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ICH
GUIDELINES
KORIYA KRUPALI
2
ICH is the “International Conference on
Harmonization of Technical Requirements for
Registration of Pharmaceuticals for Human Use”.
ICH is a joint initiative involving both regulators
and research-based industry representatives of the
EU, Japan and the US in scientific and technical
discussions of the testing procedures required to
assess and ensure the safety, quality and efficacy of
medicines.
Objectives of ICH
3
To increase international harmonization of technical
requirements to ensure that safe, effective and high
quality medicines are developed.
To harmonize technical requirements for registration
or marketing approval.
To develop and register pharmaceuticals in the most
efficient and cost effective manner.
To promote public health.
To prevent unnecessary duplication of clinical trials on
humans.
To minimize the use of animal testing without
compromising safety and effectiveness ofdrug.
ICH located
 The ICH Secretariat is based in Geneva.
The biennial meetings and conferences of
the ICH Steering Committee rotate
between the EU, Japan, and the USA.
Goal of ICH
5
To promote international harmonization by
bringing together representatives from the three
ICH regions (EU, Japan and USA)
To discuss and establish common guidelines.
To make information available on ICH, ICH
activities and ICH guidelines to any country or
company that requests the information
To promote a mutual understanding of regional
initiatives in order to facilitate harmonization
processes related to ICH guidelines regionally and
globally
To strengthen the capacity of drug regulatory
authorities and industry to utilize them.
Members of ICH
• ICH is comprised of representatives from six parties that
represent the regulatory bodies and research-based industry
in the European Union, Japan and the USA.
• In Japan, the members are the Ministry of Health, Labour and
Welfare (MHLW), and the Japan Pharmaceutical
Manufacturers Association (JPMA).
• In Europe, the members are the European Union (EU), and
the European Federation of Pharmaceutical Industries and
Associations (EFPIA).
• In the USA, the members are the Food and Drug
Administration (FDA), and the Pharmaceutical Research and
Manufacturers of America (PhRMA).
• Additional members include Observers from the World Health
Organization (WHO), European Free Trade Association
(EFTA), and Canada. The Observers represent non-ICH
countries and regions. 6
Steps in the ICH process
Step-1: The draft guideline goes to the different
ICH regions for discussion in their respective
regulatory regions
Step-2: all comments obtained during stage 1 are
addressed by the expert working
group and after discussion, consensus is reached to
prepare the step 3 Experts Draft
Guideline.
Step-3: The three regulatory sponsors initiate their
normal consultation process to receive comments.
Step-4 is reached when the Steering Committee
agrees that there is sufficient scientific consensus on
the technical issues. This endorsement is based on
the signatures from the three regulatory parties to
ICH affirming that the Guideline is recommended
for adoption by the regulatory bodies of the three
regions.
Step-5: The process is complete when the guidelines
are incorporated into national or regional internal
procedures(implementation in the 3 ICH regions.)
MULTIDISCIPLINARY
EFFICACY
SAFETY
QUALITY
"Quality" Topics, i.e., those relating to chemical
and pharmaceutical Quality Assurance (Stability
Testing, Impurity Testing, etc.)
Efficacy" Topics, i.e., those relating to clinical
studies in human subject (Dose Response
Studies, Good Clinical Practices, etc.)
Safety" Topics, i.e., those relating to in vitro and
in vivo pre-clinical studies (Carcinogenicity
Testing, Genotoxicity Testing, etc.)
Multidisciplinary" Topics, i.e., cross-cutting
Topics which do not fit uniquely into one of the
above categories.
Quality Guidelines "Quality"
Topics, i.e., those relating to
chemical and pharmaceutical
Quality Assurance (Stability
Testing, Impurity Testing, etc.)
Q1A-Q1F---STABILITY:
 The purpose of stability testing is to provide
evidence on how the quality of a drug substance or
drug product varies with time under the influence
of a variety of environmental factors such as
temperature, humidity, and light, and to establish
a re-test period for the drug substance or a shelf
life for the drug product.
Q1A (R2): Stability Testing of New Drug Substances
and Products
Q1B: Photostability Testing of New Drug Substances
and Products
• Give guidance on the basic testing protocol required to
evaluate the light sensitivity and stability of new
drugs and products
Q1C:Stability Testing for New Dosage Forms
Gives guidelines for new formulations of already
approved medicines and defines the circumstances
under which reduced stability data can be accepted.
Q1D:Bracketing and Matrixing Designs forStability
Testing of New Drug Substances and Products
Q1E:Evaluation of Stability Data
• This guideline addresses the evaluation of stability
data that should be submitted in registration
applications for new molecular entities and associated
drug products. The guideline provides
recommendations on establishing shelf lives for drug
substances and drug products intended for storage at
or below “room temperature”.
Q1F: Stability Data Package for Registration
Applications in Climatic Zones III and IV
• Describes harmonised global stability testing
requirements in order to facilitate access to medicines
by reducing the number of different storage conditions.
WHO conducted a survey amongst their member
states to find consensus on 30°C/65% RH as the long-
term storage conditions for hot-dry and hot-humid
regions.
Q2-Analytical validation
Q2(R1):Validation of Analytical Procedures:
Text and Methodology
 The objective of validation of an analytical
procedure is to demonstrate that it is suitable for
its intended purpose
 Gives validation parameters needed for a variety
of analytical methods.
 It also discusses the characteristics that must
be considered during the validation of the
analytical procedures
• Types of Analytical Procedures to be
validated are:
• Identification tests;
• Quantitative tests for impurities content;
• Limit tests for the controlof impurities;
• Quantitative tests of the active moiety in samples of
drug substance or drug product or other selected
components in the drug product.
• Typical validation characteristics of analytical
procedures Accuracy, Precision(Repeatability,
IntermediatePrecision), Specificity, Detection
Limit, Quantitation Limit, Linearity, Range.
Q3A(R2):Impuritiesin NewDrugSubstances
Q3A-Q3D----Impurities
The guideline addresses the chemistry and safety
aspects of impurities, including the listing of
impurities, threshold limit, identification and
quantification.
Classification of Impurities: are of 3 types
Organic impurities (process- and drug-related)
Inorganic impurities
Residual solvents
Q3B(R2):Impurities in NewDrugProducts
Q3C(R4):Impurities:Guideline forResidual Solvents
Benzene 2ppm
Carbon tetrachloride 4ppm
Dichloromethane 5ppm
Dichloroethane 8ppm
Acetonitrile 410ppm
Chloroform 60ppm
Chlorobenzene 360ppm
Formamide, Hexane 290ppm
Toulene 890ppm
Pyridine 200pm
Nitromethane 50ppm
Methanol 3000ppm
Q4 :Pharmacopoeias
Q4A:PharmacopoeialHarmonisation
Q4B: Evaluation and Recommendation of
PharmacopoeialTextsfor Usein the ICH Regions
This document describes a process for the
evaluation and recommendation given by the
Q4B Expert Working Group (EWG) for
selecting pharmacopoeial texts to facilitate
their recognition by regulatory authorities for
use, interchangeable in the ICH regions.
• Q4B Annex 1: Evaluation and Recommendation of Pharmacopoeial
Texts for Use in the ICH Regions on
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Residue on Ignition/Sulphated Ash
Annex 2:Test for Extractable Volume of Parenteral Preparations Annex
3: Test for Particulate Contamination: Sub-Visible Particles
Annex 4A: Microbiological Examination of Non-Sterile Products: Microbial
Enumeration Tests
Annex 4B: Microbiological Examination of Non-Sterile Products: Tests for
Specified Micro-organisms
Annex 4C: Microbiological Examination of Non-Sterile Products: Acceptance
Criteria for Pharmaceutical Preparations and Substances for Pharmaceutical Use
Annex 5:Disintegration Test
Annex 6: Uniformity of Dosage Units
Annex 7: Dissolution Test
Annex 8: Sterility Test
Annex 9: Tablet Friability
Annex 10: Polyacrylamide Gel Electrophoresis
Annex 11: Capillary Electrophoresis
Annex 12: Analytical Sieving
Annex 13: Bulk Density and Tapped Density of Powders
Annex14 :Bacterial Endotoxins Test
Q5A-Q5E---Quality of biotechnological
products:
Q5A(R1): Viral Safety Evaluation of
Biotechnology Products Derived from Cell
Lines of Human or Animal Origin
•
• This document is concerned with testing and
evaluation of the viral safety of biotechnology products
derived from cell lines of human or animal origin (i.e.,
mammalian, avian, insect)
The objective is to provide a general framework for
virus testing experiments for the evaluation of virus
clearance and the design of viral tests and clearance
evaluation studies.
