Department of Justice
Drug Enforcement Administration
- [Docket No. 23-29]
On February 6, 2023, the Drug Enforcement Administration (DEA or Government) issued an Order to Show Cause and Immediate Suspension of Registration (OSC/ISO) to Jeffrey Pollock, P.A., (Respondent) of Midvale, Utah. OSC/ISO, at 1. The OSC/ISO informed Respondent of the immediate suspension of his DEA Certificate of Registration, Control No. MP2900935, pursuant to 21 U.S.C. 824(d), alleging that Respondent's continued registration constitutes “‘an imminent danger to the public health or safety.'” Id. (quoting 21 U.S.C. 824(d)). The OSC/ISO also proposed the revocation of Respondent's registration, alleging that Respondent's continued registration is inconsistent with the public interest. Id. (citing 21 U.S.C. 823(g)(1), 824(a)(4)).
A hearing was held before DEA Administrative Law Judge Paul E. Soeffing (the ALJ), who, on July 28, 2023, issued his Recommended Rulings, Findings of Fact, Conclusions of Law, and Decision (Recommended Decision or RD), which recommended revocation of Respondent's registration. RD, at 54. Following the ALJ's Recommended Decision, Respondent filed Exceptions. Having reviewed the entire record, the Agency adopts and hereby incorporates by reference the entirety of the ALJ's rulings, credibility findings,[1] findings of fact, conclusions of law, sanctions analysis, and recommended sanction as found in the RD.
I. Findings of Fact
1. Utah Standard of Care
Dr. Phillip Engen, M.D., testified for the Government as an expert in the area of pain management and the standard of care in the prescribing of controlled substances, specifically oxycodone. RD, at 9; Tr. 86-87. Dr. Engen is an anesthesiologist licensed to practice medicine in Colorado since 1993 and is Board certified in anesthesia, pain medicine, and hospice and palliative medicine.[2] RD, at 8; Tr. 75; Government Exhibit (GX) 14, at 2-3.[3] Dr. Engen testified that he has direct experience prescribing opioids for pain, including to patients with addiction issues, and is familiar with the risks associated with prescribing opioids. RD, at 8; Tr. 77, 79, 95.[4]
Regarding the Utah standard of care for a patient inherited from another provider, Dr. Engen testified that the inheriting provider must first evaluate the patient and determine if the patient is within the scope of his or her practice, including by obtaining informed consent and conducting a physical exam. RD, at 21; Tr. 139-40. If the patient is not within the scope of the provider's practice, then the provider must refer the patient out to a qualified specialist. RD, at 21; Tr.139-140. A physician treating a patient for pain is then required to complete a comprehensive evaluation of the patient. RD, at 10; Tr. 89-90.[5] Further, Dr. Engen testified that the physician must conduct a physical examination of the patient “directed specifically to the nature of the pain history.” RD, at 10; Tr. 90. Prior to prescribing opioids, the physician must query the controlled substance database (CSD) as well as attempt to retrieve records from the previous prescriber if the patient was inherited. RD, at 10; Tr. 90. The physician must also enter into an informed consent and opioid agreement ( printed page 54053) with the patient establishing the clear functional goals of the opioid therapy and informing the patient of the risks of breaking the agreement. RD, at 10; Tr. 90-91. Dr. Engen testified that after opioid treatment has begun, the patient must be closely monitored, and each follow-up visit with the patient requires the same physical, risk, and functional improvement evaluations as during the initial visit as well as assessment of any adverse effects and aberrant behaviors. RD, at 8 n.12, 10; Tr. 91-92. Dr. Engen testified that signs of aberrant behavior indicative of controlled substance abuse are called “red flags” and that if a red flag is noticed, the red flag must be documented and the prescriber must follow up with, consult, or generate a differential diagnosis for the patient, any/all of which must also be documented. RD, at 13-14; Tr. 99-101. Further, any red flags highlighted in an opioid treatment agreement must be addressed and investigated. RD, at 12; Tr. 191. Dr. Engen explained that urine drug screens are required when prescribing opioids for a prolonged period to make sure that the patients are taking the medications as well as not taking any other unprescribed opioids or illicit substances. RD, at 13; Tr. 98. According to Dr. Engen, if a prescriber finds illicit substances or unprescribed opioids in a patient's urine drug screen, the prescriber must immediately call the patient in because “that's a red flag for misuse and abuse”; during the visit, the prescriber would need to generate a differential diagnosis that either accounts for the improper substance or highlights the suspected abuse. RD, at 13; Tr. 98-99.
