                           Whether Physician-Assisted Suicide Serves a
                      “Legitimate Medical Purpose” Under DEA Regulations
             A physician’s assisting in a patient’s suicide, even in a manner permitted by state law, is not a
               “legitimate medical purpose” within the meaning of a Drug Enforcement Agency regulation, and
               accordingly dispensing controlled substances for this purpose violates the Controlled Substances
               Act, which the DEA regulation implements.

                                                                                                                      June 27, 2001

                                 MEMORANDUM OPINION FOR THE ATTORNEY GENERAL

             I. Background ...................................................................................................... 136
             II. Physicians Are Regulated Under the Controlled Substances Act ................... 137
             III. Dispensing Controlled Substances to Assist in Suicide Does Not Serve a
                 “Legitimate Medical Purpose”........................................................................ 140
                  A. Case Law ................................................................................................. 140
                  B. State and Federal Policy .......................................................................... 142
                  C. Views of the Medical and Nursing Professions ....................................... 145
             IV. The Existence of a State Law Permitting Physician-Assisted Suicide
                 Does Not Immunize a Physician from the General Requirements of the
                 CSA ................................................................................................................ 150
             V. The CSA Contemplates Concurrent Federal and State Regulation of
                 Medical Practices Involving Controlled Substances....................................... 152
             VI. The CSA’s Preemption Provision Is Consistent with This Interpretation ..... 155
             VII. The DEA Had the Authority to Promulgate and Interpret a Regulation
                 Concerning Whether Dispensing a Controlled Substance Has a
                 “Legitimate Medical Purpose”........................................................................ 157
             VIII. Conclusion .................................................................................................. 160

                You have asked for our opinion whether a physician who assists in a patient’s
             suicide by prescribing a controlled substance has a “legitimate medical purpose”
             within the meaning of a regulation of the Drug Enforcement Administration
             (“DEA”), 21 C.F.R. § 1306.04(a) (2000), 1 if the physician is immune from liability

                 1
                   The DEA regulation was promulgated pursuant to a delegation of the Attorney General’s broad
             authorities under the Controlled Substances Act, 21 U.S.C. §§ 801-971 (1994 & Supp. II 1996) (the
             CSA or Act), to “promulgate rules and regulations . . . relating to the registration and control of the
             manufacture, distribution and dispensing of controlled substances and to the registration and control of
             regulated persons and of regulated transactions,” 21 U.S.C. § 821, and to “promulgate and enforce any
             rules, regulations, and procedures which he may deem necessary and appropriate for the efficient
             execution of his functions under this [title].” Id. § 871(b). See also id. § 871(a) (authority of Attorney
             General to delegate CSA functions); 28 C.F.R. § 0.100 (2000) (delegation to DEA); Touby v. United




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         under a state law such as the Oregon “Death with Dignity Act” for assisting in a
         suicide in such a manner. 2 In our view, assisting in suicide, even in a manner
         permitted by state law, is not a “legitimate medical purpose” under the DEA
         regulation, and accordingly dispensing controlled substances for this purpose
         violates the Controlled Substances Act, which the DEA regulation implements.*

                                                  I. Background

            The Oregon “Death with Dignity Act,” which legalized physician-assisted
         suicide under certain circumstances, was originally approved by Oregon voters on
         November 8, 1994, and went into effect on October 27, 1997. 3 Prior to the
         effective date of the Oregon law, Representative Henry J. Hyde, Chairman of the
         House Judiciary Committee, and Senator Orrin G. Hatch, Chairman of the Senate
         Judiciary Committee, wrote to the Administrator of the DEA, Thomas A. Constan-
         tine, requesting a determination whether the CSA prohibits the use of controlled
         substances for the purpose of assisting in a suicide. 4
            Administrator Constantine replied on November 5, 1997, concluding “that
         delivering, dispensing or prescribing a controlled substance with the intent of
         assisting a suicide would not be under any current definition a ‘legitimate medical
         purpose’” and thus would violate the CSA. 5


         States, 500 U.S. 160, 169 (1991) (upholding Attorney General’s authority to delegate CSA functions to
         DEA).
             2
               The “Death with Dignity Act” is codified at 3 Oregon Revised Statutes (O.R.S.) §§ 127.800-
         127.995 (1999).
             *
               Editor’s Note: Relying upon the analysis set forth in this memorandum opinion, the Attorney
         General subsequently promulgated an interpretive rule, which provided that “assisting suicide is not a
         ‘legitimate medical purpose’ within the meaning of 21 C.F.R. § 1306.04 (2001), and that prescribing,
         dispensing, or administering federally controlled substances to assist suicide violates the Controlled
         Substances Act.” 66 Fed. Reg. 56,607, 56,608 (Nov. 9, 2001). In Gonzales v. Oregon, 546 U.S. 243
         (2006), the Supreme Court held that the Attorney General was not statutorily authorized to issue the
         interpretive rule. Id. at 274-75.
             3
               On the circumstances surrounding the adoption of the Oregon “Death with Dignity Act” and a
         description of its provisions, see generally Mark C. Siegel, Lethal Pity: The Oregon Death With
         Dignity Act, Its Implications for the Disabled, and the Struggle for Equality in an Able-Bodied World,
         16 Law & Ineq. 259, 270- 76 (1998).
             4
               Letter for Thomas A. Constantine, Administrator, Drug Enforcement Administration, from Henry
         J. Hyde, Chairman, Committee on the Judiciary, U.S. House of Representatives, and Orrin G. Hatch,
         Chairman, Committee on the Judiciary, U.S. Senate (July 25, 1997), reprinted in S. Rep. No. 105-372,
         at 7 n.6 (1988) (“Hyde Letter”) (“In our view, assisting in a suicide by prescribing or filling a
         prescription for a controlled substance cannot be a ‘legitimate medical purpose’ under DEA regula-
         tions, especially when the practice is not reasonable and necessary to the diagnosis and treatment of
         disease and injury, legitimate health care, or compatible with the physician’s role as healer.”).
             5
               Letter for Orrin G. Hatch, Chairman, Committee on the Judiciary, U.S. Senate, from Thomas A.
         Constantine, Administrator, Drug Enforcement Administration at 1-2 (Nov. 5, 1997), reprinted in
         S. Rep. No. 105-372, at 8 n.9 (1998) (“Constantine Letter”).




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                 Within a month, the Oregon Deputy Attorney General, David Schuman, wrote
             to the United States Department of Justice on December 3, 1997, arguing that “the
             CSA is addressed to the problems of the abuse and trafficking of controlled
             substances. In enacting and later amending the CSA, Congress had no intention of
             regulating medical practices that are legal under state law and that have no relation
             to drug abuse or trafficking.” 6 Deputy Attorney General Schuman concluded that
             the DEA had no authority to regulate medical practices authorized by state law and
             unrelated to drug abuse or trafficking.
                 On June 5, 1998, Attorney General Janet Reno reversed the interpretation of
             DEA Administrator Constantine, concluding that “the CSA does not authorize
             DEA to prosecute, or to revoke the DEA registration of, a physician who has
             assisted in a suicide in compliance with Oregon law.” Specifically, Attorney
             General Reno stated: “There is no evidence that Congress, in the CSA, intended to
             displace the states as the primary regulators of the medical profession, or to
             override a state’s determination as to what constitutes legitimate medical practice
             in the absence of a federal law prohibiting that practice.” 7

                     II. Physicians Are Regulated Under the Controlled Substances Act

                The basic domestic drug trafficking provision of the CSA, 21 U.S.C. § 841,
             governs physicians’ prescriptions of controlled substances. Section 841(a)(1)
             makes it unlawful for “any person knowingly or intentionally . . . to . . . dispense, a
             controlled substance.” The term “dispense” is defined to “mean[] to deliver a
             controlled substance to an ultimate user . . . by, or pursuant to the lawful order of,
             a practitioner . . . .” 21 U.S.C. § 802(10). A “practitioner” includes a “physi-
             cian . . . licensed, registered, or otherwise permitted, by the United States or the
             jurisdiction in which he practices . . . to . . . dispense . . . a controlled substance in
             the course of professional practice.” Id. § 804(21).
                Although section 841(a)(1) generally prohibits the dispensing of controlled
             substances, the statute does permit such action if “authorized by this subchapter.”
             21 U.S.C. § 841(a). One such form of authorization is found in the CSA’s
             provisions dealing with physician “registration.” See id. § 822(b) (“Persons
             registered by the Attorney General . . . to . . . dispense controlled substances . . .
             are authorized to . . . dispense such substances . . . to the extent authorized by their
             registration and in conformity with the other provisions of this subchapter.”).


                6
                  Letter for Jonathan Schwartz, Principal Associate Deputy Attorney General, United States, from
             David Schuman, Deputy Attorney General, Oregon at 7 (Dec. 3, 1997) (“Oregon Deputy Attorney
             General Letter”).
                7
                  Letter for Henry J. Hyde, Chairman, Committee on the Judiciary, U.S. House of Representatives,
             from Janet Reno, Attorney General at 1 (June 5, 1998), reprinted in S. Rep. No. 105-372, at 9 n.10
             (1998) (“Reno Letter”) (“Adverse action against a physician who has assisted in a suicide in full
             compliance with the Oregon Act would not be authorized by the [CSA]”).




