97-4345. Roger D. McAlpin, D.M.D., Grant of Restricted Registration  

  • [Federal Register Volume 62, Number 35 (Friday, February 21, 1997)]
    [Notices]
    [Pages 8038-8041]
    From the Federal Register Online via the Government Publishing Office [www.gpo.gov]
    [FR Doc No: 97-4345]
    
    
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    DEPARTMENT OF JUSTICE
    Drug Enforcement Administration
    [Docket No. 95-29]
    
    
    Roger D. McAlpin, D.M.D., Grant of Restricted Registration
    
        On March 7, 1995, the Deputy Assistant Administrator, Office of 
    Diversion Control, Drug Enforcement Administration (DEA) issued an 
    Order to Show Cause to Roger McAlpin, D.M.D. (Respondent) of 
    Louisville, Kentucky, notifying him of an opportunity to show cause as 
    to why DEA should not deny his application for registration as a 
    practitioner under 21 U.S.C. 823(f), for reason that such registration 
    would be inconsistent with the public interest.
        By letter dated March 29, 1995, the Respondent, acting pro se, 
    timely filed a request for a hearing, and following prehearing 
    procedures, a hearing was held in Louisville, Kentucky on February 21, 
    1996, before Administrative Law Judge Mary Ellen Bittner. At the 
    hearing, both parties called witnesses to testify and the Government 
    introduced documentary evidence. After the hearing, the Government 
    submitted proposed findings of fact, conclusions of law and argument. 
    On July 3, 1996, Judge Bittner issued her Opinion and Recommended 
    Ruling. Findings of Fact, Conclusions of Law and Decision, recommending 
    that Respondent's application for a DEA Certificate of Registration 
    should be granted in Schedules III non-narcotic, IV and V subject to 
    various restrictions. On July 22, 1996, the Government filed exceptions 
    to the Recommended Ruling of the Administrative Law Judge, and on 
    August 6, 1996, Judge Bittner transmitted the record of these 
    proceedings, including the Government's exceptions to the Deputy 
    Administrator.
        The Acting Deputy Administrator has considered the record in it 
    entirety, and pursuant to 21 CFR 1316.67, hereby issues his final order 
    based upon findings of fact and conclusions of law as hereinafter set 
    forth. The Acting Deputy Administrator adopts, except as specifically 
    noted below, the Opinion and Recommended Ruling, Findings of Fact, 
    Conclusions of Law and Decision of the Administrative Law Judge. The 
    Acting Deputy Administrator's adoption is in no manner diminished by 
    any recitation of facts, issues and conclusions herein, or of any 
    failure to mention a matter of fact or law.
        The Acting Deputy Administrator finds that Respondent received his 
    D.M.D. degree from the University of Kentucky in 1979. Following 
    graduation, Respondent worked for a non-profit dental clinic in 
    California for approximately two years. Over the ensuing years, 
    Respondent practiced dentistry at various times in Kentucky, Illinois 
    and Tennessee.
        According to Respondent, he began using cocaine recreationally 
    while in dental school. He testified that he quit using cocaine after 
    graduation, but then resumed using cocaine and other controlled 
    substances in 1981. Respondent quit abusing drugs again after 
    approximately two years and then recommenced his abuse in the late 
    1980's. According to Respondent, in April 1988 he entered into a 30-day 
    in-patient rehabilitation treatment facility. Following his discharge 
    from the facility, he continued to attend Narcotics Anonymous and 
    Alcoholics Anonymous meetings three to four nights a week. 
    Subsequently, Respondent concluded that he was cured of his addiction, 
    stopped attending support meetings, and broke off all contact with his 
    sponsor.
        In 1989, Respondent was working for a dental clinic in Tennessee 
    which was owned by an individual who was not a dentist. In November 
    1989, the Tennessee Department of Health and Environment, Health 
    Related Boards initiated an investigation of Respondent after receiving 
    a complaint from a local pharmacist that Respondent was possibly 
    overprescribing and distributing controlled substances. A review of 
    Respondent's prescriptions revealed that several of Respondent's 
    patients had received Schedule II
    