Finally, Dr. Engen testified that completing all of these steps, as well as documenting all of these steps, is necessary to protect the patient, provider, and community from the potentially harmful effects of opioids.[6] RD, at 10-11; Tr. 92-93. Dr. Engen reiterated that a provider in the context of “chronic opioid therapy” is required to document the comprehensive evaluation, risk assessment, physical examination, informed consent and opioid agreement, functional goals, assessment of the functional goals, review of the Prescription Drug Monitoring Program (PDMP) or CSD, and a proper diagnosis. RD, at 11; Tr. 93. Dr. Engen testified that in the context of opioid therapy, “if you don't document it, it did not happen.” RD, at 11 (quoting Tr. 187).
2. Respondent's Prescribing to Patient J.M.
Dr. Engen reviewed CSD prescribing data, medical records, and prescriptions relating to Respondent's prescribing of oxycodone to Patient J.M. from April 21, 2021, through October 4, 2022. RD, at 14; Tr. 101. Respondent is licensed as a Physician Assistant (P.A.) in the state of Utah and has approximately twenty-five years of experience. RD, at 2 (Stip. 4), 22; Tr. 210. Respondent is a hormone and thyroid specialist who does not regularly prescribe opioids [7] and has worked under a supervising physician, Dr. K.M., since moving to Utah.[8] RD, at 3 (Stip. 5), 22, 23; Tr. 210, 216-17. Between April 21, 2021, and September 6, 2022, Respondent issued at least 140 prescriptions for oxycodone, a schedule II controlled substance, in dosages of 20 mg and 30 mg to Patient J.M. RD, at 3-6 (Stips. 6-7).
Respondent testified that he first met with Patient J.M. in March 2021 [9] and initially observed Patient J.M. to be in poor health; Patient J.M. reported back pain and told Respondent that he had been taking opioids to treat his back pain. RD, at 24; Tr. 222-25; 345-46. According to Respondent, the first visit by Patient J.M. involved discussion of a rehabilitative treatment plan not including opioids. RD, at 24; Tr. 225. Respondent testified that during a later visit, Patient J.M. told him that the provider who had been prescribing him opioids was moving and so he was looking for someone else to prescribe him the medication; [10] when Patient J.M. asked if he could continue care and discussed the opioids, Respondent “turned [Patient J.M.] down.” RD, at 24; Tr. 226-27, 346. Respondent testified that after “an emotional plea from [Patient J.M.] who was desperate and talking about how he [felt] so tied to his pain medications,” Respondent consulted Dr. K.M. RD, at 24; Tr. 228-29.
Respondent testified that he completed a “full targeted exam on [Patient J.M.]'s back,” the pain of which was related to an ATV rollover incident; Respondent also testified that he conducted multiple examinations throughout the course of his treatment of Patient J.M. but admitted they were not well-documented. RD, at 25; Tr. 231-34. According to Respondent, he requested Patient J.M.'s records from Patient J.M.'s previous providers, and although Patient J.M. said he would provide these records, he never did. RD, at 25; Tr. 234-35, 247.[11] Respondent also asserted that he would not have gotten to this point if Dr. K.M. had not been “on board” with treating Patient J.M. RD, at 25; Tr. 238. According to ( printed page 54054) Respondent, he conducted an examination of Patient J.M. with Dr. K.M. and had a “larger visit” that involved Patient J.M., Dr. K.M., and a pharmacist (none of whom were pain specialists). RD, at 25-26, 26 n.26; Tr. 229-30, 239-40, 350. Respondent testified that during the meeting, he checked the CSD database to confirm that Patient J.M. was getting the prescriptions at the dosages and frequencies that he was reporting and to look for red flags. RD, at 26; Tr. 240-42.[12]