• Three principal, complementary approaches
have evolved to control the potential viral
contamination of biotechnology products:
a)selecting and testing cell lines and other raw
materials, including media components, for the
absence of undesirable viruses which may be infectious
and/or pathogenic for humans;
b)Testing the capacity of the processes to clear
infectious viruses;
c) testing the product at appropriate steps for absence of
contaminating infectious viruses.
Q5B:Quality of Biotechnological Products:
Analysis of the Expression Construct in Cells
Used for Production of r-DNA Derived Protein
Products
 This document presents guidance regarding the
characterization of the expression construct for the
production of recombinant DNA protein products in
eukaryotic and prokaryotic cells.
 expression construct should be analysed using nucleic acid
techniques.
Q5C:Quality of Biotechnological Products :
Stability Testing of Biotechnological/Biological
Products
Q5D:Derivation and Characterisation of Cell
Substrates Used for Production of
Biotechnological/Biological Products
• The objective of this guideline is to provide broad guidance
on appropriate standards for cell substrates.
Q5E:Comparability of Biotechnological/
Biological Products Subject to Changes in
Their Manufacturing Process
• The objective of this document is to provide principles
for assessing the comparability of biotechnological/
biological products before and after changes are made
in the manufacturing process for the drug substance or
drug product.
• Therefore, this guideline is intended to assist in the
collection of relevant technical information which
serves as evidence that the manufacturing process
changes will not have an adverse impact on the
quality, safety and efficacy of the drug product.
Q6 :Specifications for New Drug
Substances and Products
• Bulk drug substance and final product
specifications are key parts of the core
documentation for world-wide product license
applications.
• This leads to conflicting standards for the
same product, increased expenses and
opportunities for error as well as a potential
cause for interruption of product supply.
Q6A: Specifications :Test Procedures and Acceptance
Criteria for New Drug Substances and New Drug
Products :Chemical Substances
• The main objective of this guideline is toestablish
a single set of global specifications for new drug
substances and new drug products.
• A specification is defined as a list of tests,
references to analytical procedures, and
appropriate acceptance criteria, which are
numerical limits, ranges
• This guideline addresses specifications, i.e., those
tests, procedures, and acceptance criteria which
play a major role in assuring the quality of the
new drug substance and new drug product during
shelf life.
Universal Tests:
•
• The following tests are considered generally applicable
to all new drug substances and drug products.
Description
Identification
Assay
Impurities
• Specific Tests for drug substances :
Physicochemical properties
Particle size
Polymorphic forms
Tests for chiral new drug substances
Water content
Inorganic impurities
Microbial limits
• Specific Tests for drug products(oral dosage form):
Particle size distribution:
Dissolution
Disintegration
Hardness/friability
Uniformity of dosage units:
Microbial limits
Antioxidant preservative content:
Alcohol content:
Rheological properties:
Redispersibility
• Specific Tests for drug products (Parenteral Drug
Products):
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Uniformity of dosage units
Particle size distribution
pH (Osmolarity)
Sterility
Endotoxins/ Pyrogens
Particulate matter
Water content
Antimicrobial preservative
Antioxidant preservative content
Functionality testing of delivery systems
Q6B: Specifications :Test Procedures and
Acceptance Criteria for
Biotechnological/Biological Products
•
• This document provides guidance on justifying and setting
specifications for proteins and polypeptides which are
derived from recombinant or non-recombinant cell cultures.
A valid biological assay to measure the biological activity
should be provided by the manufacturer.
• Examples of procedures used to measure biologicalactivity
include:
Animal-based biological assays, which measure an
organism's biological response to the product;
Cell culture-based biological assays, which measure
biochemical or physiological response at the cellular level;
Biochemical assays, which measure biological activities
such as enzymatic reaction rates or biological responses
induced by immunological interactions.
Q7: Good Manufacturing Practice Guide for
Active Pharmaceutical Ingredients
• The main objective of this guideline is that to
maintain the quality of the active pharmaceutical
ingredients
Personnel:
Buildings and Facilities:
Process equipment:
Documentation and Records:
Q8(R2): Pharmaceutical
Development
•
•
• This guideline is intended toprovide guidance on the
contents of Pharmaceutical Development of drug
products
The aim of pharmaceutical development is to design a
quality product and its manufacturing process to
consistently deliver the intended performance of the
product.
The Pharmaceutical Development section also
describe the type of dosage form and the formulation
that are suitable for the intended use.
Q8 gives information about Drug Substance,
Excipients, Container Closure System.
Q9: Quality Risk Management
•
• The purpose of this document is to offer a
systematic approach to quality risk management.
This guideline provides principles and tools for
quality risk management that can be applied to
all aspects of pharmaceutical quality including
development, manufacturing, distribution; and
the inspection and submission/review processes
throughout the lifecycle of drug substances and
drug (medicinal) products, biological and
biotechnological products, including the use of
raw materials, solvents, excipients, packaging
and labeling materials.
• PRINCIPLES OF QUALITY RISK
MANAGEMENT
• Two primary principles of quality
risk management are:
The evaluation of the risk to quality should be based
on scientific knowledge and ultimately link to the
protection of the patient; and
The level of effort and documentation of the quality
risk management process should be commensurate
with the level ofrisk.
General Quality Risk Management
Process:
R isk R e vi e w
Risk
Communication
R isk Evaluation
u n a c c e p t a b l e
R isk C ontrol
R isk Analysis
R isk R eduction
R isk Identification
R e vi e w E ve n t s
R isk Ac c e p t a n c e
Initiate
Quality R isk M a n a g e m e n t P r o c e s s
R isk As s e s s m e n t
O u t p ut / R esult of the
Quality R isk M a n a g e m e n t P r o c e s s
Risk
Management
tools
Q10: Pharmaceutical Quality System
•
• This document establishes a new ICH tripartite guideline
describing a model for an effective quality management
system for the pharmaceutical industry, referred to as the
Pharmaceutical Quality System.
• comprehensive model for an effective pharmaceutical
quality system is based on International Standards
Organization (ISO) quality concepts, includes applicable
Good Manufacturing Practice (GMP) regulations
Status of Safety Topics Safety" Topics, i.e., those
relating to in vitro and in vivo pre-clinical studies
(Carcinogenicity Testing, Genotoxicity Testing, etc.)
S1A-S1C---- Carcinogenicity studies:
•
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S1A: Guideline on the Need for Carcinogenicity
Studies of Pharmaceuticals
Carcinogenicity studies should be performed for any
pharmaceutical whose expected clinical use is continuous
for at least 6 months.
This document provides a consistent definition of the
circumstances under which it is necessary to undertake
carcinogenicity studies on new drugs. These
recommendations take into account the known risk
factors as well as the intended indications and duration
of exposure.
• The objectives of carcinogenicity studies are to
identify a tumorigenic potential in animals and
to assess the relevant risk in humans.
•
S1B: Testing for Carcinogenicity of Pharmaceuticals
This document provides guidance on the need to carry out
carcinogenicity studies in both mice and rats, and guidance
is also given on alternative testing procedures which may
be applied without jeopardizing safety.
•
S1C(R2): Dose Selection for Carcinogenicity Studies of
Pharmaceuticals
This document addresses the criteria for the selection of
the high dose to be used in carcinogenicity studies on
new therapeutic agents to harmonize current practices
and improve the design ofstudies.
o S2– Genotoxicity:
o S2(R1): Guidance on Genotoxicity Testing and Data
Interpretation for Pharmaceuticals Intended for Human
Use
• This guidance is a combination of ICH S2A and S2B
guidelines:
o S2A: Guidance on Specific Aspects of Regulatory
Genotoxicity Tests for Pharmaceuticals;
• This document provided specific guidance and
recommendations for in vitro and in vivo tests and on the
evaluation of test results. It includes terms related to
genotoxicity tests to improve consistency in applications.
S2B: Genotoxicity: A Standard Battery for
Genotoxicity Testing for Pharmaceuticals :
This document addresses two fundamental areas of
genotoxicity testing: the identification of a standard set of
assays to be conducted for registration, and the extent of
confirmatory experimentation in any particular
genotoxicity assay in the standard battery.
