Search Warning Letters

Thursday, March 31, 2011

Sam Hak Food Corp 3/31/11

  

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

Public Health Service
Food and Drug Administration
 New York Districts
158-15 Liberty Avenue
Jamaica, NY 11433 

                                            

March 31, 2011

WARNING LETTER NYK-2011-19


VIA UPS

Elizabeth Kwong, President
Sam Hak Food Corp.
132-18 32nd Avenue
Flushing, New York 11354

Dear Ms. Kwong:

We inspected your seafood processing facility, located at 970 Longfellow Avenue located in Bronx, New York between January 31 and February 7, 2011. 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 (CGMP) 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 fish cakes are adulterated, in that they have been prepared, packed, or held under insanitary conditions whereby they may have been rendered injurious to health. 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 www.fda.gov.

Your significant violation was as follows:

• You must conduct or have conducted for you a hazard analysis for each kind of fish and fishery product that you produce to determine whether there are food safety hazards that are reasonably likely to occur and you must have and implement a written HACCP plan to control any food safety hazards that are reasonably likely to occur, to comply with 21 CFR 123.6(a), and  (b). However your firm does not have a HACCP plan for refrigerated fish cakes to control the food safety hazards of pathogen growth and potential toxin formation, specifically Staphylococcus aureus growth and toxin formation; metal fragments; and undeclared allergens.

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) 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 you are doing to correct these violations. In your response, you should include documentation such as hazard analyses, revised HACCP plans, monitoring records, as well as 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.
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 CFR Part 123) and the Current Good Manufacturing Practice regulation (21 CFR Part 110).  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: Dean R. Rugnetta, Compliance Officer, U.S. Food and Drug Administration, 300 Pearl Street, Suite 100, Buffalo, New York 14202. If you have questions regarding any issues in this letter, please contact Mr. Rugnetta at (716) 541-0324.

Sincerely,

/s/                                                    

Ronald M. Pace
District Director
New York District

 

-

Wednesday, March 30, 2011

Ningbo Smart Pharmaceutical Co. Ltd. 3/30/11

  

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

Public Health Service
Food and Drug Administration
 

Silver Spring MD 20993 


Warning Letter


VIA UPS MAIL

WL: 320-11-010

March 30, 2011


Mr. Grant Wu
Chairman
Ningbo Smart Pharmaceutical Co. Ltd.
#1 Yicheng Road, Xiaogang
Beilun District
Ningbo, China 315803


Dear Mr. Wu:


During our October 25-29, 2010 inspection of your active pharmaceutical ingredient (API) manufacturing facility, Ningbo Smart Pharmaceutical Co. Ltd. located at #1 Yicheng Road, Xiaogang, Beilun District, Ningbo, China 315803, an investigator from the Food and Drug Administration (FDA) identified significant deviations from Current Good Manufacturing Practice (CGMP) for the manufacture of APIs. These deviations cause your APIs 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 November 19, 2010, and note that it lacks sufficient corrective actions.


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


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


For example, your Quality Control Unit (QCU) approved the release of four (b)(4) USP batches (#(b)(4)) without data to support that the test for organic volatile impurities (OVI) met release specifications.


While your Certificates of Analysis state that OVI levels conformed to specifications, the inspection found that no testing was done.


It is essential that your firm only report results to customers when you have actually performed the analysis.

This serious CGMP deviation raises concerns regarding the reliability and integrity of other data generated by your firm. While we acknowledge the commitment in your November 19, 2010 response to improve the QCU, we remain concerned that your investigation is not comprehensive enough to determine the extent and impact of the problem. A review of the (b)(4) OVI records of batches that were not previously tested is not sufficient. In your response, provide a complete corrective action plan that includes a retrospective review of the analytical data and batch records for all products manufactured at your facility that remain within expiration. In addition, provide the actions taken to prevent recurrence of the problem. Your investigation should be expanded to all other products manufactured at this site and include the establishment of a comprehensive training program for analysts and QC personnel.
 

2. Failure of your QCU 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, the inspection revealed that your QCU released API lots to the U.S. without assuring that all required tests are performed. It is a basic responsibility of your QCU to ensure that all API lots produced meet specifications for quality and purity prior to being released. Your QCU also failed to detect that your COAs stated that OVI results conformed to specifications, although the test was not performed.


In addition to your failure to test (b)(4), USP, your QCU approved the release of (b)(4), USP batch # (b)(4) with no testing for OVI. This test is required under DMF (b)(4), submitted by your firm in 2005.


In your response, you stated that your former Head of Quality Control thought it was sufficient to test the organic volatile impurity in three (3) (b)(4) batches and then discontinue testing of future batches. We acknowledge that your firm has begun testing for organic volatile impurities.


Within fifteen (15) days of receipt of this letter please send us a list of all APIs (include lot numbers and dates) that were not tested. Also provide a copy of a complete investigation and retrospective review of all test results generated by your laboratory, and corrective actions to prevent recurrence.


Your response also indicates that you revised the procedure for releasing batches and trained the Quality Control and Quality Assurance personnel. Your response is inadequate in that it does not address the failure of your QCU to detect inaccurate reporting of laboratory results. It also lacks a description of any training program provided to prevent recurrence of the problem.


Please provide a comprehensive corrective action plan that describes your commitment, procedures, actions, and controls to ensure data integrity. This plan should include training to all managers, supervisors, and quality unit personnel in detecting data manipulation and questionable practices.


3. Failure to perform at least one identity test of each batch of incoming material.
 

For example, the starting material (b)(4) lot (b)(4), used for the production of (b)(4) USP, API lots (b)(4), was not tested for identity.


Please include a copy of your incoming raw material testing procedure and explain how your firm will assure all raw materials are tested prior to release for production in the future.


You are responsible for the accuracy and integrity of the data generated by your firm. A firm must maintain 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 released batch was tested and met release specifications. Appropriate record retention policies should also be in place. Our inspection reported that your firm has destroyed some old, but foundational records for your products. We recommend that your firm reconsider your record retention policy for application-related records. Should product quality or safety concerns arise in the future, the original records pertaining to batches listed in an application may be integral in providing reasonable assurances to the Agency regarding a product and integrity of data submitted to support it.


When destruction of documents is appropriate, you should follow a document destruction procedure that ensures documents are destroyed in a controlled manner. This would include, at a minimum, identification of the appropriate documents and retention timelines, documentation of what was destroyed, and the names and signatures of those who witnessed the destruction.


We recommend that you conduct a complete and extensive evaluation of your overall quality and manufacturing controls to ensure that all APIs manufactured at your facility meet the quality and purity characteristics they purport to possess. We highly recommend that you hire a third party auditor, with experience in detecting data integrity problems, who may assist you in evaluating your overall compliance with CGMP.


The deviations detailed 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 their recurrence 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 U.S. standards for CGMP and all applicable U.S. laws and regulations.


Additionally, your firm is neither registered nor has it listed every API in commercial distribution in the United States with FDA, as required by 21 C.F.R. § 207.40 and section 510(i) of the Act [21 U.S.C. § 360(i)]. The FDA investigators discussed this issue with you during the inspection. Your response did not address this issue. Information on how to register and list is available at the following internet website:
http://www.fda.gov/cder/drls/registration_listing.htm. You must complete the required registration and listing and provide evidence that you have fulfilled these requirements in your response to this letter.


Until all corrections have been completed and FDA has confirmed corrections of the deviations and your firm’s compliance with CGMP, FDA may withhold approval of any new applications or supplements listing your firm as an API manufacturer. In addition, failure to correct these deviations may result in FDA refusing admission of articles manufactured at Ningbo Smart Pharmaceutical Co. Ltd. located at #1 Yicheng Road, Xiaogang, Beilun District, Ningbo, China-315803 into the United States. The articles are 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 (b)(4) USP and (b)(4) USP, and provide the date(s) and reason(s) you ceased production. Please identify your response with FEI # 3003585759.