According to Dr. Engen, there was no “proper” diagnosis noted in Patient J.M.'s medical records during the first four months of his treatment by Respondent.[13] RD, at 14; Tr. 102. Nonetheless, Patient J.M. received weekly prescriptions for 150 tablets of oxycodone 20 mg and 200 tablets of oxycodone 30 mg, a dosage of “almost twice the [morphine milligram equivalent (MMS)] of the previous prescriber.” [14] RD, at 14; Tr. 103; GX 12, at 53-62. Further, in Dr. Engen's opinion, this frequency and dosage was inappropriate for the conditions noted in Patient J.M.'s medical file. RD, at 14; Tr. 103-04. Dr. Engen noted that the opioid treatment agreement signed by Respondent and Patient J.M. included some of the risks associated with opioid use such as addiction, physical dependence, and potential for withdrawal symptoms.[15] RD, at 11; Tr. 156-60; 174-75; GX 12, at 51. Further, Dr. Engen noted that he observed indicators that were suggestive of addiction in Patient J.M.'s patient file.[16] RD, at 12; Tr. 175. More than a year into treatment, Respondent began tapering the opioids for Patient J.M. which Dr. Engen agreed was appropriate; however, Dr. Engen opined that the tapering should have begun earlier than it did as tapering had been an initial goal of the treatment. RD, at 12; Tr. 178.[17]
Respondent testified that the amount of medication he prescribed to Patient J.M. was related to a discussion with the pharmacist about Patient J.M.'s tolerance to opioids; further, Dr. K.M. was “on board” with the amounts prescribed. RD, at 26; Tr. 244-45. Respondent testified that the goal of treatment was to wean Patient J.M. off of opioids but after the ATV accident, they “decided to just not wean, but to give him some pain relief . . . ”; Respondent also testified that his attempts to wean Patient J.M. off of opioids were “met with a lot of resistance.” RD, at 27; Tr. 245-46, 253.[18] RD, at 27; Tr. 245-46. Further, Respondent testified that Dr. K.M. “played a big part” in his continuing to prescribe opioids to Patient J.M. and that he would “just kind of do what [Dr. K.M.] ask[ed] for the most part.” RD, at 27; Tr. 249-50.[19]
3. Improper Documentation
Dr. Engen noted that although the opioid agreement signed by Respondent and Patient J.M. was dated April 21, 2021, and the first opioid prescription Respondent wrote for Patient J.M. was dated April 21, 2021, the first documented visit from Patient J.M. was nearly four months later on August 2, 2021. RD, at 14-15; Tr. 104-05; GX 12, at 49, 51. Notably, Patient J.M. had been prescribed approximately 5,000 oxycodone tablets without proper documentation in the medical record. RD, at 15; Tr. 105; GX 11, at 1; GX 13, at 1. Further, Dr. Engen opined that the medical records for Patient J.M.'s August 2, 2021 visit do not contain sufficient information to support any medical diagnoses and were entirely inadequate for either an initial or follow-up visit. RD, at 15; Tr. 106-08.[20] Specifically, Dr. Engen observed that no history, physical exam, assessment, functional evaluation, or attempts to assess aberrant behavior or adverse effects of medications were documented ( printed page 54055) from this visit. RD, at 15; Tr. 105; GX 12, at 49. The records for the August 25, 2021 visit were similarly inadequate [21] and insufficient to justify the high amount of oxycodone prescribed (350 tablets a week). RD, at 16; Tr.111.[22]
Moreover, the records for all of the following visits were inadequate and insufficient to justify the high amount of oxycodone prescribed: 1) Patient J.M.'s September 7, 2021 visit, in which Dr. Engen observed no notes at all despite CSD data showing that Respondent wrote a prescription for 150 tablets of oxycodone 20 mg for Patient J.M. and Patient J.M. filled the prescription; 2) Patient J.M.'s March 16, 2022 visit, in which Dr. Engen observed no notes other than an indication that Respondent again wrote prescriptions for Patient J.M. for 200 tablets of oxycodone 30 mg and 150 tablets of oxycodone 20 mg; and 3) Patient J.M's April 21, 2022 visit, in which Dr. Engen noted that while Respondent included notes indicative of a physical examination, the documentation was still insufficient to justify the opioid prescriptions as the notes were not thorough enough, the notes lacked a plan or assessment, and the type of pain noted (muscle pain) was not an indication for opioid treatment. RD, at 16, 19, 20; Tr. 112, 127-28, 133; GX 12, at 20, 25, 45; GX 13, at 1.[23] Respondent also admitted that he had made after-hours visits to Patient J.M.'s home to conduct medical evaluations, though Respondent neither created nor kept medical records for these visits. RD, at 26 n.28; Tr. 361, 363-64.[24]
4. Failure To Properly Address Red Flags of Abuse/Diversion
