NOT RECOMMENDED FOR PUBLICATION
File Name: 19a0159n.06
No. 18-3327
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
FILED
Apr 01, 2019
TRISHA DORAN, M.D., ) DEBORAH S. HUNT, Clerk
)
Plaintiff-Appellant, )
)
ON APPEAL FROM THE
v. )
UNITED STATES DISTRICT
)
COURT FOR THE SOUTHERN
ROBERT WILKIE, Secretary for the United States )
DISTRICT OF OHIO
Department of Veterans Affairs, et al., )
)
Defendants-Appellees. )
BEFORE: KETHLEDGE, WHITE, and BUSH, Circuit Judges.
HELENE N. WHITE, Circuit Judge. Plaintiff-Appellant Dr. Trisha Doran’s
employment at a Veterans Affairs (VA) care center was terminated after internal administrative
reviews concluded that her treatment of several patients failed to meet the standard of care, she
acted with a lack of candor, she inappropriately documented a patient’s record, and she performed
a procedure without appropriate privileges. A VA Disciplinary Appeals Board sustained the
charges in part and affirmed her termination. Dr. Doran then challenged the Board’s decision in
federal district court. The district court granted summary judgment to the Secretary of the U.S.
Department of Veterans Affairs and the U.S. Department of Veterans Affairs. Dr. Doran appeals
and we affirm.
I. BACKGROUND
A. Factual History
Dr. Trisha Doran is a board-certified gastroenterologist and licensed physician in the State
of Ohio. She received her undergraduate and medical degrees at The Ohio State University, where
No. 18-3327, Doran v. Wilkie et al.
she also completed her post-graduate residency and gastroenterology fellowship. Beginning in
2008, she worked as a gastroenterologist at the Chalmers P. Wylie VA Ambulatory Care Center
in Columbus, Ohio. For several years, she earned high praise from her supervisors and her patients.
Her annual proficiency reports from 2008 to 2013 rated her competencies as “Outstanding,” the
highest possible score, and her direct supervisor, Dr. Glen Borchers, consistently remarked on the
quality of the care she provided. “Dr. Doran has made an important contribution to care of the GI
patient”; “Dr. Doran is a well trained and clinically competent gastroenterologist”; Dr. Doran has
“excellent relationships with peers[,] patients and staff,” as well as “an extremely low complication
rate”; “Dr. Doran has been very dependable”; “She always has suggestions for improved patient
care and efficiency.” (A.R. 87–94.)
In the 2013-2014 year, however, Dr. Doran’s performance report reflected a change. She
earned a grade of “Satisfactory” in two competencies, “Low Satisfactory” in two others, and an
overall score of “Low Satisfactory.” (A.R. 106–07.) The comments by Dr. Borchers suggest that
Dr. Doran was struggling to maintain a successful practice under the pressures of a heavy
workload: “her practice style is inefficient which often times leads to delays in task completion”;
“Dr. Doran is no longer able to attend lectures due to her clinical inefficiencies”; “Dr. Doran failed
to submit mandatory administrative peer reviews”; “Dr. Doran is frustrated with the amount of
work she is required to complete,” and as a result she “has requested additional administrative time
and a tour change”; “She seems to lack the ability to cope with normal stressors associated with
the roles and responsibilities of a physician.” (Id.)
On February 23, 2015, Dr. Borchers wrote a letter to Dr. Marc Cooperman, the Chief of
Staff of the Columbus VA, expressing “patient safety concerns related to the care provided” by
Dr. Doran. (A.R. 744–45.) Dr. Borchers specifically cited four patients whom Dr. Doran had
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treated in the past year that he believed warranted internal administrative review—Patient A,
Patient B, Patient C, and Patient D. A professional standards board (PSB) was appointed to review
the patient safety concerns. The PSB, composed of senior members of the Columbus VA medical
staff, convened on March 2, 2015 and reviewed the patient records. The PSB sent a letter to Dr.
Cooperman on March 9, 2015, recommending that Dr. Doran “[u]ndergo an extensive ‘Fitness for
Duty’ evaluation (including psychiatric and substance abuse)” and “[r]eceive
mentoring/proctoring/education” in several areas. (A.R. 634–36.) A medical executive board
(MEB) then convened to review the PSB findings.1 The MEB, chaired by Dr. Cooperman,
questioned Dr. Doran regarding the relevant episodes, reviewed the documentation of Dr. Doran’s
care, and concluded that the permanent revocation of her privileges at the VA center was
warranted. An Administrative Investigation Board (AIB) also performed a review of Dr. Doran’s
treatment and concurred in the recommended termination.
On June 2, 2015, Dr. Cooperman issued Dr. Doran a Notice of Proposed Removal and
Revocation of Clinical Privileges (Notice). The Notice provided the findings in support of the
proposed removal.
Patient A. On January 26, 2015, Patient A presented for an esophagogastroduodenoscopy
(EGD) and a colonoscopy. The patient had multiple comorbidities, including diabetes,
hypertension, coronary artery disease, and chronic kidney disease. Additionally, his oxygen
saturations were low. Despite these complicating factors, Dr. Doran assessed Patient A as an ASA
II, a low-risk patient classification that indicates the patient can receive conscious sedation without
1
According to the VA care center’s bylaws, the PSB performs an initial investigation of the patient-safety
concerns and makes a recommendation to the MEB. The MEB then convenes a larger panel to review the
recommendations.
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No. 18-3327, Doran v. Wilkie et al.
assistance from the anesthesiology department.2 Dr. Doran ordered a sedative dose of 100
micrograms of Fentanyl and 2 milligrams of Versed, administered via a bolus.3 This proved to be
an excessive amount of medication—Patient A quickly became unresponsive, and the emergency
code blue was called.
There is conflicting evidence of what occurred during the code blue. Although Dr. Doran
asserts that she gave several oral orders for Narcan (the reversal agent for Fentanyl), no other
witnesses, including the nurses in the room with Dr. Doran, heard her oral orders. Nurse Alison
Kirkpatrick, who responded to the code blue, testified before the AIB that “I looked at Dr. Doran
and I said ‘Did you give narcotic?’ And she gave a little shake of her head, and she couldn’t answer
me. I did not hear her order a narcotic reversal. I did not hear her ask for naloxone, Narcan,
nothing.” (A.R. 462.)
