Registrant Actions - 2010
[Federal Register: October 27, 2010 (Volume 75, Number 207)]
[Notices]
[Page 66138-66149]
From the Federal Register Online via GPO Access [wais.access.gpo.gov]
[DOCID:fr27oc10-111]
DEPARTMENT OF JUSTICE
Drug Enforcement Administration
[Docket No. 06-8]
George Mathew, M.D.; Denial of Application
On September 19, 2005, I, the Deputy Administrator of the Drug
Enforcement Administration, issued an Order to Show Cause and Immediate
Suspension of Registration to George Mathew, M.D. (Respondent), of
Seattle, Washington. The Order proposed the revocation of Respondent's
DEA Certificate of Registration, BM5009065, which authorized him to
dispense controlled substances in schedules II through V as a
practitioner, and the denial of any pending applications to renew or
modify his registration on the ground that his "continued registration
is inconsistent with the public interest, as that term is used in 21
U.S.C. 823(f) and 824(a)(4)." Show Cause Order at 1.
The Show Cause Order alleged that Respondent had participated in a
criminal scheme run by Johar Saran, the owner of Carrington Healthcare
Systems/Infiniti Services Group (CHS/ISG) of Arlington, Texas, which
used numerous pharmacies owned by "sham corporations" to obtain the
DEA registrations necessary to "purchase and dispense large quantities
of controlled substances via the Internet." Id. at 5. As for
Respondent's involvement, the Order alleged that between May 1, 2005
and June 17, 2005, Respondent, who was licensed in the State of
Washington, had authorized 136 prescriptions for residents of "at
least 27 different states" and that "[n]inety-three percent of the
[prescriptions] were for hydrocodone," a schedule III controlled
substance. Id. at 6. The Order further alleged that Respondent "did
not see [the] customers, had no prior doctor-patient relationships with
the Internet customers, did not conduct physical exams, * * * did [not]
create or maintain patient records," and that "[t]he only information
usually reviewed prior to issuing [the] drug orders was the customer's
online questionnaire." Id. The Order thus alleged that Respondent
"participated" in a scheme to "facilitate [the] circumvention of
legitimate medical practice" by "prescribing controlled substances to
Internet customers despite never establishing a genuine doctor-patient
relationship with the Internet customer." Id. at 5.
Next, the Show Cause Order alleged that a DEA Diversion
Investigator (DI) had accessed a Web site, http://www.heynowmeds.com,
and, after providing his name, address, phone number, date of birth,
gender, and filling out a brief medical questionnaire, purchased
hydrocodone. Id. at 6. The Order further alleged that the DI received
the drug three days later, that he had not been contacted by any one
affiliated with the Web site, and that the bottle's label listed
Respondent as the prescriber and Southwest Fusion, an entity in Fort
Worth, Texas, as the dispensing pharmacy. Id.
The Show Cause Order thus alleged that Respondent "did not
establish legitimate physician-patient relationships with the Internet
customers to whom [he] prescribed controlled substances" and that
"such prescriptions [were] not [issued] for a legitimate medical
purpose in the usual course of professional practice." Id. at 7. The
Order thus alleged that the prescriptions violated 21 CFR
1306.04(a).\1\
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\1\ While I also immediately suspended Respondent's registration
based on my conclusion that his continued registration during the
pendency of the proceeding "would constitute an immediate danger to
public health and safety," Show Cause Order at 7, on October 14,
2005, I subsequently stayed the suspension after Respondent
maintained that he was the victim of identity theft. ALJ Ex. 4.
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On September 22, 2005, Respondent requested a hearing on the
allegations, which he denied, maintaining that he had been the victim
of identity theft, ALJ Ex. 2; the matter was then placed on the docket
of the Agency's Administrative Law Judges (ALJ). Moreover, on October
7, 2005, Respondent requested a stay of the immediate suspension based
on his contention of identity theft. See ALJ Ex. 4. On October 14,
2005, I stayed the suspension pending resolution of his claim. Id.
Thereafter, on October 19, 2005, the parties filed a Joint Motion
to Stay the Proceedings, ALJ Ex. 3, and on October 26, 2005, the ALJ
granted a stay. ALJ Ex. 5. On December 4, 2006, the parties filed a
joint status report. ALJ Ex. 6. Therein, the parties notified the ALJ
of their inability to reach a resolution of the matter and requested
that the stay of the proceedings be lifted and that the hearing be held
as soon as possible. Id.
In its prehearing statement of January 5, 2007, the Government
notified Respondent that it also intended to present evidence regarding
statements he made during an interview with DEA Investigators on
September 22, 2005. Gov. Prehearing Statement at 7. More specifically,
the Government alleged that Respondent had contracted with EDrugs, an
entity which operated a Web site (http://www.eDrugstore.com), and that
"on a daily basis" "for about 6
[[Page 66139]]
months between July 2003 and February 2004," he would go to the
"company webpage and review a list" which "contain[ed] patient names
and suggested prescription drugs." Id. at 7-8. The Government also
alleged that Respondent "stated that he approved prescriptions for
non-controlled substances and diet medications," that "[h]e was paid
$3.00 for each non-controlled prescription and $10.00 for each diet
prescription," and that he "received approximately $30,000 from
EDrugs for his services." Id. at 8.
After delays authorized by the ALJ, a hearing was held in Seattle,
Washington on July 24-26, 2007. At the hearing, both parties called
witnesses to testify and introduced documentary evidence. After the
hearing, both parties submitted Proposed Findings of Fact, Conclusions
of Law and Arguments.
On September 22, 2008, the parties filed a Joint Motion to Stay the
Administrative Proceedings until March 31, 2009. ALJ Ex. 12. The basis
of the motion was that on July 8, 2008, the Washington Medical Quality
Assurance Commission (MQAC) had summarily suspended Respondent's State
medical license and that his hearing on that matter was not scheduled
until March 6, 2009. ALJ Ex. 12. On September 26, 2008, the ALJ granted
the motion and directed the parties to file a joint status report by
March 31, 2009. ALJ Ex. 13.
On March 30, 2009, the parties filed a Joint Status Report, Motion
to Lift Stay of Proceedings and Motion to Reopen the Record. ALJ Ex.
15. Therein, the parties noted that the MQAC had entered an Agreed
Order which allowed Respondent to resume practicing medicine provided
he satisfied various terms and conditions set forth therein; the
parties also sought to supplement the record with various documents
related to the MQAC proceeding and to file supplemental briefs. Id. On
April 1, 2009, the ALJ lifted the stay, reopened the record to admit
the MQAC documents, granted the parties additional time to file
supplemental post-hearing briefs, and then closed the record. ALJ Ex.
16. On July 22, 2009, the ALJ also reopened the record on Respondent's
motion to admit an exhibit and then closed the record again. ALJ Ex.
18. Finally, on July 29, 2009, the ALJ reopened the record sua sponte
to admit various documents related to the matter's procedural history
and then finally closed the record. ALJ Ex. 17.
On October 2, 2009, the ALJ issued her recommended decision (ALJ).
Therein, the ALJ concluded that the Government had made a prima facie
showing that Respondent had committed acts which render his
registration inconsistent with the public interest, finding that the
evidence under factors two (Respondent's experience in dispensing
controlled substances) and four (Respondent's compliance with State and
Federal laws related to controlled substances) supported the revocation
of Respondent's registration. ALJ at 29 & 31.
The ALJ found that Respondent had contracted with eDrugstore, an
internet pharmacy, and that from July 2003 through early 2004,
Respondent had issued over 300 controlled substance prescriptions. Id.
at 26. The ALJ also found that Respondent had issued prescriptions
after reviewing online questionnaires and that he did not keep any
medical records for the individuals to whom he prescribed the
controlled substances. Id.
With respect to these prescriptions, she further found that
Respondent, who is only licensed to practice medicine in Washington,
"prescribed controlled substances to individuals in other states, to
include California, Indiana, Massachusetts, Texas, and Virginia,"
which require a physician to be licensed by them prior to issuing
prescriptions to a State resident, and that this conduct violated the
Controlled Substances Act (CSA) because he engaged in the unauthorized
practice of medicine and thus acted outside of the usual course of
professional practice. Id. at 27, 28 (collecting cases). She also
concluded that Respondent violated the CSA in issuing these
prescriptions because he did not have "a face-to-face meeting" with
the patient and "violate[d] the standard of care * * * for prescribing
controlled substances" and thus did not establish "a valid doctor-
patient relationship." Id. at 29.
Based on an undercover purchase, the ALJ found that "Respondent's
name and DEA number were used to authorize prescriptions through the
Heynowmeds website." Id. While the ALJ acknowledged Respondent's
contention that he did not issue prescriptions for this Web site, she
concluded that because Respondent had "allow[ed] such a website to
gain access and to use his DEA registration number," he "remains
responsible for the outcome of that use." Id. She further reasoned
that Respondent's failure to safeguard his registration from
unauthorized use "create[d] a risk of diversion" and "a risk to the
public health and safety" because it allowed persons "without a
legitimate need for * * * controlled substances" to obtain them and
thus was relevant conduct under factor five (such other conduct which
may threaten public health and safety).\2\ Id. at 30.
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\2\ With respect to factor one (the recommendation of the State
board), the ALJ noted that the State Board "has not made a direct
recommendation concerning [his] DEA registration." ALJ at 25. The
ALJ further found, however, that the State "Board has engaged in
considerable oversight of the Respondent's medical practice" which
included summarily suspending his license after finding that his
"continued practice of medicine constitute an immediate danger to
the public health and safety" and that he had committed
unprofessional conduct on two occasions (2007 and March 2009). Id.
at 25-26. The ALJ did not, however, state whether this factor
supported a finding that his continued registration is inconsistent
with the public interest.
