
article
by:
Ronald
A. Salerno, Ph.D.
Senior Consultant, Biologics Consulting Group, Inc.
Pharmacogenetic
diagnostic tests that are laboratory-developed tests (LDTs) are
currently regulated by the Center for Medicare and Medicaid Services
by authority of the Clinical Laboratory Improvement Amendments of
1988. LDTs are not marketed outside the single laboratory that developed
the test service and are not required to submit data for FDA review.
The FDA has generally exercised enforcement discretion over standard
LDTs that use primarily analyte specific reagents, general purpose
reagents, laboratory equipment, instrumentation and controls and
fall under the regulation of CMS CLIA requirements.
However,
when laboratory developed test systems are sold by a manufacturer
or developed by a laboratory for interstate commerce as in vitro
diagnostic devices (IVDs), the tests are regulated by the Office
of in Vitro Diagnostic Device Evaluation and Safety (OIVD) of the
Center for Devices and Radiological Health. The FDA classifies IVDs
on the basis of risk, and clears them through a premarket notification
(510(k)) for certain tests classified as low or moderate risk for
medical-decision making (Class I or II) or approves them through
a premarket approval (PMA) process for tests classified as high
risk (Class III) before marketing. A more detailed review on the
FDA classification, regulation and processes for clearance or approval
of IVDs is found in special article published by Mansfield, O'Leary
and Gutman in the Journal of Molecular Diagnostics, vol. 7, No.
1, 2005.
The
FDA has issued three key guidances for pharmacogenetic IVDs submissions
that require FDA clearance or approval. A brief description of the
FDA recommendations and requirements for Pharmacogenetic IVDs follows.
Guidance
for Industry and FDA Staff -- Class II Special Controls Guidance
Document: Drug Metabolizing Enzyme Genotyping System issued March
10, 2005
At
the time of the issuance of this guidance, the FDA announced the
classification of a DME genotyping system as a Class II device that
requires submission of a 510(k) premarket notification that addresses
the issues covered in this special control guidance. The FDA defines
a drug metabolizing enzyme (DME) genotyping system as "a device
intended for use in testing DNA extracted from clinical samples
to identify the presence or absence of human genotypic markers encoding
a drug metabolizing enzyme. This device is used as an aid in determining
treatment choice and individualizing treatment dose for therapeutics
that are metabolized primarily by the specific enzyme about which
the system provides genotypic information" (21 CFR 862.3360
(a)).
The
FDA has identified the two major risks to health associated with
the use of DME genotyping assays: 1) failure to correctly identify
genotype encoding a DME and 2) failure to properly interpret genotyping
results. In both situations, a patient might be prescribed an incorrect
drug or drug dose with concomitant increased risk of adverse reactions
due to increased or decreased drug metabolism and incorrect patient
management decisions. The FDA recommends that physicians use professional
judgment when interpreting results from this type of test. The guidance
further recommends measures to mitigate these identified risks.
When these special controls in the guidance document are combined
with general controls described in 21 CFR 807 Subpart E, FDA provides
reasonable assurance of the safety and effectiveness of DME genotyping
systems.
This
Class II Special Controls document is limited to the drug metabolizing
enzyme genotyping system as described in 21 CFR 862.3360. DME genotyping
systems that are multiplex tests may be run on instrumentation for
clinical multiplex test systems. Such systems are regulated under
21 CFR862.2570 and guidance for "Instrumentation for Clinical
Multiplex Test Systems". If a device includes a DME genotyping
assay with instrumentation for clinical multiplex test systems for
that assay, both devices may be submitted under one 510k.
The
FDA recommends that a manufacturer of the device obtain a substantial
equivalence determination from the FDA prior to marketing the device
(interstate commerce). An Abbreviated 510k submission follows the
guidance recommendations and includes the required elements in 21
CFR 807.87 of proposed labeling, intended use and directions for
use and a summary report including descriptions of the device, risk
analysis and performance methods.
Recommendations for device description, performance characteristics,
method comparisons, and labeling are presented and reflect the FDA's
current thinking for required information to be submitted with the
abbreviated 510k submission.
A copy
of this guidance is available HERE.
Guidance
for Industry and FDA Staff -- Pharmacogenetic Tests and Genetic
Test for Heritable Markers Issued June 19, 2007
This
FDA guidance for Industry and Staff is intended to facilitate the
development and review of pharmacogenomics and genetic diagnostic
devices. It provides recommendations for the preparation and review
of premarket notification (510(k)) submissions and premarket approval
(PMA) applications whether testing for single markers or for multiple
markers simultaneously (multiplex tests). The recommendations apply
to pharmacogenetic (e.g. drug-metabolizing enzyme allele tests,
single nucleotide polymorphism (SNP) analysis and other types of
genetic tests.
