| Lycaeum > Leda > Documents > DEA Administrative Law Ruling on MDMA Scheduling |
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by Francis L. Young, May 22, 1986. Finds MDMA should be placed in Schedule III, but was ignored by the DEA.
US Department of Justice
In the Matter of MDMA Scheduling Opinion and recommended ruling, findings of fact, conclusions of law and decision of administrative law judge. Francis L. Young, Administrative Law Judge Appearances:
STEPHEN E. STONE, ESQ.
RICHARD COTTON, ESQ.
ROBERT T. ANGAROLA, ESQ.
LYN B. EHRNSTEIN, ESQ.
DAVID E. JORANSON Dated: MAY 22 1986 Index
I. IntroductionThis is a rule making proceeding pursuant to the Controlled Substances Act as amended [1] (the Act or the CSA) to determine in which schedule, if any, of the five schedules established by the Act, the substance 3, 4- methylenedioxymethamphetamine, also known as MDMA, should be placed. The proceeding is being conducted pursuant to Subchapter II of Chapter 5 of Title 5, United States Code, the Administrative Procedure Act, after opportunity for a hearing. [2] The Act itself placed a great many substances in one schedule or another. It vested the Attorney General with the authority, after considering several prescribed factors, to place other substances in appropriate schedules, to move substances from one schedule to another, and to de-schedule them. That authority has been delegated to the Administrator of the Drug Enforcement Administration (DEA). [3] At the commencement of this proceeding in July 1984 MDMA was not listed in any schedule. At that time DEA published in the Federal Register [4] a notice of proposed rulemaking to place the substance in Schedule I. A number of persons filed comments and objections and requested a hearing. This administrative law judge was requested by the then-Deputy Administrator to preside and to provide the Administrator with a certified record and recommended findings of fact, conclusions of law and decision. At a preliminary prehearing conference of participants on February 1, 1985 it was suggested that one of the issues identified presented a purely legal question which might be decided without the need of any evidence and in advance of the other issues in the case. (The Deputy Administrator had specified this issue as one on which a recommended conclusion was to be prepared for the Administrator.) After considering memoranda submitted by the participants the administrative law judge agreed and accepted the suggestion. The judge called for briefs from the parties on that issue. It was designated issue number 1, and was stated thus:
After studying the briefs the judge issued a recommended decision on that issue, dated June 1, 1985. He recommended, first, that the language of the Act was such that a substance with a potential for abuse less than a "high" potential, and having no currently accepted medical use in treatment, cannot be placed in any of the five schedules. (Clearly, a substance with a "high" abuse potential and no accepted medical use in treatment, must be placed in Schedule I.) Alternatively the judge recommended, based upon court decisions interpreting the Act, actions of the Congress, legislative history and DEA's own past actions, that such a substance should be placed in either Schedule III, IV or V depending upon its degree of potential for abuse. In a letter to the administrative law judge dated October 7, 1985 the Administrator advised that he had decided not to issue a final agency ruling on that initial issue until he had received the entire record at the conclusion of the case. Meanwhile, the proceeding continued with respect to the remaining issues. Direct examination testimony of all witnesses was submitted in written narrative form. Exhibits were identified and submitted. Hearing sessions for cross-examination of witnesses were held in Los Angeles, California, Kansas City, Missouri and Washington, D.C. on June 10, July 10 and 11, October 8, 9, 10 and 11 and November 1, 1985. The participants [5] submitted briefs and proposed findings and conclusions, and oral argument was heard in Washington, D.C. on February 14, 1986. [6] The administrative law judge has carefully considered all the evidence of record and the arguments of the participants, as well as the written comments received during the comments period early on in the proceeding. He submits herein to the Administrator his recommended findings, conclusions and decision with respect to the issues other than Issue 1.
II. Recommended RulingThe administrative law judge recommends that the proposed findings and conclusions submitted by the participants be rejected by the Administrator, except to the extent they are included in the judge's recommendations, for the reason that they are irrelevant, unduly repetitious or not supported by substantial evidence. The judge's recommended findings and conclusions are contained in the text of this opinion.
III. IssuesThe issues yet to be disposed of are as follows:
IV. "Currently Accepted Medical Use In Treatment In The United States"
IntroductionSection 812(b) of Title 21 U.S.C. provides that, aside from actions mandated by certain international agreements, which are not applicable here, and except in the case of an immediate precursor, with which we are not concerned, "a drug or other substance may not be placed in any schedule unless the findings required for such schedule are made with respect to such drug or other substance." It is the responsibility of the Administrator of DEA to make these findings after receiving an evaluation and recommendation from the Secretary of the Department of Health and Human Services (HHS) [7] pursuant to $ 811(b). After making his findings, the Administrator is to place the drug or substance in question in the appropriate schedule of the five schedules established by the Act. The findings required for placement in each schedule are set out in Section 812(b) as follows: (1) Schedule I. (A) The drug or other substance has a high potential for abuse.(B) The drug or other substance has no currently accepted medical use in treatment in the United States.(C) There is a lack of accepted safety for use of the drug or other substance under medical supervision. (2) Schedule II. (A) The drug or other substance has a high potential for abuse.(B) The drug or other substance has a currently accepted medical use in treatment in the United States or a currently accepted medical use with severe restrictions.(C) Abuse of the drug or other substances may lead to severe psychological or physical dependence. (3) Schedule III. (A) The drug or other substance has a potention for abuse less than the drugs or other substances in schedules I and II.(B) The drug or other substance has a currently accepted medical use in treatment in the United States.(C) Abuse of the drug or other substance may lead to moderate or low physical dependence or high psychological dependence. (4) Schedule IV. (A) The drug or other substance has a low potential for abuse relative to the drugs or other substances in schedule III.(B) The drug or other substance has a currently accepted medical use in treatment in the United States.(C) Abuse of the drug or other substance may lead to limited physical dependence or psychological dependence relative to the drugs or other substances in schedule III. (5) Schedule V. (A) The drug or other substance has a low potential for abuse relative to the drugs or other substances in schedule IV.(B) The drug or other substance has a currently accepted medical use in treatment in the United States.(C) Abuse of the drug or other substance may lead to limited physical dependence or psychological dependence relative to the drugs or other substances in schedule IV. (Emphasis added). Thus a finding must be made for each drug or other substance to be scheduled as to whether or not it has a "currently accepted medical use in treatment in the United States". What constitutes such use? What does this phrase mean? How is the Administrator to ascertain whether or not a drug has a currently accepted medical use in treatment in this country? This is essentially a legal issue of statutory interpretation. No findings of fact are called for. To the Agency staff the answer is simple. They assert that "accepted medical use" means approval by the Food and Drug Administration (FDA) of HHS pursuant to the procedures established by Section 505 of the Federal Food, Drug and Cosmetic Act of 1938 (FDCA), 21 U.S.C. $ 355. DEA need only ask FDA whether the drug or substance in question has received FDA approval under the FDCA in order to ascertain the existence, vel non, of "accepted medical use". There is no denying that such a situation would greatly simplify the scheduling task of the DEA staff. It provides a quick solution to the problem for DEA. It provides a certain answer. But it is wrong.
