          IN THE SUPREME COURT OF THE STATE OF DELAWARE

DELAWARE BOARD OF MEDICAL §
LICENSURE AND DISCIPLINE, §
                          §                          No. 53, 2019
     Appellee Below,      §
     Appellant,           §                          Court Below: Superior Court
                          §                          of the State of Delaware
          v.              §
                          §                          C.A. No. N16A-11-001
BRUCE GROSSINGER, D.O.,   §
                          §
     Appellant Below,     §
     Appellee.            §


                              Submitted: October 23, 2019
                              Decided:   January 8, 2020


Before SEITZ, Chief Justice; VALIHURA, VAUGHN, and TRAYNOR, Justices;
RYAN, Judge,* constituting the Court en Banc.


Upon appeal from the Superior Court of the State of Delaware. REVERSED IN
PART.

Patricia A. Davis, Esquire (argued), and Zoe Plerhoples, Esquire, Department of
Justice, Wilmington, Delaware, Counsel for Appellant.
Paul A. Logan, Esquire (argued), Post & Schell, P.C. Wilmington, Delaware; James
J. Kutz, Esquire, Harrisburg, Pennsylvania, Counsel for Appellee.




* Sitting by designation under Del. Const. art. IV § 12.
TRAYNOR, Justice:

       The Delaware Board of Medical Licensure and Discipline (the “Board”)

reprimanded Dr. Bruce Grossinger (“Dr. Grossinger”),1 a physician, for violating

various regulations governing the use of controlled substances for the treatment of

pain. In particular, the Board adopted the detailed report and recommendation of a

Division of Professional Regulation hearing officer, who had found that Dr.

Grossinger, in his care of a heroin-addicted patient (“Michael”), had not complied

with the Board’s rules and regulations. Specifically, the Board found that Dr.

Grossinger failed to, among other things, document Michael’s history of substance

abuse, discuss with Michael the risks and benefits of treatment with controlled

substances, order urine samples or require pill counts, and keep accurate and

complete treatment records.2

       After conducting a two-day evidentiary hearing, the hearing officer

recommended that the Board find Dr. Grossinger guilty of unprofessional conduct

and discipline him by placing his medical license on probation for six months and

requiring him to complete additional medical education and pay a $2000 fine.3 The



1
  Although there are two doctors named Grossinger involved in this case, this opinion will only
refer to Appellee Dr. Bruce Grossinger as “Dr. Grossinger.” References to Dr. Steven Grossinger
will always include his first name.
2
  See Ex. A to Opening Br. at 4 n.6.
3
  App. to Opening Br. at A347–48 (hereinafter “A___”). The hearing officer also found that Dr.
Grossinger’s partners at GNS violated the Board’s regulations and recommended discipline. The
Board agreed, but only Dr. Grossinger has appealed the Board’s order.
                                              2
Board adopted the hearing officer’s findings but reduced Dr. Grossinger’s discipline

from probation to a letter of reprimand.

         Dr. Grossinger appealed the Board’s decision to the Superior Court, which

reversed on all but one of the five findings. The Superior Court’s reversal of the

Board rested on several legal conclusions, including that some of the regulations that

Dr. Grossinger was said to have violated were unconstitutionally vague as applied

to him, that expert testimony was required to establish the standard of care under the

regulations, and that Dr. Grossinger’s due process rights were violated because the

Board relied on evidence—its own expertise—outside the record. The parties cross-

appealed. The Board appeals the Superior Court’s reversal of all but one of the

findings, and Dr. Bruce Grossinger appeals the Superior Court’s failure to reverse

the final finding. We disagree with the Superior Court’s reversal of the Board’s

decision and, therefore, we reverse.

                                       I. FACTS

         The factual record before the Board was developed at an evidentiary hearing

conducted by the hearing officer. Under the statute governing such hearings, the

Board was bound by the officer’s factual findings.4 The hearing officer heard




4
    A365; 29 Del C. § 8735(v)(1)(d).
                                           3
testimony of five witnesses, including Dr. Grossinger, his two partners who were

charged with the same violations, and an expert called to testify on their behalf.

       As the following treatment history shows, the last few years of Michael’s life,

which came to a tragic end on December 12, 2014 as a result of a heroin overdose,

were marked by pain and addiction. Although Michael died while under the care of

Grossinger Neuropain Specialists (“GNS”), the medical practice with which Dr.

Grossinger is associated, it is important to emphasize here that the Board did not

charge Dr. Grossinger or his partners with causing Michael’s death. Michael’s death

did, however, provide the impetus for his grieving mother’s complaint to the

Division of Professional Regulation and the resulting investigation and disciplinary

proceeding. We will therefore begin our discussion with a rudimentary history of

Michael’s pain-management treatment and its inter-relationship with his opiate

addiction.

       A.     Michael’s medical history

       Michael had been in two or three motor vehicle accidents: one in 2008 and

one in either 2010 or 2011.5 After the 2008 collision, Michael sought treatment for

his accident-related pain with Dr. Ross Ufberg. 6 After the second accident, Michael


5
  The record is unclear as to whether Michael was involved in two or three accidents between 2008
and 2011. A318. Dr. Steven Grossinger noted in his initial report, written the day Michael
presented to GNS, that Michael had been in an accident in 2008 and 2011. A157. In his July 11
report, however, Dr. Steven Grossinger only mentions a collision in 2008 and on April 1, 2010.
A216.
6
  A215; A319.
                                               4
continued to see Dr. Ufberg, who prescribed Lyrica and Oxycodone.7 Lyrica is not

an opiate, but Oxycodone is. 8 In March 2011, Dr. Ufberg discharged Michael “due

to inconsistencies in his urine drug screen.” 9

       Shortly thereafter, Michael again sought treatment for pain, this time with Dr.

Damon Cary.10 Dr. Cary prescribed Roxicodone and MS Contin, 11 both of which

are opiates. 12 Michael continued to follow-up with Dr. Cary through July 17, 2012.13

       At some point during his pain treatment, Michael became addicted to

opiates—specifically, heroin. In December of 2013, Michael sought treatment for

his addiction with Dr. Irwin L. Lifrak, who prescribed Suboxone “to assist in

[Michael’s] detoxication from opioids, such as heroin, Percocet, oxycontin,

oxycodone[,] or hydrocodone.”14 Suboxone is the brand name for a combination of

buphrenorphine, an opiate, and naloxone, an opiate antagonist.15 Its only use is for



7
  A216; A319.
8
  Is Lyrica a Narcotic?, HEALTHLINE, https://www.healthline.com/health/is-lyrica-a-narcotic (last
visited      Nov.       11,    2019);        Oxycodone      HCL       Solution,       WEBMD,
https://www.webmd.com/drugs/2/drug-1025-5278/oxycodone-oral/oxycodone-oral/details (last
visited Nov. 11, 2019).
9
  A216; A319.
10
   A216; A319.
11
   A216; A319.
12
   MS Contin, WEBMD, https://www.webmd.com/drugs/2/drug-1507/ms-contin-oral/details (last
visited Nov. 11, 2019). Roxicodone is simply another name for Oxycodone. Roxicodone,
WEBMD, https://www.webmd.com/drugs/2/drug-3499/roxicodone-oral/details (last visited Nov.
11, 2019).
13
   A217.
14
   A263–264; A320.
15
   Opioid Overdose Reversal with Naloxone (Narcan, Evzio), NATIONAL INSTITUTE ON DRUG
ABUSE (Apr. 2018), https://www.drugabuse.gov/related-topics/opioid-overdose-reversal-
                                               5
treating opiate addictions—it is not used to treat pain.16 Michael’s treatment with

Dr. Lifrak abruptly ended after one month, on January 14, 2014, when Michael tested

positive for heroin, as a result of which he was discharged from Dr. Lifrak’s care.17

