On the 29-Jan-16 (Tuesday), the *US FDA issued a Warning Letter to IPCA
Laboratories. *

The letter was in relation to the:

   1.
*Inspection performed during July, 2014 at Ratlam (Madhya Pradesh)
   observations in Form FDA 483 which subsequently resulted into issuance of
   import alert on the said manufacturing unit by the US FDA on 22-Jan-15 *
   2. *Inspection of the formulations manufacturing units situated at SEZ
   Indore (Pithampur) and Piparia (Silvassa) which resulted in **Form FDA
   483 to the said manufacturing units and had issued import alert on
   24-Mar-15. *

IPCA confirmed the receipt of the US FDA Warning Letter on the 1-Feb-16
(Friday) – refer here for the confirmation
<http://www.ipcalabs.com/pdf/noticeOfBM/USFDA-Warning-Letter.pdf>
This is what the company had to say about it:

We refer to our letters dated 24th July, 2014, 23rd January, 2015 and 25th
March, 2015 informing you about the US FDA inspections at our manufacturing
units situated at Ratlam (Madhya Pradesh), SEZ Indore (Pithampur) and
Piparia (Silvassa), during which inspections these manufacturing units
received certain inspection observations in Form 483 and which subsequently
resulted in issuance of import aiert on these manufacturing units.

We wish to inform you that US FDA has now issued a warning letter to these
manufacturing units. We have already informed you that the Company has
voluntarily suspended shipments of its APls and formulations for the US
market till US FDA inspection observations are resolved. Therefore, since
July 2014 the Company has not shipped any APls or formulations to US market
except the products which are exempted from import alert.

The Company has responded to the US FDA inspection observations with its
remediation measures and has been since working also with external
consultants to ensure that its remedial activities are undertaken in a
proper and timely manner.

Since the inspection, the Company has regularly communicated with US FDA
with periodic updates on remedial measures undertaken. The Company is fully
committed in resolving this issue at the earliest.

The Company is also committed to its philosophy of highest quality in
manufacturing, operations, systems integrity and cGMP culture.

Today, the US FDA Posted the Warning Letter issued to IPCA (refer here for
the Original Copy
<http://www.fda.gov/ICECI/EnforcementActions/WarningLetters/2016/ucm484910.htm>
).
Here is the full copy of the Warning Letter:

Ipca Laboratories Limited 1/29/16
[image: Department of Health and Human Services logo]Department of Health
and Human Services Public Health Service
Food and Drug Administration
Silver Spring, MD  20993


*Warning Letter*



*Via
UPS
            *
*WL: 320-16-07*
January 29, 2016

Mr. Premchand Godha
Chairman & Managing Director
Ipca Laboratories Ltd.
48, Kandivli Industrial Estate
Kandivli (West), Mumbai 400 067
India
Dear Mr. Godha:
In 2014, the U.S. Food and Drug Administration (FDA) inspected three Ipca
pharmaceutical manufacturing facilities.

   1. July 14–18: P.O. No. 33 Village Sejavata, Ratlam 457 002 Madhya
   Pradesh (Ratlam facility)
   2. October 13–17: 1 Pharma Zone, SEZ Phase II, Sector 3, District Dhar,
   Pithampur, Madhya Pradesh (Pithampur facility)
   3. December 1–19: Plot 65 & 99, Danudyog Industrial Estate, Piparia
   Silvassa 396 230 (Union Territory of Dadra & Nagar Haveli) (Piparia
   Silvassa facility)

At your Ratlam facility, we identified significant deviations from current
good manufacturing practice (CGMP) for active pharmaceutical ingredients
(API). At your Pithampur and Piparia Silvassa facilities, we identified
significant violations of CGMP for finished pharmaceuticals, Title 21, Code
of Federal Regulations, Parts 210 and 211.

These deviations and violations cause your drugs to be adulterated within
the meaning of Section 501(a)(2)(B) of the Federal Food, Drug, and Cosmetic
Act (the FD&C Act), 21 U.S.C. 351(a)(2)(B). The methods used in, or the
facilities or controls used for, their manufacture, processing, packing, or
holding do not conform to, or are not operated or administered in
conformity with, CGMP.

We reviewed your firm’s responses of August 8 and November 7, 2014, and
January 9, 2015, in detail for all three sites and acknowledge receipt of
subsequent responses.
We observed specific deviations and violations during the inspections,
including, but not limited to, the following.