Registration of pharmaceuticals requires a
comprehensive assessment of their genotoxic potential. It
is clear that no single test is capable of detecting all
relevant genotoxic agents. Therefore, the usual approach
should be to carry out a battery of in vitro and in vivo
tests for genotoxicity
The purpose of this guideline is to optimize the
standard genetic toxicology battery for prediction of
potential human risks, and for interpretation of
results, with the ultimate goal of improving risk
characterization for carcinogenic effects that have
their basis in changes in the genetic material.
S3A –S3B--- Toxicokinetics and
Pharmacokinetics:
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S3A: Note for Guidance on Toxicokinetics: The
Assessment of Systemic Exposure in Toxicity
Studies
ICH guidelines do not require toxicokinetic studies to be
conducted, except in pregnant, lactating animals, before
initiating reproductive studies.
In this context, toxicokinetics is defined as the generation
of pharmacokinetic data, either as an integral component
in the conduct of non-clinical toxicity studies or in
specially designed supportive studies, in order to assess
systemic exposure.
• This document gives guidance on developing test
strategies in toxicokinetics and the need to integrate
these pharmacokinetics into toxicity testing, in order to
aid in the interpretation of the toxicology findings and
and their relevance to clinical safetyissues
The primary objective of toxicokinetics is: to describe the
systemic exposure achieved in animals and its
relationship to dose level and the time course of the
toxicity study.
S3B: Pharmacokinetics:
Guidance for Repeated Dose
Tissue Distribution Studies
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Tissue distribution studies are essential in providing
information on distribution and accumulation of the
compound and/or metabolites, especially in relation to
potential sites of action; this information may be useful for
designing toxicology and pharmacology studies and for
interpreting the results of these experiments.
This document gives guidance, when the repeated dose
tissue distribution studies should be considered (i.e., when
appropriate data cannot be derived from other sources). It
also gives recommendations on the conduct of such studies
S4:Duration of Chronic Toxicity Testing in
Animals (Rodent and Non-Rodent Toxicity
Testing)
The objective of this guidance is to set out the
considerations that apply to chronic toxicity testing in
rodents and non rodents as part of the safety evaluation
of a medicinal product
Rodents(a study of 6 months duration)
Non-rodents(a study of nine months duration).
S5: Detection of Toxicity to
Reproduction for Medicinal
Products & Toxicity to Male Fertility
This document provides guidance on tests for
reproductive toxicity.
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It defines the periods of treatment to be used in
animals to better reflect human exposure to
medical products and allow more specific
identification of stages at risk.
It should encourage the full assessment on the
safety of chemicals on the development of the
offspring.
• S6: Preclinical Safety Evaluation of
Biotechnology-Derived Pharmaceuticals
This document covers the pre-clinical safety testing
requirements for biotechnological products. It
addresses the use of animal models of disease,
determination of when genotoxicity assays and
carcinogenicity studies should be performed, and the
impact of antibody formation on duration of toxicology
studies.
The primary goals of preclinical safety evaluation are:
1)to identify an initial safe dose and subsequent dose in
humans;
2)to identify potential target organs for toxicity and for
the study of whether such toxicity is reversible;
3) to identify safety parameters for clinical monitoring.
S7A: Safety Pharmacology
Studies for Human
Pharmaceuticals
This guideline was developed to protect clinical trial
participants and patients receiving marketed products
from potential adverse effects of pharmaceuticals.
This document addresses the definition, objectives and
scope of safety pharmacology studies.
It also addresses which studies are needed before
initiation of Phase 1 clinical studies as well as
information needed for marketing.
S7B : The Nonclinical
Evaluation of the Potential for
Delayed Ventricular
Repolarization (QT Interval
Prolongation) By Human
Pharmaceuticals
This guideline describes a non-clinical testing strategy
for assessing the potential of a test substance to delay
ventricular repolarization.
This guideline includes information concerning non-
clinical assays and integrated risk assessments.
S8 : Immunotoxicity Studies
for Human Pharmaceuticals
This guideline addresses the recommendations on
nonclinical testing for immunosuppressant.
The guideline might also apply to drugs in which
clinical signs of immunosuppressant are observed
during clinical trials and following approval to market.
The term immunotoxicity in this guideline will
primarily refer to immunosuppressant, i.e. a state of
increased susceptibility to infections or the
development of tumors.
• S9: Nonclinical Evaluation for Anticancer
Pharmaceuticals
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This guideline provides information for
pharmaceuticals that are only intended to treat
cancer in patients with late stage or advanced
disease regardless of the route of administration,
including both small molecule and biotechnology-
derived pharmaceuticals.
It describes the type and timing of nonclinical
studies in relation to the development of anticancer
pharmaceuticals and references other guidance as
appropriate.
This guideline aims to facilitate and accelerate the
development of anticancer pharmaceuticals and to
protect patients from unnecessary adverse effects,
while avoiding unnecessary use of animals and other
resources
Efficacy Guidelines
Efficacy" Topics, i.e., those
relating to clinical studies in
human subject (Dose
Response Studies, Good
Clinical Practices, etc.)
Clinical safety:
E1-E2F---CLINICAL SAFETY:
 E1: The Extent of Population Exposure
to Assess Clinical Safety for Drugs
Intended for Long- Term Treatment of
Non-Life-Threatening Conditions
•
• This document gives recommendations on the
number of patients and duration of exposure for
the safety evaluation of drugs intended for the
long-term treatment of non-life-threatening
conditions
This guidelines gives information on duration of
drug exposure and its relationship to both time
and magnitude of occurrence of adverse events
E2A: Clinical Safety Data Management :
Definitions and Standards
• This document gives standard definitions and
terminology for key aspects of clinical safety
reporting.
• It also gives guidance on mechanisms for
handling adverse drug reactions in the
investigational phase of drug development.
E2B(R3): Clinical Safety Data Management
Data Elements for Transmission of
Individual Case Safety Reports
• The objectives of the working group is to identify,
define and standardize the data elements for the
transmission of individual case safety reports(adverse
reactions, adverse event reports).
• Following its submission to ISO for development as an
International Standard. Key parts of this updated
guideline will be incorporated into the Implementation
Guide for Electronic Transmission of Individual Case
Safety Reports Message Specification which is currently
available for public awareness.
E2C(R1): Clinical Safety DataManagement:
Periodic Safety Update Reports for
Marketed Drugs
This document gives guidance on the format
and content of safety updates, which need to be
provided at regular intervals to regulatory
authorities to ensure maximum efficacy and to
avoid duplication of marketed drugs .
E2D: Post-Approval Safety Data
Management: Definitions and
Standards
•
•
• This document provides a standardized procedure for
post-approval safety data management.
The definitions of the terms specific to post-approval
phase are also provided.
The practices of the data management were
standardized in suchcases obtained from consumers,
literatures, internets which are all specific to post-
approval data management.
E2E: Pharmacovigilance Planning
•
•
• This guideline is intended to aid in planning
pharmacovigilance activities, especially in preparation
for the early post marketing of a new drug (in this
guideline, the term "drug" denotes chemical entities,
biotechnology-derived products, and vaccines).
The main focus of this guideline is on a Safety
Specification and Pharmacovigilance Plan that might
be submitted at the time of license application.
The guideline describes a method for summarizing the
important identified risks of a drug, important
potential risks, and important missing information,
including the potentially at-risk populations and
situations where the product is likely to be used that
have not been studied.
62
E2F: Development Safety Update Report
• The main focus of the DSUR is collection of data from clinical
trials of investigational drugs including biological’s, with or
without a marketing approval.
• The DSUR should provide safety information from all ongoing
clinical trials that the sponsor is conducting or has completed
during the review period including:
clinical trials conducted using an investigational drug whether
with or without a marketing approval, i.e., human pharmacology,
therapeutic exploratory and therapeutic confirmatory trials
(Phase I – III)
clinical trials conducted using marketed drugs in approved
indications, i.e., therapeutic use trials (Phase IV);
other therapeutic use of an investigational drug;
comparability trials conducted to support changes in the
manufacturing process of medicinal products
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E3: Structure and Content of Clinical
Study Reports
• This document describes the format and content of a
study report that will be acceptable in all three ICH
regions. It consists of a core report suitable for all
submissions and appendices.
• The clinical study report described in this guideline is
an integrated full report of an individual study of any
therapeutic, prophylactic or diagnostic agent (referred
to herein as drug or treatment) conducted in patients.