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         Physicians may apply to the DEA (which acts here as the Attorney General’s
         delegate) for registration permitting them to prescribe and administer controlled
         substances. Section 823(b) provides that the DEA shall register qualified appli-
         cants unless it “determines that . . . such registration is inconsistent with the public
         interest.” This determination is to be based on any of five factors identified in the
         statute, including “such other factors as may be relevant to and consistent with the
         public health and safety.” Id. § 823(b)(5).
            “[T]he scheme of the [CSA], viewed against the background of the legislative
         history, reveals an intent to limit a registered physician’s dispensing authority to
         the course of his ‘professional practice.’ . . . Implicit in the registration of a
         physician is the understanding that he is authorized only to act ‘as a physician.’ . . .
         [R]egistration is limited to the dispensing and use of drugs ‘in the course of
         professional practice or research.’ Other provisions throughout the Act reflect the
         intent of Congress to confine authorized medical practice within accepted limits.”
         United States v. Moore, 423 U.S. 122, 140-42 (1975). Although section 841(a)
         does not, in terms, state that a physician is authorized to dispense controlled
         substances only for a legitimate medical purpose, that limitation appears to be
         implicit in the statute, see Moore, 423 U.S. at 137 n.13, and has been made explicit
         by DEA regulation. 8 The relevant regulation reads:

                      A prescription issued for a controlled substance to be effective
                  must be issued for a legitimate medical purpose by an individual
                  practitioner acting in the usual course of his professional prac-
                  tice . . . . An order purporting to be a prescription issued not in the
                  usual course of professional treatment or in legitimate and authorized
                  research is not a prescription within the meaning and intent of sec-
                  tion 309 of the Act (21 U.S.C. 829) and the person knowingly filling
                  such a purported prescription, as well as the person issuing it, shall
                  be subject to the penalties provided for violations of the provisions
                  of law relating to controlled substances.

         21 C.F.R. § 1306.04(a) (emphasis added).
            Where a physician dispenses controlled substances without a “legitimate medi-
         cal purpose” under 21 C.F.R. § 1306.04(a), the physician violates several provi-
         sions of the CSA, including sections 829 and 841(a)(1). If such dispensing without
         a legitimate medical purpose is proven in a criminal case, the physician may be
         subject to criminal penalties under 21 U.S.C. §§ 841(a)(1) (felony) and 842(a)(1)

             8
               The courts have found no distinction between the statutory phrase “in the course of professional
         practice” and the regulatory phrase “legitimate medical purpose.” See United States v. Rosenberg, 515
         F.2d 190, 193 (9th Cir. 1975), cert. denied, 423 U.S. 1031 (1975); cf. United States v. Kirk, 584 F.2d
         773, 784 (6th Cir. 1978), cert. denied, 439 U.S. 1048 (1978); United States v. Plesons, 560 F.2d 890,
         897 n.6 (8th Cir. 1977), cert. denied, 434 U.S. 966 (1977).




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             (misdemeanor). See Moore, 423 U.S. at 131 (holding that registered physician can
             be prosecuted and convicted under section 841(a)(1) for dispensing controlled
             substances outside the usual course of professional practice). Even without a
             criminal prosecution or conviction, the DEA may initiate administrative proceed-
             ings to suspend or revoke the registration of a physician based on evidence that the
             physician dispensed controlled substances without a legitimate medical purpose
             under 21 C.F.R. § 1306.04(a). In an administrative proceeding, the government
             must prove, by a preponderance of the evidence, that the physician dispensed in
             violation of section 1306.04(a), and that, as a result, the physician’s continued
             registration would be inconsistent with the public interest. See 21 U.S.C.
             § 824(a)(4) (applying public interest standard of section 823(f) to administrative
             proceedings for suspension or revocation of registration granted under sec-
             tion 823); see generally Robert G. Hallermeier, M.D., Continuation of Registra-
             tion with Restrictions, 62 Fed. Reg. 26,818 (1997) (administrative proceeding in
             which DEA sought revocation of physician’s federal registration). 9 Nothing in the
             language of the CSA or of the relevant DEA regulations requires that the physician
             be shown to have violated state law in order to be subject to criminal sanctions
             under sections 829 or 841(a), or to suspension or revocation of federal registration
             under section 824(a)(4). Indeed, of the five separate grounds listed in section
             824(a)(4) for adverse administration action, only two directly concern state law
             sanctions.10 Further, as we shall discuss in detail below, Congress added the
             “public interest” standard in section 824(a)(4) in order to permit the Attorney
             General to take adverse administrative action against a registrant in cases in which
             the registrant’s wrongful conduct might not have been sanctioned or sanctionable
             under state law.




                 9
                   We note that practitioners have lost or been denied federal registrations necessary to prescribe
             controlled substances because they have prescribed controlled substances used in suicides and other
             lethal overdoses. See, e.g., Hugh I. Schade, M.D., Denial of Application, 60 Fed. Reg. 56,354 (1995);
             José R. Castro, M.D., Denial of Application, 62 Fed. Reg. 16,189 (1997 ); Samuel Fertig, M.D., Denial
             of Application, 49 Fed. Reg. 6577 (1984); Murray J. Walker, M.D., Revocation of Registration, 55 Fed.
             Reg. 5306 (1990); see also Townwood Pharmacy, Revocation of Registration, 63 Fed. Reg. 8477
             (1998).
                 10
                    Section 824(a)(2) authorizes the Attorney General to suspend or revoke a registration upon a
             finding that the registrant “has been convicted of a felony under . . . any . . . law . . . of any State,
             relating to any . . . controlled substance,” while section 824(a)(3) authorizes such action if the registrant
             “has had his State license or registration suspended, revoked, or denied . . . and is no longer authorized
             by State law to engage in . . . dispensing . . . controlled substances . . . or has had the suspension,
             revocation, or denial of his registration recommended by competent State authority.”




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                 III. Dispensing Controlled Substances to Assist in Suicide Does Not
                               Serve a “Legitimate Medical Purpose”

            We understand that physician-assisted suicide typically involves the use of a
         lethal dose of a combination of drugs, including controlled substances. First, the
         patient is sedated using either a barbiturate (e.g., sodium pentothal), or an opiate
         (e.g., morphine). Then, one or more drugs are used to paralyze the muscles and/or
         to stop the heart. The sedatives involved in these procedures are controlled
         substances under the CSA. Most lawfully available opiates and barbiturates are in
         Schedule II of the CSA, the most strictly regulated category of substances
         available for non-research purposes. See 21 C.F.R. § 1308.12(b), (c), (e) (2000).
            In our opinion, assisting in suicide is not a “legitimate medical purpose” within
         the meaning of 21 C.F.R. § 1306.04(a) that would justify a physician’s dispensing
         controlled substances. That interpretation, which the DEA itself originally adopted
         before being overruled by Attorney General Reno, is the best reading of the
         regulatory language: it is firmly supported by the case law, by the traditional and
         current policies and practices of the federal government and of the overwhelming
         majority of the states, and by the dominant views of the American medical and
         nursing professions.

                                                 A. Case Law

            The case law demonstrates that the CSA forbids dispensing controlled sub-
         stances except in the course of accepted medical practice, and that physician-
         assisted suicide is outside the boundaries of such practice.
            In Moore, the Supreme Court in effect approved a jury instruction under which
         a physician would be held criminally liable for dispensing controlled substances in
         violation of 21 U.S.C. § 841(a) unless the physician was acting “in the usual
         course of professional practice and in accordance with a standard of medical
         practice generally recognized and accepted in the United States.” Moore, 423 U.S.
         at 139. The lower courts have followed Moore in requiring that a physician’s
         actions conform to standards “generally recognized and accepted” throughout the
         nation. For example, in United States v. Vamos, 797 F.2d 1146, 1153 (2d Cir.
         1986), the court stated that:

                  To permit a practitioner to substitute his or her views of what is good
                  medical practice for standards generally recognized and accepted in
                  the United States would be to weaken the enforcement of our drug
                  laws in a critical area. As the Supreme Court noted in Moore, “Con-
                  gress intended the CSA to strengthen rather than weaken the prior
                  drug laws.”




