*213OPINION
MICHAEL M. PARRISH, Hearing Officer.FINAL ORDER
Pursuant to notice, a formal hearing was held in this rule challenge case at Miami, Florida, before Michael M. Parrish, a duly designated Hearing Officer of the Division of Administrative Hearings, on the following days: October 24, 29, 30, 31 and November 1, 13, 14, 20, 26, and 27, 1984. The parties were represented at the hearing by the following counsel:1
At the hearing numerous witnesses were called by both parties and voluminous exhibits were offered into evidence.2 The ten days of hearing in this case were reported by court reporters, but no transcript of the proceedings has been prepared. Following the completion of the hearing all parties submitted post-hearing materials to the Hearing Officer in the form of Proposal Final Orders containing proposed findings of fact, proposed conclusions of law, and argument in support of their respective positions.3 All of these post-hearing submissions have been given careful consideration in the formulation of this Final Order. Specific rulings on all proposed findings of fact submitted by all parties are contained in the Appendix which is attached to and incorporated in this Final Order. The parties waived the requirement in Section 120.56(3), Florida Statutes, providing for rendition of this Final Order within 30 days of the hearing.
INTRODUCTION
By Petition filed on January 25, 1984, the Petitioners have challenged the validity of numerous rules and alleged rules of the Department of Professional Regulation and the Electrical Contractors’ Licensing Board, which are described as follows in the Petition.
(A) Rule 21GG-6.01(c) of the Rules of the Electrical Contractors’ Licensing Board;
*214(B) Rule 21GG-6.01(1),(2),(3) of the Rules of the Electrical Contractors’ Licensing Board;
(C) Rule 21GG-6.01(4) of the Rules of the Electrical Contractors’ Licensing Board;
(D) Rule 21.11.11(3) of the Rules of the Department of Professioal Regulation, which was subsequently amended in October 1982;
(E) Rule 21-11.11(13) of the Rules of the Department of Professional Regulation, which was subsequently renumbered in October 1982, and appears verbatim as Rule 21-11.11(3)(1);
(F) Unpublished Rule of the Electrical Contractors’ Licensing Board enacted on November 9, 1982, which provides for reassigning point credits to examination questions on the July 1982 Electrical Contractors’ Licensing Examination;
(G) Unpublished Rule of the Department of Professional Regulation which provides that a candidate who requests an examination review of his own examination papers may be provided with a copy of a master examination and designed the right to review his own examination papers or true and correct copies of his own examination papers;
(H) Rule 21-11.11(3) of the Rules of the Department of Professional Regulation as amended in October 1982;
(I) Rule 21-11.14 of the Rules of the Department of Professional Regulation;
(J) Unpublished Rule of the Department of Professional Regulation that the examination booklets of a candidate for licensure by the Electrical Contractors’ Licensing Board can be destroyed if a specific request to review the same in addition to a request for examination review is not made;
(K) Unpublished Rule of the Department of Professional Regulation that the actual examination booklet of a candidate for licensure by the Electrical Contractors’ Licensing Board or a photocopy or exact duplicate of said examination papers need not be retained for a period of two years;
(L) Unpublished Rule of the Department of Professional Regulation that they shall not consider supplemental material or provide a copy of the same to the Electrical Contractors’ Licensing Board in connection with the review of a licensing examination, where the examination of the candidate providing the supplemental information is under review;
*215(M) Unpublished Rules of the Department of Professional Regulation and the Electrical Contractors’ Licensing Board during the review of a candidate’s licensing examination that the materials being reviewed do not have to be furnished to the candidate whose examination is being reviewed;
(N) Unpublished Rules of the Department of Professional Regulation and the Electrical Contractors’ Licensing Board that a question which requires a candidate to chose “the correct answer” may have more than one correct answer and remain a valid question for testing competency so that credit for the two “incorrect” answers are not given to candidates, while credit for the two “incorrect” answers is given to candidates;
(O) Unpublished Rule of the Electrical Contractors’ Licensing Board that the Board does not have to consider all supplemental material provided by candidates whose examinations are being reviewed and may refuse to consider part or all of the supplemental information provided by some candidates;
(P) Unpublished Rule of the Electrical Contractors’ Licensing Board that at the review of the candidate’s licensing examination of the candidate does not have an opportunity to be heard prior to the vote of the Board;