64
The guideline is intended to assist sponsors for the
development of a report that is complete, free from
ambiguity, well organized and easy to review
STRUCTURE AND CONTENT OF CLINICAL
STUDY REPORTS
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Title page
Table of contents for the individual clinical study
report
List of abbreviations and definition ofterms
Ethics (ethical conduct of the study, patient
information and consent )
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• Investigators and study administrative
structure
Introduction
Study objectives
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Overall study design and plan - description
Selection of study population
Selection of doses in the study
Efficacy and safety variables
Efficacy results and tabulations of individual
patient data
Safety evaluation
E4: Dose-Response Information to Support
Drug Registration
 This document gives recommendations
on the design and conduct of studies to
assess the relationship between doses,
blood levels and clinical response
throughout the clinical development of a
new drug.
This information can help in identifying an
appropriate starting dose, to adjust dosage to the
needs of a particular patient, and a dose beyond
which unacceptable side effects are seen.
E5(R1): Ethnic Factors in the Acceptability
of Foreign Clinical Data
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• The purpose of this guidance is to facilitatethe
registration of medicines among ICH regions.
This document addresses the intrinsic
characteristics of the drug recipient and
extrinsic characteristics associated with
environment and culture that could affect the
results of clinical studies carried out in regions
Describes the concept of the "bridging study"
that a new region may request to determine
whether data from another region are applicable
to its population.
E6(R1): Good Clinical Practice :
Consolidated Guideline
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Good Clinical Practice (GCP) is an international
ethical and scientific quality standard for designing,
conducting, recording and reporting trials that involve
the participation of human subjects.
This Good Clinical Practices document describes the
responsibilities and expectations of all participants in
the conduct of clinical trials, including investigators,
monitors, sponsors .
GCPs cover aspects of monitoring, reporting and
achieving of clinical trials and incorporating these into
Essential Documents and on the Investigator's
Brochure.
E7-E11----CLINICAL TRIALS:
E7: Studies in Support of Special Populations :
Geriatrics
This document provides recommendations on the special
considerations which apply in the design and conduct of
clinical trials of medicines that are likely to have
significant use in the elderly.
E.g.: New Molecular Entities that are likely to have
significant use in the elderly, because the disease
intended to be treated is characteristically a disease of
ageing ( e.g., Alzheimer's disease)
E8: General Considerations for Clinical Trials
This document sets out the general scientific principles
for the conduct, performance and control of clinical
trials.
The guideline addresses a wide range of subjects in the
design and execution of clinical trials.
The ICH document "General Considerations for Clinical
Trials" is intended to:
(a) describe internationally accepted principles and
practices in the conduct of both individual clinical trials
and overall development strategy for new medicinal
products
(b) facilitate the evaluation and acceptance of foreign
clinical trial data by promoting common
understanding of general principles
c) present an overview of the ICH clinical safety and
efficacy documents and facilitate the user's access to
guidance
(d) provide a separate glossary of terms used in the ICH
clinical safety and efficacy related documents that
pertain to clinical trials
E9: Statistical Principles for Clinical
Trials
 This biostatistical guideline describes
essential considerations on the design and
analysis of clinical trials, especially the
"confirmatory" (hypothesis-testing) trials
that are the basis for demonstrating
effectiveness
E10: Choice of Control Group and Related
Issues in Clinical Trials
• This document addresses the choice of
control groups in clinical trials.
 Control groups in clinical trials can be classified on
the basis of two critical attributes: (1) the type of
treatment used and (2) the method of determining
who will be in the control group.
The type of control treatment may be any of the
following four: (1) placebo, (2) no treatment, (3)
different dose or regimen of the study treatment, or
(4) a different active treatment.
•
•
E11: Clinical Investigation of Medicinal
Products in the Pediatric Population
•
•
•
•
•
•
• This document addresses the conduct of clinical
trials of medicines in pediatric populations.
This document will facilitate the development of
safe and effective use of medicinal productin
pediatrics.
Specific clinical study include:
(1)timing of initiation of pediatric studies during
medicinal product development;
(2)types of studies (pharmacokinetic,
pharmacokinetic/ pharmacodynamic (PK/PD),
efficacy, safety);
(3) age categories;
(4) ethics of pediatric clinical investigation.
E12-Guidelines for Clinical
Evaluation by Therapeutic
Category
The ICH Efficacy Guidelines are applicable to all
therapeutic classes of drugs, but there are some
therapeutic classes which need individual drug
evaluation guidelines among the three regions.
E12: Principles for Clinical Evaluation of
New Antihypertensive Drugs
This document provides general principles for
the clinical evaluation of new anti-hypertensive
drugs.
It describes core principles for the evaluation of
antihypertensives that are accepted in the three
ICH regions, but some region-specific
differences remain, therefore this document
should be considered an "ICH Principle
Document" rather than an "ICH Guideline".
E14:The Clinical Evaluation of QT/QTc
Interval Prolongation and Pro-Arrhythmic
Potential for Non-Antiarrhythmic Drugs
• This document provides recommendations to sponsors
concerning the design, conduct, analysis, and
interpretation of clinical studies to assess the
potentialof a drug to delay cardiac repolarization.
• This assessment should include testing the effects of
new agents on the QT/QTc interval as well as the
collection of cardiovascular adverse events.
• The investigational approach used for a particular
drug should be individualized, depending on the
pharmacodynamic, pharmacokinetic, and safety
characteristics of the product, as well as on its
proposed clinical use.
E15: Definitions for Genomic Biomarkers,
Pharmacogenomics, Pharmacogenetics,
Genomic Data and Sample Coding
Categories
•
•
In order to develop harmonised approaches to drug
regulation, it is important to ensure that consistent
definitions of terminology are being applied across all
constituents of the International Conference on
Harmonisation (ICH).
An agreement on definitions will facilitate the
harmonization in the discipline of pharmacogenomics
and pharmacogenetics for global drug development and
approval processes.
E16: Genomic Biomarkers Related to
Drug Response: Context, Structure and
Format of Qualification Submissions
The guideline describes recommendations regarding
context, structure, and format of regulatory submissions
for qualification of genomic biomarkers(E15).
clinical and non-clinical genomic biomarkers related to
drug response including pharmacokinetics,
pharmacodynamics,efficacy and safety aspects.
•
Multidisciplinary Guidelines
"Multidisciplinary" Topics, i.e.,
Topics which do not fit
uniquely into one of the above
categories (MedDRA, ESTRI,
M3, CTD, M5)
M1 Medical Terminology
•
•
• New Medical Dictionary for Regulatory Activities
Terminology (MedDRA) was developed by the
working group of ICH and is owned by the
International Federation of Pharmaceutical
Manufacturers and Associations (IFPMA) acting as
trustee for the ICH steering committee.
It provides an international medical
dictionary applicable to all phases of product
development.
Its goal is to provide a comprehensive and specific
terminology to help standardize, facilitate and
simplify regulatory processes.
M2 Electronic Standards for Transmission of
Regulatory Information (ESTRI)
Facilitate international electronic communication by
evaluating and recommending the specifications
The first Specification developed by the M2 EWG was the
Individual Case Safety Report (ICSR), created as the
electronic message for the ICH E2B(R2)
The second Specification developed by the M2 EWG was
the Electronic Common Technical Document (eCTD)
created as the electronic message for the Common
Technical Document developed by the ICH M4.
ICH M2 has initiated the development of the Next Major
Version of the eCTD (eCTD NMV) to improve robustness,
flexibility and long term stability of the message.
83
• M3(R2): Guidance on Non-Clinical Safety
Studies for the Conduct of Human
Clinical Trials and Marketing
Authorization for Pharmaceuticals
•
•
The present guidance represents the consensus that
exists regarding the type and duration of nonclinical
safety studies and their timing to support the conduct of
human clinical trials and marketing authorization for
pharmaceuticals.
The nonclinical safety assessment for marketing
approval of a pharmaceutical usually includes
pharmacology studies, general toxicity studies,
toxicokinetic and nonclinical pharmacokinetic studies,
reproduction toxicity studies, genotoxicity studies and,
for drugs that have special cause for concern or are
intended for a long duration of use
84
The goals of the nonclinical safety evaluation
generally include a characterisation of toxic
effects with respect to target organs, dose
dependence, relationship to exposure, and, when
appropriate,potential reversibility.
 This information is used to estimate an
initial safe starting dose and dose range
for the human trials and to identify
parameters for clinical monitoring for
potential adverse effects.
M4:The Common Technical Document
•
•
• The Common Technical Document provides a
harmonised structure and format for new product
applications. The Common Technical Document was
agreed upon in November 2000 in San Diego, USA.
