your firm was not able to explain how this was considered to be an acceptable practice.

You should take prompt action to correct the violations addressed in this letter. Failure to

promptly correct these violations may result in regulatory action being initiated by the Food and

Drug Administration without further notice. These actions include, but are not limited to, seizure,

injunction, and/or civil money penalties. Also, federal agencies are advised of the issuance of all

Warning Letters about devices so that they may take this information into account when

considering the award of contracts. Additionally, premarket approval applications for Class III

devices to which the Quality System regulation deviations are reasonably related will not be

approved until the violations have been corrected. Requests for Certificates to Foreign

Governments will not be granted until the violations related to the subject devices have been

corrected.

We are requesting that you submit to this office on the schedule below, certification by an

outside expert consultant that he/she has conducted an audit of your establishment's

manufacturing and quality assurance systems relative to the requirements of the device QS

regulation (21 CFR, Part 820). You should also submit a copy of the consultant's report, and

certification by your establishment's Chief Executive Officer (if other than yourself) that he or

she has reviewed the consultant's report and that your establishment has initiated or completed

all corrections called for in the report. The initial certifications of audit and corrections and

subsequent certifications of updated audits and corrections (if required) should be submitted to

this office by the following dates:

• Initial certifications by consultant and establishment – July 27, 2010

• Subsequent certifications – January 27, 2011 and January 27, 2012

Please notify this office in writing within fifteen (15) working days from the date you receive this letter of the specific steps you have taken to correct the noted violations, including an explanation of how you plan to prevent these violations, or similar violations, from occurring again. Include documentation of the corrective action you have taken. If your planned corrections will occur over time, please include a timetable for implementation of those corrections. If corrective action cannot be completed within 15 working days, state the reason for the delay and the time within which the corrections will be completed.

Finally, you should know that this letter is not intended to be an all-inclusive list of the violations at your facility. It is your responsibility to ensure compliance with applicable laws and regulations administered by FDA. The specific violations noted in this letter and in the Inspectional Observations, Form FDA 483 (FDA 483), issued at the closeout of the inspection may be symptomatic of serious problems in your firm’s manufacturing and quality assurance systems. You should investigate and determine the causes of the violations, and take prompt actions to correct the violation(s) and to bring your products into compliance.

We also want to remind you of your obligations as a medical device manufacturer to submit a

written report to FDA of any correction or removal of a device initiated by the manufacturer to

reduce a risk to health posed by the device, as required by 21 CFR 806.10(a)(1). During our

inspection we observed you to contact a number of customers with updates regarding your

devices. Please be aware that if any future corrections are conducted to reduce a risk to health,

then you will need to report these to FDA as Corrections or Removals.

Please direct your response or any questions you may have to Karen Archdeacon, Compliance Officer, Food and Drug Administration, One Montvale Avenue, 4th Floor, Stoneham, Massachusetts 02180. Her telephone number is (781) 596-7707.



Sincerely,

/S/

John R. Marzilli

District Director

New England District

-

Kellogg USA












  

Department of Health and Human Services logoDepartment of Health and Human Services


Public Health Service

Food and Drug Administration
 Atlanta District Office

60 Eighth Street. N.E.

Atlanta, GA 30309

Telephone: 404·253·1200

FAX: 404·253·1201

January 27, 2010



VIA FEDERAL EXPRESS



A.D. David Mackay, President & CEO

Kellogg Company

1 Kellogg Square

Battle Creek, MI 49017



WARNING LETTER

(10-ATL-07)


Dear Mr. Mackay:



