I.INTRODUCTION
Defendants Joseph Zolot, a physician, and Lisa Pliner, a nurse practitioner, are charged with illegal distribution of methadone, oxycodone, and fentanyl under the Controlled Substances Act (“CSA”), 21 U.S.C. § 841. They are also charged with conspiracy. The indictment alleges that defendants’ illegal distribution of methadone resulted in the death of six patients.
Defendants have filed a motion to exclude the opinions of government experts, Dr. Michael Baden and Dr. Richard Callery, that methadone caused or contributed to the six deaths. They have also moved to preclude government experts Dr. Christopher Gilligan, Dr. Edward Michna, and Dr. Gerald Aronoff from testifying that defendants prescribed controlled substances without a legitimate medical purpose and outside the course of usual practice.
The government has moved to exclude the testimony of defendants’ expert, Dr. Yale Caplan, that each of the six deaths had other independently sufficient causes of death. They also challenge the opinions of Dr. Carol Warfield and Dr. William McCarberg, who will testify that there were no standards for prescription practices in the field of pain management at the time of defendants’ treatment.
After evidentiary hearings on May 28 and 30, 2013, and a review of the record and supplemental affidavits, Defendants’ Motion to Exclude Expert Opinion Regarding Causation (Docket No. 125) is ALLOWED IN PART AND DENIED IN PART; Defendants’ Motion to Exclude Expert Opinion Regarding Their Medical Practice (Docket No. 123) is ALLOWED IN PART and DENIED IN PART; and the Government’s Motion to Exclude (Docket No. 122) is ALLOWED IN PART and DENIED IN PART.
II.FACTUAL ALLEGATIONS
The following background facts, most of which are disputed, are alleged in the indictment.
Dr. Zolot, a licensed physician, operated a medical practice in Needham, Massachusetts. Nurse Pliner was a nurse practitioner licensed to write prescriptions. Defendants issued prescriptions for controlled substances to patients, despite indications that such individuals were potentially abusing, misusing, or illegally distributing these drugs. Between the years 2002-2007, defendants distributed these drugs without a legitimate medical purpose. By providing only cursory examinations and investigations into patient history, defendants were able to see 40-50 patients a day, charging $300 for initial visits and $150 for follow-up visits. By prescribing excessive dosages of highly addictive drugs without a legitimate medical purpose, defendants encouraged drug dependency in order to ensure patients returned for further appointments. The government charges that defendants’ illegal distribution practices led to the deaths of six patients
III.DISCUSSION
A. The Court’s Gatekeeping Role
The admission of expert evidence is governed by Federal Rule of Evidence 702, which codified the Supreme Court’s holding in Daubert v. Merrell Dow Pharms.,
If scientific, technical, or other specialized knowledge will assist the trier of fact to understand the evidence or to determine a fact in issue, a witness qualified as an expert by knowledge, skill, experience, training, or education, may testify thereto in the form of an opinion or otherwise, if (1) the testimony is based upon sufficient facts or data, (2) the testimony is the product of reliable principles and methods, and (3) the witness has applied the principles and methods reliably to the facts of the case.
Fed.R.Evid. 702.
The trial court must determine whether the expert’s testimony “both rests on a reliable foundation and is relevant to the task at hand” and whether the expert is qualified. Daubert,
Daubert itself listed four factors which should guide judges in this determination: (1) whether the theory or technique can be and has been tested; (2) whether the technique has been subject to peer review and publication; (3) the technique’s known or potential rate of error; (4) the level of the theory’s or technique’s acceptance within the relevant discipline. United States v. Mooney,
The Court must, however, keep in mind the Supreme Court’s admonition that “[vigorous cross-examination, presentation of contrary evidence, and careful instruction on the burden of proof are the traditional and appropriate means of attacking shaky but admissible evidence.” Daubert,
In short, Daubert neither requires nor empowers trial courts to determine which of several competing scientific theories has the best provenance. It demands only that the proponent of the evidence show that the expert’s conclusion has been arrived at in a scientifically sound and methodologically reliable fashion.
Ruiz-Troche,
B. Causation Under the Controlled Substances Act
One testified dispute involves the standard of causation under the CSA. Under § 841(b) of the CSA, a defendant is subject to a sentencing enhancement “if death or
The First Circuit has held, “What is required under the death-enhancing statute is that the government prove cause-in-fact, that is, that the decedent’s death was caused in fact by his or her use of drugs that were distributed either by the defendant himself or by others in a conspiracy of which the defendant was a part.” United States v. De La Cruz,
i. Dr. Richard Callery
Dr. Callery concludes that methadone, combined with other narcotics, caused the death of the six victims listed in the indictment. While not challenging Dr. Callery’s qualifications
Fed.R.Evid. 401 states that relevant evidence is that which has “any tendency” to increase or decrease the probability of a fact “of consequence in determining the action.” Dr. Callery’s opinion that methadone contributed to the six deaths makes it more probable that the methadone distributed by defendants was the cause-in-fact of their deaths. Even under the § 841(b)
ii. Dr. Michael Baden
To prove that defendants’ distribution of methadone was the cause of the patients’ deaths, the government seeks to introduce the testimony of Dr. Michael M. Baden, a board certified forensic pathologist.