*A.    **Ratlam facility (**FEI: 3002807297)*

*1.    Failure to have computerized systems with sufficient controls to
prevent unauthorized access or changes to data*.

During the inspection, FDA investigators discovered a lack of basic
laboratory controls to prevent changes to your firm’s electronically stored
data. Your firm relied on incomplete records to evaluate the quality of
your drugs and to determine whether your drugs conformed with established
specifications and standards.

Our investigators found that your firm routinely re-tested samples without
justification, and deleted analytical data. We observed systemic data
manipulation across your facility, including actions taken by multiple
analysts, on multiple pieces of testing equipment, and for multiple
drugs. You are responsible for determining the causes of these deviations,
for preventing recurrence, and for preventing other deviations from CGMP.

During the inspection, our investigators examined the computerized
instrumentation and systems you used to conduct chromatographic analyses of
your drugs and found that laboratory analysts had PC administrator access
that they utilized to manipulate raw data and test results. We found that
controls on your computerized chromatographic instrumentation were not
adequate to prevent analysts from manipulating processing parameters in
order to obtain passing results. We also found that your computerized
systems lacked controls to prevent the back-dating of test data.

For example, we reviewed the *(b)(4)* API 12-month *(b)(4)* Commercial
Stability assay test for residual solvent by gas chromatography (GC). For
batch #*(b)(4) *US-DMF (*(b)(4)*), you reported an *(b)(4)*% result for
*(b)(4)* residual solvent (specification *(b)(4)*–*(b)(4)*%) obtained on
July 18, 2013.

We documented that the original peak had been integrated inconsistently.
Standards and samples had been processed using different integration
parameters with no documented reason; there were no controls in the
software to prevent analysts from manipulating integration settings in
order to obtain passing results that you relied on to evaluate the quality
of this product. When our investigator asked you to reprocess the
chromatograms using appropriate integration parameters, an
out-of-specification (OOS) value of *(b)(4)*% was obtained.

In the *(b)(4) *stability interval assay test of the same API, batch #
*(b)(4) *US-DMF (*(b)(4)*), you reported an *(b)(4)*% result for
*(b)(4) *residual
solvent (specification: *(b)(4)*–*(b)(4)*%) obtained on June 12, 2013. We
again found that the original sample peaks had been re-reintegrated
inconsistently. There were no controls in the software to prevent the
inappropriate manipulation of integration parameters. When our investigator
asked you to reprocess the chromatograms using appropriate integration
parameters, the result was an OOS value of *(b)(4)*%.

For the same test, we found that on and after June 18, 2013, the date and
time of the chromatographic injections for the *(b)(4) *stability test
appear to have been set back to June 12, 2013. The data was reprocessed to
obtain a passing result, upon which you relied to evaluate the quality of
this drug.

In addition to these examples of computerized systems that permitted
inappropriate manipulation of integration parameters and backdating, our
investigators also found several instances of computerized data systems
that failed to prevent the deletion of original injections. For example,
our investigators reviewed the GC audit trail for*(b)(4) *(finished API
batch #*(b)(4)*) and found that the original sample injection for related
substance was on June 4, 2013 at *(b)(4)*. This injection was aborted with
no justification and the computerized system that your laboratory used to
capture raw data did not retain the original results. The sample was
re-injected at *(b)(4)*., which automatically deleted the original sample
result. Passing results from the re-injection were reported for individual
and total impurities. You used these incomplete results to evaluate the
quality of this drug.

The High Performance Liquid Chromatography (HPLC) audit trail for
*(b)(4)* (finished
API batch #*(b)(4)*) shows that the first sample injection for aliquot #2
assay test was on May 28, 2013 at *(b)(4)*. This injection result was
deleted without justification. The sample was re-injected at *(b)(4)*. A
passing assay result was reported from the re-injection. As with the GC
system discussed above, the electronic system your laboratory used to
capture HPLC results lacked sufficient controls to prevent the deletion of
data without justification, and failed to retain the original data. You
relied on these incomplete results to evaluate the quality of this drug.

These practices appear to be commonplace in your analytical laboratory.
During the inspection, our investigators spoke with an analyst who reported
that “…if we find a failure, we set back the date/time setting and
re-integrate to achieve passing results…” The analyst explained that
deleting, overwriting, changing integration parameters, and altering PC
date and time settings were done for raw materials, in-process testing, and
finished API drugs.

