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Federal
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Kamir Garces-Mejias, M.D.; Revocation of Registration
FR Doc E7-19042 [Federal Register: September 27, 2007 (Volume 72,
Number 187)] [Notices] [Page 54931-54936] From the Federal Register
Online via GPO Access [wais.access.gpo.gov] [DOCID:fr27se07-82]
DEPARTMENT OF JUSTICE
Drug Enforcement Administration
Kamir Garces-Mejias, M.D.; Revocation of Registration
On September 6, 2005, I, the Deputy Administrator of the Drug
Enforcement Administration, issued an Order to Show Cause and Immediate
Suspension of Registration to Kamir Garces-Mejias, M.D. (Respondent), of
San Juan, Puerto Rico. The Order immediately suspended Respondent's
Certificate of Registration, BG2453075, as a practitioner, on the ground
that Respondent's continued registration during the pendency of the
proceeding "would constitute an imminent danger to the public health and
safety,'' because Respondent had issued numerous prescriptions for
controlled substances to persons who sought the drugs through internet
sites and without "establish[ing] legitimate physician-patient
relationships.'' Show Cause Order at 6. The Order also sought the
revocation of Respondent's registration and the denial of any pending
applications for renewal or modification of the registration. Id. at 1.
More specifically, the Show Cause Order alleged that Respondent was a
participant in a scheme run by Mr. Johar Saran, the owner of Carrington
Health System/Infiniti Services Group (CHS/ISG) of Arlington, Texas. Id.
at 5. According to the allegations, CHS/ISG operated several DEA-registered
pharmacies, which obtained their registrations through sham-nominees and
which were used to order large amounts of highly abused controlled
substances from licensed distributors. Id. The Show Cause Order alleged
that the controlled substances were then diverted to CHS/ISG, where they
were used to fill approximately 3,000 to 4,000 orders per day which had
been placed by persons through various Web sites. Id.
The Show Cause Order further alleged that Respondent "participated in
[this] scheme by authorizing drug orders under the guise of practicing
medicine.'' Id. The Show Cause Order alleged that Respondent "did not
see [the] customers, had no prior doctor-patient relationships with the
Internet customers, did not conduct physical exams,'' and did not "create
or maintain patient records.'' Id. The Show Cause Order also alleged
that between May 19 and May 27, 2005, Respondent issued 188
prescriptions to persons located in thirty-three different States, and
that eighty-six percent of the prescriptions were for hydrocodone, a
controlled substance. Id. at 6.
On September 21, 2005, the Show Cause Order was personally served on
Respondent. On October 7, 2005, Respondent, through her counsel,
requested a hearing on the allegations. This letter was returned,
however, by UPS as undelivered. Thereafter, on October 14, 2005,
Respondent, through her counsel, against requested a hearing. Respondent
also asserted that she "may be the victim of a theft identity and [that]
someone may have used, without her authorization, one of her
prescriptions.'' Letter of Resp.'s Counsel at 1 (Oct. 14, 2005).
Respondent also denied having ever "participated in any Web site related
to Mr. Johar Saran's scheme.'' On November 16, 2005, based on
Respondent's claim that she may have been the victim of identity theft,
I stayed the Immediate Suspension of her registration.
In the meantime, the matter had been placed on the docket of this
Agency's Administrative Law Judges (ALJ) and assigned to Judge Gail
Randall. On October 26, 2005, the ALJ ordered the parties to file their
pre-hearing statements. Following my decision staying the suspension
order, the Government moved to stay the filing of pre-hearing
statements. On November 18, 2005, the ALJ granted the motion.
In a December 4, 2006 joint status report, the parties informed the
ALJ that they were unable to resolve the matter without a hearing. The
Government thus requested that the matter be set for hearing. On
December 13, 2006, the ALJ issued a Second Order for Pre-Hearing
Statements. The Order directed that the Government file its statement on
or before January 10, 2007, and that Respondent file her statement on or
before January 31, 2007.
On January 5, 2007, the Government filed its statement. Respondent
did not, however, comply with the ALJ's order. Accordingly, on February
15, 2007, the ALJ issued an additional order which directed Respondent
to file her statement by February 28, 2007. The order also gave notice
that Respondent's failure to comply could be deemed a waiver of her
right to a hearing. See Third Order for Respondent's Prehearing
Statement 1 (citing 21
CFR 1301.43(e)). Respondent also failed to comply with this order.