Dr. Engen highlighted a note from the August 2, 2021 visit that indicated that Patient J.M. had lost prescriptions and was given replacement prescriptions during this visit; Dr. Engen opined that the loss and replacement of opioid prescriptions caused him concern for two reasons. RD, at 15; Tr. 105, 108; GX 12, at 49. One reason was that Patient J.M., who has an opioid use disorder, could have been taking more opioids than prescribed. RD, at 15; Tr. 108. The second reason was that the authorities were not notified of a high-dose, large quantity oxycodone prescription that might be found and filled by someone else. RD, at 15; Tr. 109. Dr. Engen opined that this red flag of a lost prescription was not properly addressed because there was no documented differential diagnosis, no documentation that local authorities were contacted, and no documented urine drug screen ordered to determine the medications present in Patient J.M.'s system. RD, at 15-16; Tr. 109.[25] Similarly, with regard to the February 9, 2022 visit, Dr. Engen said the record indicated that Patient J.M. was in the process of moving and had misplaced prescriptions. RD, at 17; Tr. 122; GX 12, at 28. On this occasion, Respondent reissued prescriptions for oxycodone 20 mg and 30 mg, noting that he “checked CSD and last fill was [February] 3.” RD, at 17-18; Tr. 122-23; GX 12, at 28.[26]
In addition to Patient J.M.'s instances of missing prescriptions, Dr. Engen also highlighted that notes from Patient J.M.'s March 3, 2022, and April 21, 2022 visits indicated that urine drug screens of Patient J.M. had tested positive for hydrocodone, a non-prescribed opioid. RD, at 18, 19; Tr. 124-25, 130; GX 12, at 20, 26. Dr. Engen explained that a non-prescribed opioid present in a urine drug screen is a red flag that needed to be addressed; specifically, Respondent should have created a differential diagnosis and discussed medication-assisted addiction treatment with Patient J.M. as well as documented this resolution. RD, at 18, 19; Tr. 125, 130-31. Instead, Respondent in both instances prescribed Patient J.M. 200 tablets of oxycodone 30 mg and 150 tablets of oxycodone 20 mg without documenting that any such action had been taken. RD, at 18, 20; Tr. 125-26, 132-33; GX 12, at 20, 26.[27]
Finally, Dr. Engen opined that an early refill given to Patient J.M. during his August 15, 2022 visit due to travel was a red flag that was not properly addressed or documented by Respondent. RD, at 20; Tr. 134-136; GX 12, at 5.
5. Failure To Address Signs of Adverse Effects
Dr. Engen highlighted a note from Patient J.M.'s September 27, 2021 visit that indicated Patient J.M. had been feeling “groggy”—which Dr. Engen explained can be indicative of delirium, an “acute toxic effect” of opioids—and had visited the emergency room. RD, at 16-17; Tr. 113; GX 12, at 41. Dr. Engen opined that this instance of delirium was particularly concerning to him because the opioid doses prescribed to Patient J.M. were “clearly” in the range that could cause death. RD, at 17; Tr. 113. According to Dr. Engen, this incident should have resulted in a differential diagnosis and face-to-face physical examination to determine if it was related to the prescribed opioids. RD, at 17; Tr. 113-14. Dr. Engen testified that following this incident, Patient J.M. should have been referred to a pain medicine and/or addiction medicine specialist to consider medication-assisted treatment or a switch away from opioids, but instead, Respondent wrote Patient J.M. two more ( printed page 54056) prescriptions for oxycodone. RD, at 17; Tr. 114-15; GX 12, at 41.[28]
Regarding Patient J.M.'s March 3, 2022 visit, Dr. Engen highlighted notes that Patient J.M. visited the ER once more for gastrointestinal issues such as vomiting blood and inability to swallow [29] and a lab result indicated low testosterone. RD, at 18; Tr. 124; GX 12, at 26. Dr. Engen explained that opioids can cause such effects and again opined that a differential diagnosis to account for these adverse effects should have been considered and documented. RD, at 18; Tr. 124-25; GX 12, at 26. Finally, during Patient J.M.'s August 15, 2022 visit, Patient J.M. reported various adverse effects such as stomach problems, brain fog, and memory issues, but Respondent again failed to properly address and document these adverse effects. RD, at 20; Tr. 134-36; GX 12, at 5.
