[Federal Register Volume 82, Number 80 (Thursday, April 27, 2017)]
[Notices]
[Pages 19385-19390]
From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
[FR Doc No: 2017-08452]
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DEPARTMENT OF JUSTICE
Drug Enforcement Administration
David D. Moon, D.O.; Decision and Order
On December 8, 2015, the Deputy Assistant Administrator, Office of
Diversion Control, Drug Enforcement Administration (hereinafter, DEA or
Government), issued an Order to Show Cause to David D. Moon, D.O.
(hereinafter, Registrant), the holder of Certificates of Registration
Nos. M9879024, in Tulsa, Oklahoma, and BM2782692, in Las Vegas, Nevada,
authorizing him to prescribe controlled substances in Schedules II
through V.\1\ GX 4. The Show Cause Order proposed the revocation of his
Certificates of Registration and the denial of any pending application
for renewal or modification of Registrant's registrations on the
grounds that: (1) Registrant does not have authority to dispense
controlled substances in the States in which he is registered and (2)
he has committed acts which render his registrations ``inconsistent
with the public interest.'' \2\ Id. at 1 (citing 21 U.S.C. 824(a)(3)
and (4)).
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\1\ The Registrant is also known in the Government's records as
``David DeWayne Moon.'' Government Exhibit (hereinafter, GX) 13 and
14.
\2\ The Show Cause Order also proposed the denial of any
applications by Registrant for any other DEA registrations.
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As the jurisdictional basis for the proceeding, the Show Cause
Order alleged that both of Registrant's registrations expire on January
31, 2018. Id.
As the substantive grounds for the proceeding, the Show Cause Order
alleged that on June 18, 2015, the Oklahoma State Board of Osteopathic
Examiners revoked his Oklahoma osteopathic license, and that on August
11, 2015, the Nevada State Board of Osteopathic Medicine revoked his
Nevada osteopathic license, which resulted in the status of his Nevada
State Board of Pharmacy license becoming ``inactive.'' Id. at 2. Thus,
due to the actions of the two Boards, the Registrant is without
authority to handle controlled substances in the States in which he is
registered with DEA.
The Show Cause Order alleged that on April 17, 2013, Registrant was
arrested at McCarran International Airport while proceeding through a
Transportation Security Administration checkpoint. Id. It further
alleged that law enforcement officers found in his carry-on baggage
drugs in pill bottles labeled for other people, drugs in unlabeled pill
bottles, and loose drugs. Id. Based on the airport
[[Page 19386]]
arrest, the Show Cause Order alleged that the Registrant possessed
controlled substances with the intent to redistribute them to
individuals for whom they were not originally dispensed, in violation
of 21 U.S.C. 829(a) and (b), 21 U.S.C. 841(a)(1), 21 U.S.C. 842(a), 21
U.S.C. 843(a)(3), 21 U.S.C. 844(a), 21 U.S.C. 844a(a), and Nev. Rev.
Stat. Sec. Sec. 453-337-.338. Id. at 4. The Show Cause Order also
alleged, based on the airport arrest, that Registrant possessed
prescription bottles without a label or with an unreadable or illegible
label in violation of 21 U.S.C. 825(a) and 21 U.S.C. 842(a). Id.
Based on a subsequent Government investigation and the execution of
an Administrative Inspection Warrant (hereinafter, AIW), the Show Cause
Order alleged that Registrant accepted controlled substances from non-
DEA registered sources (patients) and redistributed those illicitly
obtained controlled substances to other patients in violation of 21
U.S.C. 844(a) and 21 U.S.C. 841(a)(1), respectively. Id. Based on the
execution of the AIW, the Show Cause Order also alleged that Response
could not produce 32 controlled substance invoices in violation of 21
U.S.C. 842(a)(5) and 21 CFR 1304.21(a). Id. The Show Cause Order also
alleged, based on the AIW, that Registrant failed to take a biennial
inventory of controlled substances stored at one of his registered
locations in violation of 21 U.S.C. 827(a) and (b) and 21 CFR
1304.11(c). Id. Also pursuant to the AIW, the Show Cause Order alleged
that Registrant had significant shortages of controlled substances at
his registered address in Tulsa, Oklahoma and was missing purchase
records and that Registrant failed to maintain accurate and complete
records and to account for controlled substances in violation of 21
U.S.C. 827(a)(3), 21 U.S.C. 842(a)(5), 21 CFR 1304.03, 21 CFR 1304.04,
and 21 CFR 1304.21. Id. at 4-5.