With respect to factor three (Respondent's conviction record of
offenses related to controlled substances), the ALJ found that there
was "no evidence of [his] having a conviction record." Id. at 30.
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The ALJ then turned to other facts which she deemed relevant in the
public interest determination. The ALJ found that "Respondent was
cooperative and truthful" in his interview with DEA. Id. She also
found significant the MQAC's 2007 finding "that there was no evidence
that the Respondent mishandled controlled substances during the
Board's" 2005 investigation. Id. at 30-31. She further found it
"significant" that, under the most recent MQAC order, Respondent is
being supervised by a mentoring physician who is required to report to
the Board. Id.
While the ALJ concluded that the Government had made out its prima
facie case, and that Respondent had violated both the CSA and State
laws "in prescribing controlled substances over the Internet" and by
his failure to safeguard his registration, she also noted that since
the initiation of the proceedings, "Respondent has had approximately
four years to handle controlled substances without any adverse action
being taken or evidence being seized by the DEA" and that the
"Medical Board is very diligent in monitoring [his] medical practice
and will continue to do so in the future." Id. at 31-32. Believing
that "this proceeding has instilled in * * * Respondent a grave
respect for the authority and responsibilities which attach to his DEA
registration," the ALJ apparently recommended that I grant Respondent
a new registration subject to the condition that he file his mentor's
reports with this Agency and that he take the additional medical
education courses order by the MQAC. Id. at 32.
Neither party filed exceptions to the ALJ's decision. Thereafter,
on November 3, 2009, the ALJ forwarded the record to me for final
agency action.
Having considered the record as a whole, I adopt the ALJ's findings
of fact
[[Page 66140]]
and legal conclusions except as noted herein. However, I further find
that Respondent prescribed controlled substances for Heynowmeds.com.
While I also agree with the ALJ that the Government made out a prima
facie case for revocation, I reject the ALJ's conclusion that the other
facts and circumstances support granting him a new registration. As
explained below, the ALJ ignored the extensive Agency precedent which
holds that an applicant is not entitled to be registered unless he
accepts responsibility for his misconduct. Because Respondent did not
testify in this proceeding and continues to maintain that "he ha[s]
done nothing wrong," Tr. 645, he has not satisfied the Agency's rule
for regaining his registration and his application must be denied. I
make the following findings.
Findings of Fact
Respondent's Registration and License Status
Respondent is a physician who previously held DEA Certificate of
Registration, BM5009065, which authorized him to dispense controlled
substances in schedules II through V as a practitioner; his registered
location was in Seattle, Washington, and his registration expired on
January 31, 2008. GX 1, at 1-2. Respondent did not, however, file a
renewal application until January 24, 2008. ALJ Ex. 12, Appendix I, at
1 (Joint Stipulation). The parties also agree that Respondent's
registration "did not continue in effect after January 31, 2008." Id.
While Respondent no longer holds a registration, he does have an
application for a new registration currently pending.
Respondent is board-certified in internal medicine and holds a
medical license issued by the State of Washington. RX 4, at 1. While
Respondent has a current license, he has been the subject of two recent
disciplinary proceedings before the Washington Medical Quality
Assurance Commission (MQAC).
On June 24, 2005, the MQAC filed a statement of charges which
alleged that in July 2003, Respondent contracted with eDrugstore.md
"to prescribe legend drugs to patients that were referred to him
though the website," and was paid by the Web site and "not the
patients." GX 27, at 1-2. The MQAC alleged that its "investigation
included a portion of [his] prescriptions," and that "[f]rom August
2003, through approximately February 2004, Respondent authorized
approximately 2,700 prescriptions in the sample obtained in the
investigation." Id. at 2. The MQAC further alleged that:
Respondent did not conduct a history and physical on any of
these patients. He did not have face-to-face contact with any
patient to evaluate them. Respondent did not have the patient's
medical records available for review, and he did not have any way to
verify any of the information provided to him via the online
consultation form, nor did he attempt to do so. Respondent did not
have a pre-existing physician-patient relationship with any of these
patients. Respondent did not attempt to verify any pre-existing or
underlying conditions, contraindications, or other medications that
the patient was taking, other than via the online consultation form,
filled out by the patient or through email. Nonetheless, Respondent
undertook to provide diagnosis and treatment of every one of these
patients.
Id. at 2.
In addition, the MQAC alleged that Respondent had prescribed
controlled substances to three State residents and that he had no
medical records for these persons. Id. at 3-4. More specifically, the
MQAC alleged that "Respondent provided prescriptions for Percocet,
Hydrocodone, and Amphetamine" to Patient 1, that he "prescribed
Oxycodone and Alprazolam for Patient 2," and that he "prescribed
Hydrocodone and Cyclobenzaprine for Patient 3." Id. at 3. With respect
to each of these three patients, the MQAC also alleged that Respondent
"has no record of a history and physical for this patient, and no
information to explain this patient's diagnosis and treatment. There
are no medical records, no test results, or documentation of any kind
to support this patient's diagnosis and treatment." Id. at 3-4.
The MQAC thus alleged that Respondent's conduct with respect to
both his prescribing over the Internet and his prescribing to the three
patients constituted unprofessional conduct in violation of State law.
Id. at 4. More specifically, the MQAC alleged that Respondent's
prescribing violated Washington law prohibiting: (1) "[i]ncompetence,
negligence, or malpractice which results in injury to a patient or
which creates an unreasonable risk that a patient may be harmed," id.
(quoting Wash. Rev. Code Sec. 18.130.180(4)), and (2) "[t]he
possession, use, prescription for use, or distribution of controlled
substances or legend drugs in any way other than for legitimate or
therapeutic purposes, diversion of controlled substances or legend
drugs, the violation of any drug law, or prescribing controlled
substances for oneself." Id. (quoting Wash. Rev. Code Sec.
18.130.180(6)).
On January 18, 2007, following a hearing, the MQAC issued a Final
Order on the allegations. GX 28. Therein, the MQAC found proved the
allegations that Respondent had contracted with eDrugstore.md "to
prescribe legend drugs to patients that were referred to him through
the web site" and that he "was compensated by eDrugstore.md [and] not
by the patients." Id. at 5. The MQAC further found that Respondent
used his DEA registration to prescribe medications and that "[f]rom
August 2003 through March 2004, [he] authorized approximately 2,700
prescriptions." Id. at 6. The Board further found that:
The Respondent did not conduct a history and physical on any of
these patients. He did not have a face-to-fac[e] contact with any
patient to evaluate them. The Respondent did not have the patient's
medical records available for review, and he did not have any way to
verify any of the information provided to him via the online
consultation form, nor did he attempt to do so. The Respondent did
not have pre-existing or underlying conditions, contraindications,
or other medications that the patient was taking, other than via the
online consultation form filled out by the patient or through email.
Nonetheless, Respondent undertook to provide diagnosis and treatment
of every one of these patients.
Id.
The MQAC further found that, because "Respondent did not
physically see, interview, or examine the patients he treated through
eDrugstore.md, [he] could not verify their identity and could not
establish a diagnosis through the use of accepted medical practices to
justify prescribing medications" and that "[t]hrough eDrugstore.md,
[he] prescribed [p]hentermine, a diet medication to treat obesity."
Id. at 7. Continuing, the MQAC found that "[b]y prescribing"
phentermine "over the Internet without proper counseling, follow up,
and treatment plan, the Respondent failed to comply with standards of
care from the perspective of managing obesity." Id. The MQAC also
found that his prescribing of phentermine "over the Internet was
negligent and such conduct created [an] unreasonable risk that the
patients may be harmed." Id.
The MQAC further found that Respondent's internet prescribing "was
contrary to [its] Guidelines for the Appropriate Use of the Internet in
Medical Practice," which it had issued on October 11, 2002. Id. at 6.
See also GX 24. The MQAC noted that the Guidelines:
Provide that treatment that is based solely on online
questionnaires or online consultations do[es] not constitute an
acceptable standard of care. Specifically, patient evaluation must
be obtained prior to
[[Page 66141]]
providing treatment, including issuing prescriptions, electronically
or otherwise. A patient evaluation includes a history and physical
examination adequate to establish a diagnosis and to identify
underlying conditions and/or contraindications to the treatment
being recommended or provided.
GX 28, at 6; see also GX 24, at Sec. 5.\3\
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\3\ On April 27, 2001, DEA published a guidance document,
Dispensing and Purchasing Controlled Substances over the Internet,
66 FR 21181. Therein, the Agency explained that "Federal law
requires that '[a] prescription for a controlled substance to be
effective must be issued for a legitimate medical purpose by an
individual practitioner acting in the usual course of his
professional practice"' and that "[u]nder Federal and state law,
for a doctor to be acting in the usual course of professional
practice, there must be a bona fide doctor/patient relationship."
Id. at 21182. The Agency further noted that "many state
authorities" look to "four elements as an indication that a
legitimate doctor/patient relationship has been established." Id.
These are: (1) "[a] patient has a medical complaint"; (2) "[a]
medical history has been taken"; (3) "[a] physical examination has
been performed"; and (4) "[s]ome logical connection exists between
the medical complaint, the medical history, the physical
examination, and the drug prescribed." Id. at 21182-83. The
Document then noted that "[c]ompleting 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. * * * It is
illegal to receive a prescription for a controlled substance without
the establishment of a legitimate doctor/patient relationship, and
it is unlikely for such a relationship to be formed through Internet
correspondence alone." Id. at 21183.