    [[Page 8039]]
    
    controlled substances at regular intervals; that multiple prescriptions 
    for Schedule II controlled substances were filled by the same 
    individuals at different pharmacies on the same day; and that many of 
    these patients had the same address or interchanged addresses. On March 
    27, 1990, Tennessee Investigators interviewed Respondent during which 
    Respondent admitted to abusing cocaine in the past and to selling 
    prescriptions. Sometime in 1989, Respondent began writing and selling 
    Schedule II prescriptions for no legitimate medical reason to 
    approximately eight individuals who sold the drugs on the street. 
    Respondent testified at the hearing before Judge Bittner that he needed 
    the money to pay for his daughter's eye surgery and to reimburse the 
    Internal Revenue Service for unpaid taxes. According to Respondent, he 
    sold the prescriptions for approximately nine months and was 
    occasionally using drugs himself during that time.
        On March 30, 1990, Respondent surrendered his previous DEA 
    Certificate of Registration. On June 14, 1990, the Tennessee Board of 
    Dentistry (Tennessee Board) revoked Respondent's license to practice 
    dentistry in the State of Tennessee. The Tennessee Board found that 
    Respondent unlawfully prescribed controlled substances for financial 
    gain and violated a provision of Tennessee law which prohibits a 
    licensed dentist from being employed by a non-dentist.
        In the meantime, Respondent had applied for and received a dental 
    license in the Commonwealth of Virginia on May 1, 1990. On September 
    20, 1990, the Virginia Board of Dentistry (Virginia Board) revoked 
    Respondent's license in that state. The Virginia Board found that 
    Respondent's Tennessee license had been revoked for allowing controlled 
    substances to be diverted to the public for illicit use; that 
    Respondent had falsified his Virginia application, in that he denied an 
    addiction to drugs and that he had any complaints pending in any 
    jurisdiction against him; and that Respondent had not finalized a 
    contract with the Caring Dentists Committee of the Virginia Dental 
    Association as required by the Impaired Dentists' Contract he had 
    signed with the Concerned Dentist Committee of the Tennessee Dental 
    Association.
        Subsequently, on December 15, 1990, the Kentucky Board of Dentistry 
    (Kentucky Board) conducted a hearing regarding Respondent's license to 
    practice dentistry in that state. The Kentucky Board concluded that 
    Respondent violated state law by engaging in unprofessional conduct 
    culminating in the revocation of his licenses to practice dentistry in 
    Tennessee and Virginia. The Kentucky Board placed Respondent on 
    probation for two years and ordered him to sign a contract with and 
    participate in the impaired dentists program of the Kentucky Dental 
    Association, make quarterly reports to the Kentucky Board regarding his 
    progress in that program, and otherwise comply fully with the Kentucky 
    Dental Practice Act. By the time of the hearing before Judge Bittner, 
    Respondent had completed his probation with the Kentucky Board.
        On May 18, 1991, Respondent forged a prescription for 16 dosage 
    units of Lortab 7.5 mg., a Schedule III controlled substance, and 
    attempted to have it filled at a local pharmacy. Respondent testified 
    that he had arrived early at his Narcotics Anonymous meeting that 
    evening and was reading a book in his car when he noticed that the book 
    marker was an old prescription form of a dentist for whom he used to 
    work. He then spontaneously forged the prescription and attempted to 
    have it filled, but never received the drugs because the pharmacist 
    determined that the prescription was forged. On August 15, 1991, 
    Respondent pled guilty in state court to criminal attempt to possess a 
    Schedule IV non-narcotic controlled substance and was sentenced to six 
    months in prison, fined $200.00, and ordered to pay court costs. The 
    sentence was credited four days for time served and then stayed in 
    favor of one year probation and payment of the fine.
        Respondent testified at the hearing before Judge Bittner that he 
    has been drug-free since 1990, and that after his 1991 conviction he 
    began seeing a doctor for chemical dependency counseling and drug 
    screening. According to Respondent, he was unable to introduce into 
    evidence any documentation regarding the drug screens and counseling 
    because the doctor has since died. Respondent further testified that he 
    has maintained close contact with a counselor at his church; has been 
    attending Narcotics Anonymous meetings; had been attending Caduceus 
    group meetings, a medical professionals support group, until the group 
    relocated; and has been trying to get invited to join a Caduceus group 
    that meets in Louisville.
        A DEA investigator contacted the doctor at the treatment facility 
    where Respondent had received treatment for his addiction from April 10 
    through May 10, 1988. The doctor indicated to the investigator that he 
    had not had any contact with Respondent since May 10, 1988, other than 
    one telephone call during which Respondent ``sounded grandiose'' 
    causing the doctor to suspect that Respondent had not made a sound 
    recovery. The doctor stated that he would not recommend granting 
    Respondent his DEA registration without evidence of sound recovery.
        Respondent testified at the hearing that if his application for DEA 
    registration is granted, he is willing to have whatever conditions/
    restrictions DEA deems appropriate placed on his registration. He also 
    testified that he is currently paying taxes and that he is repaying the 
    Internal Revenue Service on an arranged payment schedule.
        Pursuant to 21 U.S.C. 823(f), the Deputy Administrator may deny an 
    application for a DEA Certificate of Registration if he determines that 
    such registration would be inconsistent with the public interest. In 
    determining the public interest, the following factors are considered:
        (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.
        These factors are to be considered in the disjunctive; the Deputy 
    Administrator may rely on any one or a combination of factors and may 
    give each factor the weight he deems appropriate in determining whether 
    a registration should be revoked or an application for registration be 
    denied. See Henry J. Schwarz, Jr., M.D., Docket No. 88-42, 54 FR 16,422 
    (1989).
        Regarding factor one, Respondent has had his license to practice 
    dentistry revoked in both Tennessee and Virginia and the Kentucky Board 
    placed his license on probation for two years. While Respondent is not 
    currently authorized to practice dentistry in Tennessee and Virginia, 
    he does now have an unrestricted registration in Kentucky, the state in 
    which he is applying to be registered with DEA. As Judge Bittner noted, 
    ``[w]hile a state license to practice dentistry is a necessary 
    condition for the granting of a DEA registration, it is not 
    dispositive.''
        As to factor two, Respondent's experience in dispensing controlled 
    substances, it is undisputed that in 1989, Respondent, motivated solely 
    by financial gain, sold controlled substance prescriptions to 
    approximately eight
    
