Recovery Animals in Toxicology Studies: An Innovation and Quality Consortium Perspective on Best Practices With Case Study Examples

Author:

Salian-Mehta Smita1ORCID,Smith James D.2ORCID,Flandre Thierry D.3,Lambert Amy L.4,Lane Joan H.5,Stokes Alan H.6ORCID,Orsted Kathy1,Bratcher-Petersen Natalie A.7,Janardhan Kyathanahalli S.8,Tonkin Elizabeth G.9

Affiliation:

1. Gilead Sciences Inc., Foster City, CA, USA

2. Boehringer Ingelheim Pharma Inc, Ridgefield, CT, USA

3. Novartis Institutes for Biomedical Research, Basel, Switzerland

4. Roche Pharmaceutical Research and Early Development, Zürich, Switzerland

5. Amgen, Thousand Oaks, CA, USA

6. GSK, Collegeville, PA, USA

7. TLR Ventures, Redwood City, CA, USA

8. Merck & Co., Inc., Rahway, NJ, USA

9. Genentech, Inc, South San Francisco, CA, USA

Abstract

The inclusion of recovery animals in nonclinical safety studies that support clinical trials is undertaken with a wide diversity of approaches even while operating under harmonized regulatory guidance. While empirical evaluation of reversibility may enhance the overall nonclinical risk assessment, there are often overlooked opportunities to reduce recovery animal use by leveraging robust scientific and regulatory information. In the past, there were several attempts to benchmark recovery practices; however, recommendations have not been consistently applied across the pharmaceutical industry. A working group (WG) sponsored by the 3Rs Translational and Predictive Sciences Leadership Group of the IQ Consortium conducted a survey of current industry practice related to the evaluation of reversibility/recovery in repeat dose toxicity studies. Discussion among the WG representatives included member company strategies and case studies that highlight challenges and opportunities for continuous refinements in the use of recovery animals. The case studies presented in this paper demonstrate increasing alignment with the Society of Toxicologic Pathology recommendations (2013) towards (1) excluding recovery phase cohorts by default (include only when scientifically justified), (2) minimizing the number of recovery groups (e.g., control and one dose level), and (3) excluding controls in the recovery cohort by leveraging external and/or dosing phase data. Recovery group exclusion and decisions regarding the timing of reversibility evaluation may be driven by indication, modality, and/or other scientific or strategic factors using a weight of evidence approach. The results and recommendations discussed present opportunities to further decrease animal use without impacting the quality of human risk assessment.

Publisher

SAGE Publications

Reference24 articles.

1. Society of Toxicologic Pathology Position Paper on Best Practices on Recovery Studies

2. ICH-S9. Nonclinical evaluation for anticancer pharmaceuticals 2009. https://database.ich.org/sites/default/files/S9_Guideline.pdf

3. ICH-S6(R1). Preclinical safety evaluation of biotechnology-derived pharmaceuticals 2011. https://database.ich.org/sites/default/files/S6_R1_Guideline_0.pdf

4. M3(R2) I. Guidance on nonclical safety studies for the conduct of human clinical trials and marketing authorization for pharmaceuticals 2009. https://database.ich.org/sites/default/files/M3_R2__Guideline.pdf

5. &A I-SQ. Questions and answers: nonclinical evaluation for anticancer pharmaceuticals 2018. https://database.ich.org/sites/default/files/S9_Q%26As_Q%26As.pdf

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