Thereafter, on March 5, 2007, the Government moved to terminate the
proceeding and requested that the ALJ find that Respondent had waived
her right to a hearing. On March 7, 2007, the ALJ found that Respondent
had waived her right to a hearing under 21 CFR 1301.43(e), granted the
Government's motion, and ordered that the proceeding be terminated.
On March 12, 2007, Respondent's counsel received a copy of the ALJ's
termination order and moved for reconsideration. The basis for the
motion was that Respondent's counsel "is a solo practitioner in the
island of Puerto Rico with an extensive practice on civil and federal
criminal cases.'' Respondent's Req. for Reconsideration at 2.
Respondent's counsel maintained that since January 6, 2007, he had "had
an extremely busy Court calendar,''
[[Page 54932]]
which "include[d] three * * * major criminal * * * jury trials before
the United States District Court for the District of Puerto Rico.'' Id.
Respondent's counsel also maintained that he had "been involved in
preparation for numerous appeals at the First Circuit Court of Appeals
and the handling of other criminal and civil matters filed in the State
and Federal Courts.'' Id. at 3. Respondent's counsel further stated that
it had not been his "intention to be disrespectful or to willfully
disobey the orders issued by the ALJ.'' Id.
The ALJ was not persuaded. The ALJ observed that in the three months
prior to her order terminating the case, she had issued numerous other
orders in the proceeding, three of which had required a response, and
that each order had been sent by both facsimile and first-class mail to
Respondent's counsel. Order Denying Request for Reconsideration at 1-2.
The ALJ noted that "[n]one of my orders, prior to the Termination Order
* * * ha[d] elicited a response from the Respondent despite the
deadlines to respond.'' Id. at 2. The ALJ also noted that "at no point
did the Respondent request a written extension of time.'' Id. The ALJ
thus concluded that "Respondent's failure to pursue her case remains a
waiver of her right to a hearing pursuant to 21 CFR 1301.43(e),'' and
denied Respondent's request for reconsideration. Id.
Thereafter, Respondent filed a second motion for reconsideration. As
grounds for the motion, Respondent asserted that her motion should be
evaluated using the same standards that the federal courts apply under
Rule 55(c) of the Federal Rules of Civil Procedure. Resp.'s Second Mot.
for Reconsid. at 2. Respondent contends that the Agency has not been
prejudiced by her failure to comply with the ALJ's orders; that her
counsel is a solo practitioner who participated in three federal
criminal trials between January 8th and February 20, 2007, which left
him with "literally no time for other meritorious cases''; that
Respondent has meritorious defenses; and that Respondent's failure to
timely respond to the ALJ's orders was her attorney's fault. See
generally id. Respondent thus contends that she has shown good cause to
set aside the ALJ's termination order.
Thereafter, the ALJ ordered the Government to respond. The Government
argued that having terminated the proceeding, the ALJ no longer had
jurisdiction. Gov. Response to Respondent's Mot. Requesting Rescission
of Termination Order. The Government also argued that Respondent had not
demonstrated good cause to set aside the termination order. According to
the Government, the ALJ's order for pre-hearing statements gave
Respondent's counsel seven weeks to file her pre- hearing statement, and
that during that period, Respondent's counsel took nearly a two-week
vacation. Moreover, the ALJ's Third Order had given Respondent's counsel
an additional thirteen days to file her pre- hearing statement and
Respondent's counsel still had eight days to do so following the
conclusion of his third trial.
Finding "the Government's argument compelling,'' the ALJ denied
Respondent's motion. Order Denying Resp.'s Motion at 2. The ALJ reasoned
that even if she still had jurisdiction, Respondent had not "provide[d]
due cause for her failure to proceed in a timely fashion.'' Id. The ALJ
thus held to her earlier decision that "Respondent's 'failure to pursue
her case remains a waiver of her right to [a] hearing pursuant to 21
CFR 1301.43(e),' '' and denied the motion. Id. (quoting Termination
Order).
The investigative file was then forwarded to me for final agency
action. Having considered the various pleadings, I conclude that
Respondent has not shown "good cause'' for failing to comply with the
ALJ's orders and thus find that Respondent has waived her right to a
hearing. See 21 CFR 1301.43(d). Before proceeding to make factual
findings regarding the allegations of the Show Cause Order, a discussion
of Respondent's motion is warranted.
In seeking to set aside the ALJ's termination order, Respondent
invokes various court decisions construing Rule 55(c) of the Federal
Rules of Civil Procedure. Respondent's argument is misplaced. Agency
proceedings brought under section 304 of the Controlled Substances Act
are not governed by the Federal Rules of Civil Procedure, but rather,
DEA's regulations and the rules set forth in the applicable provisions
of the Act. See 21
CFR 1301.41. Indeed, this Agency has never held that the good cause
standard of 21 CFR 1301.43(d), which addresses conduct constituting a
waiver of the right to a hearing, is to be construed in the same manner
as the federal courts interpret the good cause standard under F.R.C.P.