On October 22-29, 2009, the U.S. Food and Drug Administration (FDA) conducted an inspection of your frozen food manufacturing facility located at 5601 Bucknell Drive, SW, Atlanta, GA 30336. The inspection was initiated in response to a notification from the Georgia Department of Agriculture (GDA) on August 31, 2009, of a positive test for Listeria monocytogenes in your Eggo Buttemilk Waffles identified with a Better If Used Before date beginning with NOV17 10 EAAM1. During the inspection, we collected a variety of samples consisting of finished products, in-process products, and environmental swabs. FDA laboratory analyses of the environmental swabs collected during this inspection also found the presence of the pathogen Listeria monocytogenes in your facility. In addition, we found that you have significant deviations from the current Good Manufacturing Practice (CGMP) regulations for food manufacturers, Title 21, Code of Federal Regulations, Part 110 (21 CFR 110). These violations and the results of the laboratory analyses cause the foods manufactured at your facility to be adulterated within the meaning of section 402(a)(4) of the Federal Food, Drug, and Cosmetic Act (the Act) [21 U.S.C. § 342(a)(4)] in that they were prepared, packed, or held under insanitary conditions whereby they may have been rendered injurious to health. You may find the Act and FDA's regulations through links in FDA's home page at http://www.fda.gov.

Listeria monocytogenes (L. monocytogenes) is a pathogenic bacterium that is widespread in the environment and may be introduced into a food processing facility. L. monocytogenes can contaminate foods, resulting in a mild illness (called listerial gastroenteritis) or a severe, sometimes life-threatening, illness called invasive listeriosis. Listeriosis is an atypical foodborne illness of major public health concern because of the severity of the disease, a high case-fatality rate, a long incubation and a predilection for individuals with underlying conditions.

During the FDA inspection, investigators collected environmental samples from various areas in your facility. Five environmental swabs tested positive for L. monocytogenes. Pulsed Field Gel Electrophoresis (PFGE) testing results determined that three of the environmental swabs had a PFGE pattern that was indistinguishable from the positive sample collected by the GDA. This is significant because these three swabs were taken from three different locations in your facility and the swabs' indistinguishable PFGE pattern was found in your firm's finished product, Eggo Buttermilk Waffles. The PFGE results reveal that L. monocytogenes may have been transported throughout your facility and may have established niche areas to colonize. One of the aforementioned environmental swabs was taken from the wheels on a forklift observed in the packaging area. The presence of L. monocytogenes on the wheels of a forklift is a concern as the organism is likely to spread when the forklift moves throughout the facility.

Two of the positive environmental swabs had PFGE patterns that were distinguishable from the other three environmental swabs and the positive sample collected by the GDA. One of these samples was collected from the floor at the walk-through door to the battery changing room. The other sample was collected from the bottom of a grey tote located at the end of the (b)(4) conveyor.

Bacteria may enter and/or be transported through a food plant by a variety of routes that include, but are not limited to: roof leaks; the shoes of employees, contractors, and visitors; the wheels of fork lifts, pallet movers, and moveable equipment; soiled pallets; soiled raw material packaging; raw ingredients; and by rodent vectors. Once established on production area floors, the pathogen may contaminate food and food-contact surfaces through either human or mechanical means. L. monocytogenes differs from most other foodborne pathogens because it is widely distributed, resistant to diverse environmental conditions, including low pH and high NaCl concentrations, and grows under refrigeration conditions.

 

During our inspection, we documented conditions and practices that may lead to the contamination of your products with pathogens such as L. monocytogenes. Specifically, our inspection of your facility revealed the following sanitation violations:

 

1. To comply with section 21 CFR 110.35(a), you must clean and sanitize utensils and equipment in a manner that protects against contamination of food, food-contact surfaces, or food-packaging materials. However, our investigators observed that employees in the mixing room were using high pressure water to clean equipment near exposed raw materials. The investigators also observed the cleaning water splashing near the exposed raw ingredients, which could lead to contamination of your food products.

2. To comply with section 21 CFR 110.37(f), you must convey, store, and dispose of rubbish and any offal in a manner that protects against contamination of food. However, our investigators observed that an uncovered cart containing trash was located within close proximity (approximately six inches) of exposed raw materials in the mixing room. The proximity of the trash container and its contents to food and food contact surfaces could lead to contamination of your food products.

3. To comply with section 21 CFR 110.20(b)(4), your plant and facilities must be constructed so that drip or condensate from fixtures, ducts, and pipes does not contaminate food, food-contact surfaces, or food-packing materials. However, our investigators observed condensate and drippage in the waffle production area above lines (b)(4) which were transporting exposed products; above the conveyors transporting exposed in-process products to the spiral freezer; and above wheel (b)(4)  and an uncovered cinnamon feeder containing raw ingredients. Condensate is not potable water and it is likely to be contaminated with harmful bacteria, which could contaminate the finished product.