None of the experts disputes the basic scientific principles governing PMR: “Post-mortem drug redistribution refers to the processes by which the movement of drugs and other chemical poisons between tissues, organs, and body fluids takes place after death ...”
Dr. Baden relied on postmortem blood samples to determine the concentration of methadone in the alleged victims’ blood. The blood samples were taken at least one calendar day after death for all patients (Tr. 1-122-23)
Given the variability of postmortem blood concentrations, many scientists have counseled caution regarding the use of postmortem blood to determine a patient’s cause of death.
Both government and defense experts relied on a text authored by Randall C. Baselt
The government has presented reliable scientific literature to support its position that pathologists who examine the totality of the circumstances surrounding death may use postmortem drug concentrations in determining cause of death, as long as they account for the effects of PMR in their final analysis.
iii. The Six Deaths
To evaluate whether the amount of methadone in each patient’s blood was lethal, Dr. Baden compared the postmortem blood concentrations to other methadone deaths reported in literature to see if the levels were consistent. (Tr. 1-18, 87, 47, 89). Autopsies revealed the following amounts for the decedents: Campbell 780 ng/mL; Dunphy 470 ng/mL; Curley 400 ng/mL; Bartoloni 950 ng/mL; Poulack 639 ng/mL; Dillon 580 ng/mL. The deceased methadone blood concentrations all fell within both the lethal and therapeutic ranges reported by both Winek and Baselt.
While acknowledging that a doctor cannot determine the actual level of methadone at the time of death due to postmortem redistribution, Dr. Baden explained that based on these ranges and given the other evidence from the autopsy and witness statements, he could determine methadone intoxication was the cause of death. (Tr. 1-100-01, 112, 139, 167). Indeed, for four of the six deaths Dr. Baden testified that knowing only that methadone was present in the victims’ blood and not the specific concentration, he would still opine that the cause of death was methadone intoxication because of the other evidence surrounding the death. (Tr. 1-112, 136,139, 147,150-51,163). For Dillon and Curley’s deaths, he did rely on the relatively high levels of methadone in combination with other factors to make his final conclusion. (Tr. 1-153-54,158).
The defense argues that the overlap between the therapeutic and lethal levels of methadone precludes a reliable conclusion that methadone caused the deaths. It is true that the methadone concentrations of the decedents fall within both the therapeutic and lethal concentration ranges. For this reason, defendants argue it is faulty methodology to determine whether each of these victims had lethal or therapeutic levels of methadone in their blood. Dr. Baden acknowledged that all of the victims’ methadone levels could have been within a therapeutic range. (Tr. 1-136, 145, 149, 151, 155, 160). However, based on all the other factors present, he reasonably concluded methadone was the cause of death. (Tr. 1-1-136, 145-46, 149, 151,
Finally, defendants’ challenges regarding the location and timing of drawing the samples go to the weight of Dr. Baden’s opinion, but not its admissibility. See United States v. MacKay,
In sum, Dr. Baden has provided sufficiently reliable data to support his opinions that five of the six indicted deaths resulted from methadone intoxication. His methodology is consistent with the current scientific literature recommending that pathologists look to the totality of the circumstances together with postmortem drug concentrations to determine cause of death. The motion to exclude Dr. Baden’s opinion with respect to the deaths of Dillon, Campbell, Dunphy, Bartoloni, and Poulack is DENIED.
With respect to Curley’s death, Dr. Baden has used sufficiently reliable methodology and data to opine that Curley’s death was caused by a combination of methadone and oxycodone. He opined that evidence of pulmonary edema, (Tr. 1-68), unaccounted-for methadone and oxycodone pills, id., and the presence of methadone and oxycodone in the blood, (Tr. 1-159), lead to his conclusion. However, Dr. Baden’s testimony was less than clear as to whether methadone was the but-for cause of death, as opposed to the combination of methadone and oxycodone. (Tr. 1-159). Curley had 400 ng/mL of methadone, at the low end of the lethal range, and 339 ng/mL of oxycodone. Dr. Baden testified that he thought the methadone played a greater role because of the relatively lesser amount of oxycodone and fentanyl present in the bloodstream. (Tr. 1-157, 159-60). Dr. Baden’s opinion that methadone along with oxycodone caused Curley’s death may be legally sufficient if the Supreme Court decides that a “contributing cause” is sufficient to demonstrate “but for” causation under the CSA. The Court defers ruling on the motion to exclude the expert’s opinion regarding Curley’s death. The opinion may be supplemented within 30 days after the Bur-rage opinion is issued.
iv. Dr. Yale Caplan
Defendants challenge the government’s charge that methadone was the “but for” cause of the six indicted deaths through the testimony of Dr. Yale Caplan, a board-certified forensic toxicologist. His credentials as a forensic toxicologist are not chai
a. Chronic Cocaine Use
In four of the six deaths — Campbell, Dunphy, Bartoloni and Poulack — Dr. Caplan concluded that, to a reasonable degree of scientific certainty, chronic cocaine use was an independently sufficient cause of death. (Tr. 2-71, 73, 75-76, 82, 85, 91). Dr. Caplan described how the presence of benzoylecgonine (“BZE”), the cocaine metabolite, in these victims’ bloodstream indicated that cocaine had recently been ingested. (Campbell, 576 ng/mL of BZE; Dunphy, 321 ng/mL of BZE; Bartoloni, 936 ng/mL of BZE; Poulack, 1000 ng/mL of BZE.) None of the victims had the parent cocaine substance in their bloodstream. See Def. Mot. in Limine, Exhs. 17, 19, 22, 23. A person who dies from an acute cocaine intoxication will likely still have cocaine in his system, since the body has not had time to metabolize the drug. (Tr. 2-77, 79). Dr. Caplan explained that a person can die from chronic cocaine use without any cocaine in the bloodstream. (Tr. 2-77, 79).