(Q) Unwritten Rule of the Department of Professional Regulation that the package of documents which they prepare and submit to the Electrical Contractors’ Licensing Board during the review of candidates’ examinations is not maintained for a period of two years and cannot be produced intact pursuant to a Request for Production of same in a Chapter 120.57 examination challenge hearing;
(R) Unwritten Rule of the Department of Professional Regulation that consultants in technical areas are not consulted and asked to review challenged examination questions even when the challenged questions are not in the area of expertise of Department of Professional Regulation staff members who formulate recommendations to the Electrical Contractors’ Licensing Board regarding the validity and reliability of such questions;
(S) Unpublished Rules of the Board and the Department of Professional Regulation that consultants in technical areas may be consulted and asked to review challenged examination questions in a given area, but they are not asked to review all challenged questions in said area even where the Department of Professional Regulation staff members who formulate recommendations to the Electrical *216Contractors’ Licensing Board regarding the validity and reliability of such questions do not have such technical expertise to make such recommendations;
(T) Unwritten Rules of the Department of Professional Regulation and the Electrical Contractors’ Licensing Board that a question on the Electrical Contractors’ Licensing Examination is valid and reliable solely because that question can be found in an approved reference, and, therefore need not be reviewed;
(U) Unwritten Rules of the Department of Professional Regulation and Electrical Contractors’ Licensing Board that a question on the Electrical Contractors’ Licensing Examination is valid for testing minimum competency when the question cannot be answered from any information contained in any of the approved reference materials which candidates are advised to study in preparation for the licensing examination;
(V) Unwritten Rule of the Electrical Contractors’ Licensing Board that they will not permit a candidate to present any expert testimony at the examination review of that candidate’s examination by the Board;
(W) Rule 21GG-6.03 of the Electrical Contractors’ Licensing Board;
(X) Unpublished Rule of the Electrical Contractors’ Licensing Board requiring more than minimum competency in order for a candidate to receive state certification and licensure as an electrical contractor;
(Y) Unpublished Rule of the Electrical Contractors’ Licensing Board that each Board member did not vote on each and every matter affecting the Petitioners’ examination reviews, their licensing, or issues related thereto;
(Z) Unpublished Rule of the Electrical Contractors’ Licensing Board that the votes of each member are not recorded on each and every matter on which action is taken, even when a specific request is made therefore;
(AA) Unpublished Rules of the Department of Professional Regulation and the Electrical Contractors’ Licensing board that exceptions to the National Electrical Code are not to be applied by candidates unless they are directed to apply exceptions in the stem of examination questions;
(BB) Unpublished Rules of the Department of Professional Regulation and the Electrical Contractors’ Licensing Board that no attorney or agent of any examinee is entitled to see the examinee’s examination papers, notes of the Department or the Board, or any *217documents or information contained by the Department or the Board with respect to said examinee’s examination unless and until the candidate commences a Chapter 120.57 hearing and makes a request for production of same and until the hearing officer orders production of same;
(CC) Unpublished Rule of the Electrical Contractors’ Licensing Board and the Department of Professional Regulation that the examination review by the Board is conducted without a complete discussion of the questions under review, and that every effort is made to refer to any item under discussion in terms of its number or in such terms so that the contents thereof are not disclosed to the public;
(DD) Unpublished Rule of the Department of Professional Regulation and the Electrical Contractors’ Licensing Board that Board examination review is delegated to the Department of Professional Regulation and the Examination Committee of the Board, and that if the Department of Professional Regulation or the Examination Committee indicate that they have verified a question and found the question to be valid, no effort is made by the Electrical Contractors’ Licensing Board to review the validity of reliability of the challenged examination question;
(EE) Unpublished Rules of the Electrical Contractors’ Licensing Board and the Department of Professional Regulation that candidates were not permitted during the administration of the subject examinations to use any applicable code reference books or any approved reference materials which contained notes or additions thereto;
(FF) Unpublished Rule of the Electrical Contractors’ Licensing Board that the examination review is “anonymous” and the identity of a candidate who has requested an examination review shall not be disclosed.
