Sherr-Una Booker v. C. R. Bard, Inc. ( 2020 )


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  •                    FOR PUBLICATION
    UNITED STATES COURT OF APPEALS
    FOR THE NINTH CIRCUIT
    IN RE BARD IVC FILTERS                 No. 18-16349
    PRODUCT LIABILITY
    LITIGATION,                              D.C. Nos.
    2:15-md-02641-DGC
    2:16-cv-00474-DGC
    SHERR-UNA BOOKER,
    Plaintiff-Appellee,
    OPINION
    v.
    C. R. BARD, INC., a New Jersey
    corporation; BARD PERIPHERAL
    VASCULAR, INC., a subsidiary
    and/or Division of defendant
    C.R. Bard, Inc., an Arizona
    corporation,
    Defendants-Appellants.
    Appeal from the United States District Court
    for the District of Arizona
    David G. Campbell, District Judge, Presiding
    Argued and Submitted February 3, 2020
    Phoenix, Arizona
    Filed August 13, 2020
    2       IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    Before: Susan P. Graber, Andrew D. Hurwitz,
    and Eric D. Miller, Circuit Judges.
    Opinion by Judge Miller
    SUMMARY *
    Preemption / Medical Devices
    The panel affirmed the district court’s judgment in favor
    of a plaintiff who brought product-liability claims based on
    injuries she sustained from a medical device designed and
    manufactured by C.R. Bard, Inc.
    Plaintiff brought this action in the District of Arizona as
    part of a multidistrict litigation, asserting claims under
    Georgia law. Bard filed an omnibus motion for summary
    judgment for all cases in the multidistrict litigation, arguing
    that the federal Medical Device Amendments of 1976
    preempted all state-law claims.
    The case involved Bard’s G2 Filter – an “intravascular
    filter” that the Food and Drug Administration (“FDA”)
    reclassified as a Class II device with three “special controls.”
    The panel held that, because Bard’s preemption defense
    presented a purely legal question, the panel would consider
    the merits of the district court’s denial of its motion for
    summary judgment. The panel held that Bard’s preemption
    *
    This summary constitutes no part of the opinion of the court.
    It has been prepared by court staff for the convenience of the reader.
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.           3
    argument failed because plaintiff’s claim rested on an
    asserted state-law duty to warn of the risks posed by the
    particular design of Bard’s G2 Filter, and the FDA had not
    imposed any requirements related to the design of that
    device or how a device of that design should be labeled.
    Bard next argued that the district court erred in denying
    summary judgment on plaintiff’s negligent failure-to-warn
    claim because Georgia law did not recognize a duty to warn
    of the comparative risks posed by different products. The
    panel held that Georgia courts had not adopted a categorical
    prohibition on basing a failure-to-warn claim on the absence
    of a comparative warning. The panel concluded that the
    district court correctly allowed a jury to decide the adequacy
    of the warning here.
    Bard argued that the district court erred by denying its
    renewed motion for judgment as a matter of law, which
    challenged the evidentiary sufficiency for the punitive
    damages award. The panel held that Bard’s challenge to the
    punitive damages award was largely derivative of its
    argument that it had no duty to warn of comparative risks.
    The panel concluded that the evidence was adequate to
    support the jury’s award of punitive damages.
    COUNSEL
    James C. Martin (argued), Michael K. Brown, and Kasey J.
    Curtis, Reed Smith LLP, Los Angeles, California; Richard
    B. North Jr., Nelson Mullins Riley & Scarborough LLP,
    Atlanta, Georgia; for Defendants-Appellants.
    David C. Frederick (argued), Brendan J. Crimmins, and
    Collin R. White, Kellogg Hansen Todd Figel & Frederick
    4      IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    P.L.L.C., Washington, D.C.; Ramon Rossi Lopez and
    Joshua Mankoff, Lopez McHugh LLP, Newport Beach,
    California; Julia Reed Zaic, Heaviside Reed Zaic, Laguna
    Beach, California; for Plaintiff-Appellee.
    Chilton Davis Varner and J. Franklin Sacha Jr., King &
    Spalding LLP, Atlanta, Georgia, for Amicus Curiae Product
    Liability Advisory Council Inc.
