Megdal v. Oregon State Board of Dental Examiners

605 P.2d 273, 288 Or. 293
CourtOregon Supreme Court
DecidedJanuary 8, 1980
DocketCA 9772, SC 26120
StatusPublished
Cited by146 cases

This text of 605 P.2d 273 (Megdal v. Oregon State Board of Dental Examiners) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Megdal v. Oregon State Board of Dental Examiners, 605 P.2d 273, 288 Or. 293 (Or. 1980).

Opinions

[295]*295LINDE, J.

Petitioner, a dentist licensed both in Oregon and in California and maintaining offices in both states, seeks review of an order of the State Board of Dental Examiners which revoked his Oregon license on the ground of "unprofessional conduct.” ORS 679.140(l)(c) and (5)(d).

The conduct which the board found unprofessional under the statute was that petitioner obtained malpractice insurance coverage for other dentists employed by him in his California practice by a misrepresentation that they were employed in Oregon. Briefly stated, the board found that petitioner had requested this coverage from his insurance brokers on his Grants Pass, Oregon, letterhead, that thereafter he had his California employees submit application forms on which a line asking for their office address had been cancelled out or left blank, purposely leaving the impression that the applicants were employed in Grants Pass, and that upon this misrepresentation the insurance carrier, to its damage, provided liability coverage which it otherwise would not have provided. The issue, in sum, is whether the board may revoke a dentist’s license under an unparticularized rubric of "unprofessional conduct” upon an administrative finding that he practiced a fraud on an insurance company.

Petitioner objects that before revoking a license for unprofessional conduct other than the kinds specified in the statute itself the board must first adopt rules indicating the forbidden conduct, because the phrase "unprofessional conduct” alone is too vague a standard to be applied directly from case to case.

A similar claim by a physician licensed under another statute was rejected by this court in Board of Medical Examiners v. Mintz, 233 Or 441, 378 P2d 945 (1963), a decision later followed in the case of a nurse in Ward u. Ore. State Bd. of Nursing, 266 Or 128, 510 [296]*296P2d 554, 55 ALR3d 1134 (1973). Nevertheless, the Court of Appeals was troubled by the problem posed by forbidding a skilled or professional person, once found qualified, to practice his or her occupation on essentially ad hoc determinations of "unprofessional conduct.” The panel which first heard this case, with one dissent, distinguished the Mintz and Ward precedents because the unprofessional conduct in those cases was an "inchoate” form of conduct expressly proscribed by the governing statutes, and it concluded that prior rulemaking was required to proscribe other conduct that bears no such relationship to the statute. 37 Or App 219, 586 P2d 816 (1978). However, on reconsideration en banc the court decided that petitioner’s challenge to the statutory standard was foreclosed by this court’s holding in Board of Medical Examiners v. Mintz, supra, and that the demand for prior rulemaking had not been properly presented; it therefore affirmed the board’s order. 38 Or App 469, 590 P2d 745 (1979).1 We allowed review in order to reexamine the role of broadly stated standards in laws governing disciplinary actions against occupational licensees. For the reasons that follow, we conclude that the board’s order must be reversed.

1. Petitioner’s constitutional claim.

Petitioner begins his brief in the Court of Appeals with a constitutional attack on the statutory phrase "unprofessional conduct.” The attack is as unspecific as its target. We have had previous occasion to point out that constitutional claims should identify the provisions of the constitution, state and federal, that the governmental action is said to contravene and should show the relevance of these provisions to the claim. See, e.g., Rogers v. Department of Revenue, 284 Or 409, 412 n. 2, 587 P2d 91 (1978). Petitioner’s brief cites no clause of either constitution for his assertion that [297]*297"unprofessional conduct” is so vague as to be "constitutionally impermissible.” Possibly the seductive alliteration "void for vagueness” is thought to have achieved constitutional status on its own, judging by how often it is invoked. Actually, "vagueness” in a statute, ordinance, regulation, decree, order, or other legal rule is a fault for reasons which differ with the function of the rule at issue, and which must search for footing in still unsettled constitutional premises. But since the constitutional claim in this case, though unspecific, is not frivolous and addresses a significant problem, and since our duty is to credit the lawmaker with intending to act constitutionally,2 we briefly examine its possible merits.

An initial distinction is whether "unprofessional conduct” is attacked as inadequate to guide the Board of Dental Examiners or as inadequate to inform dentists of the conduct expected under their license.

Often very broad terms, even broader than "unprofessional conduct,” are employed in laws that assign an agency responsibility for managing a program or pursuing a policy whose goals the law indicates only in the most general sense. As recently stated in Anderson v. Peden, 284 Or 313, 587 P2d 59 (1978), the constitutional issue in such broad delegations of authority is only whether it remains possible for the agency and for reviewing courts to determine when subsequent agency rules or actions have honored and when they have departed from the general policy indicated by the politically accountable lawmaker.3 So much necessarily follows from the assignment of the legislative power [298]*298to the Legislative Assembly (when not exercised directly by the people or by local home rule) and its denial to the other departments. Or Const art IV, § 1; art III, § 1. But almost always scrutiny of the grant of authority will turn this necessary determination into a question of interpreting the agency’s assignment rather than of invalidating the delegation for vagueness. Beyond doubt "unprofessional conduct” is constitutionally adequate as a directive giving the board authority to prescribe standards under which its licensees will be subject to professional discipline.

It is another question whether "unprofessional conduct” is adequate by itself as a standard for deciding individual cases. It involves additional considerations which are reflected in different constitutional premises. In criminal cases, one concern about overly general or vague penal laws is that they not only allow a court or a jury to define a crime but to do so after the fact, contrary to article I, section 21 of the constitution. See State v. Blair, 287 Or 519, 601 P2d 766 (1979), quoting from State v. Hodges, 254 Or 21, 457 P2d 491 (1969).* **4 The second concern is that such laws do not [299]*299give fair notice of what they proscribe in time to let a person conform to the law, so that the imposition of punishment deprives him of liberty or property without due process of law under the fourteenth amendment. See State v. Hodges, supra; Lanzetta v. New Jersey, 306 US 451, 59 S Ct 618, 83 L Ed 888 (1939). As a premise for a requirement of due process, the right to notice of the law has its own problems.5 But in any event this principle, like that against ex post facto laws, is generally confined to penal sanctions.

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Bluebook (online)
605 P.2d 273, 288 Or. 293, Counsel Stack Legal Research, https://law.counselstack.com/opinion/megdal-v-oregon-state-board-of-dental-examiners-or-1980.