       B.     Michael presents to GNS

       Two weeks later, on January 29, 2014, Michael presented to GNS, a medical

practice located in Wilmington that specializes in pain treatment.18 GNS has three

principals: Dr. Steven Grossinger, Dr. Grossinger (the Appellee), and Dr. Jason

Brajer.19 Dr. Allen Silberman also works with GNS, and his name appears on GNS’s

letterhead, but he is considered an “independent psychologist.” 20 Dr. Silberman

performs psychosocial studies and evaluates pain status for GNS patients—a service

he also provides to Dr. Lifrak. 21

       When Michael presented to GNS, he signed a pain-management agreement,

which provided that: (a) he would comply with “any random drug test” that GNS

physicians felt was necessary, and (b) if he broke the agreement, GNS “will stop

prescribing” pain-control medicines and “will discharge [him] from the practice.”22




naloxone-narcan-evzio;       Suboxone,         DRUGS.COM       (Nov.        4,   2019),
https://www.drugs.com/suboxone.html.
16
   Suboxone, DRUGS.COM (Nov. 4, 2019), https://www.drugs.com/suboxone.html.
17
   A270; A321.
18
   A12; A157–158; A322.
19
   A322.
20
   A322
21
   A322.
22
   A170 (emphasis added); A324.
                                            6
That same day, two doctors, Dr. Steven Grossinger and Dr. Silberman, evaluated

him and produced written reports regarding their evaluation.23

       Dr. Silberman’s report provided details about Michael’s recent care. Among

other things, it noted that Michael “suffers an opiate addiction that started five years

ago as the result of Oxycodone and Morphine prescriptions from his physician” and

that Michael was treating with Dr. Lifrak, “who also manages his Suboxone[,] which

is used for opiate dependence.”24

       Dr. Steven Grossinger’s report took the form of a letter to Michael’s primary

care doctor and described the results of Michael’s examination, which consisted of

an MRI,25 an EMG,26 and nerve-conduction studies.27 In this report, Dr. Steven

Grossinger noted that Michael had “not had treatment of his pain over the last year”

but “had gotten Suboxone last month though it was not refilled.” 28 The report did

not, however, mention why Michael was taking Suboxone.29 When questioned



23
   A157–158 (emphasis added); A165–166 (emphasis added); A322.
24
   A165.
25
   MRI stands for “magnetic resonance imaging,” which “is a medical imaging technique that uses
a magnetic field and computer-generated radio waves to create detailed images of the organs and
tissues in [the] body.”            MRI, Mayo Clinic, https://www.mayoclinic.org/tests-
procedures/mri/about/pac-20384768 (last visited Dec. 3, 2019).
26
   A326; A110. EMG stands for “electromyography,” which “is a diagnostic procedure to assess
the health of muscles and the nerve cells that control them (motor neurons). EMG results can
reveal nerve dysfunction, muscle dysfunction or problems with nerve-to-muscle signal
transmission.”           Electromyography        (EMG),        https://www.mayoclinic.org/tests-
procedures/emg/about/pac-20393913 (last visited Dec. 3, 2019).
27
   A22; A157.
28
   A158; A324.
29
   A15; A157–58.
                                               7
about Michael’s Suboxone treatment, Dr. Steven Grossinger testified that he only

found out about Michael’s heroin addiction a few days prior to testifying.30

Accordingly, the hearing officer found that Dr. Steven Grossinger “did not know

why Michael was treating with Dr. Lifrak with Suboxone,” which strongly suggests

that Dr. Steven Grossinger did not read Dr. Silberman’s report.31

      Dr. Steven Grossinger also testified, and the hearing officer found, that he did

not obtain Michael’s medical records from either Dr. Lifrak or Dr. Cary; therefore,

he was ignorant of whether Michael had been compliant with Dr. Lifrak or Dr.

Cary’s treatment.32 Nor did Dr. Steven Grossinger obtain Michael’s medical records

from Michael’s primary care physician, Dr. Yezdani, who had referred Michael to

GNS.33 Dr. Yezdani’s records indicated that he had been prescribing Alprazolam

and Xanax for Michael—prescriptions that Dr. Steven Grossinger conceded he

would consider in treating Michael due to the “potential ill effects of multiple

medications.”34

      C.    Michael’s Treatment at GNS

      The record shows that Dr. Brajer and Dr. Steven Grossinger, but not Dr.

Grossinger, met with Michael to treat his pain several times between his initial



30
   A17.
31
   A293.
32
   A18–20; A294–295
33
   A22; A295.
34
   A22; A295
                                          8
presentation and his death on December 12, 2014. 35 Initially, Michael presented for

treatment about once per month and was prescribed oral medications including

opiates, such as Hydrocodone and Morphine Sulfate, during that time.36 Notably,

however, a June 18, 2014 appointment with Dr. Brajer, at which a urine drug screen

was to be conducted—the first such screen scheduled during the five months

Michael had been, at that point, under GNS’s care—was cancelled due to a “lapse

in insurance.”37 After this missed urine drug screen, Dr. Grossinger, who had never

previously met Michael, refilled Michael’s prescriptions for Hydrocodone and

Morphine Sulfate on three separate occasions.38

       A follow-up visit was scheduled for July 30, 2014. Michael showed up for

this visit, during which Dr. Brajer increased Michael’s Hydrocodone dosage, but his

scheduled injection was cancelled because his insurance carrier denied coverage. 39

The missed urine drug screen from June 18 was not performed at this follow-up

visit.40




35
   A171–A222; A271; A325–326. Although Dr. Grossinger never met with Michael, the hearing
officer noted that Dr. Grossinger’s “involvement with Michael’s treatment consisted in
writing . . . and . . . refill[ing] prescriptions for Michael.” A326.
36
   A33, A325. Hydrocodone is also an opiate-based medication. A33.
37
   A43–44; A325.
38
   A107–08; A326.
39
   A287.
40
   A43–45; A326.
                                           9
      Michael then cancelled his next appointment, scheduled for September 3,

claiming illness.41 Despite the outstanding urine drug screen and the recently missed

appointment, Dr. Grossinger refilled Michael’s Hydrocodone and Morphine Sulfate

prescriptions again. 42   Michael then canceled another appointment, which was

scheduled for October 27.43     On November 12, Dr. Grossinger again refilled

Michael’s prescriptions, even though Michael’s treatment record as of that date

showed that the June urine screen had not been rescheduled and that Michael had

recently missed or cancelled two appointments. The doctor noted, however, that any

further refills were contingent upon making—and keeping—an appointment at the

GNS offices.44

      Michael showed up to his next appointment on December 8, when he was seen

by Dr. Steven Grossinger, and provided a urine sample for screening. 45          On

December 12, 2014, Michael passed away from a heroin overdose.46 GNS, unaware

of his death, discharged Michael as a patient on December 14, 2014, because the

urine sample “was abnormal which is indicative of Heroin metabolite.” 47




41
   A326.
42
   A326.
43
   A326.
44
   A87; A326.
45
   A326.
46
   A271; A327.
47
   A50–51; A327.
                                         10
          D.     Board Proceedings.

          After Michael’s death, in response to a complaint his mother filed with the

Division of Professional Regulation against GNS and its three physicians, the State

investigated and filed separate formal complaints against Dr. Brajer, Dr. Steven

Grossinger, and Dr. Grossinger. The State charged Dr. Grossinger with violating

24 Del. C. § 1731(b)(3) and 24 Del. C. § 1731(b)(11).48 Those two subsections of §

1731 allow the Board to discipline practitioners for unprofessional conduct or

misconduct; such misconduct is defined in Board Regulation 8.1 as including

“[f]ailure to adequately maintain and properly document patient records,” which

encompasses violations of other Board Regulations, including the ones at issue in

this case.

          Because the complaints arose out of the same set of operative facts, the parties

agreed to a consolidated evidentiary hearing in front of a single hearing officer.

After a two-day evidentiary hearing, the hearing officer found all three doctors guilty

of regulatory violations.49        Drs. Brajer and Steven Grossinger did not appeal.

Accordingly, we only concern ourselves with the findings as they relate to Dr.

Grossinger.




48
     A130–31.
49
     Ex. A. to Opening Br. at 4.
                                             11
               1. Violation of Board Regulation 18.1.1.

       The hearing officer first found that Dr. Grossinger violated Board Regulation

18.1.1, which requires physicians prescribing controlled substances for the treatment

of pain to “obtain[], evaluate[], and document[]” a “medical history and physical

examination.” That medical history must include a “history of substance abuse.”50

       The hearing officer found as a matter of fact that, before refilling Michael’s

prescriptions, Dr. Grossinger reviewed Michael’s abnormal MRI’s and EMG’s. Dr.

Grossinger did not, however, recall reviewing Michael’s Prescription Monitoring

Program (“PMP”) report. 51           The PMP is a state-wide system “that collects

information on all controlled substance (schedules II-V) prescriptions.”52 Thus,

though Dr. Grossinger would have or should have been aware that Michael had been

treated with Suboxone in the past, he did not review Michael’s history with

prescribed opiates. The hearing officer also found, based on Dr. Grossinger’s

testimony, that Dr. Grossinger did not request a copy of Dr. Lifrak’s chart on

Michael at any time, nor did he call Dr. Lifrak or communicate with him to discuss

Michael’s treatment immediately prior to presenting at GNS. 53


50
   24 Del. Admin. C. 1700-18.1.1.1.
51
   A113; A326–327.
52
     Delaware Prescription Monitoring Program, Division of Professional Regulation,
https://dpr.delaware.gov/boards/pmp/ (last visited Dec. 3, 2019).
53
    A124–125; A330. In what appears to emphasize the hearing officer’s wariness of Dr.
Grossinger’s credibility, the hearing officer noted that, even though Dr. Grossinger did not request
or review Dr. Lifrak’s charts, he “nonetheless state[d] that Dr. Lifrak should have reported ‘heroin
addiction’ specifically in [his] charts.” A327.
                                                12
       In lieu of Dr. Lifrak’s charts, Dr. Grossinger purported to rely instead on Dr.