The FDCAThe FDCA was enacted in 1938. It established procedures which a person must follow, and approvals he must obtain, before he may introduce or deliver for introduction into interstate commerce any new drug". 21 U.S.C. $ 355(a). In a word the FDCA, as amended, requires that FDA must approve a new drug as being safe and as being effective for a stated purpose - before it may be introduced into interstate commerce in the United States. There is nothing in that statute authorizing FDA to approve a new drug for use in the practice of medicine by a licensed physician. The power to grant or withhold such approval would constitute regulation of the practice of medicine. The FDCA does not empower the FDA to do this. The FDA itself has repeatedly stated that it is not empowered to attempt such regulation. The question of FDA's authority in this regard has arisen when that agency has considered the practice of physicians using marketed drugs for purposes which the FDA has not approved. [8] In 1972, FDA summed up its view on this subject when, in the preamble to a proposed rule on drug labeling, it stated:
If an approved new drug is shipped in interstate commerce with the approved package insert and neither the shipper nor the recipient intends it be used for an unapproved purpose, the requirements of section 505 of the Act are satisfied.37 Fed. Reg. 16503 (1972). Subsequently, in 1975, five years after enactment of the Controlled Substances Act, the Food and Drug Administration wrote as follows:
The comments recommended that the proposed regulations be revised to require an appropriate statement in package inserts that, in addition to the conditions of use which the manufacturer may recommend to physicians in compliance with the law and Food and Drug Administration regulations, there are other conditions of use for which the drug may be regarded as safe and effective on the basis of the experience of critical physicians using the drug in the practice of medicine over a period of years.40 Fed. Reg. 15393-94 (1975) (emphasis added). In 1979, the Food and Drug Administration once more reiterated this view:
Good medical practice and patient welfare require that physicians remain free to use drugs according to their best knowledge and judgment.44 Fed. Reg. 37435-36 (1979). Once again, in June 1983, the FDA repeated its view that it does not have the authority to regulate the practice of medicine:
Although no final rule has been issued on this subject, the Agency has continued to apply the principle set forth in the preamble to the 1972 proposal. In FDA's Drug Bulletin of April 1982, the Agency sought to clarify and reiterate the position that the Act does not regulate the "practice of medicine." Once a drug product has been approved for marketing, a physician may, in treating patients, prescribe the drug for use not included in the drug's approved labeling. The primary legal constraints in that situation are State laws on medical practice and products liability law. The IND Rewrite proposal would codify the Agency's longstanding position that the regulations do not apply to the "practice of medicine," though the proposal does not purport to define with specificity such practice in terms of the Act.48 Fed. Reg. 2673 (June 9, 1983). Finally, the Food and Drug Administration reemphasized this position in a filing with the United States Court of Appeals for the District of Columbia Circuit in 1983. In the course of its argument in the 1983 case, the FDA emphasized the
commonly recognized exception to the Act's broad and protective coverage: the 'practice-of medicine' exemption. FDCA's legislative history expresses a specific intent to prohibit FDA from regulating physicians' practice of medicine. According to the Commissioner, FDCA does not regulate physicians in their practice because physicians are licensed by the states. Letter from the Commissioner at 3, JA 88.Chaney v. Heckler, 718 F.2d 1174, 1179 (D.C. Cir. 1983), rev'd, ____ U.S. ____ , 84 L. Ed. 714 (1985). (Footnotes omitted). A word of caution is called for. In the penultimate quotation above, the phrase "approved for marketing" appears. This term is frequently used as a substitute for the statutory language "introduced into interstate commerce". Agency counsel slipped into this inaccuracy in oral argument on February 14, 1986. (Tr 10, p.6) It is important to keep clearly in mind what Congress was doing when it enacted the FDCA in 1938 - it was regulating the interstate commerce of substances. It was not undertaking to define the acceptable practice of medicine. It was not attempting to provide a yardstick for "accepted medical use". The above-quoted statements by the FDA, which carries out the provisions of the FDCA, provide no basis for turning to that statute for a determination of what does or does not constitute "accepted medical use". Indeed, the FDA's own pronouncements are clearly to the contrary. DEA's brief in this proceeding points to another statement by FDA, in 1982, prompted by efforts to "legalize" marihuana. In its published proposed recommendations to DEA on the scheduling status of that substance and its components, FDA said, referring to the language of $ 812(b):
FDA interprets the term "accepted medical use" to mean lawfully marketed under the Federal Food, Drug and Cosmetic Act, 21 U.S.C. 301, et seq. . . . A drug may be marketed lawfully under the Federal Food, Drug, and Cosmetic Act after approval of a new drug application (NDA) for that drug. There are, theoretically other ways in which a drug could be marketed legally. The drug could satisfy either the requirements for exemption from the definition of "new drug" in 21 U.S.C. 321(p) or the requirements for a "grandfather clause" from the new drug approval provision. (47 Fed. Reg. 28150)The Commissioner of FDA continued at page 28151 by saying:
The mechanism set up by Congress for lawful marketing of a new drug requires submission of an NDA to FDA and FDA approval of that application before marketing. Before FDA can approve an NDA, however, the drug sponsor must submit data from an extensive battery of experimental testing on both animals and humans to establish the drug's safety and effectiveness for its proposed uses. In addition, the sponsor must submit data and manufacturing controls demonstrating that standards of identity, strength, quality, and purity will be met.He concludes by saying:
Thus, the lack of an approved NDA for a drug substance leads FDA to find that a substance lacks "an accepted medical use in treatment" for two reasons. First, if use of the drug is unlawful whenever interstate commerce is involved, medical use of the drug cannot be classified as accepted. Second, in the absence of the data necessary for approval of the NDA, the agency has no basis for concluding that medical use of the drug in treatment can be considered acceptable by medical standards.The last quotation flies directly in the face of the preceding statements of statutory interpretation by FDA, issued over a period of eleven years. It represents a complete reversal of position with no stated basis whatsoever. One can only conclude that, in the context of the battle over marihuana, FDA temporarily lost sight of its long-acknowledged lack of statutory authority to regulate the practice of medicine. Perhaps it failed to realize the full effect of its statement. FDA is not charged with forming a conclusion, binding on the medical profession, "that medical use of the drug in treatment can be considered acceptable by medical standards." FDA is to pass on the safety and efficacy of a drug simply and solely in connection with approving it for "introduction into interstate commerce." FDA is acting properly if it attempts to ascertain whether or not the medical profession has accepted use of a drug in treatment as the agency determines whether or not to allow the drug's introduction into interstate commerce. Acceptance of use in treatment, with other factors, is certainly an appropriate consideration. But nowhere in either statute, the FDCA or the CSA, is it provided that FDA's fiat will be binding on the medical profession with respect to what is, or is not, accepted medical practice or accepted medical use. There can be a very simple reason why there exists no NDA for a particular drug and why FDA has not approved it for introduction into interstate commerce: no one may have sought such approval from FDA. The fact no one has sought approval does not necessarily mean that no one is using the drug and that such use is not accepted by the profession. There are very real economic factors affecting whether an NDA is sought for a drug.