6. Weaning Off Patient J.M. From Opioids
In the medical file for Patient J.M.'s April 25, 2022 visit, Respondent's notes indicate that he and Patient J.M. discussed the long-term risks of opioid treatment and Patient J.M. stated that he wished to wean off in a safe manner; the initial goal was to lower Patient J.M.'s opioid dosage below 90 MME. RD, at 19; Tr. 128; GX 12, at 22.[30] Dr. Engen pointed out that Patient J.M.'s opioid therapy had begun nearly a year before this visit and opined that this discussion should have taken place on the first day. RD, at 19; Tr. 128-29 ; see GX 12, at 51; GX 13, at 1. However, Dr. Engen credited Respondent for recognizing the importance of lowering the dose from the “massive” 1900 MME per day that it had reached, and noted that Respondent did taper the dose by approximately 10% about one month after the April 5, 2022 visit. RD, at 19; Tr. 129. Even with the reduction, Dr. Engen noted that there was still insufficient documentation of a proper diagnosis, treatment plan, assessment, or functional evaluation to justify the dosage. RD, at 19; Tr. 129-30. Respondent continued to lower Patient J.M.'s dose by about 10% during each of Patient J.M.'s visits on July 6, 2022,[31] August 15, 2022, and September 13, 2022. RD, at 20, 28; Tr. 133-35, 270-71, 329; GX 12, at 2, 5, 11.
7. Respondent's Prescribing to Patient J.M. Was Beneath the Standard of Care
Dr. Engen concluded that each of the prescriptions issued by Respondent to Patient J.M. from April 2021 to at least September 2022 was issued outside the usual course of professional practice. RD, at 21; Tr. 142. Specifically, Dr. Engen opined that the amount of opioids prescribed to Patient J.M. was “egregiously excessive,” and that there was no clinical justification for the “nearly 1,000 MME per day increase” from April 21, 2021, to April 28, 2021, and from a previous dose that was already “extremely high.” RD, at 21; Tr. 143. Moreover, Dr. Engen again highlighted that there was insufficient documentation to support a diagnosis that would justify Respondent's prescribing of an “egregious, massive dose” of opioids to Patient J.M. RD, at 21; Tr. 143, 193-94. Dr. Engen opined that Respondent needed to conduct a comprehensive evaluation and develop a comprehensive treatment plan for Patient J.M. that, in light of the documented instances of likely opioid misuse, should have resulted in referral of Patient J.M. to medication-assisted addiction treatment. RD, at 21; Tr. 141-42. Dr. Engen ultimately emphasized that Patient J.M. was likely in a toxic range of oxycodone and oxycodone metabolites, that Respondent's care of Patient J.M. was “grossly negligent” and caused Patient J.M. harm, and that Respondent's care was outside the scope of Respondent's practice and fell below the Utah standard of care. RD, at 21; Tr. 143-44.[32]
Ultimately, the ALJ found, and the Agency agrees, that Respondent's prescribing was outside the usual course of professional practice and in violation of the Utah standard of care. RD, at 43. As described above, Respondent repeatedly failed to conduct and document proper physical examinations of Patient J.M.; repeatedly failed to document diagnoses justifying his continued prescribing of controlled substances to Patient J.M.; repeatedly failed to adequately address and document the risks of Patient J.M.'s continued use of controlled substances; and repeatedly failed to establish and document a proper treatment plan while continually writing Patient J.M. prescriptions for controlled substances at dangerously high dosages. Id.
II. Discussion
A. The Five Public Interest Factors
Under the Controlled Substances Act (CSA), “[a] registration . . . to . . . dispense a controlled substance . . . may be suspended or revoked by the Attorney General upon a finding that the registrant . . . has committed such acts as would render his registration under section 823 of this title inconsistent with the public interest as determined under such section.” 21 U.S.C. 824(a). In making the public interest determination, the CSA requires consideration of the following factors: ( printed page 54057)
(A) The recommendation of the appropriate State licensing board or professional disciplinary authority.
(B) The [registrant's] experience in dispensing, or conducting research with respect to controlled substances.
(C) The [registrant's] conviction record under Federal or State laws relating to the manufacture, distribution, or dispensing of controlled substances.
(D) Compliance with applicable State, Federal, or local laws relating to controlled substances.
(E) Such other conduct which may threaten the public health and safety.
The Agency considers these public interest factors in the disjunctive. Robert A. Leslie, M.D.,68 FR 15227, 15230 (2003). Each factor is weighed on a case-by-case basis. Morall v. Drug Enf't Admin., 412 F.3d 165, 173-74 (D.C. Cir. 2005). Any one factor, or combination of factors, may be decisive. David H. Gillis, M.D.,58 FR 37507, 37508 (1993).
