As a result of disciplinary action taken with respect to petitioner’s licenses to practice medicine in other states, the Board of Medical Examiners (Board) filed a complaint to revoke or suspend his license to practice medicine in Oregon. 1 The hearings officer found that petitioner had been disciplined by the Minnesota Board of Medical Examiners and that his license to practice had been revoked by the North Dakota Board of Medical Examiners, because he stipulated to facts in the Minnesota order that
“A. From approximately February, 1983, through April, 1983, [petitioner] made unnecessary house calls to patient #l’s home following her surgery which resulted in [petitioner] receiving ‘loans’ from patient #1, a vulnerable adult, without any form of documentation or loan repayment schedule, on the following occasions:
“1) January 27,1984 - $10,000.00
“2) August, 1984 - $2000.00
“3) December, 1984 - $15,000.00
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“C. A. review of [petitioner’s] patient charts reflects improper management of medical records, including the failure to maintain adequate medical records[.]”
The hearings officer held that petitioner’s stipulated conduct constituted “unprofessional conduct” within the meaning of ORS 677.190(1) and proposed that petitioner be placed on probation. The Board adopted the hearings officer’s proposed findings and conclusions but ordered that petitioner’s license be revoked. Petitioner seeks judicial review.
Petitioner first argues that the Board erred in treating the Minnesota and North Dakota disciplinary orders as “conclusive evidence of the events related therein.” He argues that it misinterpreted ORS 677.190(16):
“The board may refuse to grant, or may suspend or revoke a license to practice medicine or podiatry in this state * * * for any of the following reasons:
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“(16) The suspension or revocation by another state of a license to practice medicine or podiatry, based upon acts by the licensee similar to acts described in this section. A certified copy of the record of suspension or revocation of the state making such suspension or revocation is conclusive evidence thereof.”
Petitioner contends that another state’s disciplinary record is only conclusive as to the fact of that state’s disciplinary action and not as to the truth of the facts that underlie that action.
2
Petitioner misreads
In his second assignment, petitioner argues that the Board erred in concluding that his conduct in Minnesota constituted “unprofessional conduct,” as described in ORS 677.190(1). The Board held that petitioner’s conduct
“was similar to acts described in ORS 677.190(1) in two respects:
“(a) Making unnecessary house calls to a patient which resulted in the Licensee receiving ‘loans’ from an elderly, vulnerable patient with no documentation or loan repayment schedule was conduct unbecoming a person licensed to practice medicine and was contrary to recognized standards of ethics of the medical profession. ORS 677.188(4) (a).
“(b) Improper management of medical records, including the failure to maintain adequate medical records is conduct which does or might constitute a danger to the health or safety of a patient or the public, and does or might impair a physician’s ability to safely and skillfully practice medicine. ORS 677.188(4)(a).”
Citing
Megdal v. Bd. of Dental Examiners,
“when a licensing statute contains both a broad standard of ‘unprofessional conduct’ that is not fully defined in the statute itself and also authority to make rules for the conduct of the regulated operation, the legislative purpose is to provide for the further specification of the standard by rules, unless a different understanding is shown.”288 Or at 313 . (Emphasis supplied.)
We answered petitioner’s argument in
Spray v. Bd. of Medical Examiners,
“Unprofessional or dishonorable conduct means * * *
“(a) Any conduct or practice contrary to recognized standards of ethics of the medical or podiatric profession or any conduct or practice which does or might constitute a danger to the health or safety of a patient or the public or any conduct, practice or condition which does or might impair a physician’s or podiatrist’s ability safely and skillfully to practice medicine or podiatry[.]”
“[T]hat definition * * * sets a standard of ‘unprofessional or dishonorable’ conduct that can only be determined on an individual case basis.”
Spray v. Bd. of Medical Examiners, supra,
However, the Board’s other holding, that petitioner had acted contrary to recognized standards of ethics of the medical profession by making unneccessary house calls and receiving undocumented loans from a vulnerable patient, has
not been addressed.
Spray v. Bd. of Medical Examiners, supra,
relying on
Megdal v. Bd. of Dental Examiners, supra,
suggests that “ethical standards” may be unlike “professional medical standards” and might have to be established by rulemaking.
The statutory framework does not mandate rulemaking before a physician can be found to have violated ethical standards. The legislature has required promulgation of rules for the licensing of physicians but did not do so for discipline. ORS 677.265(l)(a). As noted, ORS 677.190 provides that the Board may discipline a physician for “unprofessional or dishonorable conduct.” Before 1975, “unprofessional or dishonorable conduct” was simply defined as “conduct unbecoming a person licensed to practice medicine, or detrimental to the best interests of the public.” ORS 677.188(4) (1973). In 1975, the legislature expanded the definition to include “[a]ny conduct or practice contrary to recognized standards of ethics of the medical profession.” Or Laws 1975, ch 796, § 1. (Emphasis supplied.) In a statement of intent, placed in the legislative record, the legislature indicated that, by using the term “recognized,” it intended to incorporate by reference ethical standards recognized by organized medicine relating to the protection of patients, but did not intend the disciplinary standards to include principles directed toward issues of physicians’ relationships among themselves. 3 Both the rulemak ing power given to the Board and the legislative history show a legislative recognition of the uniformity of ethical standards and an intention that those standards need not be defined by rulemaking. As the Supreme Court recognized in Megdal v. Bd. of Dental Examiners, supra:
“[A]n occupational licensing law might use ‘unprofessional conduct’ to refer to norms of conduct that are uniformly or widely recognized in the particular profession or occupation, apart from the views of the agency itself and in this sense ‘external’ to the law.”288 Or at 304 .
The Board, therefore, was not required to define “recognized standards of ethics” by rulemaking.
Petitioner finally contends that the Board wrongly excluded him and his attorney from its deliberations. Both he and his attorney were present at the meeting at which his case was considered, but the Board met privately to reach its final decision. It did not err. The Open Meetings
Affirmed.
Notes
Petitioner, who became licensed to practice in Oregon in 1985 by reciprocity, was also charged with committing fraud in applying to activate his license in 1987. The Board found that no fraud occurred.
In effect, petitioner is trying to attack the validity of his stipulation. A party may be relieved of a stipulation by a timely motion and a showing of good cause; however, no motion was made in this case.
See Norris v. Norris,
The statement provides, in pertinent part:
“[Tjhose aspects of the principles of medical ethics reasonably related to patient protection are so intertwined with ethical provisions and interpretations unrelated to the malpractice problem that it does not appear practical, within the time available to this legislature, to do a discriminating job in determining which portions of the principles of medical ethics (as interpreted through appropriate channels within organized medicine) are relevant to the purposes of this legislation and which are not.
“Accordingly, we declare it to be the intent of the legislature that the stigma and sanctions applicable to violations of the principles of medical ethics are intended to apply to such violations as are reasonably relevant to protection of patients or which might otherwise be reasonably regarded as contributing factors to the problem of professional malpractice, but that it is not the intent of the legislature to extend such stigma and sanctions to aspects of the principles of medical ethics which are not reasonably related either to patient protection or to professional malpractice. In particular, possible future changes in the principles of medical ethics which would call into question any method of organizing, delivering or financing health care services currently accepted as ethical are not intended to be sanctioned by the provisions regarding medical ethics in this legislature.” Minutes, Senate Consumer and Business Affairs Committee, June 2, 1975 — Statement of Intent.
Petitioner also argues that the Board’s conclusion that his conduct constituted “unprofessional conduct” and its subsequent order of revocation are not supported by substantial evidence. The argument is without merit.