    Robert S. Peck, Center for Constitutional Litigation P.C.,
    Washington, D.C.; Elise Sanguinetti, President, American
    Association for Justice, Washington, D.C.; for Amicus
    Curiae American Association for Justice.
    OPINION
    MILLER, Circuit Judge:
    Sherr-Una Booker sued C. R. Bard, Inc. and Bard
    Peripheral Vascular, Inc. (collectively, “Bard”), asserting
    product-liability claims based on injuries she sustained from
    a medical device designed and manufactured by Bard. The
    jury found Bard liable for negligent failure to warn,
    awarding $1.6 million in compensatory damages and
    $2 million in punitive damages. On appeal, Bard argues that
    the district court erred by denying summary judgment on its
    preemption defense, that a failure-to-warn claim is
    unavailable in these circumstances, and that the award of
    punitive damages was not supported by the evidence. We
    affirm.
    I
    For more than a century, the Food and Drug
    Administration has been responsible for approving new
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.             5
    drugs before they enter the market. See 
    21 U.S.C. § 301
     et
    seq. Until 1976, however, medical devices were not subject
    to FDA regulation. In the Medical Device Amendments of
    1976 (MDA), Pub. L. No. 94-295, 
    90 Stat. 539
    , Congress
    provided for FDA regulation of medical devices.
    The MDA directs the FDA to divide medical devices into
    three classes based on the level of risk they present, and it
    provides for different regulation of each class. 21 U.S.C.
    § 360c(a)(1). Class I, the lowest-risk category, comprises
    products such as bandages and tongue depressors. Class I
    devices are subject to “general controls” such as labeling
    requirements. Id. § 360c(a)(1)(A). Class II devices are those
    for which general controls “are insufficient to provide
    reasonable assurance of . . . safety and effectiveness.” Id.
    § 360c(a)(1)(B). In addition to being subject to general
    controls, Class II devices are subject to “special controls”
    such as “performance standards, postmarket surveillance,
    . . . recommendations, and other appropriate actions as the
    [FDA] deems necessary” to ensure safety and effectiveness.
    Id. Class III devices, the highest-risk category, are devices
    that cannot be determined to provide a “reasonable assurance
    of . . . safety and effectiveness” under Class I or II controls,
    and that either are marketed as life-supporting devices or
    pose an unreasonable risk of illness or injury. Id.
    § 360c(a)(1)(C).
    Class III devices are generally subject to premarket
    approval by the FDA. 21 U.S.C. § 360e. Premarket approval
    is a rigorous process that requires the manufacturer to submit
    a detailed application including studies of the device’s safety
    and effectiveness. See id. § 360e(c)(1); Riegel v. Medtronic,
    Inc., 
    552 U.S. 312
    , 317–18 (2008). The FDA may approve
    the device only if has “reasonable assurance” that the device
    is safe and effective. 21 U.S.C. § 360e(d)(2)(A)–(B).
    6      IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    By contrast, Class I and II devices are generally subject
    to a far less rigorous process referred to as section “510(k)
    approval,” Riegel, 
    552 U.S. at 322
    , which requires the
    manufacturer to show only that the device is “substantially
    equivalent” to an existing Class I or Class II device.
    21 U.S.C. § 360c(f)(1)(A)(ii); see Medtronic, Inc. v. Lohr,
    
    518 U.S. 470
    , 478–79 (1996). To grant approval, the FDA
    must find that the device “has the same technological
    characteristics as the predicate device,” or, if the device has
    different technological characteristics, that it “is as safe and
    effective as a legally marketed device, and . . . does not raise
    different questions of safety and effectiveness than the
    predicate device.” 21 U.S.C. § 360c(i)(1)(A).