This Common Technical Document is divided into four
separate sections. The four sections address the
application organisation (M4 organise), the Quality
section (M4Q), the Safety section (M4S) and the
Efficacy section (M4E) of the harmonised application.
An electronic version of the Common Technical
Document (eCTD) developed by the eCTD
Implementation Working Group. The Electronic
Common Technical Document (eCTD) allows for the
electronic submission of the Common Technical
Document (CTD) by an applicant toregulator
M5: Data Elements and Standards
for Drug Dictionaries
•
• This document provides guidance on the harmonized
standards related to core sets of medicinal product
information and medicinal product terminology.
Facilitate the exchange and practical use of medicinal
product data by regulators and pharmaceutical
industry.
88
THANK YOU

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1.3 ICH .pdf

  • 2. 2 ICH is the “International Conference on Harmonization of Technical Requirements for Registration of Pharmaceuticals for Human Use”. ICH is a joint initiative involving both regulators and research-based industry representatives of the EU, Japan and the US in scientific and technical discussions of the testing procedures required to assess and ensure the safety, quality and efficacy of medicines.
  • 3. Objectives of ICH 3 To increase international harmonization of technical requirements to ensure that safe, effective and high quality medicines are developed. To harmonize technical requirements for registration or marketing approval. To develop and register pharmaceuticals in the most efficient and cost effective manner. To promote public health. To prevent unnecessary duplication of clinical trials on humans. To minimize the use of animal testing without compromising safety and effectiveness ofdrug.
  • 4. ICH located  The ICH Secretariat is based in Geneva. The biennial meetings and conferences of the ICH Steering Committee rotate between the EU, Japan, and the USA.
  • 5. Goal of ICH 5 To promote international harmonization by bringing together representatives from the three ICH regions (EU, Japan and USA) To discuss and establish common guidelines. To make information available on ICH, ICH activities and ICH guidelines to any country or company that requests the information To promote a mutual understanding of regional initiatives in order to facilitate harmonization processes related to ICH guidelines regionally and globally To strengthen the capacity of drug regulatory authorities and industry to utilize them.
  • 6. Members of ICH • ICH is comprised of representatives from six parties that represent the regulatory bodies and research-based industry in the European Union, Japan and the USA. • In Japan, the members are the Ministry of Health, Labour and Welfare (MHLW), and the Japan Pharmaceutical Manufacturers Association (JPMA). • In Europe, the members are the European Union (EU), and the European Federation of Pharmaceutical Industries and Associations (EFPIA). • In the USA, the members are the Food and Drug Administration (FDA), and the Pharmaceutical Research and Manufacturers of America (PhRMA). • Additional members include Observers from the World Health Organization (WHO), European Free Trade Association (EFTA), and Canada. The Observers represent non-ICH countries and regions. 6
  • 7. Steps in the ICH process Step-1: The draft guideline goes to the different ICH regions for discussion in their respective regulatory regions Step-2: all comments obtained during stage 1 are addressed by the expert working group and after discussion, consensus is reached to prepare the step 3 Experts Draft Guideline. Step-3: The three regulatory sponsors initiate their normal consultation process to receive comments.
  • 8. Step-4 is reached when the Steering Committee agrees that there is sufficient scientific consensus on the technical issues. This endorsement is based on the signatures from the three regulatory parties to ICH affirming that the Guideline is recommended for adoption by the regulatory bodies of the three regions. Step-5: The process is complete when the guidelines are incorporated into national or regional internal procedures(implementation in the 3 ICH regions.)
  • 10. "Quality" Topics, i.e., those relating to chemical and pharmaceutical Quality Assurance (Stability Testing, Impurity Testing, etc.) Efficacy" Topics, i.e., those relating to clinical studies in human subject (Dose Response Studies, Good Clinical Practices, etc.) Safety" Topics, i.e., those relating to in vitro and in vivo pre-clinical studies (Carcinogenicity Testing, Genotoxicity Testing, etc.) Multidisciplinary" Topics, i.e., cross-cutting Topics which do not fit uniquely into one of the above categories.
  • 11. Quality Guidelines "Quality" Topics, i.e., those relating to chemical and pharmaceutical Quality Assurance (Stability Testing, Impurity Testing, etc.)
  • 12. Q1A-Q1F---STABILITY:  The purpose of stability testing is to provide evidence on how the quality of a drug substance or drug product varies with time under the influence of a variety of environmental factors such as temperature, humidity, and light, and to establish a re-test period for the drug substance or a shelf life for the drug product. Q1A (R2): Stability Testing of New Drug Substances and Products Q1B: Photostability Testing of New Drug Substances and Products • Give guidance on the basic testing protocol required to evaluate the light sensitivity and stability of new drugs and products
  • 13. Q1C:Stability Testing for New Dosage Forms Gives guidelines for new formulations of already approved medicines and defines the circumstances under which reduced stability data can be accepted. Q1D:Bracketing and Matrixing Designs forStability Testing of New Drug Substances and Products Q1E:Evaluation of Stability Data • This guideline addresses the evaluation of stability data that should be submitted in registration applications for new molecular entities and associated drug products. The guideline provides recommendations on establishing shelf lives for drug substances and drug products intended for storage at or below “room temperature”.
  • 14. Q1F: Stability Data Package for Registration Applications in Climatic Zones III and IV • Describes harmonised global stability testing requirements in order to facilitate access to medicines by reducing the number of different storage conditions. WHO conducted a survey amongst their member states to find consensus on 30°C/65% RH as the long- term storage conditions for hot-dry and hot-humid regions.
  • 15. Q2-Analytical validation Q2(R1):Validation of Analytical Procedures: Text and Methodology  The objective of validation of an analytical procedure is to demonstrate that it is suitable for its intended purpose  Gives validation parameters needed for a variety of analytical methods.  It also discusses the characteristics that must be considered during the validation of the analytical procedures
  • 16. • Types of Analytical Procedures to be validated are: • Identification tests; • Quantitative tests for impurities content; • Limit tests for the controlof impurities; • Quantitative tests of the active moiety in samples of drug substance or drug product or other selected components in the drug product. • Typical validation characteristics of analytical procedures Accuracy, Precision(Repeatability, IntermediatePrecision), Specificity, Detection Limit, Quantitation Limit, Linearity, Range.
  • 17. Q3A(R2):Impuritiesin NewDrugSubstances Q3A-Q3D----Impurities The guideline addresses the chemistry and safety aspects of impurities, including the listing of impurities, threshold limit, identification and quantification. Classification of Impurities: are of 3 types Organic impurities (process- and drug-related) Inorganic impurities Residual solvents
  • 18. Q3B(R2):Impurities in NewDrugProducts Q3C(R4):Impurities:Guideline forResidual Solvents Benzene 2ppm Carbon tetrachloride 4ppm Dichloromethane 5ppm Dichloroethane 8ppm Acetonitrile 410ppm Chloroform 60ppm Chlorobenzene 360ppm Formamide, Hexane 290ppm Toulene 890ppm Pyridine 200pm Nitromethane 50ppm Methanol 3000ppm
  • 19. Q4 :Pharmacopoeias Q4A:PharmacopoeialHarmonisation Q4B: Evaluation and Recommendation of PharmacopoeialTextsfor Usein the ICH Regions This document describes a process for the evaluation and recommendation given by the Q4B Expert Working Group (EWG) for selecting pharmacopoeial texts to facilitate their recognition by regulatory authorities for use, interchangeable in the ICH regions.
  • 20. • Q4B Annex 1: Evaluation and Recommendation of Pharmacopoeial Texts for Use in the ICH Regions on • • • • • • • • • • • • • • • Residue on Ignition/Sulphated Ash Annex 2:Test for Extractable Volume of Parenteral Preparations Annex 3: Test for Particulate Contamination: Sub-Visible Particles Annex 4A: Microbiological Examination of Non-Sterile Products: Microbial Enumeration Tests Annex 4B: Microbiological Examination of Non-Sterile Products: Tests for Specified Micro-organisms Annex 4C: Microbiological Examination of Non-Sterile Products: Acceptance Criteria for Pharmaceutical Preparations and Substances for Pharmaceutical Use Annex 5:Disintegration Test Annex 6: Uniformity of Dosage Units Annex 7: Dissolution Test Annex 8: Sterility Test Annex 9: Tablet Friability Annex 10: Polyacrylamide Gel Electrophoresis Annex 11: Capillary Electrophoresis Annex 12: Analytical Sieving Annex 13: Bulk Density and Tapped Density of Powders Annex14 :Bacterial Endotoxins Test
  • 21. Q5A-Q5E---Quality of biotechnological products: Q5A(R1): Viral Safety Evaluation of Biotechnology Products Derived from Cell Lines of Human or Animal Origin • • This document is concerned with testing and evaluation of the viral safety of biotechnology products derived from cell lines of human or animal origin (i.e., mammalian, avian, insect) The objective is to provide a general framework for virus testing experiments for the evaluation of virus clearance and the design of viral tests and clearance evaluation studies.