Later, Dr. Doran made several attempts to supplement the record to reflect that she did, in
fact, order Narcan during the code blue. She asked the licensed practical nurse in the case, Kristen
Farrand, to write a statement that Dr. Doran had ordered Narcan. Nurse Farrand refused because
she had not actually heard Dr. Doran order the reversal agent. On March 20, 2015, after the PSB
issued its recommendations and a few days before the case would be reviewed by the AIB, Dr.
Doran inserted an addendum to the patient’s record listing four specific times she orally ordered
that Narcan be given to the patient. Dr. Doran asked Janet Gerkin, the registered nurse in the case,
to cosign the note, but she refused. Finally, Dr. Doran augmented a sedation-reversal-agent report
2
Dr. Doran later explained that she agreed that Patient A was ASA III, but mistakenly labeled him ASA II
on his patient chart because her electronic chart program defaults to ASA II.
3
The record inconsistently states the dosages ordered by Dr. Doran. The DAB’s decision states that Dr.
Doran “gave [Patient A] a rapid dose of 100 micrograms of Fentanyl and 2 micrograms of [V]ersed,” (A.R. 2303),
but the Notice states that she ordered 100 milligrams of Fentanyl and 2 milligrams of Versed. (A.R. 31.) However,
the testimony before the DAB makes clear that Dr. Doran actually ordered 100 micrograms of Fentanyl and
2 milligrams of Versed. (A.R. 1613.)
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to read that “Narcan was ordered. Discussed with Dr. McKeon and EMS staff. Ultimately it was
not given.” (A.R. 426–27.)
Patient B. On January 27, 2015, the day after Patient A’s procedure, Patient B presented
for an EGD. Patient B was a 65-year-old man with multiple complicating factors including
cirrhosis, sleep apnea, atrial fibrillation, diabetes, retinopathy, chronic renal failure, and clinical
obesity. The procedure was “markedly prolonged,” lasting more than 75 minutes, after which
Patient B’s abdomen was “hard and distended.” (A.R. 1.) According to Dr. Borchers’ PSB
testimony, 75 minutes is an excessive length of time to subject a patient to the discomfort of the
procedure. Patient B was later sent to an urgent-care facility to check for an accidental perforation
of the stomach during the EGD, but a CT scan revealed there was no perforation. Dr. Doran
maintained that the distention of Patient B’s abdomen was simply due to air trapped in his small
bowel.
Patient C. Dr. Doran performed a colonoscopy on Patient C on October 17, 2014. During
the procedure, Dr. Doran found “a large tumor in the ascending colon as well as multiple other
significant polyps.” (A.R. 2.) Despite the possibility that a total colectomy would be required,
obviating the need for further procedures, Dr. Doran attempted to remove all of the polyps. This
“markedly prolonged the procedure and increased the patient’s risk of hemorrhage.” (A.R. 2–3.)
Patient D. On June 20, 2014, Dr. Doran performed a sigmoidoscopy and anal tattooing
with methylene blue on Patient D. Anal tattooing is not part of the core privileges for a
gastroenterologist at the Columbus VA. After the procedure, Patient D experienced significant
edema and was treated at a private hospital. Dr. Doran later approached a staff member who had
assisted in the procedure and requested that he write a statement that Patient D was “prepped before
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the administration of the blue dye used on the patient.” (A.R. 835.) The staff member was
uncomfortable writing the statement because the procedure had taken place nearly a year before.
B. Internal Reviews
Based on these findings, the Notice listed four charges against Dr. Doran. Charge 1 alleged
failures to provide the appropriate standard of care to Patient A, Patient B, and Patient C. Charge
1, Specification 1 concerns Patient A. Charge 2, Specification 2 concerns Patient B. Charge 1,
Specification 3 concerns Patient C. Charge 2 alleged a lack of candor in Dr. Doran’s testimony
during several administrative hearings in which she stated that she gave orders for Narcan to be
administered to Patient A during the code blue. Charge 2 also referenced Dr. Doran’s attempts to
enlist nurses to write statements that Dr. Doran had called for Narcan. Charge 3 alleged
inappropriate and untimely documentation in Patient A’s record. Charge 4 claimed that Dr. Doran
performed the anal tattooing procedure on Patient D without the appropriate privileges.
Dr. Doran responded to the Notice through counsel on July 22, 2015. With respect to
Charge 1, Dr. Doran argued that she met the standard of care as to Patients A, B, and C. Dr. Doran
asserted that, even considering his complicating medical conditions, Patient A was a candidate for
moderate sedation and did not require monitored anesthesia care (MAC), and the dose of Fentanyl
she used was appropriate given Patient A’s weight, age, high blood pressure, and level of anxiety.
Regarding Patient B, Dr. Doran asserted that the procedure was prolonged only because she
responded to oozing from a polyp-removal site that was exacerbated by Patient B’s liver disease.
Dr. Doran maintained that the procedure was only as long as necessary given the complicating
factors and the procedures needed to ensure no future bleeding. As to Patient C, Dr. Doran
disputed the conclusion that a total colectomy was required, and asserted that her decision to excise
the polyps was appropriate.
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Regarding Charges 2 and 3, Dr. Doran maintained that she did, in fact, order Narcan during
the code blue for Patient A. Dr. Doran also asserted that her requests to enter records clarifying
her Narcan order were not improper and were fully authorized by VA policies.
As to Charge 4, Dr. Doran stated that she believed that Patient D’s anal tattooing procedure
was within her privileges as a gastroenterologist. She added that her supervisor commended her
performance after the procedure and did not raise a privileging or practice issue until roughly seven
months later, after Patient A’s code blue.