Dr. Caplan explained that a chronic cocaine death would be accompanied by a number of heart changes or pathological evidence of cardiac distress. (Tr. 2-145, 167). Myocardial hypertrophy, which results in an enlarged heart, is one such pathological symptom of chronic cocaine toxicity leading to sudden death.
Significantly, Dr. Caplan agreed that methadone may have contributed to the four deaths, but in his view it was not the
Given the evidence of BZE and some indications of changes to the heart, there is sufficient data to support Dr. Caplan’s conclusion that chronic cocaine toxicity was an independently sufficient cause of death for Campbell, Dunphy, Bartoloni and Poulack. The motion to exclude Dr. Caplan’s testimony on this topic is DENIED.
b. Fentanyl
Dr. Caplan concluded that fentanyl was more likely to have caused Curley’s death than methadone, and that, to a reasonable degree of scientific certainty, fentanyl was an independently sufficient cause of death. (Tr. 2-60-61). He opined that Curley’s death was a multi-drug overdose. In support of his conclusion, Dr. Caplan noted that fentanyl is eighty times more potent than methadone or oxycodone. (Tr. 2-59-60). He also relied on the high fentanyl-to-norfentanyl ratio in Curley’s bloodstream. (Tr. 2-60). Norfentanyl is the metabolite breakdown prod
Given Dr. Caplan’s qualifications as a toxicologist, defendants have provided sufficiently reliable methodology and data to support Dr. Caplan’s conclusion that fentanyl intoxication was an independently sufficient cause of death for Curley. The motion to exclude Dr. Caplan’s testimony on this topic is DENIED.
c. Cardiovascular Disease
In the case of Mr. Dunphy, Dr. Caplan concluded that cardiovascular disease was an independently sufficient cause of death, in addition to chronic cocaine use. (Tr. 2-72). He stated that he relied upon the medical examiner’s diagnosis to make this determination. (Tr. 2-72). However, he provided no support beyond the medical examiner’s diagnosis for his own opinion that cardiovascular disease was independently sufficient to cause death. He presented no independent analysis.
Rule 703 allows an expert to rely on certain “facts or data” if “experts in the particular field would reasonably rely on those kinds of facts or data in forming an opinion on the subject.” Fed.R.Evid. 703. This rule allows experts to rely upon the opinions of other experts to form their own conclusions, if that is common practice in the field. United States v. McGhee,
Dr. Caplan testified that, in his experience, toxicologists regularly rely on the medical examiner’s diagnosis to determine “whether a drug or something else may have caused the death.” (Tr. 2-72-73). Thus, in rendering his opinion about cocaine, Dr. Caplan may properly rely on heart pathology reports to reach a conclusion that cocaine contributed to the cause
d. Sleep Apnea and Bipolar Disorder
Finally, Dr. Caplan concluded that sleep apnea and bipolar disorder were independently sufficient causes of death for Dennis Dillon, although he had no expertise in these medical areas. Dr. Caplan provided no evidence to support his conclusion that bipolar disorder was independently sufficient to cause death. The motion to exclude this opinion is ALLOWED. Similarly, Dr. Caplan provided little evidence to suggest why sleep apnea was independently sufficient to cause death. Dr. Caplan noted that when Dillon was found, he did not have his CPAC mask on. (Tr. 2-66). This device is used to help sleep apnea patients breath, and since Dillon was not wearing his sleep apnea mask, he was subject to lack of oxygen. (Tr. 2-66). However, Dr. Caplan provided no evidence to suggest that sleep apnea itself was the cause, and he admitted that few deaths are caused solely by sleep apnea. (Tr. 2-156). The motion to exclude Dr. Caplan from testifying that sleep apnea is an independently sufficient cause of death is ALLOWED.
C. Legitimate Medical Purpose in the Usual Course of Professional Practice
Government experts, Drs. Gerald Aronoff, Christopher Gilligan, and Edward Michna, analyzed patient files from defendants’ practice and concluded that they prescribed controlled substances for these patients without a legitimate medical purpose and outside the course of usual practice. While not challenging their qualifications, the defendants seek to exclude their opinions because 1) the sources cited by the government do not establish a medical standard for pain management; 2) the experts’ conclusions are based on nothing but their own say so; and 3) their opinions are based on unreliable data, particularly urine drug tests. The parties did not seek an evidentiary hearing.