Controlled Substances ActThe Controlled Substances Act (CSA) was enacted in 1970, 32 years after the Food, Drug and Cosmetic Act. In 1970 the Congress was well aware of its 1938 handiwork. There are several specific references to the 1938 statute in the 1970 enactment. Thus we find in the CSA that "drug" is defined by specific reference to a section of the FDCA; see 21 U.S.C. $ 802(12). Congress excluded from the Attorney General's scheduling power any substance permitted by the FDCA to be sold "over the counter and without a prescription"; see 21 U.S.C. $ 811(g)(1). Congress specifically referred to the investigational new drug provisions of the FDCA in the CSA; see 21 U.S.C. $$ 827(c)(2)(A), 827(f). Other references to provisions of the FDCA are found in the CSA at 21 U.S.C. $$ 825(a), 825(b), 829(a) and 829(d). Congress could easily have linked the phrase "accepted medical use in treatment" in the CSA to some provision of the FDCA, and FDA's authority thereunder, had it desired to do so. It did not do so. The Agency's reply brief [10] refers to the "somewhat sparse legislative history of the Controlled Substances Act relating to 'accepted medical use'." No participant quotes any comment on the meaning of this phrase from a committee report or floor manager. However, there were references to the phrase in the testimony of several witnesses.
Dr. John Jennings, then Acting Director of the Bureau of Drugs, FDA, testified as follows at one point:House Hearings, at 343 (emphasis added). The subject came up also during the testimony of Michael R. Sonnenreich, Deputy Chief Counsel of the Bureau of Narcotics and Dangerous Drugs (BNDD), DEA's predecessor agency, of John Ingersoll, Director of BNDD, and of Dr. Roger Egeberg, Assistant Secretary of HEW. They testified as follows:
Mr. Sonnenreich: [Criterion] Two [no accepted medical use] is a factual determination and normally where we get such information is through the AMA or WHO. You don't have to be a doctor to find out whether or not it has an accepted medical use in the United States or not. So the fact that you are asking whether it has got accepted medical use is something that a lawyer can find out as well as a doctor.House Hearings, at 165 (emphasis added).
Mr. Rogers: Under Schedule I drugs. Would HEW or the Department of Justice be able to determine on a drug a lack of accepted safety for use under medical supervision?House Hearings, at 194 (emphasis added).
Mr. Ingersoll: I must also point out that this review [prior to registration of researchers by the Department of Justice is only required for Schedule I substances which the medical profession has already determined have no legitimate medical use in the United States.House Hearings, at 678 (emphasis added). Mr. Rogers: So the only category of [Schedule] I is simply for research? Mr. Sonnenreich: Yes, sir, and that is because they have no medical use as determined by the medical community. House Hearings, at 696 (emphasis added).
Mr. Sonnenreich: Mainly, our feeling is that the trigger on your Schedule I drugs which are really different from your II, III and IV drugs. It is this basic determination that is not made by any part of the federal government. It is made by the medical community as to whether or not the drug has medical use or doesn't.House Hearings, at 718 (emphasis added). From the foregoing exchanges it clearly appears that the spokesmen for BNDD and FDA were of the view in 1970 that one should turn to "the medical community" to ascertain the existence of accepted medical use in treatment, and that "a lawyer can find out as well as a doctor" whether such acceptance exists, and that "this basic determination is not made by any part of the federal government". [11] This interpretation, provided to the Congress by Administration witnesses, contemporaneously with enactment, is reasonable and authoritative. The Congress has given no indication of having rejected it or of adopting another. It is in accord with the plain meaning of the language in the statute. The Congress had every opportunity to tie "accepted medical use" to FDA actions under the FDCA. It did not do so. The only rational conclusion is that it did not intend to do so.
Court DecisionsCourt decisions have agreed with the FDA itself, and the BNDD spokesmen in 1970, that the FDA is not empowered to decree what is or is not proper medical practice.
Congress did not intend the Food and Drug Administration to interfere with medical practice as between the physician and the patient. Congress recognized the patient's right to seek civil damages in the courts if there should be evidence of malpractice and declined to provide any legislative restrictions upon the medical profession. . . . Congressional intent set out in 37 Fed. Reg. 16503 (1972) indicates the Congress did not intend the Food and Drug Administration to interfere with medical practice and that the bill did not purport to regulate the practice of medicine as between the physician and the patient.United States v. Evers, 453 F. Supp. 1141, 1149, 1150 (M.D. Ala. 1978), aff'd 643 F.2d 1043 (5th Cir. 1981). (Emphasis added.) In its opinion affirming the District Court in Evers, the Fifth Circuit observed:
***[T]he [FDCA] was intended to regulate the distribution of drugs in interstate commerce, not to restrain physicians from public advocacy of medical opinions not shared by the FDA.United States v. Evers, 643 F.2d 1043, 1053, n. (1981). Agency counsel's quote from the Fifth Circuit opinion in Evers (Reply Brief, p. 9) simply expresses recognition of the FDA's lack of power to regulate medical practice with reference to the specific facts of that case which centered on the use of a non-prescription drug for a purpose other than that stated in the package insert. The quotation in no way detracts from the court's recognition of the basic principle. It reinforces it.
Uniform Controlled Substances ActThe plebiscite conducted by participant Joranson of state regulatory officials is wholly irrelevant and immaterial. He asked them to express their interpretations, as regulators, of language in the Uniform Controlled Substances Act, not the language in the Federal statute with which we are concerned. It is the medical community which is to be consulted on the Federal statutory question, not state regulators working with different statutes.
Classification Of AlphacetylmethadolThe Agency's discussion of Congress' treatment of alphacetylmethadol has no relevance here. The Agency submitted a statement to the Congress about that substance, that "since the current use of alphacetylmethadol is limited to research, it has no currently accepted medical use. . . ." Whatever else was said about that substance was surplusage with respect to its accepted medical use.
