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PERSPECTIVE Evaluating Regulatory Risk for Comparator Drug Products By Cesar Medina, MBA, RAC, and Fernando Alvarez-Nunez, PhD Evaluating risks and developing mitigation strategies have become common industry practices in drug development. Regulatory agencies have adopted risk-based approaches in quality management, pharmaceutical development and postmarket surveillance of medicinal products.1-4 In this article, we introduce methodology to evaluate regulatory risks when sourcing and preparing comparators for use in clinical studies. This methodology is needed since there is currently little regulatory guidance that specifically addresses sourcing and preparation of comparator drug products. We define regulatory risk as the likelihood or potential that your comparator will not meet the requirements of regulatory authorities. For example, a low-risk comparator drug product will not require substantial supporting information to gain regulatory acceptance for its use in a clinical study. However, a high-risk comparator drug product will likely require substantial supporting information and has the potential to result in a clinical hold. Highrisk comparators also have a high probability of invalidating clinical data if they cannot be proven to be equivalent to the commercially available marketed product. Comparators Are Important Comparators are marketed products used as a reference in clinical studies. They are regularly used as a positive control against an investigational drug. These types of studies, often called “headto-head” studies, compare how well your investigational drug does against the comparator drug. The data from such studies may be critical for qualifying your clinical studies and demonstrating your drug’s safety and efficacy. The knowledge gained in these trials can also be essential in forming your drug’s risk/benefit profile. The data from these head-to-head trials are required if you want to make any marketing claims for your product of superiority over the comparator, such as improved safety or better efficacy.5 42 May 2011 As you consider the importance comparators play in clinical development, it is imperative to evaluate the regulatory risks when sourcing and preparing comparator drug products. Rating Comparator Risk Rating risk is a very subjective process and often is specific to the product and region. One method to assess comparator risk is to measure against anticipated regulatory requirements for supporting data. For this article, we rate risks on a scale of 1–5 as shown in Table 1. This rating scale is used in this article to communicate the risks posed by comparator sourcing and blinding strategies. Low-risk comparators (rating 1) require little to no supporting information to a gain acceptance by regulatory authorities. Then, as the amount of information required by regulators increases, the associated regulatory risk correspondingly rises. High-risk comparators (rating 5) will likely require substantial supporting information and also have a potential to result in a clinical hold or invalidation of clinical data. Sourcing Comparators The first risk evaluation should be done even before the comparator is procured. Where the comparator is sourced in relation to where it will be used (clinical site) is not trivial. It is generally recommended that your comparator be sourced from the same region where it will be used to provide assurance to regional authorities that the product is safe and effective for a particular indication.6-8 This does imply that the selected comparator is approved and/or registered for use in that region. This strategy is known as regional sourcing. Although regional sourcing presents the lowest regulatory risk, it is not always practical when the clinical study is global and you must consider many regulatory authorities. Additionally, regional sourcing for global studies presents logistical planning challenges and increased expenses. Alternatively, a global sourcing plan identifies a single source that can be used in all regions selected for the clinical trial. The ideal situation would be to identify a single-sourced product that is approved in all the respective regions, but this is usually not possible. If you propose to use a comparator that is not approved in a specific region, regulators will most likely ask for additional information or an entire investigational drug application for that particular comparator.9 Regulatory professionals must be able to guide their teams in selecting the most appropriate sourcing plan and communicate the risks. A good reference in determining the regulatory risks when sourcing comparators is the graded approach taken by the EU. The EU outlines the required documentation and necessary data based on sourcing from a specific Member State, Member States with mutual recognition agreements, ICH countries and non-ICH countries.10,11 As you move away from regional sourcing toward sourcing from a non-ICH country, the burden of proof in substantiating regulatory acceptance of the comparator increases. This graded approach can be viewed as increasing regulatory risk as depicted in Figure 1. This type of analysis can be used to measure and communicate the regulatory risk introduced by any selected sourcing strategy. Modifying Comparators Most often, comparator studies are doubleblinded, meaning that neither the doctor nor the patient can identify the drug. This means that the comparator cannot be provided to the clinic without first blinding it in some manner. Blinding comparators often requires modifications to the product, such as placing it in a capsule (over-encapsulation) or removing its commercial markings such as printed logos or names (de-inking). The regulatory expectation is that the selected blinding modification must not change the product’s safety or efficacy. The