Finally, Dr. Doran argued that in light of the factors set forth in Douglas v. Veterans
Administration, 5 M.S.P.R. 280 (1981), the punishment of removal and revocation of privileges
was overly severe.4 Specifically, Dr. Doran asserted that: (1) the generally minor nature of
patients’ negative outcomes, (2) her strong relationships with her patients, (3) the absence of any
4
The Douglas factors include:
(1) The nature and seriousness of the offense, and its relation to the employee’s duties, position, and
responsibilities, including whether the offense was intentional or technical or inadvertent, or was
committed maliciously or for gain, or was frequently repeated;
(2) the employee’s job level and type of employment, including supervisory or fiduciary role,
contacts with the public, and prominence of the position;
(3) the employee’s past disciplinary record;
(4) the employee’s past work record, including length of service, performance on the job, ability to
get along with fellow workers, and dependability;
(5) the effect of the offense upon the employee’s ability to perform at a satisfactory level and its
effect upon supervisors’ confidence in the employee's ability to perform assigned duties;
(6) consistency of the penalty with those imposed upon other employees for the same or similar
offenses;
(7) consistency of the penalty with any applicable agency table of penalties;
(8) the notoriety of the offense or its impact upon the reputation of the agency;
(9) the clarity with which the employee was on notice of any rules that where violated in committing
the offense, or had been warned about the conduct in question;
(10) potential for the employee’s rehabilitation;
(11) mitigating circumstances surrounding the offense such as unusual job tensions, personality
problems, mental impairment, harassment, or bad faith, malice or provocation on the part of others
involved in the matter; and
(12) the adequacy and effectiveness of alternative sanctions to deter such conduct in the future by
the employee or others.
Douglas, 5 M.S.P.B. at 332.
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prior disciplinary record, (4) her exemplary work record, and (5) the adequacy and efficacy of
alternative sanctions all mitigate in favor of a lighter punishment.
Keith Sullivan, the Director of the Columbus VA, reviewed the charges against Dr. Doran,
the evidence presented in previous hearings, and her written replies. Director Sullivan also
“considered other factors including [her] years of service, [her] past work record, the seriousness
of the offense(s) with which [she has] been charged, and whether there are any mitigating or
extenuating circumstances which would justify mitigation of the proposed penalty.” (A.R. 171.)
Director Sullivan “concluded that the sustained charge(s) against [her] are of such gravity that
mitigation of the proposed penalty is not warranted, and that the penalty of removal is appropriate
and within the range of reasonableness.” (Id.) Effective August 21, 2015, Dr. Doran was removed
from VA employment.
C. Disciplinary Appeals Board
Pursuant to 38 U.S.C. § 7461, Dr. Doran appealed her termination to the VA Under
Secretary for Health. Dr. Doran contended that the prior proceedings violated her right to due
process because she was not given effective notice of “any specific law, regulation, policy,
procedure, practice or other specific instruction that has been violated with respect to each charge,”
and because she was never given a written statement of the definition of “standard of care,” she
was unable to properly prepare a defense. (A.R. 948 (emphasis omitted).) Dr. Doran also asserted
that the MEB relied on unrecorded testimony that Dr. Doran was unable to review, and that she
was therefore unable to respond to all of the evidence against her. Finally, Dr. Doran argued that
she was denied the opportunity to review the VA medical records of other practitioners to
determine if they managed similar patients’ care under similar circumstances.
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The Under Secretary appointed a Disciplinary Appeals Board (DAB, or Board) to review
the termination of Dr. Doran’s employment, consisting of Dr. Ciaran O’Hare, former Chief of
Surgery at the Oklahoma City VA; Dr. Yasser Sakawi, Chief of Anesthesia at the Birmingham,
Alabama VA; Dr. Joseph Pisegna, Chief of Gastroenterology at the VA Greater Los Angeles
Health Care System; and Angela Madtes, Assistant HR Officer at the Pittsburgh VA. The DAB
hearing took place in Columbus, Ohio, on January 25 and 26, 2016. Fourteen witnesses testified,
including Dr. Doran, the nurses present during the relevant procedures, and Dr. Doran’s
supervisors and colleagues at the Columbus VA. The DAB independently reviewed the testimony
from the MEB and AIB, the expert submissions from Dr. Doran, factual findings and
recommendations from previous reviews, Dr. Doran’s prior proficiency reports, and the relevant
patient files. Dr. Doran was represented by counsel, who had the opportunity to cross-examine
the witnesses.
The DAB issued a decision on March 21, 2016, sustaining Charge 1, Specification 1 and
Charge 3, and affirming the termination of Dr. Doran’s employment at the VA. The DAB did not
sustain Charge 1, Specification 2; Charge 1, Specification 3; Charge 2; or Charge 4.
Regarding Charge 1, the DAB found:
Neither Dr. Doran’s clinic note, nor her pre-procedure note gave indication that she
analyzed or appreciated the severity of the potential airway difficulties in patient
A. Dr. Doran failed to recognize the severity of his health condition in spite of
nurses raising concern about his preoperative oxygen saturation and blood pressure
and rated him ASA 2 instead of ASA 3. Irrespective of her assessment, the method
of sedation was reckless and dangerous and led directly to the airway collapse.
Once the emergency occurred, Dr. Doran performed poorly. She did not assume
charge nor give clear instruction, did not call for assistance, could not ventilate with
the Ambu Bag, and did not clearly ask for reversal agents at the beginning of the
event.
Dr. Doran initiated the emergency, but is not completely responsible for the
consequences. Critically, the reversal agents had been moved from a readily
accessible locked drawer to an Omnicell system, hindering and delaying access to
them. By the time Nurse Gerkin presented Flumazenil to Dr. Varma 3-5 minutes
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had passed[,] and anesthesia was already there to secure an airway. Nurse Gerkin
should have been familiar with the agent and Omnicell access. Dr. Borchers and
Dr. Cooperman both agree that if Narcan had been given quickly the consequences
were likely to have been much less.
(A.R. 2303 (internal record citations omitted).) The DAB’s decision on Charge 1, Specification 1
was unanimous.