The Petitioners contend that all of the promulgated rules, unpublished rules, and unwritten rules described above are invalid rules for a number of different reasons that are set forth in their Petition. The basic contentions of the Respondents are that the promulgated rules are valid rules and that the rules described in the Petition as “unpublished” or “unwritten” rules of the Department and Board are, in fact, not rules at all.
AMENDMENTS TO THE PETITION
During the course of the hearing the parties stipulated to the following amendments to the Petition.
*218At paragraph 9, first line, “1982” is changed to read “1981.”
At paragraph 28, first line, “January” is changed to read “July.”
At paragraph 41, fourth line, “it” is changed to read “its.”
At paragraph 75, delete the entire paragraph.
At paragraph 79, fourth line, “March 20” is changed to read “March 19 and 20.”
At paragraph 110, the entire paragraph is amended to read as follows: “The amendment to Rule 21GG-6.01(4) required that electrical contractors pass the certification examination with a score of 75 percent, whereas all other construction industry licensing board contractors licensed by the Department of Professional Regulation (13 other categories) are merely required to achieve a 70 percent pass score.”
At paragraph 131, the following is added at the end of the paragraph: “and Rule 21GG-6.03.”
At paragraph 135, the last sentence of the paragraph is changed to read: “Accordingly, if it is determined that Rule 21-11.11(13) and Rule 21GG-6.03 shall in any way preclude Petitioners from achieving their licensure, then Rule 21-11.11(13) and Rule 21GG-6.03 are invalid, arbitrary and lacking in rational basis.”
At paragraph 136, the first line is changed to read as follows: “That RUle 21.11.11(13) and Rule 21GG-6.03 are invalid as applied if they mandate.”
At paragraph 137, the first line is changed to read the same as the changed first line of paragraph 136.
At paragraph 138, the first sentence is changed to read as follows: “That there are no standards within Rule 21-11.11(13) and Rule 21GG-6.03 wherein those affected by their application may know how they are to be applied.
At paragraph 211, second line, “the” is changed to “their.”
POST-HEARING MOTIONS
The Petitioners have filed three post-hearing motions in this case which remained to be ruled upon. They are (1) a motion to amend petition to request costs as part of the Petitioners’ request for relief filed on July 8, 1985, (2) a motion for payment of expert witness fees to certain of the Petitioners’ expert witnesses filed on July 8, 1985, and (3) a motion for expert witness fees, legal fees and costs filed on January 28, 1986. The July 8, 1985 motion to amend the petition and the *219portion of the January 28, 1986, motion dealing with legal fees and costs are addressed in the Conclusions of Law portion of this Final Order. The motion for payment of expert witness fees is addressed in a separate order issued simultaneously with this Final Order (Similar motions filed in related examination challenge proceedings under Section 120.57, Florida Statutes, will be addressed in the Recommended Order to be issued in those cases.)
FINDINGS OF FACT
Based on the stipulations and admissions of the parties, the exhibits received in evidence, and the testimony of the witnesses at the hearing in this case, I make the following findings of fact.
Findings based on stipulations and admissions of the parties
1. The Petitioners, John Eugene Harden and Dova Cauthen, qualified for and were administered the January 1982 Electrical Contractors’ Licensing Examination. After their examinations were graded and regraded, Petitioners were notified that they had not received a “Passing” score of 75 or more.
2. The Petitioners, John Eugene Harden and Dova Cauthen, qualified for and were administered the July 1982 Electrical Contractors’ Licensing Examination. After their examinations were graded and regraded, Petitioners were notified that they had not received a “Passing” score of 75 or more.
3. Both Petitioners reside in Dade County, Florida.
4. The Respondent Department of Professional Regulation (hereafter DPR or the “Department”) is an agency of the State of Florida.
5. The Respondent Electrical Contractors’ Licensing Board (hereafter referred to as the “Board”) is an agency of the State of Florida statutorily responsible, along with DPR, for licensing certified electrical contractors. The Office of the Executive Director of the Board is located at 130 North Monroe Street, Tallahassee, Florida.