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

-

AloeElite 3/30/11

  

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

Public Health Service
Food and Drug Administration
 
Florida District
555 Winderley Place, Suite 200
Maitland, Florida 32751
Telephone: 407-475-4700
FAX: 407-475-4770 
 


 

 
CERTIFIED MAIL
RETURN RECEIPT REQUESTED
 
WARNING LETTER
FLA-11-23
March 30, 2011
 
Mr. Torrey Rozycki
President
Organic Ease, Inc. D.B.A. AloeElite
1844 N. Nob Hill Rd. #192
Plantation, FL 33322
 
Dear Mr. Rozycki:
 
This is to advise you that the Food and Drug Administration (FDA) has reviewed your website at the Internet address www.aloeelite.com in March 2011 and has determined that the product “AloeElite” is promoted for conditions that cause the product to be a drug under section 201(g)(1)(B) of the Federal Food, Drug, and Cosmetic Act (the Act) [21 U.S.C. § 321(g)(1)(B)].  The therapeutic claims on your website establish that the product is a drug because it is intended for use in the cure, mitigation, treatment, or prevention of disease. The marketing of the product with these claims violates the Act. You may find the Act and FDA regulations through links at FDA's home page at www.fda.gov.
 
Examples of some of the claims found on your website www.aloeelite.com include:
 
On your homepage, under the title “Frequently Asked Questions” about AloeElite, you list the following responses to the following questions:
 
What is AloeElite used for?
 
“Ulcerative Colitis, Crohn's Disease, Diverticulosis, Diverticulitis, Irritable Bowel Syndrome, Ulcers, Peptic Ulcer … Gastroenteritis … Hepatitis … Interstitial Cystitis, Nephritis … Celiac Disease, Fibromyalgia, Dermatosis … Lupus, Arthritis, Rheumatoid Arthritis”
 
How does AloeElite work?
 
“The main ingredient in AloeElite™ – Research has shown that Aloe Mucilaginous Polysaccharides have a remarkable ability to:
  • Work as a potent anti-inflammatory …
  • Provide powerful healing for many auto-immune disorders …
  • The aloe mucilaginous polysaccharides contain antibacterial, antiviral, antifungal, and antiparasitic properties”
 
Your www.aloeelite.com website also contains claims in the form of personal testimonials, located on your homepage under the title “Testimonials,” including:
                      
  • “After a year on Aloe Elite I was able to lower the dosage of my medication. I have now been symptom free of Crohn’s for a year.”
  • “After suffering 17 years with colitis and urgency to get to a public toilet, I found relief with the Aloe Elite Product.”
  • “I followed the instructions, took the suggested dosage, and within a month, my I.B.S. symptoms seemed to lesson [sic] to the point of not being noticeable about 95% of the time. … Now, after about a year of taking A.M.P., my I.B.S. symptoms are gone.” 
  • “For years … I have gone thru bouts of flareups of Ulcerative Colitis. No medication ever worked and the only relief was temporary …. Thanks to you [sic] wonderful product I am now off all of those costly medications. I am symptom free.”
 
In addition, we note that the facebook account at the internet site http://www.facebook.com/pages/AloeElite/102153884510#!/pages/AloeElite/102153884510?sk=info includes the following claim that can be accessed by clicking the “Info” tab on your account:
 
  • “AloeElite is an all-natural supplement used to treat moderate to severe digestive disorders such as Ulcerative Colitis, Crohn’s disease, IBS, diverticulitis, and a host of other conditions.”
 
Your product is not generally recognized as safe and effective for the above referenced uses and therefore, the product is a “new drug” under section 201(p) of the Act [21 U.S.C. § 321(p)]. New drugs may not be legally marketed in the U.S. without prior approval from FDA as described in section 505(a) of the Act [21 U.S.C. § 355(a)]. FDA approves a new drug on the basis of scientific data submitted by a drug sponsor to demonstrate that the drug is safe and effective.
 
Furthermore, your product, AloeElite, is misbranded within the meaning of section 502(f)(1) of the Act [21 U.S.C. § 352(f)(1)] because the product is offered for conditions that are not amenable to self-diagnosis and treatment by individuals who are not medical practitioners, therefore, adequate directions cannot be written so that a layperson can use the product safely for its intended uses. The introduction of a misbranded drug into interstate commerce is a violation of section 301(a) of the Act, [21 U.S.C. § 331(a)].
 
The above violations are not meant to be an all-inclusive list of deficiencies in your product and its labeling. The unlawful disease treatment and prevention claims on your website were too numerous to list in this letter. It is your responsibility to ensure that all products marketed by your firm comply with the Act and its implementing regulations. We advise you to review your websites, product labels, and other labeling and promotional materials for your products to ensure that the claims you make for your product do not cause them to violate the Act.
 
You should take prompt action to correct the violations described above and prevent their future recurrence. Failure to do so may result in enforcement action without further notice.  The Act authorizes the seizure of illegal products and injunctions against manufacturers and distributors of those products [21 U.S.C. §§ 332 and 334]. 
 
Please notify this office, in writing, within fifteen (15) working days from your receipt of this letter as to the specific steps you have taken to correct the violations noted above and to assure that similar violations do not occur. Your response should include any documentation necessary to show that correction has been achieved. If you cannot complete all corrections within fifteen days, please state the reason for the delay and the date by which the corrections will be completed.
 
Your written response should be directed to the U.S. Food and Drug Administration, Attn: Andrea H. Norwood, Compliance Officer, Florida District Office, 555 Winderley Place, Suite 200, Maitland, FL 32751. If you have any questions regarding any issues in this letter, please contact Andrea Norwood at 407-475-4724.
 
Sincerely,
/S/     
Emma R. Singleton
District Director
Florida District Office
 
-

Ningbo Smart Pharmaceutical Co. Ltd. 3/30/11

  

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

Public Health Service
Food and Drug Administration
 

Silver Spring MD 20993 


Warning Letter


VIA UPS MAIL

WL: 320-11-010

March 30, 2011


Mr. Grant Wu
Chairman
Ningbo Smart Pharmaceutical Co. Ltd.
#1 Yicheng Road, Xiaogang
Beilun District
Ningbo, China 315803


Dear Mr. Wu:


During our October 25-29, 2010 inspection of your active pharmaceutical ingredient (API) manufacturing facility, Ningbo Smart Pharmaceutical Co. Ltd. located at #1 Yicheng Road, Xiaogang, Beilun District, Ningbo, China 315803, an investigator from the Food and Drug Administration (FDA) identified significant deviations from Current Good Manufacturing Practice (CGMP) for the manufacture of APIs. These deviations cause your APIs 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 November 19, 2010, and note that it lacks sufficient corrective actions.


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


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


For example, your Quality Control Unit (QCU) approved the release of four (b)(4) USP batches (#(b)(4)) without data to support that the test for organic volatile impurities (OVI) met release specifications.


While your Certificates of Analysis state that OVI levels conformed to specifications, the inspection found that no testing was done.


It is essential that your firm only report results to customers when you have actually performed the analysis.

This serious CGMP deviation raises concerns regarding the reliability and integrity of other data generated by your firm. While we acknowledge the commitment in your November 19, 2010 response to improve the QCU, we remain concerned that your investigation is not comprehensive enough to determine the extent and impact of the problem. A review of the (b)(4) OVI records of batches that were not previously tested is not sufficient. In your response, provide a complete corrective action plan that includes a retrospective review of the analytical data and batch records for all products manufactured at your facility that remain within expiration. In addition, provide the actions taken to prevent recurrence of the problem. Your investigation should be expanded to all other products manufactured at this site and include the establishment of a comprehensive training program for analysts and QC personnel.
 