Based on another Government investigation, the Show Cause Order
alleged that Registrant issued at least 55 controlled substance
prescriptions in Nevada under a registration which listed his
registered address in Oklahoma in violation of 21 U.S.C. 822(e) and 21
CFR 1301.12(a) and (b)(3). Id. at 5.
The Show Cause Order also notified Registrant of his right to
request a hearing on the allegations or to submit a written statement
while waiving his right to a hearing, the procedure for electing each
option, and the consequence for failing to elect either option. Id. at
5-6 (citing 21 CFR 1301.43).
Adequacy of Service and Waiver
According to the ``Affidavit of Service of Order to Show Cause''
submitted by a Diversion Investigator (hereinafter, DI) assigned to the
DEA Tulsa Resident Office, on January 7, 2016, ten separate copies of
the Show Cause Order were sent to Registrant by certified mail, first-
class mail, and electronic mail to his registered addresses, as well as
his last-known home and electronic mail addresses. GX 5. Specifically,
the DI stated that the Government served the Show Cause Order on
Registrant (1) by certified mail, return receipt requested addressed to
Registrant's registered address at 11445 East 20th Street, Tulsa,
Oklahoma 74128; (2) by regular first-class U.S. mail addressed to
Registrant's registered address at 11445 East 20th Street, Tulsa,
Oklahoma 74128; (3) by certified mail, return receipt requested
addressed to Registrant's registered address at 241 N. Buffalo Drive,
Bldg. 1, Las Vegas, Nevada 89145; (4) by regular first-class U.S. mail
addressed to Registrant's registered address at 241 N. Buffalo Drive,
Bldg. 1, Las Vegas, Nevada 89145; (5) by certified mail, return receipt
requested addressed to Registrant's last known home address in Oklahoma
at 2136 East 25th Street, Tulsa 74114; (6) by regular first-class U.S.
mail addressed to Registrant's last known home address in Oklahoma at
2136 East 25th Street, Tulsa 74114; (7) by certified mail, return
receipt requested addressed to Registrant's last known home address in
Nevada at 2814 Soft Horizon Way, Las Vegas 89135; (8) by regular first-
class U.S. mail addressed to Registrant's last known home address in
Nevada at 2814 Soft Horizon Way, Las Vegas 89135; (9) by electronic
mail at the email address that appears in DEA's registration database
for Registrant's Tulsa registered location; and (10) by electronic mail
at the email address that appears in DEA's registration database for
Registrant's Las Vegas registered location.\3\ Id. at 1-2.
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\3\ In Mikhayl Soliman, 81 FR 47826 (2016), I acknowledged that
service by email has its limitations. See Rio Properties, Inc. v.
Rio Int'l Interlink, 284 F.3d 1007, 1017-18 (9th Cir. 2002). Here,
the Government employed multiple means to serve Registrant and, as
in Soliman, used the email address Registrant had previously
provided it and did not receive either an error or an undeliverable
message.
