Jacobo Dreszer, M.D., Decision and Order, 19386-19401 [2011-8340]
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BILLING CODE 4410–15–P
DEPARTMENT OF JUSTICE
Drug Enforcement Administration
[Docket No. 10–36]
Jacobo Dreszer, M.D., Decision and
Order
On August 10, 2010, Administrative
Law Judge (ALJ) John J. Mulrooney, II,
issued the attached recommended
decision.1 Thereafter, Respondent filed
exceptions to the decision.
Having reviewed the entire record
including the ALJ’s recommended
decision and Respondent’s exceptions, I
have decided to adopt the ALJ’s rulings,
findings of fact,2 conclusions of law,3
and recommended Order.
1 All citations to the ALJ’s Decision (ALJ) are to
the slip opinion as issued on August 10, 2010, and
not to the attached decision which has been
reformatted.
2 The ALJ found that there is ‘‘no evidence that
the Respondent ‘prescribe[d] and dispense[d]
inordinate amounts of controlled substances.’’ ALJ
at 21. While there is no evidence as to the amounts
Respondent may have dispensed directly, there is
such evidence, which is unrefuted, with respect to
his prescriptions. As explained in my discussion of
Respondent’s Exceptions, an Expert witness
testified as to the usual starting doses of oxycodone
and Xanax and that the prescriptions Respondent
issued for both drugs, even at the initial visit,
greatly exceeded the usual starting doses and lacked
a legitimate medical purpose. 21 CFR 1306.04(a).
Moreover, there is also unrefuted evidence that
Respondent’s prescribing of drug cocktails of
oxycodone and Xanax lacked a legitimate medical
purpose. I thus reject the ALJ’s finding to the extent
that it states that there was no evidence that
Respondent prescribed inordinate amounts.
3 I do not, however, adopt the ALJ’s discussion of
the standards applied by the Agency in assessing
a practitioner’s experience in dispensing controlled
substances, which cites cases involving list
chemical I distributors, a different category of
registrant. See ALJ Dec. at 20–21. As the Agency has
previously made clear, DEA can revoke based on a
single act of intentional diversion and ‘‘evidence
that a practitioner has treated thousands of patients’’
in circumstances that do not constitute diversion
‘‘does not negate a prima facie showing that the
practitioner has committed acts inconsistent with
the public interest.’’ Jayam Krishna-Iyer, 74 FR 459,
463 (2009). See also Dewey C. MacKay, 75 FR49956,
49977 (2010); Medicine Shoppe-Jonesborough, 73
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Respondent first takes exception to
the ALJ’s acceptance of L. Douglas
Kennedy, M.D., as an expert on the
proper prescribing of controlled
substances. Respondent contends that
Dr. Kennedy should not have been
permitted to opine on his prescribing
practices because he does not hold a
DEA registration in Florida, has not
prescribed a controlled substance since
2004, does not currently have either a
medical office or hospital privileges in
Florida, and ‘‘has never practiced
FR 364, 386 & n.56 (noting that pharmacy ‘‘had
17,000 patients,’’ but that ‘‘[n]o amount of legitimate
dispensings can render * * * flagrant violations
[acts which are] ‘consistent with the public
interest’ ’’), aff’d, Medicine Shoppe-Jonesborough v.
DEA, 300 Fed. Appx. 409 (6th Cir. 2008). As I
further explained, ‘‘[w]hile such evidence may be
[entitled to] some weight in assessing whether a
practitioner has credibly shown that [he] has
reformed his practices,’’ it is entitled to no weight
where a practitioner fails to acknowledge his
wrongdoing. Krishna-Iyer, 74 FR at 463.
In any event, Respondent offered no evidence on
the issue of his experience in dispensing controlled
substances and the ALJ’s ultimate conclusion that
Respondent violated the CSA’s prescription
requirement because he dispensed controlled
substance prescriptions that were not ‘‘within ‘the
usual course of [his] professional practice,’’ ALJ at
33 (quoting 21 CFR 1306.04(a)), and that ‘‘the
evidence under the [experience] * * * factor[]
support[s]’’ the revocation of his registration, is
consistent with Agency precedent. Id.
With respect to factor five, ‘‘[s]uch other conduct
which may threaten public health and safety,’’ 21
U.S.C. 823(f)(5), the ALJ opined that ‘‘an adverse
finding under this factor requires some showing
that the relevant conduct actually constituted a
threat to public safety.’’ ALJ at 34 (emphasis added).
Contrary to the ALJ’s reasoning, Congress, by
inserting the word ‘‘may’’ in factor five, clearly
manifested its intent to grant the Agency authority
to consider conduct which creates a probable or
possible threat (and not only an actual) threat to
public health and safety. See Webster’s Third New
Int’l Dictionary 1396 (1976) (defining ‘‘may’’ in
relevant part as to ‘‘be in some degree likely to’’);
see also The Random House Dictionary of the
English Language 1189 (1987) (defining ‘‘may’’ in
relevant part as ‘‘used to express possibility’’). While
the ALJ misstated the applicable standard, his
conclusion that Respondent repeatedly ignored ‘‘red
flags’’ indicative of likely diversion and thus
‘‘created a significant potential conduit for the
unchecked diversion of controlled substances’’ is
clearly supported by substantial evidence and
warrants an adverse finding under factor five. ALJ
at 34.
The ALJ also opined that ‘‘[i]t is clear that in
assessing whether the controlled substance
prescribing practices of a Florida practitioner fall
within the acceptable range of what constitutes
being within the bounds of being ‘issued for a
legitimate medical purpose by an individual
practitioner acting in the usual course of his
professional practice,’ resort must be had to an
expert.’’ ALJ at 29 (quoting 21 CFR 1306.04(a)).
While the ALJ properly noted the importance of
expert testimony in this case, in which the
Government primarily relied on a review of the
medical charts, whether expert testimony is needed
is necessarily dependent on the nature of the
allegations and the other evidence in the case.
Where, for example, the Government produces
evidence of undercover visits showing that a
physician knowingly engaged in outright drug
deals, expert testimony adds little to the proof
necessary to establish a violation of Federal law.
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medicine regularly in Florida and has
not practiced medicine in Florida at all
in over 10 years.’’ Resp. Exc. at 1.
Respondent’s contention is unavailing
as Dr. Kennedy was clearly qualified to
render an expert opinion on the proper
practice for prescribing controlled
substances to treat pain and whether
Respondent’s controlled substance
prescriptions were issued in the usual
course of professional practice and for a
legitimate medical purpose. See 21 CFR
1306.04(a). Dr. Kennedy currently holds
a Florida medical license, is a diplomate
of both the American Board of Pain
Medicine and the American Board of
Anesthesiology, and is currently on the
faculty of the University of Miami’s
Miller School of Medicine. GX 117, at
1, 10. Previously, Dr. Kennedy was a
Fellow with the Pain Therapy Unit of
the Cleveland Clinic, served as the
Director of Chronic Pain Management at
the University of Kentucky Medical
Center, and, for fourteen years, was the
Medical Director of a multidisciplinary
pain medicine and rehabilitation
practice. Id. at 1–2.
Dr. Kennedy has published several
articles and book chapters on pain
management issues and has made
several dozen presentations on pain
management issues at professional
meetings.4 Id. at 3–7. In addition, he is
a member of several professional
organizations including the American
Academy of Pain Medicine, the
American Board of Pain Medicine, the
American Pain Society, the
International Association for the Study
of Pain, the American Society of
Addiction Medicine, the American
Board of Anesthesiology, and the
American Society of Anesthesiology. Id.
at 10; Tr. 22. Finally, Dr. Kennedy
explained that he was familiar with the
Florida Board of Medicine’s standards
for prescribing controlled substances to
treat pain and that he had reviewed
them prior to preparing his report. Tr.
24–26; GX 76, at 5–6.
Thus, Dr. Kennedy was clearly
qualified to provide expert testimony. I
therefore agree with the ALJ that Dr.
Kennedy’s testimony was sufficiently
reliable to constitute substantial
evidence on the issue of whether
Respondent acted within the usual
course of professional practice and had
a legitimate medical purpose in
prescribing controlled substances to the
patients whose files he reviewed and
reject this exception.
Next, Respondent contends that Dr.
Kennedy’s opinion testimony is entitled
4 He also co-edited and contributed to the State
of Kentucky’s Guidelines for Prescribing Controlled
Substances, 2nd Edition. GX 117, at 9.
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to no weight because it was based on
only seventeen patient charts, which
Respondent maintains were not
randomly selected and is too small a
sample to draw sufficient conclusions
about the validity of his prescribing
practices. Resp. Exc. at 2. Based on Dr.
Kennedy’s testimony that ‘‘ ‘[i]t might
not be fair’ ’’ to ‘‘ ‘cherry-pick[]’ ’’ a small
and non-random sample of charts out of
a physician’s patients because this
might not provide ‘‘ ‘a reasonable
representation of what the practice was
actually like,’ ’’ Respondent argues that
‘‘[e]ven improper prescribing practices
reflected in a small and non-random
sample of 17 charts * * * may be ‘an
administrative issue for education with
the Board of Medical License’ ’’ and not
necessarily justify the revocation of
Respondent’s medical license (or DEA
registration). Id. (quoting Tr. 645).
However, even acknowledging that
two of the seventeen files reviewed by
Dr. Kennedy with respect to Respondent
were not randomly selected (one being
that of an undercover officer), the ALJ
found credible the Diversion
Investigator’s testimony that the files
were not specially selected to enhance
the strength of the Government’s case.
ALJ at 5 (citing Tr. 768). More
importantly, the requirement of Federal
law that a prescription ‘‘must be issued
for a legitimate medical purpose by an
individual practitioner acting in the
usual course of his professional
practice,’’ 21 CFR 1306.04(a), applies to
each and every prescription issued by a
practitioner. Thus, contrary to the
Expert’s understanding, in determining
whether a practitioner has committed
acts which render his registration
‘‘inconsistent with the public interest,’’
21 U.S.C. 824(a)(4), the Government is
not required to randomly select the files
which it will base its case on.
For example, where the Government
has developed information that
particular patients are drug dealers or
engaged in self-abuse, it is not required
to ignore the files pertaining to these
patients and base its case on a random
sample of files. Rather, it can select the
files pertaining to those patients and
base its case entirely on them.
Moreover, where the Government has
seized files, it can review them and
choose to present at the hearing only
those files which evidence a
practitioner’s most egregious acts. Of
course, where, as here, the
Government’s case relies so heavily on
a chart review, the practitioner can put
on his own evidence and argue that the
Government’s evidence does not
establish that he violated the
prescription requirement; the
practitioner can also argue that even
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though the Government has made out a
prima facie case, his conduct was not so
egregious as to warrant revocation. See
Paul Caragine, 63 FR 51592 (1998)
(granting restricted registration where
practitioner did not engage in
intentional misconduct, patients had
legitimate medical conditions requiring
treatment, and practitioner accepted
responsibility and testified as to
remedial measures he had undertaken).
See also Dewey C. MacKay, 75 FR at
49977 (revoking registration based on
intentional acts of diversion to two
patients); Krishna-Iyer, 74 FR at 463
(holding that DEA can revoke based on
a single act of diversion); Medicine
Shoppe-Jonesborough, 73 FR at 386 &
n.56; Alan H. Olefsky, 57 FR 928, 929
(1992) (revoking registration based on
physician’s single act of presenting two
fraudulent prescriptions to pharmacist
where physician failed to acknowledge
wrongdoing).5 Accordingly, there is no
merit to Respondent’s exception.
Finally, Respondent takes exception
to the ALJ’s findings that he violated
Florida’s standards for prescribing
controlled substances. Resp. Exceptions
at 4–5. More specifically, Respondent
contends that he complied with the
standards set forth under Florida
regulations and that he ‘‘took a complete
medical history and conducted a
physical evaluation that was
documented,’’ that he maintained
‘‘medical records documenting the
patient’s intensity of pain, current and
past treatments for pain, and the effect
of pain on physical and psychological
function.’’ Id. at 4–5. He further argues
that ‘‘[h]e set out a written treatment
plan, discussed the risks and benefits of
controlled substances and conducted
periodic reviews’’ as also required by
Florida’s regulations. Id. at 5.
While it is true that Dr. Kennedy
acknowledged that he was not familiar
with the specific standard imposed by
the State of Florida for excessive
prescribing and that he had not
reviewed any Florida Medical Board
decisions addressing the issue of what
is an adequate medical history, see ALJ
at 15, in his report Dr. Kennedy
discussed at length the Florida Board of
Medicine’s Standards for the Use of
Controlled Substances for the Treatment
of Pain, Fla. Admin. Code 64B8–
9.013.6 See GX 76, at 5–6.
5 Consistent with DEA’s longstanding precedent,
see ALJ at 17, a respondent is also entitled to put
on evidence as to his acceptance of responsibility
and any remedial measures he has undertaken to
prevent the re-occurrence of similar acts.
6 Even after Gonzales v. Oregon, 546 U.S. 243
(2006), several courts of appeals, including the
Eleventh Circuit, ‘‘have applied a general-practice
standard when determining whether the
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In any event, Respondent produced
no evidence that his recordkeeping and
prescribing complied with the standards
of the Florida Medical Board. Moreover,
there is substantial evidence to support
the conclusion that Respondent was not
engaged in legitimate medical practice
and was diverting drugs.
As Dr. Kennedy explained, the
patients whose files he reviewed were
relatively young (with an average age of
36), and most were from out-of-state,
with some travelling up to 1200 miles,7
even though Respondent had no
specialized training in pain
management. Id. at 15–16. Yet,
Respondent did not obtain reports from
the prescription monitoring programs
run by the States where his patients
lived. Id. at 1–2; 14. Moreover,
Respondent did not obtain adequate
medical histories and perform adequate
physical examinations; he also never
obtained medical records from other
treating physicians (or even contacted
them) for any of the patients whose files
are in evidence. Id. at 4, 8–9.
As Dr. Kennedy explained, while
‘‘[t]he chart was set up to give the
appearance of a legitimate medical
practice in an attempt to justify the
initial and continued prescription and
dispensing of high dose multiple
controlled substances (‘drug cocktails’),’’
and that while ‘‘on the surface [the
charts] were adequate for evaluating and
treating a patient,’’ on closer review,
‘‘the actual contents in the charts,
clearly evidence just the opposite’’ as
the charts were ‘‘very difficult * * * to
read [with] many sections * * * left
blank or incompletely filled in.’’ Id. at
15. Continuing, Dr. Kennedy explained
that ‘‘[t]he notes were not within the
standard of care; all were outside the
boundaries of professional practice,
lacking significant information and
ignoring significant history that was
present.’’ Id. Moreover, Respondent’s
practitioner acted in the ‘usual course of
professional practice.’’’ United States v. Smith, 573
F. 3d 639, 647–48 (8th Cir. 2009); see also id. at 648
(discussing United States v. Moore, 423 U.S. 122
(1975); ‘‘Thus informed by the Supreme Court and
other controlling and persuasive precedent, we
believe that it was not improper to measure the
‘usual course of professional practice’ under
§ 841(a)(1) and [21 CFR] 1306.04 with reference to
generally recognized and accepted medical
practices * * * .’’). To similar effect, the Eleventh
Circuit has held that ‘‘[t]he appropriate focus * * *
rests upon whether the physician prescribes
medicine ‘in accordance with a standard of medical
practice generally recognized and accepted in the
United States.’ ’’) (United States v. Merrill, 513 F.3d
1293, 1306 (11th Cir. 2008) (quoting Moore, 423
U.S. at 139)).
7 Of the seventeen patients, only four were from
Florida. Of the remaining patients, five were from
Kentucky, three were from Ohio, two were from
Tennessee and West Virginia, and one was from
Georgia. GX 76, at 1.
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failure to obtain his patients’ medical
records ‘‘was well outside the
boundaries of medical practice and
below the standard of medical care,’’
especially because the patients were
receiving ‘‘very high dose[s]’’ of
controlled substances. Id.
The evidence further shows that this
case is not simply a matter of
inadequate record keeping. While
Respondent apparently required his
patients to obtain an MRI, in multiple
instances the MRI was obtained before
the patient was even evaluated by
Respondent, and generally, no other
imaging studies such as x-rays or CT
scans were done.8 Id. at 14–15.
Moreover, notwithstanding the doses
the patients were seeking, Respondent
rarely referred a patient to another
physician or health care professional for
a consultation.9 As Dr. Kennedy
explained, ‘‘[a]lternative opinions
should have been sought in order to
better diagnose and treat; not to do so
was outside the boundaries of
professional practice and not within the
standard of care.’’ Id. at 14. Dr. Kennedy
thus concluded that Respondent’s
‘‘diagnoses were usually very vague and/
or without medical merit’’ and were
done in an ‘‘attempt[] to justify what
controlled substances he prescribed.’’ Id.
at 15.
Dr. Kennedy also observed that while
Respondent performed urine drug
screens, he ignored the results even
when they were inconsistent with other
information provided by the patients
such as when a patient tested positive
for controlled substances which he had
previously indicated that he was not
currently taking. See id. at 11, 14.
Moreover, the drug screens were rarely
performed other than at the patient’s
initial visit and lacked quality
controls.10 Id. at 14.
Although the charts indicate that
Respondent discussed doing yoga and
stretching, using an anti-inflammatory
diet, and taking several over-the-counter
supplements (fish oil and glucosamine
chondroitin), Respondent’s treatment
plan primarily involved prescribing
high doses of controlled substances with
the same regimen of drugs (oxycodone
and Xanax) prescribed in nearly every
case. Id. at 4, 6–7, 13. And while
Respondent referred two patients to
8 Dr. Kennedy explained that referring a patient
to obtain an MRI prior to having some contact is
unusual and medically inappropriate. Tr. 71–73.
9 In only two of the seventeen files is there an
indication that Respondent referred the patient to
another physician.
10 Dr. Kennedy explained that the urine drug
screens did not indicate the temperature and
specific gravity of the specimen, whether the giving
of the sample had been observed, or the type of
drug screen used. GX 76, at 14; Tr. 100–01.
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their primary care physicians because
they had high blood pressure, see GXs
78, 79; he never referred any patients for
consultations with specialists, or for
physical, occupational, or mental health
therapy. GX 76, at 11.
Dr. Kennedy noted that Respondent
frequently prescribed ‘‘drug cocktails’’ of
two strengths of oxycodone immediate
release and a high dose of Xanax, a
benzodiazepine. Id. at 4, 9, 13. While
Dr. Kennedy acknowledged that
prescribing an additional strength of
oxycodone could be legitimate if it was
done to treat breakthrough or episodic
pain on an as-needed basis, with respect
to M.B., who received prescriptions for
oxycodone 30 mg. and 15 mg., ‘‘there
was no specific reason stated in the
medical record’’ for prescribing both
drugs. Id. at 9.
Dr. Kennedy further noted that while
the typical starting dose of Xanax is 0.25
to 0.5 mg., once to twice per day,
Respondent prescribed Xanax 2 mg.,
twice per day, to fifteen of the seventeen
patients (including M.B.); another
patient B.R. (GX 87) received Xanax 2
mg. once per day.11 Id. at 9–10; GXs 78–
86, 88–93. Moreover, Respondent
prescribed this dose even for patients
who had not been on the drug either
before or recently and ‘‘no matter the
[patient’s] age or clinical situation.’’ GX
76, at 10. While Xanax is used as an
anti-anxiety agent, Respondent’s
medical records did not support the
prescribing because ‘‘[h]e did not list
* * * many important factors that
could cause anxiety * * * such as
depression, life stressors, psychosocial
situation, caffeine intake, sleep
disturbance [and] previous medical
evaluation;’’ he also did not refer these
patients for evaluation by a mental
health professional. Id. With respect to
M.B., Dr. Kennedy observed not only
that ‘‘there was no specific reason stated
in the medical record’’ for prescribing
Xanax, but also that Respondent’s
prescribing of a very high dose of the
drug ‘‘was clearly not within the
boundaries of professional practice.’’ Id.
at 9–10.
Dr. Kennedy further noted that
beginning with M.B.’s first visit,
Respondent ‘‘prescribed very high initial
and subsequent high doses of
oxycodone and Xanax’’ and that these
drugs ‘‘were prescribed excessively and
inappropriately without medical
justification.’’ Id. at 9. Sections of the
history and physical examination form
‘‘were grossly incomplete or missing
entirely,’’ and Respondent did not
identify ‘‘past treating and prescribing
11 The remaining patient, L.A., received Valium
10 mg. GX 77.
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physicians’’ and communicate them
regarding M.B.’s previous treatment
(and obtain medical records) even
though M.B. had indicated that he had
previously seen a doctor and had
physical therapy for his condition. Id. at
9; GX 78, at 16.