55(c) for setting aside the entry of a default.
Moreover, Respondent has not demonstrated good cause. Respondent
argues that her "default in submitting timely response to the orders
issued by [the ALJ] was not willful.'' Resp.'s Second Mot. at 6.
Respondent further contends that there was "no culpable conduct'' on her
part and that she was not "personally at fault'' because it was her
attorney's responsibility to respond to the ALJ's orders and he was
preoccupied with other matters. Id. The omissions of Respondent's
counsel are, however, fairly charged to Respondent. Moreover, even if
her counsel's failure to respond to the ALJ's orders does not rise to
the level of willfulness, it is still sufficiently culpable to preclude
a finding that there is good cause to set aside the ALJ's Termination
Order.
As the First Circuit has explained, Respondent's claim "that [her]
attorney was preoccupied with other matters * * * has been tried before,
and regularly has been found wanting.'' De la Torre v. Continental Ins.
Co., 15 F.3d 12, 15 (1st Cir. 1994) (citing Mendez v. Banco Popular de
Puerto Rico, 900 F.2d 4, 7 (1st. Cir. 1990) (other citations omitted)).
As the First Circuit has also noted: "Most attorneys are busy most of
the time and they must organize their work so as to be able to meet the
time requirements of matters they are handling or suffer the
consequences.'' Torre, 15 F.3d at 15 (quoting Pinero Schroeder v. FNMA,
574 F.2d 1117, 1118 (1st Cir. 1978)).
Relatedly, the Supreme Court has observed that clients are "accountable
for the acts and omissions of their attorneys.'' Pioneer Inv. Servs. Co.
v. Brunswick Assoc. Limited Partnership, 507 U.S. 380, 396 (1993). As
the Court has further explained, one who "voluntarily chose this
attorney as [her] representative in the action * * * cannot * * * avoid
the consequences of the acts or omissions of this freely selected agent.
Any other notion would be wholly inconsistent with our system of
representative litigation, in which each party is deemed bound by the
acts of [her] lawyer-agent and is considered to have notice of all
facts, notice of which can be charged upon the attorney.'' Id. at 397
(quoting Link v. Wabash Ry. Co., 370 U.S. 626, 633-34 (1962) (other
citation and int. quotations omitted)). Accordingly, that Respondent was
not personally at fault in failing to respond to the ALJ's orders is
irrelevant.
As for the contention that the conduct of Respondent's counsel was
not willful, it is still sufficiently culpable to preclude a finding
that good cause exists to set aside the Termination Order. Here, the ALJ
issued her second order for pre-hearing statements on December 13, 2006.
This Order was faxed to Respondent's counsel the following day (as well
as mailed) and gave him seven weeks to submit his filing. While
Respondent's counsel could not find the time to comply with the ALJ's
order, by his own admission
[[Page 54933]]
he was able to take "his annual vacation from December 24, 2006 to
January 6, 2007.'' Resp. Second Mot. at 3. Surely, if one can find time
to take vacation, he can also find time to file a necessary pleading and
comply with the ALJ's orders.
Moreover, even after Respondent's counsel failed to comply with the
January 31, 2007 deadline, the ALJ granted him a second chance. On
February 15, 2007, the ALJ issued her Third Order for Respondent's Pre-
hearing Statement, which gave Respondent's counsel until February 28,
2007 to file the statement. The Third Order also gave notice that
Respondent's failure to comply could be deemed a waiver of her right to
a hearing. This Order was also served on Respondent's counsel by both
First Class Mail and facsimile.
Respondent's counsel again failed to comply with the ALJ's order.
Indeed, Respondent's counsel did not submit his pre-hearing statement
until after being served with the ALJ's Termination Order. While
Respondent's counsel contends that he was involved in three federal
criminal jury trials between January 8, 2007, and February 20, 2007,
which "left literally no time for other meritorious cases,'' and that it
was not his "intention to disregard'' the ALJ's orders, Resp. Sec. Mot.
at 4, he offers no explanation for why he failed to comply with the
ALJ's order following the conclusion of the third trial. Nor does he
offer any explanation for why he did not contact the ALJ and request an
extension during the two-and-a-half months that elapsed between the
issuance of the Second Order and the deadline of the Third Order.\1\ Cf.