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According to the ``Supplemental Affidavit of Service of Order to
Show Cause'' (hereinafter, Supplemental Affidavit) submitted by the
Tulsa Resident Office DI, the certified mail, return receipt and
regular first-class mailings addressed to Registrant's registered
address in Tulsa, Oklahoma were returned with the notation ``return to
sender, vacant.'' GX 6, at 1. The Supplemental Affidavit stated that
the mailings addressed to Registrant's registered address in Las Vegas
and his last known home address in Oklahoma were not returned and the
Government did not receive the certified return receipt green cards for
those mailings sent certified mail, return receipt. Id. at 2. The
Supplemental Affidavit stated that the regular first-class mailing
addressed to Registrant's last known home address in Las Vegas was not
returned. Id. at 3. The Supplemental Affidavit stated that the
certified mail, return receipt mailing addressed to Registrant's last
known home address in Las Vegas was returned with the notation
``unclaimed.'' Id. at 2. According to the Supplemental Affidavit, the
electronic mailings did not generate any error message that they were
not sent successfully or any notification that they were undeliverable.
Id. at 3.
I find that the Government's service of the Show Cause Order on
Registrant was legally sufficient. According to the Supreme Court,
``due process does not require actual notice.'' \4\ Jones v. Flowers,
547 U.S. 220, 225 (2006) (citing Dusenbery v. United States, 534 U.S.
161, 170 (2002)). Instead, the Court has repeatedly stated that, ``due
process requires the government to provide `notice reasonably
calculated, under all the circumstances, to apprise interested parties
of the pendency of the action and afford them an opportunity to present
their objections.' '' Jones v. Flowers, supra, 547 U.S. at 226 (citing
Mullane v. Central Hanover Bank & Trust Co., 339 U.S. 306, 314 (1950)).
Moreover, ``the Due Process Clause does not require . . . heroic
efforts by the Government'' to find Registrant. Dusenbery, supra.
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\4\ Nevertheless, I note that only three of the Government's ten
attempts to provide notice were clearly ineffective; the other seven
may very well have been effective.
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Here, the Government mailed the Show Cause Order by certified mail
and by regular first-class mail to Registrant's addresses of record and
last-known home addresses. The Government also emailed the Order to
Show Cause to the email addresses which Registrant had provided to the
Government. I find therefore that the Government's efforts were
reasonably calculated under all the circumstances to apprise Registrant
of the Order to Show Cause and to afford him an opportunity to present
his objections.
On November 4, 2016, the Government submitted a Request for Final
Agency Action (hereinafter,
[[Page 19387]]
RFAA) and an evidentiary record to support its proposed action. On
March 21, 2017, it updated its RFAA representing that ``because
Registrant has not requested a hearing within 30 days of any receipt of
the . . . [Order to Show Cause] and has not otherwise corresponded or
communicated with DEA regarding the . . . [Order to Show Cause],
including the filing of any written statement in lieu of a hearing, he
has waived his right to a hearing.'' Id. at 4.
Based on the Government's representations and my review of the
record, I find that more than 30 days have now passed since the date on
which Registrant was served with the Show Cause Order and neither
Registrant, nor anyone purporting to represent him, has requested a
hearing or submitted a written statement while waiving his right to a
hearing. Accordingly, I find that Registrant has waived his right to a
hearing and his right to submit a written statement. 21 CFR 1301.43(d).
I therefore issue this Decision and Order based on the record submitted
by the Government. 21 CFR 1301.43(e).
Findings of Fact
Registrant's DEA Registrations
Registrant currently holds DEA practitioner registrations BM9879024
and BM2782692, pursuant to which he is authorized to dispense
controlled substances in Schedules II through V. GX 13 and 14. These
registrations do not expire until January 31, 2018. Id.
DEA practitioner registration BM9879024 is assigned to Registrant
at 11445 East 20th Street, Tulsa, OK 74128. GX 14, at 1. DEA
practitioner registration BM2782692 is assigned to Registrant at
``Accelerated Rehab & Pain Ctr, 241 N. Buffalo Drive, Bldg. 1, Las
Vegas, NV 89145.'' GX 13, at 1. However, from August 11, 2014 until
December 15, 2014, the address associated with Registrant's BM2782692
registration was 11445 East 20th Street, Tulsa, OK 74128. Id. On
December 15, 2014, Registrant changed the address associated with
registration number BM2782692 to 241 N. Buffalo Drive, Bldg. 1, Las
Vegas, NV 89145. Id.