4. To comply with section 21 CFR 110.10(b), all persons working in direct contact with food, food-contact surfaces, and food-packaging materials must conform to hygienic practices to protect against contamination of food. These methods include but are not limited to the following:

 

• Taking necessary precautions to protect against contamination of food, food-contact surfaces, or food packaging materials with micro-organisms [21 CFR 110.10(b)(9)]. However, our investigators observed a maintenance employee, who was not wearing gloves, touching exposed finished product and food-contact surfaces on equipment while using tools to fix an infrared sensor on line (b)(4)

 

• Washing hands thoroughly (and sanitizing if necessary to protect against contamination with undesirable microorganisms) before starting work, after each absence from the work station, and at any other time when the hands may have become soiled or contaminated [21 CFR 110.10(b)(3)]. Our investigators observed two employees donning shoe covers after washing their hands, and an employee touching his nose and mustache, after washing his hands, and not using sanitizer or re-washing his hands before he returned to the work area.



We acknowledge receipt of your response (updated November 18, 2009) in response to FDA's positive L. monocytogenes environmental swabs. Although your response lists a number of corrective actions directly associated with the positive test results, including sanitizing certain equipment and limiting employee access to certain processing areas, it is essential to identify all areas of your facility where L. monocytogenes is able to grow and survive (niche areas) and to take such corrective actions as necessary to control the organism. In addition, FDA recommends that your sanitation controls include effective environmental monitoring programs designed to identify and eliminate and/or control pathogens such as L. monocytogenes in and on surfaces and areas in the facility where contamination could result in food product contamination. Finally, your response does not address the CGMP deviations identified in this letter.

This letter is not intended to be an all-inclusive list of violations that may exist at your facility. You are responsible for ensuring that your processing plant operates in compliance with the Act and applicable regulations. You should take prompt action to correct these violations. We may take further action if you do not promptly correct these violations. For instance, we may take further action to seize your product(s) and/or enjoin your firm from operating.

You should respond, in writing, within fifteen (15) working days from receipt of this letter. Your response should outline specific actions you are taking to correct these violations. You should include documentation that would assist us in evaluating your corrections. If you cannot complete all corrections before you respond, you should explain the reason for your delay and state when you will correct any remaining violations.



Please send your reply to Derek C. Price, Compliance Officer, Food and Drug Administration, 60 Eighth Street, NE., Atlanta, GA 30309. If you have any questions about the content of this letter, please contact Mr. Price at 404-253-2277.

Sincerely yours,

/S/

LaTonya M. Mitchell

Acting District Director

Atlanta District Office

cc: Michael A. Jones, Plant Director

Kellogg USA, Inc/ Kellogg Company-Frozen Foods

5601 Bucknell Drive, SW

Atlanta, GA 30336

cc: Daryl Riley, Vice President Global Quality

Kellogg Company

235 Porter Street

Battle Creek, MI 49014

-

Tuesday, January 26, 2010

www.ayurvediccure.com












  

Department of Health and Human Services logoDepartment of Health and Human Services


Public Health Service

Food and Drug Administration
 5100 Paint Branch Parkway

College Park, MD 20740

WARNING LETTER

To: www.ayurvediccure.comfsahilmehta99@yahoo.com

cc: Orders@ayurvediccure.com

Sahil Mehta

Emmbros Overseas

www.ayurvediccure.com

House No. 921 Sector 7

Panchkula (Haryana)

Andaman and Nicobar India 134109

FROM: Food and Drug Administration

RE: Unapproved/Uncleared/Unauthorized Products Related to the H1N1 Flu Virus

Date: January 26, 2010

This is to advise you that the United States Food and Drug Administration (FDA) reviewed your website at the Internet address www.ayurvediccure.com on January 20, 2010. The FDA has determined that your website offers products for sale that are intended to diagnose, mitigate, prevent, treat or cure the H1N1 Flu Virus in people. These products have not been approved, cleared, or otherwise authorized by FDA for use in the diagnosis, mitigation, prevention, treatment, or cure of the H1N1 Flu Virus. These products are Guduchi Satya (Tinospora Cordifolia) Capsules, Tulasi (Holy Basil) Capsules, and Sunthi (Ginger) Capsules. The marketing of these products violates the Federal Food, Drug, and Cosmetic Act (FFDC Act). 21 U.S.C. §§ 331, 351, 352, and/or 355. We request that you immediately cease marketing unapproved, uncleared, or unauthorized products for the diagnosis, mitigation, prevention, treatment, or cure of the H1N1 Flu Virus.