Regarding Charge 3, which involved Dr. Doran’s addendum to Patient A’s file specifying
the times that she ordered Narcan and her related request for Nurse Gerkin to cosign the addendum,
the DAB found:
The timing and the content of the note are not disputed. The note contained a very
specific timed series of events that included Dr. Doran requesting Narcan on several
occasions. Delayed entries in the Medical Record are acceptable, though they are
discouraged as they are liable to contain inaccuracies. The electronic record cannot,
except by technical means, be legally “spoiled” (altered) as prior entries are not
removed. Dr. Doran followed recommended guidelines for delayed entries. They
must be dated, signed, reference the original entry, and the reason for their need be
explained.
However, there is still an obligation that they be relevant and accurate. Dr. Doran
entered a self-serving statement in the medical record, 6 weeks after the events took
place and 3 days after the MEB voted to suspend her privileges. It was also clear
that the motivation for placing the note was not to enhance the record but to
establish Dr. Doran’s version of what took place. The patient’s chart is an
inappropriate place to place this documentation. Dr. Doran also had a responsibility
to the Agency to refrain from actions that would damage its position after the
institutional disclosure.
(A.R. 2307–08.) Charge 3 was sustained in full by Dr. Sakawi and in part by Dr. O’Hare and Dr.
Pisegna.5
Having sustained Charge 1, Specification 1 and Charge 3, the DAB evaluated the
appropriateness of Dr. Doran’s punishment. The DAB determined that several of the Douglas
factors weighed in favor of termination: the seriousness of the offense, the employee’s position,
5
Dr. Sakawi would have sustained Charge 3 on the additional basis that documenting the medical record six
weeks after the events took place is “grossly inappropriate.” (A.R. 2314–15.)
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the erosion of supervisory confidence, and the lack of potential for rehabilitation. However, the
Board found that two factors—prior discipline and prior work record—weighed in Dr. Doran’s
favor. The DAB noted that Dr. Doran’s earlier performance evaluations had been positive.
In spite of this history, the DAB concluded that Dr. Doran’s treatment of Patient A “was
so removed from the standard of care [that] the penalty of discharge is warranted.” (A.R. 2310).
The DAB also determined that the sustained charges “represent substandard care, professional
incompetence or professional misconduct,” and are therefore reportable to the National
Practitioner Data Bank. (A.R. 2311.)
The DAB noted, however, that it “had concerns with some aspects of how the Agency
formulated and decided the charges.” (A.R. 2299.) Specifically, the DAB took issue with Dr.
Borchers’s statements before the PSB and the MEB, which they found to include “exaggerations
or misrepresentations, and were different from his statements under oath.” (Id.) The Board also
noted that the internal review of Patient A’s code blue did not address how the relocation of the
Narcan from a locked drawer to an automated dispensing system affected the events. The Board
found as well that the composition of the AIB was in violation of VA directives because it was
“likely to contain members who had direct involvement in the [matter] being investigated,”
therefore compromising its objectivity, and because it “did not contain members with sufficient
knowledge of the subject matter.” (A.R. 2300.) Nevertheless, “the Board was satisfied that it had
gathered all the evidence it required to make a fair decision, and that Dr. Doran had been afforded
due process.” (A.R. 2299.)
Dr. Doran then appealed the DAB decision to the district court, arguing that the DAB’s
decision was arbitrary and capricious, failed to meet the statute’s procedural requirements, was
unsupported by substantial evidence, and failed to properly evaluate her termination under the
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Douglas factors. The district court granted summary judgment to Defendants and Dr. Doran
appeals.
II. STANDARD OF REVIEW
We review de novo a district court’s opinion as to an agency action. Fligiel v. Samson,
440 F.3d 747, 750 (6th Cir. 2006) (citation omitted). We then “apply the appropriate standard of
review in looking at the agency’s decision.” Id. (citation and internal quotation marks omitted).
Our review of the DAB’s final action is governed by 38 U.S.C. § 7462(f)(2), which
provides:
In any case in which judicial review is sought under this subsection, the court shall
review the record and hold unlawful and set aside any agency action, finding, or
conclusion found to be—
(A) arbitrary, capricious, an abuse of discretion, or otherwise not in accordance
with law;
(B) obtained without procedures required by law, rule, or regulation having been
followed; or
(C) unsupported by substantial evidence.
38 U.S.C. § 7462(f)(2). For purposes of § 7462(f)(2)(A), an agency’s decision is “arbitrary and
capricious” if “the agency has relied on factors which Congress has not intended it to consider,
entirely failed to consider an important aspect of the problem, offered an explanation for its
decision that runs counter to the evidence before the agency, or is so implausible that it could not
be ascribed to a difference in view or the product of agency expertise.” Taylor v. Principi, 92 F.
App’x 274, 276–77 (6th Cir. 2004) (quoting Henry Ford Health Sys. v. Shalala, 233 F.3d 907, 911
(6th Cir. 2000)). “Although the court may not supply a reasoned basis for the agency’s action that
the agency itself has not given, a decision of less than ideal clarity should be upheld if the agency’s
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path may reasonably be discerned.” Id. at 277 (citing Lansing Dairy, Inc. v. Espy, 39 F.3d 1339,
1355 (6th Cir. 1994)).6
Under § 7462(f)(2)(C), we must set aside any agency action “unsupported by substantial
evidence.” “Substantial evidence is such relevant evidence as a reasonable mind might accept as
adequate to support a conclusion.” Mountain States Contractors, LLC v. Perez, 825 F.3d 274, 279
(6th Cir. 2016) (citation omitted). “It is less than a preponderance of the evidence, but more than
a scintilla.” Id. (citation omitted).
III. DISCUSSION
On appeal, Dr. Doran contends that the DAB’s decision was not supported by substantial
evidence and that its affirmance of her termination was arbitrary and capricious. Dr. Doran also
argues that the actions taken by the VA violated its own procedural rules, denying her due process.