    [[Page 8040]]
    
    individuals over a nine month period for no legitimate medical purpose, 
    and that he attempted to fill a forged prescription for a controlled 
    substance in 1991. Judge Bittner concluded that, ``Respondent's conduct 
    in this respect weighs in favor of a finding that Respondent's 
    registration would be inconsistent with the public interest; however, I 
    found Respondent to be a credible witness and believe his expressions 
    of remorse.''
        Regarding factor three, following his attempt to fill a forged 
    prescription for controlled substances, Respondent was convicted in 
    1991 of criminal attempt to possess a controlled substance. Judge 
    Bittner found that ``[t]his criminal conviction supports the 
    Government's contention that Respondent cannot responsibly handle 
    controlled substances,'' and therefore concluded that ``this factor 
    weighs in favor of a finding that Respondent's registration with the 
    DEA would be inconsistent with the public interest.'' The Acting Deputy 
    Administrator finds however, that while Respondent was charged with 
    obtaining a controlled substance by fraud, he ultimately was convicted 
    of criminal attempt to possess a controlled substance. Therefore, the 
    Acting Deputy Administrator concludes that it appears that Respondent 
    has no conviction record relating to the manufacture, distribution or 
    dispensing of controlled substances.
        As to factor four, it is evident from the record that Respondent 
    has violated various laws and regulations relating to controlled 
    substances. By prescribing controlled substances to eight individuals 
    over a nine year period in 1989 for no legitimate medical purpose, 
    Respondent violated 21 U.S.C. 841(a)(1) and 21 CFR 1306.04. He violated 
    various state and Federal laws by self-abusing cocaine and other 
    controlled substances. Further, his attempt to obtain controlled 
    substances by forging a prescription violated 21 U.S.C. 843(a)(3). 
    Judge Bittner concluded that, ``this factor weighs in favor of finding 
    that his reregistration would be inconsistent with the public interest; 
    however, Respondent's most recent misconduct occurred five years before 
    the date of this hearing, and it now appears that Respondent 
    acknowledges his wrongdoing and realizes the consequences of his 
    actions.''
        Finally, as to factor five, as Judge Bittner notes, ``[t]here is no 
    dispute that Respondent has had a long history of drug abuse, dating 
    back to 1974.'' Respondent acknowledged at the hearing that he has 
    relapsed in the past following efforts at rehabilitation, however he 
    has been drug-free since 1990, and as of the date of the hearing, 
    continues to strive to maintain his successful rehabilitation. The 
    Acting Deputy Administrator is troubled however, at the lack of 
    evidence in the record regarding Respondent's rehabilitation efforts. 
    In fact, other than Respondent's own testimony, the only other evidence 
    presented was a letter from the doctor who oversaw his treatment in 
    1988, who stated that, ``(Respondent) sounds grandiose over the phone 
    and I suspect that he does not have a sound recovery.'' However, Judge 
    Bittner noted that she ``was very impressed by Respondent as a witness; 
    he appeared very candid and remarkably straight-forward at the hearing 
    and I credit his testimony that he has been in rehabilitation and has 
    remained drug-free for five years.''
        The Administrative Law Judge concluded that Respondent's past 
    history regarding controlled substances is ``dismal'', finding that 
    Respondent ``has abused drugs, including cocaine, throughout most of 
    his adult life, that he sold Schedule II controlled substance 
    prescriptions to approximately eight individuals for no legitimate 
    medical purpose, and that he attempted to pass a forged prescription 
    for a Schedule III controlled substance during a relapse.'' However, in 
    light of her finding that Respondent's testimony regarding his 
    rehabilitation from drug abuse was credible, Judge Bittner concluded 
    that it would not be inconsistent with the public interest to grant 
    Respondent's application for DEA registration. Judge Bittner determined 
    however, that some restrictions were appropriate to protect the public. 
    Accordingly, Judge Bittner recommended that Respondent's registration 
    should be limited to non-narcotic controlled substances in Schedule III 