6. The business address of Petitioner Harden is Harden Electric, 311 N.E. 8th Street, Homestead, Florida 33030.
7. The business address of Petitioner Cauthen is 959 N.E. 79th Street, Miami, Florida 33138.
8. On March 20, 1981, Rules 21GG-6.01(2), 21GG-6.01(3), 21GG-6.01(4), of the Rules of Electrical Contractors’ Licensing Board, were amended. Rule 21GG-6.01(2) altered the format of the licensing examination so that the formerly entirely open book examination *220became a part open book, part closed book examination. Rule 21GG-6.01(4) raised the passing grade on the licensing examination from 70 to 75. Rule 21GG-6.01(3) altered the technical format.
9. On December 3, 1981, Susan Tully, counsel to the Electrical Contractors’ Licensing Board, caused a change to be made in Rule 21Gg-6.01(l)(c) of the Rules of the Electrical Contractors’ Licensing Board. The changes was made without formal notice or informal notice to the public and without a vote of the Electrical Contractors’ Licensing Board, although the change was discussed at a Board meeting. None of the procedures set forth in Section 120.54 of the Florida Statutes were followed in amending this Rule. Liz Cloud was the Bureau Chief of the Division of Elections, Bureau of Administrative Code, Department of State. The address of the Bureau is Room 1802, The Capitol Building, Tallahassee, Florida.
10. The change in Rule 21GG-6.01(l)(c) eliminated parts 72 A, B, C and D and indicated that the entire Fire Safety Code (and not just the aforementioned parts) would be a subject of the Electrical Contractors’ Licensing Examinations. In fact, the reason for the alleged “technical change” was that the Board intended and tested examinees in the January and July 1982 Licensing Examinations on materials in parts of the Fire Safety Code in addition to those contained in 72 A, B, C and D of the Fire Safety Code.
11. Petitioner Harden specifically requested to review his January and July 1982 Electrical Contractors’ Licensing Examinations.
12. On March 25, 1982, Petitioner Harden went to Tallahassee, Florida to review his January 1982 Licensing Examination papers, but although he requested an “examination review” he was never provided with his own examination booklet or a copy thereof. During this alleged “examination review” Mr. Harden wrote written objections to the January 1982 examination on the forms provided to him based on the master copy of the examination provided to him.
13. On August 31, 1982, Petitioner Harden went to Tallahassee, Florida to review his July 1982 Licensing Examination papers, but although he requested an “examination review” he was never provided with his own examination booklet or a copy thereof. During this alleged “examination review” Mr. Harden wrote written objections to the July 1982 examination on the forms provided to him based on the master copy of the examination provided to him.
14. Petitioner Cauthen specifically requested an “examination review” with respect to her January and July 1982 Licensing Examination papers.
*22115. On March 17, 1982, Petitioner Cauthen went to Tallahassee, Florida to review her January 1982 Licensing Examination papers, but although she requested an “examination review” she was never provided with her own examination booklet or a copy thereof. During this alleged “examination review” Ms. Cauthen wrote written objections to the January 1982 examination on the forms provided to her based on the master copy of the examination provided to her.
16. On August 19, 1982 Petitioner Cauthen went to Tallahassee, Florida to review her July 1982 Licensing Examination papers, but although she requested an “examination review” she was never provided with her own examination booklet or a copy thereof. During this alleged “examination review” Ms. Cauthen wrote written objections to the July 1982 examination on the forms provided to her based on the master copy of the examination provided to her.
17. Petitioners Harden and Cauthen sought Board review of their January and July 1982 Electrical Contractors’ Licensing Examinations. Petitioners were advised in July 1983 that no copies of their actual booklets exist; Petitioners were advised in October 1983 that their actual booklets were shredded.
18. At the November 8, 1982, meeting of the Board, Ms. Ida Cameron representing DPR, presented to the Board a package of information (assembled in package form) for the Board to consider during the examination review.
19. With regard to Question Number 71 on the afternoon portion of the July 1982 Licensing Examination, two of the four possible responses, “A” and “C” were credited. Candidates like Petitioner Cauthen who answered “B” received no credit for the question.