Most
pharmacogenetic and genetic device submissions will be traditional
510 (k) s or de novo classifications; however some will require
a PMA. FDA recommends consultation with the Office of In Vitro Diagnostic
Device Evaluation and Safety (OIVD) to determine the appropriate
type of submission.
While
the FDA views pharmacogenetic polymorphisms and genetic mutations
testing to be the same type of results, they consider pharmacogenetic
tests for clinical use to be intended to provide information that
may aid in selection of certain therapeutics, and possibly dosage
selection for patients needing therapy. On the other hand, genetic
tests are used for patients suspected of having or at risk for developing
a particular disease or condition.
The
guidance discusses the appropriate information to be addressed in
preparation of a submission. The areas include: intended use, device
design, analytical studies, software and instrumentation, comparison
studies using clinical specimens, clinical evaluation studies comparing
device performance to accepted diagnostic procedures, effectiveness
of the device. For each of these areas, the FDA gives detailed advice
in the level of information expected.
The
guidance further emphasizes that for 510(k)s as well as PMAs, the
submission must include labeling in sufficient detail to satisfy
the requirements of 21 CFR 807.87 (e). FDA recommendations are specific
to address the requirements for: directions for use, quality control,
interpretations and precautions, stability, performance. As an appendix,
there are general considerations for planning and evaluating clinical
studies.
A copy
of this guidance is available HERE.
Draft
Guidance for Industry, Clinical Laboratories and FDA Staff -- In
Vitro Diagnostic Multivariate Index Assays issued on July 26, 2007
This
draft guidance identifies IVDMIAs as a discrete category of device,
and clarifies that as a laboratory-developed test (LDT), IVDMIAs
must meet pre- and post market device requirements under the Food,
Drug, and Cosmetic Act and FDA regulations, including premarket
review requirements in the case of most class II and class III devices.
General information on device regulation is provided in an appendix
to this guidance.
The
FDA defines an IVDMIA as a device that 1) combines the values of
multiple variables using an interpretation function to yield a single,
patient-specific result (e.g. a "classification," "score,"
"index,") that is intended for use in the diagnosis of
disease or other conditions, or in the cure, mitigation, treatment
or prevention of disease; and 2) provides a result whose derivation
is non-transparent and cannot be independently derived or verified
by the end user.
This
guidance describes an IVDMIA as a subset of LDTs which are tests
that are developed by a single clinical laboratory for use only
in that laboratory. The FDA have acknowledged that clinical laboratories
that develop in-house tests are acting as manufacturers of medical
devices and therefore subject to FDA jurisdiction under the Act
(62FR 62249); however, the FDA has generally exercised enforcement
discretion over standard LDTs that use primarily analyte specific
reagents, general purpose reagents, laboratory equipment, instrumentation
and controls (21 CFR 862 and 864). The FDA does not consider IVDMIAs
as falling under this scope of LDTs because of the test complexity
and unique interpretation functions.
The
FDA believes it must ensure the IVDMIA is clinically validated to
be safe and effective. Their reasoning is italicized in the document
and reads:
"While
the input variables, alone or in combination, might have meaning
to the clinician, the clinician could not verify the clinical significance
of the IVDMIA result on his or her own. In addition, the ordering
physician cannot reach the IVDMIA result on his or her own, nor
could he or she independently interpret that result. The ordering
clinician requires information from the test developer, rather than
generally accepted information from the clinical community, in order
to interpret the IVDMIA result for use in the management of the
patient. For an IVDMIA, it is the single patient-specific result
that is associated with the intended use of the device. The IVDIA
device includes all elements necessary for obtaining the result."
An example of IVDMIA in this category would be gene expression profiling
assays for breast cancer prognosis, or a device that integrates
a patient's age, sex and genotype of multiple genes to predict risk
or diagnosis of a disease or condition.
On
the other hand, genotype determination is an example of the devices
that simply facilitate the interpretation of multiple variables
that health care practitioners could otherwise interpret since genotype
identification has an established association with the phenotype
of interest. A single genotype or predicted phenotype is generated
and the device provides standard interpretation of the individual
variables that clinicians could do themselves.
The
document also provides general information on the pre and post marketing
requirements for FDA regulated devices that would apply to laboratory-developed
IVDMIAs. The FDA intends to exercise enforcement discretion for
12 months following the publication of the final guidance. An additional
6 months of discretion will be allowed if a 510(k) or PMA submission
is made within the 12 months of the final guidance document. FDA
will enforce regulatory requirements for all marketed LDT- IVDMIAs
within 18 months of the final guidance.
As
of this writing, no estimate of the date for final guidance is available.
A copy of this draft guidance is available HERE.
For
further information, Contact
Dr. Ron Salerno...
Page
Updated:
21 August, 2008
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