The Government has the burden of proof in this proceeding. 21 CFR 1301.44. While the Agency has considered all of the public interest factors in 21 U.S.C. 823(g)(1), the Government's evidence in support of its prima facie case for revocation of Respondent's registration is confined to Factors B and D.[33] RD, at 34; see also id. at 34 n.34 (finding that for Factor A, while there was an indirect recommendation from the Division of Professional Licensing of the Department of Commerce of the State of Utah, in the form of a stipulation and order related to Respondent's state license to practice as a physician assistant and to administer and prescribe controlled substances, such a recommendation has not historically been a case-dispositive issue under the Agency's precedent, and that Factors C and E do not weigh for or against revocation).
Having reviewed the record and the RD, the Agency agrees with the ALJ, adopts the ALJ's analysis, and finds that the Government's evidence satisfies its prima facie burden of showing that Respondent's continued registration would be “inconsistent with the public interest.” 21 U.S.C. 824(a)(4); RD, at 31-48.
B. Factors B and D
Evidence is considered under Public Interest Factors B and D when it reflects compliance (or non-compliance) with laws related to controlled substances and experience dispensing controlled substances. See Sualeh Ashraf, M.D.,88 FR 1095, 1097 (2023); Kareem Hubbard, M.D.,87 FR 21156, 21162 (2022). In the current matter, the Government has alleged that Respondent violated numerous federal and state laws regulating controlled substances. OSC/ISO, at 1-3. Specifically, federal law requires that “[a] prescription for a controlled substance to be effective must be issued for a legitimate medical purpose by an individual practitioner acting in the usual course of his professional practice.” 21 CFR 1306.04(a). As for state law, Utah regulations prohibit issuing a prescription for a controlled substance “without first obtaining information in the usual course of professional practice, that is sufficient to establish a diagnosis, to identify conditions, and to identify contraindications to the proposed treatment.” Utah Code Ann. section 58-1-501(2)(m)(i); [34] see also id. section 58-37-6(7)(i) (a practitioner may not prescribe controlled substances in excess of medically recognized quantities necessary to treat the ailment, malady, or condition). Further, Utah regulations require that prior to issuing a prescription for opiates, a practitioner must discuss with the patient: “(a) the risks of addiction and overdose associated with opiate drugs; (b) the dangers of taking opiates with alcohol, benzodiazepines, and other central nervous system depressants; (c) the reasons why the prescription is necessary; (d) alternative treatments that may be available; and (e) other risks associated with the use of drugs being prescribed.” Id. section 58-37-19(2)(a)-(e). Finally, Utah regulations require that prescribing practitioners keep accurate records for each patient reflecting examination, evaluation, and treatment. Utah Admin. Code r. 156-37-602(b). Patient medical records shall: “(i) accurately reflect the prescription or administration of controlled substances in the treatment of the patient; (ii) the purpose for which the controlled substance is utilized; and (iii) information upon which the diagnosis is based.” Utah Admin. Code r. 156-37-602(c).[35]
In the current matter, the Agency agrees with the ALJ's analysis that Respondent repeatedly issued controlled substance prescriptions to Patient J.M. in violation of the Utah standard of care—and thus outside of the usual course of professional practice—because, as detailed above, Respondent repeatedly failed to conduct and document proper physical examinations of Patient J.M., repeatedly failed to document a diagnosis justifying the prescribing of controlled substances to Patient J.M., repeatedly failed to adequately address and document the risks of prolonged use of controlled substances with Patient J.M., and repeatedly prescribed dangerously high dosages of opioids to Patient J.M. without establishing and documenting a proper treatment plan; further, Respondent lacked the requisite training and experience to issue the prescriptions that he issued to Patient J.M. RD, at 43-48.[36]
As Respondent's conduct displays clear violations of the federal and state regulations described above, see supra I.7, the Agency agrees with the ALJ and hereby finds that Respondent repeatedly violated federal and state law relating to controlled substances. Id. at 48. Accordingly, the Agency agrees with the ALJ and finds that Factors B and D weigh in favor of revocation of Respondent's registration and thus finds Respondent's continued registration to be inconsistent with the public interest in balancing the factors of 21 U.S.C. 823(g)(1). Id.
