Dragan v. Connecticut Medical Examining Board

613 A.2d 739, 223 Conn. 618, 1992 Conn. LEXIS 279
CourtSupreme Court of Connecticut
DecidedAugust 12, 1992
Docket14315
StatusPublished
Cited by68 cases

This text of 613 A.2d 739 (Dragan v. Connecticut Medical Examining Board) is published on Counsel Stack Legal Research, covering Supreme Court of Connecticut primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Dragan v. Connecticut Medical Examining Board, 613 A.2d 739, 223 Conn. 618, 1992 Conn. LEXIS 279 (Colo. 1992).

Opinion

Glass, J.

The plaintiff, Myroslaw Dragan, appealed to the Superior Court from a decision of the defendant Connecticut medical examining board (board), which revoked the plaintiffs license to practice medicine in Connecticut. The license revocation was based on charges of misconduct brought against the plaintiff by the defendant department of health services (department). The trial court sustained the plaintiff’s appeal and remanded the matter to the board for a new hearing. The defendants appealed the judgment of the trial court to the Appellate Court, and the plaintiff cross appealed. Dragan v. Connecticut Medical Examining Board, 24 Conn. App. 662, 591 A.2d 150 (1991). The Appellate Court affirmed the trial court’s judgment in part and reversed it in part. We granted the defendants’ petition for certification to appeal1 and now reverse the judgment of the Appellate Court.

The facts relevant to the disposition of the certified issues are as follows. The plaintiff is a physician licensed to practice medicine in Connecticut. The defendants are state agencies within the meaning of the Uniform Administrative Procedure Act (UAPA), General Statutes § 4-166 et seq. In May, 1983, the board, on motion of the department, notified the plaintiff of charges it [620]*620was bringing against him and issued an order summarily suspending the plaintiffs medical license pursuant to General Statutes (Rev. to 1983) §§ 4-182 (c) and 19a-17 (c).2 The charges pertained to the plaintiffs treatment of a patient, Collette Connor, for drug addiction. The board commenced license revocation hearings on June 1, 1983, in accordance with the contested case provisions of the UAPA. The state’s attorney’s office also instituted a criminal proceeding against the plaintiff, making factual allegations that were, in part, identical to those that were before the board in its license revocation proceeding.

At the same hearing before the board, the department presented Dr. Clayton Weed as its first witness. During cross-examination of Weed, the plaintiff requested that the department produce a letter Weed had written regarding one of the plaintiff’s patients. At that time, the plaintiff also requested copies of any written statements or the substance of any statements made by individuals whom the department intended to call as witnesses.3 The department agreed to produce [621]*621a copy of the letter written by Weed, but would not concede that it was required to produce other documents in its possession. The board instructed the parties to try to reach an agreement and stated that it would rule on the matter if no agreement could be reached.

At the June 1, 1983 hearing, the department also called Connor to testify. Prior to the department’s direct examination of Connor, the plaintiff asked to inspect the substance of any oral statements Connor had given to the department or the police or any other law enforcement agency that were in the possession of the department. The plaintiff argued that the production of such statements prior to Connor’s direct testimony would enable him to review them while she testified and thereby avoid delay between direct and cross-examination. The board denied the plaintiff’s request. At the conclusion of Connor’s direct examination, the plaintiff once again requested copies of Con-nor’s prior statements. Thereafter, the board stated that the plaintiff had advised it that he had attempted to subpoena certain documents from the Stamford police department that were essential to his cross-examination of Connor.4 The parties agreed that the plaintiff’s cross-examination of Connor could be reserved while the plaintiff attempted to obtain corn[622]*622pliance with the subpoena. The board indicated that in the interim it would not rule on the plaintiffs request for production of Connor’s prior statements.

At the beginning of the next hearing, which was held on June 7, 1983, counsel for the department stated that Connor was having transportation difficulties and had not yet arrived. He stated that she was expected to arrive later that morning. He stated farther that, unless the plaintiff objected, the department would proceed to call other witnesses. The plaintiff did not object, but stated that he had expected to begin cross-examination of Connor that morning. At the same hearing, the department called another of the plaintiff’s patients, Shahin Shahidi Green, as a witness. During the course of cross-examination of Green, the plaintiff requested the disclosure of statements Green had given to the Stamford police department. The board noted that such statements were the subject of an outstanding subpoena issued to the Stamford police department. The plaintiff informed the board that the state’s attorney’s office had filed a motion in the Stamford Superior Court to quash the plaintiff’s subpoena. The plaintiff stated further that the trial court had stayed the execution of his three subpoenas until June 21, 1983. He requested that he be given the opportunity to recall Green when the trial court had ruled on the state’s motion to quash.5 The board granted the plaintiff’s request and suspended the hearing without scheduling another hearing date.

On June 21, 1983, the trial court ordered the Stamford police department to produce the plaintiffs patient files as well as any related records, such as insurance records, prescription forms, books, appointment books and certain photographs. The trial court did not, how[623]*623ever, rule on the subpoena calling for the release of the prior statements of witnesses. Rather, the trial court requested the plaintiff to submit a memorandum of law in support of his claim that he was entitled to such statements. The plaintiff sent a letter to the department’s counsel, dated July 22, 1983, updating the department on the status of his subpoenas to the Stamford police department and the state’s motion to quash those subpoenas.6 The plaintiff also stated in the letter that “we would reserve the right to recall Collette Connor and Shahin Green following our cross-examination [at the [624]*624next hearing] in the event that additional documents ordered produced by Judge Nigro contain impeachment or other cross-examination material.”

At the next hearing before the board, which was held on August 2, 1983, the plaintiff requested the board to stay the license revocation proceeding until the resolution of the criminal charges pending against him. The board granted the plaintiffs request for a stay and [625]*625entered into a consent order permitting the plaintiff to practice medicine, subject to certain restrictions and conditions, during the period of the stay.

The criminal prosecution concluded on April 4, 1984.7 On August 28, 1984, the board resumed the license revocation proceeding. The plaintiff did not request the department or the board to produce Connor at the hearing that day. After the department concluded its case on August 28, the plaintiff presented his case.

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Bluebook (online)
613 A.2d 739, 223 Conn. 618, 1992 Conn. LEXIS 279, Counsel Stack Legal Research, https://law.counselstack.com/opinion/dragan-v-connecticut-medical-examining-board-conn-1992.