2. Failure of your QCU 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, the inspection revealed that your QCU released API lots to the U.S. without assuring that all required tests are performed. It is a basic responsibility of your QCU to ensure that all API lots produced meet specifications for quality and purity prior to being released. Your QCU also failed to detect that your COAs stated that OVI results conformed to specifications, although the test was not performed.


In addition to your failure to test (b)(4), USP, your QCU approved the release of (b)(4), USP batch # (b)(4) with no testing for OVI. This test is required under DMF (b)(4), submitted by your firm in 2005.


In your response, you stated that your former Head of Quality Control thought it was sufficient to test the organic volatile impurity in three (3) (b)(4) batches and then discontinue testing of future batches. We acknowledge that your firm has begun testing for organic volatile impurities.


Within fifteen (15) days of receipt of this letter please send us a list of all APIs (include lot numbers and dates) that were not tested. Also provide a copy of a complete investigation and retrospective review of all test results generated by your laboratory, and corrective actions to prevent recurrence.


Your response also indicates that you revised the procedure for releasing batches and trained the Quality Control and Quality Assurance personnel. Your response is inadequate in that it does not address the failure of your QCU to detect inaccurate reporting of laboratory results. It also lacks a description of any training program provided to prevent recurrence of the problem.


Please provide a comprehensive corrective action plan that describes your commitment, procedures, actions, and controls to ensure data integrity. This plan should include training to all managers, supervisors, and quality unit personnel in detecting data manipulation and questionable practices.


3. Failure to perform at least one identity test of each batch of incoming material.
 

For example, the starting material (b)(4) lot (b)(4), used for the production of (b)(4) USP, API lots (b)(4), was not tested for identity.


Please include a copy of your incoming raw material testing procedure and explain how your firm will assure all raw materials are tested prior to release for production in the future.


You are responsible for the accuracy and integrity of the data generated by your firm. A firm must maintain 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 released batch was tested and met release specifications. Appropriate record retention policies should also be in place. Our inspection reported that your firm has destroyed some old, but foundational records for your products. We recommend that your firm reconsider your record retention policy for application-related records. Should product quality or safety concerns arise in the future, the original records pertaining to batches listed in an application may be integral in providing reasonable assurances to the Agency regarding a product and integrity of data submitted to support it.


When destruction of documents is appropriate, you should follow a document destruction procedure that ensures documents are destroyed in a controlled manner. This would include, at a minimum, identification of the appropriate documents and retention timelines, documentation of what was destroyed, and the names and signatures of those who witnessed the destruction.


We recommend that you conduct a complete and extensive evaluation of your overall quality and manufacturing controls to ensure that all APIs manufactured at your facility meet the quality and purity characteristics they purport to possess. We highly recommend that you hire a third party auditor, with experience in detecting data integrity problems, who may assist you in evaluating your overall compliance with CGMP.


The deviations detailed 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 their recurrence 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 U.S. standards for CGMP and all applicable U.S. laws and regulations.


Additionally, your firm is neither registered nor has it listed every API in commercial distribution in the United States with FDA, as required by 21 C.F.R. § 207.40 and section 510(i) of the Act [21 U.S.C. § 360(i)]. The FDA investigators discussed this issue with you during the inspection. Your response did not address this issue. Information on how to register and list is available at the following internet website:
http://www.fda.gov/cder/drls/registration_listing.htm. You must complete the required registration and listing and provide evidence that you have fulfilled these requirements in your response to this letter.


Until all corrections have been completed and FDA has confirmed corrections of the deviations and your firm’s compliance with CGMP, FDA may withhold approval of any new applications or supplements listing your firm as an API manufacturer. In addition, failure to correct these deviations may result in FDA refusing admission of articles manufactured at Ningbo Smart Pharmaceutical Co. Ltd. located at #1 Yicheng Road, Xiaogang, Beilun District, Ningbo, China-315803 into the United States. The articles are 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 (b)(4) USP and (b)(4) USP, and provide the date(s) and reason(s) you ceased production. Please identify your response with FEI # 3003585759.


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

-

Tuesday, March 29, 2011

Sanuki Kanzume Co 3/29/11

  

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

Public Health Service
Food and Drug Administration
 

College Park, MD

MAR 29 2011


WARNING LETTER


VIA OVERNIGHT MAIL

Mr. Suga Wara Toshiuk
Head of the Factory
Sanuki Kanzume Co.
123 Kamiohno
Yurihonjyo-shi
Japan


Reference No.: 166492

Dear Mr. Toshiuk:

The U.S. Food and Drug Administration (FDA) inspected your low-acid canned food facility located at 123 Kamiohno, Yurijhonjyo-shi, Japan on November 18-19, 2010. During that inspection, we found that your firm had serious deviations from the low-acid canned food regulations (21 CFR Parts 108 and 113). Failure to comply with all of the mandatory requirements of 21 CFR 108.35 and 21 CFR Part 113 constitutes a basis for the immediate application of the emergency permit control provisions of Section 404 of the Act and particularly implementation of 21 CFR 108.25(j) for products offered for entry into the United States. In addition, such failure renders your low-acid canned food 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 canned food products are adulterated in that they have been prepared, packed or held under insanitary conditions whereby they may have been rendered injurious to health. You can find the Act and the acidified food regulations through links in FDA’s home page at http://www.fda.gov.

This inspection resulted in FDA’s issuance of an FDA-483, Inspectional Observations, at the conclusion of the inspection which listed the deviations found at your firm.  Your firm’s November 30, 2010 response to the FDA-483 did not adequately address all of these deviations.  We have the following remaining concerns with regard to your low-acid canned food products:

• Your firm failed to obtain substantiation by a qualified scientific authority as to the adequacy of any intentional change in a previously filed scheduled process as required by 21 CFR 108.35(c)(2)(ii). Specifically, your firm’s filed scheduled process for “Mushrooms Nameko (Whole) in Water Salt Added: Nameko Mizuni” (b)(4) size cans. You are currently processing (b)(4) which are not listed as an optional can size in your current process filing. You stated in your response that you will submit a revised process filing according to new heat penetration tests for this size can, but at this time, this revised process filing has not been received by FDA.  In addition, your revised process filing for this product should include venting times and temperatures which are critical factors for still retorts and must be recorded as required by 21 CFR 114.100(a)(1).

• Your firm failed to determine and record the initial temperature of the contents of the containers to be retorted to ensure that the temperature of the product is no lower than the minimum initial temperature specified in the scheduled process as required by 21 CFR 113.87(c).  Specifically, you do not measure the initial temperatures of your 301 x 407 cans of Nameko Mizuni mushrooms. Your response indicates that you will monitor the initial temperature of the containers, but you did not provide any processing records as written documentation to demonstrate your firm’s implementation of this new procedure.

• Your firm’s vertical still retorts failed to be equipped with a 1/16” or larger bleeder installed either within the retort shell or in a well attached to the shell as required by 21 CFR 113.40(a)(2). Your response indicates that you installed a 1/16” bleeder on November 26, 2010, but did provide any photo evidence to support this corrective action.

• Your firm failed to perform and record teardown examinations for double-seam cans enough containers from each seaming station to ensure maintenance of seam integrity as required by 21 CFR 113.60(a)(2). Specifically, your firm has a (b)(4). Your firm’s can seam teardown examination records show only one can from a single closing machine head examined during the can seam teardown examination. Your  response indicates that you will conduct teardown examinations of the double seam using one can from each seaming head and will record the results on your can seam teardown form, but you did not provide any copies of completed can seam teardown records as documented evidence.

• Your firm failed to chlorinate as necessary the container cooling water used in your cooling canals and recirculated water supplies as required by 21 CFR 113.60(b). Specifically, there were no records of chlorine content for the cooling water in your firm’s retort crate/can cooling tank and no detectable chlorine was found in the cooling tank when the chlorine level was measured on November 18, 2010.  Your response indicates that you will measure the chlorine content prior to the usage of the cooling tank, but you did not provide any copies of completed records as documented evidence.

