TEXAS COURT OF APPEALS, THIRD DISTRICT, AT AUSTIN
NO. 03-04-00699-CV
John L. Pierce, II, Appellant
v.
Texas Racing Commission, Appellee
FROM THE DISTRICT COURT OF TRAVIS COUNTY, 353RD JUDICIAL DISTRICT
NO. GN301939, HONORABLE SCOTT H. JENKINS, JUDGE PRESIDING
OPINION
Appellant John L. Pierce, II appeals from a district court judgment that upheld an
order by appellee, the Texas Racing Commission, imposing penalties after a racehorse owned by
Pierce tested positive for a prohibited drug. In two issues, Pierce complains that the Commission’s
order prejudiced his substantial rights and violated his constitutional rights. Within these two issues,
Pierce presents five specific complaints related to the order: that the Commission erred by (1)
modifying conclusion of law 11 from what was recommended by the Administrative Law Judge; (2)
punishing Pierce, the owner, more harshly than the trainer was punished; (3) failing to notify Pierce
of or make Pierce a party to the initial stewards’ hearing; (4) improperly shifting the burden of proof
to Pierce at the State Office of Administrative Hearings; and because (5) certain provisions of the
Commission’s rules are unconstitutional. We will affirm.
BACKGROUND
After Kristy’s Gold Star, a thoroughbred filly owned by Pierce, placed second in a
race at Lone Star Park on June 8, 2002, urine and blood samples were taken. The urine sample tested
positive for ipratropium, a Class 3 prohibited drug. The subsequent split-sample test confirmed the
positive finding. See 16 Tex. Admin. Code Ann. §§ 319.361-.362 (2006) (setting forth rules for
horse drug testing).1
The racing stewards notified Richard Duhon, the trainer of Kristy’s Gold Star, about
the positive test and the upcoming stewards’ hearing on the matter. See Tex. Rev. Civ. Stat. Ann.
art. 179e, § 3.07(b) (West Supp. 2006) (“Texas Racing Act”) (contemplating stewards’ hearing as
initial step in administrative process for horse-racing violation). Duhon then informed Pierce of the
positive test result and the hearing. The presiding steward also spoke to Pierce about these matters
prior to the hearing. Duhon attended the August 21, 2002 stewards’ hearing, but Pierce did not. On
August 23, the stewards issued a formal ruling (“Stewards’ Ruling Retama Park 1355”), which
assessed a $500 fine against the trainer,2 suspended the trainer’s license for 15 days, and stated that
“Kristy’s Gold Star is disqualified, declared unplaced, and the purse is ordered redistributed.”3
1
Because the relevant portions of the Texas Administrative Code, the Texas Racing Act, and
the Texas Government Code have not changed substantively during the pendency of this case, for
convenience, we will refer to the current code provisions throughout.
2
The trainer was also fined $250 for unrelated violations, making his total fine $750.
3
The purse for Kristy’s Gold Star’s second-place finish was $28,408.
2
Pierce appealed the portions of the ruling that unplaced the horse and redistributed
the purse.4 See id. § 3.08 (West Supp. 2006). This appeal was conducted by an Administrative Law
Judge (ALJ) at the State Office of Administrative Hearings (SOAH). On January 27, 2003, the ALJ
issued her Proposal for Decision (PFD), in which she agreed that the Commission’s rules had been
violated but recommended that Pierce’s penalty be decreased “based on convincing evidence that
the veterinarian administered the ipratropium for a legitimate medical purpose and in a manner that
did not affect the race.” Thus, in conclusion of law 11, the ALJ determined that “the Commission
should order that Kristy’s Gold Star be placed second and the purse distributed accordingly.”
The Commission Staff then appealed the PFD to the Commission. The Commission
considered this appeal at its February 4, 2003 open meeting. Both Pierce and the Staff appeared and
presented arguments. The commissioners voted at the hearing to modify the PFD by deleting
findings of fact 15-18 and by altering conclusion of law 11 to uphold the initial stewards’ ruling in
full. Yet, following the hearing, the Commission determined that only conclusion of law 11 should
be modified without any change to the ALJ’s fact-findings.
Findings of fact 15-18 state that Kristy’s Gold Star’s performance was not affected
by the ipratropium, which had been administered 25 hours prior to the race, because the withdrawal
time for ipratropium is 24 hours, ipratropium is clinically effective for only six hours, and
ipratropium has no effect on a horse’s performance outside of that time. At the hearing, it was
suggested that findings of fact 15-18 be deleted because, given the Commission’s “zero-tolerance”
4
Pierce, an attorney licensed in the State of Texas, has represented himself pro se throughout
the administrative proceedings and on appeal.
3
drug policy, it is irrelevant whether the drug actually affected the horse’s performance. The
Commission later decided to maintain these fact-findings because they are not inconsistent with its
ultimate conclusion.
Thus, the commissioners were mailed a proposed final order that modified only
conclusion of law 11 and kept findings of fact 15-18 intact. The commissioners approved this order
by their returned signatures in March 2003. The Commission then issued its final order, which
stated that, by a “unanimous vote of the members of the Texas Racing Commission present at the
meeting, the Commission adopted the Proposal for Decision with modifications as explained below.
. . . Conclusion of Law No. 11 is modified to read as follows: ‘11. Based on the above Findings
of Fact and Conclusions of Law, the Retama Board of Stewards’ Ruling 1355 is upheld in full.’”
After receiving a copy of the Commission’s final order, Pierce filed a motion for rehearing, which
was overruled by operation of law.
Pierce then appealed to the district court. On October 22, the district court issued its
final judgment stating that the “Commission’s decision should be affirmed.” Pierce now appeals
from that judgment, complaining that his substantial rights were prejudiced and his constitutional
rights were violated based on the Commission’s (1) modification of conclusion of law 11, (2)
unequal punishment of Pierce and the trainer, (3) failure to provide Pierce written notice of or to
make Pierce a party to the initial stewards’ hearing, (4) shifting of the burden to Pierce at the SOAH
hearing, and (5) unconstitutional rules. We will consider each of these complaints in turn.
4
ANALYSIS
Standard of Review
We review the Texas Racing Commission’s order for substantial evidence. Tex.
Gov’t Code Ann. § 2001.174 (West 2000); 16 Tex. Admin. Code § 307.39 (2006); see also Bandera
Downs, Inc. v. Alvarez, 824 S.W.2d 319, 322 (Tex. App.—San Antonio 1992, no writ). Under this
standard, we presume that the Commission’s findings, inferences, conclusions, and decisions are
supported by substantial evidence, and the burden of proving otherwise rests on the appellant.