While M.B. apparently told
Respondent that he was taking 210 to
240 oxycodone 30 mg. per month,
which he had obtained ‘‘off the street,’’
and he also tested positive for the drug
in a urine drug screen (UDS) done at his
initial visit, Respondent prescribed 180
Roxicodone 30 mg., 60 Roxicodone 15
mg., and 60 Xanax 2 mg. to M.B. at each
of the seven visits he made between
August 20, 2009 and February 4, 2010.
GX 78, at 7, 9, 13, 18–24.
M.B.’s statement that he was getting
‘‘large quantities of oxycodone 30 mg.
pills ‘off the street’’’ was a clear
‘‘warning sign’’ that he was ‘‘at high risk
for drug abuse, addiction and/or
diversion.’’ GX 76, at 12; see also id. at
8. Yet, as Dr. Kennedy observed,
Respondent ‘‘did not appropriately act
on the initial UDS’’ and M.B.’s
admission that he had obtained drugs
off the street by requiring him to
undergo ‘‘[f]urther testing.’’ Id. at 11.
Indeed, ‘‘[t]here were no other UDS tests
obtained [after the initial visit] nor other
toxicology testing.’’ Id. Dr. Kennedy
further noted that Respondent ‘‘did not
obtain any pharmacy drug profiles
[from] where [M.B.] had his
prescriptions filled,’’ his chart did not
indicate where he was filling his
prescriptions, and he did not obtain
prescription monitoring reports from
States where M.B. may have filled
prescriptions. Id. He also did not obtain
prescription monitoring reports for any
of the other sixteen patients. Id.
Finally, Dr. Kennedy explained that
the ‘‘drug cocktails’’ Respondent
prescribed of ‘‘very potent, high doses’’
of oxycodone and Xanax (or Valium), id.
at 11, are ‘‘attractive to ‘patients’ who
abuse, are addicted and/or divert (sell or
trade) their prescribed controlled
substances. They might take them all
together to achieve a ‘high,’ sell some
for cash, or trade some for other drugs
they prefer.’’ Id. at 9. Dr. Kennedy also
noted that ‘‘[w]hen opioids and
benzodiazepines are used in
combination, the potential for [a] drug
overdose and death is increased,’’ and
‘‘[t]he risk of abuse, addiction and/or
diversion is also significantly
increased.’’ Id. at 7. As Dr. Kennedy
observed, ‘‘[t]hese ‘drug cocktails’ were
clearly not for any legitimate medical
purpose.’’ Id. at 13.
As Dr. Kennedy concluded,
Respondent ‘‘was not engaged in the
practice of medicine,’’ and ‘‘[t]he vast
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19389
majority of his prescriptions for
controlled substances w[as] not for a
legitimate medical purpose and w[as]
beyond the boundaries of professional
practice.’’ Id. at 18. His ‘‘routine and
excessive prescription of multiple
controlled substances * * * and lack of
arriving at a valid medical diagnosis and
treatment most likely caused harm to
the patients he saw as well as to other
people in their communities.’’ Id. I
therefore reject this exception as well.
I therefore also reject Respondent’s
Exception to the ALJ’s ultimate finding
that Respondent has committed acts
which render his registration
inconsistent with the public interest.
Resp. Exc. at 5. Because the record
establishes that Respondent has
repeatedly violated Federal law by
issuing controlled substance
prescriptions which lacked a legitimate
medical purpose and were issued
outside of the usual course of
professional practice, 21 CFR 1306.04,
and Respondent has offered no evidence
establishing that he has accepted
responsibility for his misconduct and
that he has reformed his practice, see
Steven M. Abbadessa, 74 FR 10077,
10081 (2009), I adopt the ALJ’s
recommendation that Respondent’s
registration be revoked.
Order
Pursuant to the authority vested in me
by 21 U.S.C. 823(f) and 824(a), as well
as 21 CFR 0.100(b) and 0.104, I order
that DEA Certificate of Registration,
AD7585865, issued to Jacobo Dreszer,
M.D., be, and it hereby is, revoked. I
further order that any pending
application of Jacobo Dreszer, M.D., to
renew or modify his registration, be, and
it hereby is, denied. This Order is
effective immediately.
Dated: March 31, 2011.
Michele M. Leonhart,
Administrator.
Larry P. Cote., Esq., for the Government
Sean M. Ellsworth, Esq., for the
Respondent
Recommended Rulings, Findings of
Fact, Conclusions of Law, and Decision
of the Administrative Law Judge
John J. Mulrooney, II, Administrative
Law Judge. On February 25, 2010, the
Deputy Administrator, Drug
Enforcement Administration (DEA or
Government), issued an Order to Show
Cause and Immediate Suspension of
Registration (OSC/ISO), immediately
suspending the DEA Certificate of
Registration (COR), Number
AD7585865, of Jacobo Dreszer, M.D.
(Respondent), as a practitioner,
pursuant to 21 U.S.C. 824(d), alleging
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that such registration constitutes an
imminent danger to the public health
and safety. The OSC/ISO also sought
revocation of the Respondent’s
registration, pursuant to 21 U.S.C.
824(a)(4), and denial of any pending
applications for renewal 12 or
modification of such registration,
pursuant to 21 U.S.C. 823(f), alleging
that the Respondent’s continued
registration is inconsistent with the
public interest, as that term is used in
21 U.S.C. 823(f). On March 22, 2010, the
Respondent timely requested a hearing,
which, pursuant to a change of venue
granted at his request, was conducted in
Miami, Florida, on July 7, 2010 through
July 9, 2010.13 The immediate
suspension of the Respondent’s COR
has remained in effect throughout these
proceedings.
The issue ultimately to be adjudicated
by the Deputy Administrator, with the
assistance of this recommended
decision, is whether the record as a
whole establishes by substantial
evidence that Respondent’s registration
with the DEA should be revoked as
inconsistent with the public interest as
that term is used in 21 U.S.C. 823(f) and
824(a)(4).
After carefully considering the
testimony elicited at the hearing, the
admitted exhibits, the arguments of
counsel, and the record as a whole, I
have set forth my recommended
findings of fact and conclusions below.
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The Evidence
The OSC/ISO issued by the
Government alleges that the
Respondent, through the medical
practice he participated in at American
Pain, LLC (American Pain), prescribed
and dispensed inordinate amounts of
controlled substances, primarily
oxycodone,14 under circumstances
where he knew, or should have known,
that the prescriptions were not
dispensed for a legitimate medical
purpose. ALJ Ex. 1. The OSC/ISO
further charges that these prescriptions
were issued outside the usual course of
professional practice based on a variety
of circumstances 15 surrounding the
12 Although the Respondent’s COR expired on
July 31, 2010, the parties stipulated that a timely
renewal application has been submitted by the
Respondent. ALJ Ex. 31.
13 Pursuant to an order issued on April 15, 2010,
with the consent of the Respondent, ALJ Ex. 9, the
hearing in this matter was consolidated with the
cases of four other registrants who were working at
the same clinic as the Respondent and who were
also issued OSC/ISOs on February 25, 2010,
alleging similar and related conduct.
14 A schedule II controlled substance.
15 The majority of which are supported by no
evidence introduced by the Government during the
course of these proceedings.
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manner in which American Pain is
operated, and the manner in which its
physicians, including Respondent,
engaged in the practice of medicine. Id.
The Government also alleges that
Respondent’s former patients have
apprised law enforcement personnel
that ‘‘they were able to obtain
prescriptions for controlled substances
from [the Respondent] for other than a
legitimate medical purpose and with the
intention of selling the controlled
substances and/or personally abusing
the drugs.’’ Id. Lastly, in its Prehearing
Statement, the Government further
alleges that one of the Respondent’s
patients died from an overdose of
oxycodone and alprazolam 16 one day
after obtaining prescriptions for those
same controlled substances from a visit
to the Respondent at American Pain. Id.
At the hearing, the Government
presented the testimony of three
witnesses, DEA Miami Field Division
(MFD) Group Supervisor (GS) Susan
Langston, DEA Special Agent (SA)
Michael Burt, and L. Douglas Kennedy,
M.D., D.A.B.P.M., Affiliate Clinical
Assistant Professor at the University of
Miami, Miller School of Medicine.
GS Langston testified that the
investigation of the American Pain
Clinic had its origins on November 30,
2009, during a routine inspection that
she and a subordinate diversion
investigator conducted at Appurtenance
Biotechnology, LLC, a pharmacy doing
business under the name Boca Drugs
(Boca Drugs), and located a few blocks
away from one of the former locations
of American Pain. Tr. at 713, 717–20.
According to Langston, an examination
of the prescriptions seized from Boca
Drugs revealed that the majority of those
prescriptions were for oxycodone and
alprazolam authorized over the
signature of physicians associated with
American Pain.17 Id. at 721. Under
Langston’s supervision, DEA diversion
investigators catalogued the
prescriptions seized at Boca Drugs (Boca
Drugs Prescription Log). Govt. Ex. 118.
However, inasmuch as the Boca Drugs
Prescription Log fails to distinguish
between the Respondent, and one of the
other co-Respondents (his son), the
document is of no utility in reaching a
disposition of the present case.
GS Langston also testified that, on
March 3, 2010, a criminal search
16 A
schedule IV controlled substance.
GS Langston testified that DEA
immediately suspended the COR that had been
issued to Boca Drugs, Tr. at 715, and that a
voluntary surrender by that registrant followed a
day later, id. at 776, no evidence has been presented
that would lend that fact any particular significance
related to any issue that must or should be found
regarding the disposition of the present case.
17 Although
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warrant was executed on the American
Pain Clinic simultaneously with the
OSC/ISO that initiated the present case.
Tr. at 735. According to Langston, the
items seized from American Pain
included a sign that had been posted in
what she believes to have served as the
urinalysis waiting room. Id. at 735–37.
The seized sign set forth the following
guidance:
ATTENTION PATIENTS
Due to increased fraudulent prescriptions,
[i]t’s best if you fill your medication in
Florida or your regular pharmacy. Don’t go to
a pharmacy in Ohio when you live in
Kentucky and had the scripts written in
Florida. The police will confiscate your
scripts and hold them while they investigate.
This will take up to 6 months. So only fill
your meds in Florida or a pharmacy that you
have been using for at least 3 months or
more.
Govt. Ex. 119 at 1. This sign is attached,
apparently by some sort of tape, to the
top portion of two other signs, posted at
the same location, the first of which
reads:
ATTENTION:
Patients
Please do NOT fill your prescriptions at
any WALGREENS PHARMACY 18 or
OUTSIDE the STATE OF FLORIDA.
Id. The final attachment to the composite
sign bears the words ‘‘24 Hour Camera
Surveillance.’’ Id. A photograph of the
composite sign was admitted into evidence.
Langston also testified that while she was
present in the American Pain offices, she
noticed that each physician’s desk was
equipped with a group of stamps, each of
which depicted a controlled substance
medication with a corresponding medication
usage instruction (sig). Tr. at 738–39. A
photograph of one set of prescription script
stamps was admitted as an exhibit.19 Govt.
Ex. 119 at 2.
GS Langston also testified that a great
number of medical charts were seized from
the American Pain offices, and that she and
her staff selected a number of these files to
be analyzed by an medical expert procured
by the Government. Tr. at 762. According to
GS Langston, after the execution of the
warrant, the charts from the entire office
were placed into piles in alphabetical order,
and not separated by physician. Langston
testified that she and three of her diversion
18 GS Langston testified that she was unaware of
the location of the closest Walgreens to American
Pain’s offices. Tr. at 779. No evidence was
presented that would tend to establish that any
Walgreens or any other pharmacy has taken a
position regarding its willingness to fill
prescriptions authorized by American Pain.
19 Although GS Langston testified that she did not
actually take the photographs taken during the
search warrant execution at American Pain, she did
provide sufficient, competent evidence to support
the admission of the photographs that were
ultimately received into evidence. Tr. at 737, 739–
41.
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investigators reviewed the seized files with a
view towards choosing approximately fifteen
files for each doctor with the aspirational
criteria that each would reflect at least three
to four visits by that doctor with a patient.
Each investigator was empowered to place a
chart on the selected pile, and when the
target number (or about that number) was
reached for each physician, the selection
effort relative to that physician was deemed
accomplished. Id. at 765. Langston credibly
testified that there was no effort to specially
select files under some prosecutionenhancement or ‘‘cherry picking’’ purpose. Id.
at 768.
Langston also explained DEA’s Automated
Record Consolidated Ordering System
(ARCOS) and testified that she generated an
ARCOS report relative to the Respondent’s
ordering of controlled substances from
January 2009 through February 2010. Govt.
Ex. 71.
In the same fashion, Langston explained
the purposes of and circumstances behind
the generation of state prescription
monitoring reports (PMPs) relative to the
Respondent maintained by West Virginia,
Kentucky, and Ohio. Govt. Exs. 72–74.
Review of the PMP report data reflects that
during the time period of February 1, 2006
through February 11, 2010, pharmacies filled
229 controlled substance prescriptions issued
over the Respondent’s signature to seventythree patients located in West Virginia, 135
similar prescriptions provided to fifty-three
Kentucky-based patients were filled between
January 1, 2009 and April 4, 2010, and 144
such prescriptions pertaining to sixty-three
patients located in Ohio were filled between
April 1, 2008 and April 19, 2010. Id.
No evidence was introduced at the hearing
that would provide any reliable level of
context regarding the raw data set forth in the
databases received into evidence at the
Government’s request. Other than the
observations noted above, no witness who
testified at the hearing ever explained the
significance of the data set forth in any of
these databases to any issue that must or
should be considered in deciding the present
case. As discussed above, the fact that the
Boca Drugs Prescription Log prepared by the
agents does not distinguish between
prescriptions authorized by the Respondent
and another registrant of the same name
deprives the document of virtually any
relevance regarding the enforcement action
against this Respondent.20
GS Langston provided evidence that was
sufficiently detailed, consistent and plausible
to be deemed credible in this recommended
decision.
SA Michael Burt testified that he has been
employed by DEA since March 2004 and has
been stationed with the Miami Field Division
(MFD) since September 2004. Tr. at 813–14.
Burt testified that he is the lead case agent
for DEA in the investigation of American
Pain Clinic and has participated in the
investigation since the latter part of 2008.
20 Remarkably, although this unfortunate aspect
of this document was brought to light during the
course of the hearing, Tr. at 732, no effort on the
part of the Government was made to provide
additional details or explanation that might tend to
differentiate between the respondents.
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According to Burt, American Pain, which
was previously known by the name South
Florida Pain, has conducted business at four
different locations, and he surveilled the
Boca Raton and Lake Worth locations both in
person and by periodic live review of video
captured via pole cameras 21 set up outside
the clinic. Id. at 815–17. These pole cameras,
which were in operation during a three week
period from January to February 2010, were
initially in operation on a 24-hour basis, but
Burt testified that they were later activated
only between the hours of 7 a.m. through
6:00 p.m. due to an observed lack of activity
at the clinic outside of that time period. Id.
at 820–21. The pole camera recordings were
not offered into evidence at the hearing or
made available to opposing counsel.
Based on these surveillance efforts, SA
Burt testified concerning various activities he
observed occurring outside the Boca and
Lake Worth clinic locations, which were
open to the public from 8 a.m. to 5 p.m. At
the Boca location, Burt stated that on any
given day, beginning at 7 a.m. in the
morning, automobiles could be seen pulling
into the parking lot and approximately
twenty to thirty people were routinely lined
up outside of the clinic waiting to gain
admittance. Additionally, there was a steady
stream of automobile and foot traffic in and
out of the clinic throughout the day. Id. at
817, 821. Burt testified that in his estimation,
approximately 80–90 percent of the
automobiles had out-of-state tags,
predominantly from Kentucky, Ohio, West
Virginia and Tennessee. Id. at 817–18. Burt
also observed security personnel with ‘‘staff’’
written on their shirts 22 riding around the
exterior of the building in golf carts and who,
in Burt’s assessment, appeared to be directing
patients into the American Pain facility. Burt
indicated his surveillance of the Lake Worth
location yielded similar observations. Id. at
818.
Based on his review of some (but not all) 23
of the audio and video tapes made by agents
and informers sent into the clinic by the
Government at various times, SA Burt also
testified about his understanding of the
process by which patients obtained
controlled substance prescriptions at
American Pain. According to Burt, after
entering the clinic, a patient would meet
with the receptionist, who would determine
if the patient had an MRI. If not, the
receptionist would issue that individual an
MRI prescription in exchange for a $50 cash
payment, and the patient ‘‘would be directed
to a place to obtain an MRI.’’ Id. at 822. Burt
testified that one such MRI location was Faye
Imaging, which was a mobile MRI trailer
located behind a gentlemen’s club several
miles away from American Pain. Id. at 822–
21 SA Burt described the pole cameras as ‘‘covert
cameras that are installed to observe the activity in
the clinic.’’ Tr. at 816. Burt testified that he was able
to use a laptop to access the live video feed from
the cameras after inputting a user name and
password. The camera video was also recorded to
DVR. Id. at 821.
22 Tr. at 910.
23 SA Burt conceded that although he is the
designated lead case agent for DEA, he did not
review all the audio and video tapes made in the
case or even review the transcripts. Tr. at 1002–05.
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23. The cost for the MRI was $250, and the
patient could pay an additional fee ‘‘to have
the MRI expedited and faxed over to
American Pain.’’ Id. at 823–24. Once the MRI
was procured and faxed to American Pain,
the patient would return to the clinic and be
seen by a doctor. According to Burt, the
clinic accepted what he referred to as
‘‘predominantly cash only’’ 24 for these office
visits, and the six doctors at the clinic saw
‘‘anywhere from 200 upward to 375 patients
a day’’ 25 in this manner.26 Id. at 882–83
(emphasis supplied).
SA Burt also testified regarding his review
of some 27 of the video and audio recordings
made by an undercover agent (UC) who
assumed the name Luis Lopez, capturing
activity inside of American Pain.28 In those
recordings, Burt observed who he believed to
be an American Pain employee inside the
facility standing up in a waiting room full of
patients and directing them ‘‘not to have their
prescriptions filled out of state, not to go out
into the parking lot and snort their pills,’’ and
directing the patients to have their
prescriptions filled ‘‘in house’’ (meaning at
American Pain), at ‘‘a pharmacy they have in
Orlando, Florida,’’ or at ‘‘a pharmacy they
have down the street,’’ which, in Burt’s view,
was a reference to Boca Drugs. Id. at 825–26.
Burt further testified that the purported
employee on the recording told the patients
to ‘‘obey all the traffic laws; do not give the
police a reason to pull you over.’’ Id.
Although Burt testified as to the contents of
these recordings, the physical recordings
were not offered into evidence by the
Government or made available to opposing
counsel.
SA Burt also testified that he received
information from Dr. Eddie Sollie, a former
physician employed during the time period
American Pain was doing business as South
Florida Pain, who terminated his
employment at the Oakland Park clinic
location in November or December 2008 after
working there for approximately two and a
half to three months. Id. at 827, 898. During
the course of an interview where Burt was
present, Dr. Sollie related various ‘‘concerns
about how the practice was being handled or
24 Later on cross-examination, SA Burt admitted
that the clinic also accepted payment via credit
card. Tr. at 916.
25 Inasmuch as the Government provided no
information from which any specific number of
patients seen by any given clinic doctor on any day
could be derived, or any expert testimony regarding
a reasonable number of pain patients that could or
should be seen per day, the value of providing the
raw number of patients walking through the door
at the clinic is negligible.
26 Burt further testified that the doctors were paid
$75.00 per patient visit, id. at 884, but because he
indicated that he could not disclose his basis of
knowledge for this information, this portion of his
testimony can be afforded no weight. See
Richardson v. Perales, 402 U.S. 389, 402 (1971);
J.A.M. Builders v. Herman, 233 F.3d 1350, 1354
(11th Cir. 2000); Keller v. Sullivan, 928 F.2d 227,
230 (7th Cir. 1991); Calhoun v. Bailar, 626 F.2d 145,
149 (9th Cir. 1980).
27 Tr. at 1002–05.
28 The fact that these recordings were made
during the course of seven different office visits by
an undercover agent to both the Boca Raton and
Lake Worth locations was established on crossexamination. Tr. at 900, 985.
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managed.’’ Id. at 827–28. These concerns
included medical records being, in his
opinion, annotated inadequately by the
doctors, and what he perceived as a lack of
supervision during patient urinalysis testing,
where patients would ‘‘go[] to the bathrooms
together, bringing items with them to the
bathrooms that could possibly disguise the
urinalysis.’’ According to Burt, Sollie
explained that he perceived that patients
were substituting urine produced by other
persons that contained the metabolites for
controlled substances that the patients
claimed to be legitimately taking, with a view
towards falsely providing evidence to the
American Pain doctors showing that they
were actually taking prescribed medications
and not diverting them. Id. at 828–29. During
cross-examination, Burt explained that Dr.