A. Substantial Evidence
Charge 1, Specification 1. Dr. Doran first argues that the DAB erred in finding that she
violated the standard of care in her treatment of Patient A because there was no evidence that she
administered an excessive amount of sedation. Dr. Doran points to the peer reviews she submitted
to the PSB that suggest that the 100-microgram dose of Fentanyl she gave was an acceptable
exercise of medical discretion. As Dr. Agrawal testified before the DAB, there is no strict
guideline mandating that an ASA III patient should receive MAC sedation, and “[i]t is usually a
physician and patient choice.” (A.R. 1757.) Dr. Agrawal additionally testified that “the dosing
for fentanyl 100 was a little high in my opinion,” but also suggested that it was not necessarily
6
We have not interpreted the arbitrary-and-capricious standard of 38 U.S.C. § 7462(f) in a published opinion,
but the standard of review mirrors the standard of review of administrative actions under the Administrative Procedure
Act. See 5 U.S.C. § 706(2).
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against the guidelines. (A.R. 1754.) Dr. Varma, the anesthesia reviewer on the PSB, similarly
stated:
I am not aware of any hard criteria in the community mandating that a patient with
these comorbidities may not undergo moderate sedation. . . . The decision to
include an anesthesia provider would be based on the proceduralist’s evaluation of
the total patient and any concerns that they could not provide safe sedation with
their skill-set. In this case, an exam showing MPII, obesity, and sleep apnea might
encourage some providers to ask for anesthesia care, but this is a case by case
decision.
(A.R. 304–05.)
However, there was also evidence that the dose Dr. Doran administered was excessive
given Patient A’s particular circumstances. Nurses Farrand and Gerkin testified that Dr. Doran
failed to recognize the severity of the patient’s health condition in spite of concerns raised about
his preoperative oxygen saturation, and incorrectly labeled him an ASA II instead of ASA III. Dr.
Doran admitted that her assessment was rushed and that her documentation was inaccurate.
Nurse Gerkin confirmed the doses of the sedatives that Dr. Doran ordered and several
doctors testified that this dose was excessive. The Chief of Physical Medicine at the Columbus
VA, Dr. Andrew Iams, testified that “in our review of the literature that [sic] the dose of the
Fentanyl seemed high in comparison to what would have been a usual dose or at least starting at
that dose seemed to be of concern to us.” (A.R. 1549.) Dr. Borchers stated that administering this
combination of sedatives to an ASA III could cause the patient to “stop breathing, they could
become hypoxic, which could then lead to their heart stopping.” (A.R. 1793.) According to Dr.
Borchers, the appropriate procedure would have been to order MAC anesthesia administered by
an anesthesiologist: “You would have two doctors in the room. The anesthesiologist would control
the anesthesia, would most likely use propofol, and propofol’s short acting. If anything occurred,
you stop giving the propofol and the patient’s respiratory status would improve rapidly.” (A.R.
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1795.) Dr. Steve Wanamaker testified that the delivery of drugs as a bolus, as was done by
Dr. Doran, increases the risk to the patient, particularly in patients with multiple co-morbidities.
Dr. Wanamaker, who was on the PSB Panel, explained that in the case of Patient A, “[the patient]
received a significant dose of Fentanyl and Versed as a bolus administration and that the
subsequent cardiovascular collapse was secondary to the administration of those two drugs in close
proximity.” (A.R. 1613.)
The Board also considered the transcripts of prior reviews of Dr. Doran’s conduct.
Dr. Varma stated during the PSB panel that, given Patient A’s sleep apnea and obesity, “when the
sedation was started I would have gone very gentle to start with . . . as recorded, patient was given
two of Versed and 100 of Fentanyl upfront. And I think to me, my understanding is, that led to
the sequence of all the problems.” (A.R. 641.) Dr. Iams, a gastroenterologist on the PSB panel,
concluded that Dr. Doran’s care “did not meet the community standards[,] especially because [the]
patient had multiple co-morbidities” and sleep apnea. (A.R. 304.) This evidence is more than
sufficient to support the Board’s conclusion that “the method of sedation was reckless and
dangerous and led directly to the airway collapse.” (A.R. 2303.)
Dr. Doran also argues that there was no reliable evidence that Patient A experienced an
extended hospitalization after the code blue or that he subsequently filed a tort claim against the
VA, facts which the DAB considered in upholding Dr. Doran’s termination. However,
Dr. Cooperman testified before the DAB that he received “regular updates at morning report on
patients that are—patients of ours that are hospitalized at private hospitals from our utilization
review nurses or navigation nurses, and so we received daily updates on Patient A’s condition until
the time that he was transferred to a nursing facility.” (A.R. 2006–07.) These updates included
information regarding the patient’s clinical condition, his location, if he needed surgery, or any
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other significant change. Dr. Cooperman further stated that it was his understanding that Patient
A “was in the ICU for approximately 30 days. . . . [A]fter reviewing the case and getting outside
review, we did an institutional disclosure to his wife, and she has filed a tort claim for $3 million
against the Agency.” (A.R. 1972.) Similarly, Director Sullivan testified, “I know the patient was
in critical care for quite a long time and ended up in a nursing home, and I don’t believe he was in
a nursing home before he came to us for the procedure. So it was a serious incident.” (A.R. 2054.)
Although this evidence is hearsay, “[h]earsay evidence is admissible in an administrative
proceeding, provided it is relevant and material.” Myers v. Sec’y of Health & Human Servs.,
893 F.2d 840, 846 (6th Cir. 1990) (citing Richardson v. Perales, 402 U.S. 389, 400 (1971)). As
the district court properly noted, these statements were derived from regular reports used to track
patients, and therefore bear some indicia of reliability.
Charge 3. The DAB also sustained Charge 3, which alleged that Dr. Doran inserted an
addendum to Patient A’s file, long after Patient A was discharged from Dr. Doran’s care, in which
Dr. Doran listed specific times that she asked for Narcan. Dr. Doran argues on appeal that the
DAB’s rejection of Charge 27 precludes the DAB from sustaining Charge 3, because the DAB
“already decided that there was no dishonesty surrounding the Narcan order; therefore, the record
entry was accurate.” (Appellant Br. at 35.)