Kirk v. INS, 927 F.2d 1106, 1108 (9th Cir. 1991) (rejecting contention
that procedural default should be excused because party's counsel had "been
involved in three hearings over the last three weeks which required a
great deal of time'').
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\1\ He also offers no explanation as to why, in the
period between the dismissal of the indictment in United States v.
Bretton- Castillo and the beginning of the trial in United States v.
Cedeno- Perez, he could not find the time to either file the
pre-hearing statement or seek an extension.
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Accordingly, even if the conduct of Respondent's counsel was not
willful or intentional, it clearly was culpable in that it amounted to a
reckless disregard of the ALJ's orders. "Litigants must act punctually
and not casually or indifferently if a judicial system is to function
effectively.'' McKinnon v. Kwong Wah Restaurant, 83 F.3d 498, 504 (1st
Cir. 1996). This language is equally applicable to administrative
proceedings. Respondent has therefore failed to show good cause to set
aside the Termination Order.\2\
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\2\ Respondent also asserts that I should consider "whether
the entry of termination would bring about a harsh or unfair result
which would have a lifetime effect [on her] capacity to earn her
living.'' Resp. Sec. Motion at 7. An order of revocation does not,
however, impose a permanent prohibition on a practitioner's ability to
obtain a new registration.
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Accordingly, I hereby enter this final order without a hearing. See
id. Sec. 1301.43(e). Based on relevant material in the investigative
file, I make the following findings.
Findings
Respondent currently holds DEA Certificate of Registration,
BG2453075, which authorizes her to dispense controlled substances in
Schedules II though V. Respondent's registration does not expire until
September 30, 2008. Respondent's registered location is Torrecillap-2,
Lomas De Carolina, Carolina, in Puerto Rico. According to the
investigative file, Respondent is licensed to practice medicine in both
Puerto Rico and Michigan.
Respondent came to the attention of DEA during an investigation of
Johar Saran, the owner of a majority stake in Carrington Healthcare
Systems/Infiniti Services Group (CHS/ISG) of Arlington, Texas. According
to the investigative file, CHS/ISG used several internet facilitation
centers (IFCs) to solicit orders for controlled substances, which it
then dispensed through numerous DEA registered pharmacies which CHS/ISG
controlled. Under the scheme, a person seeking a controlled substance
would go to a Web site, complete a questionnaire, and request a
particular drug. The information would be forwarded to an IFC, which
then sent the information on to a physician who would review the
customer's information and authorize a prescription.
Thereafter, an employee of CHS/ISG would access the Web site and
download the prescriptions. The prescriptions were then filled by CHS/
ISG at its Arlington, Texas facility and sent to the purchaser using
either FedEx or UPS.
According to the investigative file, the IFCs that serviced CHS/ISG
used at least 59 physicians including Respondent to write controlled-
substance prescriptions. The records of CHS/ISG indicated that on the
dates of May 19, 24, 26, and 27, 2005, it filled a total of 188
controlled substance prescriptions which were issued by Respondent for
persons who were located in at least thirty-three different States. The
prescriptions included 161 for drugs containing hydrocodone, 19 for
Xanax, 5 for phentermine, 2 for acetaminophen with codeine, and 1 for
diazepam. Moreover, Respondent issued the prescriptions to persons in
such far-flung locations as Alaska (2 Rxs), California (21 Rxs),
Colorado (3 Rxs), Florida (13 Rxs), Maryland (5 Rxs), Massachusetts (7
Rxs), Mississippi (4 Rxs), New Jersey (11 Rxs), New York (7 Rxs), Ohio
(7 Rxs), Oklahoma (2 Rxs), Texas (9 Rxs), Virginia (13 Rxs), and
Washington (5 Rxs).
The investigative file also establishes that on June 14, 2005, a UPS
facility in Pittston, Pennsylvania, notified DEA investigators that an
individual had attempted to pick up four packages that it suspected
contained narcotic drugs and which were addressed to four different
persons at four different addresses. Instead, UPS turned the packages
over to DEA. Each of the packages contained ninety tablets of generic
Lorcet, 10/650, a schedule III controlled substance containing
hydrocodone and acetaminophen. Respondent was listed as the prescribing
physician on two of the bottles, which were to be dispensed to persons
allegedly residing in Plymouth and Dallas, Pennsylvania.
DEA personnel were later contacted by a person who claimed to have
ordered the drugs off the internet for herself, her daughter and her
father. This person further stated that to obtain the prescriptions she
had completed an on-line medical evaluation. When asked by a DEA
investigator whether she had used fictitious names to pick up the drugs
at UPS, the person would neither confirm nor deny doing so.