Silberman’s reports. The hearing officer noted that Dr. Grossinger thought he

recalled reviewing both Dr. Steven Grossinger’s and Dr. Silberman’s January 29,

2014 reports, but was not sure. 54 On this and other points, the hearing officer was

skeptical of Dr. Grossinger’s credibility. 55 Specifically, the hearing officer noted

that Dr. Grossinger testified that he “believes Silberman did not mention Suboxone

in his evaluation” and that, had Dr. Grossinger been aware of Michael’s opiate

dependence, he would have asked Michael about treatment for that dependence. 56

But the hearing officer points out that Dr. Silberman used the phrase “opiate

addiction” in his report and “also reported that Michael was, in January 2014, being

managed with Suboxone.”57 Thus, it appears to us that the hearing officer was

skeptical that Dr. Grossinger had even read Dr. Silberman’s report, despite Dr.

Grossinger’s testimony that “within a reasonable degree of reasonable probability .

. . [he] believe[d] [he] did.”58

       The hearing officer, despite his doubts, took Dr. Grossinger’s word, but

concluded as a matter of law that:

       If Dr. Bruce Grossinger’s admitted ‘obsessiveness’ led him to read the
       Silberman report (as he admits), and if that report fairly informed him
54
   A327. This comports with Dr. Grossinger’s testimony that he did not recall if he reviewed Dr.
Silberman’s and Dr. Steve Grossinger’s January 29 reports. A110–12.
55
   A327.
56
   A124; A327.
57
   A327 (emphasis added); A165 (emphasis added).
58
   A119.
                                              13
       that Dr. Lifrak had been treating [Michael] with Suboxone for ‘opiate
       addiction’ within weeks or days of his presentation at GNS, in [the
       hearing officer’s] view[,] the reasonable physician practicing under the
       strictures of Bd. Reg. 18 would have inquired further in order to
       develop a complete, timely, pertinent medical history. 59

       Board Regulation 18.1.1 requires by its plain text that practitioners engaged

in the prescription of controlled substances for pain treatment must “document . . .

[the] history of substance abuse.”60 The hearing officer concluded that a reasonable

physician would understand such a history to include the patient’s treatment for

substance abuse—a history which Dr. Grossinger did not obtain.61

              2. Violation of Board Regulation 18.3.

       The hearing officer also found that Dr. Grossinger violated Board Regulation

18.3, which requires the practitioner to “discuss the risks and benefits of the use of

controlled substances with the patient.” 62 The hearing officer ultimately found as a

matter of fact that such discussions did not occur.

       To begin with, the hearing officer noted that Dr. Grossinger’s expert, Dr.

Staats, opined that Dr. Grossinger had complied with Regulation 18.3 because “Dr.

Steven Grossinger had informed him that ‘these communications occurred’ and

because an ‘opiate consent form was signed.’”63 But the hearing officer did not find


59
   A331–332. The hearing officer’s conclusions of law begin on A328; conclusions stated before
that page are findings of fact.
60
   24 Del. Admin C. §18.1.1
61
   A332.
62
   6 Del. Admin. C. 1700-18.3.
63
   A334.
                                             14
this opinion credible. Specifically, he noted that, after reviewing “both iterations of

Michael’s GNS chart,” he could not “find any documentation that anyone had the

‘talk’ with Michael,” Dr. Steven Grossinger or anyone else.64 Nor did the hearing

officer find that the “consent form” was proper documentation of the occurrence of

a “risk and benefits” discussion, as Dr. Staats opined.65 Instead, the hearing officer

pointed out that none of the forms that Michael signed contained a disclosure of a

risks-and-benefits discussion for oral medication or any acknowledgment that they

had been explained to him.66

       Additionally, the hearing officer pointed to April 9, 2014, as a key treatment

date for Michael, because Dr. Brajer switched Michael’s medications from

Tramadol67 to Hydrocodone at that appointment.68 Critically, although Dr. Brajer

testified that he had “thorough talks” with Michael on “risks and benefits” that day, 69




64
   A335 (emphasis added).
65
   A335.
66
   A336.
67
   Dr. Steven Grossinger described Tramadol as an opiate-based medication that was not a
controlled substance at the time GNS prescribed it to Michael. A32.
68
   Transcript of Evidentiary Hearing before Hearing Officer Roger Akin, C.A. No. 16A-11-001
FWW, at 81; A335.
69
   The hearing officer attributes this testimony to Dr. Steven Grossinger, but that is incorrect. The
testimony regarding a “thorough talk” came from Dr. Brajer. A89. Dr. Steven Grossinger’s
testimony corroborates that Dr. Brajer tends to give such talks. A47. While such confusion would
normally cast suspicion on the hearing officer’s determinations of credibility, that is not the case
here. The hearing officer based his finding of a violation of Regulation 18.3 on the fact that no
documentation of a discussion of risks and benefits exists. The fact that there is no documentation
of the discussion is not undermined by confusion as to who testified that the discussion occurred.
                                                15
the hearing officer did not find that statement credible either, finding that “there is

no documentation in either GNS chart that such a discussion was had on April 9.” 70

      Although the hearing officer found as a matter of fact that Dr. Grossinger

never met with Michael, he also noted that Board Regulation 18.3 “imposes a

mandatory ‘duty’ on practitioners regarding . . . ‘the talk’ with patients.” Given the

lack of documentation that any risk-benefit discussion was held with Michael, the

hearing officer concluded that, “[h]ad [Dr. Grossinger] reviewed Michael’s chart

prior to writing his first prescription for him in July 2014, he would have determined

that the [risk-benefit] discussion had not occurred. Neither Dr. Steven Grossinger

nor Dr. Jason Brajer had documented any such discussion.” 71 Noting that, “[i]n the

past, this Board has often applied the adage that ‘if it’s not in the chart, it didn’t

happen,’” the hearing officer concluded that Dr. Grossinger had violated his duty to

discuss the risks and benefits of oral opiate-based medication with Michael, because

he ignored the lack of documentation of such discussion in Michael’s charts and,

despite that absence, did not undertake the discussion with Michael himself. 72

              3. Violation of Board Regulation 18.4.

      The hearing officer then found that Dr. Grossinger had violated Board

Regulation 18.4, by failing to enforce the pain-management agreements that Michael


70
   A335–36.
71
   A336.
72
   A336.
                                          16
had signed. Regulation 18.4 requires the use of a written agreement between the

practitioner and the patient that outlines the patient’s responsibilities, including a

“urine/serum medication levels screening when requested.” 73

       Michael signed two such agreements over the course of his treatment at GNS.

The first was signed on January 29, the day he presented.74 The second was signed

on June 13, 2014.75 Both contain clauses requiring Michael to submit to urine testing

when requested. Additionally, Michael acknowledges in both agreements that his

“doctor will stop prescribing these pain-control medicines” if Michael breaks the

agreement.76 The hearing officer found as a matter of fact, that Dr. Grossinger did

not enforce the agreement, emphasizing the absence of any urine screens for the five-

month period following the cancelled screen in June 2014—a period during which

Dr. Grossinger refilled Michael’s opiate prescriptions three times.77 As previously

mentioned, a urine drug screen was requested on June 18, 2014, that drug screen was

not given (for insurance reasons), it was not rescheduled (until December), and yet

Dr. Grossinger continued to refill Michael’s opiate prescriptions during that time



73
   6 Del. Admin. C. 1700-18.4.
74
   A324; A336–37; A170. The Board’s appendix contains only one page of this agreement, but
the language is substantially similar to the pain-management agreement signed in June, 2014. The
hearing officer noted that the second agreement differed by adding a condition that Michael was
prohibited from seeking prescriptions for controlled substances from any other physician, and
adding that Michael must “bring all unused pain medicine to every office visit.” A337.
75
   A209–210.
76
   A170 (emphasis added); A209 (emphasis added).
77
   A338.
                                              17
period.78 The hearing officer concluded that this lack of enforcement did not satisfy