    This case involves an “intravascular filter,” a device used
    in patients who have, or are at risk of developing, blood clots
    in the veins in their legs. Such clots can migrate to arteries
    in the lungs, causing a pulmonary embolism, a potentially
    life-threatening condition. Physicians can prescribe
    medications to inhibit clotting and prevent the formation of
    blood clots. But not all patients are able to use such
    medications. For those patients, physicians may prescribe an
    intravascular filter, which is implanted in the inferior vena
    cava, a large vein through which blood returns to the heart
    from the lower body. There, the filter can intercept clots
    before they travel to the lungs. (To visualize the filter,
    imagine the frame of an umbrella turned inside out by the
    wind. The spokes of the umbrella have small hooks that hold
    the structure in place on the walls of the vein.)
    Until 2000, intravascular filters were regulated as
    Class III devices. In that year, the FDA issued a final rule
    reclassifying them as Class II devices and adopting three
    “special controls.” 
    21 C.F.R. § 870.3375
    (b); see Medical
    Devices; Reclassification of 28 Preamendments Class III
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.              7
    Devices into Class II, 
    65 Fed. Reg. 17,138
    , 17,144 (Mar. 31,
    2000). The first special control is the “Use of International
    Standards Organization’s ISO 10993 ‘Biological Evaluation
    of Medical Devices Part I: Evaluation and Testing,’”
    
    21 C.F.R. § 870.3375
    (b)(1),       which       relates     to
    biocompatibility and seeks to reduce “potential adverse
    tissue reactions” associated with “devices that contact the
    body.”      Medical       Devices;      Reclassification       of
    38 Preamendments Class III Devices into Class II, 
    64 Fed. Reg. 12,774
    , 12,777 (Mar. 15, 1999). The second special
    control is the “510(k) Sterility Review Guidance and
    Revision      of      2/12/90       (K90-1),”     
    21 C.F.R. § 870.3375
    (b)(2)(i), which relates to sterilization and sets
    out “information about the use and application of national
    and international sterility consensus standards for devices to
    be labeled as ‘sterile’” so as to reduce “[t]he potential risk of
    infection.” 64 Fed. Reg. at 12,777. The third special control
    is the “Guidance for Cardiovascular Intravascular Filter
    510(k) Submissions,” 
    21 C.F.R. § 870.3375
    (b)(2)(ii), which
    sets forth certain “labeling, biocompatibility testing,
    mechanical testing, sterilization procedures and labeling,
    and clinical data controls” related to intravascular filters,
    64 Fed. Reg. at 12,778.
    Bard manufactures several different intravascular filters,
    including the G2 Filter, which received section 510(k)
    approval in 2005. Bard distributed the G2 Filter with a label
    addressing various potential complications, including
    “fracture” (the filter breaks into pieces), “migration” (the
    filter moves from where the physician implanted it), and
    “perforation” (the filter, or fragments of the filter, punctures
    the wall of the vein). After it began selling the G2 Filter,
    Bard received reports of complications associated with the
    filter and conducted various internal analyses to review those
    risks. Its analysis revealed that the G2 Filter’s rates of
    8      IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    fracture, migration, and perforation were significantly
    higher than those of other competing filters. Bard did not
    include that information in the product’s labeling.
    In 2007, Booker’s physician implanted a G2 filter in her
    inferior vena cava. Several years later, after Booker began to
    experience severe pain, an examination revealed that the
    filter had fractured and perforated her inferior vena cava. She
    underwent two surgeries to attempt to remove the filter and
    its fractured pieces, but the surgeries were only partially
    successful, and one piece of the filter remains embedded in
    the wall of her inferior vena cava.
    Booker brought this action against Bard in the District of
    Arizona as part of a multidistrict litigation involving
    thousands of similar cases. Booker is a resident of Georgia,
    and she asserted design-defect and failure-to-warn claims
    under Georgia law, which the parties agree governs this case.
    Bard filed an omnibus motion for summary judgment for
    all cases in the multidistrict litigation, arguing that the MDA
    preempted all state-law claims. Bard relied in part on the
    MDA’s express preemption clause, which preempts any
    state “requirement . . . which is different from, or in addition
    to, any requirement applicable under this chapter to the
    device, and . . . which relates to the safety or effectiveness of
    the device or to any other matter included in a requirement
    applicable to the device under this chapter.” 21 U.S.C.
    § 360k(a). The district court denied the motion, reasoning
    that the MDA preempts state law only when the FDA has
    established “device-specific requirements,” and concluding
    that the agency had not done so here.