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                As the courts have found, physician-assisted suicide has never been, and is not
             now, a generally recognized and accepted medical practice in the United States.
             On the contrary, the American legal system and the American medical profession
             alike have consistently condemned the practice in the past and continue to do so.
                In Washington v. Glucksberg, 521 U.S. 702 (1997), the Supreme Court upheld
             a state prohibition against causing or aiding a suicide against a challenge that, as
             applied to physicians assisting terminally ill, mentally competent patients, the
             prohibition offended the requirements of substantive due process. See id. at 709
             n.6 (describing holding). The Court began its analysis by examining “our Nation’s
             history, legal traditions, and practices,” id. at 710. The Court found that “[i]n
             almost every State—indeed, in almost every western democracy—it is a crime to
             assist a suicide. The States’ assisted-suicide bans are not innovations. Rather, they
             are longstanding expressions of the States’ commitment to the protection and
             preservation of all human life.” Id. (footnote omitted).11 After tracing “the Anglo-
             American common law tradition” that “for over 700 years” “has punished or
             otherwise disapproved of both suicide and assisted suicide,” id. at 711, the Court
             referred to the Oregon “Death With Dignity Act,” which legalized physician-
             assisted suicide for competent, terminally ill adults. The Court’s discussion made
             plain that the Oregon statute represented an exceptional case, contrary both to
             longstanding historical practices and to contemporary trends in the law:

                      Since the Oregon vote, many proposals to legalize assisted-suicide
                      laws have been and continue to be introduced in the States’ legisla-
                      tures, but none has been enacted. And just last year [i.e., 1996], Iowa
                      and Rhode Island joined the overwhelming majority of States explic-
                      itly prohibiting assisted suicide. . . . Also, on April 30, 1997, Presi-
                      dent Clinton signed the Federal Assisted Suicide Funding Restriction
                      Act of 1997, which prohibits the use of federal funds in support of
                      physician-assisted suicide.

             Id. at 717-18 (citations and footnotes omitted). Further, the Court discussed the
             “serious, thoughtful examinations of physician-assisted suicide and other similar
             issues” now going on in the states. Id. at 719. It referred in particular to the work
             of New York State’s Task Force on Life and the Law, a commission composed of
             doctors, ethicists, lawyers, religious leaders and interested laymen charged with
             recommending public policy on issues raised by medical advances. The Court
             noted that after studying physician-assisted suicide, the Task Force had unani-
             mously concluded that “[l]egalizing assisted suicide and euthanasia would pose

                 11
                    Accord Cruzan v. Director, Missouri Dep’t of Health, 497 U.S. 261, 280 (1990) (“As a general
             matter, the States—indeed, all civilized nations—demonstrate their commitment to life by treating
             homicide as a serious crime. Moreover, the majority of States in this country have laws imposing
             criminal penalties on one who assists another to commit suicide.”).




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         profound risks to many individuals who are ill and vulnerable. . . . [T]he potential
         dangers of this dramatic change in public policy would outweigh any benefit that
         might be achieved.” Id. (internal quotation marks and citation omitted; ellipses in
         original).
            Summarizing its review of the American legal tradition’s view of assisted
         suicide, the Court said:

                  Attitudes toward suicide itself have changed since Bracton, but our
                  laws have consistently condemned, and continue to prohibit, assist-
                  ing suicide. Despite changes in medical technology and notwith-
                  standing an increased emphasis on the importance of end-of-life
                  decisionmaking, we have not retreated from this prohibition.

         Id.

                                         B. State and Federal Policy

            As detailed in Washington v. Glucksberg, state law and policy, with the sole
         exception of Oregon’s, emphatically oppose assisted suicide. Assisted suicide has
         long been prohibited at common law, see Glucksberg, 521 U.S. at 711,12 and at
         least forty states and territories have laws explicitly prohibiting the practice.13 “In
         the two hundred and five years of our [national] existence no constitutional right to
         aid in killing oneself has ever been asserted and upheld by a court of final
         jurisdiction.” Compassion in Dying v. Washington, 49 F.3d 586, 591 (9th Cir.
         1995) (Noonan, J.), rehearing en banc granted, 62 F.3d 299 (9th Cir. 1995);
         vacated, 79 F.3d 790 (9th Cir. 1996) (en banc) (Reinhardt, J.) (state could not
         constitutionally prohibit physician-assisted suicide in cases of terminally ill
         competent adults), rev’d sub nom. Washington v. Glucksberg, 521 U.S. 702
         (1997). The only state supreme court to decide the matter has rejected recognition
         of an enforceable right to assisted suicide under that state’s constitution. Krischer
         v. McIver, 697 So.2d 97 (Fla. 1997).
            State statutes banning assisted suicide trace back a century or more in many
         cases. They have not been kept on the books through oversight or neglect:

                     Many jurisdictions have expressly reconsidered these laws in
                  recent years and reaffirmed them. In 1980, the American Law Insti-
                  tute conducted a thorough review of state laws on assist[ed] suicide
                  in the United States and acknowledged the continuing widespread

             12
                See generally Thomas J. Marzen, Mary K. O’Dowd, Daniel Crone & Thomas J. Balch, Suicide: A
         Constitutional Right?, 24 Duq. L. Rev. 1, 71-75 (1985).
             13
                See Christine Neylon O’Brien & Gerald A. Madek, Physician-Assisted Suicide: New Protocol for
         a Rightful Death, 77 Neb. L. Rev. 229, 275 n.314 (1998).




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                      support for criminalization. Accordingly, it endorsed two criminal
                      provisions of its own. In the 1990s, both New York and Michigan
                      convened blue-ribbon commissions to consider the possibility of
                      legalizing assisted suicide and euthanasia. The New York commis-
                      sion issued a thoughtful and detailed report unanimously recom-
                      mending the retention of existing laws against assisting suicide and
                      euthanasia. The Michigan panel divided on the issue, but the state
                      legislature subsequently chose to enact a statute strengthening its
                      existing common law ban against assisted suicide. . . . Meanwhile,
                      repeated efforts to legalize the practice—in state legislatures and by
                      popular referenda—have met with near-total failure.

             Neil M. Gorsuch, The Right to Assisted Suicide and Euthanasia, 23 Harv. J. L. &
             Pub. Pol’y 599, 639-41 (2000) (“Gorsuch”) (footnotes omitted).
                 Federal policy fully accords with the views that prevail in every state except
             Oregon. As noted in Glucksberg, the Assisted Suicide Funding Restriction Act of
             1997, Pub. L. No. 105-12, 111 Stat. 23, was signed into law on April 30, 1997.
             The Act was approved in the House of Representatives by a 398-to-16 vote and in
             the Senate by a 99-0 vote. The Act bans federal funding of assisted suicide,
             euthanasia, or mercy killing through Medicaid, Medicare, military and federal
             employee health plans, the veterans health care system, or other federally funded
             programs. In the “Findings” preceding the Act’s substantive restrictions, Congress
             stated that “[a]ssisted suicide, euthanasia, and mercy killing have been criminal
             offenses throughout the United States and, under current law, it would be unlawful
             to provide services in support of such illegal activities.” Id. § 2(a)(2). Then, after
             taking note that the Oregon “Death With Dignity Act” might soon become
             operative, see id. § 2(a)(3), Congress determined that it would “not provid[e]
             Federal financial assistance in support of assisted suicide, euthanasia, and mercy
             killing and intends that Federal funds not be used to promote such activities.” Id.
             § 2(a)(4). In general, Congress stated that its purpose was “to continue current
             Federal policy by providing explicitly that Federal funds may not be used to pay
             for items and services (including assistance) the purpose of which is to cause (or
             assist in causing) the suicide, euthanasia, or mercy killing of any individual.” Id.
             § 2(b).
                 Even before the enactment of the Assisted Suicide Funding Restriction Act of
             1997, it was the policy of the federal government not to recognize physician-
             assisted suicide as a legitimate medical practice. As Acting Solicitor General
             Walter Dellinger noted in 1996 in the United States brief in Glucksberg:

                      The United States owns and operates numerous health care facilities
                      which . . . do not permit physicians to assist patients in committing
                      suicide by providing lethal dosages of medication. The Department




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                  of Veterans Affairs (VA), which operates 173 medical centers, 126
                  nursing homes, and 55 in-patient hospices, has a policy manual
                  that . . . forbids “the active hastening of the moment of death.” . . .
                  The military services, which operate 124 centers, the Indian Health
                  service, which operates 43 hospitals, and the National Institutes of
                  Health, which operate a clinical center, follow a similar practice . . . .
                  No federal law . . . either authorizes or accommodates physician
                  assisted suicide.14

            Other federal agencies have taken similar views in the past. The Hyde Letter
         noted that “[t]he Health Care Financing Administration has stated that physician-
         assisted suicide is not ‘reasonable and necessary’ to the diagnosis and treatment of
         disease or injury and is therefore barred from reimbursement under Medicare.”
         Hyde Letter, supra note 4, at 1. Administrator Constantine’s reply stated that a
         review of “a number of cases, briefs, law review articles and state laws relating to
         physician-assisted suicide” and “a thorough review of prior administrative cases in
         which physicians have dispensed controlled substances for other than a ‘legitimate
         medical purpose’” demonstrated “that delivering, dispensing or prescribing a
         controlled substance with the intent of assisting a suicide would not be under any
         current definition a ‘legitimate medical purpose.’”15
            Finally, federal medical policy since the enactment of the Assisted Suicide
         Funding Restriction Act also supports the conclusion that physician-assisted
         suicide is not a legitimate medical practice. In 1999, the Surgeon General sought
         to classify suicide as a serious public health problem and to intensify suicide
         prevention efforts, especially among high risk groups such as the sick and elderly,
         who often suffer from undiagnosed depression and inadequately treated pain.16
         Dispensing controlled substances to assist the suicides of some of the most



