delivered the opinion of the Court.
In this products liability case we consider whether plaintiffs may recover the costs of medical monitoring despite their failure to allege a physical injury. The trial court granted defendant Merck & Co., Inc.’s (Merck) motion to dismiss, reasoning that medical monitoring is an uncommon remedy that should not be applied to plaintiffs who did not allege any manifest injury. The Appellate Division disagreed, concluding that our limited medical monitoring jurisprudence does not necessarily preclude plaintiffs’ cause of action and remanded for discovery. We granted Merck’s petition for certification, and now reverse.
We hold that the definition of harm under our Products Liability Act (PLA), N.J.S.A. 2A:58C-1 to -11, does not include the remedy of medical monitoring when no manifest injury is alleged. We also hold that the PLA is the sole source of remedy for plaintiffs’ defective product claim; therefore, the Consumer Fraud Act (CFA), N.J.S.A. 56:8-1 to -106, does not provide an alternative remedy.
I.
This litigation arises from the use of Vioxx, a prescription drug manufactured and sold by Merck. On May 20, 1999, Vioxx was approved for sale by the United States Food and Drug Administration (FDA) for the relief of the signs and symptoms of acute pain, dysmenorrhea, and osteoarthritis. Sequence of Events with VIOXX, since opening of IND, http://www.fda.gov/OHRMS/ DOCKETS/AC/05/briefing/2005-4090B1_04_E-FDA-TAB-C.htm (last visited Mar. 20, 2008). Five years later, on September 30, 2004, the FDA “acknowledged the voluntary withdrawal from the market of Vioxx.” FDA Issues Public Health Advisory on Vioxx as its Manufacturer Voluntarily Withdraws the Product (Sept. 30, 2004), http://www.fda.gov/bbs/topies/news/2004/NEW01122. *55html [hereinafter FDA Release]. The FDA Release explained that the withdrawal came “after the data safety monitoring board overseeing a long-term study of the drug recommended that the study be halted because of an increased risk of serious cardiovascular events, including heart attacks and strokes, among study patients taking Vioxx compared to patients receiving placebo.”
Since the withdrawal of Vioxx from the market, numerous plaintiffs have instituted lawsuits against Merck alleging cardiovascular injuries due to the use of Vioxx. In November 2004, plaintiffs Phyllis Sinclair and Joseph Murray filed a class action complaint against Merck and various fictitiously-named distributors, manufacturers, advertisers, sellers, marketing partners, and promoters. Plaintiffs alleged negligence, violation of the PLA, violation of the CFA, breach of express and implied warranties, and unjust enrichment. Plaintiffs brought the action on behalf of a proposed national class of individuals who ingested Vioxx during the period from when Vioxx was introduced in May 1999 through the period when it was withdrawn from the worldwide market in September 2004, and who may suffer from serious silent or latent injury for which they may require medical monitoring.
In March 2005, an amended complaint substituted plaintiff Robbie L. Traylor for plaintiff Sinclair and redefined the class sought to be certified as consisting of national or statewide individuals who ingested Vioxx for at least six consecutive weeks during the previously mentioned period who had not sought to recover damages for personal injuries caused by Vioxx. Plaintiffs also refined the factual allegations advanced in the complaint and alleged that as a result of their direct and prolonged consumption of Vioxx, they are at enhanced risk of serious undiagnosed and unrecognized myocardial infarction, commonly referred to as “silent heart attack,” and other latent and unrecognized injuries. In addition to seeking punitive damages, plaintiffs asserted that the cost of diagnostic testing designed to determine whether they have suffered unrecognized or serious latent injury as a result of their direct exposure to Vioxx represents an ascertainable economic loss *56for which they are entitled to medical monitoring relief paid for by defendants. They sought to have defendants fund a court-administered screening program to provide medical diagnostic tests for each member of the proposed class and follow-up with an epidemiologist. Plaintiffs did not allege that they have had an Electrocardiogram (EKG) since they began taking Vioxx or that they have suffered any known adverse effect as a result of taking Vioxx.
