United States v. Maynard , 278 F. App'x 214 ( 2008 )


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  •                                                                                                                            Opinions of the United
    2008 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    5-15-2008
    USA v. Maynard
    Precedential or Non-Precedential: Non-Precedential
    Docket No. 07-2889
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    http://digitalcommons.law.villanova.edu/thirdcircuit_2008/1218
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    NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ____________
    No. 07-2889
    ____________
    UNITED STATES OF AMERICA
    v.
    PAUL MAYNARD,
    Appellant.
    ____________
    On Appeal from the United States District Court
    for the District of the Virgin Islands
    (No. 03-cr-00143)
    District Judge: Hon. Raymond L. Finch
    Submitted Under Third Circuit LAR 34.1(a)
    May 8, 2008
    Before: RENDELL, FUENTES, and CHAGARES, Circuit Judges.
    ____________
    (Filed: May 15, 2008)
    Counsel for Appellant
    Richard F. Della Ferra (Argued)
    Entin & Della Ferra, P.A.
    110 Southeast Sixth Street, Suite 1970
    Fort Lauderdale, FL 33301
    Counsel for Appellee
    Kim L. Chisholm (Argued)
    Assistant United States Attorney
    5500 Veterans Drive, Suite 260
    St Thomas, VI 00802
    OPINION OF THE COURT
    CHAGARES, Circuit Judge.
    A jury convicted Paul Maynard of dispensing prescription painkillers outside the
    usual course of professional medical practice. Maynard now appeals, contending that the
    jury’s verdict was not supported by sufficient evidence. Because there is ample record
    evidence that could support the jury’s conclusion, we will affirm.
    I.
    Maynard was a licensed physician who practiced medicine on St. Thomas. In
    2001, a pharmacist on St. Thomas became suspicious after filling a large number of
    prescriptions for Dilaudid, a narcotic painkiller, that Maynard had written for one of his
    patients. The pharmacist alerted law enforcement agencies, who began an undercover
    investigation into Maynard’s practices. On January 25, 2002, DEA Special Agent
    Michael Poist and U.S. Coast Guard Special Agent Scott Miles went to see Maynard in an
    attempt to obtain a prescription. After completing forms with fake names, the two
    entered Maynard’s office together, and Poist told Maynard that he wanted a prescription
    for Vicodin. Maynard asked Poist what was wrong, and Poist replied that “sometimes I
    had a sore neck and my wrist hurt sometimes.” (Feb. 7, 2007 Trial Tr. at 56.) Maynard
    took Poist’s blood pressure, listened to his chest, and took his weight – but did not
    examine his neck or wrist at all. Maynard then asked Poist and Miles if they “were going
    to do a deal with the pills. And we just told him no, that we were going to party with
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    them.” (Id. at 57.) Maynard told the agents to be “careful,” and then issued the
    prescription. The agents paid Maynard $100 cash.
    Four days later, the two agents went back to Maynard’s office. The receptionist
    told them that it was “too soon” to get another prescription for Poist – so Agent Miles
    filled out the paperwork instead, and the two agents went in, again together, to see
    Maynard. Maynard said that it was too early for Poist to get another prescription, and so
    Miles asked if he “could get some.” (Id. at 62.) Maynard asked Miles what ailed him,
    and Miles replied that he had a toothache. Maynard at first told Miles to go see a dentist,
    but then said that he would have to do a physical on Miles. The physical consisted – in
    total – of taking Miles’s blood pressure. Maynard then issued Miles a prescription for
    Vicodin. Again, the agents paid Maynard $100 cash.
    On August 19, 2002, Poist returned to Maynard, this time without Miles. Maynard
    said to Poist, “You’re not really sick, are you?” (Id. at 70.) Poist replied that he was
    there to get his prescription filled again. Maynard did not perform any examination on
    Poist, but simply wrote out a prescription for Vicodin. Ten days later, Poist returned to
    Maynard’s office. Again Maynard performed no examination, and again he gave Poist a
    prescription for Vicodin. This time, however, Poist asked Maynard if he “could get some
    Valium too, just so that I could sleep better,” and Maynard complied. (Id. at 73.)
    Detective Mark Joseph of the Virgin Islands Police Department also visited
    Maynard in an undercover capacity. On August 6, 2002, Joseph told Maynard that he was
    having problems with his girlfriend and that his back hurt. After a cursory examination,
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    during which Maynard weighed Joseph, took his blood pressure, and listened to Joseph’s
    chest and back with a stethoscope, Maynard wrote Joseph a prescription for Vicodin.
    Maynard did not discuss Joseph’s personal history or medical history, did not take x-rays,
    and did not refer Joseph to a specialist. Three weeks later, Joseph went back to Maynard.