Congressional Rescheduling of MethaqualoneIn 1984 Congress enacted special legislation effectively placing the substance methaqualone in Schedule I. [12] Agency counsel now point to one sentence in a House Report concerning that legislation as evidencing an understanding by the Congress that "accepted medical use in treatment" was equated by the Committee with FDA "approval". Counsel's reliance on the quoted statement is misplaced. To begin with, the statement is wrong. The Committee Report says: "[T]he Drug Enforcement Administration does not have authority to impose Schedule I controls on a drug which has been approved by the Food and Drug Administration for medical use". There is no such bar in the CSA. The CSA does provide, in 21 U.S.C. $ 811(b) that "if the Secretary recommends that a drug or other substance not be controlled, the Attorney General shall not control the drug or other substance". But there is no language having the effect of the quoted statement in the House Report. The very next sentence in the House Report, not quoted in the Agency's brief, is correct and does show the necessity for Congressional action to outlaw methaqualone at that time. The sentence says:
The statutory findings required for agency scheduling decisions clearly state that the agency may not, in the absence of Congressional action, subject drugs with a currently accepted medical use in the United States to Schedule I controls.The Report continues:
There are circumstances when public health considerations require the Congress to exercise its responsibility to determine whether the adverse health effects caused by diversion of a drug outweigh its therapeutic usefulness and therefore warrant impositions of Schedule I controls.The House committee was not focusing on the problem which concerns us at the moment. But implicit in the above language is recognition that what the medical profession is actually doing is not to be equated with an approval action by the FDA. Indeed, the Report shows that the Committee listened to the medical community. At least one physician is quoted in the Report, as is a report adopted by the House of Delegates of the American Medical Association. The Agency brief states, p. 20:
*** By ordering the Secretary to withdraw the NDA for methaqualone, Congress ensured that the drug then met all the criteria for control in Schedule I, particularly that it had "no currently accepted medical use in treatment in the United States".Counsel are mistaken. A careful reading of the statute enacted reveals that the Attorney General was directed to transfer the substance from Schedule II to Schedule I first, and thirty days thereafter the Secretary (FDA) is directed to withdraw the NDA. See Appendix. Clearly, Congress was exercising its prerogative, which only it possesses, to enact legislation. DEA and FDA must operate within the procedural scheme established for them by the Congress, but Congress is not so constrained. Congress, as it has the power to do, directed DEA to outlaw methaqualone regardless of the fact that it had an accepted medical use and regardless of the fact that the NDA had not yet been withdrawn by FDA.
ConclusionThe administrative law judge concludes that "accepted medical use in treatment in the United States" is not determined by NDA approvals or dis- approvals by FDA. It is determined, rather, by what is actually going on within the health care community.
V. "Currently Accepted Medical Use" of MDMALet us, then, in the words of Deputy Chief Counsel Sonnenreich, consult "the medical community as to whether or not [MDMA] has medical use or doesn't." In this instance, as in many others, it is instructive for this tribunal to look to the courts for guidance. Most court decisions are dealing with suits for medical malpractice. But the basic inquiry is the same as that in which we are presently engaged. Was the doctor's action acceptable, or is he to be considered culpable for taking it? How large a segment of the medical community must accept a mode of treatment before the courts will accept it and find no culpability in the doctor following it? In Hood v. Philips, 537 S.W. 2d 291 (1976) the Texas Court of Civil Appeals found itself dealing with a claim of medical malpractice arising from a surgical procedure claimed to have been unnecessary. The court noted that the usual treatment for emphysema by the majority of the medical profession is non-surgical. The defendant doctor, however, resorted to surgery. The court said:
***This is a highly controversial procedure, but there is evidence that carotid body surgery is performed by at least one other doctor in Texas, a doctor in Boston, Massachusetts, and doctors in Japan, Poland and Italy. Until his retirement in 1967, defendant was apparently the only physician in the Houston area who employed this procedure. The defendant stated that eighty-five percent of some 1,200 persons on whom he has operated derived some benefit, but there is medical evidence in the record that the procedure is generally recognized as having no value in treating emphysema and in some cases may be detrimental to the patient's health.537 S.W. 2d at 292. Noting that some courts had adopted a rule of "generally recognized treatment", the Texas court observed that courts have also enunciated a corollary to the rule that one should follow the better method, viz.:
where there are several possible methods of treatment, a doctor will not be liable for a patient's injuries as long as the treatment is one followed by a respectable minority of the medical profession and his care under that treatment conforms with the general practice of reasonable physicians utilizing the same treatment.Ibid. at 293. The Texas court quoted from an Arizona court decision, holding that
a method of treatment, as espoused and used by . . . a respectable minority of physicians in the United States, cannot be said to be an inappropriate method of treatment or to be malpractice as a matter of law even though it has not been accepted as a proper method of treatment by the medical profession generally.Ibid. at 294. Noting that the Federal District court in the Arizona case found a "respectable minority" composed of sixty-five physicians throughout the United States, the Texas court adopted as "the better rule" to apply in its case, that
a physician is not guilty of malpractice where the method of treatment used is supported by a respectable minority of physicians.Ibid. The court sent the case back to the trial court for a determination applying that rule. One judge dissented, believing that the evidence in the particular case was insufficient to raise an issue of malpractice for the jury. He observed:
. . . I fear the long term effect [will] discourage new procedures and techniques, so necessary to improve health care.Ibid. at 297. In Chumbler v. McClure, 505 F.2d 489 (6th Cir. 1974) the Federal courts were dealing with a medical malpractice case under their diversity jurisdiction, applying Tennessee law. The Court of Appeals said:
. . .The most favorable interpretation that may be placed on the testimony adduced at trial below is that there is a division of opinion in the medical profession regarding the use of Premarin in the treatment of cerebral vascular insufficiency, and that Dr. McClure was alone among neurosurgeons in Nashville in using such therapy. The test for malpractice and for community standards is not to be determined solely by a plebiscite. Where two or more schools of thought exist among competent members of the medical profession concerning proper medical treatment for a given ailment, each of which is supported by responsible medical authority, it is not malpractice to be among the minority in a given city who follow one of the accepted schools.505 F.2d at 492. (Emphasis added). How do we ascertain whether there exists a school of thought supported by responsible medical authority, and thus accepted? We listen to the physicians.
The court and jury must have a standard measure which they are to use in measuring the acts of a doctor to determine whether he exercised a reasonable degree of care and skill; they are not permitted to set up and use any arbitrary or artificial standard of measurement that the jury may wish to apply. The proper standard of measurement is to be established by testimony of physicians, for it is a medical question.Hayes v. Brown, 133 S.E. 2d. 102(Ga., 1963) at 105. The courts and former Deputy Chief Counsel Sonnenreich are in accord.