Rule 18.4’s mandate that physicians “use” the written agreement. 79

               4. Violation of Board Regulation 18.5.

       Next, the hearing officer found that Dr. Grossinger violated Board Regulation

18.5, which requires the “licensed practitioner [to] periodically review the course of

pain treatment.” That review requires the physician to evaluate “continuation or

modification of controlled substances for pain management therapy depending on

the practitioner’s evaluation of the patient’s progress.” 80

       The hearing officer found as a matter of fact that Dr. Grossinger had not met

or seen Michael, nor was he involved in planning or executing Michael’s course of

pain treatment.81 As a matter of law, however, the hearing officer concluded that

Board Regulation 18.5.1 “imposes an affirmative duty on the practitioner who

prescribes controlled substances to conduct periodic chart reviews in order to

determine whether progress toward treatment goals . . . warrants continuation of

modification of then-current drug regimens.”82                Dr. Grossinger did not recall

reviewing Dr. Steven Grossinger’s reports or Michael’s medical records, other than



78
   A338.
79
   A337 (“[T]he regulation states that the pain physician ‘must use’ such agreements. . . . In other
words, the physician who promises or threatens toxicology screening must in fact implement that
threat from time to time or the agreement is just another piece of paper.”).
80
   6 Del. Admin. C. 1700-18.5–1700-8.5.1.
81
   A339.
82
   A340 (emphasis added).
                                                18
his abnormal MRI’s and EMG’s;83 instead, he “relied on the prescriptive history

established by Dr. Brajer and Dr. Steven Grossinger” in refilling Michael’s

prescription. 84 Consequently, the hearing officer found that Dr. Grossinger did not

conduct any review of Michael’s treatment plan, much less a periodic one, thus

“fail[ing] to conduct the sort of ‘periodic review’ required of the prescriber in Board

Regulation 18.5.”85

              5. Violation of Board Regulation 18.7.

       Additionally, the hearing officer concluded that Dr. Grossinger violated Board

Regulation 18.7, which requires the practitioner to “keep accurate and complete

records,” including “medical history and physical examination,” “discussion of risks

and benefits,” and “periodic review.” 86 The hearing officer noted that he had already

concluded that Dr. Grossinger violated Board Regulations 18.1.1 (which required

medical records and medical history), 18.3 (which required a discussion of risks and

benefits), and 18.5 (which required periodic review). Those violations, the hearing




83
   A340.
84
   A340.
85
   A340.
86
   6 Del. Admin. C. 1700-18.7–1700-18.7.11.
                                              19
officer concluded, were sufficient to also constitute a violation of Board Regulation

18.7’s requirement of documentation.87

                 6. Violation of 24 Del. C. § 1731(b)(3).

          Finally, the hearing officer concluded that Dr. Grossinger’s multiple

violations of regulations requiring documentation also supported the legal

conclusion that Dr. Grossinger had violated 24 Del. C. § 1731(b)(3). Section 1731

authorizes the Board to discipline licensed practitioners for unprofessional

conduct—which is defined as “[a]ny dishonorable, unethical, or other conduct likely

to deceive, fraud, or harm the public.” Board Regulation 8.1 defines “[t]he phrase

‘dishonorable or unethical conduct likely to deceive, defraud, or harm the public’”

as, among other things, “[f]ailure to adequately maintain and properly document

patient records.”88 The hearing officer therefore concluded that, in addition to

violating Board Regulations 18.1, 18.3, 18.4, 18.5, and 18.7, Dr. Bruce Grossinger




87
     A340–41.
88
     6 Del. Admin. C. 1700-8.1.13.
                                            20
had also engaged in unethical behavior as defined under Board Regulation 8.1 and

was thus subject to discipline under 24 Del. C. §1731(b)(3).89

              7. The hearing officer’s disciplinary recommendation and the
                 Board’s order.

        As sanctions for Dr. Grossinger’s violations, the hearing officer

recommended that the doctor’s medical license be placed on probation for six

months, and that he complete nine continuing-medical-education hours and pay a

$2,000 fine. 90   After Dr. Grossinger received a copy of the hearing officer’s

recommendations, he submitted written exceptions. Those exceptions included a

breakdown of Michael’s treatment from Dr. Grossinger’s perspective, an

interpretation of the evolution of the Board’s regulations, and arguments that the

penalty recommended by the hearing officer was too harsh. 91 The written exceptions

also included an argument that the State offered no expert testimony, which “forced

[Dr. Grossinger] to shadowbox against a non-existent opponent,”92 and attached a

letter from Dr. Jackson Snyder of Potomac, Maryland.93 The State moved to strike




89
   A341–42.
90
   A347–48.
91
   A349–61; A363–64.
92
   Exhibit A to Memorandum of Respondent Bruce Grossinger, D.O. in Opposition to the July 13,
2016 Report and Recommendation of the Hearing Officer, C.A. No. N16A-11-001 FWW, at 4.
93
   Exhibit B to Memorandum of Respondent Bruce Grossinger, D.O. in Opposition to the July 13,
2016 Report and Recommendation of the Hearing Officer, C.A. No. N16A-11-001 FWW.
                                             21
the letter as factual evidence not presented at the evidentiary hearing. Both Dr.

Grossinger’s attorney and the State also presented exceptions orally to the Board.

        The Board issued its final order on October 4, 2016, granting the Board’s

motion to strike and affirming the hearing officer’s conclusions of law regarding Dr.

Grossinger’s violations. Yet it also reduced the hearing officer’s recommended

penalty, “finding it too harsh given that [the State’s] Complaint involve[d] one

patient and there is an established successful practice.” 94 Instead of placing Dr.

Grossinger’s license on probation for six months, the Board decided to subject the

license to a letter of reprimand, but retained the fine and continuing medical

education requirements.95 Dr. Grossinger appealed the order to the Superior Court.

       E.     The Superior Court’s decision.

       The Superior Court, after briefing and oral argument, issued a memorandum

opinion reversing all of the Board’s conclusions except for its determination that Dr.

Grossinger had violated Regulation 18.3, regarding discussions of the risks and

benefits of Michael’s oral opiate-based medications. The Superior Court first noted

that the Administrative Procedures Act 96 (“APA”) did not apply to the Board—even




94
   A365.
95
   A366.
96
   29 Del. C. 10100.
                                         22
though neither party disputed that the APA applied. 97 On appeal, the Board argues

that the APA does apply, and Dr. Grossinger does not dispute that. 98

       The Superior Court reversed all but one of the Board’s remaining findings

because, in its view, the Board Regulations in question were unconstitutionally

vague as applied to Dr. Grossinger and, more particularly, that they did not give him

adequate notice that his conduct was prohibited.             It noted that, for example,

Regulation 18.1.1 did not specify from whom GNS needed to acquire medical

records, nor did it specify what time periods such medical records needed to cover. 99

The Superior Court also held that Regulation 18.4 was vague because it did not

specify the required frequency of the mandated urine drug screens.100 Similarly,

Regulation 18.5 was vague, in the court’s view, because it did not specify the

frequency of the required “periodic review.”101

       This purported vagueness, in the court’s view, could only be cured by the

application of a standard of care, and there was no evidence presented by the State

in this case regarding such a standard. According to Appellee and the Superior

Court, that lack of evidence implicated Dr. Grossinger’s due process rights, and,



97
   Ex. A to Opening Br. at 16–17;
98
    Opening Br. 14–15; Answering Br. 27–28 (arguing that the Superior Court would not have
reached a different conclusion had it applied the APA, but not arguing whether the APA does or
does not apply).
99
   Ex. A to Opening Br. at 26–27.
100
    Ex. A to Opening Br. at 28–29.
101
    Ex. A to Opening Br. at 30–31.
                                             23
more specifically, his rights to notice and confrontation. Put another way, the court

held that the Board’s reliance on a reasonable-physician standard of care derived

from its own expertise rather than expert testimony deprived Dr. Grossinger of ex

ante notice of what standard of care his conduct would be judged by and also

deprived him of the opportunity to cross-examine and confront the evidence used to

derive that standard.

                                II. STANDARD OF REVIEW

          Where, as here, the Superior Court has reviewed an administrative agency

decision without receiving any evidence other than that presented to the agency, we

do not review the Superior Court’s decision directly. Instead, we examine the

agency’s decision to determine whether the agency’s ruling is supported by

substantial evidence and free from legal error. 102 Our review of issues involving

statutory construction and the application of the law to undisputed facts is plenary. 103

                                        III. ANALYSIS

          The Board raises three claims on appeal. First, it submits—contrary to what

the Superior Court held—that expert evidence is not required to establish that Dr.

Grossinger violated the standards to which he is subject under the Board’s rules and

regulations. Second, the Board argues that the lack of expert testimony does not



102
      Stoltz Mgt. Co. v. Consumer Affairs Bd., 616 A.2d 1205, 1208 (Del. 1992).
103
      Dept. of Health and Social Services v. Jain, 29 A.3d 207, 211 (Del. 2011).
                                                 24
render its rules and regulations unconstitutionally vague as they were applied to Dr.

