Department of Health and Human Services
DEPARTMENTAL APPEALS BOARD
Civil Remedies Division
In the Case of: Bertha K. Krickenbarger, R.Ph., Petitioner,
- v. -
The Inspector General.
DATE: January 13, 1993
Docket No. C-92-113
Decision No. CR250
DECISION
On May 11, 1992, the Inspector General (I.G.) notified Petitioner that she
was being excluded from
participation in the Medicare and State health care programs for three years.
1/ The I.G. told Petitioner that
she was being excluded under section 1128(b)(3) of the Social Security Act (Act),
based on Petitioner's
conviction of a criminal offense related to the unlawful manufacture, distribution,
prescription, or
dispensing of a controlled substance.
Petitioner requested a hearing, and the case was assigned to me for a hearing
and a decision. On
September 21, 1992, I held a hearing in Columbus, Ohio. Both parties filed posthearing
briefs. I have
carefully considered the evidence that I admitted at the hearing, the parties'
arguments, and the applicable
law and regulations. I conclude that the I.G. had authority to exclude Petitioner
under section 1128(b)(3)
of the Act. I conclude that the three-year exclusion imposed and directed by
the I.G. is unreasonable, and I
modify it to a term of 18 months.
ISSUES
The issues in this case are whether:
1. My decision as to the reasonableness of the exclusion imposed and directed
against
Petitioner by the I.G. is governed by regulations published on January 29, 1992.
2. The three-year exclusion which the I.G. imposed and directed against Petitioner
is
reasonable.
FINDINGS OF FACT AND CONCLUSIONS OF LAW
1. Petitioner is a pharmacist. Tr. at 43. 2/
2. Petitioner received licenses to practice pharmacy in the States of Ohio
and West Virginia. Tr. at
44.
3. On September 28, 1990, Petitioner pled guilty in an Ohio court to a bill
of information charging
her with the criminal offense of illegal processing of drug documents. I.G.
Ex. 2/1.
4. The offense to which Petitioner pled is a felony under Ohio law. I.G. Ex. 2/1.
5. Petitioner had been charged with intentionally making, uttering, or knowingly
possessing a false
or forged prescription for the drug Fioricet, a barbiturate, and a controlled
substance under Ohio law. I.G.
Ex. 1/1; see I.G. Ex. 4/3.
6. Petitioner was convicted of a criminal offense related to the unlawful prescription
or dispensing of
a controlled substance. Findings 3 - 5; Social Security Act, section 1128(b)(3).
7. The offense to which Petitioner pled resulted from her unlawfully writing
a prescription for
Fioricet, in her ex-husband's name, on July 7, 1990. Tr. at 45 - 47.
8. Petitioner's purpose in unlawfully writing a prescription for Fioricet was
to obtain possession of
the drug for her own use and to obtain compensation for the drug from her health
insurance company. Tr.
at 47.
9. Petitioner was sentenced to incarceration for one and one-half years, which
was suspended,
conditioned on her satisfactory completion of a five-year term of probation.
I.G. Ex. 3/2.
10. The terms of Petitioner's probation included the requirement that she pay
a fine of $1000 and that
she subject herself to drug analysis whenever requested to by her probation
officer. I.G. Ex. 3/2.
11. On December 18, 1990, the Ohio State Board of Pharmacy (Ohio Pharmacy Board)
suspended
indefinitely Petitioner's license to practice pharmacy in Ohio. I.G. Ex. 4/4
- 5.
12. The Ohio Pharmacy Board found that Petitioner had been convicted of a felony
and had engaged
in dishonest or unprofessional conduct in her practice of pharmacy. I.G. Ex.
4/4.
13. The Ohio Pharmacy Board found that Petitioner had been addicted to or had
abused liquor or
drugs or had been impaired physically or mentally to such a degree as to render
her unfit to practice
pharmacy. I.G. Ex. 4/4.
14. The Ohio Pharmacy Board based its conclusion that Petitioner had been addicted
to or had abused
liquor or drugs in part on a finding that Petitioner had been observed abusing
drugs and being under the
influence of drugs during the performance of her duties as a pharmacist. I.G.
Ex. 4/3 - 4.
15. The Ohio Pharmacy Board made Petitioner eligible to apply for reinstatement
of her license after a
suspension of one year, provided that Petitioner: enter into a five-year contract
with an acceptable drug
rehabilitation program and provide the Ohio Pharmacy Board with quarterly progress
reports which
included copies of results of random urine screens for drugs, evidence of attendance
at meetings of a
support group, and descriptions of her progress toward rehabilitation. I.G.
Ex. 4/4 - 5.
16. On November 1, 1990, Petitioner signed a contract with Pharmacists Rehabilitation
Organization, Inc.
(PRO). P. Ex. 4/2 - 4; Tr. at 49.
17. On January 9, 1991, Petitioner entered into an additional agreement with
PRO. P. Ex. 5/1 - 2; Tr. at
53.
18. Petitioner's agreements with PRO require her to attend three weekly meetings
of a substance abuse
rehabilitation program. P. Ex. 5/1.
19. Petitioner's agreements with PRO require that she submit to random urine
screens, at least monthly, for
controlled substances. P. Ex. 5/1.