Sollie told him he had raised these concerns
with Christopher George, the owner of
American Pain, and that Burt had no
evidence that the deficient practices that
Sollie had objected to continued through
2010. Id. at 900, 906. Burt also acknowledged
that he was aware Dr. Sollie had been
involved in litigation with Mr. George and
that their relationship was strained. Id. at
1009. Dr. Sollie was not called as a witness
by either party.
SA Burt also testified regarding the drug
overdose deaths of TY and SM after obtaining
controlled substances from American Pain.29
Burt’s record testimony indicates that DEA
Task Force Officer 30 (TFO) Barry Adams
informed him that a Kentucky resident
named TY overdosed in Kentucky from
oxycodone intoxication induced by
medication procured at American Pain. Burt
testified that this information was furnished
pursuant to a working law enforcement
relationship between the Kentucky State
Police, Kentucky FBI, Kentucky DEA and
Miami DEA aimed at addressing ‘‘the brunt
of the pill problem’’ centered within the state
of Kentucky relative to illegal use and resale
of prescription pain medications. Id. at 833–
35. However, in his testimony, Burt was
unable to recall the name of the doctor from
whom TY obtained his pills, and, thus, no
admissible evidence was presented by the
Government with respect to TY’s death.31
Likewise, the record evidence concerning SM
did not implicate prescribing activity by the
Respondent.
Perhaps among the more striking aspects of
SA Burt’s performance on the witness stand
is the anticipated testimony which he did not
provide. When viewed in its entirety, SA
Burt’s record testimony was stunningly
sparse when compared with his proposed
testimony as noticed in the Government’s
prehearing statement.32 That certain
information may be unavailable for reasons
29 Although similar testimony concerning the
overdose death of a third individual, OB, was
noticed in the Government’s prehearing statement,
it was not offered by the Government at the hearing.
ALJ Ex. 6 at 8.
30 According to SA Burt, a ‘‘task force officer’’ is
a local police officer or sheriff’s deputy that is
assigned to work on a DEA task force, rather than
a sworn DEA criminal investigator. Tr. at 1031.
31 See Tr. at 836–53 (addressing exclusion of
Govt. Ex. 27 and associated testimony).
32 ALJ Ex. 6.
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related to other litigation forums or other
equally valid reasons are of no moment with
respect to the evaluation that must be made
at this administrative forum. Equally
important, such considerations do not alter
the burdens imposed upon the respective
parties. Simply put, the admitted evidence
must succeed or fail on its own merits,
irrespective of extraneous considerations.
Even apart from the marked contrast
between the Burt testimony as proffered and
as realized, his testimony was marred by
periodic memory failures on significant
issues and an inability to supply details to an
extent that it could arguably have diminished
the weight that could be fairly attached to
those aspects of his own investigation that he
did manage to recollect. During his
testimony, SA Burt acknowledged his own
marked lack of preparation and unfamiliarity
with the investigation and confessed simply
that ‘‘[t]here’s no excuse * * * .’’ Id. at 1003–
05.
Even acknowledging its obvious
suboptimal aspects, SA Burt’s testimony had
no apparent nefarious motivation or indicia
of intentional deceit. Burt came across as an
earnest and believable witness, who,
regarding the aspects of the case that he did
recall, was able to impart substantial
information about the investigation and
activities involving American Pain and its
doctors. While frequently lacking in detail,
his testimony was not internally inconsistent
or facially implausible, and although the
legal weight I have assigned to certain
portions of Burt’s testimony varies given the
issues described, I find his testimony to be
credible overall.
The Government presented the bulk of its
case through the report and testimony of its
expert, L. Douglas Kennedy, M.D.,
D.A.B.P.M., Affiliate Clinical Assistant
Professor at the University of Miami, Miller
School of Medicine.33 Dr. Kennedy, who
testified that he is board certified by the
American Board of Pain Medicine and the
American Board of Anesthesiology,34 was
offered and accepted as an expert in the field
of pain medicine. Id. at 39.
Dr. Kennedy testified that after a review of
a group of selected patient files from those
seized at the Respondent’s practice that were
to him provided by the Government, he
concluded that the Respondent’s physical
examinations, treatment plans, and patient
histories were below the standard fixed by
the Florida Medical Board and that that
controlled substances was not for a legitimate
medical purpose. Id. at 579–82.
Dr. Kennedy took professional issue with
several aspects of the Respondent’s patient
care as reflected in the charts regarding the
prescribing of controlled substances. It is
apparent from his testimony that Dr.
Kennedy’s analysis is restricted to those
matters which can be gleaned from an
examination of the written word in that
subset of the Respondent’s patient charts
provided by the Government for his review,
and that limitation perforce circumscribes
the breadth of his input. That being said, Dr.
33 Dr. Kennedy’s CV was admitted into evidence.
Govt. Ex. 117.
34 Tr. at 17.
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Kennedy highlighted numerous features in
the Respondent’s chart documentation that
he found wanting, or at least remarkable.
Dr. Kennedy explained that there are basic
elements to practicing pain medicine. The
acquisition of a thorough history and
physical examination is important. Id. at 41–
42. He also stressed the vital importance of
obtaining past medical records to evaluate
what treatments, therapies, medications, and
dosages have been utilized in the past so that
correct current treatment decisions can be
made. Id. at 45–46. Reliance upon the
patient’s memory of these elements without
the prior medical records, in Dr. Kennedy’s
view is not reliable or acceptable. Id. at 46–
47. Dr. Kennedy acknowledged that
physicians customarily accept patients at
their word, but on the subject of verifying a
patient’s subjective complaint and
medication history, Dr. Kennedy explained
that
[s]ometimes you have to help people
understand why they’re suffering or what
their problems are. A person with an
addiction or drug abuse problem is no worse
a human being than me. I’m not any better
than them. But it’s your job as a doctor to sit
down and find out what the truth is as well
as you reasonably can under the
circumstances.
Id. at 357.
Dr. Kennedy also prepared a report in
connection with the Government’s case
against the Respondent, which is dated
April 30, 2010, and was admitted into
evidence. Govt. Ex. 76; Tr. at 579. The
report describes a general analysis of
seventeen charts that the Respondent
maintained on as many patients, that
were (selected by and) provided to Dr.
Kennedy by the Government from
among patient files seized pursuant to a
criminal search warrant executed at the
Respondent’s practice on March 3, 2010
(Patient Charts Analysis). Although this
report purports to describe practices
common to all seventeen files reviewed
by Dr. Kennedy, much of the analysis is
directed toward a chart prepared in
connection with MB,35 one of the
Respondent’s patients.
Dr. Kennedy’s report makes it
unambiguously clear that, in his
opinion, all seventeen of the
Respondent’s charts that he reviewed
suffered from the same shortcomings.36
35 At the request of the Government, a protective
order was issued that is designed to minimize the
risk of the dissemination of identifying information
related to patients and their relatives associated
with this case. Accordingly, initials have been
substituted for the names of individuals within the
protection of the protective order throughout the
body of this decision. ALJ Ex.15.
36 The Government’s tactical decision to
essentially unload a pile of charts that are explained
only by the representations and generalizations in
a report, with no attempt whatsoever to have its
expert witness explain the applicable aspects of
most charts to this tribunal or any future reviewing
body is clearly at odds with the directive provided
by the Deputy Administrator in Gregg & Son
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The Patient Charts Analysis states that
the Respondent’s patient charts that Dr.
Kennedy reviewed ‘‘are essentially the
same with regard to review issues; as
stated in the report of [MB] referenced
and discussed in this report in detail,
[and that] there were no significant
differences that affected [his]
conclusions and summary.’’ Govt. Ex. 76
at 2.
In Dr. Kennedy’s opinion, the patient
charts he reviewed that were prepared
by the Respondent reflected care that
fell below the applicable standard on
multiple levels. In his report, Dr.
Kennedy noted that the treatment notes
in the charts: (1) Contained no
typewritten clinical notes and were
‘‘very brief, difficult to read (often
impossible) and not within the standard
of care due to their brevity and
quality’’; 37 (2) reflected prescriptions,
right from the initial patient visit, that
‘‘were almost entirely for controlled
substances, most often one or two
immediate release oxycodone pills with
Xanax,’’ and which were, in Dr.
Kennedy’s view, inappropriate and
more powerful than justified by the
objective signs documented in the
written notes; 38 (3) showed that ‘‘the
same or very similar ‘drug cocktails’
were prescribed [among all patients in
the reviewed files] in the same or very
similar doses, [directions] * * * with a
30-day supply,’’ and were affixed to the
prescription scripts with a few prepared
stamps utilized by all American Pain
physicians that reflected ‘‘drug, dose, sig
(directions) and quantity dispensed’’; 39
(4) contained medication contracts that
were ‘‘not always signed’’ and ‘‘listed
criteria that was not followed by the
doctors at American Pain; 40 (5) failed to
adequately document the efficacy of the
Distributors that ‘‘it is the Government’s obligation
as part of its burden of proof and not the ALJ’s
responsibility to sift through the records and
highlight that information which is probative of the
issues in the proceeding’’ 74 FR 17517 n.1.
37 Govt. Ex. 76 at 4.
38 Govt. Ex. 76 at 4. In Dr. Kennedy’s opinion, the
Respondent ‘‘prescribed, at the first visit, very high
initial doses of controlled substance combinations
despite not being within the standard of care for
histories, physical examinations and/or absent past
medical records.’’ Id. at 7.
39 Govt. Ex. 76 at 4.
40 Govt. Ex. 76 at 3. As an example of the failure
to adhere to the terms of the medication contract,
Dr. Kennedy cites a contract term that provides
notice that the physician may stop prescribing
opioids or change treatment if pain or activity
improvement is not demonstrated, and points out
that pain and activity levels are routinely not
documented in treatment notes. Id. at 3–4.
Similarly, Dr. Kennedy references a medication
contract warning that termination of services may
result from failure to make regular follow-up
appointments with primary care physicians, and
notes that the American Pain charts contain no
notes from primary care physicians or medical
records generated by them. Id. at 4.
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prescribed medication; (6) did not set
forth a ‘‘diagnostic plan except to obtain
an occasional MRI, the results of which
made no difference in the
‘treatment’ ’’; 41 (7) reflected ‘‘no
therapeutic plan, except to use
controlled substances to ‘treat’ the
subjective complaint of ‘pain’ which
was inadequately described’’; 42 (8)
reflected ‘‘no real therapeutic goals
* * * for improvement of quality of life
(activities of daily living, work, sleep,
mood)’’; 43 (9) did not reflect
‘‘consultations with other physicians or
specialists outside the American Pain
group [which] could have and in some
cases should have included orthopedics,
neurology, neurosurgery, psychiatry,
addiction medicine and psychology’’; 44
(10) reflected ‘‘a gross lack of past
medical records in all charts reviewed
and in some cases none at all’’; 45 and,
(11) demonstrated controlled substance
patient monitoring practices that were
‘‘not within the standard of care and was
outside the boundaries of professional
practice.’’ 46
Dr. Kennedy found the Respondent’s
controlled substance patient monitoring
to be deficient in numerous respects.
From the reviewed patient charts, Dr.
Kennedy gleaned that an initial, inoffice urine drug screen was frequently
executed during the patients’ initial
visit to the office but repeated only
occasionally. Govt. Ex. 76 at 14. It was
Dr. Kennedy’s observation that even a
drug screen anomaly did not alter the
seemingly inexorable continuation of
controlled substance prescribing from
the Respondent. Id. For instance, Dr.
Kennedy notes that MB’s patient file
contains a notation about the patient
getting Roxicodone ‘‘off the street,’’
along with an initial positive urinalysis
screen for oxycodone, yet the
Respondent continued to prescribe MB
with additional Roxicodone during his
initial and subsequent visits. Id. at 8–9,
11; see also Govt. Ex. 87 at 4, 9; 90 at
3, 9; 91 at 4, 8; 93 at 5, 10 (similar
41 Govt. Ex. 76 at 7. In Dr. Kennedy’s opinion,
Respondent in effect, acted as a ‘barrier’ for [MB]
to receive appropriate medical evaluation and
treatment. In other words, the very potent, high
doses of opioids (oxycodone) and benzodiazepine
(Xanax) could mask or cover up [MB’s] underlying
disease process(s), making them more difficult to
diagnose, and allowing the disease(s) to
unnecessarily worsen. Without an accurate
diagnosis[] and no plan to obtain one, [the
Respondent] was masking the symptoms. Id. at 10–
11.
42 Govt. Ex. 76 at 7.
43 Govt. Ex. 76 at 7.
44 Govt. Ex. 76 at 7.
45 Govt. Ex. 76 at 15. MB’s chart did not contain
any past medical records, save for a Lumbar report
from an MRI performed six weeks before MB’s first
clinic visit to see the Respondent. Id. at 8.
46 Govt. Ex. 76 at 14.
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notations involving other patient’s
acquiring controlled substances ‘‘off the
street’’). Dr. Kennedy also noted that the
Respondent did not utilize out-of-office
toxicology tests, or obtain out-of-state
prescription monitoring program or
outside pharmacy drug profiles.
Furthermore, the charts contained only
rare evidence of contact with primary
care physicians, treating physicians,
pharmacists, or other health care
providers. Id.
The identified shortcomings of
controlled substance patient monitoring
systems was of particular significance
where Dr. Kennedy identified specific
evidence that he identified as ‘‘red flags’’
of possible or likely diversion. Red flags
noted by Dr. Kennedy in the reviewed
charts included the relatively young age
of the Respondent’s chronic pain
patients,47 incomplete history
information provided by the patients,
periodically significant gaps between
office visits,48 referrals from friends,
relatives, or advertising, but not other
physicians,49 and the fact that a
relatively high number of patients were
traveling significant distances to
American Pain for pain treatment,
although no physician employed at that
facility had any specialized training in
pain management.50
Dr. Kennedy also found it remarkable
that each American Pain patient file
provided notice to its patients that
American Pain did not accept any form
of health care insurance. Govt. Ex. 76 at
3, 16. Dr. Kennedy’s report set forth his
opinion that this practice was designed
to ‘‘effectively keep [the physicians at
American Pain] ‘off the radar’ from
monitoring by any private health care
insurance company as well as all state
and federal agencies (Medicaid and
Medicare respectively). Id. at 16.
Significantly, however, when asked, Dr.
Kennedy acknowledged that he
conducts his own current medical
practice on a cash-only basis. Tr. at 151.
A review of the seventeen patient files
that informed the analysis, findings and
conclusions offered in Dr. Kennedy’s
written report and testimony does
reflect the presence of at least some of
the red flag issues he identified therein,
but there was not the unanimity among
the files that he repeatedly urges. For
instance, in terms of evidence related to
therapeutic plans, it is notable that
Respondent’s patient files contain at
least some indications of recommended
treatment modalities in addition to the
Respondent’s exclusive use of
47 Govt.
Ex. 76 at 16.
Ex. 76 at 13.
49 Govt. Ex. 76 at 8, 15.
50 Govt. Ex. 76 at 16.
48 Govt.
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controlled substances for pain
management. For example, Respondent
included notations in the records of
referring patients to see a ‘‘PCP,’’ or
primary care physician, for elevated
blood pressure. Govt. Exs. 78 at 1–3, 6;
79 at 1. Furthermore, some of the
patient history and physical exam forms
contain some effort in documenting
medication efficacy. Govt. Exs. 83 at 7;
92 at 2.
An examination of the reviewed
patient charts does reveal the presence
of other red flags that should have
inspired additional diligence or inquiry
on the part of the Respondent. LA’s
patient file, for example, contains a form
indicating a positive UDS for oxycodone
and benzodiazepine from 5/18[/09], yet
on the same date, the medication
contract signed by LA is blank in the
section where a patient is supposed to
list any medications they are currently
taking; likewise, the similarly worded
section on the ‘‘Patient Comfort
Assessment Guide’’ form also has no
medications listed. Govt. Ex. 77 at 12–
13, 30; see also Govt. Exs. 78 at 13–14,
32; 86 at 14–15, 30; 89 at 8–9, 22
(similar issues). CR’s patient file, on the
other hand, indicates a positive UDS for
‘‘THC’’ in addition to benzodiazepine
and hydrocodone, yet the patient does
not disclose marijuana as a ‘‘medication’’
he is currently taking on any of the
relevant forms, and, in fact, this positive
test is not addressed by the Respondent
in any discernible manner in the chart.
Govt. Ex. 79 at 9. Patient KL’s 7/17/09
UDS indicates a negative test for all
listed substances, yet on two different
forms dated 7/13/09 he indicates he is
currently taking two strengths of
oxycodone along with Xanax. Govt. Ex.
82 at 13–14, 31. The UDS form in
patient GE’s file reflects circled positive
results for benzodiazepines, opiates, and
oxycodone. This is noteworthy in that
the currently-taking list of medications
includes seven other drugs, but not
these three. Govt. Ex. 80 at 9, 24–25.
Patient BR’s UDS form, on the other
hand, lists a positive test result for
oxycodone only on July 24, 2009, yet
the patient states she is also currently
taking Xanax elsewhere on the medical
forms from the same date. Govt. Ex. 88
at 11–12, 25; see also Govt. Exs. 90 at
9–10, 22; 92 at 8–9; 93 at 5, 10–11, 26
(same issue). A prescribed controlled
substance that is not reflected in a drug
screen should have raised a sufficient
suspicion of diversion to merit further
inquiry by the registrant reflected in the
patient file. At a minimum, these
observations support the conclusion
there was a general lack of vigilance on
the part of the Respondent regarding his
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obligations as a registrant to minimize
the risk of controlled substance
diversion.
In addition to the lack of adequately
completed forms in some patient files
noted by Dr. Kennedy, other patient
files appear to be missing key
documentation altogether. See Govt. Ex.
92 (no pain management agreement,
medication contract, or diversion policy
present).
Dr. Kennedy concluded his report
regarding the Respondent’s prescribing
practices with the following summary:
[The Respondent] was not engaged in the
practice of medicine, rather he was engaged
in an efficient, ‘‘[a]ssembly [l]ine’’ business.
His ‘‘patients’’ were revenue streams, not true
patients. This business allowed him to
collect cas[h] for office visits as well as being
a ‘‘[d]ispensing [p]hysician’’ for controlled
substances. He prescribed controlled
substances so that ‘‘patients’’ would return to
his office on a regular basis, allowing him to
generate further revenue. [The Respondent’s]
routine and excessive prescription of
multiple controlled substances (oxycodone
and Xanax) and lack of arriving at a valid
medical diagnosis and treatment most likely
caused harm to the ‘‘patients’’ he saw. Drug
diversion most likely caused a ‘‘mushroom’’
effect of increased drug abuse, drug
addiction, drug overdoses, serious bodily
injury and death in those communities
spread over several different states. [The
Respondent’s] continued ability to prescribe
controlled substances will only perpetuate
the suffering and be a threat to the public.
Govt. Ex. 76 at 16.
On cross examination, Dr. Kennedy
agreed that he assumed, for the
purposes of his analysis, that where the
Respondent’s charts reflected an entry
or a procedure, that the event actually
occurred. Tr. at 654. Kennedy also
acknowledged that every one of the
patient files he reviewed contained at
least a complaint of chronic pain
symptoms by the patient and MRI
results that could support such a
diagnosis. Id. at 655–57.
The Government’s presentation of Dr.
Kennedy’s testimony at the hearing was
substantially consistent with the
conclusions included in the Patient
Charts Analysis, but Dr. Kennedy’s
presentation was clearly not without its
blemishes. Although he testified that he
was familiar with prescribing practices
in Florida, and that he utilized the
medical standards applicable to Florida
practice,51 he was unable to identify the
documentation standard in the Florida
Administrative code with any degree of
particularity, and he also acknowledged
that he was not aware of what the
standard is in Florida Medical Board
administrative decisions regarding the
51 Tr.
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overprescribing of medication or what
constitutes an adequate medical history.
Id. at 149–51, 233, 304. While, overall,
Kennedy presented testimony that
appeared candid and knowledgeable,
there were areas in his written report
that rang of hyperbole and overembellishment. The reasoning behind
some of the seemingly critical
observations in the written report, such
as the ‘‘cash basis’’ of the Respondent’s
practice and the absence of doctor
referrals among the reviewed patient
files, did not well survive the crucible
of cross examination at the hearing.