    Maynard asked him whether his back still hurt, and Joseph said it did not. Maynard wrote
    him another prescription for Vicodin anyway. On each visit, Joseph paid Maynard cash
    in his office.
    On September 11, 2003, Maynard was indicted on charges of dispensing and
    distributing controlled substances outside the scope of professional medical practice, in
    violation of 21 U.S.C. § 841(a)(1). Maynard went to trial in February 2007, and during
    the trial, the jury heard surreptitious recordings made by the agents during their visits to
    Maynard’s office.
    The jury also heard from two expert witnesses. Paul Doering, a Distinguished
    Service Professor of Pharmacy Practice at the University of Florida, described an analysis
    he performed of prescriptions Maynard wrote for seven of his patients. Doering
    concluded that Maynard often issued a patient a subsequent prescription before the
    previous prescription had run its course, and also frequently prescribed combinations of
    medicines that could have adverse interactions with one another. He testified that,
    looking at Maynard’s practices “from the perspective of a pharmacist, I’m concerned
    about the early refills. I’m concerned about the combination and quantities of
    4
    medications that were issued.” (Feb. 9, 2007 Trial Tr. at 61). He described Maynard’s
    prescription practices as “not in the best interest of the patient.” (Id. at 62.)
    The Government also called Dr. Theodore Parran, a physician specializing in
    addiction medicine, who is a professor at Case Western Reserve School of Medicine and
    the founder and director of Case Western’s Addiction Fellowship Program. Dr. Parran
    testified that Schedule II and III narcotic pain relievers such as Vicodin, Percoset, or
    Oxycontin “tend to be used last” by doctors, because they can be addictive, and because
    they are often unnecessary. (Id. at 114.) Accordingly, only when all other avenues of
    pain relief have been exhausted, and the patient is in so much pain that they “still can’t
    function, that typically in the usual course of medical practice is when narcotic pain
    relievers are added in.” (Id.) Dr. Parran opined that “[t]he practice of medicine involves
    eliciting a full set of data from a patient, both the history data, the old medical records
    data, what other doctors have done before, and the physical exam data. . . . [T]hat’s really
    what doctoring is all about. . . . [T]hat’s expected as a routine course of medical practice.”
    (Id. at 115-17.)
    Dr. Parran testified that “prescribing controlled drugs on the first visit, especially
    very potent Schedule II narcotics on the first visit is pretty uncommon in medical
    practice.” (Id. at 122.) Dr. Parran also stated that to see two unrelated patients at the
    same time, in the same office visit, “breaks every ethical code of confidentiality of the
    doctor/patient relationship that exists. That’s . . . by definition unacceptable in the
    practice of medicine.” (Id. at 124.) In Dr. Parran’s opinion, “[t]here was not a single
    5
    physical exam done on an undercover agent which would . . .be construed as a physical
    exam in the usual course of medical practice for a pain complaint. There was not a single
    history elicited from a patient that could be construed as consistent with what would be
    necessary. And there was not a single neurologic exam done.” (Id. at 138.)
    Dr. Parran reviewed prescriptions issued by Maynard, patient records from
    Maynard’s office, and reports or undercover recordings from 19 visits made by
    Government agents in this case. He made observations and wrote a report summarizing
    his medical opinions, which, “to a reasonable degree of medical certainty[,] was that there
    did not appear to be a single case that I reviewed . . . where the prescribing of controlled
    drugs by Dr. Maynard appeared to have been done within the usual course of medical
    practice and for a legitimate medical purpose.” 1 (Id. at 128-29.)
    The jury convicted Maynard of four counts of dispensing a controlled substance
    outside the usual course of professional practice. The District Court sentenced Maynard
    1
    Specifically, Dr. Parran identified eight areas of deficiency in Maynard’s
    practice: 1) a lack of old medical records; 2) “a total lack of the initiation of a work-up or
    a diagnostic evaluation in any chart” (id. at 130); 3) “an exceedingly minimal initial
    history and physical,” to the point that “the histories and physicals that were documented
    in these charts would not permit a fourth-year medical student to pass the national board
    exams” (id. at 131); 4) that Maynard never ordered any tests; 5) that Maynard never
    ordered any consultations with other doctors; 6) that Maynard never ordered any
    toxicology screens; 7) that Maynard often accepted visits from patients before their
    prescriptions had expired; and 8) that “the conversations between Maynard and some of
    the undercover agents were absolutely incompatible with the practice of medicine,” as
    some of the “patients” came in and asked for medicines by name, and Maynard prescribed
    them “without having a person take off their clothes and do a physical exam, without
    checking reflexes, without the sort of usual things that we look for when doctoring.” 