Defendants seek to introduce the testimony of Drs. Carol Warfield
i. Determining the Standard of Medical Care
Under § 841 of the CSA, a medical practitioner with a DEA license may be convicted only if he intentionally prescribes a controlled substances for other than “a legitimate medical purpose in the usual course of professional practice.” See United States v. Moore,
Nonetheless, courts have held “that it is appropriate in [§ 841 cases] for the jury to consider the practitioner’s behavior against the benchmark of acceptable and accepted medical practice.” Id. Indeed, “only after assessing the standards to which medical professionals generally hold themselves is it possible to evaluate whether a practitioner’s conduct has deviated so far from the ‘usual course of professional practice’ that his actions become criminal.” Id. at 1007 (citing United States v. Moore,
Courts have upheld convictions where there was sufficient evidence of physician behavior that demonstrated prescription without legitimate medical purpose and outside the bounds of professional practice, including the following situations: United States v. Elder,
The Supreme Court “has allowed juries to assess the prevailing standards of care among medical professionals in cases involving the criminal prosecution of licensed practitioners.” Feingold,
The standard of acceptable medical care must ordinarily be established by expert testimony. See Lama v. Borras,
However, the opinion of an expert, no matter how qualified cannot simply be based on her say so. “[N]othing in either Daubert or the Federal Rules of Evidence requires a district court to admit opinion evidence that is connected to existing data only by the ipse dixit of the expert.” Gen. Elec. Co. v. Joiner,
ii. Standard of Medical Care for Pain Management
The government cites certain written standards establishing the standard of medical care in the area of pain management. Dr. Aronoff relies upon the Federation of State Medical Boards’ (“FSMB”) Model Policy for the Use of Controlled Substances for the Treatment of Pain (“Model Policy”). Drs. Gilligan and Michna rely upon both current and historical versions of “(1) the applicable labels and/or FDA warnings related to methadone products, oxycodone products (including Oxy-Contin), and fentanyl products (including Actiq); (2) the Commonwealth of Massachusetts Board of Registration in Medicine’s Prescribing Practices Policy and Guidelines, Policy 89-01 (“BOR Prescribing Practices Policy”); and (3) Responsible Opioid Prescribing by Scott Fishman, M.D.” (Def. Mot. in Limine, Exh. 5, 2). The defendants contend that these sources do not establish a medical standard of care.
The government highlights language from the BOR Prescribing Practices Policy demonstrating that the policy was meant to establish a standard of care for pain management physicians. The BOR Prescribing Practices Policy was adopted by the Commonwealth of Massachusetts Board of Registration in Medicine in August 1989. The goal of the policy is to inform “physicians as to the legal requirements upon them and the standards the Board applies in reviewing their prescribing practices.” Id. at 2. The policy lists several indications of when a physician is not prescribing medication for a legitimate medical purpose.
The government also relies on defendants’ own statements to demonstrate that a medical standard of care existed at the time of defendants’ treatment. In defending herself before the medical licensing board, defendant Pliner stated she and Dr. Zolot “understood that [they] had to ■ be vigilant in [their] work with patients in order to prevent possible abuse and diversion of controlled substances.” Gov’t Opp. Mot. in Limine, Exh. H at 5. Both defendants said they took certain precautions to guard against abuse and diversion of drugs, including random urine testing
Finally, the government relies on the book Responsible Opioid Prescribing by Dr. Fishman was published in 2007. (Def. Mot. in Limine, Exh. 38). The last charged death occurred in 2007. The contents of this book have not been disclosed to the Court. Without knowing what the book states, the Court has no basis for concluding whether the experts can reasonably rely on it for determining the standard of care for the years prior to its publication. The ruling on whether experts may rely upon Dr. Fishman’s book is deferred until the government provides evidence that the book reflects medical practices at the time of the treatment described in the indictment.
In response to the government’s position concerning the medical standard of care, defendants argue that there were no binding standards, requirements, or generally accepted practices for how to. treat patients with chronic pain at the time of defendants’ practice. Articles on the subject of pain management note that the “norms of drug taking and the epidemiology of aberrant drug-taking behavior have not been clearly established. Therefore, clinicians generally lack information to guide assessment of the severity of aberrant clinical occurrences.”
The government properly objects to the opinions of Drs. Warfield and MeCarberg
a. Drs. Gilligan
The government relies on its Rule 16 disclosures of Dr. Michna’s and Dr. Gilligan’s testimony as the bases for the reliability of their opinions. Defendants argue these disclosures are deficient. The disclosures provide summaries of the doctors’ expected testimony. Dr. Gilligan reviewed thirty patient files and Dr. Michna reviewed sixteen different patient files. For each patient, the summaries state at the outset that both doctors will testify that the defendants’ prescription of controlled substances to the patient was “outside the usual course of practice.”