Findings Of FactThere is testimony in this record from reputable physicians, i.e., responsible medical authorities who constitute a respectable minority, that the use of MDMA is acceptable in the treatment of certain kinds of patients. Dr. George Greer is a psychiatrist in private practice in New Mexico. He is Board Certified. He is also a part-time consultant psychiatrist at the penitentiary in New Mexico where he treats inmates. Prior to July 1, 1985 Dr. Greer had been doing clinical work with MDMA for four and one-half years. He had administered it to 76 patients. He found MDMA to be helpful as an adjunct to psychotherapy in certain cases. He considers himself a clinician, not a researcher. He has studied extensively in the field of using altered states of consciousness to facilitate psychotherapy and personal development. In January 1983 Dr. Greer learned that MDMA was being used recreationally. He became concerned that its legitimate medical use might be challenged, so he wrote a paper describing his work with the substance. In this paper Dr. Greer intended simply to present the results of his experience using MDMA with patients. It was not his intention there to report on a formal, controlled testing program for MDMA to present a convincing argument definitely establishing the efficacy of MDMA. He believes that MDMA should be scheduled and subjected to some controls by DEA. He desires to see it placed in Schedule III. He desires to see formal research undertaken with the drug and funding made available for such research. He has informally sought such funding from at least two pharmaceutical companies, but they were not interested. The drug cannot be patented. He made informal contact with officials at FDA, suggesting that FDA provide funding for studies and promote research in the use of the drug. So far no one has made such funding available. Dr. Rick J. Strassman is Assistant Professor of Psychiatry, University of New Mexico School of Medicine, in Albuquerque. He is medical director and principal investigator of a program in which marihuana or THC is being used to combat cancer chemotherapy-induced nausea and vomiting. This project is funded by the State of New Mexico with approval of FDA and the National Institute of Drug Abuse (NIDA). Previously he was Assistant Professor of Psychiatry at the University of California, Davis Medical Center. He has served as a psychiatrist at mental health centers in California and Alaska. He is board certified by the American Board of Psychiatry and Neurology. Dr. Strassman is a member of the peer review committee which had been overseeing Dr. Greer's work with MDMA. Dr. Strassman testified:
As a member of [Dr. Greer's] peer review board in New Mexico, I have reviewed his inclusionary and exclusionary criteria for entrance into the protocol, informed consent forms, protocol for administration of MDMA . . . ., the setting in which sessions occur, his results of follow-up, etc. In my opinion, he has included appropriate safeguards and has not experienced significant adverse reactions to this form of treatment, and that all individuals have experienced significant benefit. Therefore, within the standards of practice set forth by the physicians' community, MDMA has a currently accepted medical use in the hands of a qualified clinician (e.g., Dr. Greer).Strassman Rebuttal Testimony, at 1-2. Dr. Rodney A. Houghton was another member of Dr. Greer's peer review committee. He is a former Chief Resident in the Department of Psychiatry at the University of New Mexico and has conducted psychiatric clinics in four rural New Mexico counties. In this connection among other things he provided in-service training on various aspects of clinical psychiatry for law enforcement agencies including policemen, jailors and local sheriffs. He has served as an expert on psychiatric care to the New Mexico State Department of Health and Environment concerning the State Mental Health Programs. As a psychiatrist he has been medical consultant to the Social Security Administration, HHS, reviewing psychiatric disability cases for the Disability Determination Unit of New Mexico. He has served as a member of the committee reporting to the State agency responsible for funding and maintaining standards for community mental health programs. He is a Clinical Assistant Professor of the University of New Mexico Department of Psychiatry. He is a member of the medical staffs of two psychiatric hospitals in Albuquerque. Dr. Houghton is in contact with and has worked with psychiatrists and other mental health care professionals throughout New Mexico. Dr. Houghton testified in this proceeding as follows:
In summary, during the nine years of practicing psychiatry in New Mexico, I have become well acquainted with the academic community, rural and private practice standards of psychiatric evaluation and treatment. I have been involved at all levels of developing and maintaining quality medical treatment of psychiatric patients in this state -- in the political and government agency area, in the grassroots community level, and in the private profit and not-for-profit hospitals.Houghton Rebuttal Testimony, at 3-5. Dr. Will L. MacHendrie was another member of Dr. Greer's peer review committee. In his testimony in this proceeding, given in April 1985, Dr. MacHendrie said:
I am a Board Certified psychiatrist and for the past five years I have been working in community mental health and private practice in New Mexico.MacHendrie Rebuttal Testimony, at 1. Dr. MacHendrie has served as Assistant Clinical Professor of Psychiatry at the University of California, Davis, and as Staff Psychiatrist for Sangre de Cristo Mental Health Service in New Mexico. He is now in private practice in Santa Fe. Neither Dr. MacHendrie nor Dr. Houghton appears to have used MDMA in his treatment of patients. However, three California psychiatrists have done so. Dr. Philip Wolfson and Dr. Joseph Downing are in private practice in San Francisco. Each has used MDMA as an adjunct to therapy with certain patients. Each of them considers it to be an accepted medical use to do so. Dr. Robert DuBois Lynch is a psychiatrist in private practice in La Jolla, California. He is also statewide psychiatric consultant to the Department of Rehabilitation of the State of California. He has not used MDMA in his practice although he would like to conduct research with it. He believes that in the area in which he lives, and in California generally, a psychiatrist using MDMA for particular therapeutic purposes would be considered to be doing pioneering good medical practice by his colleagues. This testimony, of course, as with the testimony of many of the witnesses, was given before the temporary Schedule I placement of MDMA on July 1, 1985 and is to be read in that context. Four additional psychiatrists testified in these proceedings that, before its being placed in Schedule I on July 1, 1985, MDMA had a currently accepted medical use in psychotherapy for certain purposes and under certain conditions. They were Dr. Morris Lipton, professor of psychiatry at the University of North Carolina, Chapel Hill, and Deputy Editor of the American Journal of Psychiatry of the American Psychiatric Association; Dr. Norman Zinberg, clinical professor of psychiatry, Harvard Medical School; Dr. Lance Wright, practicing psychiatrist and Assistant Clinical Professor of Psychiatry, University of Pennsylvania and Associate Professor of Child Psychiatry, Hahnemann Medical College; and Dr. Richard Ingrasci, a psychiatrist in private practice in Watertown, Massachusetts. No testimony to the contrary by any witness is brought to the attention of the administrative law judge by the Agency or any other participant.
ConclusionThe administrative law judge finds and concludes that, prior to its being proscribed effective July 1, 1985, MDMA did have "a currently accepted medical use in treatment in the United States." It is not presently being used in treatment because it has been proscribed.