With respect to the three patients who were State residents, the
MQAC found that Respondent had prescribed controlled substances to them
and had "failed to keep any medical records for these patients." GX
28, at 7. The MQAC also found that Respondent ha[d] no record of a
history and physical exam for these patients and no information to
explain the patients' diagnosis and treatment. There are no medical
records, no test results, or documentation of any kind to support the
patient's diagnosis and treatment." Id. The MQAC further found that
Respondent's treatment of these patients "was below the standard of
care for a physician in the state of Washington, and [that] his conduct
created an unreasonable risk of harm." Id. at 8.
The MQAC ultimately concluded that the State had "proved by clear
and convincing evidence that * * * Respondent's conduct constituted
unprofessional conduct in violation of" Wash. Rev. Code Sec.
18.130.180(4). Id. at 9. However, apparently because the State produced
no evidence showing that Respondent prescribed controlled substances
"for use other than for therapeutic purposes," id. at 8, the MQAC
concluded that the State had "failed to prove by clear and convincing
evidence that * * * Respondent's conduct constituted unprofessional
conduct in violation of" Wash. Rev. Code Sec. 18.130180(6).\4\ Id. at
9.
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\4\ Based on its findings that Respondent had committed
unprofessional conduct, the MQAC imposed various sanctions on
Respondent including a suspension (which was stayed), a restriction
that he could only practice as an emergency medicine physician, and
a fine of $2500. Id. at 10-119. The MQAC also ordered him to
complete an approved education and assessment course and six hours
of continuing medical education in ethics and professionalism, to
file a declaration each quarter stating that he was in compliance
with the Order, and to appear before the Commission for compliance
hearings. Id. at 11-12.
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On July 3, 2008, the MQAC filed another Statement of Charges
against Respondent, alleging that he had committed unprofessional
conduct in providing treatment (or lack thereof) of four emergency room
patients. ALJ Ex. 15, at 2; Jt. Ex. 1, at 1, 4. However, none of the
allegations involved the prescribing of controlled substances. Five
days later, on July 8, 2008, the Commission entered an Ex Parte Order
of Summary Suspension. ALJ Ex. 15, at 2; Jt. Ex. 2, at 1, 3.
On March 5, 2009, Respondent entered into a Stipulated Findings of
Fact, Conclusions of Law and Agreed Order with the Commission in which
Respondent agreed that he had committed unprofessional conduct in his
treatment of the patients in question in violation of Wash. Rev. Code
Sec. 18.130.180(4). The Commission permitted Respondent to return to
the practice of medicine pursuant to terms and conditions of the Agreed
Order. ALJ Ex. 15, at 2; Jt. Ex. 3, at 1, 3. On the same date, finding
that the Agreed Order superseded and appropriately incorporated all the
outstanding terms and conditions of the January 2007 Final Order, the
Commission released Respondent from that Order. ALJ Ex. 15, at 2; Jt.
Ex. 4, at 2.
Under the Agreed Order, which is to remain in effect for at least
three years, Respondent is limited to "office-based family and
internal medicine group practice." Jt. Ex. 3, at 4. In addition to
some continuing education and medical proficiency requirements,
Respondent must "arrange for another physician to serve as a mentor at
all times prior to termination of these practice conditions." Id. at
5. Among other matters, under the Agreed Order, the mentor must make
periodic reports to the Commission, exercise oversight of the office-
based practice, and review all of Respondent's charts and entries
"until otherwise directed by the Commission." \5\ Id. at 5-6.
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\5\ By letter of June 15, 2009, Dr. David Lush indicated that he
was Respondent's mentor physician for purposes of the Agreed Order.
RX 37, at 1. Dr. Lush further indicated that Respondent had
commenced to work under his supervision at his community clinic in
Raymond, Washington. Id. at 1, 2. Dr. Lush requested that "the DEA
permit [Respondent] to hold a registration number so that he will be
able to make the most constructive possible contribution to the
operations of [the] clinic." Id. at 2. He averred that, given the
Commission's restrictions on Respondent's license, "there would be
no danger to the public as a result of permitting [Respondent] to
continue to hold a DEA registration number." Id.
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The DEA Investigation of Respondent
In June 2004, DEA began investigating a criminal conspiracy run by
Mr. Johar Saran and various associates, which among other crimes,
unlawfully distributed controlled substances in violation of 21 U.S.C.
841(a)(1)(a) & (b)(1)(D), 846. See generally GX 23. More specifically,
the Saran conspiracy controlled more than twenty corporate entities
(including Carrington Health Services (CHS) and Infiniti Services Group
(ISG)) which were used to fraudulently obtain the DEA pharmacy
registrations that are legally necessary to purchase controlled
substances from registered manufacturers and distributors. GX 24,
Factual Resume at 5-6; Tr. 24-25. Saran and his co-conspirators
purchased the controlled substances and then distributed them to
customers who sought them through over 100 Web sites. GX 24, Factual
Resume at 8. As Johar Saran admitted in his plea agreement, he and his
co-conspirators "agreed to distribute and possess with the intent to
distribute, controlled substances to Internet drug seeking customers
without legitimate prescriptions. [He] knew that controlled substances
would be distributed to Internet customers without the existence of a
doctor patient relationship [and that] the Internet controlled
substance distributions were outside the scope of professional practice
and not for a legitimate medical purpose." Id.
As part of the investigation, on December 9, 2004, DEA
investigators conducted a "trash run" at CHS/ISG. Tr. 24. Among the
evidence recovered were a dozen prescription labels for controlled
substances (including phentermine, hydrocodone/apap, and alprazolam),
which "appear[ed] to be the portion of a multi-part printout that
should have been filed by the pharmacy as a record of the transaction
or the prescription being filed." Id. at 33-34; GX 37. The labels
indicated that "George Mathew, M.D." was the prescribing physician,
gave his registered address in Seattle, Washington (albeit without the
suite number and having a one-digit mistake in the zip code), and
listed his DEA registration number. GXs 1 & 37. According to a DI, the
pharmacy listed
[[Page 66142]]
on the labels (Anchor Services, Inc. of Fort Worth, Texas) was a Saran-
affiliated pharmacy; however, drug orders were not filled there but
rather at the CHS location.\6\ Tr. 36; see GX 22, at 3-4.
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\6\ The ALJ observed that the record contained no evidence that
the medications reflected in the documents seized during the trash
runs were actually sent to the individuals whose names appear on the
seized documents. See also ALJ at 6. Ordinarily, a pharmacy would
not go to the trouble of creating these documents unless it was
dispensing a drug.
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DEA Investigators also obtained a court order authorizing them to
intercept electronic communications (including e-mail and downloads) to
and from CHS/ISG from April 17, 2005 through the ensuing 90 days. Tr.
50-51; GX 36, at 2. The intercept yielded 136 prescriptions for
controlled substances which were filled between May and June 17, 2005
by Southwest Infusion, one of Saran's sham pharmacies, and which bore
Respondent's name as the prescribing doctor, his DEA number, and his
signature. See generally GX 4. The prescriptions listed the same street
address, suite number and city as Respondent's registered location but
indicated the State as Massachusetts, rather than Washington, and a zip
code of 98104, rather than 98121. See GXs 1 & 4.
The vast majority of the prescriptions were for schedule III
controlled substances containing hydrocodone (typically containing 10
mg. of this controlled substance); other prescriptions were for the
schedule IV controlled substances alprazolam and diazepam. See
generally GX 4. The prescriptions were sent to patients throughout the
United States (and outside of Washington State) and included the UPS
shipping labels. Id.
DEA also executed search warrants for Saran's business and the
residence of Ted Solomon, one of Saran's co-conspirators, who ran
several of his own Web sites. Among the items seized at both CHS/ISG
and at Solomon's home was a spreadsheet which listed persons who were
identified as the "lead[s]," \7\ the names of various companies and
their Web sites, a contact for the companies, and various physician
names. GX 33, at 3-4. Under the lead of "Heather," the spreadsheet
listed several companies and their Web sites including Pacific Blue Rx
(PacifcBlueRx.com) and FMS (rxmetro.com); the spreadsheet also listed
Heynowmeds.com.\8\ Tr. 98-100; GX 33, at 3-4. The spreadsheet listed
Respondent as the Dr. for both PacificBlueRx and FMS. GX 33, at 3.
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\7\ The testimony established that the "lead" was an employee
of Saran who managed various companies' accounts.
\8\ The document does not, however, list a physician for
heynowmeds.com. See GX 33, at 4.
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According to a DI, these three Web sites (as well as FMS) were
owned by Michael Schwerdt, whose father-in-law was Abel Rodriguez.\9\
Tr. 100 & 111. Heather Elliot managed their accounts for Saran. Id. at
102. According to the DI, Elliot would access the Internet and download
approximately 50 prescriptions and print out their labels, which she
then gave to people in the pharmacy who filled the vials and readied
the drugs for shipping. Id. at 103. Elliot was eventually indicted and
pled guilty to several Federal felony offenses. RX 27.
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\9\ A July 6, 2005, "Affidavit for Arrest" for Abel Rodriguez
identified Michael Schwerdt as Abel Rodriguez's son-in-law. RX 22,
at 28. It also indicated that documents printed from Florida
Corporations Online and seized at the time of a search warrant for
certain business properties listed Abel Rodriguez as the registered
agent for La Familia Pharmacy III, Inc. Id. at 32.