Grossinger and does not violate his due process rights of notice and confrontation.

Third, the Board contends that the Board’s factual findings are supported by

substantial evidence. In his cross-appeal, Dr. Grossinger argues that the Board’s

finding that he did not discuss the risks and benefits of opioid treatment with his

patient, in violation of Board Regulation 18.3, was not supported by substantial

evidence. We address each of these issues in turn.

       A.      Expert evidence was not required to establish Dr. Grossinger’s
               violations of the Board’s Regulations.
       The Board’s Regulations set forth standards of conduct to which licensed

practitioners are held; they require, for example, periodic review of the patient’s

course of treatment. The parties do not dispute that those standards of conduct must

be interpreted using some standard of care 104—a metric that, for example, would

determine how frequent the mandated “periodic review” must be. Rather, they

dispute whether the State was required to present expert evidence to establish that

level of care.

       According to the Board, it does not need to hear expert testimony as to the

level of care, because it is composed of a mix of experts and laymen and has


104
   That the Regulations require a standard of care to interpret the mandated conduct is implicit in
the preface to the Regulations, which provides that “the Board will consider the inappropriate
treatment of pain to be a departure from standards of practice” and “[t]he Board may refer to
current clinical practice guidelines and/or expert review.” 24 Del. Admin. C. 1700-18.0 (emphasis
added).
                                                25
specialized competence in the field of medicine. Dr. Grossinger disagrees, arguing

that the Board’s exercise of its expertise in determining the scope and applicability

of the Board Regulations under the reasonable-physician standard violates his due

process rights of adequate notice and confrontation of the evidence against him.

Necessarily at the heart of this dispute is the nature of the standard of care implicit

in the Regulations—in short, whether its interpretation is a matter of fact to be

determined with the aid of expert evidence or a matter of law to be decided using the

Board’s expertise.

      As a preliminary matter, though, we address the applicability of the APA to

the Board’s order—not because the parties disputed the issue but because the

Superior Court addressed it.

             1. The APA applies to the Board of Medical Licensure and
                Discipline.

      The applicability of the APA is important to this case because it mandates

deference by the courts to Board decisions. In particular, 29 Del. C. § 10142(d)

states that, when reviewing the Board’s decisions, “[t]he Court, when factual

determinations are at issue, shall take due account of the experience and specialized

competence of the agency and of the purposes of the basic law under which the

agency has acted.”

      The Superior Court found that the APA did not apply to the Board until

2017—after the Board issued its order regarding Dr. Grossinger. It based its

                                          26
decision on a 2017 amendment to 24 Del. C. § 1734(d),105 which added language

making it clear that Board hearings “shall be conducted pursuant to the

Administrative Procedures Act.”106 But, as Appellant correctly points out, that bill

was not the first time that the General Assembly made the Board subject to the APA.

The Board has been an enumerated agency subject to APA provisions since 1984. 107

       As noted, the parties do not dispute the applicability of the APA to the Board’s

decision. Because the APA explicitly listed the Board as an agency it governs prior

to 2016, and because the APA addresses hearings and decisions by the Boards it

governs, we conclude that the Board’s order in this case was governed by the

APA.108 The Board’s factual determinations are therefore subject to substantial

deference under § 10142(d).

              2. The standard of care implicit in the Board Regulations is an
                 issue of law that does not require expert evidence to establish.

       As noted, whether the resolution of an issue requires expert evidence depends

in part on whether that issue is a question of law or fact; the latter requires either

witness or expert testimony, and the former does not. 109 Thus, whether expert


105
    24 Del. C. § 1734 is part of the Medical Practice Act and covers hearings by the Board.
106
    2017 Del. Laws. C. 97.
107
    29 Del. C. § 10161(a)(22); 64 Del. Laws. C. 477, §5.
108
    29 Del. C. §§ 10121–10129, 10142.
109
    E.g., United Rentals, Inc. v. RAM Holdings, Inc., 2007 WL 4465520, at *1 (Del. Ch. Dec. 13,
2007) (“This Court, however, has made it unmistakably clear that it is improper for witnesses to
opine on legal issues governed by Delaware law. It is within the exclusive province of this Court
to determine such issues of domestic law.”); United States v. Curtis, 782 F.2d 593, 599 (6th Cir.
1986) (“Experts are supposed to interpret and analyze factual evidence. They do not testify about
                                               27
testimony is required to establish the standard of care incorporated in the Board

Regulations depends on whether the determination of the standard of care implicit

in the Regulations is an issue of law or fact.

       According to Dr. Grossinger and the Superior Court, the determination of this

standard is a question of fact, an important categorization in light of the nature of

administrative disciplinary proceedings governed by the APA. In such cases, a

hearing officer of the Division of Professional Regulation 110 conducts an evidentiary

hearing and makes findings of fact. 111 Those findings are then binding upon the

Board, even though, as was the case here, the hearing officer is not medically trained.

The Board may not consider additional evidence and “shall affirm or modify” the

hearing officer’s recommended conclusions of law and proposed sanctions. 112

       The Board does not explicitly address whether the determination of the

standard of care is a question of fact or law. Rather, it argues that it is not only

empowered to determine the standard of care itself, but also that it need not hear


the law because the judge’s special legal knowledge is presumed to be sufficient, and it is the
judge’s duty to inform the jury about the law that is relevant to their deliberations.”) (emphasis
added); Marx & Co. v. Diners’ Club Inc., 550 F.2d 505, 509–10 (2d Cir. 1977) (“It is not for
witnesses to instruct the jury as to applicable principles of law, but for the judge. . . . [E]xpert
testimony on law is excluded because ‘the tribunal does not need the witness’ judgment.’ . . . The
special legal knowledge of the judge makes the witness’ testimony superfluous.”) (quoting VII
Wigmore on Evidence § 1952, at 81).
110
     The Division oversees numerous state agencies, boards, and commissions, including the Board
of Medical Licensure and Discipline, of which the Director of the Division is a voting member.
Board of Medical Licensure and Discipline, DIVISION OF PROFESSIONAL REGULATION,
https://dpr.delaware.gov/boards/medicalpractice/ (last visited Dec. 6, 2019); 24 Del. C. § 1710(b).
111
     29 Del. C. § 8735(v)(1)(d).
112
    Id.
                                                28
expert evidence in order to do so, because of its “experience and specialized

competence”—competence which requires deference on judicial review. 113

       We disagree with the Superior Court’s conclusion that the standard of care

applicable to a determination of whether a physician has complied with the Board’s

regulations is purely a question of fact. Although Appellee and the Superior Court

cite several cases purporting to hold that the determination of the standard of care

applicable to medical treatment is a question of fact, all of the cited cases arise in the

context of medical malpractice or other forms of negligence—a context that differs

in material respects from administrative proceedings.114 In tort cases, the jury

decides the specific level of care required in each situation, i.e., the level of care

required of the specific defendant in the tort case.                   Such a determination is

necessarily a question of fact because the standard of care is different for every set

of different facts; it is uncodified, case-specific, and necessarily tailored to the

situation at hand.115 That is not the case in administrative disciplinary cases, where



113
    29 Del. C. § 10142(d).
114
    For example, Appellee’s Answering Brief cites Di Filippo v. Preston, 173 A.2d 333 (Del.
1961), an action for personal injuries and medical expenses arising out of alleged medical
malpractice, as well as Davis v. Maute, 770 A.2d 36 (Del. 2011) and Campbell v. DiSabatino, 947
A.2d 116 (Del. 2008), both of which are negligence cases. Similarly, the Superior Court cited
Robelen Piano Co. v. Di Fonzo, 169 A.2d 240 (Del. 1961), a negligence action against a
storekeeper for injuries, and a litany of other tort cases. Ex. A to Opening Br. at 36 n94.
115
    Robelen Piano Co. v. Di Fonzo, 169 A.2d 240, 244–45 (Del. 1961) (“The standard of care
required of all defendants in tort actions is that of a reasonably prudent man. That standard,
however, is not a definite rule easily applicable to every state of facts. The details of the standard,
of necessity, must be formulated in each particular case in the light of its peculiar facts. In each
case the question comes down to what a reasonable man would have done under the circumstances.
                                                 29
regulations are designed to apply across the profession with equal force, and where

the standard of care is not itself what is violated (as in tort cases), but rather a metric

to judge whether a regulation is violated. In other words, the Regulations provide

standards of conduct—which are typically absent in tort cases—and the level of care

that determines the scope of the Regulations is derived from an interpretation of

those standards. Therefore, in administrative proceedings, the standard of care is an

element of the regulation, albeit an implicit one,116 unlike in tort cases, where the

standard of care is itself the governing standard, the specifics of which are

determined by the jury, based on the facts, for the specific claim before the court.