The Status of Registrant's State Licenses
By Order dated June 18, 2015, the Oklahoma State Board of
Osteopathic Examiners revoked Registrant's license number 2965 to
practice osteopathic medicine in the State of Oklahoma. GX 7.
Effective August 11, 2015, the Nevada State Board of Osteopathic
Medicine revoked Registrant's license number 705 to practice
osteopathic medicine in the State of Nevada. GX 8, at 4. Also, the
status of Registrant's Nevada State Board of Pharmacy license number
CS07559 is ``revoked by other agency.'' GX 9.\5\
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\5\ I take official notice that the online records of the
Oklahoma State Board of Osteopathic Examiners and the Nevada State
Board of Osteopathic Medicine show Registrant does not currently
possess a license issued by the Oklahoma State Board of Osteopathic
Examiners or the Nevada State Board of Osteopathic Medicine. Under
the Administrative Procedure Act, an agency ``may take official
notice of facts at any stage in a proceeding--even in the final
decision.'' United States Department of Justice, Attorney General's
Manual on the Administrative Procedure Act 80 (1947) (Wm. W. Gaunt &
Sons, Inc., Reprint 1979).
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Arrest of Registrant
On April 17, 2013, Registrant was arrested as he attempted to pass
through a McCarran International Airport Transportation Security
Administration checkpoint with an unregistered firearm. GX 10, at 2-3.
Law enforcement officers found a large quantity of pills in
Registrant's carry-on bag along with the firearm. Id. According to the
Las Vegas Metropolitan Police Department Arrest Report (hereinafter,
Arrest Report), Registrant was ``arrested for possession of a
controlled substance with intent to sell/distribute schedule three,
possession of a controlled substance with intent to sell/distribute
schedule four, possession of an unregistered firearm, and possession of
hypodermic devices.'' Id. at 7.
According to the Arrest Report, Registrant possessed controlled
substances with the intent to redistribute them to individuals for whom
they were not originally dispensed. Id. at 4-7. The Arrest Report
contained a list of pills seized from Registrant at the time of his
arrest. Id. at 4-5. Other than stating that the author of the Arrest
Report, ``Detective Shulke (phonetic), and Drug Enforcement
Administration Special Agent C. Johnson conducted an inventory of the
pharmaceutical products located in Moon's (phonetic) possession,'' the
Arrest Report did not include factual support for the officers'
conclusions that the seized pills were the controlled substances the
Arrest Report stated them to be. Id. at 4. It did not, for example,
state that the officers submitted the seized pills for lab testing or
analyzed them using a resource that identified them based on size,
shape, color, and imprint. Thus, I cannot place any weight on the
statements in the Arrest Report that the seized pills were, in fact,
controlled substances. The Government has produced no other evidence
establishing that any of the pills seized from Registrant on the date
he was arrested were controlled substances.
Further, while the Arrest Report recounted Registrant ``simply''
stating that ``some of his folks that he had previously treated were
simply trying to destroy their medication, and . . . [Registrant] was
willing to take possession of those medications again later to
distribute to those that are indigent and in need,'' the Arrest Report
never stated that Registrant admitted possessing controlled substances
not prescribed to himself or intended to redistribute controlled
substances to individuals for whom they were not originally
dispensed.\6\ Id. at 6.
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\6\ In this portion of the Arrest Report, Registrant did not
admit taking possession of and redistributing controlled substances,
only ``medications.'' Id. at 6. Also according to the Arrest Report,
Registrant ``saw nothing wrong with his possession of the controlled
substances.'' Id. at 3. However, this statement is imprecise; it
could have concerned Registrant's possession of the hydrocodone
tablets the Arrest Report stated were in a prescription bottle
bearing Registrant's name. Id. at 4.
