COMMONWEALTH of Pennsylvania, Appellant, v. Frank McKETTA, Appellee.
Supreme Court of Pennsylvania.
Argued Sept. 25, 1975. Decided Oct. 20, 1976.
364 A.2d 1350 | 223
Thomas A. Livingston, Dennis J. Clark, Pittsburgh, for appellee.
Before EAGEN, O‘BRIEN, ROBERTS, POMEROY, NIX and MANDERINO, JJ.
NIX, Justice.
On March 13, 1972, appellee Frank McKetta was tried before a jury in the Court of Common Pleas, Allegheny County for possession of dangerous drugs and dealing in dangerous drugs, in violation of the
Following argument on post-trial motions the trial court granted appellee‘s motion for a new trial. The assigned reason for this action was that the trial judge believed he had committed error by failing to allow the jury to determine whether the substance in question was a dangerous drug under the Act, supra. The ruling was appealed by the Commonwealth to the Superior Court, which affirmed the order per curiam. Commonwealth v. McKetta, 231 Pa.Super. 770, 331 A.2d 539 (1975). This court granted the Commonwealth‘s request for review and this appeal followed.
The trial court framed the issue as a challenge to the charge. In its view the charge was in error in that it did not instruct the jurors of their responsibility to de
Nevertheless, we are of the view under the instant facts that the issue was properly preserved and that the trial court was correct in addressing this question on post-trial motions. At the conclusion of the hearing, during which the jury had been excluded, the court stated its finding that Ritalin was a “dangerous drug” and that the Commonwealth was not required to offer testimony before the jury on this subject. An exception to this ruling was properly noted for the record. It is this properly preserved objection and not an omission in the charge which in fact forms the basis of the instant challenge.
A distinction must be recognized between a challenge to the identity of a substance and where the identity is known and its classification is at issue. The former has traditionally been recognized as a factual dispute and its resolution has been left to the trier of fact. Commonwealth v. Martin, 186 Pa.Super. 412, 415-416, 142 A.2d 467, 468 (1958); Commonwealth v. Aikens, 179 Pa.Super. 501, 505, 118 A.2d 205, 207 (1955); Commonwealth v. Bozzi, 169 Pa.Super. 206, 209, 82 A.2d 303, 305 (1951); Commonwealth v. Rupert, 101 Pa.Super. 126, 129 (1930); Commonwealth v. Retacco, 82 Pa.Super. 79, 80 (1923). In such cases, the Commonwealth clearly has the burden of establishing by expert testimony or otherwise that the substance in question was in fact the substance charged. Here, however, the identity of the substance is not in dispute. The brand name of the drug is Ritalin and its generic name is Methylphenidate Hydrochloride. Unlike a challenge to the identity of a substance, which is simply a question of whether or not it is a particular substance, we are here called upon to ascertain the intent of the legislature. Statutory interpretation has been traditionally a function of the court and
This consideration alone is more than sufficient to support a finding that the question raised was one of law and not of fact. However, the conclusion is further strengthened in this particular case because another judicial function is also called into play in the resolution of the question.
The pertinent section provides inter alia as a definition of the term “dangerous drug“:
“a drug other than a narcotic drug as defined in paragraph (g) of this section, which . . . (4) . . . is limited under the Federal Act to use under the professional supervision of a practitioner licensed by law to administer such drug.”
35 P.S. § 780-2(h) .
Thus, under this provision our legislature has expressed a clear and unambiguous intention to include within the definition of “dangerous drugs” sought to be regulated under this Act, those drugs which Federal law prevented from being dispensed without prescriptions. Therefore, to resolve the question raised, it was necessary to ascertain Federal law and determine if it required Ritalin to be used only under professional supervision.
In this jurisdiction it is clear that it is a court function and not the responsibility of a jury to ascertain the law of another jurisdiction.3 The Act of May 4, 1939, P.L. 42, No. 36, § 1,
“Every court of this State shall take judicial notice of the common law and statutes of every state, territory and other jurisdiction of the United States.”
And Section 2 of this Act, supra,
“The court may inform itself of such laws in such a manner as it may deem proper, and the court may call upon counsel to aid it in obtaining such information.”
“It would appear to be self-evident that it is peculiarly the function of the judge to find and interpret the law applicable to the issues in a trial, and in a jury case, to announce his finding of law to the jury for their guidance. The heavy-footed common law system of proof by witnesses and authenticated documents is too slow and cumbrous for the judge‘s task of finding what the applicable law is.” (Citations omitted), p. 776.
These same authors when specifically addressing the laws of sister states, which would have equal applicability to Federal law,4 observed:
“It is easy to see how the difference of languages and inaccessibility of source books should have led the English courts to develop the common law rule that the laws of foreign nations would not be noticed but must be pleaded and proved as facts. The assumption in the earlier cases in this country that the courts of one state must treat the laws of another state as foreign for this purpose is less understandable and to the after-view seems a deplorable instance of mechanical jurisprudence.” (Citations omitted), p. 777.