  • 22. • Three principal, complementary approaches have evolved to control the potential viral contamination of biotechnology products: a)selecting and testing cell lines and other raw materials, including media components, for the absence of undesirable viruses which may be infectious and/or pathogenic for humans; b)Testing the capacity of the processes to clear infectious viruses; c) testing the product at appropriate steps for absence of contaminating infectious viruses.
  • 23. Q5B:Quality of Biotechnological Products: Analysis of the Expression Construct in Cells Used for Production of r-DNA Derived Protein Products  This document presents guidance regarding the characterization of the expression construct for the production of recombinant DNA protein products in eukaryotic and prokaryotic cells.  expression construct should be analysed using nucleic acid techniques.
  • 24. Q5C:Quality of Biotechnological Products : Stability Testing of Biotechnological/Biological Products Q5D:Derivation and Characterisation of Cell Substrates Used for Production of Biotechnological/Biological Products • The objective of this guideline is to provide broad guidance on appropriate standards for cell substrates.
  • 25. Q5E:Comparability of Biotechnological/ Biological Products Subject to Changes in Their Manufacturing Process • The objective of this document is to provide principles for assessing the comparability of biotechnological/ biological products before and after changes are made in the manufacturing process for the drug substance or drug product. • Therefore, this guideline is intended to assist in the collection of relevant technical information which serves as evidence that the manufacturing process changes will not have an adverse impact on the quality, safety and efficacy of the drug product.
  • 26. Q6 :Specifications for New Drug Substances and Products • Bulk drug substance and final product specifications are key parts of the core documentation for world-wide product license applications. • This leads to conflicting standards for the same product, increased expenses and opportunities for error as well as a potential cause for interruption of product supply.
  • 27. Q6A: Specifications :Test Procedures and Acceptance Criteria for New Drug Substances and New Drug Products :Chemical Substances • The main objective of this guideline is toestablish a single set of global specifications for new drug substances and new drug products. • A specification is defined as a list of tests, references to analytical procedures, and appropriate acceptance criteria, which are numerical limits, ranges • This guideline addresses specifications, i.e., those tests, procedures, and acceptance criteria which play a major role in assuring the quality of the new drug substance and new drug product during shelf life.
  • 28. Universal Tests: • • The following tests are considered generally applicable to all new drug substances and drug products. Description Identification Assay Impurities • Specific Tests for drug substances : Physicochemical properties Particle size Polymorphic forms Tests for chiral new drug substances Water content Inorganic impurities Microbial limits
  • 29. • Specific Tests for drug products(oral dosage form): Particle size distribution: Dissolution Disintegration Hardness/friability Uniformity of dosage units: Microbial limits Antioxidant preservative content: Alcohol content: Rheological properties: Redispersibility
  • 30. • Specific Tests for drug products (Parenteral Drug Products): • • • • • • • • • • Uniformity of dosage units Particle size distribution pH (Osmolarity) Sterility Endotoxins/ Pyrogens Particulate matter Water content Antimicrobial preservative Antioxidant preservative content Functionality testing of delivery systems
  • 31. Q6B: Specifications :Test Procedures and Acceptance Criteria for Biotechnological/Biological Products • • This document provides guidance on justifying and setting specifications for proteins and polypeptides which are derived from recombinant or non-recombinant cell cultures. A valid biological assay to measure the biological activity should be provided by the manufacturer. • Examples of procedures used to measure biologicalactivity include: Animal-based biological assays, which measure an organism's biological response to the product; Cell culture-based biological assays, which measure biochemical or physiological response at the cellular level; Biochemical assays, which measure biological activities such as enzymatic reaction rates or biological responses induced by immunological interactions.
  • 32. Q7: Good Manufacturing Practice Guide for Active Pharmaceutical Ingredients • The main objective of this guideline is that to maintain the quality of the active pharmaceutical ingredients Personnel: Buildings and Facilities: Process equipment: Documentation and Records:
  • 33. Q8(R2): Pharmaceutical Development • • • This guideline is intended toprovide guidance on the contents of Pharmaceutical Development of drug products The aim of pharmaceutical development is to design a quality product and its manufacturing process to consistently deliver the intended performance of the product. The Pharmaceutical Development section also describe the type of dosage form and the formulation that are suitable for the intended use. Q8 gives information about Drug Substance, Excipients, Container Closure System.
  • 34. Q9: Quality Risk Management • • The purpose of this document is to offer a systematic approach to quality risk management. This guideline provides principles and tools for quality risk management that can be applied to all aspects of pharmaceutical quality including development, manufacturing, distribution; and the inspection and submission/review processes throughout the lifecycle of drug substances and drug (medicinal) products, biological and biotechnological products, including the use of raw materials, solvents, excipients, packaging and labeling materials.
  • 35. • PRINCIPLES OF QUALITY RISK MANAGEMENT • Two primary principles of quality risk management are: The evaluation of the risk to quality should be based on scientific knowledge and ultimately link to the protection of the patient; and The level of effort and documentation of the quality risk management process should be commensurate with the level ofrisk.
  • 36. General Quality Risk Management Process: R isk R e vi e w Risk Communication R isk Evaluation u n a c c e p t a b l e R isk C ontrol R isk Analysis R isk R eduction R isk Identification R e vi e w E ve n t s R isk Ac c e p t a n c e Initiate Quality R isk M a n a g e m e n t P r o c e s s R isk As s e s s m e n t O u t p ut / R esult of the Quality R isk M a n a g e m e n t P r o c e s s Risk Management tools
  • 37. Q10: Pharmaceutical Quality System • • This document establishes a new ICH tripartite guideline describing a model for an effective quality management system for the pharmaceutical industry, referred to as the Pharmaceutical Quality System. • comprehensive model for an effective pharmaceutical quality system is based on International Standards Organization (ISO) quality concepts, includes applicable Good Manufacturing Practice (GMP) regulations
  • 38. Status of Safety Topics Safety" Topics, i.e., those relating to in vitro and in vivo pre-clinical studies (Carcinogenicity Testing, Genotoxicity Testing, etc.) S1A-S1C---- Carcinogenicity studies: • • S1A: Guideline on the Need for Carcinogenicity Studies of Pharmaceuticals Carcinogenicity studies should be performed for any pharmaceutical whose expected clinical use is continuous for at least 6 months. This document provides a consistent definition of the circumstances under which it is necessary to undertake carcinogenicity studies on new drugs. These recommendations take into account the known risk factors as well as the intended indications and duration of exposure.
  • 39. • The objectives of carcinogenicity studies are to identify a tumorigenic potential in animals and to assess the relevant risk in humans. • S1B: Testing for Carcinogenicity of Pharmaceuticals This document provides guidance on the need to carry out carcinogenicity studies in both mice and rats, and guidance is also given on alternative testing procedures which may be applied without jeopardizing safety. • S1C(R2): Dose Selection for Carcinogenicity Studies of Pharmaceuticals This document addresses the criteria for the selection of the high dose to be used in carcinogenicity studies on new therapeutic agents to harmonize current practices and improve the design ofstudies.
  • 40. o S2– Genotoxicity: o S2(R1): Guidance on Genotoxicity Testing and Data Interpretation for Pharmaceuticals Intended for Human Use • This guidance is a combination of ICH S2A and S2B guidelines: o S2A: Guidance on Specific Aspects of Regulatory Genotoxicity Tests for Pharmaceuticals; • This document provided specific guidance and recommendations for in vitro and in vivo tests and on the evaluation of test results. It includes terms related to genotoxicity tests to improve consistency in applications.
  • 41. S2B: Genotoxicity: A Standard Battery for Genotoxicity Testing for Pharmaceuticals : This document addresses two fundamental areas of genotoxicity testing: the identification of a standard set of assays to be conducted for registration, and the extent of confirmatory experimentation in any particular genotoxicity assay in the standard battery. Registration of pharmaceuticals requires a comprehensive assessment of their genotoxic potential. It is clear that no single test is capable of detecting all relevant genotoxic agents. Therefore, the usual approach should be to carry out a battery of in vitro and in vivo tests for genotoxicity
  • 42. The purpose of this guideline is to optimize the standard genetic toxicology battery for prediction of potential human risks, and for interpretation of results, with the ultimate goal of improving risk characterization for carcinogenic effects that have their basis in changes in the genetic material.