The interpretation of an element of a regulation is a question of law,117 and it is not

subject to expert testimony or confrontation. 118 Ascertaining the meaning of the

implicit standard-of-care element of the Regulations is thus a question of law to be

decided by the Board; it becomes a mixed question of fact and law, entitled to


In close or doubtful cases, . . . that question is to be determined by the jury. This is so because of
public insistence that its conduct be judged in large part, at least, by a cross-section of the public.”).
116
    We reiterate that neither Dr. Grossinger nor the Board dispute that the reasonable-physician
standard of care is implicit in the Board’s regulations. In fact, even Dr. Grossinger’s brief relies
on the assumption that the Board’s regulations are interpreted based on a reasonable-physician
standard of care. Answering Br. 18 (“[U]se of the standard of care to supply missing critical
information is consistent with the letter and intent of the Regulations.”). Instead, Dr. Grossinger
disputes the meaning of the reasonable-physician standard of care, and argues that the meaning
requires expert testimony to establish. Answering Br. 16–18.
117
    E.g., Gill v. Shinseki, 26 Vet. App. 386, 389 (Ct. Vet. App. 2013), aff’d sub nom. Gill v.
McDonald, 589 F. App’x 535 (Fed. Cir. 2015) (“The “interpretation of a ... regulation is a question
of law.”); In re Cities of Annandale & Maple Lake NPDES/SDS Permit Issuance for the Discharge
of Treated Wastewater, 731 N.W.2d 502, 515 (Minn. 2007) (“[W] hen a decision turns on the
meaning of words in an agency’s own regulation, it is a question of law.”).
118
    Supra note 109.
                                                   30
deference,119 only when applied to the facts of a specific case. That application does

not require expert testimony to establish, just as our Vice Chancellors will not admit

legal experts’ testimony as to whether a specific defendant director has breached her

fiduciary duties because such questions, though fact-specific, “concern[] legal issues

governed by Delaware law.” 120 To hold otherwise would be to allow the hearing

officer, a lay person who is charged with making binding findings of fact, to restrict

the Board’s decision-making regarding the level of care exercised by reasonable

physicians statewide, based only on the testimony of experts proffered in a specific

proceeding.

       This line of reasoning comports with the holding in Bilski v. Board of Medical

Licensure and Discipline.121 The argument in Bilski is almost identical to Dr.


119
    The APA provides for deferential judicial review only of factual determinations. The Board’s
determination of a reasonable-physician standard of care, as incorporated into the Board
Regulations, is thus not accorded such deference under the APA. The Board’s specific findings
of violation in particular proceedings, however, are mixed questions of fact and law and are
accorded APA deference. E.g., Smith v. First State Exxon, 1997 WL 27397, at *2 (Del. Super. Ct.
Jan. 2, 1997) (“[E]ven as to the law or mixed questions of fact and law, it would seem that the
Court should be entitled to ‘take due account of the experience and specialized competence of the
agency’ which administers the law on a regular basis.”) (quoting 29 Del C. 10142(d)); Taylor v.
Harford Cty. Dep’t of Soc. Servs., 862 A.2d 1026, 1031 (Md. 2004) (“When the agency decision
being judicially reviewed is a mixed question of law and fact, the reviewing court applies the
substantial evidence test, that is, the same standard of review it would apply to an agency factual
finding.”); Browning-Ferris Indus. v. Residents Involved in Saving the Env’t, Inc., 492 S.E.2d 431,
434 (Va. 1997) (Consideration “of the experience and specialized competence of the
administration agency . . . appl[ies] to the review of mixed questions of law and fact, and to the
review of purely factual issues,” but not to issues of law.).
120
    Forsythe v. ESC Fund Mgmt. Co. (U.S.), 2010 WL 1676442, at *2 (Del. Ch. Apr. 21, 2010)
(disregarding an expert report that claimed to testify “about custom and practice in the financial
services business” but was actually the expert’s “opinions regarding whether the defendants [had]
fulfilled their fiduciary duties”).
121
    2014 WL 3032703 (Del. Super. Ct. June 30, 2014), aff’d 115 A.3d 1214 (Del. 2015).
                                                31
Grossinger’s due process claim: in Bilski, a physician subject to disciplinary

proceedings for unprofessional conduct while prescribing controlled substances

challenged the Board’s disciplinary process by arguing that the lack of expert

testimony regarding the standard of care meant that “the Board must have

necessarily ‘created’ the evidence through its own expertise.”122 The Superior Court

held—and we affirmed on the basis of its opinion—that the lack of expert testimony

at the evidentiary hearing did not mean that the Board “created” evidence through

its own expertise.123 Quite to the contrary, the Superior Court found that the Board’s

decision was supported by a “robust” factual record.124 While the court did not

explicitly state that the Board may rely on its own expertise in determining whether

there was a violation, our holding here is implicit in Bilski. The Board could not

have made its decision on the robust record without first interpreting the Regulations

(and the incorporated reasonable-physician standard of care) and applying that

interpretation to the record. Indeed, Bilski is entirely on point here. Contrary to Dr.

Grossinger’s claims, the Board created a robust record, interpreted the Regulations

and the incorporated standard of care, and applied that interpretation to the record.

Expert testimony as to the meaning of the regulation was not necessary in Bilski, and

it is unnecessary here.


122
    Id. at *1, *4.
123
    Id. at *4.
124
    Id.
                                          32
          B.     The lack of expert evidence as to the level of care required by the
                 Regulations does not violate Dr. Grossinger’s due process rights.

          Dr. Grossinger argues, and the Superior Court found, that the lack of expert

 testimony on the reasonable-physician standard of care violated his due process

 rights because it deprived him of adequate notice that the Regulations applied to his

 conduct and deprived him of the right to confront adverse evidence. Because we

 have decided that the reasonable-physician standard implicit in the Regulations is a

 determination of law, rather than of fact, both of these arguments fail.

                 1. The Board Regulations give adequate notice and therefore are
                    not constitutionally vague as-applied.
          According to both Dr. Grossinger and the Superior Court, the Board

Regulations are unconstitutionally vague because their requirements are general and

not specific, and therefore fail to give adequate ex ante notice of what conduct is

required.125 For example, according to Dr. Grossinger, Board Regulation 18.5 is

vague because the mandated “periodic review” does not specify the frequency

required for such reviews.126 The only way to cure such alleged vagueness is to hold




125
      Ex. A to Opening Br. at 2; Answering Br. 15–16.
126
      Answering Br. 17.
                                                33
practitioners to a standard of care by which such “periodic review” will be judged

sufficient or insufficient.127

       We note preliminarily that, although Dr. Grossinger frames his argument as

an as-applied challenge to the vagueness of the Regulations, his challenge is actually

a facial one. A facial challenge alleges that a statute or regulation is not valid under

any set of circumstances; an as-applied challenge alleges that a statute or regulation

is not valid in the particular circumstances of the case. 128 Dr. Grossinger appears to

argue that his challenge is as-applied rather than facial because the lack of expert

evidence at his disciplinary proceeding failed to give him notice of how he should

have acted while treating Michael. 129 According to Dr. Grossinger, such expert

testimony would fill the gaps in the Regulations and provide him notice of what

conduct is proscribed.

       But if a regulation’s text fails to give ex ante notice of its requirements, it is

facially void; a regulation whose meaning only becomes clear in disciplinary

proceedings does not give adequate notice to anyone. 130                       “The concept of

unconstitutional vagueness is derived from a basic notion of fairness; citizens must



127
    Answering Br. 16.
128
    U.S. v. Salerno, 481 U.S. 739, 745 (1987); U.S. v. Powell, 423 U.S. 87, 92 (1975).
129
    Answering Br. 15–16.
130
    Crissman v. Delaware Harness Racing Comm’n, 791 A.2d 745, 747 (Del. 2002) (“[A] statute
which either forbids or requires the doing of an act in terms so vague that men of common
intelligence must necessarily guess at its meaning and differ as to its application violates the first
essential of due process of law.”)
                                                 34
be given fair warning before being held culpable for conduct deemed to be criminal

[or proscribed].”131 Expert testimony at a disciplinary proceeding to clarify that

standard of care would at most provide ex post notice and is therefore irrelevant to a

fair warning challenge.

       Thus, although Dr. Grossinger’s argument attempts to target only his

particular situation, his argument that the Regulations do not provide him adequate

notice without expert testimony is better seen as alleging that the Regulations on

their face do not provide adequate notice. 132 We are not persuaded by this argument.