    and controlled substances in Schedule IV and V; Respondent should be 
    permitted to prescribe, but not administer or otherwise dispense, 
    controlled substances in the above categories; and he should be 
    required to submit a log of his prescriptions to the nearest DEA 
    resident office for review every three months for two years from the 
    date of issuance of his registration.
        The Government filed exceptions to the Recommended Ruling of the 
    Administrative Law Judge. The Government argued that ``the record in 
    this proceeding, specifically Respondent's past abuse of prescribing 
    privileges and the absence of evidence regarding Respondent's 
    rehabilitation, supports denial of Respondent's application for DEA 
    registration.'' The Government further argued that, ``should the Acting 
    Deputy Administrator decide to adopt the recommended ruling of the 
    administrative law judge, the Government requests that Respondent also 
    be restricted from prescribing any controlled substance to himself or 
    to members of his immediate family.''
        The Acting Deputy Administrator concludes that the evidence in the 
    record raises serious questions regarding Respondent's fitness to 
    possess a DEA registration based upon Respondent's prescribing of 
    controlled substances in 1989 purely for financial gain and not for any 
    legitimate medical reason, his self-abuse of controlled substances from 
    at least 1974 to 1990, and his attempt to obtain controlled substances 
    by forging a prescription. Nevertheless, the Acting Deputy 
    Administrator notes that there is no evidence of any wrongdoing since 
    1991, and Judge Bittner found Respondent to be credible in his 
    expressions of remorse and assertions regarding his rehabilitative 
    efforts. Thus, the Acting Deputy Administrator concludes that it would 
    not be inconsistent with the public interest to grant Respondent a DEA 
    registration. However, the Acting Deputy Administrator is concerned by 
    the lack of evidence in the record regarding Respondent's 
    rehabilitative efforts, other than Respondent's own testimony, and 
    therefore, concludes that additional restrictions beyond those 
    recommended by the Administrative Law Judge are necessary to protect 
    the public interest. Accordingly, the Acting Deputy Administrator 
    concludes that Respondent should be issued a limited DEA Certificate of 
    Registration in Schedules III non-narcotic, IV and V subject to the 
    following terms and conditions for a period of three years from the 
    date of issuance of the registration:
        (1) Respondent shall be permitted to prescribe, but not administer 
    or otherwise dispense, controlled substances.
        (2) Respondent shall not be permitted to possess any controlled 
    substance unless properly authorized by another licensed practitioner 
    who has been advised of the restrictions on Respondent's registration.
        (3) Respondent shall not prescribe controlled substances for 
    himself or any member of his immediate family.
        (4) Respondent shall be required to submit a log of his 
    prescriptions to the DEA Louisville Resident Office for review every 
    three months. This log shall include, at a minimum, the date of 
    issuance of the prescription, the name of the patient receiving the 
    prescription, and the name, dosage and quantity of the controlled 
    substance prescribed.
    
    [[Page 8041]]
    
        (5) Respondent is required to undergo random drug screening at his 
    own expense not less than one time per month, and is required to 
    forward the results of the drug screens to the DEA Louisville Resident 
    Office.
        Accordingly, the Acting Deputy Administrator of the Drug 
    Enforcement Administration, pursuant to the authority vested in him by 
    21 U.S.C. 823 and 28 CFR 0.100(b) and 0.104, hereby orders that the 
    application, submitted by Roger McAlpin, D.M.D., for a DEA Certificate 
    of Registration be, and it hereby is, granted in Schedules III non-
    narcotic, IV and V subject to the above described restrictions. This 
    order is effective March 24, 1997.
    
        Dated: February 10, 1996.
    James S. Milford,
    Acting Deputy Administrator.
    [FR Doc. 97-4345 Filed 2-20-97; 8:45 am]
    BILLING CODE 4410-09-M
    
    
    

Document Information

Published:
02/21/1997
Department:
Drug Enforcement Administration
Entry Type:
Notice
Document Number:
97-4345
Pages:
8038-8041 (4 pages)
Docket Numbers:
Docket No. 95-29
PDF File:
97-4345.pdf