III. Sanction
Where, as here, the Government has established sufficient grounds to revoke Respondent's registration, the burden shifts to the registrant to show why he can be entrusted with the responsibility carried by a registration. Garret Howard Smith, M.D.,83 FR 18882, 18910 (2018). When a registrant has committed acts inconsistent with the public interest, he must both accept responsibility and demonstrate that he has undertaken corrective measures. Holiday CVS, L.L.C., dba CVS Pharmacy Nos 219 and 5195,77 FR 62316, 62339 (2012). Trust is necessarily a fact-dependent determination based on individual circumstances; therefore, the Agency looks at factors such as the acceptance ( printed page 54058) of responsibility, the credibility of that acceptance as it relates to the probability of repeat violations or behavior, the nature of the misconduct that forms the basis for sanction, and the Agency's interest in deterring similar acts. See, e.g.,Robert Wayne Locklear, M.D.,86 FR 33738, 33746 (2021).
Here, and as noted by the ALJ, Respondent did admit some fault and accept some responsibility for his misconduct such as admitting and accepting his documentation failures. RD, at 50; Tr. 258. However, as noted by the ALJ, Respondent repeatedly shifted the blame for his misconduct to others. RD, at 51. In particular, Respondent blamed his supervising physician, Dr. K.M., who Respondent testified was “ultimately responsible” for the P.A.'s practice; Respondent also emphasized that he would “just kind of do what [Dr. K.M.] ask[ed] for the most part.” RD, at 50-51; Tr. 221-22, 238, 224-50, 334-35. Therefore, the ALJ concluded, and the Agency agrees, that Respondent has not demonstrated unequivocal acceptance of responsibility for his actions.[37] RD, at 51 (citing Jones Total Health Care Pharmacy, L.L.C. & SND Health Care, L.L.C.,81 FR 79188, 79201-02 (2016)).[38]
In addition to acceptance of responsibility, the Agency considers both specific and general deterrence when determining an appropriate sanction. Daniel A. Glick, D.D.S.,80 FR 74810. In this case, the Agency agrees with the ALJ that given that Respondent was the sole prescriber that issued all of the prescriptions at issue in the current matter, the interests of specific deterrence weigh in favor of revocation of Respondent's registration. RD, at 53; Tr. 227-238; GX 11-13. Further, the Agency agrees with the ALJ that the interests of general deterrence also support revocation, as a lack of sanction in the current matter would send a message to the registrant community that failure “to complete and document even the most basic treatment-related evaluations and examinations, or document any information related to treatment decisions” can be overlooked or excused. RD, at 53.
Moreover, the Agency agrees with the ALJ that Respondent's actions were egregious. Id. at 51-53. As stated by the ALJ, “Respondent issued many controlled substance[ ] prescriptions over a one-year period without any regard for his obligations to conduct and document adequate examination and evaluation to justify treatment.” RD, at 51-52.[39] The ALJ also highlighted that “Respondent's heavy reliance on, and deferral to, Dr. K.M., the pharmacist, and even Patient J.M. himself,[40] appears to have resulted in an almost complete abdication of Respondent's own role and responsibilities for the proper medical treatment of Patient J.M.” RD, at 52.[41]
In sum, Respondent has not offered any credible evidence on the record to rebut the Government's case for revocation of his registration and Respondent has not demonstrated that he can be entrusted with the responsibility of registration. RD, at 54. Accordingly, the Agency will order that Respondent's registration be revoked.
Order
Pursuant to 28 CFR 0.100(b) and the authority vested in me by 21 U.S.C. 824(a), I hereby revoke DEA Certificate of Registration No. MP2900935 issued to Jeffrey Pollock, P.A. Further, pursuant to 28 CFR 0.100(b) and the authority vested in me by 21 U.S.C. 823(g)(1), I hereby deny any pending applications of Jeffrey Pollock, P.A., to renew or modify this registration, as well as any other pending application of Jeffrey Pollock, P.A., for additional registration in Utah. This Order is effective July 29, 2024. ( printed page 54059)
Signing Authority
This document of the Drug Enforcement Administration was signed on June 21, 2024, by Administrator Anne Milgram. That document with the original signature and date is maintained by DEA. For administrative purposes only, and in compliance with requirements of the Office of the Federal Register, the undersigned DEA Federal Register Liaison Officer has been authorized to sign and submit the document in electronic format for publication, as an official document of DEA. This administrative process in no way alters the legal effect of this document upon publication in the Federal Register .
Heather Achbach,
Federal Register Liaison Officer, Drug Enforcement Administration.