20. Petitioners Harden and Cauthen have requested Chapter 120.57 hearings with respect to their January and July 1982 licensing examinations and the review, grading and agency action with respect to same. Although request for production was specifically made for said packages of information with respect to the January 1982 and July 1982 licensing examinations in February, 1983, no packages have been produced to date.
21. DPR destroyed the Petitioners’ examination booklets before the end of the two year period immediately following each of the 1982 examination.
22. That Section 455.217 of the Florida Statutes requires the Board “by rule” to designate areas of competency to be covered by each licensing examination.
*22223. That Section 455.217 states that the Board shall “by rule specify the general areas of competency to be covered by each examination, the relative weight to be assigned in grading each area tested, and the score necessary to achieve a passing grade.”
24. That the amendment of Rule 21GG-6.01(2) required candidates to commit to memory portions of the electrical code, accounting, law, worker’s compensation rules, federal employer’s tax guide, AIA General Conditions, business practices, legal and insurance requirements.
25. In the July 1982 Electrical Contractors’ Licensing Examination candidates were given one hour more time in which to take the examination than was given during the January 1982 examination.
26. Rule 21GG-6.01(4) was amended in conjunction with Rules 21Gg-6.01(l)(a), (2) and (3) at a board meeting in March, 1981.
27. Rule 21GG-6.01(4) raised the passing score on the January 1982 Electrical Contractors’ Examination and the July 1982 Electrical Contractors’ Examination from 70 to 75.
28. The amendment to Rule 21GG-6.01(4) required that electrical contractors pass the certification examination with a score of 75 percent, whereas all other construction industry licensing board contractors licensed by the Department of Professional Regulation (13 other categories) were merely required to achieve a 70 percent pass score.
29. That Section 455.217 of the Florida Statutes provides that “The board shall make rules providing for re-examination of any applicants who have failed the examination.”
30. That DPR did not and has never provided Petitioners, their attorneys or agents with their own examination booklets for the January and July 1982 Electrical Contractors’ Licensing Examinations. DPR has provided Petitioners only with copies of “master” examinations for their review.
31. That Section 455.217 of the Florida Statutes provides that the Board shall make available an examination review procedure for applicants.
32. That the Respondents produced Notice of Destruction of Examination Booklets and Other Examination Materials dated April 14, 1982, which allegedly evidences destruction of Petitioners’ examination booklets for the January 7, 1982, Examination on April 14, 1982.
33. That the Respondents produced Notice of Destruction of Examination Booklets and Other Examination Materials dated October 15, *2231982, which allegedly evidences destruction of Petitioners’ examination booklets for the July 13, 1982, Examination of October 15, 1982.
34. The findings in paragraph . 1 through 33, immediately above, are based directly on the stipulations of the parties, most of which stipulations were memorialized at the beginning of the hearing. The findings in the following paragraphs are based primarily on testimony and exhibits, but some of them are also based in whole or in part on stipulations. In the findings which follow there are certain to be at least some repetitious findings in the course of putting matters into context and making additional findings which are related to some of the stipulated findings. I have tried to avoid all unnecessary repetition, but a certain amount is necessary for clarity and a certain amount is unavoidable due to the sheer size of the task at hand.
Findings on background matters and on matters relating to more than one rule
35. Both of the Petitioners in this rule challenge proceeding are individuals who have applied to the Electrical Contractors’ Licensing Board for licensure as certified electrical contractors. Both of them have been approved to sit for the licensure examination. Petitioner Harden took the Board’s licensure examination on each of the following occasions: July 1981, January 1982, July 1982, and January 1983. The Board has not given him a passing grade on any of those four examinations. Petitioner Cauthen took the Board’s licensure examination on two occasions: January 1982 and July 1982. The Board has not given her a passing grade on either of those two examinations. The grade notifications received by these Petitioners show, inter alia, that Petitioner Cauthen received a grade of 73 on the July 1982 examination. Both of these Petitioners have presently pending formal proceedings under Section 120.57(1), Florida Statutes, in which they are challenging various matters related to the preparation of, administration of, scoring of, and inherent validity of the Board’s January 1982 and July 1982 licensure examinations.