Thereafter, in April 2005, Merck moved to dismiss the amended complaint for failure to state a cognizable claim under New Jersey law. In framing the issue, the trial court reviewed the standards governing pleadings and motions to dismiss, as well as the facts and holdings of several significant cases that addressed medical monitoring: Ayers v. Township of Jackson, 106 N.J. 557, 525 A.2d 287 (1987), Mauro v. Raymark Industries, Inc., 116 N.J. 126, 561 A.2d 257 (1989), and Theer v. Philip Carey Co., 133 N.J. 610, 628 A.2d 724 (1993). The court determined that Theer, as it related to Ayers and Mauro, limited the extent to which the Supreme Court would extend medical monitoring relief. The trial court also found that the present matter was significantly different from Ayers and its progeny.
Central to the ease, the trial court concluded that “the PLA applies to Vioxx and ... limits compensation to harm as defined by” the statute. The trial court reasoned that this Court “has indicated that medical monitoring may be necessary in asbestos products-liability actions, [but] it has yet to apply a medical monitoring remedy to a pure products liability action where the PLA applies.” Additionally, the trial court noted that “the CFA only allows for recovery of economic damages” and medical monitoring is therefore an unavailable remedy under that act. Consequently, the trial court dismissed plaintiffs’ complaint with prejudice as to all claims.
On appeal, the Appellate Division reversed and remanded for further proceedings. Sinclair v. Merck & Co., 389 N.J.Super. 493, 496, 913 A.2d 832 (2007). The panel noted that the sole issue on *57appeal was “[t]he viability of plaintiffs’ medical monitoring claim.” Ibid. The panel then reviewed Ayers, Mauro, and Theer. See id. at 496-503, 913 A.2d 832. It cautioned that, although the trial court’s conclusion “ ‘that Ayers, as clarified by Theer, was not meant to extend to all products liability actions and should be limited rather than expanded,’ ” may ultimately prove to be correct, it did “not read Theer as dictating that result without analysis of the scientific and other evidence relevant to plaintiffs’ claims.” Id. at 503, 913 832. Noting the lack of facts and expert testimony at that stage of the proceedings, the panel remanded the matter for discovery and an evidentiary hearing. Id. at 508-09, 913 A.2d 832. The panel explained that even though the PLA’s “requirement of ‘harm[,]’ which is defined in relevant part as ‘personal physical illness, injury or death,’ ” may ultimately lead to the dismissal of plaintiffs’ claims, plaintiffs “must be accorded an opportunity to demonstrate ‘harm’ cognizable under the [PLA] before the portions of their suit premised on th[e PLA] can be dismissed as legally insufficient.” Id. at 509-10, 913 A.2d 832.
We granted Merck’s petition for certification. 190 N.J. 392, 921 A.2d 446 (2007). We also granted amicus curiae status to Pharmaceutical Research and Manufacturers of America, Pacific Legal Foundation, Product Liability Advisory Council, Inc., ATLA-NJ, and AARP.
II.
Merck urges that further development of a record is not necessary because plaintiffs have not alleged any manifest injury from the use of Vioxx. Merck argues that this Court’s decision in In re Lead Paint Litigation, 191 N.J. 405, 924 A.2d 484 (2007), controls the outcome here because the Court held that the PLA exclusively governs all product liability claims, and plaintiffs do not allege the physical harm required to succeed on a product liability claim under the PLA. Further, Merck argues that the case cannot proceed on a fraud theory under the CFA because the Lead Paint *58decision made clear that the PLA is a comprehensive statute intended to address “all legal issues arising out of the potential risks associated with the use of consumer products in New Jersey.” Merck adds that the analysis in Lead Paint of the environmental tort exception to the PLA clarifies the distinction between this case involving a products liability claim and Ayers and Mauro, involving environmental contaminate and workplace asbestos exposure in which medical monitoring remedies were approved. Amici, Pharmaceutical Research and Manufacturers of America, Pacific Legal Foundation, and Product Liability Council, largely support Merck’s position.