Missing from the summaries is sufficient explanation as to the standard of care which should be applied for the treatment of pain when there is problematic behavior by patients. Some of the patient behavior described in these expert disclosures, such as seeking early refills, claiming medication was lost or stolen, and obtaining drugs from other sources, are indicators of “problematic opioid use” described in the BOR Prescribing Practices Policy. See BOR Prescribing Practices Policy at 38. However, the experts do not refer to specific standards in the BOR, or the other sources generally cited by the government, or even provide testimony themselves about accepted medical practice for responding to specific patient behavior. For example, with respect to one patient file, Dr. Gilligan observes that on April 6, 2004, he tested positive for cocaine, positive for methadone which he had not been prescribed, and negative for the oxycodone he was prescribed. On April 12, 2004, he again tested positive for cocaine. In June of 2004, Dr. Zolot notes these two positive cocaine tests and responds by taking the patient off of OxyContin and prescribing methadone. Based on these drug tests, Dr. Gilligan concludes that Zolot violated the standard of medical care by prescribing methadone. However, Dr. Gilligan does not provide testimony regarding the applicable standard of care that should be followed in pain management when a patient has positive drug tests for cocaine.
After reading Dr. Michna’s and Dr. Gilligan’s summaries, the Court concludes they do not sufficiently articulate the standard of care they are applying to assess defendants’ conduct as out of the course of usual practice in responding to the specific patients with problem behavior. They must specifically cite the written standard they are relying on or provide testimony as to the accepted standard in the field. The motion to exclude the opinions of Dr. Michna and Dr. Gilligan is ALLOWED without prejudice because the standard of care relied upon is not always clear.
b. Dr. Gerald Aronoff
Dr. Aronoff reviewed twenty-five patient files and did a better job in detailing the patient’s history and specifying why the defendants’ treatment was deficient, without legitimate medical purpose, and outside the usual course of practice for twenty-two patients. In a conclusion section, he states how defendants’ behavior specifically violated the FSMB Model Poli
This opinion is reliable because it applies the medical standard identified to the evidence elicited from defendants’ patient files. The motion to exclude the opinion of Dr. Aronoff is therefore DENIED.
iii. Urine Drug Tests
Finally, defendants challenge the government’s expert opinions to the extent they rely on the results of urine drug tests (“UDTs”) because the results of such tests were unreliable for making clinical determinations during the relevant time period. At the time of defendants’ actions, the results of UDTs had limitations. UDTs could not provide information on specific drug dosage or frequency of use.
Nonetheless, the scientific literature submitted by the defendants demonstrates that, while UDTs had limitations, when used properly in conjunction with other clinical information, they were useful in determining whether a patient is misusing, abusing, or diverting drugs.
The motion to exclude Dr. Aronoff s testimony is DENIED. The motion to exclude Dr. Michna’s and Dr. Gilligan’s testimony is ALLOWED without prejudice to supplementation.
IV. ORDER
The Motion to Exclude Expert Opinion Regarding Causation (Docket No. 125) is ALLOWED IN PART AND DENIED IN PART. The Motion to Exclude Expert Opinion Regarding Medical Practice (Docket No. 123) is ALLOWED IN PART and DENIED IN PART. The Motion to Preclude Expert Testimony at Trial (Docket No. 122) is ALLOWED IN PART and DENIED IN PART. Any supplementation regarding the cause of death shall be filed within 30 days of the Supreme Court opinion issued in Burrage v. United States, — U.S.—,
Notes
. The deaths charged in the indictment are: Dennis Dillon, Jeffrey Campbell, Thomas Dunphy, James Curley, Christopher Bartoloni, and Scot Poulack.
. Dr. Richard Callery has been the Chief Medical Examiner for the State of Delaware since 1994. He is also the Director of the Forensic Sciences Laboratory. He is in charge of approximately 3,000 death investigations and 1,000 postmortem toxicology cases each year. Dr. Callery received his undergraduate degree from the University of Massachusetts, his MD from the American University of the Carribean, and completed a pathology internship at Tufts New England Medical Center.
.Dr. Baden is a board-certified forensic pathologist, who was the Chief Forensic Pathologist for the New York State Police from 1985 .until 2011. Prior to that he served in the Office of the Chief Medical Examiner in New York City in various roles. He has also served as President of the Society of Medical Jurisprudence and Vice President of the American Academy of Forensic Sciences. Dr. Baden was the chairperson of the Forensic Pathology Panel of the United States Congress Select Committee on Assassinations that investigated the deaths of John F. Kennedy and Dr. Martin Luther King, Jr. He has held numerous teaching positions and has been published in many national and international medical journals. Several of his published articles specifically analyze methadone-related deaths. Dr. Baden testified that he has performed more than 20,000 autopsies himself over the course of 50 years. He has supervised autopsies many times that number. He has also investigated 1,000 to 2,000 drug overdose cases. Dr. Baden has testified in hundreds of other trials, notably the O.J. Simpson trial and the John Belushi trial.
. D.S. Cook, R.A. Braithwaite, K.A. Hale, Estimating antemortem drug concentrations from postmortem blood samples: the influence of postmortem redistribution, 282 (J. Clin. Pathol. 2000; 53:282-285).
. Id.
. Anne-Laure Pelissier-Alicot, Jean-Michael Gaulier, Pierre Champsaur and Pierre Marquet, Mechanisms Underlying Postmortem Redistribution of Drugs: A Review, 533 (Journal of Analytical Toxicology, Vol. 27, Nov./Dec. 2003).
. See Dimitiri Gerostamoulos, Jochen Beyer, Voula Staikos, Penny Taylor, Noel Woodford, Olaf H. Drummer, The Effect of the Postmortem Interval on the Redistribution of Drugs: a Comparison of Mortuary Admission and Autopsy Blood Specimens, 5 (Forensic Sci. Med. Pathol. May 22, 2012) (Concentrations of methadone "increase significantly after death.”).