ICH Guideline for Good Clinical Practice requires that if, significant formulation changes are made in the investigational product or comparator(s) products during the course of clinical development, the results of additional studies of the formulated product(s) (e.g., stability, dissolution rate, bioavailability) needed to assess whether these changes would significantly alter the pharmacokinetic profile of the product should be available prior to use of the new formulation in clinical trials.12 In the EU, GMP Annex 13 requires similar data, such that, if a product is modified, data should be available (e.g., stability, comparative dissolution, bioavailability) to demonstrate that these changes do not significantly alter the original quality characteristics of the product.13 Common blinding techniques have been previously reported and will not be discussed in detail.14,15 But, it must be noted that each blinding technique has its advantages and disadvantages in demonstrating that the modification does not alter the product’s safety or efficacy. The greater the degree of modification that is conducted on the comparator, the more difficult it will be to demonstrate that the product’s safety and efficacy have not been altered. The degree of modification can be used to evaluate the regulatory risk imposed by certain blinding techniques. In the EU, a distinction is made between minor and significant modifications for a comparator.16 For example, repackaging is considered a minor modification while milling of tablets is a significant modification. The degree or significance of a modification must be evaluated on a case-by-case basis to determine its regulatory risk. More significant modifications will increase the requirements for product release testing and stability analysis.17,18 Demonstrating bioequivalence of the modified comparator to the original (unmodified) comparator also increases in difficulty with greater Table 1. Comparator Risk Rankings Based on Regulatory Expectations Risk Rating Low 1 Requires reference to market authorization in the respective region. Little to no supporting CMC information required. 2 Requires supporting documentation of approval status in country of origin. Requires some data to verify drug product stability. Bioequivalence likely demonstrated in vitro. 3 Requires supporting documentation of approval status and GMP compliance in country of origin. Requires data to establish purity and shelf life. Bioequivalence may potentially be demonstrated in vitro. 4 Requires supporting documentation of approval status and GMP compliance in country of origin. Requires data to demonstrate purity and shelf life. Demonstrated process understanding and controls required. Bioequivalence may potentially be demonstrated in vitro. 5 Requires substantial supporting information to demonstrate safety and efficacy. Likely requires in vivo studies, extensive process characterization and possibly a separate regulatory submission. Medium High Regulatory Expectations Regulatory Focus 43 Figure 1. Graded Approach to Regulatory Acceptance of Comparators Based on Sourcing and Approval Status modification, especially for low solubility or modified release products.19 The product’s biopharmaceutical properties, including solubility, permeability and bioavailability, must also be taken into consideration. Bioequivalence of BCS Class 1 drugs (high solubility, high permeability) in immediate release dosage forms can be justified solely based on dissolution similarity.20 However, if the drug’s biopharmaceutical properties (low solubility, low permeability) pose bioavailability concerns or the dosage form entails a unique drug delivery mechanism, in vivo bioequivalence studies will likely be the only acceptable method to demonstrate bioequivalence. Using these characteristics, regulatory risk can be assessed based on the specific drug product attributes and the degree of modification. Table 2 provides a rank order of regulatory risks and considerations for typical blinding techniques based on their inherent degree of modification. Comparator Submissions (CMC) Identification and modification details of comparator drug products must be submitted as part of the clinical trial application (e.g., Investigational New Drug Application (INDA), Investigational Medicinal Product Dossier (IMPD), etc.) to health authorities prior to initiation of comparator clinical studies. In Common TechnicalDocument (CTD) format, this information will be covered in Module 3 (Quality). Using a risk-based approach, regulatory professionals should evaluate whether the submitted information is commensurate with the degree of risk posed by sourcing and modifications of the comparator drug product. 44 May 2011 For example, if the comparator is sourced regionally, reference to its market authorization would suffice. But if it is not sourced regionally, you will most likely need to submit additional information such as the manufacturer’s site registration, product registration or Certificate of Analysis (CoA). For modified comparators, the CMC submission should demonstrate that the modifications have not significantly altered the original quality characteristics of the product such as shelf life, dissolution, purity and bioavailability. Supporting information may include dissolution similarity data, compatibility studies, stressed stability studies and drug product stability studies. As a regulatory professional, you can utilize the risk-based approach to help determine whether the submitted information is sufficient to gain regulatory acceptance of your comparator. Conclusions There is no question that comparator drug products are an important part of drug development. Currently, there is little regulatory guidance that specifically addresses sourcing and preparation of comparator drug products for use in clinical studies. However, regulatory