The investigative file also included the sworn declaration of a
detective (TFO) who served on the Northern Vermont Drug Task Force from
January 2003 until October 2005. According to the TFO, on July 20, 2005,
he was advised by UPS in Rutland, Vermont, that it had two packages
which were addressed to a person (J.S.) whom it suspected was purchasing
controlled substances over the internet. UPS opened the packages (which
were shipped COD) and found that they contained hydrocodone.
Later that day, the TFO went to UPS to confront J.S., who had arrived
to pick up the packages. After being notified by a UPS employee that J.S.
had picked up one of the packages,\3\ the TFO identified himself and
questioned him regarding its contents. J.S. claimed that he did not know
specifically what was in the envelope but claimed to have a prescription
for it. During the interview,
[[Page 54934]]
J.S. also stated that he had refused the second package because he
did not know anything about it. J.S. also told the TFO that he purchased
the drugs over the internet because it was cheaper and he did not have
health insurance; he also claimed that his local physician had sent his
medical records to the prescriber. The TFO subsequently interviewed
J.S.'s local doctor, who denied sending the records to another
physician.
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\3\ According to the affidavit, J.S. did not have
sufficient funds to pay for the second package.
---------------------------------------------------------------------------
The next day, the TFO obtained a warrant to search both packages. The
search revealed that one of the packages held a bottle which contained
90 tablets of hydrocodone, listed Respondent as the prescribing
physician, and was dated July 17, 2005. The bottle gave the name and
address of the dispensing pharmacy as ASI-2129 S. Great Southwest
Parkway, Suite 304, Grand Prarie, TX. The TFO subsequently determined
that the pharmacy was named Avatar Corporation.
The following day, the TFO contacted the pharmacy. A pharmacy
employee confirmed that Avatar was a closed-door pharmacy which filled
mail-order prescriptions. The pharmacy employee stated that Avatar
filled prescriptions issued by Respondent on a regular basis and
provided her phone number. The pharmacy employee also told the TFO that
Respondent had a web page which was run by person named Juan Almeida.
The TFO called Respondent's phone number and heard a recording by
Respondent which gave a second phone number. The TFO called that number
and left a voice mail message.
Several hours later, Respondent called the TFO and spoke with him.
Respondent denied issuing the prescription to J.S. and stated that she
was in Puerto Rico. The TFO then asked Respondent how her name came to
be on the prescription; Respondent answered that "they have my signature
on the Web site.''
Having heard Respondent's denial, the TFO called the pharmacy again.
The pharmacy employee reaffirmed that Respondent sent Avatar
prescriptions on a regular basis.
Later that day, the TFO was contacted by Mr. Almeida. Mr. Almeida
told the TFO that he was a co-worker of Respondent and had been given
his number by her. Mr. Almeida told the TFO that he managed a Web site
where people could fill-out an online application to obtain medications;
the applications were then reviewed by Respondent who determined whether
to issue a prescription. When the detective told Mr. Almeida that
Respondent had denied issuing prescriptions over the internet, Mr.
Almeida said that she certainly did and that the prescriptions were then
faxed to the pharmacy. Mr. Almeida eventually provided the detective
with the name of the Web site. When the detective asked Mr. Almeida
whether the Web site had any process in place to verify the on-line
applications, he became defensive and claimed that it was no different
than when a person went to see a physician.
On September 6, 2006, DEA investigators interviewed Respondent in the
presence of her attorney. During the interview, Respondent denied having
ever reviewed questionnaires and having ever prescribed controlled
substances over the internet. Respondent further asserted that she was
the victim of identity theft and claimed that her DEA registration had
been misused.
Respondent further denied issuing the prescriptions to the two
Pennsylvania residents which were intercepted by UPS. She also denied
having knowledge of the ASI/Avatar pharmacy and denied knowing the
employee who had provided information to the TFO.
As for her relationship with Mr. Almeida, Respondent stated that she
had talked on the telephone with him regarding a job advertisement which
had appeared in the "El Nuevo Dia'' sometime in January 2005, and which
had sought physicians for services related to the internet. Respondent
further stated that Mr. Almeida was located in Miami and had initially
answered her phone call in response to the advertisement, but then
transferred her call to one Dr. Rodriguez.
Respondent maintained that she asked Dr. Rodriguez whether the job
had something to do with prescribing medication or was associated with a
hospital. Respondent stated that Rodriguez told her that it was not
hospital related. Respondent told investigators that after speaking with
Dr. Rodriguez she sent in a resume which listed her DEA number.