. See Cook, supra note 4, at 282 ("[P]ostmortem cardiac blood concentrations were significantly higher than antemortem blood concentrations.”); Richard W.Prouty & William H. Anderson, The Forensic Science Implications of Site and Temporal Influences on Postmortem Blood-Drug Concentrations, 245 (Journal of Forensic Sciences, JFSCA, Vol. 35, No. 2, March 1990) ("[I]n general, the femoral bloods were lower in concentration than that of the heart and subclavian specimens.").
. Gerostamoulos, supra note 7, at 1.
. Transcript notations for the Daubert hearings on May 28, 2013 and May 30, 2013 are indicated as follows: the first number indicates whether the transcript is from Day One or Day Two of the hearings; the second number indicates the page number or ranges.
. See Cooke, supra note 4 at 282 ("If the interval between sampling and death is [four hours], or greater, then considerable overestimation of drug concentration at death will result.”).
. See C.M. Milroy, A.R.W. Forrest, Methadone deaths: a toxicological analysis, 277 (J. Clin. Pathol. 2000; 53:277-281) ("A degree of caution must be exercised in determining fatal concentration because of the phenomenon of postmortem redistribution.”); R.E. Ferner, Post-mortem clinical pharmacology, 440 (British Journal of Clinical Pharmacology, 66:4/430-443, 2008) ("[Qoncentrations measured after death cannot generally be interpreted to yield concentrations present before death.”); United States Department of Health and Human Services, Methadone-Associated Mortality: Report of a National Assessment, SAMHSA Publication No. 04-3904, Substance Abuse Treatment, Substance Abuse and Mental Health Services Administration, 12 (2004) (“It is important to note that postmortem blood concentrations of methadone do not appear to reliably distinguish between individuals who have died from methadone toxicity and those in whom the presence of methadone is purely coincidental.”); Cook, supra note 4, at 284 (“[A] high degree of error can arise from attempting to predict antemortem concentrations from postmortem concentrations ....”); Steven B. Karch, Boyd G. Stephens, Toxicology and pathology of deaths related to methadone: retrospective review, 13 (West J. Med.2000; 172:11-14) ("The presence of methadone is often an incidental finding during postmortem examination which is unrelated to the cause of death.”).
.See Ferner, supra note 12, at 431 (“[A] positive result from a qualitative test for the presence of a poisonous substance is not sufficient of itself to establish that the poison caused death ____”) (emphasis added); Michael C. Letsky, Ross E. Zumwalt, Steven A. Seifert, and Blaine E. Benson, Cause of Death Conundrum With Methadone Use, 193 (Am. J. Forensic Meth. Pathol., Vol. 32, No. 2, June 2011) ("The cause of death cannot be solely based on drug concentrations and it may not be possible to come to a conclusion as to the 'the' cause of death and the forensic pathologist must be content with ‘a’ cause of death.”) (emphasis added); Karch, supra note 11, at 12 ("Postmortem measurements of methadone or its metabolite, or both, cannot be used in isolation to identify which deaths are associated with methadone toxicity.”) (emphasis added).
. Prouty, supra note 8, at 244. See also id. at 268 ("It is not the authors' intent to imply that heart blood concentrations are of no probative value in postmortem investigations, for they are of significant value.”)
. Randall C. Baselt, Disposition of Toxic Drugs and Chemicals in Man 1021-1025 (9th ed.).
. Id. at 1023 (reporting on four studies that showed lethal methadone blood concentrations of 0.06-3.1 mg/L and 0.18-4.0 mg/L and with average methadone concentrations of 0.28 mg/L, 0.7 mg/L, and 1.3 mg/L, in contrast to non-methadone related deaths which had methadone blood concentrations of 0.03-0.56 mg/L and 0.18-3.0 mg/L with average methadone concentrations of 0.11 mg/L, 0.64 mg/L, and 1.1 mg/L).
.Dr. Winek calculated the lethal, toxic, and therapeutic ranges in g/mL. All of the autopsy and toxicology reports discussed by the experts were calculated in ng/mL. As Dr. Caplan noted in his testimony, g/mL can be converted to ng/mL by multiplying the values by one thousand. (Tr. 2-184-85). For ease of comparison to the current case, both the g/mL printed by Dr. Winek and a conversion to ng/mL based on Dr. Caplan's testimony has been provided.
Therapeutic or Normal_Toxic_Lethal_ _0.075-1.10 p.g/mL_0.2-2.0 pg/mL_0.4-1.8 iig/mL
_75-1100 ng/mL_200-2000 ng/mL_400-1800 ng/mL
.See Milroy, supra note 12, at 281 ("[T]he pathologist has the advantage of examining the whole body, and can interpret the toxicological findings in context.”); Letsky, supra note 13, at 195 ("This case emphasizes the well established principal [sic] in forensic pathology that determining the cause of death cannot be solely based on a laboratory analysis of drug concentrations. In particular, postmortem blood methadone concentrations must be integrated in context of decedent’s
.Most recently, Dr. Caplan served as the Laboratory Director at the Parole and Probation Division of Maryland’s Public Safety and Correctional Services, until last year when the laboratory closed. Prior to that he worked at Quest Diagnostics Incorporated from 1988— 1999 in various roles, including Director of Forensic Toxicology. Dr. Caplan worked for over 20 years in the Maryland Medical Examiner’s office, eventually serving as Chief Toxicologist. He also served as president of the American Board of Forensic Toxicology.