Granek v. Texas State Bd. of Med. Exam’rs, 172 S.W.3d 761, 778 (Tex. App.—Austin 2005, no
pet.). The Commission’s order may be reversed only if a party’s substantial rights have been
prejudiced because the administrative decisions (1) violate a constitutional or statutory provision,
(2) exceed the agency’s authority, (3) were made through unlawful procedure, (4) are affected by
another error of law, (5) are not reasonably supported by substantial evidence when considering the
reliable and probative evidence in the record as a whole, or (6) are arbitrary or capricious or
characterized by an abuse of discretion. Tex. Gov’t Code Ann. § 2001.174. The test is not whether
the agency reached the correct conclusion, but whether some reasonable basis exists in the record
to support the agency’s action. Mireles v. Texas Dep’t of Pub. Safety, 9 S.W.3d 128, 131 (Tex.
1999); see also Keeton v. Texas Racing Comm’n, No. 03-03-00049-CV, 2003 Tex. App. LEXIS
6925, at *12 (Tex. App.—Austin Aug. 14, 2003, no pet.) (mem. op.). We may not substitute our
judgment for that of the agency on questions committed to agency discretion. Texas Dep’t of
Protective & Regulatory Servs. v. Mega Child Care, Inc., 145 S.W.3d 170, 197 (Tex. 2003).
5
Modification of Conclusion of Law 11
The crux of Pierce’s appeal is based on the Commission’s decision to reject the ALJ’s
penalty recommendation and, instead, uphold the stewards’ initial ruling, which punished Pierce by
disqualifying Kristy’s Gold Star and redistributing the purse. Pierce prefers the outcome
recommended by the ALJ in conclusion of law 11—that Kristy’s Gold Star remain in second place,
allowing Pierce to collect the purse—and asserts that the Commission’s decision to modify
conclusion of law 11 was arbitrary and capricious, characterized by an abuse of discretion, made
through unlawful procedure, affected by other error of law, in violation of the Commission’s
statutory authority, and not supported by substantial evidence.
Without question, when a PFD is appealed to the Commission, the Commission may
reject what the ALJ has proposed. As Pierce recognizes in his brief, “[t]he ALJ only makes a
recommendation to the Commission for it to accept or reject.” The Commission is expressly
authorized to modify or vacate the PFD. By rule, the Commission shall consider a PFD at an open
meeting during which “the Commission may . . . decline to adopt the proposal for decision, in whole
or in part.” 16 Tex. Admin. Code § 307.36 (2006). Furthermore, Section 2001.058(e) of the
government code provides that
A state agency may change a finding of fact or conclusion of law made by the
administrative law judge, or may vacate or modify an order issued by the
administrative judge, only if the agency determines: (1) that the administrative law
judge did not properly apply or interpret applicable law, agency rules, written
policies provided under Subsection (c),5 or prior administrative decisions. . . . The
5
Subsection (c) states that “[a] state agency shall provide the administrative law judge with
a written statement of applicable rules or policies.” Tex. Gov’t Code Ann. § 2001.058(c) (West
6
agency shall state in writing the specific reason and legal basis for a change made
under this subsection.
Tex. Gov’t Code Ann. § 2001.058(e) (West 2000) (emphasis added). The Commission complied
with section 2001.058(e) by expressly setting forth in its final order the reasons and legal basis for
its modification. The essence of the Commission’s explanation was that the ALJ had failed to
properly apply or interpret applicable law, agency rules, and written policies because her
recommendation was inconsistent with the Commission’s precedent regarding the enforcement
policy and guidelines, whereas the penalty recommended by the stewards was appropriate under the
applicable rules and guidelines and was consistent with the manner in which the Commission has
handled other Class 3 violations.
The legislature has delegated broad authority to the Commission to “regulate and
supervise every race meeting in this state involving wagering on the result of greyhound or horse
racing” for the purpose of providing “strict regulation of horse racing and greyhound racing and the
control of pari-mutuel wagering in connection with that racing.” Tex. Rev. Civ. Stat. Ann. art. 179e,
§§ 1.02, 3.02(a) (West Supp. 2006). More specifically, the legislature has stated that “[a]ll persons
and things relating to the operation of those meetings are subject to regulation and supervision by
the commission. The commission shall adopt rules for conducting greyhound or horse racing in this
state involving wagering and shall adopt other rules to administer [the Texas Racing Act].” Id. §§
3.02(a), 3.021. Furthermore, the legislature has authorized the Commission to impose penalties on
2000). Here, copies of the applicable rules and policies were provided to the ALJ and admitted into
evidence.
7
violators of the Act and to adopt rules for the imposition of such penalties. See id. § 15.03(a) (“If
the commission determines that a person regulated under this Act has violated this Act or a rule or
order adopted under this Act in a manner that constitutes a ground for a disciplinary action under this
Act, the commission may assess an administrative penalty against that person as provided by this
section.”); see also id. §§ 3.07(b) (“The commission shall make rules specifying the authority and
the duties of each official, including the power of stewards or judges to impose penalties for
unethical practices or violations of racing rules.”), 3.16(a) (“The commission shall adopt rules
prohibiting a person from unlawfully influencing or affecting the outcome of a race, including rules
relating to the use of a prohibited device or prohibited substance at a racetrack or training facility.”).
The Commission has adopted such rules. See 16 Tex. Admin. Code §§ 303.1; 303.2(e) (2006).
Thus, based on the legislature’s express grant of authority and the Commission’s rules adopted in
accordance with it, the Commission has discretion over what penalty is appropriate in a contested
case.
The Commission has an established drug policy of “zero tolerance.” Section 319.3(a)
states that, “[e]xcept as otherwise provided by [the narrow exceptions in] this section, a horse . . .
participating in a race may not carry in its body a prohibited drug, chemical, or other substance.”
Id. § 319.3(a) (2006). “Prohibited drugs” are defined as “any stimulants, depressants, tranquilizers,
local anesthetics, drugs, other drug metabolites which could affect the health or performance of a
race animal, however minimal.” Id. § 319.1(b) (2006) (emphasis added). Ipratropium is expressly
listed as a Class 3 prohibited drug in the “TxRC Equine Medication Classification and Penalty
8
Guidelines.”6 If a horse tests positive for a prohibited drug either before or after the race, it “is prima
facie evidence that the prohibited drug . . . was administered to the animal and was carried in the
body of the animal while participating in a race.” Id. § 319.3(f) (2006).