In addition, your firm’s filed scheduled process for “Japanese Mushrooms (Whole) in Water” (b)(4) lists “Still Horizontal” for its retort processing method. Your firm informed our investigator that your firm never owned or (b)(4) in your facility and that your process authority used their (b)(4) to run the heat distribution study for this product. Therefore, your firm needs to revise this process filing based on a new heat distribution study conducted on your firm’s own (b)(4).

You should respond in writing within thirty (30) working days from your receipt of this letter. Your response should outline the specific things you are doing to further correct these violations. You should include in your response documentation that would assist us in evaluating your corrections. If you cannot complete all corrections within thirty (30) days, you should explain the reason for your delay and state when you will correct any remaining violations.

If you do not respond or if we find your response inadequate, we may take further action. For instance, we may take further action to refuse admission of your imported low-acid canned food products under Section 801(a) of the Act (21 U.S.C. §381(a)), including placing them on detention without physical examination (DWPE). FDA’s DWPE is an administrative procedure whereby products offered for import into the United States may be detained without physical examination upon entry. DWPE information may be conveyed in FDA’s Import Alerts.  For your information, an example of an Import Alert that conveys information specific to foreign firms that are not in compliance with the canned food regulations (21 CFR Part 108 and 113) is Import Alert #99-04. This alert can be found on FDA’s web site at: http://www.fda.gov/ForIndustry/ImportProgram/ImportAlerts/default.htm.

This letter may not list all the violations at your facility. You are responsible for ensuring that you firm operates in compliance with the Act, the low-acid canned food regulations (21 CFR Part 108 and 113), and the Current Good Manufacturing Practice regulation (21 CFR Part 110), and other applicable regulations. You also have a responsibility to use procedures to prevent further violations of the Federal Food, Drug, and Cosmetic Act and all applicable regulations.

Please send your reply to the U. S. Food and Drug Administration, Attention:  Robyn R. Jones, Consumer Safety Officer, Office of Compliance, Division of Enforcement, Manufacturing and Storage Adulteration Branch (HFS-607), 5100 Paint Branch Parkway, College Park, MD 20740 U.S.A.  If you have any questions regarding any issue in this letter, you may contact Ms. Jones at (301) 436-2575 or via email at robyn.jones@fda.hhs.gov.

 

Sincerely,

/s/

William A. Correll
Acting Director
Office of Compliance 
Center for Food Safety 
and Applied Nutrition 

 

 

-

Monday, March 28, 2011

Saw Palmetto Harvesting Co. 3/28/11

  

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

Public Health Service
Food and Drug Administration
 

Florida District
555 Winderley Place, Suite 200
Maitland, Florida 32751
Telephone: 407-475-4700
FAX: 407-475-4770 


CERTIFIED MAIL
RETURN RECEIPT REQUESTED


WARNING LETTER
FLA-11-22
March 28, 2011


Saw Palmetto Harvesting Co. (Corporate Office)
Mr. Gerald Walter Gettel, Owner
1969 310 Ave.
Lengby, MN 56651


Saw Palmetto Harvesting Co. (Processing Plant)
Mr. Gerald Walter Gettel, Owner
4000 Hwy 27
Frostproof, FL 33843


Re: FEI: 3006524173 (Corporate office)
     FEI: 3008550053 (Processing Plant)


Dear Mr. Gettel:


This is to advise you that the United States Food and Drug Administration (FDA) reviewed several websites owned by your firm, Saw Palmetto Harvesting Company, in October 2010. Based on our review of your websites at the Internet addresses www.sawpalmetto.com and www.redroosterpills.com. we have determined that the products "Saw Palmetto" and "Red Rooster Pills" are promoted for conditions that cause the products to be drugs under section 201(g)(1)(B) of the Federal Food, Drug, and Cosmetic Act (the Act) [21 U.S.C. § 321(g)(1)(B)]. The therapeutic claims on your websites establish that the products are drugs because they are intended for use in the cure, mitigation, treatment, or prevention of disease. The marketing of these products with these claims violates the Act.


Examples of some of the claims observed on your websites include:


www.sawpalmetto.com


• "Saw Palmetto ... is marketed to the general public mainly as a treatment for Benign Prostatic Hyperplasia or BPH."


• "Saw Palmetto clinical studies
 

A long-term study of 150 men with clinically diagnosed BPH and complaints of prostatic symptoms has demonstrated 'the long-term efficacy and tolerability of Permixon and support its use as a first-line medical therapy for uncomplicated symptomatic BPH.' Permixon is a brand of standardized saw palmetto ...."


www.redroosterpills.com


• "Natural Remedy for Erectile Dysfunction"


• "Red Rooster Pills, the leading Herbal Viagra Alternative"


• "Red Rooster Pills, the all natural viagra alternative brings us to the dawn of a new era. Men suffering from erectile dysfunction, impotence ... no longer have to go untreated."


Your products "Saw Palmetto" and "Red Rooster Pills" are not generally recognized as safe and effective for the above referenced uses and therefore, the products are "new drugs" under section 201(p)(1) of the Act [21 U.S.C. § 321(p)(1)]. New drugs may not be legally marketed in the U.S. without prior approval from FDA as described in section 505(a) of the Act [21 U.S.C. § 355(a)]. FDA approves a new drug on the basis of scientific data submitted by a drug sponsor to demonstrate that the drug is safe and effective.


Furthermore, because your products are offered for conditions that are not amenable to self-diagnosis and treatment by individuals who are not medical practitioners, adequate directions cannot be written so that a layman can use the products safely for their intended uses. Thus, the labeling of these products fails to bear adequate directions for their intended uses, causing the products to be misbranded under section 502(f)(1) of the Act [21 U.S.C. § 352(f)(1)]. The introduction of a misbranded drug into interstate commerce is a violation of section 301(a) of the Act [21 U.S.C. § 331(a)].


The above violations are not meant to be an all-inclusive list of deficiencies in your products and their labeling. While reviewing your website, we noticed that it contained links to multiple other websites on which you promote other products for disease treatment and/or prevention. The unlawful disease treatment and prevention claims on your websites were too numerous to list in this letter. It is your responsibility to ensure that products marketed by your firm comply with the Act and its implementing regulations. We advise you to review your websites, product labels, and other labeling and promotional materials for your products to ensure that the claims you make for your products do not cause them to violate the Act.


You should take prompt action to correct the violations described above and prevent their future recurrence. Failure to do so may result in enforcement action without further notice. The Act authorizes the seizure of illegal products and injunctions against manufacturers and distributors of those products [21 U.S.C. §§ 332 and 334].


Please notify this office, in writing, within fifteen (15) working days of the receipt of this letter, as to the specific steps you have taken to correct the violations noted above and to assure that similar violations do not occur in the future. Include any documentation necessary to show that correction has been achieved. If corrective actions cannot be completed within fifteen working days, state the reason for the delay and the time within which the corrections will be completed. If you need additional information or have questions concerning any products distributed through your websites, please contact Carla Norris in writing at 555 Winderley Place, Suite 200, Maitland Florida 32751, or via telephone at (407) 475-4730.


Sincerely,
/S/

Emma R. Singleton
Director, Florida District
 

-

Philips Medical Systems 3/28/11

  

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

Public Health Service
Food and Drug Administration
 

Seattle District
Pacific Region
22201 23rd Drive SE
Bothell, WA 98021-4421 
Telephone: 425-486-8788
FAX: 425-483-4996

March 28, 2011

CERTIFIED MAIL
RETURN RECEIPT REQUESTED

In reply refer to Warning Letter SEA 11-07 - Amended

Mr. Kevin P. Maguire
General Manager
Philips Medical Systems
2301 5th Avenue, Suite 200
Seattle, Washington  98121

AMENDED WARNING LETTER

Dear Mr. Maguire:

We are amending our Warning Letter of March 22, 2011, to correct typographical errors, including three errors with device names, and are re-issuing the letter with a March 28, 2011, date. Your expected date of response is now extended to fifteen working days from your receipt of this letter.