20. Petitioner's agreements with PRO remain in effect until January 1996. P. Ex. 5/2.
21. Between September 1990 and May 1991, Petitioner underwent drug and alcohol
counseling with a
therapist at North Central Mental Health Services in Columbus, Ohio. P. Ex.
8/3; Tr. at 57 - 58.
22. Petitioner received psychiatric treatment in October 1991. Tr. at 58 - 59.
23. Petitioner has attended meetings of Alcoholics Anonymous since October
1990. P. Ex. 7/3, 8/2; see
Tr. at 59.
24. Petitioner has attended at least three meetings of Alcoholics Anonymous
per week since October 1990,
except for the period between December 24, 1990 and January 7, 1991, when Petitioner
was recovering
from surgery. P. Ex. 7/3, 8/2, 13.
25. Petitioner has been subject to random urinalysis for the presence of drugs
since her conviction of a
criminal offense. P. Ex. 7/3 - 6, 8/2, 8/4 - 7, 13, 14; Tr. at 51.
26. All urinalysis tests conducted of Petitioner since her conviction of a
criminal offense have been
negative for the presence of controlled substances. P. Ex. 7/3 - 6, 8/2, 8/4
- 7, 13, 14; Tr. at 51.
27. Petitioner has not consumed any controlled substances or alcohol since
October 16, 1990. Tr. at 57;
see Finding 26.
28. Petitioner has expressed remorse for the unlawful conduct which resulted
in her criminal conviction.
Tr. at 59, 62.
29. Petitioner is sincere in her efforts to abstain from consuming controlled
substances and alcohol and to
refrain from engaging in conduct that is unlawful or which might endanger the
welfare of other persons.
Findings 16 - 28.
30. On August 13, 1992, the State of Ohio discharged Petitioner from probation. P. Ex. 18.
31. Petitioner was discharged from probation in advance of the discharge date
established by her criminal
sentence. Findings 9, 30.
32. The decision to discharge Petitioner from probation was based on the conclusion
that Petitioner had
complied with the rules and regulations of her probation and was no longer in
need of probation
supervision. I.G. Ex. 18.
33. On March 10, 1992, the Ohio Pharmacy Board reinstated Petitioner's license
to practice pharmacy in
Ohio, subject to conditions. I.G. Ex. 11/3 - 4.
34. The conditions which the Ohio Pharmacy Board attached to reinstatement
of Petitioner's license to
practice pharmacy in Ohio included the requirement that Petitioner continue
her relationship with PRO
until January 14, 1996. I.G. Ex. 11/3.
35. The Ohio Pharmacy Board specified that, as conditions for Petitioner being
licensed to practice
pharmacy in Ohio, Petitioner must, for the remainder of her relationship with
PRO:
a. submit to random observed urine screens at least once every three months;
b. continue regular attendance at Alcoholics Anonymous, Narcotics Anonymous,
or a similar support
group meeting;
c. report immediately to the Ohio Pharmacy Board any violations of her contract with PRO; and
d. continue to submit quarterly progress reports to the Ohio Pharmacy Board
documenting her activities
and her recovery progress.
I.G. Ex. 11/3 - 4.
36. The Secretary of the United States Department of Health and Human Services
(the Secretary)
delegated to the I.G. the authority to determine, impose, and direct exclusions
pursuant to section 1128 of
the Act. 48 Fed. Reg. 21,662 (1983).
37. The I.G. had authority to impose and direct an exclusion pursuant to section
1128(b)(3) of the Act.
Findings 3 - 6; Social Security Act, section 1128(b)(3).
38. Regulations published on January 29, 1992 establish criteria to be employed
by the I.G. in determining
to impose and direct exclusions pursuant to sections 1128(a) and (b) of the
Act. 42 C.F.R. Part 1001
(1992).
39. The regulations published on January 29, 1992 include criteria to be employed
by the I.G. in
determining to impose and direct exclusions pursuant to section 1128(b)(3) of
the Act. 42 C.F.R.
1001.401 (1992).
40. The Secretary did not intend that regulations contained in 42 C.F.R. Part
1001 (1992) and, in
particular, 42 C.F.R. 1001.401 (1992), govern my decision in this case.
41. The remedial purpose of an exclusion under section 1128 of the Act is to
protect federally funded
health care programs and beneficiaries and recipients of those programs from
individuals and entities who
have established by their conduct that they are untrustworthy to provide care.
42. In writing a false prescription for a controlled substance for her own
consumption, Petitioner engaged
in conduct which endangered the health and safety of other individuals. Findings
7, 8, 12 - 14.
43. Petitioner has demonstrated by her conduct that she is untrustworthy to provide care. Finding 42.
44. Petitioner has shown by her admissions of misconduct, her remorse for her
misconduct, and her efforts
at rehabilitation that it is likely that she will soon become trustworthy to
provide care. Findings 16 - 29.
45. The three-year exclusion which the I.G. imposed and directed against Petitioner
is excessive in light of
Petitioner's admissions of misconduct, her remorse for her misconduct, her efforts
at rehabilitation, and the
likelihood that she will soon become trustworthy to provide care.