    Id. at 136.
    6
    to seven months imprisonment, below the bottom end of his advisory Sentencing
    Guidelines range of 15 to 21 months imprisonment. This appeal followed.
    II.
    The District Court had jurisdiction pursuant to 18 U.S.C. § 3231. We have
    jurisdiction pursuant to 28 U.S.C. § 1291.
    Dr. Maynard must carry an extremely heavy burden to succeed on his appeal.
    When considering the sufficiency of the evidence supporting a criminal conviction, we
    must view the evidence in the light most favorable to the Government. See Glasser v.
    United States, 
    315 U.S. 60
    , 80 (1942). Seen in that light, we affirm if “any rational trier
    of fact could have found the essential elements of the crime beyond a reasonable doubt.”
    Jackson v. Virginia, 
    443 U.S. 307
    , 319 (1979).
    III.
    The Controlled Substances Act (CSA), 21 U.S.C. § 801 et seq., and its
    implementing regulations govern the manufacture, distribution, and dispensation of all
    controlled substances in the United States. The CSA divides controlled substances into
    five categories, according to their properties, and numerous prescription drugs are
    classified as controlled substances under the CSA. Maynard was convicted under §
    841(a)(1), which provides: “Except as authorized by this subchapter, it shall be unlawful
    for any person knowingly or intentionally – (1) to manufacture, distribute, dispense, or
    possess with intent to manufacture, distribute, or dispense, a controlled substance.” 21
    U.S.C. § 841(a)(1).
    7
    Although the CSA makes exceptions to § 841(a)(1) for physicians and pharmacists
    who are registered “practitioners,” see 21 U.S.C. §§ 821-23, regulations implementing the
    CSA provide that a person who knowingly issues an “ineffective” prescription “shall be
    subject to the penalties provided for violations of the provisions of law relating to
    controlled substances.” 21 C.F.R. § 1306.04(a). To be “effective,” a prescription “must
    be issued for a legitimate medical purpose by an individual practitioner acting in the usual
    course of his professional practice.” 
    Id. The Supreme
    Court has held that physicians are
    subject to criminal liability “when their activities fall outside the usual course of
    professional practice.” United States v. Moore, 
    423 U.S. 122
    , 124 (1975).
    Thus, “there can be no question that § 841 of the CSA covers physicians” when
    they prescribe drugs for other than a “legitimate medical purpose in the usual course of
    professional practice.” United States v. Hooker, 
    541 F.2d 300
    , 305 (1st Cir. 1976)
    (quotation marks omitted); see also United States v. Nelson, 
    383 F.3d 1227
    , 1231-32
    (10th Cir. 2004) (“A practitioner has unlawfully distributed a controlled substance if she
    prescribes the substance either outside the usual course of medical practice or without a
    legitimate medical purpose.”); United States v. Tran Trong Cuong, 
    18 F.3d 1132
    , 1137
    (4th Cir. 1994) (“a licensed physician who prescribes controlled substances outside the
    bounds of his professional medical practice is subject to prosecution”); United States v.
    Norris, 
    780 F.2d 1207
    , 1209 (5th Cir. 1986); United States v. Voorhies, 
    663 F.2d 30
    , 33
    (6th Cir. 1981); United States v. Tighe, 
    551 F.2d 18
    , 21 (3d Cir. 1977) (“by placing a
    prescription for a controlled substance, issued outside of the usual course of medical
    8
    practice, in the hands of an ultimate user a physician completes the offense of dispensing
    under 21 U.S.C. § 841(a)(1).”).
    On appeal, Maynard argues that he did, in fact, execute each prescription in the
    usual course of his medical practice. To support this assertion, he claims that his
    practices met the four requirements set forth in an April 2001 DEA bulletin that dealt
    primarily with Internet-based pharmaceutical distribution. In that bulletin, entitled
    “Dispensing and Purchasing Controlled Substances over the Internet,” the DEA “intended
    to provide guidance . . . concerning the application of current laws and regulations as they
    relate to the use of the Internet for dispensing, purchasing, or importing controlled
    substances.” 66 Fed. Reg. 21,181 (Apr. 27, 2001) (the April 2001 DEA Bulletin). The
    DEA noted that many states and medical societies required four elements “as an
    indication that a legitimate doctor/patient relationship has been established.” 
    Id. These are:
    (1) a medical complaint; (2) the taking of a medical history; (3) performance of a
    physical exam; and (4) a logical connection between the complaint, the history, the exam,
    and the drug eventually prescribed. See 
    id. at 21,182-83.