The rules further provide that
On a finding by the stewards or racing judges that a test specimen from a race animal
that participated in a race contains a prohibited drug, . . . the stewards or racing
judges may: (1) disqualify the animal and order the purse redistributed; . . . and (3)
impose penalties authorized by Chapter 307 . . . on: (A) the animal’s trainer or kennel
owner; (B) any other person responsible for the care and custody of the animal.
Id. § 319.304 (2006) (emphasis added). The guidelines set forth “penalty recommendations” for the
five classes of violations, stating that the recommendations “should be followed in all cases in the
absence of persuasive evidence of mitigating circumstances justifying a lesser penalty or aggravating
circumstances justifying an enhanced penalty.” The penalty recommended for a Class 3 violation
is “60 days-6 months suspension and up to $1,500 fine and loss of purse.” (Emphasis added.)
John Ferrara, the presiding steward, testified at the SOAH hearing that, for any Class
1, 2, or 3 violation, “it’s routine” for the penalty to include “loss of purse.” Also, Mike Burleson,
the Commission’s deputy director, testified that the Commission consistently enforces “loss of
purse” as part of the penalty for a Class 3 violation. Burleson explained that, of the 38 Class 3
violations in the last decade, the purse was redistributed in every case but one. The only reason the
6
The administrative rules contemplate that the Commission will enact such guidelines. See
16 Tex. Admin. Code §§ 303.8(e), 319.304(b) (2006). Although not included in the code, the
guidelines are readily available to all racing participants. The guidelines set forth five classes of
prohibited drugs and the recommended penalties that should attach to each class, with Class 1 being
the most severe.
9
purse was not redistributed in that one case was because it was unclear whether the particular drug
had actually been classified as a Class 3 drug at the time. Burleson also testified that the
Commission has maintained a zero-tolerance drug policy ever since Governor Clements mandated
to the Commission that Texas’s racing industry should be “squeaky clean.”
The record, therefore, demonstrates that the Commission did not exceed its authority
nor abuse its discretion by concluding that the ALJ had failed to “properly apply or interpret
applicable law, agency rules, written policies . . . or prior administrative decisions” when she
recommended in conclusion of law 11 that Kristy’s Gold Star remain in second place and Pierce be
allowed to keep the purse. See Tex. Gov’t Code Ann. § 2001.058(e)(1). The ALJ’s penalty
recommendation was based on her findings that the ipratropium administered to Kristy’s Gold Star
was medically warranted and did not affect the horse’s performance in the race. Yet, nothing in the
Commission’s rules requires proof that the drug actually enhanced performance. Rather, the
established policy is one of zero-tolerance, where any positive test of a prohibited drug equals prima
facie evidence of a violation. See Keeton, 2003 Tex. App. LEXIS 6925, at *17-18 (under zero-
tolerance policy, prima facie case of violation is established by any presence of prohibited drug in
horse’s system). Here, the Staff established a prima facie case that Kristy’s Gold Star raced with a
prohibited drug in her system, and Pierce offered no evidence to rebut it. He concedes, in fact, that
Kristy’s Gold Star tested positive after the race for ipratropium, a Class 3 prohibited substance.7
7
Alternatively, the Commission argues that it was fully authorized to reject the ALJ’s
version of conclusion of law 11 because the ALJ had no authority to recommend a penalty. See
Granek v. Texas State Bd. of Med. Exam’rs, 172 S.W.3d 761, 781 (Tex. App.—Austin 2005, no pet.)
(“We agree with the Board that it is not required to give presumptively binding effect to an ALJ’s
recommendations regarding sanctions in the same manner as other findings of fact or conclusions
10
Furthermore, the Commission’s modification of conclusion of law 11 to penalize
Pierce by disqualifying Kristy’s Gold Star and redistributing the purse was within the bounds of its
authority, not arbitrary or capricious, and not characterized by an abuse of discretion. The “loss of
purse” penalty is expressly authorized by the statute and the Commission’s rules, and the
Commission’s guidelines recommend that it be part of the penalty for Class 3 violations. See Tex.
Rev. Civ. Stat. Ann. art. 179e, §§ 3.07(b), 3.16(a). 15.03(a); 16 Tex. Admin. Code § 319.304; see
also Keeton, 2003 Tex. App. LEXIS 6925, at *4-5 (affirming Commission’s order that disqualified
horse and redistributed first-place purse upon finding of Class 4 violation). Also, Steward Ferrara
and Director Burleson testified that loss of purse is a routinely imposed penalty for Class 3
violations; it was imposed in 37 of the 38 Class 3 cases during the last decade. Thus, there was
substantial evidence to support the Commission’s modification of conclusion of law 11.
Also, there is an important policy reason for the Commission to consistently impose
“loss of purse” as a penalty in order to achieve its goal of deterrence—if racing participants believed
the only penalty for a drug violation would be a fine, they would likely incur that risk in exchange
for the possibility of winning a large purse with a drug-enhanced horse. Policy considerations such
as this are the reason why the Commission is granted discretion over what penalties should be
imposed for racing violations. See Tex. Rev. Civ. Stat. Ann. art. 179e, § 1.02, 15.03(a); 16 Tex.
Admin. Code §§ 303.1, .2; see also Firemen’s & Policemen’s Civil Serv. Comm’n v. Brinkmeyer,
of law.”). We need not decide, however, whether the ALJ had authority to recommend a penalty in
a racing commission case because, regardless of whether the ALJ’s conclusion of law was
authorized, the Commission was statutorily authorized to modify or reject it. See Tex. Gov’t Code
Ann. § 2001.058(e).
11
662 S.W.2d 953, 956 (Tex. 1984) (“The propriety of a particular disciplinary measure to maintain
discipline and good order is a matter of internal administration with which the courts should not
interfere in the absence of clear abuse of authority.”); Sears v. Texas State Bd. of Dental Exam’rs,
759 S.W.2d 748, 751 (Tex. App.—Austin 1988, no writ) (“[T]he choice of penalty is vested in the
agency, not in the courts. The agency is charged by law with discretion to fix the penalty when it
determines that the statute has been violated.”).
Finally, in modifying conclusion of law 11, the Commission complied with section
2001.058(e) by “stat[ing] in writing the specific reason and legal basis for” the change. See Tex.
Gov’t Code Ann. § 2001.058(e); see also Granek, 172 S.W.3d at 781 (Board authorized to reject
ALJ’s recommended sanction and replace it with modified sanction based on Board’s provision of
“specific reason and legal basis” in compliance with section 2001.058(e)). Specifically, the
Commission’s final order set forth three paragraphs under the heading, “Reason for Modification,”
explaining that loss of purse is the appropriate remedy under the guidelines for a Class 3 violation,
that a consistent precedent must be enforced, and that, unlike the ALJ, the stewards are expressly
authorized to determine the penalty for a racing violation. See Tex. Rev. Civ. Stat. Ann. art. 179e,
§ 3.08 (regarding stewards’ authority); 16 Tex. Admin. Code §§ 307.61, 313.22 (2006) (same).