46. If Petitioner abstains from alcohol and controlled substances until November
1993, she will have
abstained from the use of alcohol and controlled substances for more than a
three-year period. Finding 27.
47. Given Petitioner's remorse and efforts at rehabilitation, a three-year
period of abstinence by Petitioner
from the use of alcohol or controlled substances will be sufficient to establish
that she is trustworthy to
provide care.
48. An 18-month exclusion is sufficient in this case to achieve the Act's remedial purpose.
ANALYSIS
Petitioner does not dispute that she was convicted of a criminal offense within
the meaning of section
1128(b)(3) of the Act and that the I.G. has authority to exclude her from participating
in the Medicare and
Medicaid programs. What is at issue here is the reasonableness of the three-year
exclusion that the I.G.
imposed and directed against Petitioner.
The salient facts of this case are not disputed by either party. Petitioner
is a pharmacist. In July 1990,
Petitioner unlawfully wrote a fictitious prescription in her ex-husband's name
for the drug Fioricet, a
barbiturate. She did so in order that she could obtain the use of the drug for
herself and to deceive her
health insurer into paying for it. Her crime was detected; she was charged under
Ohio law with a felony;
and she pled guilty to the crime. She was sentenced to five years' probation
in lieu of incarceration. Her
license to practice pharmacy in Ohio was suspended by the Ohio Pharmacy Board.
Petitioner entered a program of substance abuse and alcohol rehabilitation,
both as a condition of her
probation and in order to regain her license to practice pharmacy in Ohio. Her
rehabilitation included
therapy, regular attendance at Alcoholics Anonymous meetings, and periodic random
urinalysis for
controlled substances. Thus far, her efforts at rehabilitation have been successful.
Petitioner has expressed
remorse for the misconduct which led to her conviction and has resolved to remain
sober. Petitioner has
faithfully attended meetings of Alcoholics Anonymous. She has refrained from
any use of alcohol or
controlled substances since October 1990, and her sobriety is attested to by
the fact that all of her drug tests
have been negative.
Petitioner's efforts at rehabilitation have satisfied the State of Ohio that
she is no longer in need of
supervision by that State's criminal justice system. She was discharged from
probation on August 13,
1992, approximately three years before the discharge date established by her
sentence of probation. On
March 10, 1992, the Ohio Pharmacy Board conditionally restored to Petitioner
her license to practice
pharmacy. That action was premised on Petitioner's agreement to remain in rehabilitation
for alcohol and
substance abuse and to continue to report regularly to the Ohio Pharmacy Board.
The I.G. asserts that regulations published by the Secretary in January 1992
mandate that I sustain the
exclusion. He argues, further, that the exclusion is a reasonable remedy in
view of the facts of this case.
Petitioner contends that the three-year exclusion is not mandated by regulation
and that it is not reasonably
related to the Act's remedial purpose.
1. Regulations published by the Secretary on January 29, 1992 do not mandate
that I sustain the
exclusion which the I.G. imposed in this case.
The I.G. contends that my decision as to the reasonableness of the exclusion
imposed against Petitioner is
governed by regulations published by the Secretary on January 29, 1992. 42 C.F.R.
Part 1001 (1992). The
I.G. asserts that these new regulations, which contain a section establishing
criteria for the I.G. to employ
in determining to impose and direct exclusions pursuant to section 1128(b)(3)
of the Act, also apply at the
level of administrative hearings to establish mandatory criteria for adjudicating
the reasonableness of
exclusions imposed pursuant to section 1128(b)(3). 42 C.F.R. 1001.401 (1992).
3/
Section 1001.401 of these regulations directs that exclusions imposed pursuant
to section 1128(b)(3) of the
Act be for three years, absent proof of factors which the regulation designates
as being either "aggravating"
or "mitigating." Aggravating factors (none of which are asserted by
the I.G. to be present here) will justify
imposition of an exclusion for a period that exceeds three years. Mitigating
factors will justify imposition
of an exclusion for less than three years. Mitigating factors are specifically
limited by subsection
1001.401(c)(3) to the following:
(i) the . . . [excluded party's] cooperation with Federal or State officials resulted in --
(A) Others being convicted or excluded from Medicare or . . . [Medicaid],
(B) The imposition of a civil money penalty against others; or
(ii) Alternative sources of the type of health care items or services furnished
by the . . . [excluded party]
are not available.
Petitioner does not contend that any of the factors identified by the regulation
as mitigating are present
here. 4/ If section 1001.401 of the new regulations had governed my decision
in this case, I would have
had no choice but to sustain the three-year exclusion imposed and directed by
the I.G. Indeed, there would
have been no purpose for holding a hearing in this case, because Petitioner
did not contest the I.G.'s
authority to exclude her. If this regulation had governed my decision, none
of the evidence offered by
Petitioner concerning the reasonableness of the exclusion would have been relevant,
inasmuch as it did not
pertain to any of the mitigating factors specified by the regulation.
The formula for determining exclusions established by section 1001.401 of the
new regulations is generally
duplicated by the other sections contained in Part 1001 of the new regulations.