During an inspection of your firm located in Seattle, Washington, April 5, 2010, through August 9, 2010, investigators from the United States Food and Drug Administration (FDA) determined that your firm manufactures the HeartStart, FRx, FR2+, and HS1 lines of Automated External Defibrillators (AED).  Under section 201(h) of the Federal Food, Drug, and Cosmetic Act (the Act), 21 U.S.C. § 321(h), these products are devices because they are intended for use in the diagnosis of disease or other conditions or in the cure, mitigation, treatment, or prevention of disease, or are intended to affect the structure or function of the body.

This inspection revealed that these devices are adulterated within the meaning of 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, their manufacture, packing, storage, or installation are not in conformity with the Current Good Manufacturing Practice (CGMP) requirements of the Quality System (QS) regulation found at Title 21, Code of Federal Regulations (CFR), Part 820.  We received responses from Daniel Donnelly Director, Quality and Regulatory Affairs, dated August 30, 2010, and October 21, 2010, concerning our investigators’ observations noted on the Form FDA 483, List of Inspectional Observations, that was issued to you.  We address these responses below, in relation to each of the noted violations.  These violations include, but are not limited to, the following:

1. Failure to adequately verify or validate that the corrective and preventive action is effective and does not adversely affect the finished device, as required by 21 CFR 820.100(a)(4).  For example, there have been 87 complaints received since January 2008 including one death (Complaint C08-005865 received August 13, 2008) for magnets detached or missing from the handle of HS1 AED Pads Cartridges.  Four CAPAs have been opened for this issue including 06032, opened January 7, 2003; 06050, opened March 31, 2003;  06164 opened November 21, 2003;  and CMS00604A opened October 14, 2008.  Two design changes to address the detached or missing magnets were documented under DCRA 3794, signed December 7, 2004, and DCRA 6744, signed September 16, 2009.  In DCRA 3794 and 6744, design changes were approved, but no validation or verification activity evaluating the effectiveness of the corrective action was performed or documented.

We have reviewed your responses and have concluded that they are inadequate because they do not address the quality system observation indicating that no evaluation of the effectiveness of the corrective action was performed or documented.  While your firm indicated that the CAPA you initiated concluded that no patient harm was likely, there are documented complaints and additional CAPAs indicating that the original corrective actions were not effective and that the required validation or verification for the corrective actions was not performed.

2. Failure to adequately implement changes in methods and procedures needed to correct and prevent identified quality problems, as required by 21 CFR 820.100(a)(5).  For example, complaint C09-006790 received on August 4, 2009, involved a death due to failure of an FR2 AED to operate during an attempted rescue.  The FR2 AED had previously failed self-tests five times which were cleared by the customer with Battery Insertion Tests (BIT). CAPA CMS-00882A, dated October 22, 2009, was opened to address the failure of the FR2 AED labeling to instruct users to contact Philips for service following self-test failures cleared with a BIT.  As of August 9, 2010, no corrective actions had been conducted.

We have reviewed your responses and have concluded that they are inadequate because your firm indicated that it has implemented two process related changes to limit this type of event; (1) the Customer Service process will be changed to require customer service to inquire about and examine the device history at the time of a call, and (2) the Complaint Investigation process will be changed to encourage the investigator to consider the service history of the device, particularly when dealing with an intermittent or difficult to recreate problem.  The process changes can not be adequately assessed at this time, because your firm has not provided any evidence of implementation of these changes. Your firm has also indicated that they are evaluating changes to the Instructions For Use that would cause users to respond more consistently to repeat self test warnings. Your firm detailed in your August 30, 2010, response that the decision on the evaluation would be reported in the next response update, but no additional information was provided in the October 21, 2010, response.

3. Failure to perform adequate design validation in order to ensure that the device conforms to user needs and intended uses, as required by 21 CFR 820.30(g). For example, the investigators noted three separate instances where field complaints resulted due to failures in components due to moisture ingress in high humidity environments.  Specifically, the (b)(4) Real Time Clock Integrated Circuit (CAPA 06287); the High Voltage (HV) capacitor; and the (b)(4) resistors (CAPA 06356) had 16, 42, and 325 complaints, respectively, due to humidity failure. The protocol, H99027- Operating Temperature and Humidity & Transportation/Shipping, which detailed the device humidity qualification, was conducted at (b)(4)% RH while the unit is rated for operating specifications of 95% RH and 75% RH for standby operation. 

We have reviewed your responses and have concluded that they are inadequate because your firm has not addressed the issue of whether the correct operating conditions for these units were identified and if the final device validation activities were adequate for the intended use environment.  No information was provided to indicate how testing performed on the final units provided an adequate representation or an accelerated modeling of the units “real world” operating conditions.

4. Failure to validate an automated data processing system used as part of the quality system, as required by 21 CFR 820.70(i). 

For example:

a. The CPRPlus database used from 2006 to the present to track AEDs and conduct audits of tracked AEDs was not validated. 
b. The Customer Issues and Complaint Handling Database (CIA) used to record customer issues, store complaint data, and trend and report quality data allows entry of Class "0" complaints although a complaint classification of "0" is not defined in the Customer Field Issues and Product Return System SOP, P01046.

We have reviewed your responses and have concluded that they are inadequate because your firm has indicated in your responses that you have taken inventory of all tools and are in the process of determining which tools would be in continued use and which tools would be retired. The responses provided to date do not address corrective actions for the lack of validation of the CPRPlus database. The responses provided to date also do not address the deficiencies observed with the Customer Issues and Complaint Handling Database or discuss any additional corrective actions your firm plans to take to address this issue.

5. Failure to adequately document corrective and preventive actions and their results, as required by 21 CFR 820.100(b).

For example:

a. Compliance Conclusions were not documented per SOP P04012, Rev. E, Health Hazard Evaluation Process, on Form 0114 Rev C for CAPA 06287 or CAPA 06374, which were signed and closed on August 15, 2008, and February 17, 2010, respectively.
b. Compliance Conclusions were not documented per SOP P04012, Rev. F, Health Hazard Evaluation Process, effective October 30, 2009, on Form 114 Rev C, dated February 17, 2010, CAPA Investigation and Health Hazard Evaluation, for CAPA 06374.
c. Form 0121, Initial Post Market Risk Analysis and CAPA Determination, is required per SOP P010604, Product Issue Investigation, Rev. D.  As of August 9, 2010, Form 0121 was not documented for investigations CMS-00914A (dated December 9, 2009), CMS-00908A (dated December 8, 2009), CMS-00920A (dated December 8, 2009), and CMS-00923A (dated January 11, 2010).

We have reviewed your responses and have concluded that they are inadequate because your firm has indicated in your responses that the systems inspected, including the CAPA system, were difficult to follow and overly complex.  A Quality System remediation program has been established and the CAPA system is under review with a schedule for implementing the revised CAPA system prior to October 29, 2010.  The response dated October 21, 2010, indicates and provides documentation regarding several CAPA procedure changes, but there is no indication as to how those changes will prevent the recurrence of the deficiencies observed.

6. Failure to adequately ensure that complaints are processed and evaluated in a timely manner, as well as evaluated to determine whether the complaint represents an event which is required to be reported to FDA under Part 803, as required by 21 CFR 820.198(a).  For example, the SMART CPR Study initiated at the (b)(4), indicated in the protocol signed on August 1, 2007, that P01046, Complaint and Service Return and Product Return System, was to be followed for any Serious Occurrence Reports or issues that occurred during the study.  Serious Occurrence Reports were filed with Philips Medical Systems including Complaints C09-006562, C09-006571, and C09-006575 which were not entered into the complaint handling system until over a year after the customer issues were received. Additionally, these complaints were not evaluated for MDR reportability.