professionals are tasked with providing regulatory guidance to their organizations. The methodology described in this article can be used by regulatory professionals and drug development scientists to evaluate and communicate regulatory risks for comparators. The intention is that risk assessments be conducted up front to help select the Table 2. Regulatory Risk and Considerations for Typical Comparator Blinding Techniques Blinding Technique Regulatory Risk 1 = Low, 5 = High Regulatory Considerations Repackaging (primary container non-sterile) 1 May require some stability data to demonstrate that new packaging does not alter the quality of the product. Bioequivalence is not affected. Over-encapsulation (no new excipients) 2 Dissolution similarity must be demonstrated. Stability data required. Bioequivalence likely justified by in vitro assessment (dissolution). De-Inking 2 Must demonstrate the solvent used for de-printing is removed to an acceptable level. Stability data likely required to verify that the solvent does not impact the quality of the product. Bioequivalence is not affected. Over-encapsulation (new excipients) 3 Dissolution similarity must be demonstrated. Compatibility with new excipient must be verified. Stability data required. Bioequivalence potentially justified by in vitro assessment (dissolution). Over-coating 3 Dissolution similarity must be demonstrated. Compatibility with coating and coating process must be verified. Stability data required. Bioequivalence potentially justified by in vitro assessment (dissolution). Milling and tablet/ encapsulation 5 Requires detailed characterization of the process and process controls. The final drug product must be demonstrated to be equivalent to original comparator. Impurity profiles and stability must be well characterized. Likely requires in vivo bioequivalence study. Repackaging (primary containersterile ) 5 Sterility of the product must be established within the new packaging. The repackaging process must be demonstrated to be well controlled and maintain sterility of the product. Stability data (chemical and microbiological) are required. most appropriate approach with the lowest inherent regulatory risk. As with any risk-based approach, to ensure success, this risk analysis should be an iterative process throughout product development. References 1. US FDA Guidance for Industry: ICH Q8(R2) Pharmaceutical Development, November 2009, CDER/CBER. 2. US FDA Guidance for Industry: ICH Q9 Quality Risk Management, June 2006, CDER/CBER. 3. US FDA Guidance for Industry: ICH 10 Pharmaceutical Quality Systems, April 2009, CDER/CBER. 4. US FDA Draft Guidance for Industry: Format and Content of Proposed Risk Evaluation and Mitigation Strategies (REMS), REMS Assessments, and Proposed REMS Modifications, September 2009, CDER/CBER. 5. US Code of Federal Regulations, 21 CFR 202.1, Prescription Drug Advertising. 1 April 2010. 6. Vudathala G, Simmons J. “Pharmaceutical Data Required to Support Blinded Clinical Trials.” Pharmaceutical Outsourcing. May/June 2006; 47-50. 7. Conzentino P, Bouvier A, Vudathala G, Owens G. “Regulatory Chemistry, Manufacturing and Controls (CMC) Requirements for Using Comparator Drug Products in Clinical Trials.” Pharmaceutical Outsourcing. January/ February 2009;8-15. 8. Conzentino P. “Your Choice of Comparator or Positive Control During Clinical Investigations.” Pharmaceutical Outsourcing. October 2009; 40-44. 9. Op cit 6. 10.EMEA Guideline on the Requirements to the Chemical and Pharmaceutical Quality Documentation Concerning Investigational Medicinal Products in Clinical Trials, Section 3,4, March 2006, CHMP. 11. European Commission Draft Guidance, June 2010, Harmonised Requirements for Non Investigational Medicinal Products in CTA Submissions, Ad-Hoc Working Group. 12. ICH E6(R1) Guideline for Good Clinical Practice, Section 5.13.5, June 1996, ICH Expert Working Group. 13. European Commission Guidance, Annex 13 Manufacture of Investigation Medicinal Products, Section 19, Volume 4 Good Manufacturing Practices, July 2003. 14. Op cit 6. 15. Op cit 7. 16. Op cit 10. 17. Huynh-Ba K, Aubry A. “Analytical Development Strategies for Comparator Products.” American Pharmaceutical Review. 2003: 6( 2);92-97. 18. Hager D, Kelly J, Tolliver A, Healy, D. “Conducting Release and Stability Studies for Blinded Comparators.” Pharmaceutical Outsourcing. October 2010;10-18. 19. U.S FDA Guidance for Industry: Bioavailability and Bioequivalence Studies for Orally Administered Drug Products—General Considerations, March 2003, CDER. 20. US FDA Guidance for Industry: Waiver of In Vivo Bioavailability and Bioequivalence Studies for Immediate Release Solid Dosage Forms Based on a Bi pharmaceutics Classification System, August 2000, CDER. Authors Cesar Medina, MBA, RAC, is a manager in regulatory affairs, CMC at Amgen Inc. He has 14 years of experience in drug development including regulatory responsibilities. He has several publications in pharmaceutics research and is currently pursuing a master’s degree in regulatory affairs at Center of Bio/ Pharmaceutical and Bio/Device Development at San Diego State University. He can be reached at [email protected]. Fernando Alvarez-Nunez, PhD, is a principal scientist in the small molecule pharmaceutics at Amgen Inc. He has more than 20 years of industrial and academic experience and is currently responsible for leading scientists in developing clinical and commercial dosage forms. He is also a regular lecturer in pharmaceutical sciences graduate courses at various universities. He has published several papers on topics including solubilization approaches for poorly soluble drug molecules. He can be reached at [email protected]. The views expressed herein represent those of the authors and do not necessarily represent the views or practices of the authors’ employer or any other party. Regulatory Focus 47