36. The Electrical Contractors’ Licensing Board certification examination is different from a master electrician examination. However, the two examinations are in many ways similar because of the overlap in the nature of the subject matter to be tested on both examinations.
37. The passing score or cut score on the local master electrician examination administered by Dade County is 705. Most of the questions on that examination are about the National Electric Code. Part of the Dade County master electrician exam is closed book.
38. Prior to 1972, persons wishing to engage in electrical contracting *224in the state of Florida were required to be licensed by the local governments in the areas in which they sought to operate. Since 1972, persons wishing to engage in electrical contracting in the state of Florida must be licensed by a unit of local government or by the Electrical Contractors’ Licensing Board. Persons who are licensed by the Electrical Contractors’ Licensing Board are known as certified electrical contractors. A certified electrical contractor can engage in electrical contracting anywhere in the state of Florida without local licensure. Persons who are licensed by one or more local governments (typically a municipality or a county) are known as registered electrical contractors. Registered electrical contractors are licensed to engage in electrical contracting only in the geographic areas encompassed by the boundaries of the local government entities that issued their local licenses. There is, however, a certain amount of reciprocity from one local government to another.
39. Certification as a state certified electrical contractor does not authorize the electrical contractor to work as an electrician, although a certified electrical contractor can pull permits. A person does not have to be a licensed electrician in order to become a state certified electrical contractor, although many electrical contractors are also licensed as journeyman or master electricians. Candidates for the electrical contractor licensure examination have a great variety in the nature and scope of their background and experience. This variety in background and experience is among the reasons which cause testing for minimum competence as an electrical contractor not to be an exact science.
40. As between certification and registration, certification by the Electrical Contractors’ Licensing Board is not a major factor in the ability to compete for business. A person who has a statewide certification can save some money by avoiding the expense of obtaining local competency cards, but as a general rule a registered electrical contractor can work just about anywhere in the state due to reciprocity. Especially, a person who has passed a Block master electrical examination or a Block local electrical contractor’s examination can work just about anywhere in the state because most counties in Florida accept the Block examination.
41. Registered electrical contractors regularly compete for business with certified electrical contractors. For example, Petitioner Cauthen’s company is presently licensed in Monroe, Dade, and Broward counties, where it does a considerable amount of business. Petitioner Cauthen’s company bids on lots of contracts and submits bids in competition with both registered and certified electrical contractors. Thus, the company is already in competition with certified electrical contractors. Similarly, *225Board Member Isaacs, whose certified company does 90% of its work in Duval County, has regular competition from registered electrical contractors. Board Member Isaacs competes with approximately 250 electrical contractors. Of that 250, approximately 175 are registered and the others are certified. A much bigger factor in competition than the registration versus certification issue is the cost of doing business in more than one area or the cost of doing business at a location that is distant from one’s primary base of operations. Only about fifty electrical contracting firms regularly compete for business over the entire state of Florida. Accordingly, a restriction on the number of persons licensed by the Board as certified electrical contractors would have minimal, if any, limitation on the competition faced by those members of the Board who are certified electrical contractors.
42. The Electrical Contractors’ Licensing Board administered its own certification licensure examination from 1972 through 1980. During that period of time the Board administered the examination a total of twenty-two times. During those twenty-two sessions of Board administered examinations, a total of 824 candidates sat for the examination, of which 392 were successful.
43. Although the percentage of candidates who were successful on a particular Board administered examination ranged from a low of 20.7% to a high of 78.7%, the average passing rate of all candidates on all twenty-two of the Board administered examinations was 47.575. (By way of comparison, it is interesting to note that the percentage of candidates who are successful on the Block master electrician examination is between 30% and 35% of those who take the examination.) Further, on fifteen of the twenty-two occasions on which the board administered the examination, the percentage of candidates who were successful was 50% or less.
44. In 1979, the regulation of professions and occupations was reorganized. The Department of Professional Regulation (the Department) was created an an umbrella agency over numerous boards, including the Electrical Contractors’ Licensing Board and the Construction Industry Licensing Board. The responsibility for examination applicants, which in the case of the Electrical Contractors’ Licensing Board had been handled by the Board members themselves, was taken over by the Office of Examination Services (O.E.S.).