Your response to this observation appears to be adequate. 

7. Failure to adequately ensure that when an investigation into a complaint is made, the record of the investigation shall include any device identification and control numbers used, as required by 21 CFR 820.198(e)(3). 

For example:

a) Complaint C09-007219, received December 18, 2009, documented a complaint that the battery did not fit into an HS1 AED and the device was running self-tests each time it was bumped.  The battery lot number was not included in the information collected for the investigation.
b) Complaint C10-007296, received January 13, 2010, documented a complaint of a death associated with an FR2 AED failing to shock pulseless ventricular tachycardia. The serial number for the FR2 AED was not in the information collected for the investigation.
c) Complaint C10-007455, received March 12, 2010, documented a complaint that an FR2 AED failed to shock pulseless ventricular tachycardia.  The serial number for the FR2 AED was not in the information collected for the investigation.
d) Support ID 40514, received on October 31, 2008, was documented as complaint C10-007744 for an HS1 AED pads cartridge that failed out-of-pouch due to either a missing magnet or poor connection. The lot code for the pads cartridge and the serial number of the HS1 AED were not in the information collected for the investigation.

Your response to this observation appears to be adequate. 

Our inspection also revealed that your devices are misbranded under section 502(t)(2) of the Act, 21 U.S.C. § 352(t)(2), in that your firm failed or refused to furnish material or information respecting the device that is required by or under section 519 of the Act, 21 U.S.C. § 360i, and 21 CFR Part 803 - Medical Device Reporting (MDR) regulation.  Significant deviations include, but are not limited to, the following:

1. Failure to report to the FDA no later than 30 calendar days after the day you became aware of information that reasonably suggests that your device may have caused or contributed to a death or serious injury, as required by 21 CFR 803.50(a)(1). For example, the following MDRs were submitted to the FDA later than 30 days after the day you became aware of information that reasonably suggests that your device may have caused or contributed to a patient’s death:

• MDR 3030677-2010-00050 for Complaint C10-007327;
• MDR 3030677-2009-0008 for Complaint C08-006146;
• MDR 3030677-2009-0010 for Complaint C09-006315;
• MDR 3030677-2009-00033 for Complaint C09-006575;
• MDR 3030677-2009-00030 for Complaint C09-006571;
• MDR 3030677-2009-00021 for Complaint C09-006562; and
• MDR 3030677-2009-00016 for Complaint C09-006555.

2. Failure to properly identify, in Block H1 of the FDA Form 3500A, the type of reportable event, as required by 21 CFR 803.52(f)(1).  For example, the following MDRs indicate “Other” as the type of reportable event when they should have indicated “Death”.

• MDR 3030677-2010-00003 for Complaint C08-005774;
• MDR 3030677-2009-00087 for Complaint C08-005610;
• MDR 3030677-2009-0049 for Complaint C09-006875;
• MDR 3030677-2009-00016 for Complaint C09-006555;
• MDR 3030677-2009-00021 for Complaint C09-006562;
• MDR 3030677-2009-00033 for Complaint C09-00675; and
• MDR 3030677-2009-00030 for Complaint C09-006571.

3. Failure to have an adequate MDR procedure establishing internal systems that provide for timely and effective identification, communication, and evaluation of events that may be subject to MDR requirements, a standardized review process or procedure for determining when an event meets the criteria for reporting, and timely transmission of complete medical device reports to us, as required by 21 CFR 803.17(a).  For example, Section 3.1 of your procedure defines “becomes aware.”  Your definition of becoming aware is limited to managers, supervisors, or employees whose duties relate to collection and reporting of adverse events.  This can lead to under reporting and/or late reporting of MDR reportable events.  Please revise your definition of “becomes aware” to be consistent with 21 CFR 803.3.

You should also clarify in your procedure that, regardless of whether or not the device was in use at the time of the event, the aware date is the date when any employee acquires information that reasonably suggests that a reportable adverse event has occurred.

Additionally, the inspection revealed that your AED devices are misbranded within the meaning of section 502(t)(2) of the Act, 21 U.S.C. § 352(t)(2), in that your firm failed or refused to furnish material or information respecting the device that is required by or under section 519(e) of the Act, 21 U.S.C. § 360e and 21 CFR Part 821 – Medical Device Tracking Requirements.  Significant deviations include, but are not limited to, the following:

1. Failure to establish and maintain adequate procedures for the collection, maintenance, and auditing of the data indicated for tracked devices, as required by 21 CFR 821.25(c).  For example, the CPRPlus database used for collection, maintenance and auditing of device tracking information does not have an established operating procedure.

Your response to this observation appears to be adequate. 

2. Failure to establish and maintain adequate procedures for recording when data, which is required under 21 CFR 821.25, is missing and could not be collected and the reason why such required data is missing and could not be collected, as required by 21 CFR 821.25(c)(1).  For example, the Device Tracking Procedure SOP P01054, Rev. K, effective July 28, 2006, does not require an explanation of why device tracking information is missing.

Your response to this observation appears to be adequate. 

3. Failure to establish and maintain adequate procedures for a quality assurance program that includes an audit procedure to be run for each device product subject to tracking, at not less than 6-month intervals for the first 3 years of distribution and at least once a year thereafter. This audit procedure shall provide for statistically relevant sampling of the data collected to ensure the accuracy of data and performance testing of the functioning of the tracking system as required by 21 CFR 821.25(c)(3). 

For example:

a. Device Tracking audits were not conducted at least yearly. The last tracking audit was conducted in March 2009 and a device tracking audit was not conducted between August 2007 and December 2008. 
b. The sampling plan for the 2009 Device Tracking Audit conducted December 2008 through March 2009 was not representative of distributed AEDs.  The audited AEDs were sampled from Complaint/Service returns over a three year time span (2006, 2007, and 2008) rather than from all AEDs in distribution. No rationale was provided as to why the 3 year sampling was a statistically relevant representation of the tracking system.

Your response to this observation appears to be adequate. 

A follow up inspection will be required to assure that corrections are adequate.  We will contact you to arrange a mutually convenient establishment re-inspection.

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 QS 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. 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 - Please submit by September 22, 2011.

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.

Your response should be sent to Lisa M. Althar, Compliance Officer, Food and Drug Administration, 22201 23rd Drive Southeast, Bothell, Washington 98021. If you have any questions about the content of this letter please contact Ms. Althar at (425) 483-4940.
 
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 the FDA. The specific violations noted in this letter and in the Form FDA 483, List of Inspectional Observations, 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 violations and to bring your products into compliance.  

Sincerely yours,
     
/s/

Charles M. Breen
District Director

-

Lena's Lefse, Inc. 3/28/11

  

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

Public Health Service
Food and Drug Administration
 

Minneapolis District Office
Central Region
250 Marquette Avenue, Suite 600
Minneapolis, MN 55401
Telephone: (612) 334-4100
FAX: (612) 334-4142 


March 28, 2011


WARNING LETTER


CERTIFIED MAIL
RETURN RECEIPT REQUESTED

Refer to MIN 11 - 19

Douglas T. Lindsay
Susan Lindsay
Co-owners
Lena's Lefse, Inc.
325 First Street SW, P.O. Box 328
Ulen, Minnesota 56585-0328


Dear Mr. and Ms. Lindsay:


FDA conducted an inspection of your food manufacturing facility located at 3212 Highway 32 South, Ulen, Minnesota, on October 29-November 2, 2010. During the inspection our investigators collected samples of your "Lena's Lefse" product label. Our review of this product label reveals that your Lena's Lefse product is misbranded within the meaning of section 403 of the Federal Food, Drug and Cosmetic Act (the Act), 21 U.S.C. § 343. You may find the Act and related regulations through links on FDA's home page at www.fda.gov.