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Similarly, the record contains scant evidence regarding ``the
unreadableness/illegibility of some labels on the prescription bottles
and the absence of any label on other prescription bottles.'' GX 4, at
4. However, as stated above, the Arrest Report did not provide a basis
for the officers' conclusions that the seized pills were controlled
substances. Further, nothing else in the record established that the
seized pills were controlled substances. Since the statutory sections
cited in the Show Cause Order regarding these allegations only apply to
controlled substances, and the record does not contain substantial
evidence that the pills seized from Registrant at McCarran
International Airport were, in fact, controlled substances, I cannot
place any weight on the evidence in the record to support these alleged
violations.'' \7\
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\7\ While substantial evidence regarding these allegations may
exist due to the Oklahoma State Board of Osteopathic Examiners Order
of Probation with Conditions concerning David Moon, D.O., dated
December 10, 2014 and effective December 31, 2014, the Order of
Probation with Conditions was not submitted as part of the RFAA.
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Investigations of Registrant
After Registrant's arrest, the Government undertook a multi-faceted
investigation of Registrant.
According to the affidavit of a DI assigned to DEA's Tulsa Resident
Office, on May 2, 2013, she and other Investigators executed an
Administrative Inspection Warrant at Registrant's Oklahoma registered
address. GX 12, at 1. At that time, she
[[Page 19388]]
reviewed all pertinent documents and controlled substances records that
Registrant was required to keep. Id. She found that Registrant failed
to maintain a biennial inventory. Id.
According to the Tulsa DI's affidavit, she issued administrative
subpoenas to five entities for a complete sales history of all of
Registrant's controlled substances purchases for the previous two
years. Id. In comparing the information received from the five
administrative subpoenas with the records Registrant provided during
the inspection, she identified 32 invoices for controlled substances
that Registrant failed to produce during the administrative inspection
of May 2, 2013. Id. at 2.
While the Government submitted evidence concerning other portions
of its AIW investigation of Registrant, GX 11 and 12, the evidence
lacked a sufficient foundation. The evidence consisted of a copy of the
AIW, a portion of the affidavit of a DI who participated in the
execution of the AIW, and ``a complete and accurate copy of the DEA
Computation Chart'' prepared as part of the DI's accountability audit.
Id. These materials did not, however, provide a sufficient foundation
or sufficient detail concerning the procedure followed during the audit
of Registrant. Thus, I cannot place any weight on this evidence.
Further, no portion of these materials addressed the allegations in
the AIW portion of the Show Cause Order that Registrant accepted
controlled substances from non-DEA registered sources and redistributed
those illicitly obtained controlled substances to other patients. GX 4,
at 4. I examined the entire record for evidence concerning these two
allegations. The Arrest Report stated that Registrant possessed a
``large quantity'' of ``what appeared to be prescription medication''
that ``belonged to various family members and former patients.'' GX 10,
at 3. As I stated above, however, the Arrest Report did not contain
factual support that the seized pills were controlled substances. Thus,
I cannot place any weight on that evidence in the Arrest Report. For
the same reason, the Arrest Report evidence cannot support the AIW-
related allegations that Registrant accepted controlled substances from
non-DEA registered sources and redistributed those illicitly obtained
controlled substances to other patients. I found no other evidence in
the record that supports these two AIW-related allegations.
According to the affidavit of a Diversion Group Supervisor assigned
to the DEA Las Vegas District Office, on October 30, 2014, she and
other Investigators conducted a Scheduled Investigation at a SAV-ON
Pharmacy in Las Vegas, Nevada. GX 15, at 1. At that time, the
Investigators reviewed six randomly selected bundles of prescriptions
and noticed prescriptions written by Registrant during a period when he
did not have a DEA registration in the State of Nevada. Id. On November
3, 2014, the Investigators obtained copies of Registrant's controlled
substance prescriptions filled at that SAV-ON Pharmacy in Las Vegas
from August 11, 2014 through October 29, 2014. Id.
I examined each of prescriptions the Government obtained from the
Las Vegas SAV-ON Pharmacy. Based on my review of this evidence, from
August 11, 2014 through October 29, 2014, Registrant issued at least 55
controlled substance prescriptions for drugs including oxycodone (23),
morphine (17), adderall (six), tapentadol (six), methadone (two), and
hydrocodone (one) on prescriptions showing Registrant's name as well as
``Accelerated Rehabilitation & Pain Center'' and its Las Vegas, Nevada
contact information, Registrant's Nevada license number, and DEA
registration number BM2782692.