As the DAB explained, however, Dr. Doran’s addendum was inappropriate without regard
to its accuracy:
Dr. Doran entered a self-serving statement in the medical record, 6 weeks after the
events took place and 3 days after the MEB voted to suspend her privileges. It was
also clear that the motivation for placing the note was not to enhance the record but
7
Charge 2 alleges that Dr. Doran lacked candor in stating to the PSB that she had, in fact, ordered Narcan.
The DAB did not sustain Charge 2 because it found there was a possibility that Dr. Doran ordered the Narcan, albeit
ineffectively. “The Board accepts that Dr. Doran did not give a clearly audible order for drugs, and when asked to
clarify she only mentioned Flumazenil and not Narcan, but it cannot consider proven that she never requested them at
all, therefore the charge of lack of candor is not proven.” (A.R. 2306.)
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to establish Dr. Doran’s version of what took place. The patient’s chart is an
inappropriate place to place this documentation. Dr. Doran also had a responsibility
to the Agency to refrain from actions that would damage its position after an
institutional disclosure.
(A.R. 2308.) The DAB determined that, whether or not Dr. Doran actually ordered the Narcan,
her belated documentation in Patient A’s records was inappropriate, and therefore the DAB did
not err in sustaining Charge 3 without conclusive evidence that Dr. Doran’s addendum was
untruthful.
B. Arbitrary and Capricious
Dr. Doran next argues that the DAB failed to appropriately consider the twelve factors set
out in Douglas v. Veterans Administration, 5 M.S.P.B. 313 (1981), in evaluating her punishment.
Specifically, Dr. Doran argues that the DAB failed to give sufficient weight to the first factor (the
nature and seriousness of the offense), because there was no clear evidence that Patient A sustained
long-term damage; the third factor (past disciplinary record) and fourth factor (employee’s past
work record), because the DAB merely noted that there was no prior discipline in Dr. Doran’s
record; the eighth factor (notoriety), because there was no evidence of Plaintiff A’s tort claim
introduced into the record; the ninth factor (the clarity with which the employee was on notice or
had been warned), which the DAB did not address; the tenth factor (the potential for rehabilitation),
because Director Sullivan testified that he believed that Dr. Doran could be rehabilitated; the
eleventh factor (mitigating circumstances), because the DAB did not consider Dr. Borchers’s
alleged harassment of Dr. Doran; and the twelfth factor (the adequacy and effectiveness of
alternative sanctions), because the DAB failed to consider it. Dr. Doran also argues that the DAB’s
failure to consider mitigating circumstances constitutes an abuse of discretion, warranting reversal.
An appellate court will uphold the penalty chosen by the DAB so long as the DAB
“examined the relevant data and articulated a satisfactory explanation for its decision, including a
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rational connection between the facts and the decision made.” Kreso v. McDonald, 631 F. App’x
519, 523–24 (10th Cir. 2015) (citing MacKay v. DEA, 664 F.3d 808, 817 (10th Cir. 2011)).
While a lesser sanction may also have been appropriate, we cannot say that the DAB’s
decision to sustain Dr. Doran’s termination was arbitrary or capricious. The Board expressly
considered nine of the Douglas factors, devoting to each an appropriately detailed discussion of
how the factor affected the Board’s ultimate decision. For example, the DAB explained that Dr.
Doran’s breach of the standard of care was a serious offense because she failed to assess the
relevance of Patient A’s comorbidities to her chosen method of anesthesia, and that this breach
affected Patient A’s long-term health. The DAB found that Dr. Doran’s “method of sedation
would be dangerous in many patients and it seems to have been chosen without any consideration
of the clinical situation.” (A.R. 2309.)
The DAB also found that, “[a]s a licensed independent practitioner Dr. Doran must assess
patients, perform procedures, and manage any complication competently and without direct
supervision.” (A.R. 2309.) Her failure to do so in Patient A’s case eroded the confidence of her
supervisors and exposed the VA to significant tort liability. The DAB additionally evaluated Dr.
Doran’s potential for rehabilitation and noted that “Dr. Doran had ample opportunity to reflect
upon her performance and role in the events under investigation. Her consistent defense was to
argue that her actions were correct and to minimize her role in the events.” (A.R. 2310.)
On the other hand, the DAB noted that Dr. Doran had no record of prior discipline, and
that her past evaluations had been positive. The DAB also remarked that Patient A’s code blue
was Dr. Doran’s single recorded sedation event in six years. The DAB also referenced and
considered Director Sullivan’s testimony that “I think there is an opportunity for Dr. Doran to
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return to work . . . I believe there is a chance that Dr. Doran could be rehabilitated to where she
could return to work.” (A.R. 2310.)
Ultimately, however, the DAB found that, “despite some mitigating circumstances, the
Board votes to sustain the penalty and considers it within the range of reasonableness.” (A.R.
2311.) This decision is not “counter to the evidence before the agency, or so implausible that it
could not be ascribed to a difference in view or the product of agency expertise.” Henry Ford
Health Sys., 233 F.3d at 911 (quotation omitted).
It is true that the DAB did not address three of the factors—the consistency of the penalty
with any applicable agency table of penalties, the adequacy of alternative sanctions, and the clarity
with which the employee was on notice that the conduct violated policy. However, as the Douglas
court noted, “Not all of these factors will be pertinent in every case.” 5 M.S.P.R. at 305. See also
Schuck v. Frank, 27 F.3d 194, 197 n.2 (6th Cir. 1994.) “Although we have repeatedly recognized
that the Board need not consider all the Douglas factors, it must consider the relevant ones.”
Purifoy v. Dep’t of Veterans Affairs, 838 F.3d 1367, 1372 (Fed. Cir. 2016) (citation omitted).
The DAB did not err in failing to discuss two of the Douglas factors. First, neither party
has suggested that there is an applicable table of penalties, so that factor is not relevant. Second,
the DAB discussed the possibility of alternative sanctions at several points in its analysis, for
example, by rejecting the notion that Dr. Doran could continue at the Columbus VA under a
supervised training program. The DAB reasoned, “[d]iscrepancies brought into question Dr.