  • 43. S3A –S3B--- Toxicokinetics and Pharmacokinetics: • • • • S3A: Note for Guidance on Toxicokinetics: The Assessment of Systemic Exposure in Toxicity Studies ICH guidelines do not require toxicokinetic studies to be conducted, except in pregnant, lactating animals, before initiating reproductive studies. In this context, toxicokinetics is defined as the generation of pharmacokinetic data, either as an integral component in the conduct of non-clinical toxicity studies or in specially designed supportive studies, in order to assess systemic exposure. • This document gives guidance on developing test strategies in toxicokinetics and the need to integrate these pharmacokinetics into toxicity testing, in order to aid in the interpretation of the toxicology findings and and their relevance to clinical safetyissues
  • 44. The primary objective of toxicokinetics is: to describe the systemic exposure achieved in animals and its relationship to dose level and the time course of the toxicity study.
  • 45. S3B: Pharmacokinetics: Guidance for Repeated Dose Tissue Distribution Studies • • Tissue distribution studies are essential in providing information on distribution and accumulation of the compound and/or metabolites, especially in relation to potential sites of action; this information may be useful for designing toxicology and pharmacology studies and for interpreting the results of these experiments. This document gives guidance, when the repeated dose tissue distribution studies should be considered (i.e., when appropriate data cannot be derived from other sources). It also gives recommendations on the conduct of such studies
  • 46. S4:Duration of Chronic Toxicity Testing in Animals (Rodent and Non-Rodent Toxicity Testing) The objective of this guidance is to set out the considerations that apply to chronic toxicity testing in rodents and non rodents as part of the safety evaluation of a medicinal product Rodents(a study of 6 months duration) Non-rodents(a study of nine months duration).
  • 47. S5: Detection of Toxicity to Reproduction for Medicinal Products & Toxicity to Male Fertility This document provides guidance on tests for reproductive toxicity. • • It defines the periods of treatment to be used in animals to better reflect human exposure to medical products and allow more specific identification of stages at risk. It should encourage the full assessment on the safety of chemicals on the development of the offspring.
  • 48. • S6: Preclinical Safety Evaluation of Biotechnology-Derived Pharmaceuticals This document covers the pre-clinical safety testing requirements for biotechnological products. It addresses the use of animal models of disease, determination of when genotoxicity assays and carcinogenicity studies should be performed, and the impact of antibody formation on duration of toxicology studies. The primary goals of preclinical safety evaluation are: 1)to identify an initial safe dose and subsequent dose in humans; 2)to identify potential target organs for toxicity and for the study of whether such toxicity is reversible; 3) to identify safety parameters for clinical monitoring.
  • 49. S7A: Safety Pharmacology Studies for Human Pharmaceuticals This guideline was developed to protect clinical trial participants and patients receiving marketed products from potential adverse effects of pharmaceuticals. This document addresses the definition, objectives and scope of safety pharmacology studies. It also addresses which studies are needed before initiation of Phase 1 clinical studies as well as information needed for marketing.
  • 50. S7B : The Nonclinical Evaluation of the Potential for Delayed Ventricular Repolarization (QT Interval Prolongation) By Human Pharmaceuticals This guideline describes a non-clinical testing strategy for assessing the potential of a test substance to delay ventricular repolarization. This guideline includes information concerning non- clinical assays and integrated risk assessments.
  • 51. S8 : Immunotoxicity Studies for Human Pharmaceuticals This guideline addresses the recommendations on nonclinical testing for immunosuppressant. The guideline might also apply to drugs in which clinical signs of immunosuppressant are observed during clinical trials and following approval to market. The term immunotoxicity in this guideline will primarily refer to immunosuppressant, i.e. a state of increased susceptibility to infections or the development of tumors.
  • 52. • S9: Nonclinical Evaluation for Anticancer Pharmaceuticals • • • This guideline provides information for pharmaceuticals that are only intended to treat cancer in patients with late stage or advanced disease regardless of the route of administration, including both small molecule and biotechnology- derived pharmaceuticals. It describes the type and timing of nonclinical studies in relation to the development of anticancer pharmaceuticals and references other guidance as appropriate. This guideline aims to facilitate and accelerate the development of anticancer pharmaceuticals and to protect patients from unnecessary adverse effects, while avoiding unnecessary use of animals and other resources
  • 53. Efficacy Guidelines Efficacy" Topics, i.e., those relating to clinical studies in human subject (Dose Response Studies, Good Clinical Practices, etc.)
  • 54. Clinical safety: E1-E2F---CLINICAL SAFETY:  E1: The Extent of Population Exposure to Assess Clinical Safety for Drugs Intended for Long- Term Treatment of Non-Life-Threatening Conditions • • This document gives recommendations on the number of patients and duration of exposure for the safety evaluation of drugs intended for the long-term treatment of non-life-threatening conditions This guidelines gives information on duration of drug exposure and its relationship to both time and magnitude of occurrence of adverse events
  • 55. E2A: Clinical Safety Data Management : Definitions and Standards • This document gives standard definitions and terminology for key aspects of clinical safety reporting. • It also gives guidance on mechanisms for handling adverse drug reactions in the investigational phase of drug development.
  • 56. E2B(R3): Clinical Safety Data Management Data Elements for Transmission of Individual Case Safety Reports • The objectives of the working group is to identify, define and standardize the data elements for the transmission of individual case safety reports(adverse reactions, adverse event reports). • Following its submission to ISO for development as an International Standard. Key parts of this updated guideline will be incorporated into the Implementation Guide for Electronic Transmission of Individual Case Safety Reports Message Specification which is currently available for public awareness.
  • 57. E2C(R1): Clinical Safety DataManagement: Periodic Safety Update Reports for Marketed Drugs This document gives guidance on the format and content of safety updates, which need to be provided at regular intervals to regulatory authorities to ensure maximum efficacy and to avoid duplication of marketed drugs .
  • 58. E2D: Post-Approval Safety Data Management: Definitions and Standards • • • This document provides a standardized procedure for post-approval safety data management. The definitions of the terms specific to post-approval phase are also provided. The practices of the data management were standardized in suchcases obtained from consumers, literatures, internets which are all specific to post- approval data management.
  • 59. E2E: Pharmacovigilance Planning • • • This guideline is intended to aid in planning pharmacovigilance activities, especially in preparation for the early post marketing of a new drug (in this guideline, the term "drug" denotes chemical entities, biotechnology-derived products, and vaccines). The main focus of this guideline is on a Safety Specification and Pharmacovigilance Plan that might be submitted at the time of license application. The guideline describes a method for summarizing the important identified risks of a drug, important potential risks, and important missing information, including the potentially at-risk populations and situations where the product is likely to be used that have not been studied. 62
  • 60. E2F: Development Safety Update Report • The main focus of the DSUR is collection of data from clinical trials of investigational drugs including biological’s, with or without a marketing approval. • The DSUR should provide safety information from all ongoing clinical trials that the sponsor is conducting or has completed during the review period including: clinical trials conducted using an investigational drug whether with or without a marketing approval, i.e., human pharmacology, therapeutic exploratory and therapeutic confirmatory trials (Phase I – III) clinical trials conducted using marketed drugs in approved indications, i.e., therapeutic use trials (Phase IV); other therapeutic use of an investigational drug; comparability trials conducted to support changes in the manufacturing process of medicinal products 63
  • 61. E3: Structure and Content of Clinical Study Reports • This document describes the format and content of a study report that will be acceptable in all three ICH regions. It consists of a core report suitable for all submissions and appendices. • The clinical study report described in this guideline is an integrated full report of an individual study of any therapeutic, prophylactic or diagnostic agent (referred to herein as drug or treatment) conducted in patients. 64
  • 62. The guideline is intended to assist sponsors for the development of a report that is complete, free from ambiguity, well organized and easy to review STRUCTURE AND CONTENT OF CLINICAL STUDY REPORTS • • • • Title page Table of contents for the individual clinical study report List of abbreviations and definition ofterms Ethics (ethical conduct of the study, patient information and consent ) 65
  • 63. • Investigators and study administrative structure Introduction Study objectives • • • • • • • • Overall study design and plan - description Selection of study population Selection of doses in the study Efficacy and safety variables Efficacy results and tabulations of individual patient data Safety evaluation
  • 64. E4: Dose-Response Information to Support Drug Registration  This document gives recommendations on the design and conduct of studies to assess the relationship between doses, blood levels and clinical response throughout the clinical development of a new drug. This information can help in identifying an appropriate starting dose, to adjust dosage to the needs of a particular patient, and a dose beyond which unacceptable side effects are seen.