Pierce relies on Flores v. Employees Retirement System of Texas to support his claim
that the Commission’s modification was an abuse of discretion. 74 S.W.3d 532, 553 (Tex.
App.—Austin 2002, pet. denied). Flores, however, is factually distinct from the instant case because
(1) in Flores, the Board immediately ruled to reverse various parts of the PFD without any
deliberation, see id. at 539, whereas the Commission discussed its options before ruling and,
12
ultimately, changed only one conclusion of law; (2) here, unlike in Flores, the Commission’s
modified conclusion was supported by the evidence, tracked the penalty recommendation contained
in the written guidelines and enforced in similar cases, and was consistent with the well-established
policy of zero-tolerance, see id. at 541-42, 548; and (3) here, unlike in Flores, the Commission’s
written explanation for the modification was comprehensive and supported by the evidence, see id.
at 542-45.
In connection with his complaint about the Commission’s modification of conclusion
of law 11, Pierce also raises three sub-complaints: that the Commission’s modification was unlawful
because (1) it violated his constitutional rights of due process and equal protection by denying him
the right to an independent trier-of-fact, (2) the Commission failed to review the administrative
record prior to voting to modify the PFD, and (3) the Commission failed to conduct a second hearing
prior to signing a modified order different than the one voted on at the hearing. We disagree.
First, it is undisputed that Pierce was provided a full opportunity to present his case
to the ALJ who, by statute, is a neutral administrative magistrate. See Tex. Gov’t Code Ann. §
2001.058(a)-(d) (West 2000), § 2003.021(a) (West Supp. 2006); Texas Dep’t of Pub. Safety v. Rolfe,
986 S.W.2d 823, 826 (Tex. App.—Austin 1999, no pet.). Also, as discussed above, the Commission
is statutorily authorized to modify or reject the ALJ’s recommendations. See Tex. Gov’t Code Ann.
§ 2001.058(e); 16 Tex. Admin. Code § 307.36. Just because the Commission modifies or rejects
an ALJ’s finding or conclusion does not mean the ALJ was not an independent trier-of-fact. Thus,
Pierce’s constitutional rights were not violated by the Commission modifying conclusion of law 11
from what was recommended by the ALJ.
13
Second, the Commission is not required to review the administrative record prior to
modifying a PFD. Rather, government code section 2001.062 authorizes the majority of the
Commission’s Board to decide the matter without reading the record or hearing testimony, so long
as the PFD has been issued to all parties and each affected party has had the opportunity to respond.
See Tex. Gov’t Code Ann. § 2001.062 (West 2000). Here, section 2001.062 was satisfied because
the commissioners and all interested parties had copies of the PFD, and Pierce and the Staff each
presented written and oral argument to the Commission. Also, the transcript from the Commission
hearing conclusively establishes that the commissioners listened to, responded to, and considered
the arguments presented. Just because the commissioners ultimately disagreed with Pierce does not
mean that they violated his rights.
Finally, it was not necessary that the Commission conduct an additional hearing in
order to adopt a final order that modified only conclusion of law 11, rather than modifying
conclusion of law 11 and deleting findings of fact 15-18, as originally voted on at the open meeting.
“Until an agency issues an effective final order, the agency retains jurisdiction over the matter and
can withdraw previous orders and issue new ones.” Star Houston, Inc. v. Texas Dep’t of Transp.,
957 S.W.2d 102, 106 (Tex. App.—Austin 1997, pet. denied) (order requiring “subsequent agency
approval is not final”); Lone Star Greyhound Park v. Texas Racing Comm’n, 863 S.W.2d 742,
745-46 (Tex. App.—Austin 1993, writ denied) (same). In any event, the final order issued by the
Commission is consistent with what it deliberated about and voted on at the open meeting. If
anything, the issued final order is actually more favorable to Pierce than what was originally voted
on because it maintains the findings that the ipratropium did not affect the horse’s performance.
14
While these findings do not erase the violation, they are at least helpful to Pierce’s reputation in the
racing industry. Thus, Pierce cannot show that he was harmed by the Commission’s decision to
adopt a final order that modified conclusion of law 11 and maintained fact-findings 15-18.
In sum, the Commission’s decision to modify the ALJ’s conclusion of law 11 and
uphold the penalty initially imposed by the stewards was supported by substantial evidence and was
not arbitrary and capricious, characterized by an abuse of discretion, made through unlawful
procedure, affected by other error of law, or made in violation of the Commission’s statutory
authority. See Tex. Gov’t Code Ann. § 2001.174. Further, this action did not violate Pierce’s
constitutional rights.
Failure to Punish Owner and Trainer Consistently
Next, Pierce complains about the unequal penalties imposed on himself (the owner)
and Duhon (the trainer)—Duhon was punished with a $500 fine and 15-day suspension, while
Pierce’s $28,408 purse was redistributed. Pierce claims that this “gross disparity and inconsistency
of the treatment” is arbitrary and capricious, characterized by an abuse of discretion, and in violation
of his constitutional right of equal protection.
As support, Pierce cites the Commission’s guidelines, which state that “consistency”
of punishment is a goal and that “mitigating factors” can be considered when determining a
punishment. Here, the evidence showed that the ipratropium was medically warranted to treat the
horse’s bronchitis and did not affect the horse’s performance because it was given to Kristy’s Gold
Star more than 25 hours prior to the race, has a standard withdrawal time of 24 hours, and is typically
effective for only 6 hours. Also, the treating veterinarian (not Pierce) administered the drug and,
15
pursuant to the Texas Racing Act, the trainer (not Pierce) is considered “to be the absolute ensurer
that no prohibited substance has been administered to the animal” and is “responsible for ensuring
that no prohibited substance is administered to the animal.” Tex. Rev. Civ. Stat. Ann. art. 179e, §
3.16(h) (West Supp. 2006).
Despite this mitigating evidence, however, the penalty imposed on Pierce by the
Commission did not constitute an abuse of discretion and was not arbitrary and capricious. As
discussed in the preceding section, the Commission followed its guidelines, as well as a decade of
precedent, in imposing loss of purse on the owner when a Class 3 violation has been established.
Thus, the penalty imposed on Pierce followed the Commission’s guidelines of consistently punishing
violators: just like the owners in 37 of the decade’s last 38 cases involving a Class 3 violation,
Pierce lost the purse.
