GUIDELINES FOR THE REGULATION OF GENETICALLY ENGINEERED ANIMALS

2013 ◽  
Vol 25 (1) ◽  
pp. 322

The FDA has been regulating genetically engineered (GE) animals under the new animal drug provisions of the Federal Food, Drug, and Cosmetic Act (FD&C Act or the Act) since producers of these animals first approached the agency in the mid-1990s, although it did not issue a final Guidance for Industry clarifying its statutory authority until 2009 (Regulation of Genetically Engineered Animals Containing Heritable rDNA Constructs: http://www.fda.gov/downloads/AnimalVeterinary/GuidanceComplianceEnforcement/GuidanceforIndustry/UCM113903.pdf). The regulatory trigger that enables the regulation of these animals under the new animal drug provisions of the Act is the definition of a drug as “an article (other than food) that is intended to affect the structure or any function of the body of man or other animals.” The products of modern biotechnology (such as spliced recombinant DNA) are technically the “articles” that must be approved, but for shorthand, we often refer to the regulation of “genetically engineered” animals. For the purpose of the guidance, FDA defined “genetically engineered (GE) animals” as those animals modified by rDNA techniques, including all progeny that contain the modification. The term GE animal can refer both to an animal with a heritable rDNA construct or its residues and to an animal with a nonheritable rDNA construct (e.g. a construct intended as therapy for a disease in that animal). If the agency engages in an “action,” such as an approval, obligations under the National Environmental Policy Act (NEPA) are triggered, such that the agency must perform an environmental assessment to determine whether a significant impact is likely to occur on the environment of the United States. If not, the agency issues a Finding of No Significant Impact (FONSI). If a significant impact is likely to occur as the result of an agency action, the agency must engage in a more complex process to characterise that impact in an Environmental Impact Statement (EIS). This regulation is consistent with the Coordinated Framework for the Regulation of Biotechnology, a policy that was first issued by issued by the Office of Science and Technology Policy [51 Fed Reg 23,302 (1986)] of the United States Government. It describes the interagency mechanism for “sharing scientific information related to biotechnology,” and states that, to the extent possible, jurisdiction of the products of biotechnology lies with a single agency. Where more than one agency will review a particular product, “the policy establishes a lead agency and consolidated or coordinated reviews.” Consistent with this policy, FDA has leveraged, and intends to continue to leverage, the expertise of other agencies in the review of GE animal-related applications. Under certain conditions, based on risk, the agency may not enforce the premarket approval requirement for some GE animals. In general, these include GE animals of non-food species that are regulated by other government agencies or entities, such as GE animals of non-food species that are raised and used in contained and controlled conditions such as GE laboratory animals (e.g. mice, rats, some model fish) used in research institutions. In addition, on a case-by-case basis, the agency may consider exercising enforcement discretion for GE animals of very low risk, non-food species GE animals, such as the Zebra danio aquarium fish genetically engineered to fluoresce in the dark (GloFish). An exemption from the prohibition on introducing an unapproved new animal drug in interstate commerce is provided for in the regulations covering “investigations,” which allow for lawful research to occur, including the shipping of GE animals or their gametes from the sponsor of an investigation to other qualified investigators. These and other responsibilities are outlined in GFI 187, as are recommendations for the submission of data to be reviewed by CVM’s hierarchical risk-based review, and will be the subject of this talk.

1932 ◽  
Vol 26 (3) ◽  
pp. 497-526 ◽  
Author(s):  
Clarence A. Berdahl

The Council of the League of Nations being commonly considered in the United States as the League's supreme organ, as the body which represents par excellence the League system and spirit, it would seem obvious that there should have been the greater hesitation, in view of our non-membership in the League and our official anti-League declarations, to have direct relations with it. Nevertheless, the record reveals that it has been impossible for the United States government to ignore the Council consistently, and that, as a matter of fact, official relationships of one kind or another have been occasionally entered into with that body also. These relationships have, in the first place, taken the form of direct correspondence between the Council and the United States, which has been carried on at intermittent periods and on various subjects, but which has involved every Administration, and which by this time amounts to a considerable volume.


2010 ◽  
Vol 43 (01) ◽  
pp. 127-131 ◽  
Author(s):  
Leonard Champney ◽  
Paul Edleman

AbstractThis study employs the Solomon Four-Group Design to measure student knowledge of the United States government and student knowledge of current events at the beginning of a U.S. government course and at the end. In both areas, knowledge improves significantly. Regarding knowledge of the U.S. government, both males and females improve at similar rates, those with higher and lower GPAs improve at similar rates, and political science majors improve at similar rates to non-majors. Regarding current events, males and females improve at similar rates. However, those with higher GPAs and political science majors improve more than others.


1963 ◽  
Vol 17 (1) ◽  
pp. 226-230

The Security Council discussed this question at its 1022nd–1025th meetings, on October 23–25, 1962. It had before it a letter dated October 22, 1962, from the permanent representative of the United States, in which it was stated that the establishment of missile bases in Cuba constituted a grave threat to the peace and security of the world; a letter of the same date from the permanent representative of Cuba, claiming that the United States naval blockade of Cuba constituted an act of war; and a letter also dated October 22 from the deputy permanent representative of the Soviet Union, emphasizing that Soviet assistance to Cuba was exclusively designed to improve Cuba's defensive capacity and that the United States government had committed a provocative act and an unprecedented violation of international law in its blockade.


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