In your response you stated that the stand-alone chromatographic
instruments in the Quality Control and Stability laboratories are no longer
under full control of individual analysts and have been connected to a
network-based laboratory system. You also acknowledged that you did not
identify all instances of data manipulation that may have led to inaccurate
conclusions regarding product quality. However, your response still lacks a
comprehensive assessment and retrospective review of data generated from
all of your computerized laboratory systems. This includes but is not
limited to a risk assessment that evaluates all potentially-affected test
data.

*2.    Failure to adequately investigate and resolve critical deviations.*

Our inspection documented that your firm’s quality unit was aware of the
lack of controls in your computerized systems to prevent the manipulation
and deletion of quality-related data. Your site’s senior management failed
to take sufficient corrective action and prevent the recurrence of these
problems. For example, an anonymous email dated August 5, 2013 notified
your quality management about data falsification and manipulation in your
laboratory. This email stated: “…[t]here is no control of data in the
department…Falsification is going on…Take action as early as possible…”
Although you investigated your GC and HPLC equipment, the multi-part
investigation that you opened on August 10, 2013 (CD/RTM/QA/001/2013) was
incomplete and did not resolve the underlying problems of data
falsification and manipulation.

*Phase I: GC Investigation*
Your GC Investigation was limited to review of audit trails for batches
analyzed on GCs #052 and #202 between January and August, 2013. Although
your investigation found multiple examples of deficient data management and
retention practices, you concluded that none of the deviations were
considered critical. You also concluded that there was no product or
patient risk associated with these deviations. You closed this phase of the
investigation on November 27, 2013, without implementing effective
corrective actions and preventive actions.

Our investigator reviewed the same data and audit trail records that you
included in your own investigation. In the limited time available during
the inspection, our investigator found serious deficiencies and
questionable data management practices that your own four-month
investigation did not identify, including:

   - altering time and date settings of computerized equipment using the
   software administrator’s access privilege
   - manipulating test integration parameters to obtain passing or
   desirable results;
   - aborting on-going sample analyses
   - over-writing and deleting raw data files containing original results

When presented with the results of our review of these records during the
inspection, your QA manager agreed that that these examples, which you had
not documented or addressed in your own investigation, were serious
deviations from CGMP. Specifically, the manager concurred that these
examples would be categorized as “critical” under your own system for
assessing deviations.

*Phase II: HPLC Investigation*
Your investigation also considered HPLC data from July to December, 2013.
On May 3, 2014, your investigation concluded that good documentation
practices were not being followed, and your staff was insufficiently aware
of requirements set forth in 21 CFR Part 11.

Our investigators confirmed these same deficiencies. When reviewing the
same HPLC audit trails that you considered in your own investigation, our
investigators also found that standard injections were manipulated without
scientific justification. Your analyst admitted to us that he had
manipulated the standard sequence injections.

Our investigator reviewed data from the same July–December 2013 time frame
for *(b)(4)* finished API batch #*(b)(4)* commercial batch release assay
via HPLC. As with the GC data discussed above, although your own lengthy
investigation did not capture critical deviations, our investigator’s
limited review of this data during the inspection identified data
manipulation, including deleted injections, re-injections, and missing
injections.

The investigators also reviewed HPLC data for May, 2013, which was not
covered in your investigation. The information reviewed during the
inspection identified data manipulation in batches *(b)(4) *for
*(b)(4)* finished
API assay determination, including deleted injections. Again, these
deviations and their potential effects on product quality were not covered
in your own investigation.

Your investigation concluded that some chromatograms were manipulated, but
it failed to identify the scope or extent of such practices. It lacked
sufficient rigor to demonstrate that other laboratory data were not
compromised, including data supporting drug applications or stability.

In your response to this letter, provide the phase 2 investigation into the
HPLC systems. Include an assessment of all API batches tested. Also
indicate whether senior management is taking appropriate actions in
response to critical deviations, such as supporting investigations into
possible reported data falsification and manipulation. Provide a status
report on these efforts and any actions taken so far.
Your firm lacks a robust corrective action and preventive action (CAPA)
program. Without strong investigation procedures and management support for
activities of the quality unit, you cannot consistently identify root
causes of product quality failures, rendering it impossible to make
adequate corrections. These failures can expose patients to unnecessary
risk.