             14
                Brief for the United States as Amicus Curiae Supporting Petitioners at 1-2, Washington v.
         Glucksberg, 521 U.S. 702 (1997) (No. 96-110) (“United States Brief in Glucksberg”).
             15
                Constantine Letter, supra note 5, at 1-2. Also relevant to the past practice of federal agencies is
         United States v. Rutherford, 442 U.S. 544 (1979), which involved a challenge by terminally ill cancer
         patients to the determination of the Food and Drug Administration (“FDA”) that Leatrile constituted a
         “new drug” for purposes of the Federal Food, Drug and Cosmetic Act because it was not generally
         regarded as safe or effective. In upholding the FDA’s determination, the Court rejected the plaintiffs’
         argument that an implied exception from the Act was justified because the safety and effectiveness
         standards could have no reasonable application to terminally ill patients. It pointed out that “the FDA
         has never made exception [from the FDA’s safety standards] for drugs used by the terminally ill.” Id.
         at 553.
             16
                See generally U.S. Public Health Service, Dep’t of Health and Human Services, The Surgeon
         General’s Call to Action to Prevent Suicide (1999), available at http://www.surgeongeneral.gov/
         library/calls/index.html (last visited Aug. 3, 2012); see also Improving Palliative Care for Cancer:
         Summary and Recommendations (Kathleen M. Foley & Hellen Gelbard, eds., 2001) (finding depression
         common among terminally ill cancer patients, and recommending greater emphasis on palliative care).




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             vulnerable members of American society is manifestly inconsistent with the
             Surgeon General’s policy.17

                                 C. Views of the Medical and Nursing Professions

                The leading organizations of the American medical profession have repeatedly,
             and recently, expressed the profession’s condemnation of physician-assisted


                 17
                    See United States Brief in Glucksberg at 19. Medical evidence suggests that many terminally ill
             patients who seek death do so not as a result of rational deliberation, but rather because of depression or
             mental illness. Moreover, given modern palliative care techniques, pain-avoidance cannot justify the
             general practice of assisted suicide. See Susan R. Martyn and Henry J. Bourguignon, Now Is The
             Moment to Reflect: Two Years of Experience With Oregon’s Physician-Assisted Suicide Law, 8 Elder
             L.J. 1, 14-16 (2000) (footnotes omitted) (“First, the rate of depression among terminally ill patients
             appears to be ‘much higher than would be expected in the general population.’ Recent studies indicate
             that fully two-thirds of those requesting assisted suicide suffer from depression. Second, seriously ill
             patients often require powerful medications which can distort the patient’s thoughts and feelings. ‘For
             many patients, the progression of disease will result in the impairment of decisionmaking capacity,
             either from the effects of the disease itself or those of drug treatment.’ Third, seriously ill patients may
             also suffer physical and mental disability, have short attention spans, or find it difficult to concentrate.
             They may have difficulty hearing or thinking through complex subjects. . . . Physicians, psychiatrists,
             and psychologists, like anyone else who deals with a seriously ill, mentally or physically disabled
             patient can all too easily conclude that the patient’s request for assisted suicide is reasonable and
             therefore competent. The greatest threat is that persons with mental or physical disabilities or
             depression, especially those who burden others, will readily be found competent to request assistance in
             suicide. . . . Depression, the major precursor of suicidal intent, often worms its way into serious
             illnesses and, especially among the elderly, can remain undiagnosed and untreated. In fact, clinical
             studies now indicate that depression is the only factor that predicts suicidal intent or ideation. Indeed,
             Oregon physicians report that they recognized symptoms of depression in twenty percent of patients
             who sought suicide assistance.”); id. at 38-43 (describing significant recent innovations in palliative
             care, noting that states are increasingly enacting intractable pain legislation to assure physicians that
             adequate pain control is legally and medically required, and suggesting that legalizing physician-
             assisted suicide may inhibit advances in such care); New York State Task Force on Life and the Law,
             When Death is Sought: Assisted Suicide and Euthanasia in the Medical Context 11, 13 (1994) (“Studies
             that examine the psychological background of individuals who kill themselves show that 95 percent
             have a diagnosable mental disorder at the time of death. Depression, accompanied by symptoms of
             hopelessness and helplessness, is the most prevalent condition among individuals who commit
             suicide. . . . In one study of terminally ill patients, of those who expressed a wish to die, all met
             diagnostic criteria for major depression.”); Brief for American Geriatrics Soc. as Amicus Curiae at 7-9,
             Vacco v. Quill, 521 U.S. 793 (1997), Washington v. Glucksberg, 521 U.S. 702 (1997) (Nos. 95-1858,
             96-100) (1996) (hospice and palliative care programs relieve pain and other severe symptoms for those
             near death and should be preferred treatment options; also noting high correlation between cognitive or
             emotional dysfunctioning such as depression and suicide inquiries); Leon R. Kass and Nelson Lund,
             Physician-Assisted Suicide, Medical Ethics and the Future of the Medical Profession, 35 Duq. L. Rev.
             395, 406 (1996) (“Kass & Lund”) (“Because the quick-fix of suicide is easy and cheap, it will in many
             cases replace the use of hospice and other humanly-engaged forms of palliative care, for there will be
             much less economic incentive to continue building and supporting social and institutional arrangements
             for giving humane care to the dying.”); Yale Kamisar, Against Assisted Suicide—Even a Very Limited
             Form, 72 U. Detroit Mercy L. Rev. 735, 744 (1995) (“Although pain is notoriously undertreated in this
             country, ‘according to experts in the field of pain control, almost all terminally ill patients can
             experience adequate relief with currently available treatments.’”) (footnotes omitted); Gorsuch at 691.




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         suicide. The American Medical Association (“AMA”), joined by the American
         Nurses Association (“ANA”), the American Psychiatric Association, and 43 other
         national medical organizations, filed a brief in the Glucksberg case declaring that
         “[t]he ethical prohibition against physician-assisted suicide is a cornerstone of
         medical ethics” and that physician-assisted suicide is “‘fundamentally incompati-
         ble with the physician’s role as healer.’”18 More specifically, the AMA’s Brief
         said:

                  The power to assist in intentionally taking the life of a patient is anti-
                  thetical to the central mission of healing that guides both medicine
                  and nursing. It is a power that most physicians and nurses do not
                  want and could not control. Once established, the right to physician-
                  assisted suicide would create profound danger for many ill persons
                  with undiagnosed depression and inadequately treated pain, for
                  whom physician-assisted suicide rather than good palliative care
                  could become the norm. At greatest risk would be those with the
                  least access to palliative care—the poor, the elderly, and members of
                  minority groups.

                     Amici acknowledge that many patients today do not receive prop-
                  er treatment for their pain, depression, and psychological distress.
                  Nevertheless, physician-assisted suicide is not the right answer to the
                  problem of inadequate care. Although for some patients it might
                  appear compassionate intentionally to cause death, institutionalizing
                  physician-assisted suicide as a medical treatment would put many
                  more patients at serious risk for unwanted and unnecessary death.

                      ...

                     The ethical prohibition against physician-assisted suicide is a cor-
                  nerstone of medical ethics. Its roots are as ancient as the Hippocratic
                  oath that a physician “will neither give a deadly drug to anybody if
                  asked for it, nor . . . make a suggestion to this effect,” and the merits
                  of the ban have been debated repeatedly in this nation since the late
                  nineteenth century. Most recently, the AMA has reexamined and
                  reaffirmed the ethical prohibition against physician-assisted suicide
                  in 1977, 1988, 1991, 1993, and 1996.19



            18
               Brief for American Medical Association et al. as Amici Curiae at 5, Washington v. Glucksberg,
         521 U.S. 702 (1997) (No. 96-110) (1996).
            19
               Id. at 2-5.




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                 As the Court noted in Glucksberg, 521 U.S. at 731, the AMA’s Code of Ethics
             condemns physician-assisted suicide as fundamentally incompatible with the
             physician’s role as a healer. AMA, Code of Ethics § 2.211 (1994); see also
             Council on Ethical and Judicial Affairs, Decisions Near the End of Life, 267
             JAMA 2229, 2233 (1992). Largely on the basis of the AMA’s position, the Court
             found that the State of Washington had “an interest in protecting the integrity and
             ethics of the medical profession” when it prohibited physician-assisted suicide.
             Glucksberg, 521 U.S. at 731; see also Compassion in Dying, 49 F.3d at 592
             (citation omitted) (“From the Hippocratic Oath with its promise ‘to do no
             harm,’ . . . to the AMA’s code, the ethics of the medical profession have pro-
             scribed killing.”).
                 The AMA took the same unequivocal position in hearings before Congress on
             the subject of assisted suicide. See Assisted Suicide in the United States: Hearing
             Before the Subcomm. on the Constitution of the House Comm. on the Judiciary,
             United States House of Representatives, 104th Cong. 309-11 (1996) (statement of
             Lonnie L. Bristow, M.D., Pres., AMA). Dr. Bristow testified:

                          The AMA believes that physician-assisted suicide is unethical and
                      fundamentally inconsistent with the pledge physicians make to them-
                      selves to healing and to life. . . . AMA takes seriously its role as a
                      leader in issues of medical and professional ethics. The AMA’s
                      “code of ethics” serves as the profession’s defining document as to
                      what is right versus what is wrong in medical practice, and such are
                      critical to our professionalism and our role as healers. My primary
                      obligation as a physician is to first be an advocate for my patient. If
                      my patient in understandably apprehensive or afraid of his or her
                      own mortality, I need to provide information, support, and comfort,
                      not help them avoid the issues of death.