    After Booker’s case was selected for trial, Bard filed a
    motion for partial summary judgment on all of Booker’s
    claims, apart from the design-defect claims. As relevant
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.            9
    here, Bard argued that Booker’s failure-to-warn claims were
    contrary to Georgia law. According to Bard, Georgia
    imposes on manufacturers a duty to warn of the risks posed
    by their products but does not impose a duty to warn about
    how those risks compare to the risks posed by other
    competing products. The district court denied summary
    judgment, concluding that the adequacy of the warning was
    a question for the jury.
    At trial, the jury found Bard liable for negligent failure
    to warn, awarding $1.6 million in compensatory damages
    and $2 million in punitive damages. The jury found for Bard
    on the other claims. After trial, Bard challenged the
    sufficiency of the evidence to support the punitive damages
    award, but the district court held that the evidence, construed
    in favor of the verdict, “supported a finding that despite
    knowing that G2 filters placed patients at a greater risk of
    harm, Bard chose not to warn physicians and instead
    downplayed the risk.”
    Bard appeals.
    II
    We first consider whether Bard’s preemption argument
    is properly before us. Bard raised its preemption defense
    only in its motion for summary judgment; it did not reassert
    the defense in a motion for judgment as a matter of law after
    trial. “Ordinarily, orders denying summary judgment do not
    qualify as ‘final decisions’ subject to appeal.” Ortiz v.
    Jordan, 
    562 U.S. 180
    , 188 (2011) (quoting 
    28 U.S.C. § 1291
    ). Relying on that principle, the Supreme Court held
    in Ortiz that an order denying summary judgment is
    generally not reviewable after trial. 
    Id.
     at 184–85.
    10     IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    Before Ortiz was decided, however, we held that the
    general rule does not apply to purely legal issues—in other
    words, “to those denials of summary judgment motions
    where the district court made an error of law that, if not
    made, would have required the district court to grant the
    motion.” Banuelos v. Constr. Laborers’ Tr. Funds for S.
    Cal., 
    382 F.3d 897
    , 902 (9th Cir. 2004). Purely legal issues,
    we held, are reviewable after trial even if raised only in a
    motion for summary judgment. 
    Id.
     902–03. Under Miller v.
    Gammie, 
    335 F.3d 889
     (9th Cir. 2003) (en banc), we must
    continue to follow our decision in Banuelos unless it is
    “clearly irreconcilable” with later Supreme Court authority.
    
    Id. at 900
    .
    We conclude that it is not. In Ortiz, the Supreme Court
    acknowledged the possibility that the general rule of non-
    reviewability might include an exception for “purely legal”
    issues, and the Court expressly declined to consider that
    question. 
    562 U.S. at 190
    . Because Ortiz allowed for the
    possibility of a Banuelos-like exception, it is not clearly
    irreconcilable with Banuelos. Indeed, several circuits have
    continued to recognize an exception for purely legal issues
    even after Ortiz. See Frank C. Pollara Grp., LLC v. Ocean
    View Inv. Holding, LLC, 
    784 F.3d 177
    , 185–86 (3d Cir.
    2015) (citing cases).
    Because the preemption issue here presents a purely
    legal question, we proceed to consider the merits of the
    district court’s denial of summary judgment. Our review is
    de novo. Banuelos, 
    382 F.3d at 902
    .
    The Supremacy Clause provides that the “Constitution,
    and the Laws of the United States” are “the supreme Law of
    the Land . . . any Thing in the Constitution or Laws of any
    State to the Contrary notwithstanding.” U.S. Const. art. VI,
    cl. 2. The Supreme Court “has sometimes used different
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.           11
    labels to describe the different ways in which federal statutes
    may displace state laws,” including “express, field, and
    conflict preemption.” Virginia Uranium, Inc. v. Warren,
    
    139 S. Ct. 1894
    , 1901 (2019) (plurality opinion). In this
    appeal, Bard invokes only the doctrine of express
    preemption, under which “Congress may withdraw specified
    powers from the States by enacting a statute containing an
    express preemption provision.” Arizona v. United States,
    
    567 U.S. 387
    , 399 (2012).