On the contrary, plaintiffs argue that the Appellate Division correctly applied this Court’s medical monitoring precedents. Plaintiffs contend that they asserted each of the elements required by Ayers, and that Mauro did not change the Ayers’ requirements. Further, they contend that “[t]he PLA does not impose a physical injury requirement” and that economic harm is consistent with the concerns underlying this Court’s recognition of the monitoring cause of action in Ayers. Plaintiffs urge that Lead Paint supports their claims for medical monitoring because it recognized that the costs of testing for contamination and of medical treatment are actionable harms under the PLA. They assert that although the PLA covers their tort claims, they can also proceed under the CFA because Lead Paint is silent on consumer fraud and the requirements for preempting such claims. Amici, ATLA-NJ and AARP, support plaintiffs’ position, and urge this Court to affirm the judgment of the Appellate Division.
III.
A.
Before addressing whether plaintiffs may seek to recover the costs of medical monitoring without an allegation of physical injury in a products liability case, we review the limited authority for medical monitoring.
*59Prior to the adoption of the PLA, we held in Ayers, supra, that under limited circumstances, a plaintiff can recover the cost of medical monitoring tinder the Tort Claims Act (TCA), N.J.S.A. 59:1-1 to 12-3. 106 N.J. at 606, 525 A.2d 287. In Ayers, a landfill operated by the defendant contaminated the plaintiffs’ well water when toxic pollutants leaked into the Cohansey Aquifer. Id. at 565, 525 A.2d 287. The plaintiffs sued the defendant. Ibid. The jury found that the defendant created a “nuisance” and a “dangerous condition” in the operation of its landfill and awarded damages for emotional distress, deterioration of plaintiffs’ quality of life, and future costs of annual medical surveillance. Id. at 565-66, 525 A.2d 287. The Appellate Division set aside the jury’s $8,204,500 award for medical surveillance. Id. at 566, 525 A.2d 287. In reinstating the award, this Court listed several factors to be considered in deciding claims involving the compensability of medical surveillance expenses. Id. at 605-06, 525 A.2d 287.
[T]he cost of medical surveillance is a compensable item of damages where the proofs demonstrate, through reliable expert testimony predicated upon the significance and extent of exposure to chemicals, the toxicity of the chemicals, the seriousness of the diseases for which individuals are at risk, the relative increase in the chance of onset of disease in those exposed, and the value of early diagnosis, that such surveillance to monitor the effect of exposure to toxic chemicals is reasonable and necessary.
[Id. at 606, 525 A.2d 287.]
This Court held that the plaintiffs were entitled to their lump-sum jury verdict awarding medical-surveillance damages, but that in the future, a fund would be used to disburse medical surveillance benefits, because a fund offered numerous advantages over a lump-sum verdict. Id. at 607-11, 525 A.2d 287.
Two years later, this Court decided Mauro. There, a repairman employed at a state psychiatric hospital sued private manufacturers of products containing asbestos for “injuries allegedly sustained as a result of inhalation of asbestos fibers.” Mauro, supra, 116 at 128-29, 561 A.2d 257. After participating in tests conducted by the New Jersey Department of Health (Department) in 1981, the plaintiff was informed “that although the results of his physical examination and lung function test were *60‘normal,’ he had bilateral thickening of both chest walls and calcification of the diaphragm.” Id. at 129, 561 A.2d 257. The Chief of Occupational Medicine for the Department informed the plaintiff of his condition and opined that the plaintiffs “ ‘exposure to asbestos has been significant and there is some evidence that this exposure may increase the risk of development of lung cancer.’ ” Ibid. The plaintiff subsequently consulted a pulmonary specialist and was examined every six months beginning in 1982. Ibid. At trial, the court permitted the jury to consider the plaintiffs claim for damages caused by emotional distress, his present medical condition, and the cost of future medical surveillance, but rejected the plaintiffs claim for damages based on his enhanced risk of cancer. Id. at 131, 561 A.2d 257. The jury awarded the plaintiff $7,500 and the Appellate Division affirmed. This Court distinguished between the plaintiffs enhanced-risk claims and claims for medical surveillance, id. at 136, 561 A.2d 257, and found that recovery for enhanced risk of contracting a disease due to exposure to toxic chemicals is only possible upon proof that it is more probable than not (the rule of reasonable medical probability) that the plaintiff will develop the disease, id. at 132-33, 561 A.2d 257. The Court found that the plaintiff failed to submit evidence establishing that the future occurrence of cancer was a reasonable medical probability and therefore that claim was properly withheld from the jury. Id. at 139, 561 257. As for the plaintiffs claims for medical surveillance and emotional distress, the Court held that “[rjecognition of present claims for medical surveillance and emotional distress realistically address[ ] significant aspects of the present injuries sustained by toxic-tort plaintiffs, and serve[ ] as an added deterrent to polluters and others responsible for the wrongful use of toxic chemicals.” Id. at 145, 561 A.2d 257.