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On May 23, 2005, a DI went to Heynowmeds.com, which he selected
because it was one of the busier Web sites, to purchase hydrocodone.
Tr. 67; GX 3, at 1. The Web site listed various types of medicine
available, and the DI clicked on "pain relief." Id. at 73. The DI
then ordered 90 tablets of hydrocodone/acetaminophen 10/325. Id. at 74.
The DI selected this drug based on its popularity with drug abusers,
which the DI explained was because "you can get the strongest strength
of hydrocodone and the smallest strength of additives, like
acetaminophen." Id.
While the Web site prompted the DI to provide some medical
information, it did so only after asking for his contact and payment
information. Id. at 77-78. The Web site also asked for contact
information for his physician; the DI entered the name and cell phone
of a DEA Special Agent. Id. at 79-80. The DI paid $265.84 for the drugs
using a money order.\10\ GX 3, at 2 & 5.
---------------------------------------------------------------------------
\10\ The instructions sent to the DI about payment for the
shipment indicated that he should make his money order payable to
Adserv, but the DI made the money order payable to SouthWest
Infusion in order to track the payment back to the "fill"
pharmacy. Tr. 86-87. Adserv employed Craig Schwerdt, the brother of
Michael Schwerdt; the latter sent the former to Saran's headquarters
"to make sure that [Heynowmed's] orders were going out in a timely
fashion." Id. at 104; see also id. at 137; RX 24, at 47.
---------------------------------------------------------------------------
Two days later, on May 25, the DI received the hydrocodone that he
had ordered. Id. at 82. The label indicated that the filling pharmacy
was SouthWest Infusion, one of Saran's pharmacies; \11\ the prescriber
was listed as "George Mathew, M.D." Id. at 61; GX 3, at 3.
---------------------------------------------------------------------------
\11\ The DI testified that "at one point" Johar Saran had "23
pharmacies" but that the number "dwindled down to 19 by the end."
Tr. at 61.
---------------------------------------------------------------------------
The DI testified that Respondent was "the contracting physician"
for Heynowmeds, PacificBlueRx, and Rx Metro, Tr. 100, in that he was
"the physician that [wa]s approving the drug orders and [was]s being
compensated by these websites for doing so." Id. at 102-03. The DI
also testified that while he had "no knowledge" as to whether
Respondent had personally approved his order for hydrocodone, id. at
110, Respondent had "entered into a contract with Abel Rodriguez" and
made both his DEA registration and his State license available to
Rodriguez. Id. at 111.
The DI then admitted that he had not found any contract between
Respondent and the three Web sites. Id. at 114. Moreover, the DI
further testified that during the Title III search, the Investigators
found no evidence of personal contact between Respondent and the Saran
pharmacies. Id. at 62-63. The DI explained, however, that "when a
physician enters into a contract with a Web site owner, the Web site
owner arranges for the fill pharmacy" and there is "no reason for the
physician to contact that fill pharmacy unless he's * * * following up
on any questions or concerns that there might be about the drugs." Id.
at 63. The DI further testified that because Respondent's case was an
"administrative" matter, the Investigators "did not follow the money
trail" with respect to him. Id. Moreover, the Investigators did not
have evidence of e-mails which Respondent may have sent to the three
Web sites and which the Web sites may have sent to him.\12\ Id. at 158
& 164.
---------------------------------------------------------------------------
\12\ The ALJ noted that Government did not produce any testimony
or statements from individuals associated with Saran including Johar
Saran (and Heather Elliot) implicating Respondent. See ALJ at 5.
However, this is hardly dispositive given that the Government did
not allege that Respondent worked directly for a Saran-owned Web
site. Moreover, given that this was a blatantly criminal scheme, it
is not clear why Ms. Elliot would have needed to speak with
Respondent rather than the Web site owners.
---------------------------------------------------------------------------
On September 20, 2005, a Grand Jury indicted Johar Saran, 18 of his
co-conspirators, and Saran's corporations for multiple felony offenses
under Federal law. GX 22; Tr. 26. Thereafter, on September 22, 2005,
DEA Investigators from the Seattle Division Office served the Order to
Show Cause and Immediate Suspension on Respondent. Tr. 147, 149, 595,
597-98.
Later that day, the DIs met with Respondent and his attorney at the
latter's office. Id. at 598. According to one of the DIs, during the
interview Respondent told the DIs that "everything" in the Show Cause
Order
[[Page 66143]]
was "false." Id. at 599. Respondent admitted, however, that "he had
at one time * * * authorized some prescriptions on the Internet,"
which was between "July 2003 and early 2004," when he had a
"contract with a company called eDrugs or eDrugstore." Id. at 599,
600.
Respondent told Investigators that he approved drug orders for
eDrugstore by reviewing an online questionnaire and a drug
recommendation; if he agreed with the recommendation, he would
authorize the drug order. Id. at 609. He further stated that the
prescriptions he authorized were for "mainly non-controlled
substances" and that, while he had authorized some prescriptions for
"diet medications," he "had not authorized any narcotic controlled
substances." Id. at 599. Respondent further maintained "that the
quantity of the controlled substance prescriptions versus the non-
controlled substance prescriptions was very small." Id. at 606.
Respondent did not have medical records pertinent to his prescribing
for eDrugstore. Id. at 606-07.
Respondent told the DIs that he had been paid $30,000 by eDrugstore
during the six- month period he prescribed for it. Id. at 599-600, 605-
06. He also stated that he was paid $3 for non-controlled substances
and $10 for the diet drugs, which he admitted were controlled
substances. Id. at 606. While Respondent further told the DIs that he
would provide them with bank records regarding the payments he received
from eDrugstore, he never did. Id. at 606-07.
However, his contention that he wrote only a "very small" number
of controlled substance prescriptions cannot be reconciled with the
MQAC's finding that Respondent authorized 2,700 prescriptions for
eDrugstore, the total amount of the compensation ($30,000) he admitted
to having received from eDrugstore, and the respective amounts
eDrugstore paid him for the controlled ($10) and non-controlled
prescriptions ($3). Indeed, this evidence suggests that the great
majority of the prescriptions he wrote for eDrugstore were for
controlled substances.\13\
---------------------------------------------------------------------------
\13\ To demonstrate, even if half of the 2,700 prescriptions
(1,350) were for controlled substances, he would have earned less
than $18,000 based on the amounts he received for the controlled
($10) and non-controlled ($3) prescriptions. Given the number of
prescriptions, the only way that Respondent would have earned
$30,000 was if nearly all the prescriptions were for controlled
substances.
---------------------------------------------------------------------------
With respect to the allegations of the Show Cause Order, Respondent
stated that while he was prescribing for eDrugstore, he received a
telephone call from Abel Rodriguez, who "had obtained his name from a
faxed prescription that he had received from eDrugstore." Id. at 602.
Respondent told the DIs that eDrugstore used Rodriguez's pharmacy, La
Familia Pharmacy, to fill some of its prescriptions, and that that was
how Rodriguez received the prescription (which contained his DEA
registration number).\14\ Id. at 624, 629. Rodriguez solicited
Respondent to write prescriptions for his Web site; Respondent told the
DIs that Rodriguez offered to pay him $30 to $35 for each controlled
substance prescription. Id. at 611. After the phone call, Respondent
went to Florida to visit Rodriguez and his pharmacy because he did not
know Rodriguez, and Rodriguez came to Seattle. Id. at 612.
---------------------------------------------------------------------------
\14\ Respondent denied having provided Rodriguez with his DEA
number. Id. at 628.
---------------------------------------------------------------------------
During the interview, Respondent maintained that he had written
only about 100 prescriptions for non-controlled substances for
Rodriguez's Web site. Id. at 614. He also denied having written any
controlled substance prescriptions for him. Id. He denied receiving any
money from Johar Saran. Id. at 601. He also denied knowing any of the
individuals or entities listed in the Order to Show Cause and "said
that someone else had provided [his] DEA number to them because he had
not provided anything to any of these people" because he did not
"know any of these people." Id. at 604.
The Supervisory DI present at Respondent's interview testified that
Respondent was cooperative, supportive of the DEA, and that "[h]e
appeared truthful." Id. at 604, 628. In a report submitted to the DEA
Fort Worth office, she described Respondent's demeanor during the
interview as candid and cooperative. Id. at 150.
In support of his contention that Rodriguez had used his
registration number without his permission, Respondent offered into
evidence an affidavit prepared by Special Agents of the Florida
Department of Law Enforcement in support of an application for a
warrant to arrest Rodriguez. RX 22, at 12 et seq. According to
Respondent, the affidavit stated that "Rodriguez had forged the name
of a physician, Miguel Mora, by 'rubber-stamping' Dr. Mora's name to
prescriptions filled by the La Familia group, even though he was not
actually involved in prescribing the medications." Resp. Br. at 17
(quoting RX 22, at 49). However, the affidavit does not identify
Respondent as a physician whose name and registration were used to
prescribe controlled substances without his authorization.\15\ See
generally RX 22.
---------------------------------------------------------------------------
\15\ Earlier, the affidavit noted that during a search, officers
had found in a personnel file of one of Abel Rodriguez's associates
"[a]n entry labeled 'George Matthew, 121 Vine St, Seattle WA,
98122," which also included his DEA number). RX 22, at 38. In
parentheses, the affidavit stated that Respondent "has previously
been identified as a doctor writing prescriptions for the internet
pharmacy operation." Id.