Specifically, your Lena's Lefse product is misbranded within the meaning of section 403(w) of the Act, 21 U.S.C. § 343(w), in that its label fails to declare the presence of wheat, a major food allergen present in the product, as required by section 403(w)(1) of the Act.


Section 201(qq) of the Act, 21 U.S.C. § 321(qq) defines as "major food allergens" milk, egg, fish, Crustacean shellfish, tree nuts, wheat, peanuts, and soybeans, as well as any food ingredient that contains protein derived from one of these foods, with the exception of highly refined oils. A food is misbranded if it is not a raw agricultural commodity and it is, or it contains an ingredient that bears or contains, a major food allergen unless either:


• The word "Contains," followed by the name of the food source from which the major food allergen is derived, is printed immediately after or adjacent to the list of ingredients, section 403(w)(1)(A) of the Act, 21 U.S.C. § 343(w)(1)(A), or
 

• The common or usual name of the major food allergen in the list of ingredients is followed in parentheses by the name of the food source from which the major food allergen is derived (e.g., "flour (wheat)"), except that the name of the food source is not required when either the common or usual name of the ingredient uses the name of the food source or the name of the food source appears elsewhere in the ingredient list (unless the name of the food source that appears elsewhere in the ingredient list appears as part of the name of an ingredient that is not a major food allergen), section 403(w)(1)(B) of the Act, 21 U.S.C. § 343(w)(1)(B).


The product label for your Lena's Lefse product declares as an ingredient bleached enriched flour. Enriched flour contains wheat. However, your product label does not declare the presence of wheat, which is a major food allergen.


This letter is not meant to be an all-inclusive list of violations that may exist at your facility or in your product labeling. It is your responsibility to ensure that your establishment is in compliance with the Act and all applicable Federal regulations.


You should take prompt action to correct all of the violations noted in this letter. Failure to promptly correct these violations may result in additional regulatory action without further notice, such as seizure and/ or injunction.


We also have the following comments regarding your Lena's Lefse product label:


1. The label fails to declare the product ingredients that contain two or more ingredients in accordance with Title 21, Code of Federal Regulations (21 CFR) 101.4(b)(2). For example:


• The label declares as an ingredient "bleached enriched flour" and lists the following component ingredients in accordance with 21 CFR 101.4(b)(2)(i): malted barley, flour, niacin, iron, thiamine, mononitrate, riboflavin, and folic acid. However, the product label for the bleached enriched flour used in your Lena's Lefse product declares several ingredients (bleached wheat flour and potassium bromate) that are not declared on your label.


• The label also declares soybean oil as an ingredient. However, you informed our investigators that the product actually contains shortening. The product label for the shortening declares as its ingredients partially hydrogenated soybean and cottonseed oils. To comply with 21 CFR 101.4(b)(2), the Lena's Lefse product label should declare all of these component ingredients.


The requirement to list these component ingredients (or "subingredients") may be met by either parenthetically listing the component ingredients after the common or usual name of the main ingredient, or by listing the component ingredients without listing the ingredient itself. 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, 21 CFR 101.4(b)(2).
 

2. In accordance with 21 CFR 101.105(f), the net weight declaration must be placed within the bottom 30 percent of the principal display panel.


You should notify this office in writing within 15 working days of receipt of this letter of any steps you have taken or will take to correct the noted violations and to prevent their recurrence. If corrective actions cannot be completed within 15 working days, state the reason for the delay and the time within which the corrections will be completed.


Your reply should be directed to Compliance Officer Tyra S. Wisecup at the address indicated on the letterhead.


Sincerely,
/S/
Gerald J. Berg
Director
Minneapolis District

-

Drake Dairy, Inc. 3/28/11

  

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

Public Health Service
Food and Drug Administration
 
Minneapolis District Office
Central Region
250 Marquette Avenue, Suite 600
Minneapolis, MN 55401
Telephone: (612) 334-4100
FAX: (612) 334-4142

 

March 28, 2011
 
 
WARNING LETTER
 
 
CERTIFIED MAIL
RETURN RECEIPT REQUESTED                           Refer to MIN 11 - 18
 
 
James B. Drake
President and Co-owner
Drake Dairy, Inc.
N8870 Drake Court
Elkhart Lake, Wisconsin 53020
 
Dear Mr. Drake:
 
On January 25 and February 14, 2011, the Food and Drug Administration (FDA) conducted an investigation of your dairy operation located at N8870 Drake Court, Elkhart Lake, Wisconsin. This letter notifies you of violations of the Federal Food, Drug, and Cosmetic Act (the Act) that we found during our investigation of your operation.  You can find the Act and its associated regulations on the Internet through links on FDA’s web page at www.fda.gov.
 
We found that you offered for sale an animal for slaughter as food that was adulterated. Under section 402(a)(2)(C)(ii) of the Act, 21 U.S.C. § 342(a)(2)(C)(ii), a food is deemed to be adulterated if it bears or contains a new animal drug that is unsafe under section 512 of the Act, 21 U.S.C. § 360b. Further, under section 402(a)(4) of the Act, 21 U.S.C. § 342(a)(4), a food is deemed to be adulterated if it has been held under insanitary conditions whereby it may have been rendered injurious to health.
 
Specifically, our investigation revealed that on or about September 17, 2010, you consigned (b)(4) to haul your dairy cow (ear tag# (b)(4) indentified with back tag # (b)(4) for slaughter as food. On or about September 17, 2010, (b)(4) slaughtered this animal. United States Department of Agriculture, Food Safety and Inspection Service (USDA/FSIS) analysis of tissue samples collected from this animal identified the presence of ampicillin at 0.33 parts per million (ppm) in kidney. The FDA has established a tolerance of 0.01 ppm for ampicillin in the uncooked edible tissues of cattle as codified in Title 21, Code of Federal Regulations, section 556.40, 21 CFR 556.40.  The presence of this drug in edible tissue from this animal in this amount causes the food to be adulterated within the meaning of section 402(a)(2)(C)(ii) of the Act, 21 U.S.C. § 342(a)(2)(C)(ii). 
 
Our investigation also found that you hold animals under conditions that are so inadequate that medicated animals bearing potentially harmful drug residues are likely to enter the food supply.  For example, you failed to have an effective system to control administration of drug treatments to your animals. Herdsmen have been authorized to administer drugs; but they failed to relay treatment information to the herd manager. You also failed to maintain complete treatment records that include the drug, dosage, route of administration, and withholding period to ensure that treated cattle are not culled before labeled meat and milk withhold times are met. Food from animals held under such conditions is adulterated within the meaning of section 402(a)(4) of the Act, 21 U.S.C. § 342(a)(4).
 
In addition to the above violation, we are concerned that USDA/FSIS identified another recent tissue residue associated with your dairy operation. Illegal levels of ampicillin and flunixin were found on October 20, 2009, in your dairy cow with ear tag #(b)(4) (back tag (b)(4).
 
The above is not intended to be an all-inclusive list of violations.  As a producer of animals offered for use as food, you are responsible for ensuring that your overall operation and the food you distribute are in compliance with the law.
 
You should take prompt action to correct the violations described in this letter and to establish procedures to ensure that these violations do not recur.  Failure to do so may result in regulatory action without further notice such as seizure and/or injunction.
 
We received an unsigned letter dated October 26, 2010, from Drake Dairy. The letter was post-marked February 17, 2011, and received in our office on February 22, 2011. The letter states that you have taken steps to help ensure that drug residue violations will not happen in the future. You made changes in your treatment protocols and record keeping, established a new communication system between the Herdsman and the Herd Manager, and are now entering all treatments into the (b)(4) computer system. We consider these to be necessary and appropriate corrective actions. However, your letter did not provide documentation that corrections have been implemented. Within 15 working days of receiving this letter, please provide our office with further documentation to substantiate your corrections. For example, provide copies of a representative sample of treatment records and any other records demonstrating that corrections have been made.
 