  • 65. E5(R1): Ethnic Factors in the Acceptability of Foreign Clinical Data • • • The purpose of this guidance is to facilitatethe registration of medicines among ICH regions. This document addresses the intrinsic characteristics of the drug recipient and extrinsic characteristics associated with environment and culture that could affect the results of clinical studies carried out in regions Describes the concept of the "bridging study" that a new region may request to determine whether data from another region are applicable to its population.
  • 66. E6(R1): Good Clinical Practice : Consolidated Guideline • • • Good Clinical Practice (GCP) is an international ethical and scientific quality standard for designing, conducting, recording and reporting trials that involve the participation of human subjects. This Good Clinical Practices document describes the responsibilities and expectations of all participants in the conduct of clinical trials, including investigators, monitors, sponsors . GCPs cover aspects of monitoring, reporting and achieving of clinical trials and incorporating these into Essential Documents and on the Investigator's Brochure.
  • 67. E7-E11----CLINICAL TRIALS: E7: Studies in Support of Special Populations : Geriatrics This document provides recommendations on the special considerations which apply in the design and conduct of clinical trials of medicines that are likely to have significant use in the elderly. E.g.: New Molecular Entities that are likely to have significant use in the elderly, because the disease intended to be treated is characteristically a disease of ageing ( e.g., Alzheimer's disease)
  • 68. E8: General Considerations for Clinical Trials This document sets out the general scientific principles for the conduct, performance and control of clinical trials. The guideline addresses a wide range of subjects in the design and execution of clinical trials. The ICH document "General Considerations for Clinical Trials" is intended to: (a) describe internationally accepted principles and practices in the conduct of both individual clinical trials and overall development strategy for new medicinal products
  • 69. (b) facilitate the evaluation and acceptance of foreign clinical trial data by promoting common understanding of general principles c) present an overview of the ICH clinical safety and efficacy documents and facilitate the user's access to guidance (d) provide a separate glossary of terms used in the ICH clinical safety and efficacy related documents that pertain to clinical trials
  • 70. E9: Statistical Principles for Clinical Trials  This biostatistical guideline describes essential considerations on the design and analysis of clinical trials, especially the "confirmatory" (hypothesis-testing) trials that are the basis for demonstrating effectiveness
  • 71. E10: Choice of Control Group and Related Issues in Clinical Trials • This document addresses the choice of control groups in clinical trials.  Control groups in clinical trials can be classified on the basis of two critical attributes: (1) the type of treatment used and (2) the method of determining who will be in the control group. The type of control treatment may be any of the following four: (1) placebo, (2) no treatment, (3) different dose or regimen of the study treatment, or (4) a different active treatment. • •
  • 72. E11: Clinical Investigation of Medicinal Products in the Pediatric Population • • • • • • • This document addresses the conduct of clinical trials of medicines in pediatric populations. This document will facilitate the development of safe and effective use of medicinal productin pediatrics. Specific clinical study include: (1)timing of initiation of pediatric studies during medicinal product development; (2)types of studies (pharmacokinetic, pharmacokinetic/ pharmacodynamic (PK/PD), efficacy, safety); (3) age categories; (4) ethics of pediatric clinical investigation.
  • 73. E12-Guidelines for Clinical Evaluation by Therapeutic Category The ICH Efficacy Guidelines are applicable to all therapeutic classes of drugs, but there are some therapeutic classes which need individual drug evaluation guidelines among the three regions.
  • 74. E12: Principles for Clinical Evaluation of New Antihypertensive Drugs This document provides general principles for the clinical evaluation of new anti-hypertensive drugs. It describes core principles for the evaluation of antihypertensives that are accepted in the three ICH regions, but some region-specific differences remain, therefore this document should be considered an "ICH Principle Document" rather than an "ICH Guideline".
  • 75. E14:The Clinical Evaluation of QT/QTc Interval Prolongation and Pro-Arrhythmic Potential for Non-Antiarrhythmic Drugs • This document provides recommendations to sponsors concerning the design, conduct, analysis, and interpretation of clinical studies to assess the potentialof a drug to delay cardiac repolarization. • This assessment should include testing the effects of new agents on the QT/QTc interval as well as the collection of cardiovascular adverse events. • The investigational approach used for a particular drug should be individualized, depending on the pharmacodynamic, pharmacokinetic, and safety characteristics of the product, as well as on its proposed clinical use.
  • 76. E15: Definitions for Genomic Biomarkers, Pharmacogenomics, Pharmacogenetics, Genomic Data and Sample Coding Categories • • In order to develop harmonised approaches to drug regulation, it is important to ensure that consistent definitions of terminology are being applied across all constituents of the International Conference on Harmonisation (ICH). An agreement on definitions will facilitate the harmonization in the discipline of pharmacogenomics and pharmacogenetics for global drug development and approval processes.
  • 77. E16: Genomic Biomarkers Related to Drug Response: Context, Structure and Format of Qualification Submissions The guideline describes recommendations regarding context, structure, and format of regulatory submissions for qualification of genomic biomarkers(E15). clinical and non-clinical genomic biomarkers related to drug response including pharmacokinetics, pharmacodynamics,efficacy and safety aspects.
  • 78. • Multidisciplinary Guidelines "Multidisciplinary" Topics, i.e., Topics which do not fit uniquely into one of the above categories (MedDRA, ESTRI, M3, CTD, M5)
  • 79. M1 Medical Terminology • • • New Medical Dictionary for Regulatory Activities Terminology (MedDRA) was developed by the working group of ICH and is owned by the International Federation of Pharmaceutical Manufacturers and Associations (IFPMA) acting as trustee for the ICH steering committee. It provides an international medical dictionary applicable to all phases of product development. Its goal is to provide a comprehensive and specific terminology to help standardize, facilitate and simplify regulatory processes.
  • 80. M2 Electronic Standards for Transmission of Regulatory Information (ESTRI) Facilitate international electronic communication by evaluating and recommending the specifications The first Specification developed by the M2 EWG was the Individual Case Safety Report (ICSR), created as the electronic message for the ICH E2B(R2) The second Specification developed by the M2 EWG was the Electronic Common Technical Document (eCTD) created as the electronic message for the Common Technical Document developed by the ICH M4. ICH M2 has initiated the development of the Next Major Version of the eCTD (eCTD NMV) to improve robustness, flexibility and long term stability of the message. 83
  • 81. • M3(R2): Guidance on Non-Clinical Safety Studies for the Conduct of Human Clinical Trials and Marketing Authorization for Pharmaceuticals • • The present guidance represents the consensus that exists regarding the type and duration of nonclinical safety studies and their timing to support the conduct of human clinical trials and marketing authorization for pharmaceuticals. The nonclinical safety assessment for marketing approval of a pharmaceutical usually includes pharmacology studies, general toxicity studies, toxicokinetic and nonclinical pharmacokinetic studies, reproduction toxicity studies, genotoxicity studies and, for drugs that have special cause for concern or are intended for a long duration of use 84
  • 82. The goals of the nonclinical safety evaluation generally include a characterisation of toxic effects with respect to target organs, dose dependence, relationship to exposure, and, when appropriate,potential reversibility.  This information is used to estimate an initial safe starting dose and dose range for the human trials and to identify parameters for clinical monitoring for potential adverse effects.
  • 83. M4:The Common Technical Document • • • The Common Technical Document provides a harmonised structure and format for new product applications. The Common Technical Document was agreed upon in November 2000 in San Diego, USA. This Common Technical Document is divided into four separate sections. The four sections address the application organisation (M4 organise), the Quality section (M4Q), the Safety section (M4S) and the Efficacy section (M4E) of the harmonised application. An electronic version of the Common Technical Document (eCTD) developed by the eCTD Implementation Working Group. The Electronic Common Technical Document (eCTD) allows for the electronic submission of the Common Technical Document (CTD) by an applicant toregulator
  • 84. M5: Data Elements and Standards for Drug Dictionaries • • This document provides guidance on the harmonized standards related to core sets of medicinal product information and medicinal product terminology. Facilitate the exchange and practical use of medicinal product data by regulators and pharmaceutical industry.