---------------------------------------------------------------------------
Respondent did not testify in this proceeding. Instead, to bolster
the credibility of his statement to the investigators that he did not
authorize controlled prescriptions pursuant to his arrangement with
Abel Rodriguez, he offered evidence that, in May 2007, he took and
passed a polygraph examination which was arranged by his attorney. Tr.
505-07; RXs 6 & 33. The ALJ admitted this evidence over the objection
of the Government. Tr. 641.
In United States v. Scheffer, 523 U.S. 303 (1998), the Supreme
Court upheld a rule of evidence, which renders polygraph evidence
inadmissible in a criminal proceeding, against a constitutional
challenge. Fundamental to the Court's holding was its conclusion that
polygraph evidence is not reliable. As the Court explained, "there is
simply no consensus that polygraph evidence is reliable," and "[t]o
this day, the scientific community remains extremely polarized about
the reliability of polygraph techniques." Scheffer, 523 U.S. at 309
(citations omitted).
Under the Administrative Procedure Act (APA), the Agency's order
must be "supported by and in accordance with the reliable, probative,
and substantial evidence." 5 U.S.C. 556(d) (emphasis added).
Respondent has made no showing that the scientific community and the
courts consider this evidence any more reliable today than they did
when Scheffer was decided. While Respondent argues that several
Agencies (including this one) use polygraphs for a variety of
administrative and investigatory purposes, the Scheffer Court rejected
the same argument, noting, most significantly, that these uses "do not
establish the reliability of polygraphs as trial evidence." 523 U.S.
at 312 n.8.\16\ Accordingly, I conclude
[[Page 66144]]
that the evidence should not have been admitted and I decline to rely
on it.\17\
---------------------------------------------------------------------------
\16\ Even were I to hold Respondent's polygraph evidence
admissible, I would give it no weight as each of the questions was
compounded. More specifically, the examiner asked Respondent if he
had: (1) "ever done business with Johar Saran, CHS/HIS [sic], or
http://www.heynowmeds.com," (2) "ever personally prescribed
controlled substances for customers of Johar Saran, CHS/HIS [sic],
or http://www.heynowmeds.com, and (3) "ever received any payment
and/or money from Johar Saran, CHS/ISH [sic] or http://
www.heynowmeds.com." Tr. 506-07.
After the hearing, the Government submitted an affidavit by a
DEA Supervisory Special Agent (SSA) who was also the Polygraph Staff
Coordinator. GX 38. The SSA reviewed the testimony of Respondent's
polygraph examiner as well as Respondent's Exhibits 33 (pre-
polygraph interview notes), 34 (Polygraph examination agreement),
and 35 (Backster Zone Comparison Test Variations). Id. at 2. The SSA
concluded that all three target questions in the polygraph exam were
compounded, which "could substantially diminish the accuracy of"
the exam results, as the questions could have been truthfully
answered either yes or no. Id. (emphasis in original). To avoid this
result, the questions should have been asked individually as to
Johar Saran, CHS/ISG, and http://www.heynowmeds.com. Id. The SSA
further stated that the Respondent's exam would be deemed an
"Administrative Opinion," because the results were not based upon
the physiological responses to applied stimuli. Id. at 3.
\17\ Respondent also called an expert witness in information
technology, who attempted to trace the source and destination
Internet Protocol addresses identified in the intercepted
prescriptions to show that Respondent did not have a connection
with, or own, the addresses. Tr. 397-405. The witness, however,
acknowledged that his "research was inconclusive." Id. at 405; see
also id. at 413. He further acknowledged that he was not asked to
research whether Respondent had accessed the IP addresses and that
his research did not establish that Respondent had not accessed
them. Id. at 422.
---------------------------------------------------------------------------
The Government also called Dr. George Van Komen, who was qualified
as an expert witness in the prescribing of controlled substances
including prescribing over the Internet. Tr. 284. Dr. Van Komen holds
board certification in internal medicine, is a fellow of the American
College of Physicians, and is an assistant professor of clinical
medicine at the University of Utah School of Medicine, where he teaches
a course in medical ethics and professionalism. GX 10, at 1; Tr. 261-
63. Previously, Dr. Van Komen was a member and chairman of the Utah
Physicians Licensing Board as well as a member of the Board of
Directors and President of the Federation of State Medical Boards
(FSMB); currently, he is the chairman of the Utah Medical Association's
Committee for Controlled Substances. GX 10, at 2-3. Dr. Van Komen was
also a member of the committee which drafted the FSMB's Model
Guidelines for the Appropriate Use of the Internet in Medical Practice
(2002). Tr. 290; see also GX 18.
Dr. Van Komen testified that there is "a well defined standard of
care" for prescribing controlled substances and establishing a
legitimate doctor patient relationship. Tr. 295. He further noted that
the standards for Internet prescribing adopted by the MQAC (GX 24),
closely follow the FSMB's guidelines and "outline for physicians in
very clear language what's appropriate and what's not appropriate."
Tr. 297. Dr. Van Komen then testified that the standard of care for
prescribing a controlled substance requires that a doctor-patient
relationship be established. Id. at 304-05. More specifically, Dr. Van
Komen testified that this begins with the patient presenting with an
ailment or medical problem and that the physician must then: (1) Meet
the patient face-to-face to take a history and perform a physical
examination; (2) order appropriate tests to confirm or eliminate a
potential diagnosis; (3) make a diagnosis; (4) discuss the diagnosis
and treatment options with the patient; and (5) discuss the risks and
benefits of specific treatment choices. Id. at 304-06. The standard of
care for prescribing a controlled substance also requires that the
physician maintain patient files documenting "what has occurred in the
doctor/patient relationship" and following up with the patient to make
sure that the treatment is having the intended effect and not causing
side effects. Id. at 307-08, 344.
Dr. Van Komen subsequently explained that reviewing an online
questionnaire or engaging in a telephone consultation does not provide
"the same information" regarding a patient's potential drug
dependency as does "a face-to-face meeting." Tr. 334-35. Moreover,
after writing a prescription, a doctor can reassess the patient when he
comes back to the office. Id. at 334.
Based on his review of the MQAC's 2005 Statement of Charges (GX 27)
and its 2007 Final Order (GX 28), Dr. Van Komen opined that Respondent
"prescribe[d] outside the standard of care usually accepted or as is
accepted by the medical community." Tr. 328. He also opined that the
DVD which showed how the DI obtained hydrocodone through the Heynowmeds
Web site, as well as the prescriptions that were listed on the
spreadsheet of intercepted data, supported his conclusion. Id. at 329-
30.
The Government then asked Dr. Van Komen whether he had an opinion
as to whether Respondent's prescriptions were issued for "a legitimate
medical purpose." Id. at 330. Dr. Van Komen explained that there was
no "way of knowing if any of the prescriptions are for a legitimate
medical purpose because there's no contemporaneous medical records on
any of the patients." Id. Continuing, Dr. Van Komen explained that the
failure to maintain medical records is "a huge breach of the
responsibility of a physician when he's prescribing any medication * *
* especially with controlled drugs." Id.
As for the MQAC's finding that Respondent had violated State law in
prescribing phentermine, Dr. Van Komen testified that this drug is a
schedule IV controlled substance which "can be abused and that the
physician needs to [engage in] very close monitoring of patients," and
that "it makes no sense at all to prescribe phentermine without a
doctor/patient relationship." Id. at 331. He further testified that
phentermine is a stimulant, and that "[o]f all of the drugs that we
prescribe, stimulants are by far the most addictive." Id. at 343.
With respect to hydrocodone, Dr. Van Komen testified that a
physician has to have "a real interaction" with "the patient
before" deciding to "use opioid medication in the treatment of [the
patient's] pain" and that once the physician prescribes the drug, he
has to "have the patient come back" to "make sure that [the patient
is] using the medication appropriately." Id. at 337. Dr. Van Komen
also explained that hydrocodone is "very abused" and is "one of the
leading cause[s] of drug overdose deaths in the United States." Id. at
338.
On cross-examination, Dr. Van Komen further explained that even if
he did not consider the evidence that the Government obtained in the
Saran investigation, his "opinion" regarding the medical propriety of
Respondent's prescribing "would be the same as the [MQAC] found." Id.
at 360. Continuing, Dr. Van Komen opined that Respondent "abuse[d] his
authority as a physician by prescribing on the Internet without
bonafide doctor/patient relationships." Id. at 360-61. He further
noted that Respondent "did allow his DEA number and his medical
license to remain with the Internet company" and "[h]e did very
little after his initial stopping of prescribing in 2004 to try and get
back the information from the Internet company." Id. at 361.
Discussion
Pursuant to Section 303(f) of the Controlled Substances Act (CSA),
"[t]he Attorney General may deny an application for [a practitioner's]
registration if he determines that the issuance of such registration
would be inconsistent with the public interest." Id. Sec. 823(f).
With respect to a practitioner, the Act requires the consideration of
the following factors in making the public interest determination:
(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.
[[Page 66145]]
(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. Sec. 823(f).
"These 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 to deny an application or revoke an
existing registration. 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 (DC Cir.
2005).
With respect to a practitioner's registration, the Government bears
the burden of proving (by a preponderance of the evidence) that
granting the application would be inconsistent with the public
interest. 21 CFR 1301.44(d). However, where the Government satisfies
its prima facie burden, as for example, by showing that an applicant,
who was previously registered, committed acts which are inconsistent
with the public interest, the burden then shifts to the applicant to
demonstrate why he can be entrusted with a registration.