A purpose of these
regulations is to establish a narrow framework of factors that may be considered
as relevant by the I.G. and
his agents in determining to impose exclusions pursuant to section 1128 of the
Act. They are intended to
exclude from consideration any factors not specifically identified by the regulations
as being aggravating
or mitigating. For all practical purposes, the regulations establish minimum
mandatory exclusion periods
for most exclusions imposed pursuant to section 1128.
Depending on how they are applied, the Part 1001 regulations may affect much
more than the outcome of
this case. If the Part 1001 regulations were held to govern administrative law
judge decisions under section
1128 of the Act, they would eliminate all basis for administra-tive hearings
in many cases. In such cases
the role of the administrative law judge would be reduced to ruling, on the
face of the request for a hearing,
that the petitioner had not raised a justiciable issue.
I, along with other administrative law judges, have held in numerous decisions
that these regulations do not
establish criteria for administrative law judges' review of exclusions imposed
and directed by the I.G.
Tajammul H. Bhatti, M.D., DAB CR245 (1992); John Cleveland Turley, III, M.D.,
DAB CR236 (1992);
Narinder Saini, M.D., DAB CR217 (1992); Sukumar Roy, M.D., DAB CR205 (1992);
Steven Herlich,
DAB CR197 (1992); Stephen J. Willig, M.D., DAB CR192 (1992); Aloysius Murcko,
D.M.D., DAB
CR189 (1992); Charles J. Barranco, M.D., DAB CR187 (1992). We have grounded
our decisions on two
conclusions. First, these regulations were not intended to strip parties retroactively
of rights vested prior to
January 29, 1992. Therefore, the regulations did not apply to any cases arising
from exclusion
determinations made prior to that date. Behrooz Bassim, M.D., DAB 1333, at 5
- 9 (1992). Second, the
Secretary did not intend Part 1001 of the regulations to establish criteria
for administrative hearings as to
the reasonableness of exclusions.
There is no issue of retroactivity here. This case differs from those which
we have decided previously in
that here, the I.G. determined to exclude Petitioner on May 11, 1992, after
the new regulations' publication
date. This case raises unequivocally the question of whether the Secretary intended
Part 1001 of the
regulations to govern administrative hearings arising from exclusion determinations
made after the
regulations' publication date.
If the Part 1001 regulations were held to govern an administrative law judge's
review of an exclusion
imposed under section 1128 of the Act, they would change fundamentally the way
in which exclusions are
evaluated for reasonableness. Up until now, section 1128 of the Act has been
interpreted to permit the
imposition of exclusions which achieve the Act's remedial purpose. Exclusions
which are punitive have
been held to be unreasonable. Up until now, excluded parties have been permitted
to present any evidence
which is relevant to the issue of whether exclusions are remedial. They have
not been limited arbitrarily to
presenting evidence which relates only to factors defined by the regulations
as "mitigating" or
"aggravating," nor have they been precluded from presenting evidence
not considered by the I.G. in
making his exclusion determinations.
Section 1128 is a civil remedies statute. Its purpose is not to punish excluded
parties, but to provide the
Secretary with a remedy to be used to protect the integrity of federally funded
health care programs and
their beneficiaries and recipients from individuals who have established by
their conduct that they are not
trustworthy. Robert Matesic, R.Ph., d/b/a/ Northway Pharmacy, DAB 1327, at 7
- 8 (1992). Exclusions
which do not comport with this remedial purpose may be punitive, and, therefore,
unlawful. Civil remedy
statutes cannot be applied constitutionally to produce punitive results in the
absence of traditional
constitutional guarantees such as the right to counsel, the right to a trial
by jury, or the right against self-
incrimination. Kennedy v. Mendoza-Martinez, 372 U.S. 144, 168 - 69 (1963). Labeling
an action taken
pursuant to a civil remedies statute as "remedial" does not immunize
that action from scrutiny as to its
effect. An action taken pursuant to a civil remedies statute may be punitive
in effect, and therefore,
unlawful, if it does not comport with that statute's remedial purpose.
In Matesic, an appellate panel of the Departmental Appeals Board (Board) discussed
the kinds of evidence
which should be considered by administrative law judges in hearings as to the
reasonableness of the
exclusion. That evidence includes evidence which relates to:
the nature of the offense committed by the provider, the circumstances surrounding
the offense, whether
and when the provider sought help to correct the behavior which led to the offense,
how far the provider
has come toward rehabilitation, and any other factors relating to the provider's
character and
trustworthiness.
Matesic, DAB 1327, at 12.
Hearings before administrative law judges as to the reasonableness of exclusions
have been held to be de
novo, and not appellate, hearings. Bernardo G. Bilang, M.D., DAB 1295 (1992);
Eric Kranz, M.D., DAB
1286 (1991). Any party excluded pursuant to section 1128 of the Act is entitled
to an administrative
hearing as to the exclusion's reasonableness. Section 1128(f) of the Act provides
that an excluded party's
hearing rights shall be those conferred by section 205(b) of the Act. That section
provides for de novo
hearings. 5/ An excluded party may offer evidence at a hearing under sections
1128 and 205(b) which is
relevant to the issue of reasonableness, even if that evidence was not considered
by the I.G. in making his
exclusion determination.