    “When a federal law contains an express preemption
    clause, we ‘focus on the plain wording of the clause.’”
    Chamber of Commerce of U.S. v. Whiting, 
    563 U.S. 582
    , 594
    (2011) (quoting CSX Transp., Inc. v. Easterwood, 
    507 U.S. 658
    , 664 (1993)). As noted above, the MDA’s preemption
    clause prohibits States from establishing any requirement
    with respect to a medical device “which is different from, or
    in addition to, any requirement applicable under this chapter
    to the device, and . . . which relates to the safety or
    effectiveness of the device or to any other matter included in
    a requirement applicable to the device under this chapter.”
    21 U.S.C. § 360k(a). Our interpretation of that provision is
    “‘substantially informed’ by the FDA regulation set forth” at
    
    21 C.F.R. § 808.1
    (d), which addresses the statute’s
    preemptive scope. Riegel, 
    552 U.S. at 322
     (quoting Lohr,
    
    518 U.S. at 495
    ). That regulation provides that state
    requirements are preempted only when the FDA has
    established “specific requirements applicable to a particular
    device under the [MDA], thereby making any existing
    divergent State or local requirements applicable to the device
    different from, or in addition to, the specific [FDA]
    requirements.” 
    21 C.F.R. § 808.1
    (d).
    Two Supreme Court cases guide our interpretation of the
    MDA and the regulation. First, in Lohr, the Court considered
    12     IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    product-liability claims asserted against the manufacturer of
    a device that had received section 510(k) approval. 
    518 U.S. at 480
    . The Court held that federal manufacturing and
    labeling requirements applicable to almost all medical
    devices did not have preemptive effect because they were
    not requirements specific to the device in question but
    instead reflected “entirely generic concerns about device
    regulation generally.” 
    Id. at 501
    . And although the FDA’s
    determination of substantial equivalence under section
    510(k) is device-specific, the Court rejected the proposition
    that section 510(k) approval itself imposed a “specific,
    federally enforceable design requirement” that preempts
    state law. 
    Id. at 492
    . As the Court explained, when the FDA
    conducts substantial-equivalence review, it does not require
    a device “to take any particular form for any particular
    reason.” 
    Id. at 493
    .
    In Riegel, by contrast, the Court held that the FDA’s
    premarket approval of a medical device does establish
    device-specific federal requirements that can preempt state-
    law claims. 
    552 U.S. at 323
    . The Court emphasized that
    “premarket approval is specific to individual devices.” 
    Id.
    Unlike section 510(k) approval, the Court explained,
    premarket approval may be granted only if the FDA
    “determines that a device offers a reasonable assurance of
    safety and effectiveness.” 
    Id.
     Having made that
    determination, “the FDA requires a device that has received
    premarket approval to be made with almost no deviations
    from the specifications in its approval application.” 
    Id.
    For our purposes, the key principle established in Lohr—
    and confirmed in Riegel—is that “the scope of preemption is
    limited to instances where there are specific FDA
    requirements applicable to a particular device.” Papike v.
    Tambrands Inc., 
    107 F.3d 737
    , 742 (9th Cir. 1997) (quoting
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.          13
    Anguiano v. E.I. Du Pont De Nemours & Co., 
    44 F.3d 806
    ,
    809 (9th Cir. 1995)); accord 
    21 C.F.R. § 808.1
    (d). Lohr
    further established that section 510(k) approval does not
    itself impose such device-specific requirements. 
    518 U.S. at
    493–94.
    Bard does not dispute either of those propositions.
    Instead, it argues that when the FDA reclassified
    intravascular filters as Class II devices, the agency imposed
    specific requirements in the form of the three special
    controls applicable to such devices. The preemption issue in
    this case therefore turns on whether the special controls
    constitute “specific requirements applicable to a particular
    device.” 
    21 C.F.R. § 808.1
    (d).
    As an initial matter, Booker argues that the special
    controls are not “requirements” because they are guidance
    documents that lack the force of law. Bard responds that the
    FDA has treated the special controls as if they were legally
    binding, not merely advisory. We need not resolve that
    dispute. Instead, we assume, without deciding, that the
    special controls are requirements, but we nevertheless
    conclude that they are not “specific” requirements
    “applicable to a particular device” under 
    21 C.F.R. § 808.1
    (d).