The real issue, then, is whether Pierce’s constitutional rights were violated by
punishing the trainer more leniently than the owner based on the same violation.8 “Claims regarding
deprivation of constitutional rights present questions of law, and we accordingly review them de
novo.” Granek, 172 S.W.3d at 771-72. The Fourteenth Amendment provides, in relevant part, that
“no State shall . . . deny to any person within its jurisdiction the equal protection of the laws.” U.S.
Const. amend. XIV; see also Tex. Const. art. I, § 3; Bell v. Low Income Women of Tex., 95 S.W.3d
253, 257 & n.4 (Tex. 2002) (evaluation of equal protection claim is same under federal and state
8
Other than simply reciting that the disparity in treatment “violated his constitutional right
to equal protection,” Pierce fails to cite or discuss a single statute, case, or even a constitutional
provision to support his equal protection claim. Despite the waiver on appeal presented by Pierce’s
failure to properly brief the issue, see Tex. R. App. P. 38.1(h), we will discuss it in the interests of
justice.
16
constitutions). However, “when no suspect class or fundamental right is involved, . . . the
government is permitted to give classes disparate treatment, notwithstanding the constitutional
guarantee [of equal protection], as long as it has a rational basis for doing so.” Neeley v. West
Orange-Cove Consol. Indep. Sch. Dist., 176 S.W.3d 746, 784 (Tex. 2005); see also Tex. Const. art.
I, § 3a (recognizing “sex, race, color, creed, [and] national origin” as protected classes); Texas
Workers’ Comp. Comm’n v. Garcia, 893 S.W.2d 504, 524 (Tex. 1995) (explaining rational basis test
as “rationally related to a legitimate state purpose”). “The Equal Protection Clause does not, of
course, require that the State never distinguish between citizens, but only that the distinctions that
are made not be arbitrary or invidious.” Avery v. Midland County, 390 U.S. 474, 484 (1968).
Here, the distinction in treatment between the horse-owner and horse-trainer did not
involve a suspect class worthy of heightened protection. See Tex. Const. art. I, § 3a. Thus, the
Commission’s action was constitutionally permitted so long as the decision was rationally related
to a legitimate state interest. See Garcia, 893 S.W.2d at 524. Ultimately, the win or loss of a purse
will affect the owner, not the trainer—this is just the nature of the game. The Commission explained
the need to impose loss of purse as a penalty in order to achieve its goal of deterring drug violations
in the racing industry. This is a legitimate state purpose because it promotes health in the animals
as well as fairness of the racing field. Because the Commission had a rational basis to impose the
loss of purse penalty as well as the trainer’s $500 fine and 15-day suspension, its decision did not
violate Pierce’s constitutional rights. See Neeley, 176 S.W.3d at 784.9
9
In any event, we note that, although both parties refer to the loss of purse as a penalty
“imposed on Pierce,” it is actually a collateral consequence of the violation that is felt by Pierce, as
the owner, unlike the fine and suspension, which were penalties directly “imposed on” the trainer.
17
Failure to Provide Notice to Pierce or Make him a Party to the Stewards’ Hearing
Pierce also complains that his due process rights were violated based on the stewards’
failure to provide him notice of or make him a party to the initial hearing. We review this
constitutional issue de novo. Granek, 172 S.W.3d at 771-72.
The Due Process Clause states that “no State shall . . . deprive any person of life,
liberty, or property, without due process of law.” U.S. Const. amend. XIV, § 1; see Tex. Const. art.
1, § 19; University of Tex. Med. Sch. v. Than, 901 S.W.2d 926, 929 (Tex. 1995) (procedural due
process protections provided under Texas Constitution mirror those provided under federal
Constitution). In determining whether a procedural due process violation has occurred, we apply a
two-part analysis: (1) whether the claimant has a property interest that is entitled to procedural due
process protection; and (2) if so, what process is due. Than, 901 S.W.2d at 929; see also Trostle v.
Combs, 104 S.W.3d 206, 213 (Tex. App.—Austin 2003, no pet.) (“The strictures of due process
apply only to the threatened deprivation of liberty and property interests deserving the protection of
the federal and state constitutions.”).
Here, the parties contest whether Pierce had a property interest in the purse. Pierce,
of course, claims that he did, while the Commission responds that he did not because, pursuant to
the administrative code, there is no right to the purse until the Executive Secretary has cleared the
race for payment, see 16 Tex. Admin. Code §§ 307.67(e), 319.301(c) (2006), and because the ability
for an owner to participate in racing is not a right but, instead, a highly regulated privilege. We agree
with the Commission that the rules make clear that a racing participant has no property right in the
purse pending the resolution of an alleged violation. See id. §§ 307.67(e), 319.301(c). In any event,
18
the second prong of the inquiry—whether Pierce was deprived of any process that was due to him
at this initial stage in the proceedings—is dispositive of Pierce’s claim.
The Texas Racing Act states that “[b]efore imposing a penalty . . . the stewards and
judges shall conduct a hearing that is consistent with constitutional due process.” Tex. Rev. Civ.
Stat. Ann. art. 179e, § 3.07(b).10 “Due process is flexible and calls only for those procedural
protections demanded by the particular circumstances.” Mathews v. Eldridge, 424 U.S. 319, 334
(1976). “The essence of due process is the requirement that ‘a person in jeopardy of serious loss [be
given] notice of the case against him and opportunity to meet it.’” Id. at 348 (citations omitted).
Yet, “due process requires only that the method of notice be reasonably calculated, under the
circumstances, to apprise the interested parties of the pendency of the action.” Morris v. State, 894
S.W.2d 22, 25 (Tex. App.—Austin 1994, writ dism’d w.o.j.). Thus, evidence that a party received
actual notice of a hearing may defeat the party’s claims on appeal for due process violations. See
Northrup v. Southwestern Bell Tel. Co., 72 S.W.3d 16, 21 (Tex. App.—Corpus Christi 2002, pet.
denied) (no due process violation in face of actual notice); Montgomery Ward & Co. v. Denton
County Appraisal Dist., 13 S.W.3d 828, 831 (Tex. App.—Fort Worth 2000, pet. denied) (same);
Dispensa v. University State Bank, 987 S.W.2d 923, 928 (Tex. App.—Houston [14th Dist.] 1999,
no pet.) (same); see also Shrieve v. Texas Parks & Wildlife Dep’t, No. 03-04-00640-CV, 2005 Tex.
App. LEXIS 3406, at *13 n.6 (Tex. App.—Austin May 5, 2005, no pet.) (mem. op.) (same).