The next case in which this Court addressed medical monitoring was Theer. In Theer, supra, the widow of an asbestos worker brought a products liability action against manufacturers of asbestos products to recover for her husband’s death and for the risk of her own future injury due to her indirect exposure to asbestos *61through the handling of her husband’s clothes. 133 N.J. at 613-14, 628 A.2d 724. At trial, the jury found that Mrs. Theer did not have an asbestos-related injury; for that reason, “the court did not allow the jury to reach her claim for damages for emotional suffering and costs of medical surveillance based on the increased risk of cancer.” Id. at 616, 628 A.2d 724. The Appellate Division reversed and remanded in part for the jury to consider the plaintiffs medical surveillance claims. Id. at 617, 628 A.2d 724. This Court granted certification in part to address “whether costs of medical surveillance are available as compensatory damages for one exposed to asbestos.” Ibid. In reviewing both the Ayers and Mauro eases, the Court explained that
Ayers indicates that medical surveillance damages constitute a special compensatory remedy designed to address the unique harm entailed in an increased risk of future injury arising from the exposure to toxic chemicals. It is not easily invoked. The remedy in Ayers was fashioned to help a class of person who had been victimized by a public entity. The feasibility of developing a fund to provide limited compensation was a relevant consideration. Because persons may often be exposed to toxic chemicals in a product-liability context, we recognize the soundness of Mauro, which, in a limited context, extends the Ayers cause of action to plaintiffs who have suffered increased risk of cancer when directly exposed to a defective or hazardous product like asbestos, when they have already suffered a manifest injury or condition caused by that exposure, and whose risk of cancer is attributable to the exposure.
[Id. at 627, 628 A.2d 724.]
The Court emphasized that such a special remedy “applies only to persons who have been directly exposed to hazardous substances.” Ibid. Because the plaintiff was not exposed to the product in a direct manner and had not suffered from any injury or condition relating to the exposure, this Court held that the plaintiff could not recover damages for medical surveillance. at 627-28, 628 A.2d 724.
B.
We now consider whether a claim for medical monitoring requires a different result when the claim is neither brought under traditional tort principles for exposure to an environmental contaminate, nor for personal injuries as the result of exposure to *62asbestos, but rather is brought specifically under the PLA for the ingestion of a pharmaceutical product.
In 1987- the Legislature enacted the PLA based on an “urgent need for remedial legislation to establish clear rules with respect to certain matters relating to actions for damages for harm caused by products.” N.J.S.A. 2A:58C-1a. This Court declared that “[t]he Legislature intended ... to limit the liability of manufacturers so as to ‘balanee[ ] the interests of the public and the individual with a view towards economic reality.’ ” Zaza v. Marquess & Nell, Inc., 144 N.J. 34, 675 A.2d 620 (1996) (second alteration in original) (quoting Shackil v. Lederle Labs., 116 N.J. 155, 188, 561 A.2d 511 (1989)).
A product liability action is defined as “any claim or action brought by a claimant for harm caused by a product, irrespective of the theory underlying the claim, except actions for harm caused by breach of an express warranty.” N.J.S.A. 2A:58C-1b(3). In addition to the exception for breach of an express warranty, the PLA excludes from its reach environmental tort actions, N.J.S.A 2A:58C-6, defined as “a civil action seeking damages for harm where the cause of the harm is exposure to toxic chemicals or substances, but does not mean actions involving drugs or products intended for personal consumption or use,” N.J.S.A 2A:58C-1b(4). See Lead Paint, supra, 191 N.J. at 437, 924 A.2d 484 (noting PLA “excludes claims seeking coverage for harm where the cause of the harm is exposure to toxic chemicals or substances” (citation and quotation marks omitted)). It is evident that Vioxx is a drug product and plaintiffs’ cause of action is encompassed by the PLA.