    The lack of specificity of the special controls is
    particularly apparent in the case of the biocompatibility and
    sterilization guidance documents. The biocompatibility
    guidance addresses “risks to health related to adverse tissue
    reaction,” which are “common to devices that contact the
    body.” 64 Fed. Reg. at 12,777. The sterilization guidance
    addresses “risks to health related to infection,” which are
    likewise “common to the use of many devices.” Id. The
    former applies to 13 different kinds of devices, the latter to
    18 kinds. See 65 Fed. Reg. at 17,140. Neither contains
    14     IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    anything specific to intravascular filters, let alone to the
    particular intravascular filter at issue here. Like the general
    requirements in Lohr, the documents “reflect important but
    entirely generic concerns about device regulation generally,
    not the sort of concerns regarding a specific device or field
    of device regulation that the statute or regulations were
    designed to protect from potentially contradictory state
    requirements.” 
    518 U.S. at 501
    .
    The intravascular-filter guidance is at least focused on
    the kind of device at issue here—intravascular filters.
    64 Fed. Reg. at 12,778. Even so, we conclude that it does not
    have preemptive effect for two reasons. First, the guidance
    does not impose “specific requirements applicable to a
    particular device,” 
    21 C.F.R. § 808.1
    (d) (emphasis added),
    such as Bard’s G2 Filter. Instead, it applies generally to
    every member of the class of intravascular filters.
    Second, the requirements that the intravascular-filter
    guidance imposes are not relevant to Booker’s failure-to-
    warn claim. State requirements cannot meaningfully be
    described as “different from, or in addition to, the specific
    [FDA] requirements” if the two requirements are not
    relevant to each other. 
    21 C.F.R. § 808.1
    (d). Consistent with
    that understanding, the Supreme Court explained in Lohr
    that “in most cases a state law will be pre-empted only to the
    extent that the FDA has promulgated a relevant federal
    ‘requirement.’” 
    518 U.S. at 496
     (emphasis added); see 
    id. at 501
     (explaining that preemption is appropriate when the
    FDA has “weighed the competing interests relevant to the
    particular requirement in question . . . and implemented that
    conclusion via a specific mandate on manufacturers or
    producers”). As Justice Breyer observed, it would make little
    sense to conclude that “the existence of one single federal
    rule, say, about a 2-inch hearing aid wire, would pre-empt
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.           15
    every state law hearing aid rule, even a set of rules related
    only to the packaging or shipping of hearing aids.” 
    Id. at 505
    (Breyer, J., concurring in part and concurring in the
    judgment). In such a regime, the FDA would be forced to
    federalize all requirements for a particular device if it chose
    to adopt any requirement, because adopting just one
    requirement would displace all state regulation of that
    device.
    Booker’s claim is predicated on the theory that the G2
    Filter’s labeling was inadequate because it did not warn that
    the G2 Filter posed greater risks of migration and perforation
    than other kinds of filters. The intravascular-filter guidance
    does not prescribe the content of a filter’s label in any
    manner relevant to such a warning. To be sure, the guidance
    says that the label should describe the product’s indications
    for use (“for the prevention of recurrent pulmonary
    embolism via placement in the vena cava”) and that it should
    state whether the device is safe in patients who may undergo
    an MRI. It also sets out one contraindication that the label
    should contain: “Vena Cava filters should not be implanted
    in patients with risk of septic embolism.” But it says nothing
    about whether or how to warn of the risks of filter migration
    and perforation, and its only reference to the design of a
    particular device does not impose any requirement at all:
    “Your labeling may include other contraindications which
    are specific to your particular device design.” As permitted
    by the guidance, the G2 Filter’s label consists of two pages
    of detailed instructions, including 3 contraindications,
    10 warnings, 11 precautions, and 15 potential complications,
    only one of which—the contraindication for patients at risk
    of septic embolism—has anything to do with the contents of
    the guidance.