In this matter, I agree with the ALJ that the Government has
satisfied its prima facie burden by showing that Respondent committed
acts which render his registration inconsistent with the public
interest. See ALJ at 31 ("The Government clearly met its burden of
proving that justification exists for revoking the Respondent's DEA
registration."). However, I reject the ALJ's implicit conclusion that
Respondent has rebutted the Government's prima facie case and her
recommendation that Respondent "be given an opportunity to
demonstrate," while he is being mentored, "his continuing ability and
willingness to comply with the statutory and regulatory provisions that
adhere to a DEA registration." Id. at 32.
As explained below, the ALJ disregarded the extensive body of
Agency precedent holding that an applicant must acknowledge his prior
misconduct and accept responsibility for it. See, e.g., Medicine
Shoppe-Jonesborough, 73 FR 364, 387 (2008) (collecting cases).
Respondent did not testify in this proceeding and continues to assert
that he has "done nothing wrong." Tr. 645 (closing argument); see
also Resp. Br. at 46. Accordingly, Respondent has not shown that he is
entitled to a new registration.
Factor One--The Recommendation of the State Licensing Board
Respondent has twice been subjected to disciplinary proceedings
brought by the MQAC. The latter MQAC case, which included a summary
suspension for his failure to properly treat emergency room patients,
did not involve his prescribing of controlled substances.
However, the first case was based on his internet prescribing of
phentermine to patients he never physically examined, as well as his
prescribings of controlled substances to three other patients on whom
he did not maintain medical records. Based on this conduct, the MQAC
found Respondent guilty of unprofessional conduct and imposed a
suspension, which it stayed, as well as restrictions on his practice.
Notably, in this matter, the MQAC has not made a recommendation
that he retain his DEA registration. Respondent nonetheless argues that
its decision reflects its conclusion that permitting him to continue to
practice "would not create a danger to public health and safety."
Resp. Br. at 29. In his closing argument, Respondent further maintained
that this Agency is required to defer to the MQAC's decision allowing
him to continue to practice under conditions. Tr. 655.
While the MQAC's reinstatement of his medical license (following
the second proceeding) now makes him eligible to hold a DEA
registration, see 21 U.S.C. 823(f), this Agency has repeatedly held
that possessing a valid State license is not dispositive of the public
interest inquiry. See Patrick W. Stodola, 74 FR 20727, 20730 n.16
(2009); Robert A. Leslie, 68 FR at 15230. DEA has long held that "the
Controlled Substances Act requires that the Administrator * * * make an
independent determination as to whether the granting of controlled
substances privileges would be in the public interest." Mortimer
Levin, 57 FR 8680, 8681 (1992).\18\ Accordingly, I am not required to
defer to the MQAC's decision to allow Respondent to practice medicine,
and I conclude that this factor is not dispositive either for, or
against, granting Respondent's application.
---------------------------------------------------------------------------
\18\ For reasons explained in my discussion of the sanction, I
conclude that the conditions imposed by the MQAC do not adequately
protect the public interest.
---------------------------------------------------------------------------
Factors Two and Four--Respondent's Experience in Dispensing Controlled
Substances and His Record of Compliance With Laws Related to Controlled
Substances
Under a longstanding DEA regulation, 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 his 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. See also 21 U.S.C. 802(10) (defining the term
"dispense" as meaning "to deliver a controlled substance to an
ultimate user by, or pursuant to the lawful order of, a practitioner,
including the prescribing and administering of a controlled
substance") (emphasis added).
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,
546 U.S. 243, 274 (2006) (citing United States v. Moore, 423 U.S. 122,
135, 143 (1975)).
Under the CSA, it is fundamental that a practitioner must establish
and maintain a bonafide doctor-patient relationship in order to act
"in the usual course of * * * professional practice" and to issue a
prescription for a "legitimate medical purpose." Laurence T.
McKinney, 73 FR 43260, 43265 n.22 (2008); see also Moore, 423 U.S. at
142-43 (noting that evidence established that physician "exceeded the
bounds of 'professional practice,"' when "he gave inadequate
physical examinations or none at all," "ignored the results of the
tests he did make," and "took no precautions against * * * misuse and
diversion"). At the time of the events at issue here, the CSA
generally looked to State law to determine whether a doctor and patient
had established a bonafide doctor-patient relationship. See Kamir
Garces-Mejias, 72 FR 54931, 54935 (2007); United Prescription Services,
Inc., 72 FR 50397, 50407 (2007).\19\
---------------------------------------------------------------------------
\19\ On October 15, 2008, the President signed into law the Ryan
Haight Online Pharmacy Consumer Protection Act of 2008, Public Law
110-425, 122 Stat. 4820 (2008). Section 2 of the Act prohibits the
dispensing of a prescription controlled substance "by means of the
Internet without a valid prescription," and defines, in relevant
part, the "[t]he term 'valid prescription' [to] mean[] a
prescription that is issued for a legitimate medical purpose in the
usual course of professional practice by * * * a practitioner who
has conducted at least 1 in-person medical evaluation of the
patient." 122 Stat. 4820 (codified at 21 U.S.C. 829(e)(1) & (2)).
Section 2 further defines "[t]he term 'in-person medical
evaluation' [to] mean[] a medical evaluation that is conducted with
the patient in the physical presence of the practitioner, without
regard to whether portions of the evaluation are conducted by other
health professionals." Id. (codified at 21 U.S.C. 829(e)(2)(B)).
These provisions do not, however, apply to Respondent's conduct.
---------------------------------------------------------------------------
[[Page 66146]]
It is undisputed that Respondent prescribed for the eDrugstore Web
site and issued numerous prescriptions for phentermine, a schedule IV
controlled substance, to persons located throughout the United States.
As the MQAC found, Respondent did not take a medical history on any of
these persons and did not perform physical examinations of them. As the
MQAC further found, he did not obtain each person's medical records and
did not attempt to verify (and had no way to verify) the information
which these persons provided. Yet as the MQAC found, he diagnosed each
person and prescribed to them. As the MQAC found, and as Dr. Van Komen
testified, Respondent failed to comply with the standard of care for
prescribing phentermine.\20\
---------------------------------------------------------------------------
\20\ At the hearing, Respondent contended that the Government
violated his right to Due Process by introducing the evidence
regarding the MQAC's 2005 statement of charges and its 2007 order
because the Government did not make any allegations in the Show
Cause Order regarding the first MQAC proceeding. Tr. 322. Respondent
did not dispute, however, that the documents were noticed in the
Government's pre-hearing statement and that they were timely
exchanged. Id. at 324-25. The ALJ properly overruled Respondent's
objection in holding that the Government had complied with due
process.
One of the fundamental tenets of Due Process is that the Agency
must provide a respondent with notice of those acts which the Agency
intends to rely on in seeking the revocation of its registration so
as to provide a full and fair opportunity to challenge the factual
and legal basis for the Agency's action. See NLRB v. I.W.G., Inc.,
144 F.3d 685, 688-89 (10th Cir. 1998); Pergament United Sales, Inc.,
v. NLRB, 920 F.2d 130, 134 (2d Cir. 1990). See also 5 U.S.C. 554(b)
("Persons entitled to notice of an agency hearing shall be timely
informed of * * * the matters of fact and law asserted.").
However, " '[p]leadings in administrative proceedings are not
judged by the standards applied to an indictment at common law."'
Citizens State Bank of Marshfield v. FDIC, 751 F.2d 209, 213 (8th
Cir. 1984) (quoting Aloha Airlines v. Civil Aeronautics Bd., 598
F.2d 250, 262 (DC Cir. 1979)). See also Boston Carrier, Inc. v. ICC,
746 F.2d 1555, 1560 (DC Cir. 1984) (quoted in Edmund Chein, 72 FR
6580, 6592 n.21 (2007) ("an agency is not required 'to give every
[Respondent] a complete bill of particulars as to every allegation
that [he] will confront"'). Thus, the failure of the Government to
disclose an allegation in the Order to Show Cause is not
dispositive, and an issue can be litigated if the Government
otherwise timely notifies a respondent of its intent to litigate the
issue.
The Agency has thus recognized that "the parameters of the
hearing are determined by the prehearing statements." Darrell
Risner, D.M.D., 61 FR 728, 730 (1996). Accordingly, in Risner, the
Agency held that where the Government has failed to disclose "in
its prehearing statements or indicate at any time prior to the
hearing" that an issue will be litigated, the issue cannot be the
basis for a sanction. 61 FR at 730. See also Nicholas A. Sychak, d/
b/a Medicap Pharmacy, 65 FR 75959, 75961 (2000) (noting that the
function of pre-hearing statements is to provide Due Process through
"adequate * * * disclosure of the issues and evidence to be
submitted in * * * proceedings"); cf. John Stafford Noell, 59 FR
47359, 47361 (1994) (holding that notice was adequate where
allegations were not included in Order to Show Cause but "were set
forth in the Government's Prehearing Statement").
---------------------------------------------------------------------------
It is acknowledged that the MQAC found that there was no evidence
that Respondent "diverted controlled substances * * * for illegitimate
purpose in violation of any drug law." GX 28, at 8. However, the MQAC
did not explain what legal standard it applied in making this finding.
While the State of Washington can, of course, apply any standard it
chooses in defining diversion for purposes of State law, the State has
no authority to definitively interpret the CSA and determine what
constitutes diversion under Federal law.
Several Federal courts of appeals have held that conduct similar to
what the MQAC found Respondent to have engaged in by prescribing
phentermine over the Internet violates the prescription requirement of
Federal law and constitutes an unlawful distribution under 21 U.S.C.
841(a). See United States v. Nelson, 383 F.3d 1227, 1231-32 (10th Cir.