VI. "Accepted Safety For Use" Of MDMASection 812(b)(1) provides that, in order to place a substance in Schedule I, the Administrator is "required" to find that, with respect to the substance, "[t]here is a lack of accepted safety for use . . . under medical supervision." Stated issues numbered 3. and 6. in this proceeding are as follows:
3. What constitutes "accepted safety for use . . . under medical supervision" within the purview of 21 U.S.C. $ 812(b)?These issues will now be considered. The Agency staff takes the same position with respect to "accepted safety for use" generally, i.e., issue 3., as it took with respect to "accepted medical use in treatment." It asserts that "accepted safety for use" under the CSA is to be equated with approval by FDA under a different statute, the FDCA, as safe and effective, pursuant to 21 U.S.C. $ 355(d). The appeal of this position, as providing a clear basis for a ruling with minimum effort to ascertain it, is as readily apparent here as it was with respect to "accepted medical use in treatment". This position cannot be accepted here for the same reasons that it can not be accepted there:
- There is no basis in the text of the CSA for the Agency's position.It is to be noted that Dr. Egeberg did not say that the question of "accepted safety" for CSA purposes would be bindingly determined by FDA, utilizing the authority granted FDA 38 years earlier for FDCA purposes. The Assistant Secretary said that he "would think that HEW would expect to have a good deal to say on that". (Emphasis added.) Assuredly so. One would hope and expect FDA to have an informed opinion on the question, and make it available to DEA's Administrator for consideration together with all the other evidence received on the record after opportunity for a hearing. But the determinative "findings prescribed by subsection (b) of section 812", including accepted safety for use vel non, are to be made by the Administrator of DEA and by no one else. The statutory language is perfectly clear. 21 U.S.C. $ 811(a) The impossible situation to which the Agency position here would bring us is well pointed up by proposed finding number 6. on page 28 of its brief: "There is no legitimate commercial manufacturer of MDMA in the United States". If this is the criterion, "accepted safety" for use by physicians is reduced to being determined by, and therefore equated with, a businessman's or corporation's determination of the economic feasibility of mass production. Congress has not given the slightest hint of an intention to rely here on such judgments. That would, however, be the bottom line result of the Agency's position in many cases. It is wholly unacceptable. It ignores the reality that commercial pharmaceutical manufacturers base their production decisions on economic considerations. If they are commercially manufacturing a product, they have, no doubt, concluded that the pharmaceutical can be safely used. But the converse is not necessarily true. Pharmaceutical companies do not normally manufacture a substance just because it is safe. They manufacture it because they expect to make a profit by so doing. As when determining "accepted medical use," the only logical source for relevant information on safety is the world of health care practitioners. We turn to the evidence of record in these proceedings.
Findings Of FactWith respect to the safety of MDMA, the following facts are established in this record by the preponderance of the evidence. MDMA has been utilized by some psychiatrists as an adjunct to psychotherapy. It is usually administered to the patient only once, or at most twice, at the beginning of a course of psychotherapy. It is administered by, or in the presence of, the treating psychotherapist. The psychiatrist remains with the patient, or is immediately available, during the period after ingesting of the substance when it might adversely affect normal functioning. All of this is in marked contrast to the manner of administering many other controlled drugs, which patients self-administer at home or elsewhere with scant regard for possible immediate contact with the physician. There are many other oral medications, controlled substances, that are not so restricted by the treating physician, i.e., to only one or two administrations and in such relatively low doses. MDMA has been administered to animals in a number of different studies. The injection LD 50 [14] has been established and the oral LD 50 has been reliably estimated. The doses of MDMA administered therapeutically by psychiatrists to patients have been less than one percent of the LD 50. This indicates a very high margin of safety with MDMA when it is used in treatment. Clinical trials with humans were reported in 1978 in a monograph, published by the National Institute on Drug Abuse. Dr. Greer has written a report on his clinical experiences administering MDMA to patients. Others interested in using MDMA in therapy had read copies of this report although it had not been published as of the time of the hearings in this proceeding. Dr. Ingrasci, a psychiatrist in private practice, has reported on his clinical observations in administering the drug to nearly 100 individuals over 5 years, from 1980 to 1985. No evident harm resulted to any of these persons from his use of the drug. Dr. Downing has reported on an informal study of the physiological effects of MDMA on some 20 human volunteers. None of them suffered apparent harm. Although there was no verification by scientific analysis, it is reasonable to accept, in the circumstances, that all these volunteers had ingested MDMA in the quantity assumed for purposes of the study. In addition, other psychiatrists have been using MDMA in their practices over the past 10 years. Because MDMA cannot be patented, no pharmaceutical company has had the financial incentive to carry out the extensive animal and clinical tests required by the FDA for approval to market the drug on an interstate basis. Nevertheless, the overwhelming weight of medical opinion evidence received in this proceeding concurred that sufficient information on MDMA existed to support a judgment by reputable physicians that MDMA was safe to use under medical supervision. No evidence was produced of any instances where MDMA was used in therapy with less than wholly acceptable safety.
ConclusionThe administrative law judge finds and concludes that there is no "lack of accepted safety for use" of MDMA "under medical supervision." On the contrary, there is accepted safety for use.
VII. Effect Of Secretary's FindingsIssue number 4 is stated:
4. Is a finding by the Secretary of Health and Human Services that a substance has "no currently accepted medical use in treatment in the United States" or a finding that a substance has no "accepted safety for use . . . under medical supervision" binding on the Attorney General (the Administrator of the Drug Enforcement Administration, DEA) within the purview of the provisions of 21 U.S.C. $ 812(b)?The Agency staff argues that the answer is in the affirmative, pointing to language which it asserts is in $ 812 and to one sentence found in House Report No. 91, legislative history of the CSA. The Agency's brief is in error where it says, on page 32:
The statutory language of 21 U.S.C. $ 812 is clear that(Emphasis added.) The quoted language is found in $ 811, not in $ 812. A careful reading $ 811(b) reveals that, before initiating proceedings to schedule a drug, and after gathering data, the Attorney General (i.e., DEA) is to request from the Secretary a scientific and medical evaluation and recommendations as to whether the drug should be controlled. Section 811 then continues:
In making such evaluation and recommendations, the Secretary shall consider the factors listed in paragraphs (2), (3), (6), (7), and (8) of subsection (c) of this section and any scientific or medical considerations involved in paragraphs (1), (4), and (5) of such subsection . . . . The recommendations of the Secretary to the Attorney General shall be binding on the Attorney General as to such scientific and medical matters . . . .It is only the scientific and medical factors specified in $ 811(c)(2), (3), (6), (7) and (8), and any such considerations as are involved in $ 811(c)(1), (4) and (5), on which the Secretary's recommendations are binding. "Currently accepted medical use in practice" and "accepted safety for use" are not mentioned in $ 811(c). They appear in $ 812, as matters with respect to which "findings" must be made by the Attorney General (DEA) when he is determining which of the five schedules is appropriate. Thus the provision in $ 811 for certain recommendations of the Secretary to be binding has no reference at all to "currently accepted medical use" and "accepted safety for use." The one broad-brush, general statement quoted in the Agency's brief from the Committee Report cannot be read so as to alter the clear language in the statute itself. The anomalous situation in which the Agency's argument here would put us, i.e., according finality to the recommendation of the Secretary on any questions classifiable as scientific or medical, was pointed up by the Court of Appeals for the District of Columbia Circuit. In its recent opinion in the Buprenorphine scheduling case, the Court observed:
The intervenor's brief contends, and the Department of Justice agreed at oral argument, that the Administrator's conclusion that buprenorphine is a thebaine derivative can be upheld on an alternative ground. According to these parties, HHS's initial communication to DEA stated that buprenorphine is a thebaine derivative, and the Act makes HHS's recommendations as to "scientific and medical matters" binding on the DEA. See 21 U.S.C. S 811(b) (1982). If that were so, it is difficult to see what purpose the agency's on-the-record hearing served in this case. Certainly the Administrator did not appear to regard his independent findings on "scientific and medical matters" as superfluous. While we entertain doubts about the soundness of the Justice Department's interpretation of the Act - Section 811(b) could be read to indicate only that the DEA must follow HHS's recommendations on the specified matters in deciding whether to initiate scheduling actions - our disposition of this case renders it unnecessary for us to decide the point.Reckitt & Coleman, Ltd. v Administrator, etc. No. 85-1193, April 8, 1986, slip opinion, p. 9, n. (Emphasis added.) The administrative law judge concludes that the recommendations of the Secretary on the questions of "accepted medical use in practice" and "accepted safety for use . . . under medical supervision," to the extent the Secretary addressed these issues, are not binding on the Administrator of DEA.