The Regulations implicitly incorporate a reasonable-physician standard of care

against which a license-holder’s conduct is judged—which Dr. Grossinger does not

dispute.133 The reasonable-physician standard of care, which is an objective standard

of care, does not fail to give notice simply because it contains the word “reasonable”




131
    Gov’t of Virgin Islands v. Steven, 134 F.3d 526, 527 (3d Cir. 1998) (emphasis added).
132
    Dr. Grossinger’s aversion to challenging the Regulations on their face is understandable. As
the Superior Court noted, “the Regulations here have been adopted in one form or another by
almost every jurisdiction in the state [sic].” Ex. A to Opening Br. at 21 (It is unclear whether the
Superior Court meant almost every jurisdiction in the state or almost every jurisdiction in the
nation. Regardless of whether the term “state” is an error, the widespread use of the regulations
does not bear on the constitutionality of the regulations themselves.). A facial challenge would
wreak havoc by calling into question every form of regulation that incorporates an implicit
standard of care. The Superior Court was cognizant of this potential repercussion. It
“emphasize[d] therefore that it [did] not find the regulations vague on their face” without
explaining why Dr. Grossinger’s challenge was applicable only to his particular set of facts. Id.
But widespread repercussions cannot make an otherwise unconstitutional regulation constitutional,
and due process cannot be circumvented for the convenience of the government.
133
    Answering Br. 18.
                                                35
and people can differ as to the meaning of that term. 134 Indeed, the adequate notice

requirement itself incorporates the reasonableness standard, by requiring that

statutes and regulations only give “the person of ordinary intelligence a reasonable

opportunity to know what is prohibited.” 135

       We also note that, even if we were to take Dr. Grossinger’s argument as an

as-applied challenge, his argument would still fail. For notice to be adequate, it must

give reasonable persons clarity as to what conduct is proscribed. To that end,

consistency is the key. Basing violations of Regulations on expert testimony on an

ad hoc basis would result in a patchwork of definitions of the required standard of

care, with variations because of differing sets of facts and individual experts’

idiosyncrasies.     Adopting expert testimony to govern the interpretation of the

Regulations would thus provide less notice than subjecting practitioners to the

discretion and judgment of the Board. The Board is composed of sixteen people,

eight of whom are licensed physicians, one of whom is the director of the Division

of Public Health, and seven of whom are laypeople. 136 They “may,” but are not

required to, “refer to current clinical practice guidelines and/or expert review” when




134
    Similarly, statutes prohibiting reckless conduct do not fail to give notice simply because the
challenger is not 100% sure what “reckless” means. E.g., State v. Boyer, 512 S.E.2d 605, 701 (Ga.
1999) (“A statute is not unconstitutionally vague if its language provides persons of ordinary
intelligence with notice as to what it prohibits so they may conduct themselves accordingly).
135
    Grayned v. City of Rockford, 408 U.S. 104, 108 (1972) (emphasis added).
136
    24 Del. C. § 1710(b).
                                               36
deciding disciplinary cases.137 The same way that juries, through force of numbers,

balance out individual idiosyncrasies, 138 so too does the Board’s composition

balance out the idiosyncrasies of individual physicians. And practitioners are on

notice that the Board’s judgment is informed by “current clinical practice

guidelines.”139 Determinations of the reasonable-physician standard of care are thus

more consistent when made by the Board than by experts in individual proceedings.

        Further, even if we accepted Dr. Grossinger’s argument that the Regulations

do not provide adequate notice as to (1) the required extent of documentation of the

patient’s history of substance abuse, (2) the required extent and frequency of

discussions of risks and benefits of oral opiate-based medication, (3) the required

frequency of urine drug screening, or (4) the required frequency of “periodic

review,” Dr. Grossinger’s notice argument would still fail.

        Dr. Grossinger and the Superior Court focus on the absence of guidance in

Regulation 18.1.1 as to when a prior treating physician’s records must be obtained.

But the Regulations clearly require documentation of the patient’s “history of

substance abuse”140—which includes a history of treatment of such substance abuse.



137
    24 Del. Admin. C. 1700-18.0.
138
    Robelen Piano Co., 169 A.2d at 245 (“The standard of care required of all defendants in tort
actions . . . must be formulated in each particular case in the light of its peculiar facts . . . by the
jury. This is so because of public insistence that its conduct be judged in large part, at least, by a
cross-section of the public.”).
139
    Id.
140
    24 Del. Admin. C. 1700-18.1.1.3.
                                                  37
Dr. Grossinger does not explain how this clear statement in the regulation did not

put him on notice that he was required to document Michael’s substance-abuse

history, something he failed to do in any fashion. This is not a case where Dr.

Grossinger obtained some documentation of Michael’s history of substance abuse

and the Board found it was insufficient; Dr. Grossinger and GNS did not obtain any

of Michael’s history of treatment, because they did not obtain information from the

only doctor that Michael saw for his addiction. In fact, Dr. Steven Grossinger did

not know until a few days before testifying that Michael was addicted to heroin, 141

Dr. Brajer did not know at the time of his testimony that Michael had been treated

with Suboxone, 142 and Dr. Grossinger also did not know until after Michael’s death

that he was addicted to heroin. 143 A notice challenge might have some color if

medical records were requested and the Board found them insufficient, but that is

not the case here, where none of the GNS doctors were even aware that Michael had

a history of substance abuse, despite Dr. Silberman’s report explicitly noting an

opiate addiction and treatment with Suboxone. 144

      Similarly, Dr. Grossinger did not discuss with Michael the risks and benefits

of the medications he was prescribing at all, nor could he rely on documentation that




141
    A17.
142
    A84–88.
143
    A119–20.
144
    A165.
                                         38
someone had done so, because there was no documentation. Dr. Grossinger fails to

explain how a Regulation that mandates a discussion did not give him notice that at

least one discussion was required.

       Nor did GNS conduct a urine drug screening once the first screening was

requested in June. It is the case that Regulation 18.4 does not explicitly mandate a

certain frequency of drug screening, but it does require practitioners to “use” their

agreements to require urine screening “when requested.” GNS requested a urine

drug screening in June, it was not completed, and GNS did not reschedule it or

discharge Michael.145 Dr. Grossinger does not explain how Regulation 18.4 did not

provide notice that practitioners must enforce their pain-management agreements—

something GNS abjectly failed to do.

       Finally, as explained later, Dr. Grossinger failed to conduct any review of

Michael’s pain treatment course, much less periodic review. Even if we credited

Dr. Grossinger’s argument that “periodic” as used in Regulations 18.5 and 18.7 is

vague, no reasonable person could believe that never conducting any review would

satisfy the Regulations.




145
    A urine drug screening was only requested again in December, five months after the first
screening was requested and missed.
                                            39
                2. The Board Regulations do not violate Dr. Grossinger’s due
                   process right to confrontation because the level of care implicit
                   in the Regulations is an issue of law.

         Dr. Grossinger’s second due process challenge alleges that Dr. Grossinger

was deprived of the “opportunity to confront and cross-examine adverse

witnesses.”146 As we have held earlier, the Board’s determination of the reasonable-

physician standard of care based on its own expertise is not a determination of fact,

nor is it a determination of mixed fact or law. Instead, it was a purely legal

determination, and Dr. Grossinger is not entitled to cross-examine the methods by

which such determinations are reached.

         C.     Sufficiency of evidence

         As a final matter, both parties dispute whether the Board’s decision was

supported by substantial evidence for each of the alleged violations. “Substantial

evidence is such relevant evidence as a reasonable mind might accept as adequate to

support a conclusion. On appeal, this Court will not weigh the evidence, determine




146
      Answering Br. 20.
                                          40
questions of credibility, or make its own factual findings.” 147 We find that each of

the Board’s findings of violations was supported by substantial evidence.

              1. Violation of Board Regulation 18.1.1.

       The Board concluded that Dr. Grossinger violated Board Regulation 18.1.1

by failing to “obtain[],evaluate[], and document[]” a “medical history and physical

examination,”148 including Michael’s “history of substance abuse.”149

       The hearing officer found that none of the GNS physicians, including Dr.

Grossinger, obtained Michael’s medical charts from or communicated with Dr.

Lifrak, who provided Michael’s only treatment for heroin addiction. 150 That finding

was based on testimony from Dr. Steven Grossinger, Dr. Brajer, and Dr.

Grossinger.151 The testimony from all three doctors reflected that they either did not

know, at the time of their treatment, that Michael had recently been treated with

Suboxone, or did not obtain Michael’s treatment information from either the PMP

or Dr. Lifrak.152 The hearing officer tied that failure to obtain Dr. Lifrak’s records

directly to a violation of Regulation 18.1.1’s requirement that practitioners document

the patient’s “history of substance abuse.”         The hearing officer’s findings are



147
    Jain v. Delaware Bd. of Nursing, 72 A.3d 501 (Del. 2013) (TABLE).
148
    24 Del. Admin. C. 1700-18.1.1.
149
    24 Del. Admin C. 1700-18.1.1.3.
150
    A330.
151
    Transcript of Evidentiary Hearing before Hearing Officer Roger Akin, C.A. No. 16A-11-001
FWW, at 54, 231, 237, 291, 293.
152
    A17; A84–88; A119–20.
                                            41
consistent and supported by the doctors’ testimony; the Board’s conclusion that Dr.