However, overall, Dr. Kennedy’s
testimony was sufficiently detailed,
plausible, and internally consistent to
be considered credible, and, consistent
with his qualifications, he spoke
persuasively and with authority on
some relevant issues within his
expertise, and notwithstanding the
Respondent’s objections relative to his
Florida-related experience, he is
currently an assistant professor teaching
at a Florida Medical School. It may well
be that the greatest and most significant
aspect of Dr. Kennedy’s opinion is that
on the current record, it stands
unrefuted. Thus, his opinion is the only
expert opinion available for reliance in
this action.52 Accordingly, Dr.
Kennedy’s expert opinion that the
Respondent’s controlled substance
prescribing practices, at least as
evidenced through his examination of
the patient charts he reviewed, fell
below the standards applicable in
Florida, and that the controlled
substance prescriptions contained in
those files were not issued for a
legitimate medical purpose is unrefuted
on this record and (although by no
means overwhelming) is sufficiently
reliable to be accepted and relied upon
in this recommended decision.
The Analysis
Pursuant to 21 U.S.C. § 824(a)(4), the
Deputy Administrator 53 may revoke a
registrant’s DEA Certificate of
Registration if persuaded that the
registrant ‘‘has committed such acts that
would render * * * registration under
section 823 * * * inconsistent with the
public interest * * *. ’’ The following
factors have been provided by Congress
in determining ‘‘the public interest’’:
(1) The recommendation of the
appropriate State licensing board or
professional disciplinary authority.
52 The Respondent did not testify on her own
behalf.
53 This authority has been delegated pursuant to
28 CFR 0.100(b) and 0.104.
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(2) The applicant’s experience in
dispensing, or conducting research with
respect to 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.
21 U.S.C. 823(f).
‘‘[T]hese factors are considered in the
disjunctive.’’ Robert A. Leslie, M.D., 68
FR 15227, 15230 (2003). Any one or a
combination of factors may be relied
upon, and when exercising authority as
an impartial adjudicator, the Deputy
Administrator may properly give each
factor whatever weight she deems
appropriate in determining whether an
application for a registration should be
denied. JLB, Inc., d/b/a Boyd Drugs, 53
FR 43945 (1988); England Pharmacy, 52
FR 1674 (1987); see also David H. Gillis,
M.D., 58 FR 37507, 37508 (1993); Joy’s
Ideas, 70 FR 33195, 33197 (2005); Henry
J. Schwarz, Jr., M.D., 54 FR 16422
(1989). Moreover, the Deputy
Administrator is ‘‘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). The
Deputy Administrator is not required to
discuss consideration of each factor in
equal detail, or even every factor in any
given level of detail. Trawick v. DEA,
861 F.2d 72, 76 (4th Cir. 1988) (the
Administrator’s obligation to explain
the decision rationale may be satisfied
even if only minimal consideration is
given to the relevant factors and remand
is required only when it is unclear
whether the relevant factors were
considered at all). The balancing of the
public interest factors ‘‘is not a contest
in which score is kept; the Agency is not
required to mechanically count up the
factors and determine how many favor
the Government and how many favor
the registrant. Rather, it is an inquiry
which focuses on protecting the public
interest * * *.’’ Jayam Krishna-Iyer,
M.D., 74 FR 459, 462 (2009).
In an action to revoke a registrant’s
DEA COR, the DEA has the burden of
proving that the requirements for
revocation are satisfied. 21 CFR
1301.44(e). Once DEA has made its
prima facie case for revocation of the
registrant’s DEA Certificate of
Registration, the burden of production
then shifts to the Respondent to show
that, given the totality of the facts and
circumstances in the record, revoking
the registrant’s registration would not be
appropriate. Morall, 412 F.3d at 174;
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Humphreys v. DEA, 96 F.3d 658, 661
(3d Cir. 1996); Shatz v. U.S. Dept. of
Justice, 873 F.2d 1089, 1091 (8th Cir.
1989); Thomas E. Johnston, 45 FR 72,
311 (1980). Further, ‘‘to rebut the
Government’s prima facie case, [the
Respondent] is required not only to
accept responsibility for [the
established] misconduct, but also to
demonstrate what corrective measures
[have been] undertaken to prevent the
reoccurrence of similar acts.’’ Jeri
Hassman, M.D., 75 FR 8194, 8236
(2010).
Where the Government has sustained
its burden and established that a
registrant has committed acts
inconsistent with the public interest,
that registrant must present sufficient
mitigating evidence to assure the
Deputy Administrator that he or she can
be entrusted with the responsibility
commensurate with such a registration.
Steven M. Abbadessa, D.O., 74 FR 10077
(2009); Medicine Shoppe-Jonesborough,
73 FR 364, 387 (2008); Samuel S.
Jackson, D.D.S., 72 FR 23848, 23853
(2007). Normal hardships to the
practitioner, and even the surrounding
community, that are attendant upon the
lack of registration are not a relevant
consideration. Abbadessa, 74 FR at
10078; see also Gregory D. Owens,
D.D.S., 74 FR 36751, 36757 (2009).
The Agency’s conclusion that past
performance is the best predictor of
future performance has been sustained
on review in the courts, Alra Labs. v.
DEA, 54 F.3d 450, 452 (7th Cir. 1995),
as has the Agency’s consistent policy of
strongly weighing whether a registrant
who has committed acts inconsistent
with the public interest has accepted
responsibility and demonstrated that he
or she will not engage in future
misconduct. Hoxie, 419 F.3d at 483;
George C. Aycock, M.D., 74 FR 17529,
17543 (2009); Abbadessa, 74 FR at
10078; Krishna-Iyer, 74 FR at 463;
Medicine Shoppe, 73 FR at 387.
While the burden of proof at this
administrative hearing is a
preponderance-of-the-evidence
standard, see Steadman v. SEC, 450 U.S.
91, 100–01 (1981), the Deputy
Administrator’s factual findings will be
sustained on review to the extent they
are supported by ‘‘substantial evidence.’’
Hoxie, 419 F.3d at 481. While ‘‘the
possibility of drawing two inconsistent
conclusions from the evidence’’ does not
limit the Deputy Administrator’s ability
to find facts on either side of the
contested issues in the case, Shatz, 873
F.2d at 1092; Trawick, 861 F.2d at 77,
all ‘‘important aspect[s] of the problem,’’
such as a respondent’s defense or
explanation that runs counter to the
Government’s evidence, must be
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19395
considered. Wedgewood Vill. Pharmacy
v. DEA, 509 F.3d 541, 549 (DC Cir.
2007); Humphreys, 96 F.3d at 663. The
ultimate disposition of the case must be
in accordance with the weight of the
evidence, not simply supported by
enough evidence to justify, if the trial
were to a jury, a refusal to direct a
verdict when the conclusion sought to
be drawn from it is one of fact for the
jury. Steadman, 450 U.S. at 99 (internal
quotation marks omitted).
Regarding the exercise of
discretionary authority, the courts have
recognized that gross deviations from
past agency precedent must be
adequately supported, Morall, 412 F.3d
at 183, but mere unevenness in
application does not, standing alone,
render a particular discretionary action
unwarranted. Chein v. DEA, 533 F.3d
828, 835 (DC Cir. 2008) (citing Butz v.
Glover Livestock Comm. Co., Inc., 411
U.S. 182, 188 (1973)), cert. denied, _
U.S. _, 129 S.Ct. 1033 (2009). It is wellsettled that since the Administrative
Law Judge has had the opportunity to
observe the demeanor and conduct of
hearing witnesses, the factual findings
set forth in this recommended decision
are entitled to significant deference,
Universal Camera Corp. v. NLRB, 340
U.S. 474, 496 (1951), and that this
recommended decision constitutes an
important part of the record that must
be considered in the Deputy
Administrator’s decision, Morall, 412
F.3d at 179. However, any
recommendations set forth herein
regarding the exercise of discretion are
by no means binding on the Deputy
Administrator and do not limit the
exercise of that discretion. 5 U.S.C.
557(b); River Forest Pharmacy, Inc. v.
DEA, 501 F.2d 1202, 1206 (7th Cir.
1974); Attorney General’s Manual on the
Administrative Procedure Act 8 (1947).
Factors 1 and 3: The Recommendation
of the Appropriate State Licensing
Board or Professional Disciplinary
Authority and Conviction Record Under
Federal or State Laws Relating to the
Manufacture, Distribution, or
Dispensing of Controlled Substances
In this case, it is undisputed that the
Respondent holds a valid and current
state license to practice medicine. The
record contains no evidence of a
recommendation regarding the
Respondent’s medical privileges by any
cognizant state licensing board or
professional disciplinary authority.
However, that a state has not acted
against a registrant’s medical license is
not dispositive in this administrative
determination as to whether
continuation of a registration is
consistent with the public interest.
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Patrick W. Stodola, M.D., 74 FR 20727,
20730 (2009); Jayam Krishna-Iyer, 74 FR
at 461. It is well-established Agency
precedent that a ‘‘state license is a
necessary, but not a sufficient condition
for registration.’’ Leslie, 68 FR at 15230;
John H. Kennedy, M.D., 71 FR 35705,
35708 (2006). Even the reinstatement of
a state medical license does not affect
the DEA’s independent responsibility to
determine whether a registration is in
the public interest. Mortimer B. Levin,
D.O., 55 FR 9209, 8210 (1990). The
ultimate responsibility to determine
whether a registration is consistent with
the public interest has been delegated
exclusively to the DEA, not to entities
within state government. Edmund
Chein, M.D., 72 FR 6580, 6590 (2007),
aff’d, Chein v. DEA, 533 F.3d 828 (DC
Cir. 2008), cert. denied, __ U.S. __, 129
S.Ct. 1033 (2009). Congress vested
authority to enforce the CSA in the
Attorney General and not state officials.
Stodola, 74 FR at 20375. Thus, on these
facts, the fact that the record contains no
evidence of a recommendation by a state
licensing board does not weigh for or
against a determination as to whether
continuation of the Respondent’s DEA
certification is consistent with the
public interest.
Similarly, regarding Factor 3, while
testimony was received at the hearing
that indicated that a criminal search
warrant was executed regarding the
Respondent and American Pain, the
record contains no evidence that the
Respondent has ever been convicted of
any crime or even arrested in
connection with any open criminal
investigation. Thus, consideration of the
record evidence under the first and
third factors does not militate in favor
of revocation.
Factors 2, 4 and 5: The Respondent’s
Experience in Dispensing Controlled
Substances, Compliance With
Applicable State, Federal or Local Laws
Relating to Controlled Substances, and
Such Other Conduct Which May
Threaten the Public Health and Safety
In this case, the gravamen of the
allegations in the OSC/ISO, as well as
the factual concentration of much of the
evidence presented, share as a principal
focus the manner in which the
Respondent has managed that part of his
practice relative to prescribing and
dispensing controlled substances and
acts allegedly committed in connection
with his practice at American Pain.
Thus, it is analytically logical to
consider public interest factors two, four
and five together. That being said,
factors two, four and five involve
analysis of common and distinct
considerations.
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Regarding Factor 2, the qualitative
manner and the quantitative volume in
which a registrant has engaged in the
dispensing of controlled substances, and
how long he has been in the business of
doing so are factors to be evaluated in
reaching a determination as to whether
he should be entrusted with a DEA
certificate. In some cases, viewing a
registrant’s actions against a backdrop of
how he has performed activity within
the scope of the certificate can provide
a contextual lens to assist in a fair
adjudication of whether continued
registration is in the public interest.
There are two principal
considerations embedded within a
consideration of this public interest
factor. In considering a similar factor
under the List I chemical context, the
Agency has recognized that the level of
experience held by those who will be
charged with recognizing and taking
steps to minimize diversion factors
greatly in determining whether
entrusting a COR will be in the public
interest. See Volusia Wholesale, 69 FR
69409, 69410 (2004); Xtreme Enters.,
Inc., 67 FR 76195, 76197–98 (2004);
Prachi Enters., 69 FR 69407, 69409
(2004); J&S Distribs., 69 FR 62089,
62090 (2004); K.V.M. Enters., 67 FR
70968, 70969 (2002). The Agency has
also recognized that evidence that a
registrant may have conducted a
significant level of sustained activity
within the scope of the registration for
a sustained period is a relevant and
correct consideration, which must be
accorded due weight. However, this
factor can be outweighed by acts held to
be inconsistent with the public interest.
Experience which occurred prior and
subsequent to proven allegations of
malfeasance may be relevant. Evidence
that precedes proven misconduct may
add support to the contention that, even
acknowledging the gravity of a
particular registrant’s transgressions,
they are sufficiently isolated and/or
attenuated that adverse action against its
registration is not compelled by public
interest concerns. Likewise, evidence
presented by the Government that the
proven allegations are consistent with a
consistent past pattern of poor behavior
can enhance the Government’s case.
In this case, the Respondent
introduced no evidence regarding his
level of knowledge and experience, or
even the quality or length of his
experience as a physician-registrant, but
the Government has elected to do so.
Regarding the Government’s
presentation, Agency precedent has long
held that in DEA administrative
proceedings that ‘‘the parameters of the
hearing are determined by the
prehearing statements.’’ CBS Wholesale
PO 00000
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Distribs., 74 FR 36746, 36750 (2009)
(citing Darrel Risner, D.M.D., 61 FR 728,
730 (1996); see also Roy E. Berkowitz,
M.D., 74 FR 36758, 36759–60 (2009)
(‘‘pleadings in administrative
proceedings are not judged by the
standards applied to an indictment at
common law’’ and ‘‘the rules governing
DEA hearings do not require the
formality of amending a show cause
order to comply with the evidence’’).
That being said, however, the marked
difference between the amount of
evidence that the Government noticed
in its OSC/ISO and the amount that it
introduced at the hearing is striking. For
example, contrary to its allegations,
there was no evidence that the
Respondent ‘‘prescribe[d] and
dispense[d] inordinate amounts of
controlled substances,’’ that the
‘‘majority’’ of the Respondent’s patients
were ‘‘from states other than Florida,’’
and there was no evidence that
American Pain patients were issued
‘‘pre-signed prescriptions to obtain
MRI[s],’’ nor was there evidence that
individuals positioned outside the
American Pain building were there to
‘‘monitor the activity of patients in the
parking lot to prevent patients from
selling their recently obtained controlled
substances.’’ Likewise, no evidence was
introduced at the hearing that could
support the allegations that ‘‘employees
of American Pain [] frequently ma[d]e
announcements to patients in the clinic
advising them on how to avoid being
stopped by law enforcement upon
departing the pain clinic’’ and
‘‘frequently ma[d]e announcements []
advising [patients], among other things,
not to attempt to fill their prescriptions
at out-of-state pharmacies and warning
them against trying to fill their
prescriptions at particular local retail
pharmacies.’’ ALJ Ex. 1 (emphasis
supplied).
In like fashion, the Government’s
prehearing statement proffered that SA
Burt would testify to several of the items
described but not established in the
OSC/ISO. Among the list of allegations
that were not supported by any evidence
introduced at the hearing, were
representations that SA Burt would
testify concerning the following:
Law enforcement in Florida and [other
states that correspond to license plates seen
in the American Pain parking lot] frequently
arrest people for illegal possession and/or
illegal distribution of controlled substances
who have obtained the controlled substances
from American Pain;
American Pain hired individuals to ‘‘roam’’
the parking lot of the clinic to dissuade
people from selling their recently obtained
controlled substances on the property;
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[The reason American Pain placed] signs
within American Pain warning individuals
not to have their prescriptions filled at
Walgreens pharmacies [is] because Walgreens
refuses to dispense the prescriptions;
Walgreens has flagged all American Pain
doctors and will not fill any of their
prescriptions;
[Physical exams at American Pain are]
usually no more than a blood pressure check
and some bending and stretching;
Dismissed patients would be routed to
other doctors within the clinic;
[There was] co-mingling of [American
Pain] physician’s drugs;
[American Pain maintained] no inventories
of drugs dispensed;
[Details surrounding] the death of
[American Pain] patient OB [where] [t]he
cause of death was determined to be drug
intoxication—opiate and benzodiazepine;
[Information] from a confidential source
[who indicated] that she traveled to
American Pain in order to obtain controlled
substances that were later sold in Kentucky
for $25 per pill[,] [that] [the American Pain
physician she encountered] did not spend
any significant time conducting a physical
examination of [her] [,] [that she would
simply ask questions regarding [her] well
being and would then ‘‘stamp’’ a prescription
for [controlled substances][,] * * * that on
one visit [during a power failure a] security
guard working for the clinic instructed
everyone to be patient and that the doctors
would be with them shortly to ‘‘get your fix.’’
ALJ Ex. 6 at 3–9.
To be clear, it is not that the evidence
was introduced and discredited; no
evidence to support these (and other)
allegations was introduced at all. To the
extent the Government had this
evidence, it left it home. While the
stunning disparity between the
allegations proffered and those that
were supported with any evidence does
not raise due process concerns, it is
worthy of noting, without deciding the
issue, that Agency precedent has
acknowledged the Supreme Court’s
recognition of the applicability of the
res judicata doctrine in DEA
administrative proceedings. Christopher
Henry Lister, P.A., 75 FR 28068, 28069
(2010) (citing Univ. of Tenn. v. Elliot,
478 U.S. 788, 797–98 (1986) (‘‘When an
administrative agency is acting in a
judicial capacity and resolves disputed
issues of fact properly before it which
the parties have had an adequate
opportunity to litigate, the courts have
not hesitated to apply res judicata[.]’’)
The evidence the Government did
present raises issues regarding not only
Factor 2 (experience dispensing 54
controlled substances), but also Factors
4 (compliance with federal and state law
relating to controlled substances) and 5
54 The statutory definition of the term ‘‘dispense’’
includes the prescribing and administering of
controlled substances. 21 U.S.C. 802(10).
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(other conduct which may threaten
public health and safety). Succinctly
put, the Government’s evidence related
to the manner in which the Respondent
practiced, and whether his practice
complied with the law and/or was a
threat to the public.
While true that GS Langston
convincingly testified about the course
of her investigation and laid an
adequate foundation for numerous
database results, the Government
provided no foundational context for
any relevant uses for those database
results. Even apart from the unfortunate
reality that one of the databases
contained data that could not be directly
tied to this Respondent as opposed to
another with the same last name,
without some insight into what types of
results from these databases should be
expected when compared to similarlysituated registrants engaged in
acceptable prescribing practices, the raw
data is without use. In short, there was
no evidence elicited wherein the
percentage of the Respondent’s in-state
to out-of-state patients could be
assessed, and no reasonable measuring
stick based on sound principles upon
which to evaluate such data. Likewise,
there was no reliable yardstick upon
which to measure the amount of
controlled substances reflected in the
databases compared to what a
reasonable regulator would expect to see
regarding a compliant registrant. To the
extent Langston possessed this
information (and she well may have) it
was not elicited from her. The same
could be said of the allegation set forth
in the Government’s Prehearing
Statement that alleges that from a given
period the Respondent ‘‘was the 8th
largest practitioner purchaser of
oxycodone in the United States.’’55 No
evidence to support that allegation (or
its relevance) was ever brought forth at
the hearing. To the extent that fact may
have been true or relevant, it was never
developed. What’s more, the Florida
Administrative Code specifically
eschews pain medication prescribing
analysis rooted only in evaluation of
medication quantity. Fla. Admin. Code
r. 64B8–9.013(g). Lastly, there was no
indication that despite Langston’s
obvious qualifications to do so, that she
or anyone else ever conducted an audit
of the controlled-substance-inventoryrelated recordkeeping practices at
American Pain.
SA Burt testified that, during a
temporally limited period of time, he
observed some of the images captured
by a pole camera positioned outside
American Pain, and that he observed
what in his view was a high percentage
of vehicles in the parking lot with outof-state license tags. This testimony
arguably provides some support for the
Government’s contention that out-ofstate patients (or at least patients being
dropped off by cars with out-of-state
tags) were being seen at the clinic, but
his testimony did not provide much else
in terms of relevant information. In any
event, recent Agency precedent holds
that details such as ‘‘where
[a registrant’s] patients were coming
from,’’ without additional factual
development, can support a ‘‘strong
suspicion that [a] respondent was not
engaged in a legitimate medical
practice’’ but that ‘‘under the substantial
evidence test, the evidence must ‘do
more than create a suspicion of the
existence of the fact to be established.’ ’’
Alvin Darby, M.D., 75 FR 26993, 26999,
n.31 (2010) (citing NLRB v. Columbian
Enameling & Stamping Co., 306 U.S.
292, 300 (1939).
Likewise, without additional details
or at least some context, Burt’s
testimony that individuals with ‘‘staff’’
written on their shirts appeared to be
directing patients into the clinic reveals
virtually nothing about the
Respondent’s prescribing practices.
