Pickett v. Utah Department of Commerce, Division of Occupational & Professional Licensing

858 P.2d 187, 218 Utah Adv. Rep. 51, 1993 Utah App. LEXIS 127, 1993 WL 299679
CourtCourt of Appeals of Utah
DecidedAugust 3, 1993
Docket920556-CA
StatusPublished
Cited by15 cases

This text of 858 P.2d 187 (Pickett v. Utah Department of Commerce, Division of Occupational & Professional Licensing) is published on Counsel Stack Legal Research, covering Court of Appeals of Utah primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Pickett v. Utah Department of Commerce, Division of Occupational & Professional Licensing, 858 P.2d 187, 218 Utah Adv. Rep. 51, 1993 Utah App. LEXIS 127, 1993 WL 299679 (Utah Ct. App. 1993).

Opinion

GREENWOOD, Judge:

Petitioners Jack W. Pickett and Servus Drug Co. seek review of an order of the Division of Occupational and Professional Licensing (the Division) revoking Pickett’s license to dispense controlled substances. We remand for modification of the penalty imposed on Pickett.

FACTS

The basic facts of this case are not disputed. At the time of the proceedings before the Division, Pickett was licensed to practice as a pharmacist and to dispense controlled substances in the State of Utah. Servus Drug Co. (Servus), Pickett’s employer, was licensed as a pharmacy and a dispensary for controlled substances in the State of Utah.

On twelve occasions between May 20, 1991 and July 30, 1991, Pickett dispensed various dosages of Tranxene, a Schedule IV controlled substance; Esgic, a Schedule III controlled substance; and Soma, a legend drug, 1 to one of his long-time customers. Pickett did not seek authorization from his customer’s physician until after he had dispensed the medication, and on occasion he dispensed the medication in either unmarked prescription bottles or a paper bag without labels or instructions.

On January 28, 1992, the Division issued a Notice of Agency Action commencing formal adjudicative proceedings against Pickett. The notice stated that Pickett was entitled to a hearing and that the presiding officer would be J. Steven Eklund, an administrative law judge (AU) with the Department of Commerce.

The hearing was conducted on May 26, 1992 before the AU and two members of the State Board of Pharmacy (the Board). 2 David E. Robinson, Director of the Division, was also present. 3 After Pickett’s counsel, the Division’s counsel, the AU and one Board member finished questioning Pickett, Robinson proceeded to aggressively question him in an attempt to more fully investigate the facts and to ascertain whether Pickett appreciated the “serious nature” of his actions. Pickett testified that there were old prescriptions on record for all of the drugs dispensed, but because of his familiarity with this particular customer he had become lax and often sought the physician’s authorization for dispensing the medication only after the fact. In addition, Pickett testified he did not detect anything unusual in the customer’s drug use patterns, and was unaware that the customer was drug dependent.

*190 In unsigned Findings of Fact, Conclusions of Law and Recommended Order, the Board found that Pickett had improperly dispensed medication on twelve occasions. However, in mitigation, the Board also found that there was insufficient evidence to prove that Pickett had made false or forged prescriptions, that Pickett knew his customer was drug dependent, or that Pickett had ever improperly dispensed controlled substances or other medications to other individuals.

The Board concluded that Pickett’s misconduct represented “an egregious departure from those standards which govern his profession,” and that he was “grossly negligent in his practice of pharmacy.” Therefore, as an “appropriately severe sanction ... [and] to appropriately protect the public health, safety and welfare” the Board recommended revoking Pickett’s license to dispense controlled substances, and placing his license as a pharmacist on probation for three years. 4 The Director, Robinson, adopted the Board’s recommended Order, and, on appeal, the Executive Director of the Department of Commerce upheld the Order. Pickett then filed this appeal.

ANALYSIS

In his petition for review to this court, Pickett challenges the decision to revoke his license to dispense controlled substances because of the inconsistency of this penalty with alleged precedent imposing more lenient penalties for similar or more egregious misconduct. In addition, Pickett claims he was denied due process of law at his administrative hearing, and that procedural errors justified reversal of the Division’s decision. 5

Because this case commenced after January 1, 1988, it is governed by the Utah Administrative Procedures Act (UAPA). Utah Code Ann. §§ 63-46b-0.5 to -22 (1989 and Supp.1992). Section 63-46b-16(4) of UAPA states that the appellate court shall grant relief from final agency action only if the individual requesting judicial review has been “substantially prejudiced” by certain enumerated conditions. In this case, Pickett claims that relief should be granted under section 16(4)(h)(iii), referring to agency action which is “contrary to the agency’s prior practice, unless the agency justifies the inconsistency by giving facts and reasons that demonstrate a fair and rational basis for the inconsistency.” 6 Pickett argues both that the agency action is “contrary to the agency’s prior practice” 7 and that the agency has not met its burden of “justifying] the inconsistency by giving facts and reasons that demonstrate a fair *191 and rational basis for the inconsistency.” Utah Code Ann. § 63 — 46b—16(4)(h)(iii).

Pickett’s claims require this court to interpret the language of section 16(4)(h)(iii) and to determine the nature and scope of both Pickett’s and the State’s burden of proof under the statutory provision. If statutory "language is unambiguous and we can interpret and apply the statutory language by the traditional methods of statutory construction, ... we review the agency action ... for correction of error” as specified in section 63-46b-16(4)(d). King v. Industrial Comm’n, 850 P.2d 1281, 1291 (Utah App.1993). See also Employers’ Reinsurance v. Industrial Comm’n, 856 P.2d 648, 650 (Utah App.1993) (citing Ferro v. Department of Commerce, 828 P.2d 507, 510 (Utah App.1992). 8 According to traditional statutory interpretation methods, we look to the plain meaning of unambiguous statutory language. Bonham v. Morgan, 788 P.2d 497, 500 (Utah 1989) (per curiam); Hatton-Ward v. Salt Lake City Corp., 828 P.2d 1071, 1072 (Utah App.), cert, denied, 843 P.2d 1042 (Utah 1992).

Applying traditional statutory interpretation methods, we conclude that the statutory language at issue clearly and unambiguously requires consistency of agency action in the absence of an adequate rationale for departure from prior action.

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858 P.2d 187, 218 Utah Adv. Rep. 51, 1993 Utah App. LEXIS 127, 1993 WL 299679, Counsel Stack Legal Research, https://law.counselstack.com/opinion/pickett-v-utah-department-of-commerce-division-of-occupational-utahctapp-1993.