Doran’s ability for rehabilitation, and there was a lack of acknowledgement and ownership of her
errors . . . The relationship with her supervisors and co-workers has been damaged, and . . . it is
not certain that her performance will improve [or that] trust can be restored.” (A.R. 2311.)
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Finally, Dr. Doran correctly notes that the DAB did not discuss the clarity-of-notice factor
in its evaluation, and this factor would seem to weigh in favor of Dr. Doran. Prior to the PSB, she
had not received any warnings regarding patient treatment, and as the DAB stated, her addendum
to Patient A’s file was technically in compliance with VA policy for delayed entries. Nevertheless,
we are not convinced that this factor so outweighs the factors in support of termination as to
warrant reversal.
C. Statutory Due Process
Permanent physicians hired by the VA are entitled to certain procedural protections when
they experience a “major adverse action” that is the result of “professional conduct or
competence.” 38 U.S.C. § 7461–62. These protections include advanced written notice of the
charges against the physician, the law violated, and a file containing the evidence supporting each
charge; an opportunity to answer the charges and to submit evidence; the right to be represented
by an attorney; a written, reasoned decision by the DAB; and the right to judicial review of any
adverse decision by the DAB. Id. § 7462. Further, “it is an elemental principle of administrative
law that agencies are bound to follow their own regulations.” Rabbers v. Comm’r Soc. Sec. Admin.,
582 F.3d 647, 654 (6th Cir. 2009) (quotation and alteration omitted). However, because our review
of administrative agency decisions is subject to harmless-error analysis, “we will not remand for
further administrative proceedings unless the claimant has been prejudiced on the merits or
deprived of substantial rights because of the agency’s procedural lapses.” Id. (citations and internal
quotation marks omitted).
Inadequate Notice. Dr. Doran argues the VA failed to provide adequate notice of the
charges against her, in violation of 38 U.S.C. § 7462 (b)(1)(A). Specifically, she asserts that the
Notice failed to specify the discrete policies or standards that she is charged with violating. For
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example, Dr. Doran notes that the standard of care applicable to a physician is specific to the
physician’s practice area, and therefore the general statement that she has violated the standard of
care fails to provide adequate notice of the charges in this case.
38 U.S.C. § 7462(b)(1) provides that the written notice for a major adverse action must
provide the basis for the charge and “a statement of any specific law, regulation, policy, procedure,
practice, or other specific instruction that has been violated.” The VA Handbook clarifies that, at
a minimum, the notice must include statements “of the specific charges upon which the proposed
action is based, including names, dates, places, and other data sufficient to enable the employee to
fully understand the charges and to respond to them” and “any specific law, regulation, policy,
procedure, practice, or other specific instruction (national, local or otherwise) that has been
violated as it pertains to the charge(s) if applicable). VA Handbook 5021, Part I, Ch. 1 § 5(b)
(Apr. 15, 2002) (emphasis added).
The Notice provided Dr. Doran with adequate notice of the charges against her. The Notice
included the specific dates, patients, and procedures that gave rise to the charges, identifies persons
who witnessed the allegedly inappropriate conduct, and clearly set forth the basis for the charge.
For example, Charge 1, Specification 1 explained:
Based on the patient[’]s complex medical history you should have considered
initiating the sedation process with lower doses of medication or asking for
assistance from Anesthesiology. Instead, you gave him a rapid dose of 100
[micro]grams of Fentanyl and 2 milligrams of versed intravenous push. Given the
patient’s medical history, this was an excessive amount of medication.
(A.R. 1.) The charge described the action taken by Dr. Doran, why it was inappropriate, and what
the correct course of action would have been. Dr. Doran is correct that the charges did not identify
a “specific law, regulation, policy, [or] procedure” that Dr. Doran violated, but the Handbook only
requires such specification “if applicable.” VA Handbook 5021, Part I, Ch. 1 § 5(b). Here, Dr.
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Doran was not charged with violating a specific law or regulation—she was charged with
breaching the standard of care that lies at the core of medical competency. It was not fatal for the
charges to fail to state the specific standard of care. Dr. Doran is a gastroenterologist; implicit in
the charge is that she violated the standard of care owed by a gastroenterologist in choosing and
administering anesthesia by administering, without the assistance of an anesthesiologist, too much
anesthesia too quickly to a patient with several health factors. The Notice was more than sufficient
to allow Dr. Doran to “fully understand the charges and to respond to them.” VA Handbook 5021,
Part I, Ch. 1 § 5(b).
Dr. Doran also argues that the DAB violated the VA Handbook by considering her conduct
during the code blue in sustaining the charge against her.8 She contends that Charge 1,
Specification 1 is limited to whether she provided excessive medication that resulted in Patient
A’s extended suffering, and does not allege “substandard care or misconduct in Dr. Doran’s
performance during the code blue.” (Appellant Br. at 22–23.) The applicable charge stated:
On January 26, 2015, Patient was scheduled for an [EGD] and colonoscopy. This
patient had multiple comorbidities, and you assessed him as an ASA II. The
procedure was not done under monitored anesthesia care (MAC). Based on the
patient[’]s complex medical history you should have considered initiating the
sedation process with lower doses of medication or asking for assistance from
Anesthesiology. Instead, you gave him a rapid dose of 100 [micrograms] of
Fentanyl and 2 milligrams of versed intravenous push. Given the patient’s medical
history, this was an excessive amount of medication. The patient began to
desaturate, and became unresponsive. A code blue was called. The patient was
critically ill and was hospitalized for over 30 days. He has since been discharged
to a nursing home, whereas, previously he was living independently. The third
party gastroenterologist and anesthesiologist who reviewed this case were critical
of the care you provided.
(A.R. 1.)
8
In support, Dr. Doran cites Part V, Chapter 1 § 8(l)(1), which provides, “In the opening statement, the
Chairperson will give a brief summary of the issues set forth in the notice of proposed adverse action.” At the opening
of the DAB hearing, the parties agreed to waive the reading of the charges after the Chairman agreed that the reading
of the charges “would be the same charges that are in the proposed letter.” (A.R. 1283.)