    16     IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    We emphasize that the problem with Bard’s preemption
    argument is not simply that the FDA did not prohibit Bard
    from adding additional warnings. The MDA’s express
    preemption clause applies even when there is not a direct
    conflict between state and federal requirements, and it
    prohibits States from imposing a requirement “in addition to
    . . . any requirement” imposed by the FDA. 21 U.S.C.
    § 360k(a); see McMullen v. Medtronic, Inc., 
    421 F.3d 482
    ,
    489 (7th Cir. 2005) (“Where a federal requirement permits a
    course of conduct and the state makes it obligatory, the
    state’s requirement is in addition to the federal requirement
    and thus is preempted.”); accord Stengel v. Medtronic Inc.,
    
    704 F.3d 1224
    , 1234 (9th Cir. 2013) (en banc) (Watford, J.,
    concurring). Instead, the preemption argument fails because
    Booker’s claim rests on an asserted state-law duty to warn of
    the risks posed by the particular design of Bard’s G2 Filter,
    and the FDA has not imposed any requirements related to
    the design of that device or how a device of that design
    should be labeled. Cf. Papike, 
    107 F.3d at 741
     (failure-to-
    warn claims were preempted “because the FDA ha[d]
    established specific counterpart regulations with respect to
    labeling” the product); see also Lohr, 
    518 U.S. at 496, 501
    .
    III
    Bard next argues that the district court erred in denying
    summary judgment on Booker’s negligent failure-to-warn
    claim because Georgia law does not recognize a duty to warn
    of the comparative risks posed by different products.
    Bard relies on Farmer v. Brannan Auto Parts, Inc.,
    
    498 S.E.2d 583
     (Ga. Ct. App. 1998), in which the court held
    that the distributor of a product “had no duty to communicate
    to users a danger already clearly listed on the product itself”
    by the manufacturer. 
    Id. at 585
    . But as Bard acknowledges,
    Farmer did not consider comparisons of risks between
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.           17
    different products, so it has little relevance to the existence
    of a duty to provide such a comparison. Instead, Bard’s
    theory is principally supported by non-Georgia decisions.
    For example, the Sixth Circuit, applying Ohio law, has held
    that a drug manufacturer must “make a reasonable disclosure
    of all the risks inherent in its own drug” but need not
    “provide a comparison of its drug with others.” Ackley v.
    Wyeth Labs., Inc., 
    919 F.2d 397
    , 405 (6th Cir. 1990); accord
    Pluto v. Searle Labs., 
    690 N.E.2d 619
    , 621 (Ill. App. Ct.
    1997).
    There is some logic to those decisions: manufacturers
    generally do not have special access to information about
    their competitors’ products, and such information might be
    difficult for consumers to evaluate meaningfully. On the
    other hand, a jury could find it significant that the warnings
    in this context are not provided directly to the ultimate
    consumer. Under the learned-intermediary doctrine, “the
    manufacturer of a prescription drug or medical device does
    not have a duty to warn the patient of the dangers involved
    with the product, but instead has a duty to warn the patient’s
    doctor, who acts as a learned intermediary between the
    patient and the manufacturer.” McCombs v. Synthes
    (U.S.A.), 
    587 S.E.2d 594
    , 595 (Ga. 2003). Comparative-risk
    information that might be meaningless to a layperson could
    be very important to a physician, or so a jury could find.
    In any event, because this case is governed by Georgia
    law, our task is not to apply the rule we think would be best,
    or the rule we think is reflected in the leading decisions from
    state courts around the country. Rather, we must determine
    what rule the Georgia courts would apply. See Erie R.R. Co.
    v. Tompkins, 
    304 U.S. 64
    , 78–80 (1938); Norcia v. Samsung
    Telecomms. Am., LLC, 
    845 F.3d 1279
    , 1284 (9th Cir. 2017).
    18     IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    The Georgia Supreme Court has held that “the
    manufacturer of a product which, to its actual or constructive
    knowledge, involves danger to users, has a duty to give
    warning of such danger.” Chrysler Corp. v. Batten,
    
    450 S.E.2d 208
    , 211 (Ga. 1994) (quoting Ford Motor Co. v.