The right to present evidence at a hearing under sections 1128 and 205(b) is
not unlimited, however. As
with any hearing, evidence which is not relevant should not be admitted or considered
in adjudicating the
case. Evidence which is offered in a case brought pursuant to section 1128 is
relevant to the issue of an
exclusion's reasonableness if it addresses the issue of whether the exclusion
conforms to the Act's remedial
purpose.
Exclusions imposed pursuant to sections 1128(a)(1) and (a)(2) of the Act, which
are based on convictions
for program-related crimes or for patient neglect or abuse, are required by
the Act to be for no less than
five years. Social Security Act, sections 1128(a)(1), (a)(2), (c)(3)(B). Exclusions
imposed pursuant to
sections 1128(a)(1) and (a)(2) are distinguishable from exclusions imposed pursuant
to section 1128(b) of
the Act, in that in the case of exclusions mandated by sections 1128(a)(1) and
(a)(2), Congress itself has
made a legislative determination that mandatory exclusions of a minimum five-year
duration are
remedially necessary. Thus, in hearings concerning exclusions imposed pursuant
to sections 1128(a)(1)
and (a)(2), the issue of reasonable-ness arises only if the exclusions are for
periods in excess of five years.
By contrast, Congress did not mandate minimum exclusions for parties excluded
pursuant to section
1128(b) of the Act. Neither in the Act nor in the legislative history to the
Act is there support for the I.G.'s
position that the Secretary was authorized to establish minimum exclusions for
parties excluded pursuant to
section 1128(b).
In this case, the exclusion was imposed pursuant to section 1128(b)(3) of the
Act, a section which neither
mandates the imposition of an exclusion nor requires that an exclusion of a
particular length be imposed
against an excluded party. The measure of the reasonableness of any exclusion
imposed under this section
is the Act's remedial criteria.
The new Part 1001 regulations, and, in particular, section 1001.401, plainly
would strip excluded parties of
the statutory right recognized in Matesic to present evidence which relates
to the Act's remedial criteria, if
those regulations were found to govern administrative hearings as to the reasonableness
of exclusions.
Furthermore, the new regulations would render meaningless parties' rights to
de novo hearings as to the
reasonable-ness of exclusions, because the regulations would declare the evidence
which relates to
reasonableness to be irrelevant. Under the new regulations, assuming they were
to apply to administrative
law judges' hearings as to the reasonableness of exclusions, the role of administrative
law judges would be
confined to an appellate review of whether the I.G. had considered the factors
delineated by the regulations
in reaching his exclusion determinations. Thus, the Part 1001 regula-tions,
assuming they were held to
govern administrative law judges' hearings as to the reasonableness of exclusions,
would place the
Secretary in opposition to the Act as interpreted in prior decisions by appellate
panels of the Departmental
Appeals Board. 6/
I do not have authority to declare regulations to be ultra vires the Act. 42
C.F.R. 1005.4(c)(1) (1992); see
Jack W. Greene, DAB 1078, at 18 (1989), aff'd, Greene v. Sullivan, 731 F. Supp.
835. 7/ If the Part 1001
regulations are intended to govern administrative law judges' hearings as to
the reasonableness of
exclusions, I must apply them to my decisions, even though they may conflict
with the Act or the Board's
interpretations of the Act. Therefore, I make no findings here as to whether
the Part 1001 regulations are
ultra vires the Act.
However, I am required to interpret regulations so that they are consistent
with the letter and spirit of the
Act and the Board's decisions, to the extent that I do not contravene the regulations'
plain meaning. If it is
reasonably possible for me to read these regulations in a way which avoids a
clash between the regulations
and congressional intent, I must do so. As the Board's appellate panel held
in Greene:
In order to consider the "issues" as stated by the regulation [the
version of 42 C.F.R. 1001.125 which
predates the January 29, 1992 publication] the A.L.J. must apply the underlying
statutory provisions that
the issues were designed to address. The A.L.J. must consider the meaning of
the pertinent statutory
provision as well as related provisions, relevant legislative history, the effective
date of the statute, case law
interpretations, and implementing regulations and policy issuances. It would
literally be impossible to
apply the issue identified by the regulation in a legally correct manner without
considering these factors, as
appropriate.
Greene, DAB 1078, at 17 (emphasis added). Therefore, in interpreting the regulations,
I must, where
possible, read them consistent with the Act and the Board's decisions interpreting
the Act. Furthermore, to
the extent that the regulations are unclear or ambiguous, I must look to the
Act and case law interpreting
the Act as a controlling statement of intent. In the final analysis, the operative
principle I must apply --
unless explicit language in the regulations prohibits me from doing so -- is
to interpret regulations in a
manner which avoids creating conflicts between the Secretary's applications
of the Act and the Act itself.
The Part 1001 regulations neither mandate nor suggest the interpretation advocated
by the I.G. The
regulations may be read fairly in a manner which is consistent with the Act
and the Board's interpretations
of the Act. I conclude here, as I and other administrative law judges have concluded
previously, that the
Part 1001 regulations do not establish criteria for administrative law judges'
review of exclusion
determinations imposed pursuant to section 1128 of the Act. The criteria which
must be used by
administrative law judges to evaluate the reasonableness of exclusions continue
to be those required by
Congress and identified by the Board's appellate panels in their decisions,
including Matesic.