             Id. at 310.
                 The American Nurses Association (“ANA”), a national organization represent-
             ing 2.2 million registered nurses, submitted written testimony to Congress at the
             same hearing. See id. at 438-50. Included in the ANA’s submission was the
             organization’s Position Statement on Assisted Suicide (1994). The Position
             Statement succinctly summarizes the ANA’s view of nurse-assisted suicide as
             follows:

                         The American Nurses Association (ANA) believes that the nurse
                      should not participate in assisted suicide. Such an act is in violation
                      of the Code for Nurses with Interpretive Statements (Code for Nurs-
                      es) and the ethical traditions of the profession.




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         Id. at 443. The “Rationale” in the Position Statement sets forth comprehensively
         the basis of the ANA’s view. It states in part:

                       • The profession of nursing is built upon the Hippocratic tradition
                    “do no harm” and an ethic of moral opposition to killing another
                    human being. The ethical framework of the profession as articulated
                    through the Code for Nurses explicitly prohibits deliberately termi-
                    nating the life of any human being.

                       • Nursing has a social contract with society that is based on trust
                    and therefore patients must be able to trust that nurses will not
                    actively take human life. . . . Nurse participation in assisted suicide is
                    incongruent with the accepted norms and fundamental attributes of
                    the profession. . . .

                       • While there may be individual patient cases that are compelling,
                    there is high potential for abuses with assisted suicide, particularly
                    with vulnerable populations such as the elderly, poor and disabled.
                    These conceivable abuses are even more probable in a time of
                    declining resources. The availability of assisted suicide could
                    forseeably weaken the goal of providing quality care for the dying.

         Id. at 445.
             Scholars have observed that the norms of the medical and nursing professions
         with respect to physician-assisted suicide, which reflect the experience and the
         reflection of centuries, are more compelling now than ever. See Kass & Lund,
         supra note 17, at 423 (“Given the great pressures threatening medical ethics
         today—including, among other factors, a more impersonal practice of medicine,
         the absence of a lifelong relationship with a physician, the push toward managed
         care, and the financially-based limitation of services—a bright line rule regarding
         medically-assisted suicide is a bulwark against disaster.”); see also Seth F.
         Kreimer, Does Pro-Choice Mean Pro-Kevorkian? An Essay on Roe, Casey, and
         the Right to Die, 44 Am. U. L. Rev. 803, 841 (1995) (“Particularly with the
         emergence of cost controls and managed care in the United States, the danger of
         tempting health care providers to persuade chronic patients to minimize costs by
         ending it all painlessly is no fantasy.”).
             To be sure, it has been claimed that physician-assisted suicide has become a
         common, if also usually clandestine, practice.20 But the claim is questionable. The
         American Geriatrics Society, for example, has stated that the Society’s leadership
         “is unfamiliar with situations in which this is true, and it seems unlikely. Three-


             20
                  See, e.g., Compassion in Dying, 79 F.3d at 811.




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             quarters of all deaths happen in institutions where a regularized endeavor would
             require the collusion of a large number of persons, which seems implausible. Little
             reliable evidence characterizes the rate and nature of actual instances of [physi-
             cian-assisted suicide].” Brief for American Geriatrics Soc. as Amicus Curiae at 10,
             Vacco v. Quill, 521 U.S. 793 (1997), Washington v. Glucksberg, 521 U.S. 702
             (1997). Moreover, even if there were reliable evidence that unacknowledged
             physician-assisted suicide was not infrequent, that fact would hardly invalidate the
             normative judgments of the AMA and other medical groups that emphatically
             condemn the practice. By parity of reasoning, if it could be shown that physicians
             violated traditional medical canons of ethics more often that is usually supposed,
             e.g., by engaging in sexual relations with their patients or disclosing patient
             confidences, it would follow that the evidence of such deviations overturned the
             professional standards prohibiting such misconduct.
                 Thus, the overwhelming weight of authority in judicial decisions, the past and
             present policies of nearly all of the states and of the federal government, and the
             clear, firm and unequivocal views of the leading associations within the American
             medical and nursing professions, establish that assisting in suicide is not an
             activity undertaken in the course of professional medical practice and is not a
             legitimate medical purpose. Indeed, we think it fair to say that physician-assisted
             suicide should not be considered a medical procedure at all. Here we follow an
             amicus brief filed in Glucksberg by a group of fifty bioethics professors, who
             declared that physician-assisted suicide “is not a medical procedure, and
             medicalizing an act runs the risk of making an otherwise unacceptable act appear
             acceptable.” Brief for Bioethics Professors as Amici Curiae Supporting Petitioners
             at 27, Vacco v. Quill, 521 U.S. 793 (1997), Washington v. Glucksberg, 521 U.S.
             702 (1997) (Nos. 95-1858, 96-100). As this brief points out, assisted suicide does
             not require any medical knowledge whatever, nor does it necessarily depend on
             access to any prescribed drugs or to medical services. Indeed, the country’s most
             prominent partisan of assisted suicide, Jack Kevorkian, has often used the entirely
             non-medical method of carbon monoxide poisoning. See George J. Annas,
             Physician Assisted Suicide—Michigan’s Temporary Solution, 20 Ohio N.U.L.
             Rev. 561, 568 (1994). It is plainly a fallacy to assume that a procedure must be
             “medical” because it is performed by a physician rather than, say, by a family
             member, or because it involves the use of a drug that a physician has prescribed.21



                 21
                    The Oregon Deputy Attorney General’s Letter assumes, uncritically, that physician-assisted
             suicide, if authorized by state law, must be considered a “medical” practice that serves a “medical”
             purpose. See Oregon Deputy Attorney General Letter, supra note 6, at 7 (“[T]he CSA is addressed to
             the problems of the abuse and trafficking of controlled substances, [not to] regulating medical practices
             that are legal under state law and that have no relation to drug abuse or trafficking”). As we have
             argued above, it is far from obvious (to say no more) that assisting an individual to kill himself or
             herself must be considered a “medical” procedure.




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            Accordingly, we conclude that assisting in suicide is not a “legitimate medical
         purpose” that would justify a physician’s dispensing controlled substances
         consistent with the CSA.

                    IV. The Existence of a State Law Permitting Physician-Assisted
                       Suicide Does Not Immunize a Physician from the General
                                      Requirements of the CSA

            The CSA establishes a uniform, nation-wide statutory scheme for regulating the
         distribution of controlled substances. Notwithstanding the traditional role of the
         states in regulating the practice of medicine,22 state law cannot abrogate the CSA
         or supersede its provisions in the event of conflict.23 Thus, the fact that assisting in
         suicide may be permitted in some cases for Oregon physicians under local law
         does not entail that they should be held immune from criminal prosecution or
         adverse administrative action under the CSA if they dispense a controlled
         substance when rendering that assistance. It is simply wrong to suggest, as the
         Deputy Attorney General of Oregon did, that the CSA does not reach “practices
         that are engaged in by physicians in accordance with state law.”24
            The Supreme Court’s very recent decision in the so-called “medical marijuana”
         case, United States v. Oakland Cannabis Buyers’ Coop., 532 U.S. 483 (2001),
         demonstrates the fallacy of attempting to read an implied immunity into the CSA
         for physicians who dispense controlled substances to assist suicides in a state in
         which such conduct is consistent with local law. In Oakland Cannabis Buyers, the
         Supreme Court addressed the question whether there was an implied “medical
         necessity” exception to the CSA’s general prohibition in 21 U.S.C. § 841(a)(1) on
         manufacturing and distributing marijuana. Marijuana is a “schedule I” controlled
         substance. For drugs on that schedule, there is but one express statutory exception,
         and that exception is available only for government-approved research projects.
         See 21 U.S.C. § 823(f); Oakland Cannabis Buyers, 532 U.S. at 491.25 Notwith-
         standing the fact that it did not fall within the sole express statutory exception, the
         defendant Cooperative argued that the statute should be read to include another,
         implied exception for “medical necessity.” The Supreme Court refused to read
         such an exception into the CSA.


            22
               See, e.g., Buckman Co. v. Plaintiffs’ Legal Comm., 531 U.S. 341, 347 (2001); Gade v. Nat’l Solid
         Wastes Management Ass’n, 505 U.S. 88, 108 (1992).
            23
               See, e.g., Rosenberg, 515 F.2d at 198 n.14.
            24
               See Oregon Deputy Attorney General Letter, supra note 6, at 6.
            25
               The controlled substances usually used in physician-assisted suicide are, as we have noted,
         schedule II substances, and accordingly are governed by a different regulatory regime from schedule I
         substances. In particular, registered practitioners may “dispense” schedule II, but not schedule I,
         substances. See 21 U.S.C. § 824(f). This distinction does not, however, affect the relevance of Oakland
         Cannabis Buyers to the questions considered in this memorandum.