VIII. Proper Schedule For MDMA
IntroductionWe come to the last of the stated original issues.
7. If, on the basis of the resolution of the above issues [including issue 1, the "preliminary issue" ], MDMA can lawfully be scheduled in a schedule other than Schedule I, in which schedule should it be placed?The findings and conclusions of the administrative law judge set out above resolve all the previous issues so as to permit, indeed to require, that MDMA be placed in a schedule other than Schedule I. In which one? We must now focus on the "findings required for each of the Schedules" II through V found in $ 812. Having found that there is a currently accepted medical use for MDMA, and that there is not a lack of accepted safety for use of it under medical supervision, the only matters still to be addressed are the extent of MDMA's potential for abuse, finding (A) for each of these schedules, and the extent of psychological or physical dependence resulting from abuse of it, finding (C) for each of them. The Administrator can place a substance in a schedule only if he "makes . . . the findings prescribed by subsection (b) of section 812 . . . for the schedule in which such drug is to be placed." 21 U.S.C. $ 811(a)(1)(B).
Findings of Fact
DiscussionThe Agency staff has the burden here of establishing that MDMA has a "high" potential for abuse. It has not carried that burden. A "high" potential is required by the CSA for placement in either Schedule I or Schedule II. The evidence as to the meaning of similarity of chemical structure between MDMA and other substances is inconclusive. There is similarity, for example, between MDMA and MDA, which is a CSA Schedule I substance. But there is comparable similarity between these two drugs and two others which have not been found to have any abuse potential and which are not scheduled at all. See finding 12, page 42. MDMA is classified as a phenethylamine. Some phenethylamines are scheduled under the CSA, but others are not. WHO has reviewed the abuse potential of 28 phenethylamines. It has recommended only some of those 28 for scheduling. Of those 28, there are eight which have neither been scheduled at all in the United States nor recommended for scheduling by WHO. See finding 11, page 41. The great preponderance of the evidence in this record is to the effect that MDMA is not properly classified as a hallucinogen. There is some expression of opinion to the contrary. Even if it is classified as such, that fact would not establish a "high" potential for abuse in humans. There are at least two known hallucinogens which have not been scheduled at all in the United States. See finding 25, pages 44 and 45. Animal tests have shown MDMA to be a central nervous system stimulant. MDA, a Schedule I substance, is a central nervous stimulant. But that fact does not establish that MDMA should also be placed in Schedule I. Many other substances also act as central nervous stimulants which are not scheduled at all. See finding 22, page 44. The other animal test results in the record are equally inconclusive as to abuse potential. See findings 37, 40, and 47, above. There are reports of non-medical use of MDMA by humans. These reports do establish that MDMA has a potential for abuse. But before it can be said that, in the context of $ 812, MDMA has a "high" potential for abuse, the known facts as to MDMA must be compared with the known facts as to human abuse of other substances. When these comparisons are made, it cannot be concluded that the facts show MDMA to have a "high" potential for abuse. See findings 59, 62, 72, and 84, above. Upon close examination the material received from HHS is of little assistance to us in this case. No independent tests, studies or scientific examinations were made there. Relevant and material facts and opinions, within the knowledge of some at FDA, were not brought to the attention of higher officials, including the Assistant Secretary who signed the formal communication to the Administrator of DEA. The staff person at FDA responsible in this matter had a misunderstanding of the law's requirements from the outset. He was of the misapprehension that a substance with any degree of potential for abuse had to be placed in Schedule I if it lacked an IND, or NDA, granted by FDA. FDA did not see fit to consult its panel of experts created for the purpose, the Drug Abuse Advisory Committee. That group would undoubtedly have had helpful input for our consideration of the "acceptable medical use" issue, and the "degree of abuse potential" issue, among others. There are no "binding" recommendations in the HHS letter of June 6, 1984 (G B-3) and its enclosure (G B-4) such as are contemplated by 21 U.S.C. $ 811(b). The only recommendation stated is as to the schedule into which MDMA should be put. This is, of course, the ultimate question to be determined and the Secretary's recommendation on it, though entitled to consideration, is not made "binding" by the statute. For the rest, the response from HHS contains same factual recitals, largely repeating or summarizing the data initially sent to it by DEA, and some expressions of opinion - interesting in that they do not give much support to the one recommendation made. For instance, FDA observes on page 2 of G B-4 that the rate of MDMA mentions in the DAWN reports "is not significant except to indicate the existence of human use of MDMA." It is also there observed that the difference in numbers of DAWN mentions between MDMA and MDA "is considered to be more an indication of availability rather than degree of toxicity." The observation that "there is no known legitimate use of MDMA in humans" is incorrect as a factual statement. If it is intended to reflect an interpretation of the statute, it is entitled to consideration, which it has received, supra, but it is certainly not binding. These critical observations are, regrettably, essential if we are to put the formal recommendation of the Assistant Secretary into proper focus and determine the weight of which it is deserving. In the circumstances, it appears to be deserving of very little weight.
ConclusionThe evidence of record does not establish that, in the context of $ 812, MDMA has a "high potential for abuse." Accordingly, it cannot be placed in Schedule II. (We have already seen that it cannot be placed in Schedule I, because it does have "a currently accepted medical use in treatment" and it does not "lack . . . accepted safety for use . . . under medical supervision.") No one has argued here that the evidence establishes that MDMA "may lead to severe psychological or physical dependence," another requirement for Schedule II placement. The evidence does not so establish. For this reason, also, MDMA cannot be placed in Schedule II. Mr. Ehrnstein argues that MDMA cannot be scheduled at all because HHS has not performed such a scientific and medical evaluation as the CSA calls for. He asserts that this failure deprives DEA of "jurisdiction" to schedule the drug. The administrative law judge rejects this argument. The statute requires DEA to "request" an evaluation from HHS. DEA did so. HHS did send a recommendation to DEA. DEA is considering that recommendation. The minimum statutory requirements have been met in this case. Mr. Ehrnstein also argues that the evidence establishes no abuse potential sufficient to place MDMA in any of the five schedules. Ihe administrative law judge agrees, and accepts this argument, as to Schedule II. The judge disagrees with, and rejects, the remainder of the argument. There is ample evidence of some abuse potential in the record. Drs. Grinspoon, et al., argue that sufficient evidence of abuse potential has been shown to warrant placing of MDMA in Schedule III. The administrative law judge agrees, concluding that the evidence does establish MDMA to have "potential for abuse less than the drugs or other substances in Schedules I and II," and to establish that abuse of MDMA "may lead to moderate or low physical dependence or high psychological dependence." 21 U.S.C. $ 812(b)(3). The administrative law judge concludes that the evidence of record requires MDMA to be placed in Schedule III.