The essential question is whether plaintiffs’ effort to recover monitoring damages is limited by the definition of “harm” in the PLA. “Harm” is defined in the PLA as
(a) physical damage to property, other than to the product itself; (b) personal physical illness, injury or death; (c) pain and suffering, mental anguish or emotional harm; and (d) any loss of consortium or services or other loss deriving from any type of harm described in subparagraphs (a) through (c) of this paragraph.
[N.J.S.A 2A:58C-1b(2) (emphasis added).]
*63Merck argues that the word “physical” in the definition of harm modifies both “illness” and “injury,” and because plaintiffs have no physical injury, their claim must fail. Plaintiffs disagree and urge that the PLA does not limit the type of injury that may occur.
We have not found, nor have the parties called our attention to, any reported decision in this State determining whether the word “physical” modifies the words “illness” and “injury” or merely modifies the word “illness.” Our canvas from other jurisdictions has not been informative. At the present time, only a handful of product liability statutes exist in which the word “physical,” “personal,” or “bodily,” does not modify the word injury or harm.1 *64In those jurisdictions, we did not find any cases interpreting the type of harm necessary to assert a cognizable claim under those statutes. However, some courts interpreting those product liability statutes generally have suggested that a physical injury would be
We read our PLA to require a physical injury. Prior to the enactment of the PLA, we adopted generally the view of Restatement (Second) of Torts § 402A (1965), in which strict liability in tort for defective products spoke only in terms of physical harm. See Cepeda v. Cumberland Eng’g Co., 76 N.J. 152, 163, 169, 386 A.2d 816 (1978), overruled on other grounds by Suter v. San Angelo Foundry & Mach. Co., 81 150, 177, 406 A.2d 140 (1979); see also Brown v. United States Stove Co., 98 N.J. 155, 178, 484 A.2d 1234 (1984). Nothing in the legislative history of the PLA suggests that the Legislature intended to eliminate that physical component.
To be sure, in the definition of harm, the word “injury” is surrounded by “physical illness,” which explicitly requires something physical, and “death,” which inherently is physical. We give words their common acceptance and usage, but “particular words may be enlarged or restricted in meaning by their associates and the evident spirit of the whole expression.” Salz v. State House Comm’n, 18 N.J. 106, 111, 112 A.2d 716 (1955). In our view, the *65sense and reason of that definition is that the adjectives “personal physical” are intended to modify the words “illness,” “injury,” and “death.” Consistent with that interpretation, we determined in Lead Paint, supra, that harm under the PLA “includes ‘physical damage to property[,] ... personal physical illness [or] injury,’ and the like.” 191 at 437, 924 A.2d 484. Consequently, we read the injury portion of the definition to require “personal physical” injury, just like there must be a “personal physical” illness and “personal physical” death.
Here, it is not disputed that plaintiffs do not allege a personal physical injury. Thus, we conclude that because plaintiffs cannot satisfy the definition of harm to state a product liability claim under the PLA, plaintiffs’ claim for medical monitoring damages must fail. See Myrlak v. Port Auth. of N.Y. & N.J., 157 N.J. 84, 97, 723 A.2d 45 (1999) (noting that elements of prima facie product liability case are proof product was defective, defect existed when product left manufacturer’s control, defect proximately caused injuries to plaintiff, and plaintiff was reasonably foreseeable or intended user). Plaintiffs’ effort to expand the definition of harm to include medical monitoring is best directed to the Legislature.
IV.
Plaintiffs also seek to avoid the requirements of the PLA by asserting their claims as CFA claims. However, the Legislature expressly provided in the PLA that claims for “harm caused by a product” are governed by the PLA “irrespective of the theory underlying the claim.” N.J.S.A. 2A:58C-lb(3). We explained in Lead Paint, supra, that “[t]he language chosen by the Legislature in enacting the PLA is both expansive and inclusive, encompassing virtually all possible causes of action in relating to harms caused by consumer and other products.” 191 N.J. at 436-37, 924 A.2d 484. As a result, we declared that “[i]n light of the clear intention of our Legislature to include all [product liability] claims within the scope of the PLA, we find no ground on which to conclude that *66the claims being raised by plaintiffs, regarding an ordinary household product used by consumers, were excluded from the scope of’ the PLA. Id. at 437, 924 A.2d 484. We reach that same conclusion here.