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                 Because of the passage in a 1996 voter initiative of the Compassionate Use Act
             of 1996, Cal. Health & Safety Code Ann. § 11362.5 (West Supp. 2001), California
             laws prohibiting the possession and cultivation of marijuana now include an
             exception for a patient or primary caregiver who possesses or cultivates marijuana
             for the patient’s medical purposes upon the recommendation or approval of a
             physician. In the wake of the voter initiative, “medical cannabis dispensaries”
             were organized to meet the needs of qualified patients. The defendant was one
             such organization, and distributed marijuana to those it accepted as members. The
             United States sued the defendant in 1998, arguing that, “whether or not the
             Cooperative’s activities are legal under California law, they violate” section 841(a)
             of the CSA. Oakland Cannabis Buyers, 532 U.S. at 487. Despite being enjoined
             from distributing marijuana, the defendant continued to do so, and the United
             States accordingly initiated contempt proceedings. In defense, it was “contended
             that any distributions were medically necessary. Marijuana is the only drug,
             according to the Cooperative, that can alleviate the severe pain and other debilitat-
             ing symptoms of the Cooperative’s patients.” Id. (citation omitted). The district
             court found the defendant in contempt, and declined to modify its injunction so as
             to permit marijuana distributions that were asserted to be medically necessary.
             Although the defendant’s appeal of the contempt order was mooted, its motion to
             modify the injunction presented a live controversy, and the court of appeals
             accepted the defendant’s argument that medical necessity was a legally cognizable
             defense under the CSA. The United States sought certiorari to review the court of
             appeals’ decision, and the Supreme Court granted the petition because the
             appellate decision below “raise[d] significant questions as to the ability of the
             United States to enforce the Nation’s drug laws.” Id. at 489.
                 The Supreme Court flatly rejected the defendant’s claim of an implied medical
             necessity exception. “[T]o resolve the question presented, we need only recognize
             that a medical necessity exception for marijuana is at odds with the terms of the
             Controlled Substances Act. The statute, to be sure, does not explicitly abrogate the
             defense. But its provisions leave no doubt that the defense is unavailable.” Id.
             at 491 (footnote omitted).
                 The question whether Oregon physicians may dispense controlled substances to
             assist in a suicide without violating the CSA is similar to (although it is of course
             not the same as) the question decided in Oakland Cannabis Buyers. In effect, the
             argument that such physicians do not violate the CSA depends on the assumption
             that because assisting suicide in that manner is permissible under state law, the
             CSA must be interpreted so that such dispensing is done “in the course of
             professional practice,” 21 U.S.C. § 802(21), and the DEA’s regulations must be
             read so that such actions serve “a legitimate medical purpose,” 21 C.F.R.
             § 1306.04(a). But a state cannot, by its unilateral action, take its physicians’
             conduct out of the scope of otherwise nationally applicable prohibitions on the
             dispensing of controlled substances. The CSA contains no express immunity for




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         such conduct in states in which physicians may assist suicides compatibly with
         local law, and it should not be construed in a manner that implies such an immuni-
         ty.26

                V. The CSA Contemplates Concurrent Federal and State Regulation
                       of Medical Practices Involving Controlled Substances

            Like the Court in Oakland Cannabis Buyers, we share the concern for “‘show-
         ing respect for the sovereign States that comprise our Federal Union.’” Oakland
         Cannabis Buyers, 532 U.S. at 494 n.7 (quoting Stevens, J., concurring in judg-
         ment). But we think it shows no disrespect for the principles of federalism to
         conclude that the states cannot, by their unilateral actions, shelter their physicians
         from the federal narcotics code. Although the states are the primary regulators of
         the practice of medicine, they are not its exclusive regulators: since the Harrison
         Narcotics Act of 1914, the federal government has regulated the practice of
         medicine insofar as it involved the dispensing of controlled drugs.27 Physicians
         were often prosecuted under the Harrison Act for prescribing drugs in a manner
         that did not comport with federal statutory requirements or that fell outside the
         course of professional practice as determined by the federal courts.28 Further, the
         Supreme Court repeatedly upheld the authority of federal prosecutors to bring such
         cases against physicians over the objection that the Harrison Act impermissibly
         encroached on a regulatory power exclusively reserved to the states.29 The CSA

             26
                We note that the Reno Letter, supra note 7, at 3-4, expressly recognized that its conclusion was
         “limited to these particular circumstances” in Oregon (and, should any other State follow Oregon, such
         a State), and affirmed that “[a]dverse action under the CSA may well be warranted in other circum-
         stances: for example, where a physician assists in a suicide in a state that has not authorized the practice
         under any conditions.” Construing the CSA and its regulations as Attorney General Reno did would
         accordingly cause the Act’s prohibitions to apply differently from one state to another, and would in
         effect grant the states the power to immunize their physicians from liability under otherwise generally
         applicable federal law.
             27
                See Moore, 423 U.S. at 132 (“Physicians who stepped outside the bounds of professional practice
         could be prosecuted under the Harrison Act (Narcotics) of 1914, 38 Stat. 785, the predecessor of the
         CSA.”); id. at 139 (“Under the Harrison Act physicians who departed from the usual course of medical
         practice were subject to the same penalties as street pushers with no claim to legitimacy.”).
             28
                See, e.g., United States v. Behrman, 258 U.S. 280 (1922) (sustaining conviction of physician over
         dissent’s argument that defendant should have been assumed to have given drugs in the regular course
         of his practice and in good faith); Jin Fuey Moy v. United States, 254 U.S. 189, 194 (1920) (sustaining
         conviction; Court states that “[m]anifestly the phrases ‘to a patient’ and ‘in the course of his profes-
         sional practice only’ are intended to confine the immunity of a registered physician, in dispensing the
         narcotic drugs mentioned in the act, strictly within the appropriate bounds of a physician’s . . .
         practice.”); Webb v. United States, 249 U.S. 96, 99-100 (1919) (holding that to call the defendant’s
         order for the use of morphine a “physician’s prescription” would “be so plain a perversion of meaning
         that no discussion of the subject is required.”).
             29
                See Nigro v. United States, 276 U.S. 332, 353-54 (1928) (upholding constitutionality of Harrison
         Act as revenue measure despite claim that it infringed on states’ police power to regulate intrastate
         purchases of commodities); Linder v. United States, 268 U.S. 5, 18 (1925) (prosecution of physician




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             was intended “to strengthen rather than to weaken the prior drug laws.”30 Conse-
             quently, dispensing controlled substances has been an aspect of medical practice
             that the federal government has regulated concurrently with the states for some
             eighty-seven years.31
                Both in enacting the CSA in 1970 and in amending it in 1984, Congress was
             well aware that enforcement of the federal law would unavoidably necessitate
             federal regulation of medicine concurrent with, and in some circumstances
             designedly superseding, state regulation. In the House Report on what is now 42
             U.S.C. § 257a,32 the Committee on Interstate and Foreign Commerce noted the
             difficulty but found it inescapable:

                      Although the committee is concerned about the appropriateness of
                      having Federal officials determine the appropriate method of the
                      practice of medicine, it is necessary to recognize that for the last 50
                      years this is precisely what has happened, through criminal prosecu-
                      tion of physicians whose methods of prescribing narcotic drugs have
                      not conformed to the opinion of Federal prosecutors of what consti-
                      tutes appropriate methods of professional practice.

             H.R. Rep. No. 91-1444, pt. 1, at 15 (1970), reprinted in 1970 U.S.C.C.A.N. 4566,
             4581 (emphasis added).
                Further, Congress revisited the CSA in 1984 in order to add amendments that
             expanded federal authority at the expense of the states and were specifically
             directed against the misuse of federally regulated prescription drugs (that other-
             wise have legitimate medical uses) in a manner that did not violate state law. The
             expanded federal authority was accomplished by adding “inconsistency with the
             public interest” as a ground for denying, suspending, or revoking federal registra-
             tion. See 21 U.S.C. § 823(f) (“The Attorney General may deny an application for
             such registration if he determines that the issuance of such registration would be
             inconsistent with the public interest.”); id. § 824(a)(4) (DEA may revoke registra-
             tion of any physician who has committed acts “inconsistent with the public
             interest.”). Previously, the federal government lacked the authority under the CSA
             to deny a physician’s registration application when the physician possessed a


             under Harrison Act; Court states that while “direct control of medical practice in the States is beyond
             the power of the Federal Government,” “[i]ncidental regulation of such practice by Congress through a
             taxing act” may be permitted); United States v. Doremus, 249 U.S. 86, 93-94 (1919).
                 30
                    Moore, 423 U.S. at 139.
                 31
                    Cf. Minnesota ex rel. Whipple v. Martinson, 256 U.S. 41 (1921) (state law regulating physicians’
             furnishing or prescribing narcotic drugs held compatible with Harrison Act).
                 32
                    This provision was originally enacted as section 4 of title I of the Comprehensive Drug Abuse
             and Control Act of 1970, 84 Stat. 1236, 1241 (1970); title II comprised the CSA. Hence the legislative
             history of the provision is highly relevant to the CSA.