Some examples of the claims on your website include:

On a webpage titled "Swine Influenza (H1N1 flu, Swine flu, Hog flu and Pig flu)", under the subheading "Herbs for swine flu treatment":



• "Holy Basil, [and] Ginger ... are used in the treatment of flu ... since ancient times. Regular uses of these medicines are helpful in controlling the signs and symptoms of deadly swine flu and help in early treatment of influenza. '" [R]egular use of these herbs prevent[s] further spread of swine flu and help[s] in early treatment of influenza."

• "The most common herbs which can be used in the treatment and prevention of swine flu are

1. Tulsi1 or Holy basil

2. Sunthi or Ginger

3. Giloy2

Under the subheading "Swine Flu Remedies", "BUY NOW links appear for holy basil supplements, ginger supplements, and Tinospora supplements. These links take the user to order pages for the Tulasi (Holy Basil) capsules, Sunthi (Ginger) Capsules, and Guduchi Salva (Tinospora Cordifolia) Capsules, respectively. Near each of the "BUY NOW links is a "Read more" link for the product that opens a separate, product-specific webpage with information on the uses of the product. These product-specific pages also bear claims about treatment of the H1N1 Flu Virus:

• "Holy Basil is also recommended as a Remedy for Swine Flu"

• "Ginger Is also recommended as a Remedy for Swine Flu"

• "Tinospora Cordifolia Is also recommended as a Remedy for Swine Flu"

The secretary of Health and Human Services, under section 319 of the Public Health Service Act, 42 U.S.C. § 247d, has determined that a public health emergency exists nationwide involving the H1N1 Flu Virus that affects or has the significant potential to affect national security. Following this determination and in response to requests from the U.S. centers for Disease Control and Prevention, FDA issued letters authorizing the emergency use of certain unapproved and uncleared products or unapproved or uncleared uses of approved or cleared products, provided certain criteria are met, under 21 U.S.C. § 360bbb-3. The marketing end sale of unapproved or uncleared H1N1 Flu Virus related products that are not authorized by and used In accordance with the conditions of an Emergency Use Authorization, is a potentially significant threat to the public health. Therefore, FDA is taking urgent measures to protect consumers from products that, without approval or authorization by FDA, claim to diagnose, mitigate, prevent, treat, or cure H1N1 Flu Virus in people.

You should take Immediate action to ensure that your firm is not marketing, and does not market In the future, products intended to diagnose, mitigate, prevent, treat, or cure the H1N1 Flu Virus that have not been approved, cleared, or authorized by the FDA. The above is not meant to be an all-inclusive list of violations. It's your responsibility to ensure that the products you market are in compliance with the FFDC Act and FDA's implementing regulations. we advise you to review your websites, product labels, and other labeling and promotional materials to ensure that the claims you make for your products do not adulterate or misbrand the products in violation of the FFDC Act. 21 U.S.C. §§ 331, 351, 352. Within 48 hours, please send an email to FDAFLUTASKFORCECFSAN@fda.hhs.gov, describing the actions that you have taken or plan to take to address your firm's violations. If your firm fails to take corrective action immediately, FDA may take enforcement action, such as seizure or injunction for violations of the FFDC Act, without further notice. Firms that fail to take corrective action may also be referred to FDA's Office of Criminal Investigations for possible criminal prosecution for violations of the FFDC Act and other federal laws.