Discussion
Under Section 304 of the Controlled Substances Act (hereinafter,
CSA), ``[a] registration . . . to . . . dispense a controlled substance
. . . may be . . . revoked by the Attorney General upon a finding that
the registrant . . . has had his State license or registration . . .
revoked . . . by competent State authority and is no longer authorized
by State law to engage in the . . . dispensing of controlled substances
. . . .'' 21 U.S.C. 824(a)(3). Section 304 also provides that a
registration may be revoked ``upon a finding that the registrant . . .
has committed such acts as would render his registration under section
823 of this title inconsistent with the public interest as determined
under such section.'' Id. Sec. 824(a)(4).
In making the public interest determination, the CSA requires the
consideration of the following factors:
(1) The recommendation of the appropriate State licensing board
or professional disciplinary authority.
(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.
Id. Sec. 823(f)(1)-(5).
``[T]hese factors are . . . considered in the disjunctive.'' Robert
A. Leslie, M.D., 68 FR 15227, 15230 (2003). It is well settled that I
``may rely on any one or a combination of factors and may give each
factor the weight [I] deem[ ] appropriate in determining whether'' to
revoke a registration. Id.; see also MacKay v. Drug Enforcement Admin.,
664 F.3d 808, 816 (10th Cir. 2011); Volkman v. DEA, 567 F.3d 215, 222
(6th Cir. 2009); Hoxie v. DEA, 419 F.3d 477, 482 (6th Cir. 2005).
Moreover, while I am required to consider each of the factors, I ``need
not make explicit findings as to each one.'' MacKay, supra, 664 F.3d at
816 (quoting Volkman, 567 F.3d at 222); see also Hoxie, supra, 419 F.3d
at 481.\8\
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\8\ ``In short, this 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; what matters is the seriousness of the registrant's
misconduct.'' Jayam Krishna-Iyer, M.D., 74 FR 459, 462 (2009).
Accordingly, as the Tenth Circuit has recognized, findings under a
single factor can support the revocation of a registration. MacKay,
supra, 664 F.3d at 821. Likewise, findings under a single factor can
support the denial of an application.
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Under DEA's regulation, ``[a]t any hearing for the revocation or
suspension of a registration, the Administration shall have the burden
of proving that the requirements for such revocation or suspension
pursuant to . . . 21 U.S.C. [Sec. ] 824(a) . . . are satisfied.'' 21
CFR 1301.44(e). The Government retains the burden of providing
substantial evidence to support the proposed action even when the
registrant does not request a hearing.
In this case, I conclude that the record supports two independent
grounds for revoking Registrant's registrations. First, Registrant does
not possess authority to dispense controlled substances under the laws
of Oklahoma or Nevada, the States in which he is registered. 21 U.S.C.
824(a)(3). Second, Registrant violated multiple controlled substances-
related regulatory requirements incumbent on registrants, thereby
rendering his registrations ``inconsistent with the public interest.''
Id. Sec. 824(a)(4).
Registrant's Lack of State Authority
DEA has long held that the possession of authority to dispense
controlled substances under the laws of the State in which a
practitioner engages in professional practice is a fundamental
[[Page 19389]]
condition for obtaining and maintaining a registration. Frederick Marsh
Blanton, 43 FR 27616 (1978) (``State authorization to dispense or
otherwise handle controlled substances is a prerequisite to the
issuance and maintenance of a Federal controlled substances
registration''). See also Rezik A. Saqer, 81 FR 22122, 22126 (2016)
(``DEA has interpreted the CSA in this manner for nearly 40 years.'')
and James Hooper, 76 FR 71371 (2011) (collecting cases), pet for rev.
denied, 481 Fed. Appx. 826 (4th Cir. 2012).