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         license from the state to practice medicine and had no felony drug conviction. See
         S. Rep. No. 98-225, at 262 (1984) (footnote omitted) (“the Attorney General must
         presently grant a practitioner’s registration application unless his State license has
         been revoked or he has been convicted of a felony drug offense, even though such
         action may clearly be contrary to the public interest”).33
             Supporters of the 1984 amendments explained that the most serious threat to
         “public health and safety” prompting this legal change was the frequency with
         which prescription drugs were involved in “drug-related deaths” and overdoses
         that threatened life.34 Representative Hamilton Fish, a sponsor of the 1984
         amendments, said that giving flexibility to the federal government was necessary
         because states often did not respond adequately to abuses: “State policing of these
         activities . . . ha[s] not been [an] adequate control measure[]. State laws regarding
         the dispensing of controlled substances are also inadequate.” 130 Cong. Rec. at
         25,849. At a hearing before the House Commerce Subcommittee on Health and
         the Environment, the DEA called the expanded federal authority to revoke
         practitioner registrations “one of the most important sections of the bill,” not only
         because states were often ill-equipped to enforce their own drug laws but also
         because “[m]any controlled drug violations involving prescription drugs are not
         felonies under state law and therefore cannot be used in a DEA revocation action”
         under then-existing law.35 Members of Congress also explained that the 1984
         amendments were intended to “expand[] the standards for practitioner registration
         beyond the current exclusive reliance upon authorization by the practitioner’s own
         jurisdiction.”36
             Congress intended, therefore, that the “inconsistent with the public interest”
         standard be more demanding than the standard of a physician’s licensing state. The
         1984 amendments authorized the DEA to enforce the CSA against medical
         practitioners who prescribed controlled substances in a manner that “endangers
         public health or safety” contrary to the “public interest,” notwithstanding the
         nature or content of state law or regulation. Consistent with Congress’s purpose,


             33
                See also 130 Cong. Rec. 25,852 (1984) (statement of Rep. Rangel); see generally Moore, 423
         U.S. at 140-41 (“In the case of a physician th[e] scheme [of the registration provision of the then-
         existing CSA] contemplates that he is authorized by the State to practice medicine and to dispense
         drugs in connection with his professional practice. The federal registration . . . follows automatically.”).
             34
                Dangerous Drug Diversion Act of 1984: Hearing on H.R. 5656 Before House Comm. on Health
         and the Environment, 98th Cong. 365 (1984) (testimony of Rep. Waxman) (“[d]rugs legally manufac-
         tured for use in medicine are responsible for a substantial majority of drug-related deaths and injuries”);
         see also 130 Cong. Rec. 25,851 (statement of Rep. Rodino) (“prescription drugs are responsible for
         close to 70 percent of the deaths and injuries due to drug abuse”).
             35
                Dangerous Drug Diversion Control Act of 1984: Hearing on H.R. 5656 Before Subcomm. on
         Health and the Environment of House Comm. on Energy and Commerce, 98th Cong. 403-04 (1984)
         (statement of Gene R. Haislip, Deputy Assistant Administrator, Drug Enforcement Administration).
             36
                130 Cong. Rec. 1586 (1984) (statement of Sen. Laxalt); see also 130 Cong. Rec. at 25,851-52
         (statement of Rep. Rangel).




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             the public interest standard incorporated in section 824(f) is best understood to
             authorize suspension or revocation of the federal registration of a practitioner who
             dispenses controlled substances to assist in a suicide, even if such conduct is
             permitted under state law.

                               VI. The CSA’s Preemption Provision Is Consistent with
                                               This Interpretation

                The CSA itself includes a provision designed to narrow possible federal
             preemption of state law. The provision is found at 21 U.S.C. § 903. Section 903
             plainly does not require the Department of Justice to accept Oregon’s determina-
             tion of what is a “legitimate medical purpose.”

                      Section 903 reads as follows:

                         No provision of this subchapter shall be construed as indicating
                      an intent on the part of the Congress to occupy the field in which that
                      provision operates, including criminal penalties, to the exclusion of
                      any State law on the same subject matter which would otherwise be
                      within the authority of the State, unless there is a positive conflict
                      between that provision of this subchapter and that State law so that
                      the two cannot consistently stand together.

             21 U.S.C. § 903.
                For at least two reasons, we do not think that section 903 affects the conclusion
             that assisting in a suicide is not a legitimate medical purpose that would justify a
             physician’s dispensing a controlled substance.
                First, if section 841(a) and other pertinent parts of the CSA are read and applied
             in accordance with the DEA’s regulation, 21 C.F.R. § 1306.04(a), and the
             interpretation of it here, it would certainly not follow that the CSA was being
             understood to “occupy the field” of regulating the medical profession to the
             “exclusion of any State law.”3 7 On the contrary, as we have just shown, the states
             remain free to regulate that profession concurrently with the federal government,
             as they have done since 1914. Federal regulation of the profession under the CSA
             would reach only the dispensing of controlled substances, which is hardly the

                 37
                    Congress’s intent to preempt all state law in a particular area may be inferred “where the scheme
             of federal regulation is sufficiently comprehensive to make reasonable the inference that Congress ‘left
             no room’ for supplementary state regulation” or “where the field is one in which ‘the federal interest is
             so dominant that the federal system will be assumed to preclude enforcement of state laws on the same
             subject.’” Hillsborough County v. Automated Medical Labs., Inc., 471 U.S. 707, 713 (1985) (citations
             omitted). Interpreting the CSA and its regulations to reach the conduct of physicians who dispense
             drugs to assist suicide does not require the assumption that Congress intended to occupy the field of
             regulation of the medical profession.




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         whole field of medical practice. Moreover, states would remain free to regulate
         that activity as well, as long as such regulation did not conflict with federal law.
             Second, even if our interpretation would make it harder as a practical matter for
         Oregon physicians to assist in suicides, the CSA and its regulations as we read
         them do not preempt Oregon’s Death With Dignity Act.38 Oregon physicians
         remain free under that law to assist in suicides, provided of course that they follow
         the procedures that Oregon imposes. All that our interpretation does is to affirm
         that dispensing controlled substances in connection with such an assisted suicide
         will cause an Oregon physician to be in violation of the CSA. Any method of
         assisting in suicides in which an Oregon physician does not dispense a controlled
         substance entails no violation of the CSA. The Attorney General’s interpretation
         forecloses one, but only one, method of assisting suicide in a manner consistent
         with Oregon law.
             We respectfully disagree with the contrary opinion of the Oregon Deputy At-
         torney General. See Oregon Deputy Attorney General Letter, supra note 6, at 7-8.
         That Letter argues, in part, that the CSA should not be construed to enable the
         Attorney General to regulate the practice of medicine, which is said to be an area
         traditionally reserved to the states. We consider that argument to be mistaken.
            First, as we have shown, the federal government has regulated the dispensing of
         controlled substances by physicians continuously since the Harrison Act of 1914,
         and in enacting the CSA in 1970, Congress clearly intended that the Attorney
         General continue to do so.39
             Second, as we have also shown, the legislative history of the 1984 amendments
         to the CSA demonstrates that Congress intended the Attorney General to have
         regulatory authority with respect to the conduct of physicians even in circumstanc-
         es in which that conduct was not sanctionable under state law.
             Third, the activity of assisting in suicide should not, in our view, be considered
         a “medical” practice solely because it is undertaken by a physician: as we have
         shown, physician-assisted suicide has been condemned by the overwhelming
         majority of the states and by the leading professional associations of medical and
         nursing practitioners. On the theory of the Oregon Deputy Attorney General’s
         Letter, an act that was performed by doctors, despite being forbidden by ordinary
         professional standards or even punishable elsewhere as a crime, could be trans-
         formed into a “medical” practice if a single state were to decide to deem it so; and
         that state’s unilateral decision would presumptively place the act beyond the reach
         of federal regulation. It would follow that if a state authorized physicians to


             38
                Cf. Dalton v. Little Rock Family Planning Servs., 516 U.S. 474, 476 (1996) (per curiam) (state
         law preempted only to the extent that it “‘actually conflicts’” with federal law) (citation omitted);
         Pharmaceutical Society of State of New York v. Lefkowitz, 586 F.2d 953, 958 (2d Cir. 1978) (no
         preemption because no actual conflict).
             39
                See Moore, 423 U.S. at 132-33.




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             perform involuntary euthanasia on severely handicapped or mentally retarded
             persons, and thus “medicalized” that procedure, the state law could place the
             procedure beyond federal regulatory power pursuant to the CSA even if controlled
             substances were used. Equally, it would follow that if a state authorized physicians
             to prescribe controlled substances to addicts in order to enable them to maintain
             their customary use and so avoid discomfort, the federal government would be
             unable to prosecute those physicians or to revoke their registrations under the
             CSA. We cannot accept these consequences of the theory: no state has the power
             to determine unilaterally what practices count as “medical” for purposes of the
             CSA.