FDA is advising consumers not to purchase or use H1N1 Flu Virus-related products offered for sale that have not been approved, cleared, or authorized by FDA. Your firm will be added to a published list on FDA's website of firms and websites that have received warning letters from FDA concerning marketing unapproved, uncleared, and unauthorized H1N1 Flu Virus-related products in violation of the FFDC Act. This list can be found at www.accessdata.fda.gov/scripts/h1n1flu. Once the violative claims and/or products have been removed from your website, and these corrective action. have been confirmed by the FDA, the published list will be updated to Indicate that your firm has taken appropriate corrective action.

If you are not located In the United Slates, please note that unapproved, uncleared, or unauthorized products intended to diagnose, mitigate, prevent, treat, or cure the H1N1 Flu Virus offered for importation Into the United States are subject to detention and refusal of admission. We will advise the appropriate regulatory or law enforcement officials in the country from which you operate that FDA considers your product listed above to be unapproved, uncleared, or unauthorized products that cannot be legally sold to consumers in the United states.

Please direct any inquiries concerning this letter to FDA at FDAFLUTASKFORCECFSAN@fda.hhs.gov or by contacting Kathleen Lewis at 301-436-2148.

 

Sincerely,

/S/

Roberta F. Wagner

Director

Office of Compliance

Center tor Food Safety

and Applied Nutrition

_______________________________________________

1 Your website uses "Tulsi" and "Tulasi" interchangeably as synonyms. See http://www.ayurvediccure.com/tulasi.htm.

2 According to your website, "Giloy" is an altemate name for Guduchi Satva (Tinospora Cordifolia). See http://www.ayurvediccure.com/tinospora.htm.

-

Fertility and Reproductive Medicine Center for Women 1/26/10

  

Department of Health and Human Services logoDepartment of Health and Human Services

Public Health Service
Food and Drug Administration
 

555 Winderley Pl., Ste 200

Maitland, Fl 32751

CERTIFIED MAIL

RETURN RECEIPT REQUESTED

 

WARNING LETTER

 

January 26, 2010

 

FLA-10-11

 

Diran Chamoun, M.D.

Owner and Medical Director

Fertility and Reproductive Medicine Center for Women

d/b/a: Viera Fertility Clinic

3160 Alzante Circle

Melbourne, FL 32940

 

Dear Dr. Chamoun:

 

The Food and Drug Administration (FDA) conducted an inspection of your firm, Fertility and Reproductive Medicine Center for Women, d/b/a: Viera Fertility Clinic located at 3160 Alzante Circle Melbourne, FL from November 4 through November 12, 2009. During this inspection, the FDA investigator documented significant deviations from the regulations for human cells, tissues, and cellular and tissue-based products (HCT/Ps) set forth in Title 21, Code of Federal Regulations, Part 1271 (21 CFR 1271), and issued under the authority of Section 361 of the Public Health Service Act (42 UDSC 264).

 

The deviations documented on the Form FDA-483 were presented to, and discussed with, you and your Clinical Director, Ms. Pamela Miles, at the conclusion of the inspection. The items of concern include, but are not limited to, the following. 

 

1. Failure to determine whether a donor is eligible based upon the results of donor screening in accordance with 1271.75 and donor testing in accordance with 1271.80 and 1271.85 [21 CFR 1271.50(a)]. For example, prior to June 24, 2009 your firm failed to adequately and appropriately test for Anti-hepatits B core antigen and human immunodeficiency virus, type 1 and hepatitis C virus by the nucleic acid test (NAT) method resulting in incomplete donor eligibility determinations for the following oocyte donors:
 

a) Anonymous oocyte donor (b)(6) was determined to be 'Eligible" on September 19, 2007, February 7, 2008 and June 21, 2008.


b) Anonymous oocyte donor (b)(6) was determined to be "Eligible" on February 7, 2008.


c) Anonymous oocyte donor (b)(6) was determined to be "Eligible" on February 10, 2009.


d) Anonymous oocyte donor (b)(6) was determined to be "Eligible" on February 10, 2009.


e) Anonymous oocyte donor (b)(6) was determined to be "Eligible" on December 7, 2008.


f) Anonymous oocyte donor (b)(6) was determined to be "Eligible" on February 10, 2009.


g) Directed oocyte donor# (b)(6) was determined to be "Ineligible" on December 7, 2008.