IX. Recommended DecisionDrs. Grinspoon, et al., assert that there are two courses of action open to the Administrator at this point: Either the Administrator can review all the evidence of record and reach a decision, based thereon, on all the issues, or the Administrator can send the record, together with the administrative law judge's findings and conclusions, to HHS for review and comment on the scientific and medical issues. The administrative law judge finds neither authority nor merit for the second alternative. The statute clearly provides that, in a situation such as ours, where DEA initiates a scheduling, DEA shall, "before initiating proceedings" and after gathering necessary data, request an evaluation and recommendations from HHS. 21 U.S.C. $ 811(b). That was done. After HHS responded to the request, DEA initiated this proceeding. The statutory scheme clearly contemplates that at that point opportunity will be provided, in open hearings pursuant to the Administrative Procedure Act, for the presentation of further "data" or evidence on all issues. The Administrator is then to make the final Agency decision, which must be based on that record. The statute contemplates that the record may contain scientific and medical information not considered by HHS at the outset. Referral of the matter at this point to HHS for a second time may well result in a record that could not pass muster under the Administrative Procedure Act. The Administrator of DEA has no authority to direct the Secretary of HHS to take any action. The Administrator provided the Secretary with the opportunity the statute requires. If the Administrator of DEA carefully considers the entire record now provided in this proceeding, there is no reason why he cannot come to the informed decision the law requires of him as the Agency head. Needless to say, nothing in this opinion is to be taken as being in any way critical of the Agency's emergency scheduling of MDMA which became effective on July 1, 1985. That action was taken pursuant to certain statutory authority with which this proceeding is not concerned. That action was wholly unilateral, reflecting a view based on evidence then available to the Agency but without opportunity for the presentation of countervailing evidence or argument. This proceeding, a wholly separate process, has provided that opportunity. A complete record, with input from different perspectives, has now been assembled for the benefit of the Administrator, the head of the Agency. The record now assembled contains much more material about MDMA than the Agency was aware of when it initiated this proceeding by publishing a notice almost two years ago. Based upon this record it is the recommended decision of the administrative law judge that the substance 3, 4-methylenedioxymethamphetamine, also known as MDMA, should be placed in Schedule III. Dated: MAY 22 1986
[signed] Appendix
PUBLIC LAW 98-329 [H.R. 4201]; June 29, 1984CONTROLLED SUBSTANCES ACT; RESCHEDULING OF METHAQUALONE For Legislative History of Act, see p. 540 An Act to provide for the rescheduling of methaqualone into schedule I of the Controlled Substances Act, and for other purposes. Be it enacted by the Senate and House of Representatives of the United States of America in Congress assembled, That, notwithstanding the schedule requirements of section 202(a) of the Controlled Substances Act (21 U.S.C. 812(a)) and the requirements of section 201 of such Act (21 U.S.C. 811) respecting the scheduling of controlled substances, the Attorney General shall, by order, transfer methaqualone from schedule II of such Act to schedule I of such Act. The transfer shall take effect not later than the expiration of ninety days from the date of the enactment of this Act. Sec. 2. Effective thirty days after the date methaqualone is transferred to schedule I of the Controlled Substances Act, the Secretary of Health and Human Services shall by order withdraw the approval under section 505 of the Federal Food, Drug, and Cosmetic Act of the new drug application for methaqualone. Approved June 29, 1984.
Footnotes[1] P.L. 91-513, 84 Stat. 1242, 21 U.S.C. $$ 801, et seq. [2] 21 U.S.C. $ 811(a). [3] 28 C.F.R. $ 0.100. [4] 49 F.R. 30210 (1984). [5] The participants are the Agency staff (DEA or the Agency); George Greer, M.D., Lester Grinspoon, M.D., Thomas B. Roberts, Ph.D. and James Bakalar (Greer-Grinspoon); McNeilab, Inc. and Hoffmann-La Roche, Inc. (McNeilab); Lyn B. Ehrnstein, Esq., (Ehrnstein); and David E. Joranson (Joranson). See Memorandum to Counsel dated March 22, 1985. [6] There are ten volumes of transcript. The first contains the preliminary session on February 1, 1985. The remainder contain the testimony on cross examination and the oral argument. They have been numbered 1 through 10, and are cited herein as follows: February 1, 1985 -- Tr 1; June 10, 1985 -- Tr 2; July 10, 1985 -- Tr 3; July 11, 1985 -- Tr 4; October 8, 1985 -- Tr 5; October 9, 1985 -- Tr 6; October 11, 1985 -- Tr 7; October 11, 1985 -- Tr 8; November 1, 1985 -- Tr 9; February 14, 1986 -- Tr 10 [7] The Secretary's input into the matter comes to the Administrator from the Assistant Secretary of Health, HHS. [8] Under the FDCA, the labeling of any prescription drug, whether subject to approval or not, must be adequate for the drug's intended purposes. In the case of prescription drugs (as opposed to "over-the-counter" drugs available without a prescription), the requirements are met by conditioning avail ability on a practitioner's prescription, and on there being labeling directions for physicians and pharmacists (as opposed to laymen) as to the prescribing, dispensing, and administration of the drug. 21 C.F.R. $ 201.100. [9] Quoted immediately above. [10] Government's Response To The Findings, etc., Submitted by Drs. Greer and Grinspoon, et al., etc., p. 13. [11] In their Reply Brief, at page 16, Agency counsel quote a sentence from a written statement submitted to the Congress on another occasion by Director Ingersoll in justification of the Schedule I placement of a particular substance. This one, isolated sentence appears directly to contradict Mr. Ingersoll's oral testimony to the Committee quoted above. To that extent it is inconsistent also with the quoted oral statements of Mr. Sonnenreich, Mr. Ingersoll's deputy chief counsel. In the circumstances, and being uninformed as to the full context of the written sentence, it would seem that the oral statements, made when the phrase was being specifically discussed, should be accepted as accurately expressing BNDD's opinion on the point. The only alternative is to conclude that Mr. Ingersoll was not a reliable witness at all and that none of his statements can be accepted. [12] P.L. 98-329, 98 Stat 280, June 29, 1984. See Appendix. [13] H.R. Rep. No. 98-534, 98th Cong., 1st Sess. 4(1983) [14] See finding 27, page 45, below. [15] into a vein. [16] into the abdominal cavity. [17] "GG" = Drs. Grinspoon, et al., exhibit; "G" = Agency exhibit
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