The language of the PLA represents a clear legislative intent that, despite the broad reach we give to the CFA, the PLA is paramount when the underlying claim is one for harm caused by a product. The heart of plaintiffs’ case is the potential for harm caused by Merck’s drug. It is obviously a product liability claim. Plaintiffs’ CFA claim does not fall within an exception to the PLA, but rather clearly falls within its scope. Consequently, plaintiffs may not maintain a CFA claim.
V.
We reverse the judgment of the Appellate Division and remand to reinstate the judgment of the Law Division dismissing plaintiffs’ complaint.
See, e.g., Ga.Code Ann. § 51-1-11(b)(1) (2007) (declaring liability when consumer suffers “injury to his person or property"); Idaho Code Ann. § 6-1402(4) (2008) (" 'Claimant' includes any person or entity that suffers harm.”); Miss.Code Ann. § (2008) (referring to "product that caused harm for which recovery of damages is sought"); Mo.Rev.Stat. § 537.760(3)(a) (2008) ("[T]he term ‘products liability claim’ means ... the plaintiff was damaged as a direct result of [a] defective condition_”); Wash. Rev.Code. § 7.72.010 (2008) (“'Harm' includes any damages recognized by the courts of this state-"). But see Ala.Code § 6-5-501(2) (2008) (including actions "brought by a natural person for personal injury, death, or property damage”); Ariz.Rev.Stat. Ann. § 12-681(5) (2008) (" ‘Product liability action' means any action ... for damages for bodily injury, death or property damage-"); Ark.Code Ann. § 102(5) (2008) (including actions "on account of personal injury, death, or property damage”); Colo.Rev.Stat. § 13-21-401(2) (2008) (same); Conn. Gen. Stat. § 52-572m(d) (2008) (" ‘Harm’ includes ... personal injuries including wrongful death_"); Ind.Code § 34-20-1-1 (2008) (applying product liability article to actions "for physical harm caused by a product"); Kan. Stat. Ann. § 60-3302 (2006) (" 'Harm' includes: ... personal physical injuries, illness or death."); Ky.Rev.Stat. Ann. § 411.300(1) (LexisNexis 2008) (including actions "brought for or on account of personal injuty, death or property damage”); Me.Rev.Stat. Ann. tit. 14, § 221 (2007) ("One who sells ... products in a defective condition ... is subject to liability for physical harm thereby caused to a person....”); Mich. Comp. Laws § 600.2945(h) (2008) (including claims "brought for the death of a person or for injury to a person or damage to property”); Mont.Code Ann. § 27-1-719 (2007) (naming statute: "Liability of seller of product for physical harm to user or consumer”); N.C. Gen.Stat. § 99B-1(3) (2007) (including actions "on account of personal injury, death or property damage”); Ohio Rev.Code Ann. § 307.71(A)(7) (LexisNexis 2008) (" 'Harm' means death, physical injury to person, serious emotional distress, or physical damage to property_"); Or.Rev.Stat. § 30.900 (2007) (defining "product lia*64bility action" as action for “damages for personal injury, death or property damage"); S.C.Code Ann. § 15-73-10(1) (2007) (declaring sellers of defective products liable for "physical harm”); Tenn.Code Ann. § 29-28-102(6) (2008) (" ‘Product liability action’ ... includes all actions ... on account of personal injury, death or property damage"); Texas Civ. Prac. & Rem Code Ann. § 82.001 (Vernon 2007) (permitting recovery for "damages arising out of personal injury, death, or property damage”); Utah Code Ann. § 78-15-6 (2007) (governing actions for "damages for personal injury, death, or property damage”).
See Chrysler Corp. v. Taylor, 141 Ga.App. 671, 234 S.E.2d 123, 124 (1977); Shields v. Morton Chem. Co., 95 Idaho 674, 518 P.2d 857, 860 (1974); Williams v. Bennett, 921 So.2d 1269, 1274-75 (Miss.2006); Rodriguez v. Suzuki Motor Corp., 996 S.W.2d 47, 65 (Mo.1999); Lenhardt v. Ford Motor Co., 102 Wash.2d 208, 683 P.2d 1097, 1099 (1984).