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Although the charge did not specifically allege that Dr. Doran failed to effectively respond
to the emergency, the events during the code blue form the basis for Charge 2 and Charge 3, and
thus Dr. Doran was on notice that her conduct during the code blue would be reviewed by the
DAB. Further, although the Board’s findings on Charge 1 mention and criticize Dr. Doran’s failure
to take charge during the code blue, the Board’s primary finding concerns Dr. Doran’s failure to
recognize the severity of Patient A’s health condition and the “reckless and dangerous” method of
sedation.
Ex Parte Influence. Dr. Doran argues that Dr. Borchers’s involvement with the PSB and
the MEB violated the VA’s rule against ex parte communications between interested parties and
decision-making officials. The Handbook states:
Officials involved in taking a major adverse action against an employee must
observe the prohibitions against improper ‘ex parte’ communications. Department
officials may communicate with each other during the decision-making process;
however, it is improper for an interested party (e.g., supervisor, proposing official),
to pressure the decision official into making a particular decision. Such
communications may support reversal of the action upon appeal.
VA Handbook 5021, Part II, Chapter 1, § 9(h)(8). The Handbook does not otherwise define “ex
parte communications.” Dr. Doran argues, and the DAB recognized, that Dr. Borchers was a
primary source of information provided to Dr. Cooperman, the PSB, and the MEB, and that his
statements to the internal hospital review boards contained “exaggerations or misrepresentations.”
(A.R. 2299.)
We first note that there is no evidence that Dr. Borchers “pressure[d] the decision official”
to adopt a particular position. But even if Dr. Borchers’s statements in previous proceedings were
contrary to VA policy, it is clear that the statements had no effect on the DAB’s ultimate decision.
Dr. Borchers’s misstatements or alleged bias might have influenced the PSB or the MEB, but the
Board recognized that those statements were contrary to his testimony before the DAB, and
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therefore lacked credibility. “Dr. Doran complained that Dr. Borchers was inaccurate when he
presented his summations before the PSB and the MEB, and that they were without foundation.
The Board found substance to this complaint. In instances his statements were exaggerations or
misrepresentations, and were different from his statements under oath.” (A.R. 2299.) As a result,
“[h]is presentations should be looked at having consideration that there were personal difficulties
between Dr. Borchers and Dr. Doran, and that he had been pursuing a course of progressive
discipline against Dr. Doran for the preceding 6 months.” (A.R. 2302.)
Accordingly, even if Dr. Doran’s misstatements could be construed as improper ex parte
communications, the error was harmless because the bias did not affect the DAB’s ultimate
decision. See ECM BioFilms, Inc. v. Fed. Trade Comm’n, 851 F.3d 599, 612 (6th Cir. 2017) (in
reviewing an agency’s decision, we apply a harmless-error rule such that “a mistake that has no
bearing on the ultimate decision or causes no prejudice shall not be the basis for reversing an
agency’s determination”). The Board conducted its own fact-finding when upholding Dr. Doran’s
removal.
Summary Suspension. Dr. Doran argues that the summary suspension of her clinical
privileges prior to the PSB panel proceedings violated the procedures outlined in the VA
Handbook, thereby violating her right to due process. Dr. Doran argues that the VA Handbook
provides that clinical privileges may only be suspended when the failure to do so may result in an
“imminent danger to the health of any individual,” and that the summary suspension of clinical
privileges triggers an expedited comprehensive review within 30 days. VA Handbook 1100.19
§ 14(1). Dr. Doran asserts that the hospital never made a finding of “imminent danger” to justify
the suspension, and that the completion of the two internal reviews—the PSB panel and the
MEB—did not occur until 38 and 42 days after the summary suspension. And, because a summary
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suspension lasting longer than 30 days is reportable to the National Practitioner Data Bank, Dr.
Doran argues that the hospital’s failure to adhere to the VHA Handbook has “permanently
tarnishe[d] Dr. Doran’s professional record on the NPDB.” (Appellant Br. at 17.)
This claim is beyond the scope of our review, however. Dr. Doran made no arguments
regarding the summary suspension in her response to the Notice, and there was no testimony before
the DAB regarding the summary suspension. Nor did the DAB address the claim in its decision.
Although Dr. Doran may have been able to challenge the suspension under § 7461, she did not do
so. In evaluating the decision of an administrative agency, our “reviewing function is one
ordinarily limited to consideration of the decision of the agency or court below and of the evidence
on which it was based.” United States v. Carlo Bianchi & Co., 373 U.S. 709, 714–15 (1963).
Accordingly, we decline to consider whether Dr. Doran’s summary suspension was in violation of
her statutory due process rights.
D. Constitutional Due Process
Finally, Dr. Doran suggests that the errors discussed above amount to a deprivation of her
due process rights, citing Cleveland Board of Education v. Loudermill, 470 U.S. 532 (1985).9 In
Loudermill, recognizing “the severity of depriving a person of the means of livelihood,” the
Supreme Court held that a state employee is entitled to a hearing prior to termination. Id. at 543.
This hearing, “though necessary, need not be elaborate.” Id. at 545. At bottom, “[t]he tenured
public employee is entitled to oral or written notice of the charges against him, an explanation of
the employer’s evidence, and an opportunity to present his side of the story.” Id. at 546.
Here, Dr. Doran received the benefit of a two-day hearing before the DAB, during which
she had the opportunity to present evidence in support of her case, cross-examine her employer’s
9
Dr. Doran does not argue that the VA’s statutory scheme for reviewing major adverse events is
unconstitutional on its face.
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witnesses, make arguments, and explain her position. Although federal rules of evidence and
procedure did not apply, the DAB proceedings resembled a judicial trial in most respects. Indeed,
Dr. Doran stated at the hearing that she felt she had been accorded due process; when asked if she
believed she had a full opportunity to present her side of the case, she responded, “Finally.” (A.R.
2295.) The Supreme Court noted in Loudermill that “[t]he essential requirements of due process
. . . are notice and an opportunity to respond.” 470 U.S. at 546. Those requirements were met in
this case.
IV.
For the reasons stated above, we AFFIRM.
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