Having determined that the legislature intended to incorporate federal law, it would be violative of the fundamental rules of statutory construction to assume that the legislature at the same time intended to ignore the method it provided for ascertaining laws of other jurisdictions. See Act of Nov. 25, 1970, P.L. 707, No. 230, added
It is asserted that United States v. Key, 371 F.2d 421 (6th Cir. 1967) supports appellee‘s view that the fact that the drug could only be dispensed under professional supervision was a material element of the offense and therefore must necessarily be submitted as a question for the finder of fact. This reliance is based upon the following cursory reference to the subject:
“Contrary to the claim of counsel for the appellant, the government proved all of the essential elements of the crime. It was only necessary to prove that the drug in question was shipped in interstate commerce, that it was not safe for use, except under the supervision of a practitioner licensed by law to administer such a drug and that it was dispensed without a prescription from a practitioner licensed by law to administer such a drug.” (Emphasis added). Id. at 423.
First, it is to be noted that that court failed to offer a single citation in support of these observations. Further, it does not necessarily follow from the statement that it is incumbent upon the Government to prove that the substance was not safe for use, except under supervision, that the jury must make the policy determination of whether the drug should only be dispensed by prescription. The language of Key, supra, is equally compatible with an interpretation that a determination by an executive officer or a regulatory agency that the drug may only be dispensed by a physician is presumptive proof of this element of the offense.5 Cf. National Nutritional Food Assoc. v. Weinberger, 512 F.2d 688 (2nd Cir. 1975).
Appellee also charges that the trial court erred in the interpretation of the Federal law. The thrust of the argument was that
We believe this position erroneously restricts the purview of the state statute, whose purpose was to adopt the federal law through the incorporation of applicable sections of the Federal Food, Drug and Cosmetic Act. Under the Federal Act, the Secretary of Health, Education and Welfare is empowered to promulgate additional regulations which he deems necessary to effectuate the purposes and enforcement of the Act.6 Moreover, it is abundantly clear that the Act intended the Secretary or his delegated representative to determine which drugs are within the ambit of the regulatory provisions. Thus, under
In defining “dangerous drug” under the state statute, the Pennsylvania legislature did not limit the definition to any specific sections of the Federal Act. Rather, it broadly defined the term to include those substances which are “limited under the Federal Act to use under professional supervision.” In so doing, it intended to incorporate all regulations promulgated under federal law through the provisions of the Federal Act. This necessarily included those additional classifications and regulations announced by the Secretary pursuant to his authority under the Federal Act.
Moreover, the state legislature, by its adoption of the federal regulations, has in effect achieved certainty and uniformity under our state law. Apart from its reference to federal law, the Pennsylvania Drug, Device and Cosmetic Act provides only for a specific list of chemical compounds of dangerous drugs which are either specified in the statute itself or in regulations promulgated by the Secretary of Health of Pennsylvania.
In the instant case, it was undisputed that Ritalin is limited to “use under professional supervision” by the federal regulations. Accordingly, it is also a dangerous drug under the laws of this Commonwealth.
The order of the Superior Court is reversed and the cause is remanded for the imposition of sentence upon the jury verdict entered.
It is so ordered.
JONES, C. J., did not participate in the consideration or decision of this case.
MANDERINO, J., filed a dissenting opinion.
MANDERINO, Justice (dissenting).
I dissent.
The appellee, Frank McKetta, was indicted in 1971 under the
With several exceptions not relevant here, the
“. . . a drug other than a narcotic drug [as elsewhere defined] which . . . is limited under the Federal Act to use under the professional supervision of a practitioner licensed by law to administer such drug.”
Act of September 26, 1961, P.L. 1664, Sec. 2(h) (4), 35 P.S. 780-2(h) (4) .
The term Federal Act means the Federal Food, Drug and Cosmetic Act, Title 21, U.S.C. § 301 et seq., 52 Stat. 1040 et seq. See
The Federal Act,
“. . . because of its toxicity or other potentiality for harmful effect, or the method of its use, or the collateral measures necessary to its use, is not safe for use except under the supervision of a practitioner licensed by law to administer such drug. . . .”
Thus, to be guilty of possessing or dispensing a “dangerous drug” as defined by the Pennsylvania Statute,
United States v. Key, 371 F.2d 421 (6th Cir. 1967), involved a federal prosecution for dispensing certain drugs in violation of
“was not safe for use, except under the supervision of a practitioner licensed by law to administer such a drug and that it was dispensed without a prescription from a practitioner licensed by law to administer such a drug.” Id. at 423.
As stated in Commonwealth v. Rose, 457 Pa. 380, 389, 321 A.2d 880, 884 (1974), “the Commonwealth has an unshifting burden to prove beyond a reasonable doubt all elements of the crime.” The trial court‘s original ruling here deprived appellant of his right to a determination by the jury as to the existence of all elements of the crime; the trial court therefore properly granted a new trial.
For these reasons, I would affirm the order of the Superior Court and grant appellee a new trial.