. See, e.g., Steven B. Karch, Cocaine Cardiovascular Toxicity, Southern Medical Association (2005).
. See Erin A. Kolbrich, et al., Major and Minor Metabolites of Cocaine in Human Plasma following Controlled Subcutaneous Cocaine Administration, 501 Journal of Analystical Toxicology, Vol. 30 (Oct. 2006); see also Karch, supra note 20 ("[B]lood cocaine concentration is not a valid indicator of toxicity ....”).
.Id. at 795.
. Opiates, such as morphine, heroin, or oxycodone, are drugs derived from poppy seeds. Opioids, such as methadone and fentanyl, are synthetic drugs made in a laboratory. (Tr. 1-35). As these distinctions do not affect any legal determinations, for the purposes of this opinion, the Court will use these terms interchangeably. E.g., opiate-tolerant vs. opioid-tolerant.
. Jonathan J. Lipman, The Methadone Poisoning Epidemic, The Forensic Examiner, 7 (“Tolerance is defined as a reduced response to one or more effects of a drug after repeated administration. ”).
. 2006 FDA Warnings Methadone Tablets, Gov’t Resp. to Caplan Aff., Exh 1 at 4 (“Patients tolerant to other opioids may be completely intolerant to methadone____ Deaths have been reported during conversion from chronic, high-dose treatment with other opioid agonists.... A high degree of "opioid tolerance” does not eliminate the possibility of methadone overdose.”); Lipman, supra note 24, at 7 ("In the case of methadone, tolerance development is incomplete ....”); Lynn R. Webster, Maximizing Safety with Methadone and Other Opioids, Pain Treatment Topics, 3 (July 2007) (“cross-tolerance is incomplete even for individuals currently prescribed high doses of other opioids”).
.Bill H. McCarberg, et al., The Safe and Effective Use of Methadone in Primary Care, Medscape Education Neurology & Neurosurgery, 7 (2011) (“The thing about methadone I would want primary care doctors to understand more than anything is that hurting someone on methadone is very counterintuitive. It’s exactly the person you think you can’t hurt, the opioid-tolerant patient, because methadone is sometimes upwards of 80% more potent in an opioid-tolerant patient than it is in an opioidnaive patient.”).
. See also Member Services, Inc. v. Sec. Mut. Life Ins. Co. of New York,
. See Karch, supra note 20 (cataloguing pathological changes to heart to be considered alongside cocaine toxicology in assessing cocaine-related deaths).
. Dr. Carol Warfield is a full Professor at Harvard Medical School. Dr. Warfield educates physicians currently serving fellowships in pain medicine. She also periodically teaches undergraduates at Harvard Medical School and anesthesia residents. Dr. War-field is board certified in Anesthesia and Pain Medicine. She has two undergraduate degrees, one in math from. Jackson College and a Bachelor of Science degree in mechanical engineering from Tufts University. She attended medical school at Tufts University and received her MD in 1976. Dr. Warfield is a practicing physician at Beth Israel Deaconess Medical Center and started the pain center there in 1980. She served as its Director of Pain Management and Vice Chairman of the Department for Pain Medicine for about 20 years, at which time she became Chairman of the anesthesia department. She has written more than 100 articles and 4 books on pain management, including the Manual of Pain Management.
.Dr. McCarberg is the Founder of the Chronic Pain Management Program for Kaiser Permanente in San Diego, California. Dr. McCarberg received his MD from Northwestern University Medical School. He is on the
. The indications listed by the BOR Prescribing Practices Policy includes:
a) Failure to follow at least minimum professional procedures ...; b) The physician permitting the patient to name the drug he desires; c) The physician expressing concern during a patient encounter as to how and where a prescription would be filled in a manner that does not indicate a good faith concern for his patient; d) Repeated refills over relatively short periods; e) General remarks of the physician indicating his or her experience with non-therapeutic uses of the drug and of drug enforcement actions and procedures; f) Failure to schedule appropriate additional appointments for return visits and other factors indicating a lack of interest in follow-up care; and g) Conversations and other circumstances that demonstrate that the physician knew that the drugs were not to be used for a therapeutic or medical purpose.
. Gov’t Opp. Mot. in Limine, Exh. H at 5.
. Dr. Zolot's Medical Peer Review Hr’g, Gov’t Opp. Mot. in. Limine, Exh. I, at 44.
. Id.
. S.D. Passik et al., Pain clinicians' ranking of aberrant drug taking behavior, 17 J. Pain & Palliative Care Pharmacotheraphy 39, 41 (2002). See also Edward Michna, et ah, Urine Toxicology Screening Among Chronic Pain Patients on Opioid Therapy: Frequency and Predictability of Abnormal Findings, 23 Cin. J. Pain 2 173, 177 (Feb. 2007) ("If it has been determined that a patient misused their opioids, current literature, unfortunately provides few treatment guidelines which are based on empirical evidence. This is a largely unexplored research area in opioid treatment, but a few general management principles do apply.”).