Tr. at 818, 910. Furthermore, that Burt
observed an individual on a videotape,
who he believed to be an American Pain
employee, on a single occasion, instruct
patients not to ‘‘snort [their] pills’’ in the
parking lot,56 or advising them to
comply with vehicle and traffic laws,57
does not shed illumination on the
Respondent’s prescribing practices.
There was no evidence that the
Respondent knew that these isolated
incidents occurred, nor was there
contextual evidence from which the
relevance to these proceedings could be
gleaned. Even if this tribunal was
inclined to engage in the unsupported
assignment of motives to the actions of
these employees, under these
circumstances, such an exercise could
not constitute substantial evidence that
could be sustained at any level of
appeal.
Burt’s testimony regarding his
conversations with Dr. Sollie, who was
formerly employed by American Pain,
was also not received in a manner that
could meaningfully assist in the
decision process. According to Burt,
Sollie told him that some (unnamed)
physicians at American Pain were
inadequately documenting their patient
charts in some manner that was
56 Tr.
55 ALJ
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at 826.
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apparently never explained to Burt,58
and that some patients were
intentionally evading the American Pain
urinalysis process. Sollie did not
specifically name the Respondent or any
physician as being connected with his
allegations of misconduct. Tr. at 853.
Thus, this tribunal is at something of a
loss as to how the information, as
presented, would tend to establish a fact
relevant to whether the continuation of
the Respondent’s authorization to
handle controlled substances is in the
public interest.
The Government’s evidence targeted
not only the Respondent’s experience
practicing under Factor 2, but also his
compliance with applicable state and
federal laws relating to controlled
substances under Factor 4. To effectuate
the dual goals of conquering drug abuse
and controlling both legitimate and
illegitimate traffic in controlled
substances, ‘‘Congress devised a closed
regulatory system making it unlawful to
manufacture, distribute, dispense, or
possess any controlled substance except
in a manner authorized by the CSA.’’
Gonzales v. Raich, 545 U.S. 1, 13 (2005).
Consistent with the maintenance of that
closed regulatory system, subject to
limited exceptions not relevant here, a
controlled substance may only be
dispensed upon a prescription issued by
a practitioner, and such a prescription is
unlawful unless it is ‘‘issued for a
legitimate medical purpose by an
individual practitioner acting in the
usual course of his professional
practice.’’ 21 U.S.C. 829; 21 CFR
1306.04(a). Furthermore, ‘‘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 knowingly * * *
issuing it, shall be subject to the
penalties provided for violations of the
provisions of law related to controlled
substances.’’ Id.
A registered practitioner is authorized
to dispense,59 which the CSA defines as
‘‘to deliver a controlled substance to an
ultimate user 60 * * * by, or pursuant to
the lawful order of a practitioner.’’
21 U.S.C. 802(10); see also Rose Mary
Jacinta Lewis, 72 FR 4035, 4040 (2007).
The prescription requirement is
designed to ensure that controlled
substances are used under the
58 Tr.
at 898.
U.S.C. 823(f).
60 ‘‘Ultimate user’’ is defined as ‘‘a person who has
lawfully obtained, and who possesses, a controlled
substance for his own use or for the use of a
member of his household or for an animal owned
by him or by a member of his household.’’ 21 U.S.C.
802(27).
59 21
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supervision of a doctor, as a bulwark
against the risk of addiction and
recreational abuse. Aycock, 74 FR at
17541 (citing Gonzales v. Oregon,
546 U.S. 243, 274 (2006); United States
v. Moore, 423 U.S. 122, 135, 142–43
(1975) (noting that evidence established
that a physician exceeded the bounds of
professional practice when he gave
inadequate examinations or none at all,
ignored the results of the tests he did
make, and took no precautions against
misuse and diversion)). The
prescription requirement likewise
stands as a proscription against doctors
‘‘peddling to patients who crave the
drugs for those prohibited uses.’’ Id. The
courts have sustained criminal
convictions based on the issuing of
illegitimate prescriptions where
physicians conducted no physical
examinations or sham physical
examinations. United States v. Alerre,
430 F.3d 681, 690–91 (4th Cir. 2005),
cert. denied, 574 U.S. 1113 (2006);
United States v. Norris, 780 F.2d 1207,
1209 (5th Cir. 1986).
While true that the CSA authorizes
the ‘‘regulat[ion] of medical practice so
far as it bars doctors from using their
prescription-writing powers as a means
to engage in illicit drug dealing and
trafficking as conventionally
understood,’’ Gonzales, 546 U.S. at 266–
67, an evaluation of cognizant state
standards is essential. Joseph Gaudio,
M.D., 74 FR 10083, 10090 (2009); Kamir
Garces-Mejias, M.D., 72 FR 54931,
54935 (2007); United Prescription
Servs., Inc., 72 FR 50397, 50407 (2007).
In this adjudication, the evaluation of
the Respondent’s prescribing practices
must be consistent with the CSA’s
recognition of state regulation of the
medical profession and its bar on
physicians from peddling to patients
who crave drugs for prohibited uses.
The analysis must be ‘‘tethered securely’’
to state law and federal regulations in
application of the public interest factors,
and may not be based on a mere
disagreement between experts as to the
most efficacious way to prescribe
controlled substances to treat chronic
pain sufferers. Volkman v. DEA, 567
F.3d 215, 223 (6th Cir. 2009) (citing
Gonzales, 546 U.S. at 272, 274).
Under the CSA, it is fundamental that
a practitioner must establish 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.’’ Stodola, 74 FR at 20731;
Shyngle, 74 FR at 6057–58 (citing
Moore, 423 U.S. at 141–43). The CSA
looks to state law to determine whether
a bonafide doctor-patient relationship
existed. Stodola, 74 FR at 20731;
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Shyngle, 74 FR at 6058; Garces-Mejias,
72 FR at 54935; United Prescription
Servs., 72 FR at 50407. It was
Dr. Kennedy’s uncontroverted opinion
that his evaluation of chart entries
convinced him that they were so
defective that the Respondent did not
establish a sufficient doctor-patient
relationship to justify the prescribing of
controlled substances, and that ‘‘this
was not the practice of medicine in [his]
opinion.’’ Tr. at 160–61.
Under Florida law, grounds for
disciplinary action or denial of state
licensure include ‘‘prescribing * * *
any controlled substance, other than in
the course of the physician’s
professional practice,’’ and prescribing
such substances ‘‘inappropriately or in
excessive or inappropriate quantities is
not in the best interest of the patient and
is not in the course of the physician’s
professional practice, without regard to
his or her intent.’’ Fla. Stat. § 458.331(q)
(2009). Florida law further provides that
grounds for such disciplinary action
also include:
Failing to keep legible, as defined by
department rule in consultation with the
board, medical records that identify the
licensed physician * * * and that justify the
course of treatment of the patient, including,
but not limited to, patient histories;
examination results; test results; records of
drugs prescribed, dispensed, or administered;
and reports of consultations and
hospitalizations.
Id. § 458.331(m).
In exercising its rulemaking
function,61 the Florida Board of
Medicine (Florida Board) promulgated a
regulation addressing ‘‘Standards for
Adequacy of Medical Records’’
applicable to all physicians. Fla. Admin.
Code r. 64B8–9.003 (2009). That
regulation provides, in pertinent part:
(2) A licensed physician shall maintain
patient medical records in English, in a
legible manner and with sufficient detail to
clearly demonstrate why the course of
treatment was undertaken.
(3) The medical record shall contain
sufficient information to identify the patient,
support the diagnosis, justify the treatment
and document the course and results of
treatment accurately, by including, at a
minimum, patient histories; examination
results; test results; records of drugs
prescribed, dispensed or administered;
reports of consultations and hospitalizations;
and copies of records or reports or other
documentation obtained from other health
care practitioners at the request of the
physician and relied upon by the physician
in determining the appropriate treatment of
the patient.
61 Rulemaking authority regarding the practice of
medicine within the State of Florida has been
delegated to the Florida Board of Medicine (Florida
Board). Fla. Stat. § 458.309(1) (2009).
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(4) All entries made into the medical
records shall be accurately dated and timed.
Late entries are permitted, but must be
clearly and accurately noted as late entries
and dated and timed accurately when they
are entered in to the record * * *.
Fla. Admin. Code r. 64B8–9.003 (2009).
With respect to defining the
parameters of what constitutes
‘‘professional practice’’ in the context of
pain management prescribing, Florida
state law provides:
Notwithstanding any other provision of
law, a physician may prescribe or administer
any controlled substance under Schedules II–
V * * * to a person for the treatment of
intractable pain,62 provided the physician
does so in accordance with that level of care,
skill, and treatment recognized by a
reasonably prudent physician under similar
conditions and circumstances.
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Fla. Stat. § 458.326 (2009). Moreover,
the Florida Board has adopted,63 albeit
in modified version, the Model Policy
for the Use of Controlled Substances for
the Treatment of Pain (Model Policy), a
document drafted by the Federation of
State Medical Boards (FSMB) to provide
professional guidelines for the treatment
of pain with controlled substances. The
standards adopted by Florida share the
key tenets of the Model Policy’s
standards for pain management
prescribing, including the emphasis on
diligent efforts by physicians to prevent
drug diversion, prescribing based on
clear documentation of unrelieved pain
and thorough medical records, and
compliance with applicable federal and
state law.
Like the Model Policy, which was
promulgated ‘‘to encourage the
legitimate medical uses of controlled
substances for the treatment of pain
while stressing the need to safeguard
against abuse and diversion,’’ Florida’s
regulation providing ‘‘Standards for the
Use of Controlled Substances for
Treatment of Pain,’’ Fla. Admin. Code r.
64B8–9.013 (2009) (Florida Standards),
recognizes that ‘‘inappropriate
prescribing of controlled substances
* * * may lead to drug diversion and
abuse by individuals who seek them for
other than legitimate medical use.’’ The
language employed by the regulation
under the preamble section titled ‘‘Pain
Management Principles’’ makes clear
that the standards ‘‘are not intended to
define complete or best practice, but
62 Florida defines ‘‘intractable pain’’ to mean ‘‘pain
for which, in the generally accepted course of
medical practice, the cause cannot be removed and
otherwise treated.’’ Fla. Stat. § 458.326 (2009).
63 Pursuant to authority vested in the Florida
Board by the Florida legislature to promulgate rules
regarding State standards for pain management
clinical practice specifically. Fla. Stat. § 458.309(5)
(2009).
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rather to communicate what the [Florida
Board] considers to be within the
boundaries of professional practice’’
(emphasis supplied), id. at 9.013(1)(g);
thus, the plain text supports an
inference that the standards provide the
minimum requirements for establishing
conduct that comports with the
professional practice of controlled
substance-based pain management
within the state. Likewise, the level of
integral range of acceptable practice that
is built into the regulation underscores
the importance of seeking an expert
professional opinion in reaching a
correct adjudication of whether a
registrant has met the applicable Florida
standard. It is clear that in assessing
whether the controlled substance
prescribing practices of a Florida
practitioner fall within the acceptable
range of what constitutes being within
the bounds of being ‘‘issued for a
legitimate medical purpose by an
individual practitioner acting in the
usual course of his professional
practice,’’ 64 resort must be had to an
expert.
The Florida Standards direct that
‘‘[p]hysicians should be diligent in
preventing the diversion of drugs for
illegitimate purposes,’’ id. at 9.013(1)(d),
and provide that the prescribing of
controlled substances for pain will be
considered to be for a legitimate medical
purpose if based on accepted scientific
knowledge of the treatment of pain or if
based on sound clinical grounds. All
such prescribing must be based on clear
documentation of unrelieved pain and
in compliance with applicable state or
federal law.
Id. at 9.013(1)(e) (emphasis supplied).
The Florida Standards further provide
that the validity of prescribing will be
judged ‘‘based on the physician’s
treatment of the patient and on available
documentation, rather than on the
quantity and chronicity of prescribing’’
(emphasis supplied). Id. at 9.013(1)(g).
Furthermore, the Standards advise that
physicians should not fear disciplinary
action for ‘‘prescribing controlled
substances * * * for a legitimate
medical purpose and that is supported
by appropriate documentation
establishing a valid medical need and
treatment plan’’ (emphasis supplied), or
‘‘for failing to adhere strictly to the
provisions of these standards, if good
cause is shown for such deviation’’
(emphasis supplied). Id. at 9.013(1)(b),
(f).
Although, as discussed above, the
Florida Board instituted general
guidance applicable to all physicians
64 21
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regarding medical records, it also
promulgated a separate set of
documentation requirements in the
Florida Standards applicable
specifically to those physicians who
prescribe controlled substances in the
pain-management context. The Florida
Standards, under the subheading
‘‘Medical Records,’’ state that ‘‘[t]he
physician is required to keep accurate
and complete records’’ (emphasis
supplied) including, though not limited
to:
1. The medical history and physical
examination, including history of drug
abuse or dependence, as appropriate;
2. Diagnostic, therapeutic, and
laboratory results;
3. Evaluations and consultations;
4. Treatment objectives;
5. Discussion of risks and benefits;
6. Treatments;
7. Medications (including date, type,
dosage, and quantity prescribed);
8. Instructions and agreements; and
9. Periodic reviews.
Id. at 9.013(3)(f). The same section
directs that ‘‘[r]ecords must remain
current and be maintained in an
acceptable manner and readily available
for review.’’ Id.
The Florida Standards similarly
emphasize the need for proper
documentation in the patient evaluation
context by specifying:
A complete 65 medical history and physical
examination must be conducted and
documented in the medical record. The
medical record should document the nature
and intensity of the pain, current and past
treatments for pain, underlying or coexisting
diseases or conditions, the effect of the pain
on physical and psychological function, and
history of substance abuse. The medical
record also should document the presence of
one or more recognized medical indications
for the use of a controlled substance.
Id. at 9.013(3)(a).
Furthermore, the Florida Standards
require a written treatment plan that
‘‘should state objectives that will be
used to determine treatment success,
such as pain relief and improved
physical and psychosocial function, and
should indicate if any further diagnostic
evaluations or other treatments are
planned.’’ Id. at 9.013(3)(b). Subsequent
to the initiation of treatment, ‘‘the
physician should adjust drug therapy to
the individual medical needs of each
patient. Other treatment modalities or a
rehabilitation program may be necessary
65 The original Model Policy version of the
guidelines does not contain a reference to the need
for a complete medical history, instead only
requiring a medical history generally. Thus, the
Florida Board has adopted a higher standard than
the measure that has been set in the Model Policy
by the FSMB.
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depending on the etiology of the pain
and the extent to which the pain is
associated with physical and
psychosocial impairment.’’ (emphasis
supplied). Id.
Another standard adopted by the
Florida Board, under the subheading
‘‘Informed Consent and Agreement for
Treatment,’’ is the directive that
[t]he physician should discuss the risks and
benefits of the use of controlled substances
with the patient, persons designated by the
patient, or with the patient’s surrogate or
guardian if the patient is incompetent. The
patient should receive prescriptions from one
physician and one pharmacy where possible.
If the patient is determined to be at high risk
for medication abuse or have a history of
substance abuse, the physician should
employ the use of a written agreement
between the physician and patient outlining
patient responsibilities, including, but not
limited to:
1. Urine/serum medication levels screening
when requested;
2. Number and frequency of all
prescription refills; and
3. Reasons for which drug therapy may be
discontinued (i.e., violation of agreement).
Id. at 9.003(3)(c).
The Florida Standards contain a
further requirement to periodically
review ‘‘the course of pain treatment and
any new information about the etiology
of the pain or the patient’s state of
health.’’ Id. at 9.013(3)(d). The Florida
Standards explain the importance of
periodic review in the following
manner:
Continuation or modification of therapy
depends on the physician’s evaluation of the
patient’s progress. If treatment goals are not
being achieved, despite medication
adjustments, the physician should reevaluate
the appropriateness of continued treatment.
The physician should monitor patient
compliance in medication usage and related
treatment plans.
mstockstill on DSKH9S0YB1PROD with NOTICES
Id.
Under the subheading ‘‘Consultation,’’
the Florida Board promulgated the
instruction that
[t]he physician should be willing to refer the
patient as necessary for additional evaluation
and treatment in order to achieve treatment
objectives. Special attention should be given
to those pain patients who are at risk for
misusing their medications and those whose
living arrangements pose a risk for
medication misuse or diversion. The
management of pain in patients with a
history of substance abuse or with a
comorbid psychiatric disorder requires extra
care, monitoring, and documentation, and
may require consultation with or referral to
an expert in the management of such
patients.
Id. at 9.003(3)(e).
It is abundantly clear from the plain
language of the Florida Standards that
the Florida Board places critical
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19:53 Apr 06, 2011
Jkt 223001
emphasis on physician implementation
of adequate safeguards in their practice
to minimize diversion and the need to
document the objective signs and
rationale employed in the course of pain
treatment utilizing the prescription of
controlled substances. Conscientious
documentation is repeatedly
emphasized as not just a ministerial act,
but a key treatment tool and a vital
indicator to evaluate whether the
physician’s prescribing practices are
‘‘within the usual course of professional
practice.’’ Here, the uncontroverted
expert opinion of Dr. Kennedy, the only
expert opinion presented 66 in these
proceedings, reflects that the
documentation he reviewed in the
Respondent’s patient charts reflected
care that was markedly below the
standard of care set by the Florida
Medical Board. Dr. Kennedy’s expert
assessment was consistent with the state
statutory and regulatory guidance. In
Kennedy’s view, the Respondent’s
charts demonstrated minimalistic,
incomplete, and otherwise medically
inadequate documentation of his
contacts with patients, and the
prescribing rationale for his issuance of
controlled substance prescriptions to
those patients for alleged pain
management purposes. The boilerplatestyle, ‘‘one high-dosage controlled
substances treatment plan fits all’’
nature of nearly all of the patient
medical records at issue, at least in the
view of the uncontroverted expert,
evidences a failure on the part of the
Respondent to conduct his practice of
medicine in a manner to minimize the
potential of controlled substance abuse
and diversion, and supports a
conclusion that he failed to even
substantially comply with the minimum
obligations for professional practice
imposed under the Florida Standards—
and without ‘‘good cause [] shown for
such deviation.’’ Id. at 9.013(1)(f).
In his Post-Hearing Brief
(Respondent’s Brief), the Respondent’s
counsel has prepared and submitted a
thoughtful and detailed review of one of
the patient charts that was analyzed by
Dr. Kennedy in his report. Respt’s Br. at
22–26. While counsel argues that the
patient chart entries were, at least by his
interpretation of his client’s obligations,
satisfactory, the expert’s opinion at the
hearing remained unchanged. Even
acknowledging, as this recommended
decision does, that Dr. Kennedy’s
presentation was not without its
66 Respondent, in his brief, correctly points out
that (for reasons not readily apparent) the
Government elicited no testimony from Dr.
Kennedy regarding any patient treated by the
Respondent. Respt’s Br. at 10–11.
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Frm 00094
Fmt 4703
Sfmt 4703
deficiencies, its shortcomings do not
render it so fundamentally defective as
to completely undermine his credibility
and viability as within the scope of
what a litigant may depend upon.67 As
recognized in the Respondent’s Brief,
‘‘the [G]overnment, like any party in a
contested hearing, is free to hire an
expert to advocate its position.’’ Respt’s
Br. at 12. Unfortunately, counsel’s
analysis is the product of a lay
evaluation of standards applicable to the
nuanced and sophisticated science that
is the practice of medicine. Where his
opinion and that of the only accepted
medical expert to provide an expert
opinion conflict, his opinion cannot and
will not be afforded controlling
deference. Argument supplied by
counsel (albeit a diligent and persuasive
counsel) that the relevant standards
were satisfactorily applied as evidenced
by the protocols and procedures
documented in the patient charts cannot
supplant the unrefuted view of an
accepted expert witness.
The Respondent, who was in a unique
position to conclusively refute Dr.
Kennedy’s views and explain the format
and nuances of the reviewed
documentation, elected not to testify in
this matter. At a DEA administrative
hearing, it is permissible to draw an
adverse inference from the silence of the
Respondent, even in the face of a Fifth
Amendment invocation. Hoxie v. DEA,
419 F.3d 477, 483 (6th Cir. 2005) (citing
United States v. Hale, 422 U.S. 171, 176
(1975) (‘‘silence gains more probative
weight where it persists in the face of
accusation, since it is assumed in such
circumstances that the accused would
be more likely than not to dispute an
untrue accusation.’’)); Joseph
Baumstarck, M.D., 74 FR 17525, 17528,
n.3 (2009) (citing Ohio Adult Parole
Auth. v. Woodward, 523 U.S. 272, 286
(1998)). On the facts of this case, where
the allegations are of a nature that a
registrant would be more likely than not
to dispute them if untrue, an adverse
inference based on the Respondent’s
silence is appropriate. Where, as here,
67 Likewise, contrary to the position taken by the
Respondent in his brief (Respt’s Br. at 7), Dr.