Respondent further told investigators that Dr. Rodriguez never called
her back.
During the interview, the investigators presented copies of the
prescriptions which listed Respondent as the prescribing physician, and
asked her whether the signature on the prescriptions was hers.
Respondent acknowledged that the signature was hers but denied issuing
the prescriptions. She also denied knowing the patients listed on the
prescriptions. Finally, Respondent denied knowing Johar Saran. The
investigative file also contains an e-mail dated July 24, 2005 to Joe
Saran and signed by Mr. Almeida. In the e-mail, Mr. Almeida related that
he had been informed by the ASI/Avatar employee "that certain law
enforcement officials were asking questions about an individual they
apprehended who[] allegedly possessed an excessive amount of hydro.''
The e-mail specifically referenced J.S. Mr. Almeida then stated that he
had "pulled his records and confirmed that he [J.S.] is legitimate in
that he is who[] he said he was on the medical'' questionnaire and that
his "DOB and address match.''
Next, the e-mail recounted that the ASI/Avatar employee had "provided
Law Enforcement officials with my telephone number as well as'' that of
Respondent and specifically referenced the TFO. According to the e-mail,
"[s]hortly thereafter, [Respondent] was contacted by a task force
officer who[] asked a series of questions.'' Continuing, Mr. Almeida
wrote that he was "not sure'' that Respondent "was the best at answering
questions unannounced, but nonetheless, she answered in the affirmative,
that if he possessed prescription drugs with her name on it that it was
likely prescribed by her, but that she had to review her records in
order to confirm any thing further.'' The e-mail added that when the TFO
had asked Respondent if she "had seen'' J.S., "she replied by stating
she is in Puerto Rico.''
Mr. Almeida then proceeded to describe his subsequent telephone
conversation with the TFO. According to the e-mail, Mr. Almeida
discussed the process by which "an individual goes on the net to
purchase prescription drugs.'' The e-mail further stated that Mr.
Almeida told the TFO that following the "verification of id'' by the Web
site, "the request is transferred to the doctor for review.'' Mr.
Almeida further related that he had told the TFO that "[d]octors are the
ones making the decision whether or not to prescribe the medication
based on the question[naire] provided,'' and "that calls are made by the
doctors to [the] patients.''
Discussion
Section 304(a) of the Controlled Substances Act provides that a
registration to "dispense a controlled substance * * * may be suspended
or revoked by the Attorney General upon a finding that the registrant *
* * has committed such acts as would render [her] registration under section
823 of this title inconsistent with the public interest as
determined under such section.'' 21
U.S.C. 824(a)(4). In making the public interest determination, the
Act requires the consideration of the following factors:
[[Page 54935]]
(1) The recommendation of the appropriate State licensing board or
professional disciplinary authority.
(2) The applicant's experience in dispensing * * * controlled
substances.
(3) The applicant's conviction record under Federal or State laws
relating to the manufacture, distribution, or dispensing of controlled
substances.
(4) Compliance with applicable State, Federal, or local laws
relating to controlled substances.
(5) Such other conduct which may threaten the public health and
safety.
Id. "[T]hese factors are * * * considered in the disjunctive.''
Robert A. Leslie, M.D., 68 FR 15227, 15230 (2003). I "may rely on any
one or a combination of factors, and may give each factor the weight [I]
deem[] appropriate in determining whether a registration should be
revoked.'' Id. Moreover, I am "not required to make findings as to all
of the factors.'' Hoxie v. DEA, 419 F.3d 477, 482 (6th Cir. 2005); see
also Morall v. DEA, 412 F.3d 165, 173-74 (D.C. Cir. 2005). In this case,
I am unpersuaded by Respondent's defense of identity theft and her
denial of involvement in the scheme. Rather, I conclude that Factors Two
and Four establish that allowing Respondent to continue to dispense
controlled substances would be inconsistent with the public interest.
Accordingly, I will order that Respondent's registration be revoked and
that any pending renewal application be denied.
Factors Two and Four--Respondent's Experience in Dispensing
Controlled Substances and Respondent's Compliance with Applicable Laws
The central issue in this case is whether the prescriptions
Respondent issued through Web sites associated with CHS/ISG complied
with Federal law. As explained below, the evidence conclusively
demonstrates that Respondent used her prescribing authority to act as a
drug pusher; the only difference between her and a street dealer was
that she did not physically distribute the drugs to the customers of
CHS/ISG.