As DEA has repeatedly held, this rule derives from multiple
provisions of the CSA. First, in section 802(21), Congress defined the
term ``practitioner'' to mean ``a physician . . . or other person
licensed, registered or otherwise permitted, by . . . the jurisdiction
in which he practices . . . to distribute, dispense, . . . [or]
administer . . . a controlled substance in the course of professional
practice . . . .'' 21 U.S.C. 802(21). Second, Congress directed that
the Attorney General ``shall register practitioners . . . if the
applicant is authorized to dispense . . . controlled substances under
the laws of the State in which he practices.'' Id. Sec. 823(f). Third,
Congress authorized revocation ``upon a finding that the registrant . .
. has had his State license . . . suspended [or] revoked . . . by
competent State authority and is no longer authorized by State law to
engage in the . . . dispensing of controlled substances.'' Id. Sec.
824(a)(3).
Here, the Government has provided substantial evidence establishing
that Registrant no longer possesses authorization to dispense
controlled substances in Oklahoma and Nevada, the States in which he is
registered. As found above, on June 18, 2015, the Oklahoma State Board
of Osteopathic Examiners revoked Registrant's osteopathic license, GX
7, and effective August 11, 2015, the Nevada State Board of Osteopathic
Medicine revoked his osteopathic license. GX 8. See also GX 9.
Accordingly, I find the Government has proved by substantial evidence
that Registrant's authorizations to prescribe controlled substances in
both Oklahoma and Nevada have been revoked and I take official notice
that both States' revocations remain in place as of the date of this
Decision and Order. I, therefore, find that Registrant is currently
without authority to dispense controlled substances in Oklahoma and
Nevada, the States in which he is registered, and he is, therefore, not
entitled to maintain his DEA registrations. Frederick Marsh Blanton,
supra. Accordingly, I will order that his two registrations, BM9879024
and BM2782692, be revoked and that any pending application for the
renewal or modification of these registrations be denied. 21 U.S.C.
824(a)(3), id. Sec. 823(f).
Acts Inconsistent With the Public Interest
Pursuant to section 304(a)(4), the Attorney General is also
authorized to revoke a registration ``upon a finding that the
registrant . . . has committed such acts as would render his
registration under section 823 of this title inconsistent with the
public interest as determined under such section.'' 21 U.S.C.
824(a)(4).
In this matter, while I have considered all of the factors, I find
the Government's evidence as to factors two and four dispositive.\9\ I
find that the record taken as a whole provides substantial evidence
that Registrant violated provisions of the CSA requiring (1) the
holding of a separate registration; (2) the taking of a biennial
inventory; and (3) the maintenance of ``complete and accurate''
records.
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\9\ As to factor one, there is no evidence that either the
Oklahoma State Board of Osteopathic Examiners or the Nevada State
Board of Osteopathic Medicine made a recommendation to DEA; both,
however, revoked Registrant's licenses to practice osteopathic
medicine.
As to factor three, although the record contains evidence
concerning Registrant's arrest at McCarran International Airport, I
acknowledge that there is no evidence that Registrant has been
convicted of an offense under Federal, Oklahoma, or Nevada law
``relating to the manufacture, distribution or dispensing of
controlled substances.'' 21 U.S.C. 823(f)(3). However, there could
be any number of reasons why a person who has engaged in criminal
misconduct may never have been convicted of an offense under this
factor, let alone have been prosecuted for one. Dewey C. MacKay, 75
FR 49956, 49973 (2010), pet. for rev. denied, MacKay v. Drug
Enforcement Admin., 664 F.3d 808 (10th Cir. 2011). The DEA has
therefore held that ``the absence of such a conviction is of
considerably less consequence in the public interest inquiry'' and
is therefore not dispositive. Id.
The Government did not allege in the Show Cause Order any
misconduct exclusively with respect to factor five.