    Maynard points out that he met
    with each patient, that each patient complained of pain, that he conducted an exam of
    each patient, and that he reviewed each patient’s medical history before prescribing
    medication. Because he performed these steps, Maynard argues, the evidence presented
    at his trial was insufficient to support a § 841 conviction.
    Maynard’s contentions fail for three reasons. First, this case has nothing to do
    with Internet-based prescriptions. All of the prescriptions that Maynard was convicted
    9
    for were made during face-to-face encounters between Maynard and the undercover
    agents. Therefore, the April 2001 DEA Bulletin is of questionable relevance here.
    Second, the April 2001 DEA Bulletin noted that “[u]nder Federal and state law, for a
    doctor to be acting in the usual course of professional practice, there must be a bona fide
    doctor/patient relationship,” and that the four elements described above are what “many
    state authorities” consider to be “an indication that a legitimate doctor/patient relationship
    has been established.” 
    Id. at 21,182.
    The April 2001 DEA Bulletin does not indicate,
    however, that the four elements necessarily constitute a bona fide doctor/patient
    relationship for purposes of the CSA. More importantly, nowhere does the 2001 DEA
    Bulletin suggest that the term “bona fide doctor/patient relationship” is synonymous with
    the term “usual course of professional practice.” Indeed, it is easy to conceive that not
    everything a doctor does once a “bona fide doctor/patient relationship” has been
    established will necessarily fall within the “usual course of professional practice.”
    Third, we would not reverse even assuming, arguendo, that Maynard is correct,
    and the four elements listed in the April 2001 DEA Bulletin are completely coterminous
    with the “usual course of professional practice.” Even if that were the case, the jury could
    find easily, from the evidence put forth by the Government at trial, that Dr. Maynard’s
    practices and procedures failed to meet these elements. Witnesses testified that Maynard
    did not always take a medical history from his “patients.” C.f. 66 Fed. Reg. at 21,182; see
    
    Hooker, 541 F.2d at 305
    (affirming conviction of physician where “the evidence at trial
    indicates that appellant carried out little more than cursory physical examinations, if any,
    10
    frequently neglected to inquire as to past medical history, and made little or no
    exploration of the type of problem a patient allegedly had”). The jury also heard that
    Maynard did not always perform a medical exam, that even when he did, the exam was so
    perfunctory as to be meaningless, and that he neither referred his “patients” to specialists
    nor required blood work or x-rays. C.f. 66 Fed. Reg. 21,182; see United States v.
    Johnson, 
    71 F.3d 539
    , (6th Cir. 1995) (affirming conviction because Government’s
    evidence included, inter alia, showing that “defendant prescribed narcotics upon request
    and without medical examinations”); 
    Cuong, 18 F.3d at 1139
    (affirming conviction, as
    based on sufficient evidence, in part because “[m]ost of the [defendant’s] patients were
    given very superficial physical examinations [and not] . . . subjected to x-rays or blood
    analysis or referred to specialists in an effort to identify and correct the cause of the
    pain.”). Finally, Dr. Parran stated unequivocally that for several patients there was
    absolutely no connection between the drugs that Maynard provided and the examinations
    that he performed. Such testimony, by a recognized expert, has been held useful in
    prosecutions of doctors for dispensing prescriptions improperly. See United States v.
    Feingold, 
    454 F.3d 1001
    , 1007 (9th Cir. 2006) (“only after assessing the standards to
    which medical professionals generally hold themselves is it possible to evaluate wether a
    practitioner’s conduct has deviated so far from the ‘usual course of professional practice’
    that his actions become criminal. . . . [Juries must] assess the prevailing standards of care
    among medical professionals in cases involving the criminal prosecution of licensed
    practitioners. . . . Knowing how doctors generally ought to act is essential for a jury to
    11
    determine whether a practitioner has acted not as a doctor, or even as a bad doctor, but as
    a ‘pusher’ whose conduct is without a legitimate medical justification.”).
    As the Hooker Court stated, “the jury could reasonably have inferred that the
    minimal ‘professional’ procedures followed were designed only to give an appearance of
    propriety to appellant’s unlawful distributions. Under these circumstances a medical
    degree confers no immunity from criminal 
    punishment.” 541 F.2d at 305
    (quotation
    marks omitted). The jury in this case heard overwhelming evidence that Maynard
    conducted, at best, only minimal procedures designed to create the veneer of actual
    examinations. The true practice of medicine, however, consists of far more thorough
    methods. Accordingly, Maynard’s medical degree cannot protect him from application of
    the CSA to him.
    IV.
    For the foregoing reasons, we will affirm the decision of the District Court in all
    respects.
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