2004) (upholding physician's conviction for conspiracy to distribute
prescription controlled substances "outside the usual course of
professional practice" through internet scheme when physician approved
"prescription drug requests * * * without ever examining his purported
patient"); see also United States v. Smith, 573 F.3d 639, 657-58 (8th
Cir. 2009) (upholding conviction of operator of internet drug
distribution scheme for violations of 21 U.S.C. 841(a)(1) where "
'[t]here was never an established doctor/patient relationship. There
was never a face-to-face examination. There was never a history. There
was no physical examination."' (citation omitted)); United States v.
Fuchs, 467 F.3d 889 (5th Cir. 2006) (rejecting pharmacist's challenge
to convictions for dispensing controlled substance "not in the usual
course of professional practice in violation of 21 U.S.C. 841(a);"
scheme involved customers going to pharmacist's Web site, completing an
online profile and requesting medication, which was then forwarded to
physician who "reviewed the patient's profile and approved and signed
the prescription without communicating with the patient either face to
face or over the telephone").
As these decisions make plain, a physician acts outside of the
usual course of professional practice and lacks a legitimate medical
purpose when he issues a controlled substance prescription to a person
with whom he has not established a legitimate doctor-patient
relationship. As the MQAC's finding makes clear--and as Dr. Van Komen's
testimony corroborates--by failing to take a medical history, review
medical records and perform physical examinations, Respondent did not
establish a legitimate doctor-patient relationship with any of the
persons he prescribed phentermine to through eDrugstore. Tr. 330 & 360-
61.
Respondent's conduct was not simply "malpractice, or even
intentional malpractice." United States v. Feingold, 454 F.3d 1001,
1010 (9th Cir. 2006). Rather, he "wantonly ignored the basic protocols
of the medical profession" and "his actions completely betrayed any
semblance of legitimate medical treatment." Id. Accordingly, I hold
that Respondent, in issuing phentermine prescriptions for eDrugstore,
acted outside of the usual course of professional practice and lacked a
legitimate medical purpose and therefore violated Federal law. 21
U.S.C. 841(a)(1); 21 CFR 1306.04(a). And to make clear for purposes of
Federal law, where, as here, a physician violates the CSA's
prescription requirement, the drug is deemed diverted.\21\
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\21\ The MQAC also found that Respondent had prescribed
controlled substances to three State residents and yet had "failed
to keep any medical records for these patients" and thus lacked
documentation of having taken the patient's history, physical exam,
and had no "documentation of any kind to support the patient's
diagnosis and treatment." GX 28, at 7. Here again, the MQAC found
that Respondent had committed unprofessional conduct and violated
the standard of care applicable under Washington law. Id. However,
the MQAC found that the State had failed to prove that Respondent
lacked a therapeutic purpose in issuing these prescriptions.
While the ALJ's opinion erroneously suggests that the CSA
requires that a physician maintain patient records, see ALJ at 26-
27, the CSA requires only that a doctor maintain records showing the
disposition of controlled substances which are dispensed and
administered (but not prescribed) as a regular part of his
professional practice. See 21 CFR 1304.04(d). However, a
practitioner's failure to maintain records required under State law
which relate to the prescribing of controlled substances is properly
considered by the Agency under factors two, four, and five of the
public interest standard.
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I further find that the Government has proved by a preponderance of
the
[[Page 66147]]
evidence that Respondent also wrote the prescriptions which were
identified as having been ordered through the Heynowmeds Web site and
which were filled by the Saran pharmacies. See GXs 2-5. Relatedly, I
reject Respondent's affirmative defense that his name, signature and
DEA registration number were "stole[n] and misused" by Abel
Rodriguez.
As found above, Respondent's name, registration number, and
signature were found on more than 130 controlled substance
prescriptions which were intercepted by the Government in its
investigation of the Saran conspiracy; \22\ these prescriptions were
clearly distributed as evidenced by the attached shipping labels. GX 3.
The presence of Respondent's name, registration number, and signature
on these prescriptions creates a rebuttable presumption that he
authorized them. Moreover, during the execution of search warrants at
both CHS/ISG and the home of one of Saran's co-conspirators,
Investigators seized a document which listed Respondent as the
prescribing physician for several Web sites whose prescriptions were
filled at Saran's pharmacies. Finally, in an interview with
investigators, Respondent admitted that he had travelled from
Washington State to Florida to meet Abel Rodriguez and that he had
written prescriptions for Rodriguez (although he denied writing
controlled substance prescriptions for his Web site).
---------------------------------------------------------------------------
\22\ The act of writing a prescription, by itself, constitutes
the delivery of a controlled substance under Federal law even if the
prescription is never dispensed by a pharmacy.
---------------------------------------------------------------------------
Respondent did not testify in this proceeding. Instead, to support
his defense, he put forward: (1) The results of a polygraph
examination; (2) an affidavit submitted by Florida law enforcement
officers in support of an arrest warrant for Abel Rodriguez, which
stated that another physician's signature was used by an associate of
Rodriguez to authorize prescriptions even though the physician was not
involved in prescribing the drugs; and (3) the testimony of a DI who
served the Show Cause Order and interviewed him later the same day
during which he denied having written prescriptions for Heynowmeds.
Respondent's evidence is not sufficient to rebut the presumption
that he wrote the prescriptions. With respect to the polygraph
evidence, even putting aside the criticism of the Government's expert
regarding the manner in which the test was administered, there is no
consensus among the scientific community and the courts that polygraph
evidence is reliable. See United States v. Scheffer, 523 U.S. at 309.
As explained above, this evidence does not meet the standard of
reliability imposed by the APA.
As for the affidavit's statement (which was based on the statement
of one of Rodriguez's associates) that another physician's signature
was used without his authority, all this establishes is that that
physician's signature was misused. It does not prove that Respondent's
registration was misused in writing the prescriptions.
Finally, Respondent relies on his statement to the DIs in which he
denied that he wrote the controlled substance prescriptions identified
in the Order to Show Cause. Respondent also points to the testimony of
the DI that she found him to be credible.
However, Respondent's interview was not sworn. Moreover, the DI who
did the interview was based in Seattle, had no previous role in the
Saran investigation which was run by the Fort Worth, Texas office, and
thus was not familiar with what the investigation had uncovered.
Accordingly, the DI did not have the underlying knowledge of the facts
of the investigation necessary to probe Respondent's story and to
evaluate his credibility.
Beyond this, there is no reason to give dispositive weight to this
statement when Respondent could have testified (and subjected himself
to cross-examination) at his hearing but chose not to. It is well
established that the Agency can draw an adverse inference from a
respondent's failure "to testify in response to probative evidence
offered against" him. See Baxter v. Palmigiano, 425 U.S. 308, 316
(1976); see also United States v. Solano-Godines, 120 F.3d 957, 962
(9th Cir. 1997) ("In civil proceedings * * * the Fifth Amendment does
not forbid fact finders from drawing adverse inferences against a party
who refuses to testify."). It is appropriate to draw an adverse
inference here, where the Government produced evidence showing that his
name, registration number and signature were used to authorize
controlled substance prescriptions and Respondent failed to
testify.\23\
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\23\ In his brief, Respondent argues that the Government has not
met its evidentiary burden because it did not present additional
evidence establishing his involvement with Heynowmeds such as
"proof of payments" to him from Heynowmeds or "testimony from an
undercover officer or from bona fide drug-seeking customers about
direct contacts with" him. Resp. Br. at 34-36. Respondent's
position would have some merit if he had presented substantial,
reliable and probative evidence that he was not involved with
Heynowmeds. He did not.
I further note that while Respondent promised to turn over his
bank records, he never did.
---------------------------------------------------------------------------
I thus find that Respondent authorized the intercepted
prescriptions. And for the same reasons that I found that the
phentermine prescriptions violated Federal law (i.e., he did not
establish a legitimate doctor/patient relationship with those he
prescribed for), I conclude that these prescriptions were also issued
outside of the usual course of professional practice and lacked a
legitimate medical purpose and thus violated Federal law. See 21 U.S.C.
841(a)(1); 21 CFR 1306.04(a).
The prescriptions violated Federal law for a further reason. As the
Supreme Court explained shortly after the CSA's enactment, "[i]n the
case of a physician[,] [the Act] contemplates that he is authorized by
the State to practice medicine and to dispense drugs in connection with
his professional practice." United States v. Moore, 423 U.S. at 140-
41. See also 21 U.S.C. 802(21) (defining "[t]he term 'practitioner'
[to] mean[] a physician * * * or other person licensed, registered, or
otherwise permitted, by the United States or the jurisdiction in which
he practices * * * to dispense * * * a controlled substance in the
course of professional practice."). Accordingly, DEA has held that
"[a] physician who engages in the unauthorized practice of medicine
under state law is not a 'practitioner acting in the usual course of *
* * professional practice,"' and that "[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 at 50407 (quoting 21 CFR
1306.04(a)). Likewise, the MQAC's 2002 Guidelines clearly stated that
"[p]hysicians who treat or prescribe through Internet Web sites are
practicing medicine and must possess appropriate licensure in all
jurisdictions where patients reside." GX 24, at 6. Because Respondent
was licensed only in Washington State, the prescriptions identified in
Government Exhibits 2-5 were unlawful under both Federal law and the
laws of numerous States for this reason as well. See, e.g., Ala. Code
Sec. 34-24-502 (2005); id. Sec. 34-24-51; Cal. Bus. & Prof. Code
Sec. 2052 (2005) \24\; N.C. Gen.