2. Failure to screen an anonymous or directed reproductive donor of cells or tissue by reviewing the donor's relevant medical records for risk factors for, and clinical evidence of, relevant communicable disease agents and diseases [21 CFR 1271.75(a)(1)]. For example, records for directed donors ((b)(6)) and anonymous donors (#(b)(6)) did not include documentation of a donor medical history (social behavior) interview, as defined in 21 CFR 1271.3(n).


3. Failure to ensure that establishments who by contract, agreement or other arrangement, perform any manufacturing steps for you were in compliance with applicable CGTP requirements prior to the initiation of the contract, agreement or other arrangement [21 CFR 1271.150(c)(1)(iii)]. For example, you failed to ensure that the test kits used by (b)(6), for your firm's donor eligibility screening, were FDA licensed, approved or cleared, and/or that your firm has knowledge of what test kits are used by (b)(6), and (b)(6) Laboratory, for testing HTC/Ps.


4. Failure to establish and maintain procedures for all steps that you perform in testing, screening, and determining donor eligibility [21 CFR 1271.47(a)]. For example, your firm's standard operating procedure "Egg Donor Eligibility Determination-SOP 2 is not complete in that, the current "Donor Medical History Interview Form" fails to include a question inquiring if potential donors have been treated for or had syphilis within the preceding 12 months.

In addition, we note that a departure from procedure was recorded for directed donor (b)(6) who was found to be "ineligible" based on incomplete donor testing and/or screening. The Donor Eligibility Form was used to document the two recipients acknowledgement that the donor screening and/or testing were not completed as required, but agreed to proceed with the procedure. Under 21 CFR 1271.47(d), "You must record and justify any departure from a procedure relevant to preventing risks of communicable disease transmission at the time of its occurrence. You must not make available for distribution any HCT/P from a donor whose eligibility is determined under such a departure unless a responsible person has determined that the departure does not increase the risks of communicable disease transmission through the use of the HCT/P." In the Guidance for Industry: Eligibility Determination for Donors of Human Cells, Tissues, and Cellular and Tissue-Based Products (HCT/Ps) (August 27, 2007) [http://www.fda.gov/cber/gdlns/tissdonor.htm]. FDA clarifies that a departure from procedures is an "intended change from an established procedure, including a standard operating procedure (SOP), which occurs before the HCT/P is distributed, and is consistent with applicable regulations and standards." We note that the departure from procedures for directed donor (b)(6) is not consistent with applicable regulations, which requires donor testing in accordance with 21 CFR 1271.80 and 1271.85, and donor screening in accordance with 21 CFR 1271.75 for anonymous and directed reproductive donors of cells and tissue.


Finally, we have reviewed your standard operating procedure (SOP) "Procedure for Deviations from Established FDA Screening Criteria" SOP-14 which was collected during the current inspection. While deficiencies in this SOP were not included on the Form FDA-483, we note this SOP appears to allow the use of HCT/Ps recovered from an anonymous donor who has been determined to be "ineligible." There is no provision in 21 CFR Part 1271 that allows for the use of oocytes from an anonymous donor who has been determined "ineligible" in accordance with 21 CFR 1271.50.


The above identified violations are not intended to be an all-inclusive list of deficiencies at your facility. It is your responsibility to ensure that your establishment is in compliance with all applicable requirements of federal regulations. You are responsible for reviewing your operations as a whole to assure you are in compliance with all of the FDA regulatory requirements,


You should take prompt action to correct the violations addressed in this letter. Failure to promptly correct these violations may result in regulatory action being initiated by the Food and Drug Administration without further notice. Such action may include, but is not limited to, an order to retain, recall, destroy or cease manufacture of HCT/Ps.


We request that you notify this office in writing, within 15 working days of receipt of this letter, of the specific steps you have taken to correct the noted deviations and to prevent their recurrence. If corrective action cannot be completed within 15 working days, state the reason for the delay and the time frame within which the corrections will be completed.


Your response should be sent to: Winston R. Alejo, Compliance Officer, 555 Winderley Place, Suite 200, Maitland, Florida, 32751 If you have any questions about the content of this letter please contact Mr. Alejo at (407) 475-4731.