There are several bases for my conclusion that the Part 1001 regulations do
not establish criteria for the
evaluation of exclusions by administrative law judges, apart from my conclusion
that the Secretary would
not willingly publish regulations which are in conflict with the Act. First,
the Part 1001 regulations neither
state nor suggest that they apply at the level of the administrative hearing.
The plain meaning of the
regulations contained in Part 1001 is to establish criteria for the I.G. to
use in making exclusion
determinations.
The Part 1001 regulations establish criteria to be employed only by the I.G.
in making exclusion
determinations. Each subpart of Part 1001 refers only to "the OIG."
"OIG" is defined by 42 C.F.R.
1001.2 (1992) to mean "Office of Inspector General of the Department of
Health and Human Services."
The comments to Part 1001 of the regulations provide that "[t]he basic
structure of the proposed
regulations in this part set forth for each type of exclusion the basis or activity
that would justify the
exclusion, and the considerations the OIG would use in determining the period
of exclusion." 57 Fed. Reg.
3298, 3299 (1992) (emphasis added). Nowhere do the regulations state -- either
in Part 1001 or elsewhere
-- that they are intended to establish criteria for de novo adjudications of
the reasonableness of exclusions.
The I.G. has argued previously that a portion of the commentary to the Part
1001 regulations expresses the
Secretary's intent that the regulations establish criteria for administrative
law judges' adjudications of the
reasonableness of exclusions. I considered this argument in Saini and found
it to be without merit. Saini,
DAB CR217, at 14 - 16. I will not reiterate my analysis here, except to note
that the "comment" and
"response" cited by the I.G. in his arguments in Saini are, at best,
ambiguous, and furthermore, they do not
state that the Part 1001 regulations are intended to serve as criteria for adjudications
of exclusions'
reasonableness.
Second, there is nothing in the Part 1001 regulations or the commentary to
those regulations which either
states or suggests that the Secretary intended the regulations to overrule the
Board's interpretations of the
Act. The Board is vested with authority to interpret the Act on behalf of the
Secretary. Its decisions carry
the same weight as do regulations. Had the Secretary intended to supersede the
Board's decisions by his
enactment of regulations, he would have said so.
The Secretary's decision not to overrule or supersede Board interpretations
of the Act establishing the
standard for review of section 1128 exclusions stands in contrast to specific
instances where he has,
through the new regulations, explicitly established standards of review of I.G.
determinations which are
binding on administrative law judges and the Board's appellate panels. For example,
the new regulations
containing criteria for determining civil money penalties, assessments, and
exclusions apply to "the
Department" and not to the I.G. only. 42 C.F.R. 1003.106, 1003.107 (1992).
Third, the Part 1001 regulations would conflict with other regulations adopted
by the Secretary on January
29, 1992, if they were held to establish criteria for adjudication of the reasonableness
of the exclusion by
administrative law judges. The Part 1001 regulations are part of a broader enactment
which includes
regulations which explicitly establish the authority of administra-tive law
judges to conduct hearings
pursuant to section 1128 of the Act (and pursuant to other sections, as well).
These are contained in Part
1005 of the new regulations. The Part 1005 regulations also make explicit certain
rights which inure to
parties in hearings held pursuant to the Act.
The Part 1005 regulations contain many sections which would be meaningless
if the standard for
determining exclusions contained in Part 1001 were construed to be a standard
for reviewing the
reasonableness of exclusion determinations. The Part 1001 regulations all but
mandate exclusions of
predetermined length in most cases. By contrast, the Part 1005 regulations envision
adversary hearings
where the review of exclusions by administrative law judges is not bound rigidly
by the criteria and
evidence employed by the I.G. to make exclusion determinations.
Specific sections in the Part 1005 regulations plainly envision a much broader
scope to administrative
hearings than would result from holding that the Part 1001 regulations establish
criteria for adjudication of
the reasonableness of exclusions. For example, 42 C.F.R. 1005.15(f)(1) (1992)
provides that evidence
which may be considered by an administrative law judge in reviewing an exclusion
determination shall not
be limited to that on which the I.G. relies in his notice of exclusion. As another
example, 42 C.F.R.
1005.20(b) (1992) provides that an administrative law judge may "affirm,
increase or reduce the penalties,
assessment or exclusion proposed or imposed by the IG, or reverse the imposition
of the exclusion."
Nowhere does this section or the other Part 1005 regulations state or suggest
that this authority is subject to
the criteria contained in the Part 1001 regulations.
The Part 1005 regulations also establish comprehensive procedural safeguards
for the conduct of adversary
hearings pursuant to section 1128 of the Act, which would become meaningless
if the Part 1001 regulations
were construed to establish standards for adjudication of the reasonableness
of exclusions. For example,
discovery of documents is provided for by 42 C.F.R. 1005.3, 1005.7 (1992). The
regulations mandate
prehearing exchanges of lists of witnesses, as well as witness statements and
exhibits. 42 C.F.R. 1005.8
(1992). The regulations provide a mechanism to subpoena witnesses to testify
at hearings. 42 C.F.R.