Your written response should be sent to Timothy G. Philips, Compliance Officer, Food and Drug Administration, at the address located on the letterhead. If you have any questions about this letter, please contact Mr. Philips at (612) 758-7133.
 
Sincerely,
/S/
Gerald J. Berg
Director
Minneapolis District

 

-

ARC Medical Supplies (Beijing) Co., Ltd. 3/28/11

  

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

Public Health Service
Food and Drug Administration
 

10903 New Hampshire Avenue
Silver Spring, MD 20993
 

MAR 28 2011

WARNING LETTER


VIA UNITED PARCEL SERVICE
 
Mr. Anchie Kuo, M.D.
Chief Executive Officer
ARC Medical Supplies (Beijing) Co., Ltd.
66 Qian Ban Bi Jie
Xizhimen Nei Beijing
Beijing, China 100035

Dear Dr. Kuo:

During an inspection of your firm located in Beijing, China on December 6, 2010, through December 14, 2010, an investigator from the United States Food and Drug Administration (FDA) determined that your firm manufactures surgical sutures for human and veterinary use.  Under section 201(h) of the Federal Food, Drug, and Cosmetic Act (the Act), 21 U.S.C. § 321(h), these products are devices because they are intended for use in the diagnosis of disease or other conditions or in the cure, mitigation, treatment, or prevention of disease, or are intended to affect the structure or function of the body.

This inspection revealed that these devices are adulterated within the meaning of 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, their manufacture, packing, storage, or installation are not in conformity with the current good manufacturing practice (CGMP) requirements of the Quality System (QS) regulation found at Title 21, Code of Federal Regulations (CFR), Part 820.

We received a response from you dated December 27, 2010, concerning our investigator’s observations noted on the Form FDA 483, List of Inspectional Observations, that was issued to you. We address this response below, in relation to each of the noted violations. These violations include, but are not limited to, the following:

1.  Failure to adequately ensure that when the results of a process cannot be fully verified by subsequent inspection and test that the process shall be validated with a high degree of assurance and approved according to established procedure, as required by 21 CFR 820.75(a).  

For example: 

a. There was no documentation available to demonstrate that the validation reports for ethylene oxide and gamma irradiation sterilization processes have been approved for use by management. 
b. Storage conditions were not defined or monitored for the chemical indicators used in the Ethylene Oxide validation study as well as routine processing. 
c. The time and temperature specifications used to incubate the biological indicators to determine growth of microorganisms, were not adequately defined. For instance, there was no documentation that the (b)(4) biological indicators (BI) were incubated for  (b)(4) hours and there was no justification for using a temperature range for incubating BI that differed from the recommended temperature of the BI manufacturer.   

We reviewed your response and concluded that it is not adequate because there is insufficient information to ensure that the sterilization processes were appropriately validated and that a systemic corrective action has been implemented. You stated that you do sterility tests on (b)(4) batch sterilized by gamma irradiation or by the Ethylene Oxide process, however, there is no information provided on the process parameters that will be used during the sterilization process. For instance, your response does not address if a minimum and maximum dose will be established for gamma radiation. Additionally, there is insufficient information provided to ensure that sterility testing by itself is an acceptable method of ensuring that the sterilization processes have been validated and that there is no information to ensure that the sample sizes used for the sterility testing are based on statistical rationale.   

Additionally, your response reveals that temperature storage controls have not been established. Your response states that the vendor of the chemical indicator has not responded to your request of the storage temperature range recommendations of “ (b)(4).”  You stated that you will either receive an appropriate response or change suppliers to one that can give an accurate temperature range that your firm can monitor. 

2. Failure to develop, conduct, control and monitor production processes to ensure that a device conforms to its specifications, as required by 21 CFR 820.70(a). Where deviations from device specifications could occur as a result of the manufacturing process, the manufacturer shall establish and maintain process control procedures that describe any process controls necessary to ensure conformance to specifications.  

For example:

a. There is no documentation provided by the contract sterilizer, (b)(4), to ensure that the dose delivered during the sterilization process of the sutures was within the minimum and maximum doses.  Instead, sterility testing is conducted.  The contract sterilizer only provides certification (b)(4) in order to document the sterilization dose delivered for (b)(4) of the sterilization lots. 

Your response did not address this observation since it was supported from the information provided in the EIR.

3. Failure to establish and maintain schedules for the adjustment, cleaning, and other maintenance of equipment to ensure that manufacturing specifications are met and maintenance activities, including the date and individuals performing the maintenance, shall be documented, as required by 21 CFR 820.70(g)(1).  For example:

a. There is no documentation of monitoring or maintenance activity for the  (b)(4) hood which is used to prepare microbiological samples, nor is there a procedure to ensure that the monitoring process is adequate to ensure proper operation. 

b. SOP-JZ034 section 4.7, Operating Bacterial Testing Procedure, requires (b)(4) inspection of the operating temperature of the incubator when microbiological samples are being incubated. These  (b)(4)  inspections are not documented.

We reviewed your response and concluded that it is not adequate because the systemic corrective action is not addressed.  Although a new operating instruction SOP-JZ019 (Operating Hood Cleaning Instructions) has been established, there is no information provided on why the maintenance activities were not established originally and what corrective actions have been incorporated to prevent this type of activity from occurring again.  Your response also includes a new form to be used by the operator to record temperature of the incubator, however there is no indication that you evaluated other areas of your quality system to ensure other activities that require documentation are being documented. 

4. Failure to establish and maintain adequate procedures to control all documents that are required by this part (21 CFR 820), as required by 21 CFR 820.40.  For example, SOP010 (SOP Control of Manufacturing Process) version 1.0 states that the Quality Manual will be reviewed by the management team and approved by the general manager and that quality brochures are approved by the operating manager. However, no individuals were identified with the responsibility for approving the standard operating procedures.  Thirty-two standard operating procedures were reviewed but not signed as approved and these procedures were released for use by employees.

We reviewed your response and determined that it is not adequate since it does not describe the systemic corrective action to prevent the recurrence of the quality problems. Your response stated that the procedure in question is SOP001 version 1.0 and not SOP 010 version 1.0 and that document control procedures have been put in place that designate who should review and approve standard procedures and operating instructions.  The change to the procedure was submitted for our review.  Additionally, you provided information that you reviewed and approved the 32 procedures and provided one of the coversheets as an example, which was approved on December 9, 2010.  However, the actions taken to ensure this type of document control deficiency does not occur again is not discussed in the response.

5. Failure to identify by suitable means the acceptance status of product, to indicate the conformance or nonconformance of product with acceptance criteria.  The identification of acceptance status shall be maintained throughout manufacturing, packaging, labeling, installation, and servicing of the product to ensure that only product which has passed the required acceptance activities is distributed, used, or installed, as required by 21 CFR 820.86.  For example, there is no documentation by whom or when the excess raw material and material that may not have met specifications had been removed from the production area, such as the quantity of the needles and the sutures not used for 3 of the (b)(4) device history records.

We reviewed your response and concluded that it is not adequate because it only addresses the revised procedure and the “Raw Material Control Form.”  There is no information provided that systemic corrective action has been implemented. 

A follow up inspection will be required to assure that corrections and/or corrective actions are adequate.  

U.S. 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.

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 timeframe within which the corrections will be completed. Please provide a translation of documentation not in English to facilitate our review.

Your response should be sent to: Allen T. Wynn, USA FDA, CDRH-WO66, Rm. 2614, 10903 New Hampshire Ave., Silver Spring, MD 20993. If you have any questions about the content of this letter please contact: Wayne Q. Miller at 301-796-5770 or 301-847-8137.

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 violations and to bring your products into compliance.  

Sincerely yours,
                                                           
/s/

  
Steven D. Silverman 
Director
Office of Compliance
Center for Devices and 
Radiological Health

-