Sincerely,
/S/

Emma R. Singleton

Director, Florida District

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Monday, January 25, 2010

Venus Foods Inc 1/25/10












  

Department of Health and Human Services' logoDepartment of Health and Human Services


Public Health Service

Food and Drug Administration
 Los Angeles District

Pacific Region

19701 Fairchild

Irvine, CA 92612-2506

Telephone: 949-608-2900

FAX: 949·608·4415

 

WARNING LETTER

CERTIFIED MAIL

RETURN RECEIPT REQUESTED

 

W/L 08-10

January 25, 2010

Mr. Roberi Tsai

President/Co-Owner

Venus Foods, Inc.

770 S. Stimson Avenue

City of Industry, CA 91745

Dear Mr. Tsai:

We inspected your seafood processing facility, located at 770 S. Stimson Avenue, City of Industry, CA 91745, on September 10-11,16-18, and 22-23,2009. We found that you have serious violations of the seafood Hazard Analysis and Critical Control Point (HACCP) regulation,Title 21, Code of Federal Regulations, Part 123, and the Current Good Manufacturing Practice regulation for foods, Title 21, Code of Federal Regulations, Part 110 (21 CFR 123 & 110). In accordance with 21 CFR 123.6(g), failure of a processor of fish or fishery products to have and implement a HACCP plan that complies with this section or otherwise operate in accordance with the requirements of Part 123, renders the fish or fishery products adulterated within the meaning of Section 402(a)(4) of the Federal Food, Drug, and Cosmetic Act (the Act), 21 U.S.C. § 342(a)(4). Accordingly, your Shrimp-Flavored Fish Ball and Cuttlefish Ball products are adulterated, in that they have been prepared, packed, or held under insanitary conditions whereby they may have been rendered injurious to health. Your Venus Shrimp Flavored Fish Balls and Wei-Chuan Shrimp Flavored Fish Balls are also misbranded under Sections 403(a)(1), 403(i)(2) and 403(q)(1)(a)(i) of the Act, 21 U.S.C. §§ 343(a)(1), 343(i)(2), and 343(q)(1)(a)(i). You may find the Act, the seafood HACCP regulation and the Fish and Fisheries Products Hazards & Controls Guidance through links in FDA's home page at http://www.fda.gov.

During our inspection, the investigator provided you with the form FDA 483, which presents his/her evaluation of your film's performance regarding various aspects of the HACCP and CGMP requirements.

On October 10, 2009, we received your response of October 8, 2009, to the seafood HACCP deficiencies identified in the FDA Form 483. With respect to some of the items, your response appears adequate and will be verified during our next inspection.

This letter identifies the remaining deviations:

Seafood HACCP

1. You must implement the monitoring procedures that you have listed in your HACCP plan, to comply with 21 CFR 123.6(b). FDA investigators observed that your firm's continuous chart recorder was no longer in operation to monitor your listed monitoring step, "Twenty four-hour monitoring: of the cooler air temperature in order to control Clostridium botulinum toxin formation" at the "Refrigerated storage of finished product CCP4BCT" critical control point. Your response dated October 10, 2009, indicated that CCP4BCT was revised to reflect "current monitoring and documentation procedures (twice daily)." Your response does not make clear what procedure is being carried out "twice daily" and does not indicate whether your continuous monitoring equipment is currently functioning and in use. You must implement the monitoring procedures that are listed in your HACCP plan, and any modifications to that plan must comply with the applicable HACCP regulations.

Misbranding

I. Your Venus Shrimp Flavored Fish Balls and Wei-Chuan Shrimp Flavored Fish Balls are misbranded under Section 403(a)(I) of the Act [21 U.S.C. 343(a)(I)] in that the labels are false or misleading. The ingredient statements list shrimp as an ingredient; however, the evidence collected during the investigation indicated that shrimp has not been used by your firm since June 2007.