. To the extent the defendants have not identified the 1400 files reviewed by Drs. Warfield and McCarberg, the defendants must disclose the identity of those files to the government forthwith. See Gov’t Mot. in Limine at 7.
. Dr. Gilligan is currently the Director for the Center for Pain Medicine at Massachusetts General Hospital (“MGH”). He received his MD from Yale Medical School and an MBA from Harvard Business School. He completed a postdoctoral fellowship in Pain Medicine at MGH and is currently the Director of Clinical Trials for MGH’s pain management division. Dr. Gilligan has written numerous peer-reviewed publications, has given several presentations on pain management, including topics on methadone treatment, and is also an instructor in anaesthesia at Harvard Medical School. Defendants do not challenge Dr. Gilligan's qualifications.
. Dr. Michna is a practicing anesthesiologist at the Pain Management Center at Brigham and Women Hospital and a clinical staff physician at the Dana-Farber Cancer Institute. He received a law degree from Seton Hall University and a medical degree from New Jersey Medical School. Dr. Michna is currently an assistant professor of anaesthesia at Harvard Medical School. He has given dozens of presentations and written numerous articles on pain management, including presentations on opioid treatment and prescriptions. Defendants do not challenge Dr. Michna’s qualifications.
. After reviewing the file of David Brown, Dr. Gilligan did not find that defendants acted without legitimate purpose or outside the course of usual practice. (Def. Mot. in Li-mine, Exhs. 1, 6).
. The defendants also challenged Dr. Gilligan’s and Dr. Michna’s opinions regarding the general prescribing practices of Dr. Zolot and Nurse Pliner because the sample size of files reviewed was too small and unrepresentative of the entire clinic practice. The government has represented that Drs. Gilligan and Michna will not testify as to the general prescribing practices in Dr. Zolot’s clinic and will confine themselves to the actions described in those files actually reviewed. Accordingly, the Court does not address this argument.
. The Court did not receive a curriculum vitae for Dr. Aronoff. However, based on disclosures, Dr. Gerald Aronoff is a diplómate of the American Board of Pain Medicine and the American Board of Psychiatry and Neurology. He is also certified with the American Board of Forensic Medicine, the American Academy of Disability Evaluating Physicians, and the American Board of Independent Medical Examiners. Defendants do not challenge Dr. Aronoff’s qualifications.
. Douglas L. Gourlay, Howard A. Heit, and Yale H. Caplan, Urine Drug Testing in Clinical Practice: Dispelling the Myths & Designing Strategies, 12 (Ed. 3 2006) ("[A] UDT cannot indicate the amount of drug taken, when the last dose was administered, or the source of the drug.”) [hereinafter Yale H. Caplan, Urine Drug Testing in Clinical Practice ].
. Stephen George and Robin A. Braithwaite, Use of On-Site Testing for Drugs of Abuse, Clinical Chemistry 48:10, 1639-1646, at 1639 (2002) ("On-site testing for drugs of abuse ... may yield false-positive or -negative results.”).
. Forest Tennant, Urine and Blood Tests: Why and When to Use Each Test■ in Pain Treatment, Practical Pain Management, 18-26, at 18 (June 2007) ("On-site testing will not detect low levels of drugs. Consequently, a negative test may not necessarily mean noncompliance.”).
. George, supra note 43, at 1639 ("[UDTs] need to be used with caution because a rapid but unconfirmed result may lead to misdiagnosis and inappropriate treatment .... ”).
. George, supra note 43, at 1639 (On-site testing for drugs of abuse "provide only initial screening data ....”); Tennant, supra note 44, at 18 ("Final clinical decisions on drug abuse or non-compliance should not solely be made by on-site testing. On-site testing should be viewed as a preliminary screen and not a definitive test.”); Yale H. Caplan, Urine Drug Testing in Clinical Practice, supra note 42, at 9, 11 (UDT testing "in isolation is often inadequate in a clinical practice .... Healthcare professionals should use UDT results in conjunction with other clinical information ....”).
. George, supra note 43, at 1643 ("There are several situations where [UDTs] could be required, such as immediate clinical challenges of alleged or supposed drug abuse .... ”); Yale H. Caplan, Urine Drug Testing in Clinical Practice, supra note 42, at 5 ("Appropriate use of [UDTs] may improve adherence monitoring of healthcare professionals and offer greater protection from drug misuse/addiction and diversion/trafficking----A UDT can aid the healthcare professional to diagnose or disprove misuse of or addiction to illicit or non-
. Yale H. Caplan, Urine Drug Testing in Clinical Practice, supra note 42 at 7, 17 ("[R]outine screening for a history of misuse or addiction in all patients is appropriate before prescribing any medication, especially a controlled substance.... [UDTs] can be a simple and effective tool for healthcare professionals in the assessment and ongoing management of patients who will be, or are being, treated over the long term with opiods____”); Tennant, supra note 44, at 18 ("It is highly recommended that [UDTs] be used in all new patients before opioids and other controlled substances are prescribed.”).