                     VII. The DEA Had the Authority to Promulgate and Interpret a
                    Regulation Concerning Whether Dispensing a Controlled Substance
                                  Has a “Legitimate Medical Purpose”

                 Finally, we consider the basis of the Attorney General’s authority to determine
             that dispensing a controlled substance to assist in a suicide in a state that permits
             such conduct on the part of a physician does not serve a “legitimate medical
             purpose” under 21 C.F.R. §1306.04 (a).
                 We address this question because of an apparent ambiguity in the Reno Letter,
             supra note 7. The Letter could be understood, not as controverting DEA’s
             interpretation of the CSA and the DEA’s own regulations, but rather as making the
             jurisdictional claim that the DEA lacked statutory authority to find that a physi-
             cian’s prescription of controlled substances to assist a suicide in Oregon went
             beyond “the course of professional practice,” 21 U.S.C. § 802(21), and did not
             serve a “legitimate medical purpose,” 21 C.F.R. § 1306.04(a). See Reno Letter at 3
             (“[T]here is no evidence that Congress, in the CSA, intended to assign DEA the
             novel role of resolving ‘the earnest and profound debate about the morality,
             legality, and practicality of physician-assisted suicide,’ Washington v. Glucksberg,
             117 S. Ct. 2258, 2275 (1997), simply because that procedure involves the use of
             controlled substances.”). We do not understand the Reno Letter to be making a
             jurisdictional point, but rather to be offering its own interpretation of the CSA and
             the DEA’s regulations. If, however, the Letter were understood to be putting
             forward a jurisdictional claim, we think it would be both misleading and mistaken.
                 First, it is misleading to raise the question whether Congress assigned responsi-
             bility for interpreting and enforcing the CSA to the DEA. It is clear that Congress
             assigned that responsibility to the Attorney General, not to the DEA. See 21
             U.S.C. § 821 (“The Attorney General is authorized to promulgate rules and
             regulations . . . relating to the . . . dispensing of controlled substances . . . and
             control of regulated persons and of regulated transactions”) (emphasis added); id.
             § 871(b) (“The Attorney General may promulgate and enforce any rules, regula-
             tions, and procedures which he may deem necessary and appropriate for the




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         efficient execution of his functions under this subchapter.”) (emphasis added). The
         Attorney General is authorized to delegate his or her CSA responsibilities to “any
         officer or employee of the Department of Justice,” id. § 871(a), and the Attorney
         General determined to delegate those functions to the DEA. See Touby, 500 U.S.
         at 169. Thus, if the Reno Letter were construed to be questioning the DEA’s
         authority to interpret, for example, what the CSA means by “the course of
         professional practice,” 21 U.S.C. § 802(21), it would necessarily be questioning
         the authority of the Attorney General to interpret that provision. Such a conclusion
         would plainly be at odds with the broad language of the CSA’s authorizing
         provisions, id. §§ 821, 871(b).
            Second, it is also misleading to say that Congress did not intend to assign to the
         DEA the role of resolving the national debate over physician-assisted suicide. Of
         course Congress did not intend to do that. What Congress plainly did intend to do
         was to give the Attorney General (and, accordingly, his or her delegate, the DEA)
         the authority to “promulgate rules and regulations . . . relating to the . . . dispens-
         ing of controlled substances and control of regulated persons.” Id. § 821. That is
         precisely what the DEA did when it promulgated 21 C.F.R. § 1306.04(a); and it
         was well within the scope of DEA’s authority to determine how that regulation
         was to be applied to the use of controlled substances in physician-assisted suicides.
            Third, the DEA did not undertake to “resolve” the national debate over physi-
         cian-assisted suicide and should not be faulted for having attempted to do so. The
         DEA acts pursuant to delegated authority under an Act of Congress. Congress
         remains free to alter the terms on which the DEA acts: it could, for example, carve
         out an exception for the use of controlled substances by physicians to assist
         suicide. Moreover, the DEA has no power to control the ability of the states to
         enact laws permitting (or forbidding) physician-assisted suicide. What DEA could,
         and did, properly resolve was that the dispensing of controlled substances by a
         physician to assist a suicide did not have a “legitimate medical purpose” within the
         meaning of its own regulation, notwithstanding the fact that a single state chose to
         legalize physician-assisted suicide. In no way did the DEA preclude open and
         vigorous debate in the legislative process on the merits of physician-assisted
         suicide.
            Fourth, the Reno Letter suggests that the DEA—and, by necessary implication,
         the Attorney General—had no authority to adopt an interpretation that addressed
         “fundamental questions of morality and public policy.” Reno Letter, supra note 7,
         at 3. If that were so, it would follow that the Attorney General had no authority to
         decide whether dispensing controlled substances to assist in suicide served a
         “legitimate medical purpose” under 21 C.F.R. § 1306.04(a), because in deciding
         that question—one way or the other—the Attorney General would unavoidably be




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             addressing such moral and policy questions.40 Indeed, it would seem to follow that
             that regulation was itself ultra vires—which is clearly a mistaken view.
                The truth is that, far from being outside the Attorney General’s mission under
             the CSA, addressing such questions is inherent in that mission. See Chevron
             U.S.A. v. Natural Res. Def. Council, 467 U.S. 837, 843 (1984) (“The power of an
             administrative agency to administer a congressionally created program necessarily
             requires the formulation of policy . . . “) (internal quotation marks, internal ellipses
             and citation omitted). If the CSA is to be administered effectively, the Attorney
             General must interpret its provisions so as to decide, for example, whether
             prescribing of controlled substances in a particular class of cases takes place
             within the “course of professional practice,” 21 U.S.C. § 802(21), whether a
             physician’s conduct involving such substances “may threaten the public health and
             safety,” id. § 823(f)(5), and whether issuing a registration to an applicant would be
             “inconsistent with the public interest,” id. § 823(f). Of course such administrative
             determinations will require a judgment about public policy.4 1 So do, for example,
             administrative determinations as to what constitute “excessive profits” on
             government contracts, see Lichter v. United States, 334 U.S. 742, 778-86 (1948),
             when commodity prices are “fair and equitable,” see Yakus v. United States, 321
             U.S. 414, 426-27 (1944), when rates for the sale of a commodity are “just and
             reasonable,” see Federal Power Comm’n v. Hope Gas Co., 320 U.S. 591, 600-02
             (1944), when voting power has been “unfairly or inequitably” distributed among
             security holders, see American Power & Light Co. v. SEC, 329 U.S. 90, 104
             (1946), when broadcast licensing is in the “public interest,” see National Broad-
             casting Co. v. United States, 319 U.S. 190, 225-26 (1943), or when a new drug
             poses an “imminent hazard to the public safety,” see Touby, 500 U.S. at 165. See
             generally Whitman v. American Trucking Ass’n, Inc., 531 U.S. 457, 472 (2001).42
             As a matter of administrative practice, there was nothing unusual or unauthorized
             in the fact that the DEA’s interpretation implicated questions of public policy or
             morality.



                 40
                    We note that the Reno Letter was itself an administrative interpretation that assumed a particular
             view of public policy.
                 41
                    Indeed, one of the primary reasons why an agency’s construction of a statute it administers may
             be entitled to judicial deference is that it is more appropriate for an agency to make “policy choices”
             than it is for the courts. Chevron, 467 U.S. at 865.
                 42
                    The Department of Justice may also be required to interpret statutes implicating judgments about
             policy or morality when bringing criminal prosecutions or when instituting deportation proceedings.
             See, e.g., Jordan v. DeGeorge, 341 U.S. 223, 231 & n.15 (1951) (deportation proceeding based on
             alien’s commission of asserted “crime involving moral turpitude;” Court finds that phrase “presents no
             greater uncertainty or difficulty than language found in many other statutes repeatedly sanctioned by
             the Court”); see also Kay v. United States, 303 U.S. 1, 3 n.1, 7 (1938) (rejecting argument that statute
             making it criminal in some contexts willfully to “overvalue[] any security” was unconstitutionally
             vague).




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            Accordingly, if the Reno Letter were construed as denying the Attorney Gen-
         eral (or the DEA) the statutory authority to reach the question whether prescribing
         controlled substances to assist suicide is consistent with the CSA and its imple-
         menting regulations in a state that had legalized physician-assisted suicide, the
         Letter would be clearly mistaken as a matter of law.

                                               VIII. Conclusion

            Based on the foregoing considerations, the conclusion that a physician’s assist-
         ing suicide through the dispensing of a controlled substance does not serve a
         “legitimate medical purpose” within the meaning of 21 C.F.R. § 1306.04 is the
         best reading of that regulation.

                                                           SHELDON BRADSHAW
                                                        Deputy Assistant Attorney General
                                                            Office of Legal Counsel

                                                            ROBERT J. DELAHUNTY
                                                                Special Counsel
                                                             Office of Legal Counsel




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