2. Your Venus Shrimp Flavored Fish Balls and Wei-Chuan Shrimp Flavored Fish Balls are misbranded under Section 403(i)(2) of the Act [21 U.S.C. 343(i)(2)] in that they are fabricated from two or more ingredients, but their labels fail to list all sub-ingredients in descending order of predominance by weight, as required by 21 CFR 101.4. Specifically; the labels for your 'Venus Shrimp Flavored Fish  Balls and Wei-Chuan Shrimp Flavored Fish Balls list Surimi as an ingredient, which is a multicomponent food, but the label does not list the sub-ingredients for the Surimi.

The requirement to list these component ingredients (or "sub-ingredients") may be met by either parenthetically listing the component ingredients after the common or usual name of the multicomponent ingredient [21 CPR 101.4(b)(2)(i)], or by listing the component ingredients without listing the ingredient itself [21 CFR 101.4(b)(2)(ii)]. Under the first alternative, the component ingredients must be listed in descending order of predominance within the multi-component ingredient; and under the second alternative, the component ingredients must be listed in descending order of predominance in the finished food.

3. Your Venus Shrimp Flavored Fish Balls and Wei-Chuan Shrimp Flavored Fish Balls products are misbranded within the meaning of 403(q)(1)(A)(i) of the Act [21 U.S.C. 343(q)(I)(A)(i)] in that the labels fail to properly declare the serving size as specified by 21 CFR 101.9(b) and 101.12(b). Serving sizes are determined based on the Reference Amounts Customarily Consumed (RACC), which are provided by 21 CFR 101.12(b). The Venus Shrimp Flavored Fish Balls and Wei-Chuan Shrimp Flavored Fish Balls products declare the serving size as "4 pieces (51 g)." However, the RACC established for fish cakes is 85 g cooked (21 CFR 101.12 (b), Table 2, Fish, entrees without sauce, e.g.. ... fish ... cake). Under 21 CFR 101.9(b)(2)(i)(A), the serving size for products in discrete units that weigh 50 percent or less of the RACC is the number of whole units that most closely approximates the RACC. For these products the number of whole shrimp flavored fish balls that most closely approximates the RACC is seven (7) fish balls. Because the nutrition information is based on four (4) fish balls instead of 7 fish balls, the nutrient information declared on the label is not correct for the serving size.

We may take further action if you do not promptly correct these violations. For instance, we may take further action to seize your product(s) and/or enjoin your firm from operating.

You should respond in writing within fifteen (15) working days from your receipt of this letter. Your response should outline the specific things that you are doing to correct these violations. You should include in your response documentation such as your HACCP plan and monitoring records, revised product labeling, or other useful information that would assist us in evaluating your corrections. If you cannot complete all corrections before you respond, you should explain the reason for your delay and state when you will correct any remaining violations.

It is clear from the ingredient formulation, as well as from the assertions made by your firm during the course of the inspection, that the "shrimp flavor" in the Venus Shrimp Flavored Fish Balls and Wei-Chuan Shrimp Flavored Fish Balls is not derived from a shrimp ingredient. Therefore, if you continue to make representations with respect to shrimp being the primary recognizable flavor of these products,the products must be labeled either with the flavor of the product from which the shrimp flavor is derived or as artificially shrimp flavored [21 CFR 101.22(i)(1)(ii)]. Under the second altenative, the labeling must conform to the standards set forth in 21 CFR 101.22(i)(2) and (i)(3).

This letter may not list all the violations at your facility. You are responsible for ensuring that your processing plant operates in compliance with the Act, the seafood HACCP regulation (21 CPR Part 123), the Current Good Manufacturing Practice regulation for foods (21 CPR Part 110), and the labeling requirements for foods (21 CFR Part 101.) You also have a responsibility to use procedures to prevent further violations of the Act and all applicable regulations.

Please send your reply to the Food and Drug Administration, Attention: Acting Director of Compliance Branch, 19701 Fairchild, Irvine, CA 92612. If you have questions regarding any issue in this letter, please contact Compliance Officer Scott Goff at (949) 608-4433.

Sincerely, 

/s/

Alonza E. Cruse

Director

Los Angeles District

 

Cc: Mr. Stanley Chow

Vice-President, Co-Owner

770 S. Stimson Avenue

City of Industry, CA 91745



California Department of Public Health

1500 Capitol Avenue - MS 7602

P.O. Box 997413

Sacramento, CA 95899-7413

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