Kennedy’s opinions are not invalidated by the size
of the representative sample of files he reviewed or
the manner in which they were selected. Firstly, SA
Langston provided credible testimony regarding the
selection process, which although admittedly not a
paradigm of scientific sampling methodology, was
likewise not designed to achieve a particular result.
Secondly, contrary to the assertion in the
Respondent’s brief (Respt’s Br. at 15), there is no
baseline magic number of files or registrant actions
that must be examined to support an expert opinion
and ultimately an Agency determination as to
whether a registrant has committed acts
inconsistent with the public interest sufficient to
merit adverse action relative to a DEA COR. See
Krishna-Iyer, 74 FR at 464.
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07APN1
mstockstill on DSKH9S0YB1PROD with NOTICES
Federal Register / Vol. 76, No. 67 / Thursday, April 7, 2011 / Notices
the Government, through its expert, has
alleged that the Respondent’s charts do
not reflect genuine analysis, but rather
(at least in its view and the opinion of
its expert), a sort of sham-by-check-box
form designed specifically to present a
false impression of a compliant
registrant, it is precisely the type of
allegation that would naturally all but
oblige a registrant to spring to offer a
contradictory account. The
Respondent’s choice to remain silent in
the face of such allegations, where he
could have related his version of his
practice as a registrant, adds at least
some additional credence to the factual
and analytical views of the
Government’s expert in this regard.
In the Social Security context, where
an Administrative Law Judge has
received expert medical opinions on the
issue of the claimant’s ability to work
and they are not repudiated in any
respect by substantial evidence, an
adverse decision should be set aside as
based on ‘‘suspicion and speculation.’’
Miracle v. Celebrezze, 351 F.2d 361, 378
(6th Cir. 1965); see also Hall v.
Celebrezze, 314 F.2d 686, 689–90 (6th
Cir. 1963); cf. Harris v. Heckler, 756
F.2d 431, 436 (6th Cir. 1985) (improper
to reject uncontroverted evidence
supporting complaints of pain simply
because of claimant’s demeanor at
hearing). When an administrative
tribunal elects to disregard the
uncontradicted opinion of an expert, it
runs the risk of improperly declaring
itself as an interpreter of medical
knowledge. Ross v. Gardner, 365 F.2d
554 (6th Cir. 1966). While in this case
it is ironically true, much like in the
Social Security context, that the opinion
of a treating physician should be
afforded greater weight than the opinion
of an expert whose opinion is limited to
a review of the patient file, see
Magallenes v. Bowen, 881 F.2d 747, 751
(9th Cir. 1989), the treating-source
Respondent in this case offered no
evidence, not even his own opinion,
regarding the treatment rendered. Thus,
in this adjudication, the record contains
no dispute between experts to be
resolved; instead, there is but one,
unrefuted, uncontroverted, credible
expert opinion. To ignore that expert
opinion on this record and replace it
with the opinion of this tribunal,
Respondent’s counsel, or any other lay
source would be a dangerous course and
more importantly, a plainly erroneous
one.
Accordingly, after carefully balancing
the admitted evidence, the evidence
establishes, by a preponderance, that the
prescriptions the Respondent issued in
Florida were not issued within ‘‘the
usual course of [the Respondent’s]
VerDate Mar<15>2010
19:53 Apr 06, 2011
Jkt 223001
professional practice.’’ 21 CFR
1306.04(a). Consideration of the
evidence under the second and fourth
factors support the COR revocation
sought by the Government in this case.
To the extent that the Respondent’s
prescribing practices fell below the
requisite standard in Florida, that
conduct also impacts upon the Fifth
statutory factor. Under Factor 5, the
Deputy Administrator is authorized to
consider ‘‘other conduct which may
threaten the public health and safety.’’
21 U.S.C. 823(f)(5). Although this factor
authorizes consideration of a somewhat
broader range of conduct reaching
beyond those activities typically
associated with a registrant’s practice,
an adverse finding under this factor
requires some showing that the relevant
conduct actually constituted a threat to
public safety. See Holloway Distrib., 72
FR 42118, 42126 (2007).
The evidence establishes that the
Respondent engaged in a course of
practice wherein he prescribed
controlled substances to patients
irrespective of the patients’ need for
such medication and ignoring any and
all red flags that could or did indicate
likely paths of diversion. The testimony
of Dr. Kennedy, the DEA regulations,
and the Florida Standards make clear
that physicians prescribing controlled
substances do so under an obligation to
monitor the process to minimize the risk
of diversion. The patient charts reflect
that the Respondent, contrary to his
obligations as a DEA registrant, did not
follow up in the face of multiple red
flags. The Respondent’s disregard of his
obligations as a DEA registrant and
Federal and state laws related to
controlled substances militate in favor
of revocation.
By ignoring his responsibilities to
monitor the controlled substance
prescriptions he was authorizing to
minimize diversion, and by
participating in an insufficiently
documented and thoughtful process for
the issuance of potentially dangerous
controlled substances, the Respondent
created a significant potential conduit
for the unchecked diversion of
controlled substances. See Holloway
Distrib., 72 FR at 42124 (a policy of ‘‘see
no evil, hear no evil’’ is fundamentally
inconsistent with the obligations of a
DEA registrant). Agency precedent has
long recognized that ‘‘[l]egally, 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.’’
EZRX, LLC, 69 FR 63178, 63181 (1988);
Floyd A. Santner, M.D., 55 FR 37581
(1988).
PO 00000
Frm 00095
Fmt 4703
Sfmt 4703
19401
Agency precedent has consistently
held that where, as here, the
Government has met its burden to
establish a prima facie case that a
registrant has committed acts
demonstrating that continued
registration is inconsistent with the
public interest, acceptance of
responsibility is a condition precedent
to continued registration. Jeri Hassman,
M.D., 75 FR 8194, 8236 (2010); Medicine
Shoppe, 73 FR at 387. The record
contains no evidence that the
Respondent has either acknowledged or
accepted responsibility for the
misconduct at issue in these
proceedings.
Recommendation
Based on the foregoing, the evidence
supports a finding that the Government
has established that the Respondent has
committed acts that are inconsistent
with the public interest. A balancing of
the statutory public interest factors
supports the revocation of the
Respondent’s Certificate of Registration
and a denial of his application to renew.
The Respondent has not accepted
responsibility for his actions, expressed
remorse for his conduct at any level, or
presented evidence that could
reasonably support a finding that the
Deputy Administrator should continue
to entrust him with a Certificate of
Registration.
Accordingly, the Respondent’s
Certificate of Registration should be
revoked and any pending applications
for renewal should be denied.
Dated: August 10, 2010.
John J. Mulrooney, II,
U.S. Administrative Law Judge.
[FR Doc. 2011–8340 Filed 4–6–11; 8:45 am]
BILLING CODE 4410–09–P
DEPARTMENT OF JUSTICE
Drug Enforcement Administration
[Docket No. 10–35]
Beau Boshers, M.D.; Decision and
Order
On August 10, 2010, Administrative
Law Judge (ALJ) John J. Mulrooney, II,
issued the attached recommended
decision.1 Thereafter, Respondent filed
exceptions to the decision.
Having reviewed the record in its
entirety including Respondent’s
exceptions, I have decided to adopt,
except as explained below, the ALJ’s
1 All citations to the ALJ’s Decision (ALJ) are to
the slip opinion as issued on August 10, 2010, and
not to the attached decision which had been
reformatted.
E:\FR\FM\07APN1.SGM
07APN1
Agencies
[Federal Register Volume 76, Number 67 (Thursday, April 7, 2011)]
[Notices]
[Pages 19386-19401]
From the Federal Register Online via the Government Printing Office [www.gpo.gov]
[FR Doc No: 2011-8340]
-----------------------------------------------------------------------
DEPARTMENT OF JUSTICE
Drug Enforcement Administration
[Docket No. 10-36]
Jacobo Dreszer, M.D., Decision and Order
On August 10, 2010, Administrative Law Judge (ALJ) John J.
Mulrooney, II, issued the attached recommended decision.\1\ Thereafter,
Respondent filed exceptions to the decision.
---------------------------------------------------------------------------
\1\ All citations to the ALJ's Decision (ALJ) are to the slip
opinion as issued on August 10, 2010, and not to the attached
decision which has been reformatted.
---------------------------------------------------------------------------
Having reviewed the entire record including the ALJ's recommended
decision and Respondent's exceptions, I have decided to adopt the ALJ's
rulings, findings of fact,\2\ conclusions of law,\3\ and recommended
Order.
---------------------------------------------------------------------------
\2\ The ALJ found that there is ``no evidence that the
Respondent `prescribe[d] and dispense[d] inordinate amounts of
controlled substances.'' ALJ at 21. While there is no evidence as to
the amounts Respondent may have dispensed directly, there is such
evidence, which is unrefuted, with respect to his prescriptions. As
explained in my discussion of Respondent's Exceptions, an Expert
witness testified as to the usual starting doses of oxycodone and
Xanax and that the prescriptions Respondent issued for both drugs,
even at the initial visit, greatly exceeded the usual starting doses
and lacked a legitimate medical purpose. 21 CFR 1306.04(a).
Moreover, there is also unrefuted evidence that Respondent's
prescribing of drug cocktails of oxycodone and Xanax lacked a
legitimate medical purpose. I thus reject the ALJ's finding to the
extent that it states that there was no evidence that Respondent
prescribed inordinate amounts.
\3\ I do not, however, adopt the ALJ's discussion of the
standards applied by the Agency in assessing a practitioner's
experience in dispensing controlled substances, which cites cases
involving list chemical I distributors, a different category of
registrant. See ALJ Dec. at 20-21. As the Agency has previously made
clear, DEA can revoke based on a single act of intentional diversion
and ``evidence that a practitioner has treated thousands of
patients'' in circumstances that do not constitute diversion ``does
not negate a prima facie showing that the practitioner has committed
acts inconsistent with the public interest.'' Jayam Krishna-Iyer, 74
FR 459, 463 (2009). See also Dewey C. MacKay, 75 FR49956, 49977
(2010); Medicine Shoppe-Jonesborough, 73 FR 364, 386 & n.56 (noting
that pharmacy ``had 17,000 patients,'' but that ``[n]o amount of
legitimate dispensings can render * * * flagrant violations [acts
which are] `consistent with the public interest' ''), aff'd,
Medicine Shoppe-Jonesborough v. DEA, 300 Fed. Appx. 409 (6th Cir.
2008). As I further explained, ``[w]hile such evidence may be
[entitled to] some weight in assessing whether a practitioner has
credibly shown that [he] has reformed his practices,'' it is
entitled to no weight where a practitioner fails to acknowledge his
wrongdoing. Krishna-Iyer, 74 FR at 463.
In any event, Respondent offered no evidence on the issue of his
experience in dispensing controlled substances and the ALJ's
ultimate conclusion that Respondent violated the CSA's prescription
requirement because he dispensed controlled substance prescriptions
that were not ``within `the usual course of [his] professional
practice,'' ALJ at 33 (quoting 21 CFR 1306.04(a)), and that ``the
evidence under the [experience] * * * factor[] support[s]'' the
revocation of his registration, is consistent with Agency precedent.
Id.
With respect to factor five, ``[s]uch other conduct which may
threaten public health and safety,'' 21 U.S.C. 823(f)(5), the ALJ
opined that ``an adverse finding under this factor requires some
showing that the relevant conduct actually constituted a threat to
public safety.'' ALJ at 34 (emphasis added). Contrary to the ALJ's
reasoning, Congress, by inserting the word ``may'' in factor five,
clearly manifested its intent to grant the Agency authority to
consider conduct which creates a probable or possible threat (and
not only an actual) threat to public health and safety. See
Webster's Third New Int'l Dictionary 1396 (1976) (defining ``may''
in relevant part as to ``be in some degree likely to''); see also
The Random House Dictionary of the English Language 1189 (1987)
(defining ``may'' in relevant part as ``used to express
possibility''). While the ALJ misstated the applicable standard, his
conclusion that Respondent repeatedly ignored ``red flags''
indicative of likely diversion and thus ``created a significant
potential conduit for the unchecked diversion of controlled
substances'' is clearly supported by substantial evidence and
warrants an adverse finding under factor five. ALJ at 34.
The ALJ also opined that ``[i]t is clear that in assessing
whether the controlled substance prescribing practices of a Florida
practitioner fall within the acceptable range of what constitutes
being within the bounds of being `issued for a legitimate medical
purpose by an individual practitioner acting in the usual course of
his professional practice,' resort must be had to an expert.'' ALJ
at 29 (quoting 21 CFR 1306.04(a)). While the ALJ properly noted the
importance of expert testimony in this case, in which the Government
primarily relied on a review of the medical charts, whether expert
testimony is needed is necessarily dependent on the nature of the
allegations and the other evidence in the case. Where, for example,
the Government produces evidence of undercover visits showing that a
physician knowingly engaged in outright drug deals, expert testimony
adds little to the proof necessary to establish a violation of
Federal law.
---------------------------------------------------------------------------
[[Page 19387]]
Respondent first takes exception to the ALJ's acceptance of L.
Douglas Kennedy, M.D., as an expert on the proper prescribing of
controlled substances. Respondent contends that Dr. Kennedy should not
have been permitted to opine on his prescribing practices because he
does not hold a DEA registration in Florida, has not prescribed a
controlled substance since 2004, does not currently have either a
medical office or hospital privileges in Florida, and ``has never
practiced medicine regularly in Florida and has not practiced medicine
in Florida at all in over 10 years.'' Resp. Exc. at 1.
Respondent's contention is unavailing as Dr. Kennedy was clearly
qualified to render an expert opinion on the proper practice for
prescribing controlled substances to treat pain and whether
Respondent's controlled substance prescriptions were issued in the
usual course of professional practice and for a legitimate medical
purpose. See 21 CFR 1306.04(a). Dr. Kennedy currently holds a Florida
medical license, is a diplomate of both the American Board of Pain
Medicine and the American Board of Anesthesiology, and is currently on
the faculty of the University of Miami's Miller School of Medicine. GX
117, at 1, 10. Previously, Dr. Kennedy was a Fellow with the Pain
Therapy Unit of the Cleveland Clinic, served as the Director of Chronic
Pain Management at the University of Kentucky Medical Center, and, for
fourteen years, was the Medical Director of a multidisciplinary pain
medicine and rehabilitation practice. Id. at 1-2.
Dr. Kennedy has published several articles and book chapters on
pain management issues and has made several dozen presentations on pain
management issues at professional meetings.\4\ Id. at 3-7. In addition,
he is a member of several professional organizations including the
American Academy of Pain Medicine, the American Board of Pain Medicine,
the American Pain Society, the International Association for the Study
of Pain, the American Society of Addiction Medicine, the American Board
of Anesthesiology, and the American Society of Anesthesiology. Id. at
10; Tr. 22. Finally, Dr. Kennedy explained that he was familiar with
the Florida Board of Medicine's standards for prescribing controlled
substances to treat pain and that he had reviewed them prior to
preparing his report. Tr. 24-26; GX 76, at 5-6.
---------------------------------------------------------------------------
\4\ He also co-edited and contributed to the State of Kentucky's
Guidelines for Prescribing Controlled Substances, 2nd Edition. GX
117, at 9.
---------------------------------------------------------------------------
Thus, Dr. Kennedy was clearly qualified to provide expert
testimony. I therefore agree with the ALJ that Dr. Kennedy's testimony
was sufficiently reliable to constitute substantial evidence on the
issue of whether Respondent acted within the usual course of
professional practice and had a legitimate medical purpose in
prescribing controlled substances to the patients whose files he
reviewed and reject this exception.
Next, Respondent contends that Dr. Kennedy's opinion testimony is
entitled to no weight because it was based on only seventeen patient
charts, which Respondent maintains were not randomly selected and is
too small a sample to draw sufficient conclusions about the validity of
his prescribing practices. Resp. Exc. at 2. Based on Dr. Kennedy's
testimony that `` `[i]t might not be fair' '' to `` `cherry-pick[]' ''
a small and non-random sample of charts out of a physician's patients
because this might not provide `` `a reasonable representation of what
the practice was actually like,' '' Respondent argues that ``[e]ven
improper prescribing practices reflected in a small and non-random
sample of 17 charts * * * may be `an administrative issue for education
with the Board of Medical License' '' and not necessarily justify the
revocation of Respondent's medical license (or DEA registration). Id.
(quoting Tr. 645).
However, even acknowledging that two of the seventeen files
reviewed by Dr. Kennedy with respect to Respondent were not randomly
selected (one being that of an undercover officer), the ALJ found
credible the Diversion Investigator's testimony that the files were not
specially selected to enhance the strength of the Government's case.
ALJ at 5 (citing Tr. 768). More importantly, the requirement of Federal
law that a prescription ``must be issued for a legitimate medical
purpose by an individual practitioner acting in the usual course of his
professional practice,'' 21 CFR 1306.04(a), applies to each and every
prescription issued by a practitioner. Thus, contrary to the Expert's
understanding, in determining whether a practitioner has committed acts
which render his registration ``inconsistent with the public
interest,'' 21 U.S.C. 824(a)(4), the Government is not required to
randomly select the files which it will base its case on.
For example, where the Government has developed information that
particular patients are drug dealers or engaged in self-abuse, it is
not required to ignore the files pertaining to these patients and base
its case on a random sample of files. Rather, it can select the files
pertaining to those patients and base its case entirely on them.
Moreover, where the Government has seized files, it can review them and
choose to present at the hearing only those files which evidence a
practitioner's most egregious acts. Of course, where, as here, the
Government's case relies so heavily on a chart review, the practitioner
can put on his own evidence and argue that the Government's evidence
does not establish that he violated the prescription requirement; the
practitioner can also argue that even
[[Page 19388]]
though the Government has made out a prima facie case, his conduct was
not so egregious as to warrant revocation. See Paul Caragine, 63 FR
51592 (1998) (granting restricted registration where practitioner did
not engage in intentional misconduct, patients had legitimate medical
conditions requiring treatment, and practitioner accepted
responsibility and testified as to remedial measures he had
undertaken). See also Dewey C. MacKay, 75 FR at 49977 (revoking
registration based on intentional acts of diversion to two patients);
Krishna-Iyer, 74 FR at 463 (holding that DEA can revoke based on a
single act of diversion); Medicine Shoppe-Jonesborough, 73 FR at 386 &
n.56; Alan H. Olefsky, 57 FR 928, 929 (1992) (revoking registration
based on physician's single act of presenting two fraudulent
prescriptions to pharmacist where physician failed to acknowledge
wrongdoing).\5\ Accordingly, there is no merit to Respondent's
exception.
---------------------------------------------------------------------------
\5\ Consistent with DEA's longstanding precedent, see ALJ at 17,
a respondent is also entitled to put on evidence as to his
acceptance of responsibility and any remedial measures he has
undertaken to prevent the re-occurrence of similar acts.
---------------------------------------------------------------------------
Finally, Respondent takes exception to the ALJ's findings that he
violated Florida's standards for prescribing controlled substances.
Resp. Exceptions at 4-5. More specifically, Respondent contends that he
complied with the standards set forth under Florida regulations and
that he ``took a complete medical history and conducted a physical
evaluation that was documented,'' that he maintained ``medical records
documenting the patient's intensity of pain, current and past
treatments for pain, and the effect of pain on physical and
psychological function.'' Id. at 4-5. He further argues that ``[h]e set
out a written treatment plan, discussed the risks and benefits of
controlled substances and conducted periodic reviews'' as also required
by Florida's regulations. Id. at 5.
While it is true that Dr. Kennedy acknowledged that he was not
familiar with the specific standard imposed by the State of Florida for
excessive prescribing and that he had not reviewed any Florida Medical
Board decisions addressing the issue of what is an adequate medical
history, see ALJ at 15, in his report Dr. Kennedy discussed at length
the Florida Board of Medicine's Standards for the Use of Controlled
Substances for the Treatment of Pain, Fla. Admin. Code 64B8-9.013.\6\
See GX 76, at 5-6.