10
Section 3.07(b) further states that a “hearing conducted by a steward or judge under this
subsection is not subject to Chapter 2001, Government Code.” Tex. Rev. Civ. Stat. Ann. art. 179e,
§ 3.07(b) (West Supp. 2006). Thus, for the initial stewards’ hearing, the notice requirements of
section 2001.051 did not apply. See Tex. Gov’t Code Ann. § 2001.051 (West 2000) (requiring
reasonable notice of not less than ten days in contested cases).
19
Here, the record conclusively establishes that Pierce was provided actual notice of
the hearing on multiple occasions, was aware that the hearing could result in penalties related to his
horse’s positive drug test, and was invited to attend the hearing by the presiding steward. First, the
stewards’ investigative report, which was admitted as evidence before the ALJ, states that
On 6/20/2002, [Investigator] Hallam attempted to contact the owner of this horse,
John L. Pierce, II at [phone number]. This is Mr. Pierce’s office, and a message was
left on his answering machine. On 6/21/2002, Inv. Hallam contacted Mr. Pierce by
telephone and notified him of this positive test. Mr. Pierce stated that he had already
been notified by [the trainer].
Pierce confirmed this by stating on the record that
When I first heard about [the stewards’] hearing from my trainer, he gave me the
wrong date; but later I did find out the actual date; and I talked to Mr. Ferrara [the
presiding steward] a few days before to find out the day it was going to be—it was
going to be heard, the morning. I did have a horse—well, I had a horse running the
next day and I planned to attend. However, the morning [of the hearing] . . . I was
having a root canal that morning, so I wasn’t there.
(Emphasis added.) Additionally, the presiding steward, Ferrara, testified that
I know [Pierce had actual notice] because, either two or three days [after written
notice was sent to the trainer], [Pierce] called me and we had a lengthy conversation.
. . . I realized he was an attorney; and I advised him during that 30-minute
conversation that he could represent [the trainer] if he wished, he could be a witness
for Mr. Duhon, or he could be an observer as an owner at the hearing. . . . [Pierce]
said he wasn’t sure [if he would attend the hearing]. . . . [A]pproximately two or
three days later [we had] a shorter conversation. And he told me he had a root canal
scheduled for that morning and he planned to go ahead and have the root canal
done. . . . [H]e did not [ask that the hearing be postponed].” But, had he requested
a continuance, “[w]e definitely would have [granted it].
20
(Emphasis added.) Pierce confirmed that the basic content of Ferrara’s testimony was correct but
responded that he was unaware a postponement was possible.
Thus, the record demonstrates that Pierce was informed of the date, time, place, and
subject matter of the hearing, and that Pierce was specifically invited to attend by Presiding Steward
Ferrara, yet chose to not attend because he preferred to not reschedule his dental appointment. Also,
despite his legal training, Pierce did not seek a continuance. Thereafter, prior to the issuance of the
final order, Pierce fully participated in the administrative proceedings at SOAH and before the
Commission. Because Pierce had actual notice of the hearing and an opportunity to appear and
defend his interests, his due process rights were not violated by the stewards’ failure to provide him
written notice of or formally make him a party to the initial hearing. See Mathews, 424 U.S. at 334,
348; see also Sgitcovich v. Sgitcovich, 241 S.W.2d 142, 146 (Tex. 1951) (“The requirement of due
process of law is met if the notice prescribed affords the party a fair opportunity to appear and defend
his interests.”).
Shifting Burden of Proof to Pierce at the SOAH Hearing
Pierce asserts several related complaints regarding the burden of proof that was placed
on him at the SOAH hearing. First, he complains that the burden of proof was improperly “shifted”
to him at the SOAH hearing; Pierce claims that, because he had not participated at the stewards’
hearing, the Staff should have retained the burden of proof at SOAH. Second, he claims that section
307.67(c) of the administrative code, which places the burden of proof on the appellant, violates his
due process rights. See 16 Tex. Admin. Code § 307.67(c) (2006). Third, Pierce complains that
section 307.67(c) should be considered void because it is inconsistent with section 3.08 of the Texas
21
Racing Act. See Tex. Rev. Civ. Stat. Ann. art. 179e, § 3.08(a). Finally, Pierce asserts that the
standard of proof imposed at SOAH was unconstitutional because it should have been “by a
preponderance of the evidence” rather than “by clear evidence.” We will address each of these
complaints in turn.
First, Pierce waived his right to complain about carrying the burden of proof at the
SOAH hearing because he acquiesced to this at the start of the hearing. Specifically, Pierce told the
ALJ, “I’ve got the burden to rebut that [prima facie case established by the positive test]; but there’s
no clear and convincing. . . . But I think the burden of proof is just to rebut the prima facie
evidence.” When the ALJ responded “So you’re saying it’s like a preponderance of the evidence
standard . . . and [Staff] is saying it’s a clearly in error standard, Pierce answered, “Yes, ma’am.”
Although Pierce contested what the standard of proof required, he never, either orally or in writing,
brought to the ALJ’s attention his complaint that the burden of proof had been improperly placed
on him. See Tex. R. App. P. 33.1 (generally, to preserve error for appeal, party must timely present
issue to lower court with sufficient specificity to make court aware of complaint); Missouri Pac. R.R.
Co. v. Whittenburg & Alston, 424 S.W.2d 427, 430 (Tex. 1968) (complaints that burden imposed
was too great and that trial court had misplaced burden of proof were not preserved for appellate
review by failing to object below); Flameout Design & Fabrication v. Pennzoil Caspian Corp., 994
S.W.2d 830, 836 (Tex. App.—Houston [1st Dist.] 1999, no pet.) (failure to object that court had
improperly shifted burden of proof waived error); see also Anderson Mill Mun. Util. Dist. v.
Robbins, No. 03-04-00369-CV, 2005 Tex. App. LEXIS 7482, at *27 (Tex. App.—Austin Sept. 8,
2005, no pet.).
22
In any event, the administrative code unambiguously states that, in an appeal from
a stewards’ ruling, the appellant carries the burden of proof at SOAH. Specifically, section 307.67(c)
provides that a “hearing on an appeal from a ruling by the stewards or racing judges is a contested
case and shall be conducted by SOAH . . . [at which] the appellant has the burden to prove that the
stewards’ or racing judges’ decision was clearly in error.” 16 Tex. Admin. Code § 307.67(c)
(emphasis added). Thus, even had Pierce objected to carrying the burden of proof at SOAH, the ALJ
would have been correct to overrule the objection and maintain the burden on Pierce.