1005.9 (1992). They provide for on-the-record hearings which may include the
testimony of witnesses and
the cross-examination of witnesses. 42 C.F.R. 1005.15, 1005.16 (1992). They
contain standards
governing the admission of evidence at hearings. 42 C.F.R. 1005.17 (1992). They
provide for recorded
and transcribed hearings. 42 C.F.R. 1005.18 (1992). None of these regulations
would be needed if, in
fact, nearly all cases brought under section 1128 of the Act were to be decided
summarily pursuant to the
Part 1001 regulations.
The I.G. has argued that any decision by an administrative law judge which
interprets the new regulations
in a manner different from that contended to be correct by the I.G., or which
differs with the I.G.'s
determination as to what is a reasonable exclusion in a particular case, constitutes
an impermissible
interference with the I.G.'s discretion. He bases this argument on 42 C.F.R.
1005.4(c)(5) (1992), which
forbids administrative law judges from reviewing the I.G.'s exercise of discretion
to exclude a party under
section 1128(b) of the Act or to determine the scope or effect of the exclusion.
The meaning of section
1005.4(c)(5) is not apparent from its language or its context, and it is not
explained in the preamble or
comments. However, it plainly does not vest authority in the I.G. to interpret
and apply regulations as
"exercises of discretion" which are immune from review by administrative
law judges and the Board's
appellate panels. Furthermore, if the regulation were read to mean that administrative
law judges could not
independently decide whether an exclusion is reasonable in a particular case,
it would make meaningless
all hearings under section 1128 of the Act. Under the I.G.'s asserted interpretation,
I would lack even the
authority to decide whether the I.G. had complied with the Part 1001 regulations.
Finally, it is reasonable to read the Part 1001 regulations as codifying I.G.
policy, without construing them
as being applicable at all levels of review. There has never been a particular
nexus between the criteria
employed by the I.G. to make exclusion determinations and criteria employed
by administrative law judges
or the Board's appellate panels to evaluate the reasonableness of such determinations.
For example, the
I.G.'s agents have testified routinely in cases involving section 1128(b)(4)
exclusions that the I.G.'s policy
is to make exclusions under that section coterminous with license suspensions
or revocations imposed by
State licensing authorities. However, the Board's appellate panels and administrative
law judges have held
that the purpose of the administrative hearing is to objectively adjudicate
the reasonableness of an
exclusion determination pursuant to the remedial criteria contained in the Act.
The I.G.'s internal policies
and adherence to them have not been standards by which the reasonableness of
exclusions have been
adjudicated.
The Part 1001 regulations therefore can be read to make explicit a previously
inchoate policy governing the
I.G.'s internal operations. However, neither administrative law judges nor the
Board's appellate panels
have ever concluded that it was the Secretary's intent to direct them to apply
the law in a manner consistent
with the I.G.'s internal policy. The fact that these regulations codify policy
which is applicable to the I.G.
does not require that they be read as a directive to administrative law judges
and the Board in the absence
of any expression of intent by the Secretary to make that policy applicable
at the level of the administrative
hearing.
2. The three-year exclusion which the I.G. imposed and directed against Petitioner
is excessive.
I conclude that the three-year exclusion imposed and directed against Petitioner
by the I.G. is excessive
because an exclusion of that duration is not necessary to protect the welfare
of beneficiaries and recipients
of federally funded health care programs.
Applying the criteria established in Matesic, I reach the following conclusions.
First, Petitioner's offense
was serious and it demonstrates that Petitioner was a highly untrustworthy individual
at the time she
committed that offense. There is no question that her conduct merits an exclusion
in order to protect the
welfare of program beneficiaries and recipients. Second, Petitioner has expressed
recognition of the nature
of her misconduct, remorse for it, and has made sincere and dedicated efforts
at rehabilitation. Third,
Petitioner's efforts at rehabilitation have so far been successful. When viewed
in combination, these factors
demonstrate the need for an exclusion, but not for the lengthy exclusion imposed
by the I.G.
There is no question that Petitioner committed a serious offense which established
her to be an
untrustworthy provider of care. Petitioner abused her position as a pharmacist
to unlawfully obtain
possession of controlled substances. Further, Petitioner potentially endangered
the welfare of individuals
whose welfare she had the duty to protect. By abusing controlled substances
and alcohol, Petitioner
created the possibility that she might make judgment errors in filling prescriptions
for controlled substances
and other medications, thereby placing other individuals' health and safety
in jeopardy.
Had the I.G. imposed the exclusion at issue here in September 1990 when Petitioner
pled guilty to an
offense involving controlled substances, I would have had no difficulty in sustaining
it. At that point,
Petitioner was addicted to controlled substances and alcohol and had not yet
begun the process of
rehabilitation. I would have held then that a three-year exclusion would have
been reasonably necessary to
protect the welfare of beneficiaries and recipients.
Intervening events demonstrate that it is not now necessary to impose a three-year
exclusion against
Petitioner. Beginning in October 1990, Petitioner underwent intensive, and,
so far, successful efforts to
refrain from substance and alcohol use and to rehabilitate herself. She has
remained free of both controlled
substances and alcohol for more than two years. She has involved herself actively
in rehabilitation efforts.