---------------------------------------------------------------------------
\6\ Even after Gonzales v. Oregon, 546 U.S. 243 (2006), several
courts of appeals, including the Eleventh Circuit, ``have applied a
general-practice standard when determining whether the practitioner
acted in the `usual course of professional practice.''' United
States v. Smith, 573 F. 3d 639, 647-48 (8th Cir. 2009); see also id.
at 648 (discussing United States v. Moore, 423 U.S. 122 (1975);
``Thus informed by the Supreme Court and other controlling and
persuasive precedent, we believe that it was not improper to measure
the `usual course of professional practice' under Sec. 841(a)(1)
and [21 CFR] 1306.04 with reference to generally recognized and
accepted medical practices * * * .''). To similar effect, the
Eleventh Circuit has held that ``[t]he appropriate focus * * * rests
upon whether the physician prescribes medicine `in accordance with a
standard of medical practice generally recognized and accepted in
the United States.' '') (United States v. Merrill, 513 F.3d 1293,
1306 (11th Cir. 2008) (quoting Moore, 423 U.S. at 139)).
---------------------------------------------------------------------------
In any event, Respondent produced no evidence that his
recordkeeping and prescribing complied with the standards of the
Florida Medical Board. Moreover, there is substantial evidence to
support the conclusion that Respondent was not engaged in legitimate
medical practice and was diverting drugs.
As Dr. Kennedy explained, the patients whose files he reviewed were
relatively young (with an average age of 36), and most were from out-
of-state, with some travelling up to 1200 miles,\7\ even though
Respondent had no specialized training in pain management. Id. at 15-
16. Yet, Respondent did not obtain reports from the prescription
monitoring programs run by the States where his patients lived. Id. at
1-2; 14. Moreover, Respondent did not obtain adequate medical histories
and perform adequate physical examinations; he also never obtained
medical records from other treating physicians (or even contacted them)
for any of the patients whose files are in evidence. Id. at 4, 8-9.
---------------------------------------------------------------------------
\7\ Of the seventeen patients, only four were from Florida. Of
the remaining patients, five were from Kentucky, three were from
Ohio, two were from Tennessee and West Virginia, and one was from
Georgia. GX 76, at 1.
---------------------------------------------------------------------------
As Dr. Kennedy explained, while ``[t]he chart was set up to give
the appearance of a legitimate medical practice in an attempt to
justify the initial and continued prescription and dispensing of high
dose multiple controlled substances (`drug cocktails'),'' and that
while ``on the surface [the charts] were adequate for evaluating and
treating a patient,'' on closer review, ``the actual contents in the
charts, clearly evidence just the opposite'' as the charts were ``very
difficult * * * to read [with] many sections * * * left blank or
incompletely filled in.'' Id. at 15. Continuing, Dr. Kennedy explained
that ``[t]he notes were not within the standard of care; all were
outside the boundaries of professional practice, lacking significant
information and ignoring significant history that was present.'' Id.
Moreover, Respondent's failure to obtain his patients' medical records
``was well outside the boundaries of medical practice and below the
standard of medical care,'' especially because the patients were
receiving ``very high dose[s]'' of controlled substances. Id.
The evidence further shows that this case is not simply a matter of
inadequate record keeping. While Respondent apparently required his
patients to obtain an MRI, in multiple instances the MRI was obtained
before the patient was even evaluated by Respondent, and generally, no
other imaging studies such as x-rays or CT scans were done.\8\ Id. at
14-15.
---------------------------------------------------------------------------
\8\ Dr. Kennedy explained that referring a patient to obtain an
MRI prior to having some contact is unusual and medically
inappropriate. Tr. 71-73.
---------------------------------------------------------------------------
Moreover, notwithstanding the doses the patients were seeking,
Respondent rarely referred a patient to another physician or health
care professional for a consultation.\9\ As Dr. Kennedy explained,
``[a]lternative opinions should have been sought in order to better
diagnose and treat; not to do so was outside the boundaries of
professional practice and not within the standard of care.'' Id. at 14.
Dr. Kennedy thus concluded that Respondent's ``diagnoses were usually
very vague and/or without medical merit'' and were done in an
``attempt[] to justify what controlled substances he prescribed.'' Id.
at 15.
---------------------------------------------------------------------------
\9\ In only two of the seventeen files is there an indication
that Respondent referred the patient to another physician.
---------------------------------------------------------------------------
Dr. Kennedy also observed that while Respondent performed urine
drug screens, he ignored the results even when they were inconsistent
with other information provided by the patients such as when a patient
tested positive for controlled substances which he had previously
indicated that he was not currently taking. See id. at 11, 14.
Moreover, the drug screens were rarely performed other than at the
patient's initial visit and lacked quality controls.\10\ Id. at 14.
---------------------------------------------------------------------------
\10\ Dr. Kennedy explained that the urine drug screens did not
indicate the temperature and specific gravity of the specimen,
whether the giving of the sample had been observed, or the type of
drug screen used. GX 76, at 14; Tr. 100-01.
---------------------------------------------------------------------------
Although the charts indicate that Respondent discussed doing yoga
and stretching, using an anti-inflammatory diet, and taking several
over-the-counter supplements (fish oil and glucosamine chondroitin),
Respondent's treatment plan primarily involved prescribing high doses
of controlled substances with the same regimen of drugs (oxycodone and
Xanax) prescribed in nearly every case. Id. at 4, 6-7, 13. And while
Respondent referred two patients to
[[Page 19389]]
their primary care physicians because they had high blood pressure, see
GXs 78, 79; he never referred any patients for consultations with
specialists, or for physical, occupational, or mental health therapy.
GX 76, at 11.
Dr. Kennedy noted that Respondent frequently prescribed ``drug
cocktails'' of two strengths of oxycodone immediate release and a high
dose of Xanax, a benzodiazepine. Id. at 4, 9, 13. While Dr. Kennedy
acknowledged that prescribing an additional strength of oxycodone could
be legitimate if it was done to treat breakthrough or episodic pain on
an as-needed basis, with respect to M.B., who received prescriptions
for oxycodone 30 mg. and 15 mg., ``there was no specific reason stated
in the medical record'' for prescribing both drugs. Id. at 9.
Dr. Kennedy further noted that while the typical starting dose of
Xanax is 0.25 to 0.5 mg., once to twice per day, Respondent prescribed
Xanax 2 mg., twice per day, to fifteen of the seventeen patients
(including M.B.); another patient B.R. (GX 87) received Xanax 2 mg.
once per day.\11\ Id. at 9-10; GXs 78-86, 88-93. Moreover, Respondent
prescribed this dose even for patients who had not been on the drug
either before or recently and ``no matter the [patient's] age or
clinical situation.'' GX 76, at 10. While Xanax is used as an anti-
anxiety agent, Respondent's medical records did not support the
prescribing because ``[h]e did not list * * * many important factors
that could cause anxiety * * * such as depression, life stressors,
psychosocial situation, caffeine intake, sleep disturbance [and]
previous medical evaluation;'' he also did not refer these patients for
evaluation by a mental health professional. Id. With respect to M.B.,
Dr. Kennedy observed not only that ``there was no specific reason
stated in the medical record'' for prescribing Xanax, but also that
Respondent's prescribing of a very high dose of the drug ``was clearly
not within the boundaries of professional practice.'' Id. at 9-10.
---------------------------------------------------------------------------
\11\ The remaining patient, L.A., received Valium 10 mg. GX 77.
---------------------------------------------------------------------------
Dr. Kennedy further noted that beginning with M.B.'s first visit,
Respondent ``prescribed very high initial and subsequent high doses of
oxycodone and Xanax'' and that these drugs ``were prescribed
excessively and inappropriately without medical justification.'' Id. at
9. Sections of the history and physical examination form ``were grossly
incomplete or missing entirely,'' and Respondent did not identify
``past treating and prescribing physicians'' and communicate them
regarding M.B.'s previous treatment (and obtain medical records) even
though M.B. had indicated that he had previously seen a doctor and had
physical therapy for his condition. Id. at 9; GX 78, at 16.
While M.B. apparently told Respondent that he was taking 210 to 240
oxycodone 30 mg. per month, which he had obtained ``off the street,''
and he also tested positive for the drug in a urine drug screen (UDS)
done at his initial visit, Respondent prescribed 180 Roxicodone 30 mg.,
60 Roxicodone 15 mg., and 60 Xanax 2 mg. to M.B. at each of the seven
visits he made between August 20, 2009 and February 4, 2010. GX 78, at
7, 9, 13, 18-24.
M.B.'s statement that he was getting ``large quantities of
oxycodone 30 mg. pills `off the street''' was a clear ``warning sign''
that he was ``at high risk for drug abuse, addiction and/or
diversion.'' GX 76, at 12; see also id. at 8. Yet, as Dr. Kennedy
observed, Respondent ``did not appropriately act on the initial UDS''
and M.B.'s admission that he had obtained drugs off the street by
requiring him to undergo ``[f]urther testing.'' Id. at 11. Indeed,
``[t]here were no other UDS tests obtained [after the initial visit]
nor other toxicology testing.'' Id. Dr. Kennedy further noted that
Respondent ``did not obtain any pharmacy drug profiles [from] where
[M.B.] had his prescriptions filled,'' his chart did not indicate where
he was filling his prescriptions, and he did not obtain prescription
monitoring reports from States where M.B. may have filled
prescriptions. Id. He also did not obtain prescription monitoring
reports for any of the other sixteen patients. Id.
Finally, Dr. Kennedy explained that the ``drug cocktails''
Respondent prescribed of ``very potent, high doses'' of oxycodone and
Xanax (or Valium), id. at 11, are ``attractive to `patients' who abuse,
are addicted and/or divert (sell or trade) their prescribed controlled
substances. They might take them all together to achieve a `high,' sell
some for cash, or trade some for other drugs they prefer.'' Id. at 9.
Dr. Kennedy also noted that ``[w]hen opioids and benzodiazepines are
used in combination, the potential for [a] drug overdose and death is
increased,'' and ``[t]he risk of abuse, addiction and/or diversion is
also significantly increased.'' Id. at 7. As Dr. Kennedy observed,
``[t]hese `drug cocktails' were clearly not for any legitimate medical
purpose.'' Id. at 13.
As Dr. Kennedy concluded, Respondent ``was not engaged in the
practice of medicine,'' and ``[t]he vast majority of his prescriptions
for controlled substances w[as] not for a legitimate medical purpose
and w[as] beyond the boundaries of professional practice.'' Id. at 18.
His ``routine and excessive prescription of multiple controlled
substances * * * and lack of arriving at a valid medical diagnosis and
treatment most likely caused harm to the patients he saw as well as to
other people in their communities.'' Id. I therefore reject this
exception as well.
I therefore also reject Respondent's Exception to the ALJ's
ultimate finding that Respondent has committed acts which render his
registration inconsistent with the public interest. Resp. Exc. at 5.
Because the record establishes that Respondent has repeatedly violated
Federal law by issuing controlled substance prescriptions which lacked
a legitimate medical purpose and were issued outside of the usual
course of professional practice, 21 CFR 1306.04, and Respondent has
offered no evidence establishing that he has accepted responsibility
for his misconduct and that he has reformed his practice, see Steven M.
Abbadessa, 74 FR 10077, 10081 (2009), I adopt the ALJ's recommendation
that Respondent's registration be revoked.
Order
Pursuant to the authority vested in me by 21 U.S.C. 823(f) and
824(a), as well as 21 CFR 0.100(b) and 0.104, I order that DEA
Certificate of Registration, AD7585865, issued to Jacobo Dreszer, M.D.,
be, and it hereby is, revoked. I further order that any pending
application of Jacobo Dreszer, M.D., to renew or modify his
registration, be, and it hereby is, denied. This Order is effective
immediately.
Dated: March 31, 2011.
Michele M. Leonhart,
Administrator.
Larry P. Cote., Esq., for the Government
Sean M. Ellsworth, Esq., for the Respondent
Recommended Rulings, Findings of Fact, Conclusions of Law, and Decision
of the Administrative Law Judge
John J. Mulrooney, II, Administrative Law Judge. On February 25,
2010, the Deputy Administrator, Drug Enforcement Administration (DEA or
Government), issued an Order to Show Cause and Immediate Suspension of
Registration (OSC/ISO), immediately suspending the DEA Certificate of
Registration (COR), Number AD7585865, of Jacobo Dreszer, M.D.
(Respondent), as a practitioner, pursuant to 21 U.S.C. 824(d), alleging
[[Page 19390]]
that such registration constitutes an imminent danger to the public
health and safety. The OSC/ISO also sought revocation of the
Respondent's registration, pursuant to 21 U.S.C. 824(a)(4), and denial
of any pending applications for renewal \12\ or modification of such
registration, pursuant to 21 U.S.C. 823(f), alleging that the
Respondent's continued registration is inconsistent with the public
interest, as that term is used in 21 U.S.C. 823(f). On March 22, 2010,
the Respondent timely requested a hearing, which, pursuant to a change
of venue granted at his request, was conducted in Miami, Florida, on
July 7, 2010 through July 9, 2010.\13\ The immediate suspension of the
Respondent's COR has remained in effect throughout these proceedings.
---------------------------------------------------------------------------
\12\ Although the Respondent's COR expired on July 31, 2010, the
parties stipulated that a timely renewal application has been
submitted by the Respondent. ALJ Ex. 31.
\13\ Pursuant to an order issued on April 15, 2010, with the
consent of the Respondent, ALJ Ex. 9, the hearing in this matter was
consolidated with the cases of four other registrants who were
working at the same clinic as the Respondent and who were also
issued OSC/ISOs on February 25, 2010, alleging similar and related
conduct.
---------------------------------------------------------------------------
The issue ultimately to be adjudicated by the Deputy Administrator,
with the assistance of this recommended decision, is whether the record
as a whole establishes by substantial evidence that Respondent's
registration with the DEA should be revoked as inconsistent with the
public interest as that term is used in 21 U.S.C. 823(f) and 824(a)(4).
After carefully considering the testimony elicited at the hearing,
the admitted exhibits, the arguments of counsel, and the record as a
whole, I have set forth my recommended findings of fact and conclusions
below.
The Evidence
The OSC/ISO issued by the Government alleges that the Respondent,
through the medical practice he participated in at American Pain, LLC
(American Pain), prescribed and dispensed inordinate amounts of
controlled substances, primarily oxycodone,\14\ under circumstances
where he knew, or should have known, that the prescriptions were not
dispensed for a legitimate medical purpose. ALJ Ex. 1. The OSC/ISO
further charges that these prescriptions were issued outside the usual
course of professional practice based on a variety of circumstances
\15\ surrounding the manner in which American Pain is operated, and the
manner in which its physicians, including Respondent, engaged in the
practice of medicine. Id. The Government also alleges that Respondent's
former patients have apprised law enforcement personnel that ``they
were able to obtain prescriptions for controlled substances from [the
Respondent] for other than a legitimate medical purpose and with the
intention of selling the controlled substances and/or personally
abusing the drugs.'' Id. Lastly, in its Prehearing Statement, the
Government further alleges that one of the Respondent's patients died
from an overdose of oxycodone and alprazolam \16\ one day after
obtaining prescriptions for those same controlled substances from a
visit to the Respondent at American Pain. Id.
---------------------------------------------------------------------------
\14\ A schedule II controlled substance.
\15\ The majority of which are supported by no evidence
introduced by the Government during the course of these proceedings.
\16\ A schedule IV controlled substance.
---------------------------------------------------------------------------
At the hearing, the Government presented the testimony of three
witnesses, DEA Miami Field Division (MFD) Group Supervisor (GS) Susan
Langston, DEA Special Agent (SA) Michael Burt, and L. Douglas Kennedy,
M.D., D.A.B.P.M., Affiliate Clinical Assistant Professor at the
University of Miami, Miller School of Medicine.
GS Langston testified that the investigation of the American Pain
Clinic had its origins on November 30, 2009, during a routine
inspection that she and a subordinate diversion investigator conducted
at Appurtenance Biotechnology, LLC, a pharmacy doing business under the
name Boca Drugs (Boca Drugs), and located a few blocks away from one of
the former locations of American Pain. Tr. at 713, 717-20. According to
Langston, an examination of the prescriptions seized from Boca Drugs
revealed that the majority of those prescriptions were for oxycodone
and alprazolam authorized over the signature of physicians associated
with American Pain.\17\ Id. at 721. Under Langston's supervision, DEA
diversion investigators catalogued the prescriptions seized at Boca
Drugs (Boca Drugs Prescription Log). Govt. Ex. 118. However, inasmuch
as the Boca Drugs Prescription Log fails to distinguish between the
Respondent, and one of the other co-Respondents (his son), the document
is of no utility in reaching a disposition of the present case.
---------------------------------------------------------------------------
\17\ Although GS Langston testified that DEA immediately
suspended the COR that had been issued to Boca Drugs, Tr. at 715,
and that a voluntary surrender by that registrant followed a day
later, id. at 776, no evidence has been presented that would lend
that fact any particular significance related to any issue that must
or should be found regarding the disposition of the present case.
---------------------------------------------------------------------------
GS Langston also testified that, on March 3, 2010, a criminal
search warrant was executed on the American Pain Clinic simultaneously
with the OSC/ISO that initiated the present case. Tr. at 735. According
to Langston, the items seized from American Pain included a sign that
had been posted in what she believes to have served as the urinalysis
waiting room. Id. at 735-37. The seized sign set forth the following
guidance:
ATTENTION PATIENTS
Due to increased fraudulent prescriptions, [i]t's best if you
fill your medication in Florida or your regular pharmacy. Don't go
to a pharmacy in Ohio when you live in Kentucky and had the scripts
written in Florida. The police will confiscate your scripts and hold
them while they investigate. This will take up to 6 months. So only
fill your meds in Florida or a pharmacy that you have been using for
at least 3 months or more.
Govt. Ex. 119 at 1. This sign is attached, apparently by some sort of
tape, to the top portion of two other signs, posted at the same
location, the first of which reads:
ATTENTION:
Patients
Please do NOT fill your prescriptions at any WALGREENS PHARMACY
\18\ or OUTSIDE the STATE OF FLORIDA.
---------------------------------------------------------------------------
\18\ GS Langston testified that she was unaware of the location
of the closest Walgreens to American Pain's offices. Tr. at 779. No
evidence was presented that would tend to establish that any
Walgreens or any other pharmacy has taken a position regarding its
willingness to fill prescriptions authorized by American Pain.
Id. The final attachment to the composite sign bears the words ``24
Hour Camera Surveillance.'' Id. A photograph of the composite sign
---------------------------------------------------------------------------
was admitted into evidence.
Langston also testified that while she was present in the
American Pain offices, she noticed that each physician's desk was
equipped with a group of stamps, each of which depicted a controlled
substance medication with a corresponding medication usage
instruction (sig). Tr. at 738-39. A photograph of one set of
prescription script stamps was admitted as an exhibit.\19\ Govt. Ex.
119 at 2.
---------------------------------------------------------------------------
\19\ Although GS Langston testified that she did not actually
take the photographs taken during the search warrant execution at
American Pain, she did provide sufficient, competent evidence to
support the admission of the photographs that were ultimately
received into evidence. Tr. at 737, 739-41.
---------------------------------------------------------------------------
GS Langston also testified that a great number of medical charts
were seized from the American Pain offices, and that she and her
staff selected a number of these files to be analyzed by an medical
expert procured by the Government. Tr. at 762. According to GS
Langston, after the execution of the warrant, the charts from the
entire office were placed into piles in alphabetical order, and not
separated by physician. Langston testified that she and three of her
diversion
[[Page 19391]]
investigators reviewed the seized files with a view towards choosing
approximately fifteen files for each doctor with the aspirational
criteria that each would reflect at least three to four visits by
that doctor with a patient. Each investigator was empowered to place
a chart on the selected pile, and when the target number (or about
that number) was reached for each physician, the selection effort
relative to that physician was deemed accomplished. Id. at 765.
Langston credibly testified that there was no effort to specially
select files under some prosecution-enhancement or ``cherry
picking'' purpose. Id. at 768.
Langston also explained DEA's Automated Record Consolidated
Ordering System (ARCOS) and testified that she generated an ARCOS
report relative to the Respondent's ordering of controlled
substances from January 2009 through February 2010. Govt. Ex. 71.
In the same fashion, Langston explained the purposes of and
circumstances behind the generation of state prescription monitoring
reports (PMPs) relative to the Respondent maintained by West
Virginia, Kentucky, and Ohio. Govt. Exs. 72-74. Review of the PMP
report data reflects that during the time period of February 1, 2006
through February 11, 2010, pharmacies filled 229 controlled
substance prescriptions issued over the Respondent's signature to
seventy-three patients located in West Virginia, 135 similar
prescriptions provided to fifty-three Kentucky-based patients were
filled between January 1, 2009 and April 4, 2010, and 144 such
prescriptions pertaining to sixty-three patients located in Ohio
were filled between April 1, 2008 and April 19, 2010. Id.