[[Page 66148]]
Stat. Sec. 90-18; Tenn. Code Ann. Sec. 63-6-201; Tenn. Comp. R. &
Regs. 0880-2.16; Tex. Occ. Code Ann. Sec. Sec. 151.056 & 155.001.
---------------------------------------------------------------------------
\24\ See also Hageseth v. Superior Court, 59 Cal. Rptr. 3d 385
(Ct. App. 2007) (upholding prosecution of out-of-State and
unlicensed physician who prescribed drug to State resident over the
Internet for the unauthorized practice of medicine); United
Prescription Services, 72 FR at 50401 n.10 (discussing actions
brought by Medical Board of California against out-of State
physicians for prescribing to State residents).
---------------------------------------------------------------------------
As the forgoing demonstrates, Respondent issued numerous controlled
substance prescriptions in violation of both Federal and State laws. He
also lacked the records required under Washington law to justify his
prescribing of controlled substances. Accordingly, I conclude that the
evidence presented by the Government on factors two and four satisfies
its prima facie burden of showing that granting Respondent's
application "would be inconsistent with the public interest." 21
U.S.C. 823(f).
Sanction
Under Agency precedent, where, as here, "the Government has proved
that a registrant has committed acts inconsistent with the public
interest, a registrant must '"present[] sufficient mitigating
evidence to assure the Administrator that [he] can be entrusted with
the responsibility carried by such a registration." ' "Medicine
Shoppe-Jonesborough, 73 FR 364, 387 (2008) (quoting Samuel S. Jackson,
72 FR 23848, 23853 (2007) (quoting Leo R. Miller, 53 FR 21931, 21932
(1988))). "Moreover, because 'past performance is the best predictor
of future performance,' ALRA Labs, Inc. v. DEA, 54 F.3d 450, 452 (7th
Cir.1995), [DEA] has repeatedly held that where a registrant has
committed acts inconsistent with the public interest, the registrant
must accept responsibility for [his] actions and demonstrate that [he]
will not engage in future misconduct." Medicine Shoppe, 73 FR at 387;
see also Jackson, 72 FR at 23853; John H. Kennedy, 71 FR 35705, 35709
(2006); Cuong Tron Tran, 63 FR 64280, 62483 (1998); Prince George
Daniels, 60 FR 62884, 62887 (1995). See also Hoxie v. DEA, 419 F.3d at
483 ("admitting fault" is "properly consider[ed]" by DEA to be an
"important factor[]" in the public interest determination).
The ALJ did not acknowledge any of these cases in her recommended
decision. See ALJ at 30-32. Instead, she noted that it was
"appropriate to consider all of the facts and circumstances" which,
in her view, include that he "was cooperative and truthful when
working with DEA personnel," the Medical Board's 2007 finding that
"there was no evidence that [he] mishandled controlled substances
during the MQAC's" June's 2005 investigation, and "most
significant[ly]," that under the MQAC's 2009 Order, Respondent is now
being supervised by another physician. Id. Apparently, the ALJ also
deemed it significant that since the institution of the proceeding, the
Agency had not found any evidence of Respondent's mishandling of
controlled substances. Id. at 31-32. Expressing her belief that "this
proceeding has instilled in the Respondent a grave respect for the
authority and responsibilities which attach to his DEA registration,"
the ALJ recommended that Respondent "be given an opportunity to
demonstrate, during his mentorship, his continuing ability and
willingness to comply with the statutory and regulatory provisions that
adhere to a * * * registration." Id. at 32.
The ALJ's reasoning is unpersuasive. While it is true that the MQAC
found no diversion in its 2005 investigation, as explained above, under
Federal law, when prescriptions are issued outside of the usual course
of professional practice and lack a legitimate medical purpose, 21 CFR
1306.04(a), the drugs are deemed to have been diverted. Indeed, in
other decisions involving practitioners who prescribed over the
Internet, DEA has noted the egregious nature of this misconduct and the
serious threat it poses to public health and safety. See William R.
Lockridge, 71 FR 77791, 77800 (2006) (noting that internet prescriber
"was a drug dealer" and that conduct created "imminent danger to
public health and safety"); Mario Avello, 70 FR 11695, 11697 (2005);
cf. Southwood Pharmaceuticals, Inc., 72 FR 36487, 36504 (2007)
(discussing increase in the rates of prescription drug abuse and the
Internet's "role in facilitating the growth of prescription drug
abuse"); see also National Center on Addiction and Substance Abuse,
"You've Got Drugs!" IV: Prescription Drug Pushers on the Internet
(2007), at 11 ("[T]he wide availability of dangerous and addictive
drugs on the Internet reveals a wide-open channel of distribution. This
easy availability has enormous implications for public health,
particularly the health of our children, since research has documented
the tight connection between availability of drugs to young people and
substance abuse and addiction.") (GX 32).
Moreover, as explained above, the Federal courts have recognized
that prescribing controlled substances under these circumstances (i.e.,
without taking medical history, physically examining the patient, and
maintaining patient records) constitutes drug dealing. See Nelson, 383
F.3d at 1231-32 ("A practitioner has unlawfully distributed a
controlled substance if she prescribes the substance either outside the
usual course of medical practice or without a legitimate medical
purpose."); United States v. Quinones, 536 F.Supp.2d 267, 271
(E.D.N.Y. 2008) (rejecting motion to dismiss indictment under 21 U.S.C.
841; "[t]hat the moving defendants allegedly carried out their
activities through the Internet is of no consequence. Two circuit
courts have approved the application of the Federal drugs laws to the
operation of Internet pharmacies.") (citing Nelson, 383 F.3d 1227, and
Fuchs, 467 F.3d 889). Contrary to the ALJ's understanding, Respondent's
internet prescribing does not involve minor regulatory violations, but
rather egregious acts which go to the core of the CSA's statutory
purpose of preventing diversion and abuse.
As noted above, the ALJ did not even acknowledge the extensive
Agency case law which holds that where a registrant has committed acts
which render his registration inconsistent with the public interest, he
must do two things: (1) Accept responsibility for his actions, and (2)
demonstrate that he will not engage in future misconduct. Accordingly,
the ALJ made no finding as to whether Respondent has accepted
responsibility for his misconduct.
However, the Agency is the ultimate fact finder so I do make a
finding. Based on Respondent's failure to testify in this proceeding,
as well as his maintaining that he has done nothing wrong, I find that
he has not accepted responsibility for his misconduct. See, e.g.,
Hoxie, 419 F.3d at 483 ("admitting fault" is "properly considered"
to be an "important factor"). Given the egregious nature of his
misconduct, Respondent's failure to acknowledge his wrongdoing provides
reason alone to hold that he has not rebutted the Government's prima
facie case.\25\ Accordingly,
[[Page 66149]]
Respondent's application will be denied.
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\25\ None of the other circumstances identified by the ALJ is
sufficient to overcome Respondent's failure to acknowledge his
misconduct, and only one of them--his being monitored by a mentor--
would tend to establish that he can be entrusted with a new
registration.
If Respondent had accepted responsibility, the MQAC's
limitation of his practice to an office-based setting, which is
supervised by another physician who must report to the MQAC, would
be entitled to some weight. However, the gravamen of this case
involved Respondent's misconduct in prescribing over the Internet
and not his prescribing in a clinical setting. Thus, it is not clear
that Respondent's mentor has either the authority or the capability
to properly monitor him to ensure that he does not engage in
internet prescribing. Respondent has therefore also failed to carry
his burden with respect to showing that he can be entrusted with a
new registration.
As for the ALJ's finding that he was "cooperative," this
ignores that during his interview with the DIs he agreed to provide
them with his bank records but never did. While the ALJ also noted
that Respondent was "truthful," this finding was based on an
opinion of an Investigator who lacked adequate information to
properly assess his credibility. Moreover, the inconsistency between
Respondent's claim that in prescribing for eDrugstore he only wrote
a "small minority" of controlled substance prescriptions and the
evidence regarding the total number of prescriptions, the amounts he
was paid for the respective types of prescriptions, and his
compensation, provides further reason to question the ALJ's
conclusion.
The ALJ also found it significant that the Agency had not
produced any evidence that Respondent mishandled controlled
substances since the institution of the proceeding. However, because
Respondent failed to file a timely renewal application, thus
allowing his registration to expire (and also had his State license
suspended), he lacked authority to handle controlled substances for
a substantial portion of this period. In addition, the weight to be
given this circumstance is significantly diminished by the fact that
he was then in the midst of a Show Cause Proceeding.
Finally, the ALJ did not cite any evidence to support her
belief that "this proceeding has instilled in the Respondent a
grave respect for the authority and responsibility which attach to
his DEA registration." ALJ at 32. Given the egregious misconduct
proved on this record, rather than take a leap of faith, I rely on
the Agency's longstanding rule which requires that a registrant
acknowledge his misconduct and the relevant evidence or, as in this
case, the lack thereof.
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Order
Pursuant to the authority vested in me by 21 U.S.C. 824(a), as well
as 28 CFR 0.100(b) & 0.104, I order that the pending application of
George Mathew, M.D., for a DEA Certificate of Registration as a
practitioner be, and it hereby is, denied. This Order is effective
November 26, 2010.
Dated: October 17, 2010.
Michele M. Leonhart,
Deputy Administrator.
[FR Doc. 2010-27094 Filed 10-26-10; 8:45 am]
BILLING CODE 4410-09-P
NOTICE: This is an unofficial version. An official version of this publication may be obtained
directly from the Government Printing Office (GPO).
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