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Volume 360:559-561 February 5, 2009 Number 6
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The Supreme Court, Preemption, and Malpractice Liability
Aaron S. Kesselheim, M.D., J.D., and David M. Studdert, LL.B., Sc.D.

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The U.S. Supreme Court is currently considering the case of Wyeth v. Levine, whose central question is whether approval of a pharmaceutical product's label by the Food and Drug Administration (FDA) should protect the manufacturer from litigation by patients alleging that they were inadequately warned about potential adverse effects. The FDA has suggested that if such protection (or "preemption") were granted, it might extend to health care practitioners, thereby insulating them, as well, from tort claims "related to dissemination of risk information to patients beyond what is included in the labeling."1 The more likely scenario, however, is that preemption of . . . [Full Text of this Article]


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Dr. Kesselheim is an instructor in medicine in the Division of Pharmacoepidemiology and Pharmacoeconomics at Brigham and Women's Hospital, Harvard Medical School, Boston. Dr. Studdert is a Federation Fellow in the Schools of Law and Population Health at the University of Melbourne, Melbourne, Australia.


Related Letters:

Preemption and Malpractice Liability
Hauser R. G., Kesselheim A. S., Studdert D. M.
Extract | Full Text | PDF  
N Engl J Med 2009; 360:2257-2258, May 21, 2009. Correspondence

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