Under DEA regulations, a prescription for a controlled substance is
not "effective'' unless it is "issued for a legitimate medical purpose
by an individual practitioner acting in the usual course of [her]
professional practice.'' 21
CFR 1306.04(a). This regulation further provides that "an order
purporting to be a prescription issued not in the usual course of
professional treatment * * * is not a prescription within the meaning
and intent of [21
U.S.C. 829] and * * * the person issuing it, shall be subject to the
penalties provided for violations of the provisions of law related to
controlled substances.'' Id. As the Supreme Court recently explained, "the
prescription requirement * * * ensures patients use controlled
substances under the supervision of a doctor so as to prevent addiction
and recreational abuse. As a corollary, [it] also bars doctors from
peddling to patients who crave the drugs for those prohibited uses.''
Gonzales v. Oregon, 126 S.Ct. 904, 925 (2006) (citing Moore, 423 U.S.
122, 135, 143 (1975)).
It is fundamental that a practitioner must establish a bonafide
doctor-patient relationship in order to be acting "in the usual course
of * * * professional practice'' and to issue a prescription for a "legitimate
medical purpose.'' See United States v. Moore, 423 U.S. 122 (1975).
Under numerous state standards of medical practice, before issuing a
treatment recommendation, a physician must, inter alia, physically
examine a patient to establish a bona-fide doctor-patient relationship
and properly diagnose her patient. See, e.g., Cal. Bus. & Prof. Code
2242.1; Colo. Bd. of Med. Exam'rs, Policy 40-9; Mass. Bd. of Reg. in
Med., Policy 03-06; Ohio Admin. Code 4731-11-09; Okla. Bd. of Med. Lic.
& Supervision, Policy on Internet Prescribing; Va. Code 54.1- 3303.
Relatedly, the American Medical Association has explained that to
establish a bonafide doctor-patient relationship, a "physician shall'':
i. obtain a reliable medical history and perform a physical
examination of the patient, adequate to establish the diagnosis for
which the drug is being prescribed and to identify underlying conditions
and/or contraindications to the treatment recommended/ provided; ii.
have sufficient dialogue with the patient regarding treatment options
and the risks and benefits of treatment(s); iii. as appropriate, follow
up with the patient to assess the therapeutic outcome; iv. maintain a
contemporaneous medical record that is readily available to the patient
and * * * to his * * * other health care professionals; and v. include
the electronic prescription information as part of the patient medical
record.
American Medical Association, Guidance for Physicians on Internet
Prescribing; see also William R. Lockridge, 71 FR 77791, 77798 (2006).
To similar effect are the guidelines issued by the Federation of
State Medical Boards of the United States, Inc. See Model Guidelines for
the Appropriate Use of the Internet in Medical Practice. According to
the Guidelines, "[t]reatment and consultation recommendations made in an
online setting, including issuing a prescription via electronic means,
will be held to the same standards of appropriate practice as those in
traditional (face-to-face) settings. Treatment, including issuing a
prescription, based solely on an online questionnaire or consultation
does not constitute an acceptable standard of care.'' Id. at 4 (emphasis
added). Cf. DEA, Dispensing and Purchasing Controlled Substances over
the Internet, 66 FR 21181, 21183 (2001) (guidance document) ("Completing
a questionnaire that is then reviewed by a doctor hired by the Internet
pharmacy could not be considered the basis for a doctor/patient
relationship.'').\4\
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\4\ The guidance document reflects this Agency's
understanding of what constitutes a bonafide doctor-patient
relationship under state laws and existing professional standards. 66
FR 21182-83.
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The investigative file establishes that on four separate days in May
2005, Respondent, who was then practicing in Puerto Rico, issued at
least 188 prescriptions for controlled substances to persons located in
at least thirty-three different States including, but not limited to,
Alaska (2 Rxs), California (21 Rxs), Colorado (3 Rxs), Washington (5 Rxs),
Massachusetts (7 Rxs), New Jersey (11 Rxs), New York (7 Rxs), Ohio (7
Rxs), Oklahoma (2 Rxs), Texas (9 Rxs), Virginia (13 Rxs) and Maryland (5
Rxs).\5\ The prescriptions were for highly abused drugs including
hydrocodone (161 Rxs), Xanax (19 Rxs), phentermine (5 Rxs),
acetaminophen with codeine (2 Rxs), and diazepam (1 Rx).
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\5\ Under numerous state laws, a physician must
typically be licensed in the State where the patient resides in order
to prescribe to the patient. See, e.g., Cal. Bus. & Prof. Code
section 2052; Cal. Health & Safety Code section 11352(a).