Her dedication to rehabilitation is demonstrated by her faithful attendance
at Alcoholics Anonymous
meetings. 8/
Petitioner has demonstrated an understanding of the harmfulness of her past
substance and alcohol abuse.
She has expressed remorse for her past conduct and has asserted, credibly and
sincerely, that she intends to
remain substance and alcohol-free.
Petitioner's efforts at rehabilitation plainly have impressed State authorities
in Ohio. She was discharged
early from her probation. Her license to practice pharmacy in Ohio has been
restored, albeit on a
probationary basis. 9/
The I.G. imposed his three-year exclusion of Petitioner in May 1992. Under
the terms of that exclusion,
Petitioner would not be eligible to apply for reinstatement prior to May 1995.
Assuming she remains
faithful to her pledge to rehabilitate herself, by then Petitioner will be substance-free
for nearly five years.
I do not believe that such a long term of abstinence is a reasonable precondition
for eligibility for
reinstatement in this case, given Petitioner's diligence and sincerity. In light
of Petitioner's efforts at
rehabilitation, I conclude that a three-year period of abstinence from alcohol
and controlled substances
would establish Petitioner to be trustworthy to provide care. Therefore, I modify
the I.G.'s exclusion to a
term of 18 months. Under the terms of the modified exclusion, Petitioner will
be eligible to apply to the
I.G. for reinstatement in November 1993, more than three years from the date
when Petitioner last
consumed alcohol or controlled substances. 10/
CONCLUSION
For the foregoing reasons, I conclude that the three-year exclusion imposed
and directed against Petitioner
by the I.G. is excessive. I modify the exclusion to a term of 18 months.
________________________
Steven T. Kessel
Administrative Law Judge
1. "State health care program" is defined by section 1128(h) of the
Social Security Act to cover three
types of federally financed health care programs, including Medicaid. Unless
the context indicates
otherwise, I use the term "Medicaid" hereafter to represent all State
health care programs from which
Petitioner was excluded.
2. I refer to the I.G.'s exhibits as "I.G. Ex. (exhibit number)/(page)."
I refer to Petitioner's exhibits as "P.
Ex. (exhibit number)/(page)." I refer to the transcript of the hearing
as "Tr. at (page)."
3. Neither party to this case submitted extensive briefs on this issue. I advised
the parties at the hearing
that I had issued several decisions in which I found that the new Part 1001
regulations did not establish
criteria governing administrative law judges' adjudications of the reasonableness
of exclusions. I did not
instruct the parties that they should not brief the issue of the regulations'
applicability, but I made it clear
that I was unlikely to change my decision based on a revisiting of arguments
which I had already heard and
decided. I advised the I.G. that, to the extent he disagreed with my decision
as to the regulations'
applicability, his disagreement would be noted and his rights to appeal would
be preserved.
4. Petitioner's crime did not involve other individuals. Therefore, Petitioner
could not have performed
any of the acts which the regulation designates as "mitigating" even
if she wanted to do so.
5. Section 205(b) also governs hearing rights for applicants for Social Security
benefits, including Social
Security disability benefits. A party excluded under section 1128 of the Act
has the same hearing rights as
has any applicant for Social Security benefits.
6. This potential conflict was implicitly recognized by the appellate panel
in Bassim. Although the panel
declined to address the issue of the applicability of the Part 1001 regulations,
it held that those regulations
could not be applied retroactively to exclusion determinations made prior to
January 29, 1992. The
gravamen of the decision in Bassim was that if the Part 1001 regulations applied
to administrative
adjudications, then they stripped parties of rights which the Board's appellate
panels had found previously
were vested by the Act.
7. I also do not have authority to overrule decisions by the Board's appellate panels.
8. Petitioner had surgery in December 1990. Notwithstanding, she attended an
Alcoholics Anonymous
meeting the following week. P. Ex. 7/3.
9. The I.G. could have excluded Petitioner pursuant to section 1128(b)(4) of
the Act, based on the
suspension of Petitioner's license to practice pharmacy in Ohio. Had the I.G.
done so, and had the I.G.
followed his policy of making the exclusion coterminous with the license suspension,
Petitioner would now
be eligible for reinstatement. The Act does not require the I.G. to impose exclusions
which operate to the
advantage of excluded parties. There is no requirement that the I.G. elect to
exclude under section
1128(b)(4) where there exists an option to exclude under another subsection
of section 1128(b). On the
other hand, the fact that Petitioner would now be eligible for reinstatement,
had the I.G. chosen to exclude
her under section 1128(b)(4), underscores my conclusion that the Act does not
suggest that minimum
exclusions are required for any subsection of 1128(b).
10. The fact that Petitioner is eligible to apply for reinstatement after 18
months does not obligate the
I.G. to grant her application. If Petitioner should relapse during the period
between this decision and the
date of her becoming eligible for reinstatement, then, presumably, the I.G.
could factor such a relapse into
his determination as to whether Petitioner is in fact trustworthy to provide
care as of the date of her
application for reinstatement.