Although Pierce argues that it violates due process for this statute to apply to
appellants who did not participate in the stewards’ hearing, we disagree.11 In administrative
proceedings, due process requires that parties be accorded a full and fair hearing on disputed fact
issues. Office of Pub. Util. Counsel v. Public Util. Comm’n, 185 S.W.3d 555, 576 (Tex.
App.—Austin 2006, pet. filed). While administrative hearings need not meet judicial standards, they
cannot be arbitrary or inherently unfair. Id. Here, the statute says nothing about an exception for
nonparticipating parties, and in light of the fact that Pierce had actual notice of the stewards’ hearing,
yet chose not to participate, we find nothing unfair about the ALJ following the statutory mandate
that Pierce carry the burden of proof. See In re D.M., 191 S.W.3d 381, 390 (Tex. App.—Austin
2006, pet. denied) (did not violate due process to place burden of proof on parents in
child-delinquency case because parents “were afforded the fundamental requirements of due process:
they were notified of the disposition hearing and were given an opportunity to be heard in a
11
Here too, Pierce has failed to cite any authority for his claim that due process requires the
burden of proof to remain on the Staff under these facts. Again, in the interests of justice, we address
his complaint despite his improper briefing. See Tex. R. App. P. 38.1(h).
23
meaningful manner”); see also Keeton, 2003 Tex. App. LEXIS 6925, at *21 (“We do not perceive
any violation of due process in the [Racing] Commission’s rule placing the burden of proof on
appellants to show error [in appeal from stewards’ ruling].”). Thus, section 307.67(c) was not
unconstitutionally applied to Pierce.
We also disagree with Pierce’s contention that section 307.67(c) is inconsistent with
section 3.08(a) of the Racing Act, which states that “a final decision of the stewards or judges may
be appealed to the commission in the manner provided for a contested case under the Administrative
Procedure and Texas Register Act (Article 6252-13a, Vernon’s Texas Civil Statutes).” Tex. Rev.
Civ. Stat. Ann. art. 179e, § 3.08(a). According to Pierce, section 3.08(a) mandates that the agency
carry the burden of proof on appeal from the stewards’ ruling, which would be inconsistent with
section 307.67(c)’s requirement that the appellant carry the burden of proof. See 16 Tex. Admin.
Code § 307.67(c). Pierce, however, reads section 3.08(a) incorrectly. Nothing in section 3.08(a)
states that the burden of proof should be placed on the agency. Instead, that section provides that
former article 6252-13a shall govern the appellate procedures. Former article 6252-13a, § 19(e) is
now government code section 2001.174, providing for a substantial evidence review in which the
appellant bears the burden to prove that the findings, inferences, conclusions, and decisions of the
administrative agency are not supported by substantial evidence. See Tex. Gov’t Code Ann. §
2001.174; see also Texas Ass’n of Bus. v. Texas Air Control Bd., 852 S.W.2d 440, 452 (Tex. 1993)
(article 6252-13a, § 19(e), has been recodified as section 2001.174); Railroad Comm’n. v. Home
Transp. Co., 654 S.W.2d 432, 434 (Tex. 1983) (same); H.G. Sledge, Inc. v. Prospective Inv. &
Trading Co., 36 S.W.3d 597, 602 (Tex. App.—Austin 2000, pet. denied) (“appealing party bears the
24
burden of showing a lack of substantial evidence”). There is nothing inconsistent between section
307.67(c)’s placement of the burden of proof on the appellant in an appeal from a stewards’ ruling
and section 3.08(a)’s requirement that such an appeal be conducted under a substantial evidence
review, in which the appellant carries the burden of proving error in the agency’s action.
Pierce’s final complaint regarding his burden of proof at the SOAH hearing is that
the standard of proof required should have been a “preponderance of the evidence” rather than “by
clear evidence.”12 As noted above, Pierce voiced this complaint to the ALJ and, therefore, preserved
error. Nevertheless, the standard of proof in an appeal from a stewards’ ruling is designated by
statute as a requirement that the appellant demonstrate the stewards’ “decision was clearly in error.”
16 Tex. Admin. Code § 307.67(c). Thus, the ALJ was correct to impose this standard of proof.
Furthermore, we find nothing unconstitutional about requiring this level of proof. See Mathews, 424
U.S. at 334; Keeton, 2003 Tex. App. LEXIS 6925, at *20-22 (burden of proof set forth in section
307.67(c) does not violate due process).
Unconstitutionality of the Commission’s Rules
In Pierce’s final complaint on appeal, he argues that administrative code sections
319.1 and 319.3 are unconstitutional for three reasons. Specifically, he claims that (1) sections
319.3(a) and (f) are unconstitutional because they create “conclusive mandatory presumptions,” i.e.,
irrebuttable presumptions of guilt that improperly relieve the State of its burden of proof; (2) sections
319.3(a) and (f) are unconstitutionally vague and in irreconcilable conflict with the more specific
12
The ALJ stated in conclusion of law 4 that Pierce’s burden was “to show that a finding by
the stewards was ‘clearly in error.’”
25
provision of 319.3(e); and (3) section 319.1(b) is unconstitutionally vague and in irreconcilable
conflict with section 319.1(a). See 16 Tex. Admin. Code §§ 319.1, 319.3. We will address each
complaint in turn.
Section 319.3(a) sets forth the Commission’s zero-tolerance policy:
(a) Except as otherwise provided by this section, a horse or greyhound participating
in a race may not carry in its body a prohibited drug, chemical, or other substance.
Id. § 319.3(a). Section 319.3(f) establishes the Commission’s rule that a positive test result for a
prohibited drug equals prima facie evidence of a violation:
(f) A positive finding by a chemist of a prohibited drug, chemical, or other substance
in a test specimen of a horse or greyhound collected before or after the running of a
race, subject to the rules of the commission relating to split specimens, is prima facie
evidence that the prohibited drug, chemical, or other substance was administered to
the animal and was carried in the body of the animal while participating in a race.
Id. § 319.3(f).
When reviewing the constitutionality of a statute, we begin with a presumption that
it is constitutional, and the party challenging a statute’s constitutionality has the burden of proving
that the statute fails to meet constitutional requirements. Tex. Gov’t Code Ann. § 311.021(1) (West
2005); Walker v. Gutierrez, 111 S.W.3d 56, 66 (Tex. 2003). Section 319.3(a) does not create any
presumptions. Rather, it simply states the rule that a horse may not race with any prohibited drug
in its system. Section 319.3(f), on the other hand, allows for a presumption that the rule established
in (a) has been violated if there is evidence of a positive drug test. Still, this presumption is
rebuttable. The agency is required to produce evidence that the horse tested positive for a prohibited
26
substance. The alleged violator can rebut this evidence with proof such as spoliation of the evidence.