Grossinger violated Regulation 18.1.1.3’s requirement that practitioner’s document

the patient’s history of substance abuse is therefore supported by substantial

evidence.

              2. Violation of Board Regulation 18.3.

       The Board also found that Dr. Grossinger did not discuss the risks and benefits

of the use of controlled substances with Michael, nor did he rely on documentation

that his partners had done so.153 In his cross-appeal, Dr. Grossinger points out that

Dr. Steven Grossinger testified to discussing the risks and benefits of Michael’s oral

medication with Michael, and that GNS used informed consent forms indicating that

GNS had “fully explained” alternatives, including oral medication, to the injections

Michael underwent. 154 Dr. Grossinger argues that the hearing officer “failed to

mention these facts in his binding findings of facts,” and that the officer may not

“simply ignore the existence of evidence and then base a legal conclusion on the lack

of such evidence.”155

       Had the hearing officer neglected to mention Dr. Steven Grossinger’s

testimony or the informed consent forms in relation to Regulation 18.3, Dr.

Grossinger’s argument might have some merit. But the hearing officer discussed



153
    A334–36.
154
    Answering Br. 41–42.
155
    Answering Br. 42.
                                         42
both the testimony and the forms in his recommendation regarding Board Regulation

18.3.156 In particular, the hearing officer rejected the informed consent forms as

evidence that a GNS physician had discussed the risks and benefits of the prescribed

medications with Michael.        The hearing officer noted that the forms did not

themselves contain a discussion of the risks and benefits of the oral medications, and

that the informed consent forms only stated that GNS physicians had “fully

explained . . . potential benefits [and] risks or side effects” of the injection procedures

for which the informed consent was obtained. 157 Further, the hearing officer found

that the forms’ language verifying that GNS had explained the “relevant risks,

benefits and side effects related to alternatives, including the possible results of not

receiving care, treatment and services” 158 did not indicate, without additional

evidence, that GNS had explained the risks and benefits of Michael’s supplemental

(not alternative or substitutional) oral medications.159          The hearing officer’s

conclusions are drawn directly from the language of the forms themselves, which

were signed before each injection that GNS performed on Michael.                      The

circumstances under which the informed consent forms were signed (right before

injections, and not with prescription refills) and the language of the forms support




156
    A334–35.
157
    A335; A188.
158
    A188.
159
    A335.
                                            43
the hearing officer’s factual finding that the informed consent forms for the

injections do not indicate that a discussion of the risks and benefits of Michael’s

supplemental oral medications occurred.

       The hearing officer also noted—and questioned the credibility of—Dr.

Brajer’s testimony about having a risks and benefits discussion with Michael 160 and

Dr. Steven Grossinger’s testimony about Dr. Brajer’s discussions.161       And the

hearing officer found that Dr. Steven Grossinger’s mere mention of such discussions

was insufficient for Dr. Grossinger to conclude that such discussions had occurred,

because no written documentation existed.162      As we do not make credibility

assessments on appeal, we do not disturb the hearing officer’s implicit finding that

Dr. Brajer’s and Dr. Steven Grossinger’s testimony was not credible or that it was

insufficient for Dr. Grossinger to rely upon regarding his duties under Regulation

18.3. The lack of documentation is therefore sufficient to support the hearing

officer’s finding that no discussion with Michael of the risks and benefits of his

medications occurred.

             3. Violation of Board Regulation 18.4.

       The Board also found that Dr. Grossinger violated Board Regulation 18.4 by

failing to make use of Michael’s pain-management agreements. The hearing officer



160
    A89.
161
    A47.
162
    A336.
                                          44
found that, according to the agreements, Michael agreed to comply with random

drug testing and understood that any violation of the agreement would result in GNS

discharging him as a patient—findings that are supported by the language of the

pain-management agreements.163 The officer then found, based on testimony and

GNS’s medical charts, that Michael missed a urine drug screen in June, 2014, and

that drug screen was not administered until half a year later. 164 In the meantime,

GNS, including Dr. Grossinger, not only failed to discharge Michael as a patient, but

continued to refill Michael’s opiate prescriptions.165

       The Board held that Regulation 18.4 requires that practitioners use their pain-

management agreements by actually requiring urine drug screens at some point, or

else “the agreement is just another piece of paper.” 166 And the hearing officer found

that GNS did not use the pain-management agreements, because it continued to treat

Michael and prescribe medication without the requested urine screening. Those

factual findings are corroborated by GNS’s medical charts and by the doctors’

testimony. After reviewing the record before the hearing officer, we hold that the

hearing officer’s factual findings are supported by substantial evidence and that the




163
    A170 (Pain Management Agreement, signed by Michael, which states, “I will comply with any
random drug test” . . . “I understand that if I break this Agreement, my doctor will stop prescribing
these pain-control medicines and will discharge me from the practice”).
164
    A44–46; A286–87; A336–38.
165
    A278.
166
    A337.
                                                 45
Board’s conclusion that Dr. Grossinger violated Regulation 18.4 was not an abuse

of its discretion.

              4. Violation of Board Regulation 18.5.

       The Board concluded that Dr. Grossinger failed to conduct any review, much

less periodic review, of Michael’s pain treatment, in violation of Board Regulation

18.5.167 The hearing officer found, based on Dr. Grossinger’s own testimony, 168 that

Dr. Grossinger had not reviewed Dr. Steven Grossinger’s reports or Michael’s

medical records, other than the abnormal MRI’s and EMG’s.169 The hearing officer

also found that Dr. Grossinger did not independently review Michael’s course of

treatment, but rather “relied on the prescriptive history” of his partners because “the

case seemed routine to him.” 170 That finding is also supported by Dr. Grossinger’s

testimony. 171 As mentioned, we do not make credibility assessments on appeal.

Given Dr. Grossinger’s uncertainty in his testimony, it was within the hearing

officer’s discretion to find that Dr. Grossinger did not review any of Michael’s

medical records or his course of treatment at all, much less periodically.




167
    A339.
168
    A109–14 (testimony of Dr. Grossinger, expressing uncertainty as to whether he reviewed any
of Michael’s medical charts or reports besides the abnormal MRI’s and EMG’s, which he “always
look[s] at”).
169
    A340.
170
    A340.
171
    A111–12.
                                             46
Accordingly, the Board did not err in finding that such lack of review violated

Regulation 18.5.

             5. Violation of Board Regulation 18.7.

      The Board’s conclusion that Dr. Grossinger violated Board Regulation 18.7

by failing to keep complete and accurate records is also supported by substantial

evidence. As addressed above, the hearing officer found that Dr. Grossinger (a)

failed to obtain Dr. Lifrak’s medical charts, (b) failed to discuss the risks and benefits

of the oral medications with Michael and could not have justifiably concluded that

someone else had had such discussion with Michael because there was no

documentation of such discussion, and (c) failed to conduct any review of Michael’s

treatment course, much less document it. These findings were supported by

substantial evidence, and it was within the Board’s discretion to conclude that Dr.

Grossinger had thereby also violated Board Regulation 18.7.

             6. Violation of 24 Del. C. § 1731(b)(3).

      The Board’s conclusion that it could discipline Dr. Grossinger under 24 Del.

C. § 1731 is also free of error and supported by substantial evidence. Section 1731

authorizes the Board to discipline a practitioner who has been issued a license for

“unprofessional conduct,” which is defined in §1731(b)(3) as including “[a]ny

dishonorable, unethical, or other conduct likely to deceive, defraud, or harm the




                                           47
public.”172 That phrase is in turn defined by Board Regulation 8.1.13 as including,

among other things, “[f]ailure to adequately maintain and properly document patient

records.”173 As we have already decided that the Board’s conclusion that Dr.

Grossinger’s failure to adequately keep medical records for Michael violated Board

Regulations 18.1.1, 18.3, 18.5, and 18.7, we do not hesitate to affirm the Board’s

decision that Dr. Grossinger violated § 1731.

                                       IV. CONCLUSION

          For the foregoing reasons, we REVERSE the Superior Court’s decision

below insofar as it reverses the Board’s decision and AFFIRM the Board’s decision.




172
      24 Del. C. § 1731(b)(3).
173
      24 Del. Admin. C. 1700-8.1.13.
                                             48