Respondent was, however, licensed only in Michigan and Puerto Rico. As
I recently noted, "[a] physician who engages in the unauthorized
practice of medicine is not a 'practitioner acting in the usual course
of * * * professional practice,' '' and "[a] controlled-substance
prescription issued by a physician who lacks the license necessary to
practice medicine within a State is therefore unlawful under the
CSA.'' United Prescription Services, Inc., 72 FR 50397, 50407 (2007)
(quoting 21 CFR 1306.04(a) and citing 21 CFR 1306.03(a)(1)). The
prescriptions Respondent issued were thus illegal under Federal law
for this reason as well.
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Moreover, the evidence further shows that in June 2005, Respondent
issued two hydrocodone prescriptions to persons located in Pennsylvania,
and that in July 2005, Respondent issued a hydrocodone prescription to
J.S., a person located in Vermont. In both cases, the evidence
established that the prescriptions were issued on the basis of an online
medical "evaluation'' and were not based on a face-to-face encounter
which included a physical exam. Given the far flung locations of the "patients,''
which render it most unlikely that Respondent ever physically examined
them; the evidence
[[Page 54936]]
pertaining to the Pennsylvania and Vermont customers; as well as
evidence regarding the manner in which the CHS/ISG scheme operated
including the statements of Mr. Almeida in both his telephone
conversations with the TFO and in his e-mail; I conclude that Respondent
issued controlled-substance prescriptions to numerous persons without
establishing a valid physician/patient relationship with them and that
the prescriptions were not issued for a legitimate medical purpose. See
21 CFR
1306.04(a); 21
U.S.C. Sec. 841(a). Respondent thus repeatedly violated federal law.
See Gonzales v. Oregon, 126 S.Ct. at 925; Moore, 423 U.S. at 135.
I further reject Respondent's defense of identity theft and her
denial of involvement in the scheme. In this regard, I note that an
employee of the Avatar pharmacy twice implicated Respondent in the
scheme. Moreover, after the TFO spoke with Respondent he was called by
Mr. Almeida, who informed the TFO that he was Respondent's co-worker and
had been given the TFO's phone number by her. Respondent's act in giving
the TFO's phone number to Mr. Almeida begs the question of why she did
so if she was not involved in the scheme.
Mr. Almeida admitted to the TFO that he managed a Web site where
persons could obtain medications and stated that Respondent reviewed the
applications and determined whether to issue the prescriptions.
Furthermore, when told by the TFO that Respondent had denied issuing
prescription through a Web site, Mr. Almeida stated that she certainly
did so. Finally, Mr. Almeida's e-mail to Mr. Saran further implicated
Respondent in the scheme. I therefore conclude that there is no merit to
Respondent's assertions that she was the victim of identity theft and
was not involved in the scheme.
As recognized in Lockridge and other agency orders, " '[le]gally
there is absolutely no difference between the sale of an illicit drug on
the street and the illicit dispensing of a licit drug by means of a
physician's prescription.' '' 71 FR at 77800 (quoting Mario Avello,
M.D., 70 FR 11695, 11697 (2005)). See also Floyd A. Santner, M.D., 55 FR
37581 (1990). In short, Respondent's involvement in this scheme did not
constitute the legitimate practice of medicine, but rather, drug
dealing.
Accordingly, Respondent's experience in dispensing controlled
substances and her record of compliance with applicable laws makes plain
that her continued registration would "be inconsistent with the public
interest.'' 21
U.S.C. 824(a)(4). Moreover, for the same reasons which led me to
initially find that Respondent posed "an imminent danger to the public
health or safety,'' id. 824(d), I conclude that the public interest
requires that her registration be revoked effective immediately. See 21
CFR 1316.67.
Order
Pursuant to the authority vested in me by 21
U.S.C. 823(f) & 824(a), as well as 28 CFR 0.100(b) & 0.104,
I hereby order that DEA Certificate Registration, BG2453075, issued to
Kamir Garces-Mejias, M.D., be, and it hereby is, revoked. I further
order that any pending application of Respondent for renewal of her
registration be, and it hereby is, denied. This order is effective
immediately.
Dated: September 19, 2007.
Michele M. Leonhart,
Deputy Administrator. .
[FR Doc. E7-19042 Filed 9-26-07; 8:45 am]
BILLING CODE 4410-09-P
NOTICE: This is an
unofficial version. An official version of these publications may be obtained
directly from the Government Printing Office (GPO).
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