*3.   Failure to follow and document laboratory controls at the time of
performance; failure to document and explain any departures from laboratory
procedures.*

During the inspection of your microbiology laboratory, our investigators
observed multiple examples of your firm’s practice of back-dating and
falsifying laboratory data. This laboratory monitors the quality of
*(b)(4)* used
in the manufacture of APIs for total plate count as well as the absence of
objectionable organisms. Without contemporaneous and accurate data, there
is no way for you to ensure that your APIs meet specifications for the
absence of objectionable microorganisms.

*“Temperature Record” logbooks in microbiology laboratory*
On July 14, 2014, our investigator noticed that the daily record in the
2-8°C refrigerator #*(b)(4)*temperature logbook had only been completed up
to July 9, 2014. When the investigator requested the logbook later that
day, he observed that the logbook had been completed up to July 13, 2014.
The entries for July 10–13, 2014, were not present when the investigator
initially reviewed the log. When questioned by the investigator, the
laboratory analyst responsible for performing these entries stated three
times that she had documented the newly-completed temperature values at the
time of performance. The same analyst’s supervisor later admitted to
directing the analyst to fill out the logbook after the fact. The
investigator also observed another analyst actively backdating/back-filling
the “Temperature Record” logbook for refrigerator #*(b)(4)* during the
inspection.

*(b)(4)** Sample Data*
During the inspection, investigators visually examined the *(b)(4)* quality
and media growth promotion samples (plates) currently in incubation, and
compared them with the QC documentation for those samples purported to be
in progress (incubation). Your *(b)(4)* sampling records showed that 45
*(b)(4)*quality samples had been prepared and incubated on July 9, 2014 (
*(b)(4)*, total viable aerobic count) and were in process. During the
inspection, three of these plates were not in the incubator, although your
*(b)(4)* sampling logbook recorded the presence of these three plates. QC
worksheets for these three plates showed that documentation for the sample
preparation and incubation had been created, even though the plates were
not actually tested.

Your management informed the investigators that one microbial plate had
been found. However, upon inspection of this plate, the investigator noted
that the handwriting was different from all the other microbial plates.
After questioning, your microbiologist admitted that the microbial plate
was re-created (falsified) to appear as if the sample was complete.

In the 20-25°C and 30-35°C incubation chambers, our investigator reviewed
documentation for 117 growth promotion samples. Only 74 samples were in the
chambers; 43 were missing. According to your firm’s response, the plates
were missing because, during the inspection, you were moving the
microbiology laboratory from the *(b)(4)* floor to the *(b)(4)* floor. No
one mentioned the laboratory move during the inspection.

*B.     **Pithampur (FEI: 3007574780)*
1.   Your firm failed to ensure that laboratory records include complete
data derived from all tests necessary to assure compliance with established
specifications and standards. (21 CFR 211.194(a))

We found documented instances of analytical test results without original
data. For example, your raw data is incomplete for GC analysis performed
during the *(b)(4)* method verification for *(b)(4)* USP (raw material) and
*(b)(4)* (raw material).
*(b)(4)* tablets *(b)(4)*mg *(b)(4) *were tested for *(b)(4) *by GC on
October 9, 2013. The first four injections were overwritten and deleted
without justification. They were not available for review.

*(b)(4)* USP (raw material) *(b)(4) *was tested for *(b)(4) *by GC on
January 8, 2014. The first three injections were overwritten using the same
sequence and raw data file path.

*(b)(4)* (raw material) was tested for method verification for *(b)(4) *content
by GC on January 2, 2014. The first five injections were overwritten and
deleted.
We also found multiple instances of trial injections of samples. The
results of additional tests were reported, but the original (trial) results
were not. Chromatograms related to these original test results were
overwritten by subsequent testing. No investigation related to these
injections was initiated. No other documentation or explanation was
provided.

In your response, you focused on reviewing your data print outs and
revising your SOP. Because your quality unit did not review the original
electronic raw data, you were unable to detect rewritten, deleted, or
overwritten files. Without this information, you have no way to ensure that
the tests you use to evaluate the quality of incoming raw materials are
accurate or reliable.