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Factors Two and Four--The Registrant's Experience in Dispensing
Controlled Substances and Compliance With Applicable Laws Related to
Controlled Substances
The Dispensing Allegations
The CSA requires a ``separate registration . . . at each principal
place of business or professional practice where the applicant . . .
distributes . . . or dispenses controlled substances . . . .'' 21
U.S.C. 822(e)(1). See also 21 CFR 1301.12(a); Clarification of
Registration Requirements for Individual Practitioners, 71 FR 69478
(2006); Joe W. Morgan, 78 FR 61961 (2013). The CSA's definition of
``dispense'' explicitly includes the prescribing of a controlled
substance. 21 U.S.C. 802(10).
Based on my review of the evidence submitted by the Government, the
Registrant issued, from August 11, 2014 through October 29, 2014, at
least 55 controlled substance prescriptions on prescriptions showing
Registrant's name as well as ``Accelerated Rehabilitation & Pain
Center'' and its Las Vegas, Nevada contact information, Registrant's
Nevada license number, and DEA registration number BM2782692. Supra.
Also during this time period, according to the evidence submitted by
the Government, the address associated with DEA registration BM2782692
was in Oklahoma. Supra.
The Order to Show Cause alleged that, by issuing these 55
prescriptions ``in one state under a DEA registration issued for
another state,'' Registrant violated 21 U.S.C. 822(e) and 21 CFR
1301.12(a) and (b)(3). GX 4, at 5. These legal provisions, however, do
not concern issuing a prescription ``in one state under a DEA
registration issued for another state.'' Id. Instead, they require a
separate registration at each principal place of business or
professional practice where controlled substances are dispensed.
Under 21 CFR 1306.05(a), controlled substance prescriptions are to
``bear . . . the name, address and registration number of the
practitioner,'' among other things. Registrant's address on the 55
prescriptions the Government submitted is in Nevada. Thus, I conclude
that Registrant maintained a principal place of business or
professional practice in Nevada from August 11, 2014 through October
29, 2014 from which he issued at least 55 prescriptions for controlled
substances. During this period, however, Registrant was not registered
with the DEA in Nevada. Supra. Thus, I find that Registrant violated
the separate registration requirements of 21 U.S.C. 822(e) and 21 CFR
1301.12(a) and (b)(3).
The Inventory and Recordkeeping Allegations
The CSA requires ``every registrant . . . as soon . . . as such
registrant first engages in the . . . dispensing of controlled
substances, and every second year thereafter, [to] make a complete and
accurate record of all stocks thereof on hand . . . .'' 21 U.S.C.
827(a)(1). See also 21 U.S.C. 842(a)(5) (``unlawful acts'' include ``to
refuse or negligently fail to make, keep, or furnish any record,
report, notification, declaration, order or order form, statement,
invoice, or information required . . .''). As found
[[Page 19390]]
above, during the execution of the AIW, Registrant could not produce a
biennial inventory. Supra. Thus, I find that Registrant violated the
CSA by failing to maintain a biennial inventory.
The CSA also requires registrants to maintain, on a current basis,
complete and accurate records of each controlled substance received or
dispensed. See 21 U.S.C. 827(a)(3) and 21 CFR 1304.21(a). See also 21
U.S.C. 842(a)(5). According to the DI, during the administrative
inspection of May 2, 2013, Registrant failed to produce 32 invoices for
controlled substances he had purchased. Supra. Thus, I find that
Registrant violated the CSA by failing to comply with its recordkeeping
requirements concerning controlled substances.
Order
Pursuant to the authority vested in me by 21 U.S.C. 824(a) and 21
U.S.C. 823(f), as well as 28 CFR 0.100(b), I order that DEA
Certificates of Registration BM9879024 and BM2782692 issued to David D.
Moon, D.O., be, and they hereby are, revoked. I further order that any
pending application of David D. Moon, D.O., to renew or modify these
registrations, as well as any other pending application, be, and it
hereby is, denied. This order is effective May 30, 2017.
Dated: April 17, 2017.
Chuck Rosenberg,
Acting Administrator.
[FR Doc. 2017-08452 Filed 4-26-17; 8:45 am]
BILLING CODE 4410-09-P