State v. Mann

382 A.2d 1319, 119 R.I. 720, 1978 R.I. LEXIS 609
CourtSupreme Court of Rhode Island
DecidedMarch 1, 1978
Docket76-417-C.A
StatusPublished
Cited by6 cases

This text of 382 A.2d 1319 (State v. Mann) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State v. Mann, 382 A.2d 1319, 119 R.I. 720, 1978 R.I. LEXIS 609 (R.I. 1978).

Opinion

*721 Bevilacqua, C.J.

This is an appeal by the state from a judgment of the Superior Court granting the defendant’s motion to dismiss an information charging him with violation of the Controlled Substances Act (the Act). General Laws (1968 Reenactment) §§21-28-1.01 through 21-28-6.02 (Supp. 1976). The trial justice held that the state had failed to establish that the defendant had committed a criminal offense.

On April 16, 1976, while investigating a breaking and entering complaint at defendant’s residence in Warwick, police discovered a quantity of drugs, including some classified as controlled substances under §21-28-2.08. An information brought subsequent to this discovery alleged that defendant unlawfully, with knowledge and intent, possessed eight specified substances in violation of §21-28-4.01(C). That statute provides in pertinent part that:

“It shall be unlawful for any person knowingly or intentionally to possess a controlled substance unless the substance was obtained directly from or pursuant to, a valid prescription or order of a practitioner while acting in the course of his professional practice, or except as otherwise authorized by this chapter.”

A compliance order attached to the information stated that defendant was not licensed with the state or federal government to possess controlled drugs.

*722 At a hearing conducted pursuant to §12-12-1.7, defendant called as his only witness the keeper of records of the Department of Health. She testified that defendant was certified to practice osteopathy on May 9, 1969, and that no action had been taken to suspend or revoke that certification. Evidence indicated that defendant had registered his certification initially but had failed to reregister annually as required by law. General Laws 1956 (1976 Reenactment) §5-36-5. The defendant introduced no evidence regarding registration under the Controlled Substances Act. He argued that, because he w&s certified to practice osteopathy under §5-36-4, he is exempt from prosecution under §21-28-4.01(C). The trial justice accepted this reasoning.

The state contends that possession of a certification to practice osteopathy does not, by itself, entitle one to possess controlled substances; rather, an osteopath is authorized to possess controlled substances only when he is registered under the Act and acting within the scope of his registration.

The issue confronting this court is whether one certified to practice osteopathy is exempt from the penalties imposed by §21-28-4.01(C)(1)(a) for possession of controlled substances.

Section 5-36-4 provides in pertinent part:

“Rights and duties of osteopaths — Registration of certificate. — A certificate to practice osteopathy shall confer upon the holder thereof, the right to practice osteopathy in all its branches as taught and practiced in recognized colleges of osteopathy. The holder of such a certificate shall have the same registered with the clerk of the city or town wherein he resides; he thereby becomes a registered physician, subject to the same duties and liabilities and entitled to the same rights and privileges which may be imposed by law or governmental regulation upon physicians of any school of medicine, including the practice of minor surgery, obstetrics, and the use of drugs * * *.”

*723 We note that, while §5-36-4 specifically authorizes one who possesses and registers his osteopathy certificate to use drugs, the use authorized is not unlimited. The statute clearly states that the osteopath is “subject to the same duties and liabilities and entitled to the same rights and privileges which may be imposed by law or governmental regulation upon physicians of any school of medicine * *

Therefore, the Legislature, in adopting the Act, clearly qualified the physician’s right to use drugs. It expressed an intention that the Act regulate, control, and trace the flow of substances which pose a danger to the public health, Section 21-28-1.01. It included registration requirements for practitioners, including osteopaths, and licensing requirements for manufacturers so that legitimate drug handlers would be protected from prosecution under the Act when they acted within the scope of their registration of license and subject to the penalties prescribed when they did not. See §§21-28-3.02, 21-28-3.30. Additionally, it is clear that the registration required by the Act is separate from that required of practitioners of the various disciplines regulated by the division of professional regulation. See §21-28-3.02.

While registration under the Act is required only for those persons who manufacture, distribute, prescribe, administer, or dispense controlled substances, the Legislature expressly provided that the Act be interpreted to effectuate its general purpose. The stated purpose, as we have noted, is to establish a scheme to identify and protect legitimate drug handlers and to curtail the flow of drugs to persons not legitimately in possession. Thus, when viewed in the context of the Act as a whole, clearly, the right to possess drugs incident to professional use, where that use is regulated by the Act, is dependent upon compliance with the registration requirements of the Act.

Section 21-28-4.01(C), under which defendant was charged, provides penalties in subsection (1) for simple possession applicable to “any person” not specifically ex *724 empted. The language is clear. It is well settled that, in the absence of ambiguity, words used in a statute must be given their plain and ordinary meaning unless a contrary intention appears on the face of the statute. Andreozzi v. D'Antuono, 113 R.I. 155, 158, 319 A.2d 16, 18 (1974). We conclude, therefore, that “any person” as used in §21-28-4.01(C)(1) includes physicians. They are exempt from the penalties imposed under the Act only when they are registered and acting within the scope of their registration or when they fall into another of those categories of persons otherwise exempted by §21-28-3.30.

The Supreme Court, in United States v. Moore, 423 U.S. 122, 134, 96 S. Ct. 335, 342, 46 L. Ed. 2d 333, 343 (1975), has similarly constructed language in the federal controlled substances act, 21 U.S.C. §§801 through 966 (1970). The Court, in Moore, stated that “[t]he legislative history indicates that Congress was concerned with the nature of the drug transaction, rather than with the status of the defendant,” and, therefore, held that the term “any person” in 21 U.S.C. §841 applied to physicians, even those properly registered who exceeded the scope of their registration. Sections 21-28-4.01 (A) and (B) of the Rhode Island statute essentially parallel the provisions of §841 and use the term “any person” in a context similar to that of §21-28-4.01(C).

Free access — add to your briefcase to read the full text and ask questions with AI

Related

State v. Young
406 S.E.2d 758 (West Virginia Supreme Court, 1991)
State v. Caprio
477 A.2d 67 (Supreme Court of Rhode Island, 1984)
Dover v. State
664 P.2d 536 (Wyoming Supreme Court, 1983)
State v. Udin
419 A.2d 251 (Supreme Court of Rhode Island, 1980)

Cite This Page — Counsel Stack

Bluebook (online)
382 A.2d 1319, 119 R.I. 720, 1978 R.I. LEXIS 609, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-v-mann-ri-1978.