Yet, if there is conclusive evidence that the horse raced with a prohibited drug in its system, as here,
then the owner or trainer is subject to punishment for violating the rule. The Constitution does not
prohibit statutes from creating rebuttable presumptions such as this one, even if they favor a state
agency. City of San Marcos v. Texas Comm’n on Envtl. Quality, 128 S.W.3d 264, 277 (Tex.
App.—Austin 2004, pet. denied); Tex-Air Helicopters, Inc. v. Galveston County Appraisal Review
Bd., 76 S.W.3d 575, 588-89 (Tex. App.—Houston [14th Dist.] 2002, pet. denied); see also Winkle
v. Tullos, 917 S.W.2d 304, 313 (Tex. App.—Houston [14th Dist.] 1995, writ denied) (rebuttable
presumption in healthcare liability claim that doctor’s acts were not negligent as long as in
compliance with statute was constitutional).
The only authority cited by Pierce for the notion that such rules unconstitutionally
relieve the Commission of its burden of proof is Willis v. State, a criminal case. 790 S.W.2d 307,
309 (Tex. Crim. App. 1990) (in criminal setting, “mandatory presumptions [that favor State] are
deemed unconstitutional because they eliminate the State’s constitutionally required burden of
proving guilt beyond a reasonable doubt”). Not only is the nature of Willis distinct from the instant
case, but Willis also recognizes that, even in a criminal case, not all presumptions are
unconstitutional. Id. at 311 (presumption that could rationally be drawn from facts passed
constitutional muster).
Pierce further asserts that sections 319.3(a) and (f) irreconcilably conflict with section
319.3(e), which provides that
27
(e) Except as otherwise provided by this chapter, a person may not administer or
cause to be administered to a horse or greyhound a prohibited drug, chemical, or
other substance . . . during the 24-hour period before the post time for the race in
which the animal is entered.
16 Tex. Admin. Code § 319.3(e) (2006). According to Pierce, subsections (a) and (f) are more
general and should, therefore, be controlled by the more specific subsection (e). Thus, he argues,
any decision made by the Commission based on subsections (a) or (f) prejudiced his substantial
rights and should be reversed.
It is not necessary, however, to determine whether one of the subsections is
controlling over another because all three provisions are harmoniously effective. See Tex. Gov’t
Code Ann. §§ 311.021(2), .025 (West 2005). Subsections (a) and (f) provide that a horse is not
permitted to have any amount of a prohibited drug in its system at the time of the race, and a positive
post-race drug test will be considered prima facie evidence that this rule has been violated. See 16
Tex. Admin. Code § 319.3(a), (f). This is the rule regardless of when the drug was administered or
for what purpose it was administered. Id. Subsection (e) provides further that no prohibited drug
can be administered to the horse within 24 hours of the race, regardless of whether the drug would
still be in the horse’s system at race time.
Here, it is undisputed that Pierce complied with the 24-hour rule because the
ipratropium was administered to Kristy’s Gold Star over 25 hours in advance of the race.
Nonetheless, it is also undisputed that the drug remained present in the horse’s system at race time,
resulting in a positive post-race test. A party cannot avoid punishment under subsection (a) simply
by complying with subsection (e), nor vice versa: a party could be punished upon evidence that a
28
prohibited drug was administered within 24 hours of the race, regardless of whether the horse tested
positive for it at race time. The rules are not inconsistent; rather, they cover distinct violations.
Thus, these rules are not unconstitutional, and the Commission’s decision to punish Pierce based on
his violation of section 319.3(a), as established through un-rebutted prima facie evidence under
section 319.3(f), did not prejudice Pierce’s substantial rights.
Pierce similarly complains that section 319.1(b)’s definition of “prohibited
drug”—any substance that “could affect the health or performance of a race animal, however
minimal”—irreconcilably conflicts with the overall purpose stated in 319.1(a)—“to protect the
integrity of horse and greyhound racing, to ensure the health of race animals, and to safeguard the
interests of the public and the participants in racing through the prohibition and control of all
prohibited drugs, chemicals, and other substances.” See id. § 319.1. According to Pierce, because
the stated purpose is to “ensure the health” of the animals, the definition of prohibited drug should
be limited to performance-enhancing drugs—meaning that no violation would result if the drug was
proven to have a therapeutic or medical purpose.
We see no reason to limit the definition as proposed by Pierce. Drugs that generally
have positive health effects on an animal can also have harmful and/or performance-enhancing
effects if improperly administered. Thus, it is consistent with the policies of protecting the integrity
of racing, ensuring the health of the animals, and safeguarding the public’s and participants’ interests
for the Commission to adhere to a zero-tolerance policy and disallow the existence of all prohibited
drugs. Furthermore, by defining which drugs are prohibited, and at what levels (Classes 1-5), the
Commission allows for administration of certain drugs that have been deemed acceptable. Notably,
29
the Commission presents an important policy implicated by these rules: if the animal is so sick that
it cannot run without the aid of drugs, then it should not be racing at all. This policy supports the
Commission’s position that all prohibited drugs, regardless of whether they may serve a medical
purpose, should be disallowed in order to achieve the purposes set forth in section 319.1(a).
Accordingly, these rules are constitutional, and Pierce’s substantial rights were not prejudiced by the
Commission’s determination that he violated the rules by allowing Kristy’s Gold Star to race with
ipratropium in her system, even if it was administered to treat her bronchitis.
CONCLUSION
We have concluded that (1) the Commission was authorized to modify the ALJ’s
conclusion of law 11 and uphold the punishment imposed by the stewards; (2) the Commission was
authorized to punish Pierce more harshly than the trainer; (3) there was no error resulting from a lack
of written notice about the stewards’ hearing because Pierce had actual notice of it, was invited to
attend, chose not to attend, and fully participated in the administrative proceedings thereafter; (4) at
the SOAH hearing, the burden of proof was correctly placed on Pierce and was imposed at the
appropriate standard of proof; and (5) there is nothing unconstitutional about the Commission’s rules
cited by Pierce.
Therefore, Pierce has failed to establish any prejudice to his substantial rights or any
violation of his constitutional rights. Accordingly, we overrule his two issues and affirm the
judgment of the district court, upholding in full the Commission’s final order.
30
W. Kenneth Law, Chief Justice
Before Chief Justice Law, Justices Patterson and Puryear
Affirmed
Filed: October 17, 2006
31