Defendants, - the Walnut Drug Corp. and two individual pharmacists, were convicted of violating 21 U.S.C. § 331 (k) by refilling prescriptions for two drugs, librium and dexedrine, without obtaining authorization from the prescriber. They appeal on the ground that the two pharmacists were entrapped by agents of the Food and Drug Administration.
The facts are largely undisputed. In September 1964 the FDA office in Boston received a telephone call from a person who identified himself as Wilfred Chagnon, the treasurer of the Massachusetts Pharmacy Association. The caller said that the Walnut Drug Corp. was refilling librium and other drugs without authorization. Two agents were assigned to investigate. One obtained a medical prescription for librium, the other for dexedrine. Neither prescription referred to refills. Each agent went in plain clothes to the Walnut Pharmacy and had his prescription filled. Thereafter, over a period of about three months, the agents returned to the pharmacy a number of times and successfully asked for refills. The transactions are typically *372 reflected by the following testimony of one of the agents.
“[Kadis] came to the cash register in front of me, placed a prescription envelope on the counter in front of me. He said, ‘Does the doctor want you to keep on taking these?’ I said, T don’t know.’ He said, ‘Of course you have been in to see him, and he probably said to continue.’ I looked at him and said, T have not been back to see him since I got the prescription.’ At that time I handed him a ten dollar bill.
“He said, ‘You will be going back to see him pretty soon, won’t you?’
“I said, ‘I suppose I should’ I replied, ‘It is one of those things,’ and he said ‘We are supposed to keep track of how many tablets you take. It is just a technicality.’
“I nodded my head. He handed me my change.”
The defendants’ principal claim is that they were entrapped as a matter of law because the government agents had inadequate grounds to seek them out.
The doctrine of entrapment as developed by the courts is far from simple, and has led to a number of misunderstandings. Thirty-five years ago, in Sorrells v. United States, 1932,
In the original
Sherman
appeal, United States v. Sherman, 2 Cir., 1952,
Although Judge Hand placed the burden of showing inducement upon the defendant, he did not define the quantum of burden.
2
Subsequently, in United States v. Pugliese, 1965, 2 Cir.,
Consideration of inducement as a separate issue has encouraged the previously mentioned thought, that one of the “ends” to be achieved by the doctrine of entrapment is to police the police, to prevent certain antisocial police conduct —no matter how corrupt the defendant may, in fact, have been. There are really two claims. The first, which is advanced in the case at bar in its most extreme form, is that no inducement of any kind is justified unless the police had prior grounds warranting the initiation of their activity.
3
We rejected this contention in Whiting v. United States, 1 Cir., 1963,
At the other end of the spectrum, it is argued that extreme forms of inducement are socially offensive, and should defeat any prosecution based thereon. See United States v. Morrison, 2 Cir., 1965,
We find, in sum, that consideration of inducement as a separate issue serves no useful purpose, and we believe it to be a mistake. 4 We will no longer *374 bifurcate entrapment into sub-issues of inducement and predisposition, but will broaden the departure initiated in Sagan-shy. Henceforth we will look, singly, at the ultimate question of entrapment. If the defendant shows, through government witnesses or otherwise, some indication that a government agent corrupted him, the burden of disproving entrapment will be on the government; but such a showing is not made simply by evidence of a solicitation. There must be some evidence tending to show unreadiness. See United States v. Riley, supra, n. 4.
While this conclusion modifies our prior decisions, we do not feel it to be at variance with the position thus far taken by the Supreme Court, which has never distinguished between the issues of inducement and predisposition, nor condemned the act of inducement apart from its effect on an innocent man.
5
In Sherman v. United States, 1958,
One question remains: when has the defendant shown “some evidence” of entrapment, viz., when is the burden placed upon the government to show that the defendant was not in fact corrupted by the government agent. The amount need not be so substantial as to require, if uncontroverted, a directed verdict of acquittal, cf. McDonald v. United States, 1962,
Whether in the present case there was enough evidence, we need not determine. The court in fact submitted the question to the jury with clear and accurate instructions, and fully explained the burden that was upon the government. Defendants have shown no prejudicial error.
Affirmed.
Notes
. In both Sorrells and Sherman concurring minorities contended that the sole proper purpose of the doctrine of entrapment was to prevent certain police activities. In both cases the Court rejected this view.
. Also, he did not fully define inducement. Since then the Second Circuit has described it as any solicitation or initiation. United States v. Riley, 1966,
. The present defendants go so far as to contend that the grounds must amount to probable cause similar to that which would justify an arrest. Their position is that the telephone caller was not, in fact, Ohagnon, and that the police, accordingly, did not have a “reliable informer.”
. With due respect, we suggest that the Second Circuit has already partially recognized this mistake sub silentio. In United States v. Riley, 2 Cir., 1966,
. It is true there was mention in Lopez v. United States, 1963,