No evidence was introduced at the hearing that would provide any
reliable level of context regarding the raw data set forth in the
databases received into evidence at the Government's request. Other
than the observations noted above, no witness who testified at the
hearing ever explained the significance of the data set forth in any
of these databases to any issue that must or should be considered in
deciding the present case. As discussed above, the fact that the
Boca Drugs Prescription Log prepared by the agents does not
distinguish between prescriptions authorized by the Respondent and
another registrant of the same name deprives the document of
virtually any relevance regarding the enforcement action against
this Respondent.\20\
---------------------------------------------------------------------------
\20\ Remarkably, although this unfortunate aspect of this
document was brought to light during the course of the hearing, Tr.
at 732, no effort on the part of the Government was made to provide
additional details or explanation that might tend to differentiate
between the respondents.
---------------------------------------------------------------------------
GS Langston provided evidence that was sufficiently detailed,
consistent and plausible to be deemed credible in this recommended
decision.
SA Michael Burt testified that he has been employed by DEA since
March 2004 and has been stationed with the Miami Field Division
(MFD) since September 2004. Tr. at 813-14. Burt testified that he is
the lead case agent for DEA in the investigation of American Pain
Clinic and has participated in the investigation since the latter
part of 2008. According to Burt, American Pain, which was previously
known by the name South Florida Pain, has conducted business at four
different locations, and he surveilled the Boca Raton and Lake Worth
locations both in person and by periodic live review of video
captured via pole cameras \21\ set up outside the clinic. Id. at
815-17. These pole cameras, which were in operation during a three
week period from January to February 2010, were initially in
operation on a 24-hour basis, but Burt testified that they were
later activated only between the hours of 7 a.m. through 6:00 p.m.
due to an observed lack of activity at the clinic outside of that
time period. Id. at 820-21. The pole camera recordings were not
offered into evidence at the hearing or made available to opposing
counsel.
---------------------------------------------------------------------------
\21\ SA Burt described the pole cameras as ``covert cameras that
are installed to observe the activity in the clinic.'' Tr. at 816.
Burt testified that he was able to use a laptop to access the live
video feed from the cameras after inputting a user name and
password. The camera video was also recorded to DVR. Id. at 821.
---------------------------------------------------------------------------
Based on these surveillance efforts, SA Burt testified
concerning various activities he observed occurring outside the Boca
and Lake Worth clinic locations, which were open to the public from
8 a.m. to 5 p.m. At the Boca location, Burt stated that on any given
day, beginning at 7 a.m. in the morning, automobiles could be seen
pulling into the parking lot and approximately twenty to thirty
people were routinely lined up outside of the clinic waiting to gain
admittance. Additionally, there was a steady stream of automobile
and foot traffic in and out of the clinic throughout the day. Id. at
817, 821. Burt testified that in his estimation, approximately 80-90
percent of the automobiles had out-of-state tags, predominantly from
Kentucky, Ohio, West Virginia and Tennessee. Id. at 817-18. Burt
also observed security personnel with ``staff'' written on their
shirts \22\ riding around the exterior of the building in golf carts
and who, in Burt's assessment, appeared to be directing patients
into the American Pain facility. Burt indicated his surveillance of
the Lake Worth location yielded similar observations. Id. at 818.
---------------------------------------------------------------------------
\22\ Tr. at 910.
---------------------------------------------------------------------------
Based on his review of some (but not all) \23\ of the audio and
video tapes made by agents and informers sent into the clinic by the
Government at various times, SA Burt also testified about his
understanding of the process by which patients obtained controlled
substance prescriptions at American Pain. According to Burt, after
entering the clinic, a patient would meet with the receptionist, who
would determine if the patient had an MRI. If not, the receptionist
would issue that individual an MRI prescription in exchange for a
$50 cash payment, and the patient ``would be directed to a place to
obtain an MRI.'' Id. at 822. Burt testified that one such MRI
location was Faye Imaging, which was a mobile MRI trailer located
behind a gentlemen's club several miles away from American Pain. Id.
at 822-23. The cost for the MRI was $250, and the patient could pay
an additional fee ``to have the MRI expedited and faxed over to
American Pain.'' Id. at 823-24. Once the MRI was procured and faxed
to American Pain, the patient would return to the clinic and be seen
by a doctor. According to Burt, the clinic accepted what he referred
to as ``predominantly cash only'' \24\ for these office visits, and
the six doctors at the clinic saw ``anywhere from 200 upward to 375
patients a day'' \25\ in this manner.\26\ Id. at 882-83 (emphasis
supplied).
---------------------------------------------------------------------------
\23\ SA Burt conceded that although he is the designated lead
case agent for DEA, he did not review all the audio and video tapes
made in the case or even review the transcripts. Tr. at 1002-05.
\24\ Later on cross-examination, SA Burt admitted that the
clinic also accepted payment via credit card. Tr. at 916.
\25\ Inasmuch as the Government provided no information from
which any specific number of patients seen by any given clinic
doctor on any day could be derived, or any expert testimony
regarding a reasonable number of pain patients that could or should
be seen per day, the value of providing the raw number of patients
walking through the door at the clinic is negligible.
\26\ Burt further testified that the doctors were paid $75.00
per patient visit, id. at 884, but because he indicated that he
could not disclose his basis of knowledge for this information, this
portion of his testimony can be afforded no weight. See Richardson
v. Perales, 402 U.S. 389, 402 (1971); J.A.M. Builders v. Herman, 233
F.3d 1350, 1354 (11th Cir. 2000); Keller v. Sullivan, 928 F.2d 227,
230 (7th Cir. 1991); Calhoun v. Bailar, 626 F.2d 145, 149 (9th Cir.
1980).
---------------------------------------------------------------------------
SA Burt also testified regarding his review of some \27\ of the
video and audio recordings made by an undercover agent (UC) who
assumed the name Luis Lopez, capturing activity inside of American
Pain.\28\ In those recordings, Burt observed who he believed to be
an American Pain employee inside the facility standing up in a
waiting room full of patients and directing them ``not to have their
prescriptions filled out of state, not to go out into the parking
lot and snort their pills,'' and directing the patients to have
their prescriptions filled ``in house'' (meaning at American Pain),
at ``a pharmacy they have in Orlando, Florida,'' or at ``a pharmacy
they have down the street,'' which, in Burt's view, was a reference
to Boca Drugs. Id. at 825-26. Burt further testified that the
purported employee on the recording told the patients to ``obey all
the traffic laws; do not give the police a reason to pull you
over.'' Id. Although Burt testified as to the contents of these
recordings, the physical recordings were not offered into evidence
by the Government or made available to opposing counsel.
---------------------------------------------------------------------------
\27\ Tr. at 1002-05.
\28\ The fact that these recordings were made during the course
of seven different office visits by an undercover agent to both the
Boca Raton and Lake Worth locations was established on cross-
examination. Tr. at 900, 985.
---------------------------------------------------------------------------
SA Burt also testified that he received information from Dr.
Eddie Sollie, a former physician employed during the time period
American Pain was doing business as South Florida Pain, who
terminated his employment at the Oakland Park clinic location in
November or December 2008 after working there for approximately two
and a half to three months. Id. at 827, 898. During the course of an
interview where Burt was present, Dr. Sollie related various
``concerns about how the practice was being handled or
[[Page 19392]]
managed.'' Id. at 827-28. These concerns included medical records
being, in his opinion, annotated inadequately by the doctors, and
what he perceived as a lack of supervision during patient urinalysis
testing, where patients would ``go[] to the bathrooms together,
bringing items with them to the bathrooms that could possibly
disguise the urinalysis.'' According to Burt, Sollie explained that
he perceived that patients were substituting urine produced by other
persons that contained the metabolites for controlled substances
that the patients claimed to be legitimately taking, with a view
towards falsely providing evidence to the American Pain doctors
showing that they were actually taking prescribed medications and
not diverting them. Id. at 828-29. During cross-examination, Burt
explained that Dr. Sollie told him he had raised these concerns with
Christopher George, the owner of American Pain, and that Burt had no
evidence that the deficient practices that Sollie had objected to
continued through 2010. Id. at 900, 906. Burt also acknowledged that
he was aware Dr. Sollie had been involved in litigation with Mr.
George and that their relationship was strained. Id. at 1009. Dr.
Sollie was not called as a witness by either party.
SA Burt also testified regarding the drug overdose deaths of TY
and SM after obtaining controlled substances from American Pain.\29\
Burt's record testimony indicates that DEA Task Force Officer \30\
(TFO) Barry Adams informed him that a Kentucky resident named TY
overdosed in Kentucky from oxycodone intoxication induced by
medication procured at American Pain. Burt testified that this
information was furnished pursuant to a working law enforcement
relationship between the Kentucky State Police, Kentucky FBI,
Kentucky DEA and Miami DEA aimed at addressing ``the brunt of the
pill problem'' centered within the state of Kentucky relative to
illegal use and resale of prescription pain medications. Id. at 833-
35. However, in his testimony, Burt was unable to recall the name of
the doctor from whom TY obtained his pills, and, thus, no admissible
evidence was presented by the Government with respect to TY's
death.\31\ Likewise, the record evidence concerning SM did not
implicate prescribing activity by the Respondent.
---------------------------------------------------------------------------
\29\ Although similar testimony concerning the overdose death of
a third individual, OB, was noticed in the Government's prehearing
statement, it was not offered by the Government at the hearing. ALJ
Ex. 6 at 8.
\30\ According to SA Burt, a ``task force officer'' is a local
police officer or sheriff's deputy that is assigned to work on a DEA
task force, rather than a sworn DEA criminal investigator. Tr. at
1031.
\31\ See Tr. at 836-53 (addressing exclusion of Govt. Ex. 27 and
associated testimony).
---------------------------------------------------------------------------
Perhaps among the more striking aspects of SA Burt's performance
on the witness stand is the anticipated testimony which he did not
provide. When viewed in its entirety, SA Burt's record testimony was
stunningly sparse when compared with his proposed testimony as
noticed in the Government's prehearing statement.\32\ That certain
information may be unavailable for reasons related to other
litigation forums or other equally valid reasons are of no moment
with respect to the evaluation that must be made at this
administrative forum. Equally important, such considerations do not
alter the burdens imposed upon the respective parties. Simply put,
the admitted evidence must succeed or fail on its own merits,
irrespective of extraneous considerations.
---------------------------------------------------------------------------
\32\ ALJ Ex. 6.
---------------------------------------------------------------------------
Even apart from the marked contrast between the Burt testimony
as proffered and as realized, his testimony was marred by periodic
memory failures on significant issues and an inability to supply
details to an extent that it could arguably have diminished the
weight that could be fairly attached to those aspects of his own
investigation that he did manage to recollect. During his testimony,
SA Burt acknowledged his own marked lack of preparation and
unfamiliarity with the investigation and confessed simply that
``[t]here's no excuse * * * .'' Id. at 1003-05.
Even acknowledging its obvious suboptimal aspects, SA Burt's
testimony had no apparent nefarious motivation or indicia of
intentional deceit. Burt came across as an earnest and believable
witness, who, regarding the aspects of the case that he did recall,
was able to impart substantial information about the investigation
and activities involving American Pain and its doctors. While
frequently lacking in detail, his testimony was not internally
inconsistent or facially implausible, and although the legal weight
I have assigned to certain portions of Burt's testimony varies given
the issues described, I find his testimony to be credible overall.
The Government presented the bulk of its case through the report
and testimony of its expert, L. Douglas Kennedy, M.D., D.A.B.P.M.,
Affiliate Clinical Assistant Professor at the University of Miami,
Miller School of Medicine.\33\ Dr. Kennedy, who testified that he is
board certified by the American Board of Pain Medicine and the
American Board of Anesthesiology,\34\ was offered and accepted as an
expert in the field of pain medicine. Id. at 39.
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\33\ Dr. Kennedy's CV was admitted into evidence. Govt. Ex. 117.
\34\ Tr. at 17.
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Dr. Kennedy testified that after a review of a group of selected
patient files from those seized at the Respondent's practice that
were to him provided by the Government, he concluded that the
Respondent's physical examinations, treatment plans, and patient
histories were below the standard fixed by the Florida Medical Board
and that that controlled substances was not for a legitimate medical
purpose. Id. at 579-82.
Dr. Kennedy took professional issue with several aspects of the
Respondent's patient care as reflected in the charts regarding the
prescribing of controlled substances. It is apparent from his
testimony that Dr. Kennedy's analysis is restricted to those matters
which can be gleaned from an examination of the written word in that
subset of the Respondent's patient charts provided by the Government
for his review, and that limitation perforce circumscribes the
breadth of his input. That being said, Dr. Kennedy highlighted
numerous features in the Respondent's chart documentation that he
found wanting, or at least remarkable.
Dr. Kennedy explained that there are basic elements to
practicing pain medicine. The acquisition of a thorough history and
physical examination is important. Id. at 41-42. He also stressed
the vital importance of obtaining past medical records to evaluate
what treatments, therapies, medications, and dosages have been
utilized in the past so that correct current treatment decisions can
be made. Id. at 45-46. Reliance upon the patient's memory of these
elements without the prior medical records, in Dr. Kennedy's view is
not reliable or acceptable. Id. at 46-47. Dr. Kennedy acknowledged
that physicians customarily accept patients at their word, but on
the subject of verifying a patient's subjective complaint and
medication history, Dr. Kennedy explained that
[s]ometimes you have to help people understand why they're suffering
or what their problems are. A person with an addiction or drug abuse
problem is no worse a human being than me. I'm not any better than
them. But it's your job as a doctor to sit down and find out what
the truth is as well as you reasonably can under the circumstances.
Id. at 357.
Dr. Kennedy also prepared a report in connection with the
Government's case against the Respondent, which is dated April 30,
2010, and was admitted into evidence. Govt. Ex. 76; Tr. at 579. The
report describes a general analysis of seventeen charts that the
Respondent maintained on as many patients, that were (selected by and)
provided to Dr. Kennedy by the Government from among patient files
seized pursuant to a criminal search warrant executed at the
Respondent's practice on March 3, 2010 (Patient Charts Analysis).
Although this report purports to describe practices common to all
seventeen files reviewed by Dr. Kennedy, much of the analysis is
directed toward a chart prepared in connection with MB,\35\ one of the
Respondent's patients.
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\35\ At the request of the Government, a protective order was
issued that is designed to minimize the risk of the dissemination of
identifying information related to patients and their relatives
associated with this case. Accordingly, initials have been
substituted for the names of individuals within the protection of
the protective order throughout the body of this decision. ALJ
Ex.15.
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Dr. Kennedy's report makes it unambiguously clear that, in his
opinion, all seventeen of the Respondent's charts that he reviewed
suffered from the same shortcomings.\36\
[[Page 19393]]
The Patient Charts Analysis states that the Respondent's patient charts
that Dr. Kennedy reviewed ``are essentially the same with regard to
review issues; as stated in the report of [MB] referenced and discussed
in this report in detail, [and that] there were no significant
differences that affected [his] conclusions and summary.'' Govt. Ex. 76
at 2.
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\36\ The Government's tactical decision to essentially unload a
pile of charts that are explained only by the representations and
generalizations in a report, with no attempt whatsoever to have its
expert witness explain the applicable aspects of most charts to this
tribunal or any future reviewing body is clearly at odds with the
directive provided by the Deputy Administrator in Gregg & Son
Distributors that ``it is the Government's obligation as part of its
burden of proof and not the ALJ's responsibility to sift through the
records and highlight that information which is probative of the
issues in the proceeding'' 74 FR 17517 n.1.
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In Dr. Kennedy's opinion, the patient charts he reviewed that were
prepared by the Respondent reflected care that fell below the
applicable standard on multiple levels. In his report, Dr. Kennedy
noted that the treatment notes in the charts: (1) Contained no
typewritten clinical notes and were ``very brief, difficult to read
(often impossible) and not within the standard of care due to their
brevity and quality''; \37\ (2) reflected prescriptions, right from the
initial patient visit, that ``were almost entirely for controlled
substances, most often one or two immediate release oxycodone pills
with Xanax,'' and which were, in Dr. Kennedy's view, inappropriate and
more powerful than justified by the objective signs documented in the
written notes; \38\ (3) showed that ``the same or very similar `drug
cocktails' were prescribed [among all patients in the reviewed files]
in the same or very similar doses, [directions] * * * with a 30-day
supply,'' and were affixed to the prescription scripts with a few
prepared stamps utilized by all American Pain physicians that reflected
``drug, dose, sig (directions) and quantity dispensed''; \39\ (4)
contained medication contracts that were ``not always signed'' and
``listed criteria that was not followed by the doctors at American
Pain; \40\ (5) failed to adequately document the efficacy of the
prescribed medication; (6) did not set forth a ``diagnostic plan except
to obtain an occasional MRI, the results of which made no difference in
the `treatment' ''; \41\ (7) reflected ``no therapeutic plan, except to
use controlled substances to `treat' the subjective complaint of `pain'
which was inadequately described''; \42\ (8) reflected ``no real
therapeutic goals * * * for improvement of quality of life (activities
of daily living, work, sleep, mood)''; \43\ (9) did not reflect
``consultations with other physicians or specialists outside the
American Pain group [which] could have and in some cases should have
included orthopedics, neurology, neurosurgery, psychiatry, addiction
medicine and psychology''; \44\ (10) reflected ``a gross lack of past
medical records in all charts reviewed and in some cases none at all'';
\45\ and, (11) demonstrated controlled substance patient monitoring
practices that were ``not within the standard of care and was outside
the boundaries of professional practice.'' \46\
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\37\ Govt. Ex. 76 at 4.
\38\ Govt. Ex. 76 at 4. In Dr. Kennedy's opinion, the Respondent
``prescribed, at the first visit, very high initial doses of
controlled substance combinations despite not being within the
standard of care for histories, physical examinations and/or absent
past medical records.'' Id. at 7.
\39\ Govt. Ex. 76 at 4.
\40\ Govt. Ex. 76 at 3. As an example of the failure to adhere
to the terms of the medication contract, Dr. Kennedy cites a
contract term that provides notice that the physician may stop
prescribing opioids or change treatment if pain or activity
improvement is not demonstrated, and points out that pain and
activity levels are routinely not documented in treatment notes. Id.
at 3-4. Similarly, Dr. Kennedy references a medication contract
warning that termination of services may result from failure to make
regular follow-up appointments with primary care physicians, and
notes that the American Pain charts contain no notes from primary
care physicians or medical records generated by them. Id. at 4.
\41\ Govt. Ex. 76 at 7. In Dr. Kennedy's opinion, Respondent in
effect, acted as a `barrier' for [MB] to receive appropriate medical
evaluation and treatment. In other words, the very potent, high
doses of opioids (oxycodone) and benzodiazepine (Xanax) could mask
or cover up [MB's] underlying disease process(s), making them more
difficult to diagnose, and allowing the disease(s) to unnecessarily
worsen. Without an accurate diagnosis[] and no plan to obtain one,
[the Respondent] was masking the symptoms. Id. at 10-11.
\42\ Govt. Ex. 76 at 7.
\43\ Govt. Ex. 76 at 7.
\44\ Govt. Ex. 76 at 7.
\45\ Govt. Ex. 76 at 15. MB's chart did not contain any past
medical records, save for a Lumbar report from an MRI performed six
weeks before MB's first clinic visit to see the Respondent. Id. at
8.
\46\ Govt. Ex. 76 at 14.
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Dr. Kennedy found the Respondent's controlled substance patient
monitoring to be deficient in numerous respects. From the reviewed
patient charts, Dr. Kennedy gleaned that an initial, in-office urine
drug screen was frequently executed during the patients' initial visit
to the office but repeated only occasionally. Govt. Ex. 76 at 14. It
was Dr. Kennedy's observation that even a drug screen anomaly did not
alter the seemingly inexorable continuation of controlled substance
prescribing from the Respondent. Id. For instance, Dr. Kennedy notes
that MB's patient file contains a notation about the patient getting
Roxicodone ``off the street,'' along with an initial positive
urinalysis screen for oxycodone, yet the Respondent continued to
prescribe MB with additional Roxicodone during his initial and
subsequent visits. Id. at 8-9, 11; see also Govt. Ex. 87 at 4, 9; 90 at
3, 9; 91 at 4, 8; 93 at 5, 10 (similar notations involving other
patient's acquiring controlled substances ``off the street''). Dr.
Kennedy also noted that the Respondent did not utilize out-of-office
toxicology tests, or obtain out-of-state prescription monitoring
program or outside pharmacy drug profiles. Furthermore, the charts
contained only rare evidence of contact with primary care physicians,
treating physicians, pharmacists, or other health care providers. Id.
The identi