*C. Piparia Silvassa (FEI 3005977675)*

*1.    Your firm failed to ensure that laboratory records included complete
data derived from all tests necessary to assure compliance with established
specifications and standards. (21CFR 211.194(a))*

During our inspection, we documented that your QC laboratory was conducting
trial injections of samples but failed to report all of the data generated.
For example, *(b)(4)* tablets USP *(b)(4)* mg (batch # *(b)(4)* & *(b)(4)*)
were tested for assay and dissolution for finished product stability on
June 26, 2013. A total of *(b)(4)* trial standard injections were
performed. Only *(b)(4)* were submitted for your quality unit review. Your
quality unit only reviews the data print out and had not detected your
laboratory’s practice of failing to submit all of the data for review.

For *(b)(4) *tablet USP *(b)(4)* mg (batch # *(b)(4)*), the first injection
(trial injection) began at 2:59 p.m. The official run began *(b)(4) *after
the trial injections, at *(b)(4)*. The 2:59 p.m. injection was not
reported, instead the *(b)(4)*result was reported as the official run.

Your quality unit must review all analytical data when making batch release
decisions. Without complete and accurate information about the quality of
the products, your quality unit cannot ensure that the products it releases
comply with established specifications and standards for quality. Your
response does not demonstrate how your laboratory systems and procedures
prevent the deletion of data or how the managers at your facility will
ensure that all records relied upon for batch release and other
quality-related decisions are complete and accurate.

*2.  Your laboratory controls failed to establish scientifically sound test
procedures to assure that your drug products conform to appropriate
standards of identity, strength, quality and purity. (21 CFR 211.160 (b))*

During our inspection, we found that on November 24, 2014, the in-house
*(b)(4) *was inoculated with*Staphylococcus aureus *(gram-positive
bacteria)and* E. Coli *(gram-negative bacteria). The medium
showed*Staphylococcus
aureus* growth*.*

On December 7, 2014, the same media was prepared and challenged with the
same microorganisms, and again showed *Staphylococcus aureus* growth*.*

However, *(b)(4) *is selective for gram-negative bacteria. It contains an
inhibitor for gram-positive bacteria. Therefore, gram-positive bacteria
should not grow on *(b)(4)*.

Your QC data confirmed microbial growth for *Staphylococcus aureus* in a
medium that is intended to inhibit its growth. No investigation was
initiated. Despite confirmed microbial growth, this media batch was used
for *(b)(4)*samples.

Your firm’s response is deficient in that it is limited to the
retrospective review of the growth promotion test results generated from
January 2014 to December 2014. It lacks an evaluation of the acceptability
of your media supplier, the adequacy of laboratory controls, and a
determination whether laboratory personnel (including supervisors) are
appropriately qualified to detect and correct these deviations. In response
to this letter, include a copy of your investigation into this matter,
including your root cause determination and CAPA.

*Conclusion*

Violations and deviations cited in this letter are not intended as an
all-inclusive list. You are responsible for determining the causes of these
violations and deviations, for preventing reoccurrences, and for preventing
other violations and deviations.

Our investigators observed systemic data manipulation and other CGMP
violations and deviations at three separate sites. Your quality system does
not adequately ensure the accuracy and integrity of the data generated and
available at your facilities to support the safety, effectiveness, and
quality of your drugs. In your response to this letter, provide the
following:

   - A comprehensive investigation and evaluation. Describe your
   methodology. Results should include conclusions about the extent of data
   integrity deficiencies and their root causes, which may involve record
   control, contemporaneous recording, deletion of data, and other data
   integrity deficiencies.


   - A risk assessment of how the observed deficiencies may affect the
   reliability and completeness of quality information available for your
   drugs. Also determine the consequences of your deficient documentation
   practices on the quality of drugs released for distribution.


   - A management strategy that includes a detailed global corrective
   action and preventive action plan. Describe the actions you will take, such
   as contacting your customers, recalling drugs, conducting additional
   testing and/or adding lots to your stability programs, or other steps to
   assure the quality of your drugs manufactured under the deficient
   conditions discussed above. Also indicate measures you will take, such as
   revising procedures, implementing new controls, training or re-training
   personnel, or other actions to prevent the recurrence of CGMP deviations,
   including breaches of data integrity.

If, as a result of receiving this warning letter or for other reasons, you
are considering a decision that could reduce the number of finished drug
products or active pharmaceutical ingredients produced by your
manufacturing facility, FDA requests that you contact CDER’s Drug Shortages
Staff immediately at drugshorta...@fda.hhs.gov so that we can work with you
on the most effective way to bring your operations into compliance with the
law. Contacting the Drug Shortages Staff also allows you to meet any
obligations you may have to report discontinuances in the manufacture of
your drug under 21 U.S.C. 356C(a)(1), and allows FDA to consider, as soon
as possible, what actions, if any, may be needed to avoid shortages and
protect the health of patients who depend on your products.

