Clinical Pharmacology Unit, Department of Internal Medicine and Therapeutics, University of Pavia, Pavia, Italy.
Epileptic Disord. 2012 Jun;14(2):124-31. doi: 10.1684/epd.2012.0511.
Designs used to evaluate the efficacy and safety of antiepileptic drugs (AEDs) have evolved considerably over the years. A major impulse to develop methodologically sound randomised controlled trials dates back to the Kefauver-Harris Drug Amendment of 1962, through which the US congress introduced the requirement of substantial evidence for proof of efficacy in a new drug application. The mainstay for the initial approval of most new AEDs has been, and still is, the placebo-controlled adjunctive therapy trial, which evolved over the years from the cross-over to the parallel-group design. In the early days, when few AEDs were available, enrolment of patients into these trials was relatively easy and prolonged placebo exposure could be justified by lack of alternative treatment options. With more than 20 drugs now available to treat epilepsy, however, exposing patients to placebo or to a potentially ineffective investigational agent faces practical and ethical concerns. Recruitment difficulties have led sponsors to markedly increase the number of trial sites, but there is evidence that this may adversely affect the ability to differentiate between effective and ineffective treatments. Methodological and practical difficulties are also encountered with monotherapy trials. Because regulatory guidelines for monotherapy approval differ between Europe and the US, sponsors need to pursue separate and costly development programs on the two sides of the Atlantic. Moreover, the scientific validity of the monotherapy trial paradigms currently used in Europe (the non-inferiority design) and in the US (the conversion to monotherapy design with historical controls) has been questioned. This article will review these issues in some detail and discuss how trial designs and regulatory approval processes may evolve in the future to address these concerns.
多年来,用于评估抗癫痫药物 (AED) 疗效和安全性的设计已经有了很大的发展。将方法学合理的随机对照试验发展起来的主要动力可以追溯到 1962 年的 Kefauver-Harris 药物修正案,通过该修正案,美国国会提出了在新药申请中证明疗效需要实质性证据的要求。最初批准大多数新的 AED 的主要方法仍然是安慰剂对照辅助治疗试验,该试验多年来从交叉设计演变为平行组设计。在早期,当可用的 AED 很少时,这些试验的患者入组相对容易,并且由于缺乏替代治疗选择,可以为延长安慰剂暴露辩护。然而,现在有超过 20 种药物可用于治疗癫痫,使患者暴露于安慰剂或潜在无效的研究药物面临实际和伦理问题。由于招募困难,赞助商已经显著增加了试验地点的数量,但有证据表明,这可能会对区分有效和无效治疗产生不利影响。单药治疗试验也遇到了方法学和实际困难。由于欧洲和美国的单药治疗批准监管指南不同,赞助商需要在大西洋两岸分别进行单独的、昂贵的开发项目。此外,目前在欧洲(非劣效性设计)和美国(用历史对照进行的转换为单药治疗设计)中使用的单药治疗试验范式的科学有效性受到了质疑。本文将详细回顾这些问题,并讨论未来试验设计和监管审批流程如何发展以解决这些问题。