    Stubblefield, 
    319 S.E.2d 470
    , 476 (Ga. Ct. App. 1984)).
    “Normally, where a warning has been provided by a
    manufacturer, ‘[t]he sufficiency of that warning is for the
    jury.’” Copeland v. Ashland Oil, Inc., 
    373 S.E.2d 629
    , 630
    (Ga. Ct. App. 1988) (quoting Beam v. Omark Indus.,
    
    237 S.E.2d 607
    , 610 (Ga. Ct. App. 1977)). Georgia has not
    adopted a categorical prohibition on basing a failure-to-warn
    claim on the absence of a comparative warning. And other
    federal courts applying Georgia law have allowed such
    claims. See, e.g., Watkins v. Ford Motor Co., 
    190 F.3d 1213
    ,
    1220 (11th Cir. 1999); In re Mentor Corp. ObTape
    Transobturator Sling Prods. Liab. Litig., 
    711 F. Supp. 2d 1348
    , 1377–78 (M.D. Ga. 2010). Consistent with those
    decisions, we conclude that the district court correctly
    allowed the jury to decide the adequacy of the warning here.
    IV
    Finally, Bard argues that the district court erred by
    denying its renewed motion for judgment as a matter of law,
    which challenged the evidentiary sufficiency for the punitive
    damages award. We review the denial of such a motion de
    novo, viewing the evidence in the light most favorable to the
    verdict. Harper v. City of Los Angeles, 
    533 F.3d 1010
    , 1021
    (9th Cir. 2008). We must uphold the punitive damages award
    “if it is supported by substantial evidence, which is evidence
    adequate to support the jury’s conclusion, even if it is also
    possible to draw a contrary conclusion.” 
    Id.
     (quoting Pavao
    v. Pagay, 
    307 F.3d 915
    , 918 (9th Cir. 2002)).
    IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.           19
    Under Georgia law, a jury may award punitive damages
    when “it is proven by clear and convincing evidence that the
    defendant’s actions showed willful misconduct, malice,
    fraud, wantonness, oppression, or that entire want of care
    which would raise the presumption of conscious indifference
    to consequences.” 
    Ga. Code Ann. § 51-12-5.1
    (b); see
    Roseberry v. Brooks, 
    461 S.E.2d 262
    , 268 (Ga. Ct. App.
    1995) (explaining that an award of punitive damages
    requires “circumstances of aggravation or outrage”). The
    Georgia Supreme Court has articulated “a general rule” that
    punitive damages are “improper where a defendant has
    adhered to . . . safety regulations.” Stone Man, Inc. v. Green,
    
    435 S.E.2d 205
    , 206 (Ga. 1993). But that rule does not
    “preclude[] an award of punitive damages where,
    notwithstanding the compliance with applicable safety
    regulations, there is other evidence showing culpable
    behavior.” General Motors Corp. v. Moseley, 
    447 S.E.2d 302
    , 311 (Ga. Ct. App. 1994), abrogated on other grounds
    by Webster v. Boyett, 
    496 S.E.2d 459
     (Ga. 1998). When a
    failure to warn reflects “a conscious disregard for the safety
    of others,” punitive damages may be appropriate. Zeigler v.
    CloWhite Co., 
    507 S.E.2d 182
    , 185 (Ga. Ct. App. 1998).
    Bard’s challenge to the punitive damages award is
    largely derivative of its argument that it had no duty to warn
    of comparative risks. In Bard’s view, punitive damages are
    inappropriate because it sold a product that was “not
    defective and sold with an adequate warning.” But the jury
    found that the warning was not adequate. As the district
    court explained, “[t]he evidence supported a finding that
    despite knowing that G2 filters placed patients at a greater
    risk of harm” than other available filters, “Bard chose not to
    warn physicians and instead downplayed the risk.” Although
    it would have been possible for the jury “to draw a contrary
    conclusion,” we conclude that the evidence was adequate to
    20     IN RE BARD IVC FILTERS PRODS. LIAB. LITIG.
    support the jury’s award of punitive damages. Harper,
    
    533 F.3d at 1021
    .
    AFFIRMED.