Until you complete all corrections, and we confirm your corrections and
compliance with CGMP, FDA may withhold approval of any new applications or
supplements listing your firm as a drug product manufacturer. Under Section
801(a)(3) of the FD&C Act, 21 U.S.C. 381(a)(3), failure to correct these
violations may also result in FDA refusing admission into the United States
of articles manufactured at:

   - Village Sejavata Ratlam (Madhya Pradesh)
   - 1 Pharma Zone, SEZ Phase II, Sector 3 District Dhar, Pithampur, Madhya
   Pradesh
   - Plot 65 & 99, Danudyog Industrial Estate, Piparia Silvassa 396 230
   (Union Territory of Dadra & Nagar Haveli)

Within 15 working days of receipt of this letter, please notify this
office, in writing, of the specific steps that you have taken to correct
and prevent the recurrence of violations and deviations.

------------------------------
This is what the company had to say during July, 2014 *(read here)
<http://corporates.bseindia.com/xml-data/corpfiling/AttachHis/Ipca_Laboratories_Ltd_240714.pdf>*
:

During the recent US FDA inspection at the Company’s Active Pharmaceutical
Ingredients (APls) manufacturing facility situated at Ratlam (Madhya
Pradesh) the Company has received certain inspection observations in
Form483 from the US FDA.

Consequent to this, the Company has voluntarily decided to temporarily
suspend API shipments from this manufacturing facility for the US markets
till this issue is addressed.

This voluntarily stoppage of API shipments from the Ratlam manufacturing
facility will also have impact on the Company’s formulations export
business to the US market since the Company’s formulations manufacturing
units situated at Piparia (Silvassa) and SEZ, Indore (Pithampur) use the
APls manufactured from the Company’s Ratlam manufacturing facility for
manufacturing formulations for the US market. The Company is fully
committed in resolving this issue at the earliest.

The Company is also committed to its philosophy of highest quality in
manufacturing, operations, systems, integrity and cGMP culture.

------------------------------
This is what the company had to say during March, 2015 *(read here)
<http://corporates.bseindia.com/xml-data/corpfiling/AttachHis/Ipca_Laboratories_Ltd_250315.pdf>*
:

We refer to our lelters dated 24th July, 2014 and 23′. January, 2015
informing you about the US FDA inspection of our Active Pharmaceutical
Ingredients (APls) manufacturing unit situated at Ratlam (Madhya Pradesh),
during which inspection the manufacturing unit received certain Inspection
observations in Form FDA 483 which subsequently resulted into issuance of
import alert on the said manufacturing unit by the US FDA on 22′. January,
2015.

Subsequent to the inspection of our Ratlam API manufacturing unit, US FDA
also inspected our formulations manufacturing units situated at SEZ Indore
(Pithampur) and Piparia (Silvassa) and had issued their inspection
observations in Form FDA 483 to the said manufacturing units.

We now wish to inform you that the US FDA has issued import alert to the
Company’s said formulations manufacturing units situated at SEZ Indore
(Pithampur) and Piparia (Silvassa) on 241h March, 2015 (as displayed on
their website).

We have already informed you vide our lelter dated 24th July, 2014 that the
Company has voluntarily decided to suspend API shipments from Ratlam
manufacturing unit for the US market till the US FDA inspection
observations issue is resolved.

We have also informed you that since Company’s formulations manufacturing
units situated at SEZ Indore (Pithampur) and Piparia (Silvassa) use the
APls from the Ratlam manufacturing unit for the formulations manufactured
at these units for the US market, the voluntary stoppage of API shipments
from the Rallam manufacturing unit for the US market will also have impact
on Company’s formulations export business to the US market.

Therefore, since July 2014, the Company has not shipped any APls or
formulations to the US market except the products that were exempted from
the import alert.

The Company is fully commilted in resolving this issue at the earliest. The
Company is also commilted to its philosophy of highest quality in
manufacturing, operations, systems, integrity and cGMP culture

*Disclosure: *Capital Mind may have recommended IPCA as part of its
portfolios, and the authors at Capital Mind own it in their personal/family
accounts.

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