45. Toward the end of 1980 and the beginning of 1981, O.E.S. did not like what the Board was doing and the Board did not like what O.E.S. was doing. There was a general lack of trust between the two entities, there was poor communication between the two entities, and *226the relationship between them at that time might best be described as estranged. Although both entities made efforts at cooperation with the other, such efforts were not always effective or well received. As a result of the poor communication between the two entities, certain personal concerns over Board actions by individuals within the O.E.S. were never communicated to the Board (and therefore could not be answered.)4
46. The first examination administered by the O.E.S. was in January 1981. Of the fifty candidates who took the January 1981 examination, forty-six were successful. This was a passing rate of 925. In view of the Board’s experience when it was administering its own examination, the Board was understandably surprised and concerned when the percentage of candidates passing the first O.E.S. administered examination was almost twice the average passing percentage on the Board administered examinations.
47. The Board had no evidence that the overall qualifications or capabilities of the applicants examined by O.E.S. at the January 1981 examination were any higher than the capabilities of those examined previously. To the contrary, a review of their qualifications based on the information in their applications indicated that their qualifications were substantially the same as those of previous candidates tested by the Board. Also, the admission standards for the January 1981 examination were the same as those for prior examinations.
48. The Board concerns about the O.E.S. administered January 1981 examination included the following matters, among others, memorialized at a Board meeting discussing the examinations:
The candidates had been allowed to take any reference material desired into the examination. Previously the Board had allowed only reference books listed as part of the application form.
There was a very high pass rate in comparison to all past examinations.
There appeared to be too few calculation questions.
The questions had been placed on the paper in sequence with the reference book materials.
There was a possibility that notes were taken into the examination which would have given advantage to the candidates.
*227The [Board’s] Examination Committee had been under the assumption that the entire examination would be presented for review of the questions. Instead the only questions presented were ones questionable under Department criteria for measuring competency.
It was explained, from past experience, that persons conducting the seminars for exams had obtained the entire exam content from persons taking the examination in the past. It had been done with a camera which was taken into the examination. The Board, when administering the examination, had been very strict on what was used in performing the examination. In the last exam the security was very poor.
49. The Board felt there were so few calculation questions on the O.E.S. administered examination in January of 1981 that the examination was not a proper or sufficient examination. This was due at least in part to the fact that O.E.S. had difficulty covering all areas of the examination with the desired number of questions because the O.E.S. bank of questions was very limited at that time.
50. Previous Board examinations were open book with certain reference material allowed. When the Office of Examination Services took over the administration of the January 1981 exams, it sent to the candidates a form letter adapted from the Construction Industry Licensing Board. This form letter instructed the candidates that they would be able to bring into the examination any notes and other materials desired. This was contrary to the past practice of the Board and contrary to the Board’s wishes.
51. The Board was very frustrated and concerned about the circumstances which led up to the January 1981 examination because the O.E.S. had refused to allow the Board to have any input into the examination and the Board thought the O.E.S. had come up with an apprentice level examination. In the Board’s opinion, the January 1981 examination prepared by O.E.S. clearly tested at a level less than that of minimum competency. And although O.E.S. did not agree with the Board that the January examination was invalid, O.E.S. did agree that the examination was a lot easier than they had thought it would be.
52. The Electrical Contractors’ Licensing Board did not conduct any formal studies or formal analysis prior to making the 1981 amendments to Rule 21GG-6.01 changing the format of the examination and the cut score. However, the Board’s Rules Committee did a great deal of work on the matter and the matter was discussed extensively at Board meetings. In this regard it is important to keep in mind that the Board members (with the exception of the two lay members) were all *228experienced practicing electrical contractors who were familiar with the requirements of day-to-day electrical contracting.
53. The Board’s decision to change part of the examination to closed book was due to a concern that people with no electrical knowledge could become licensed if the examination was all open book and had a low percentage of technical questions. The Board felt that more than half of the examination should be technical questions. The closed book National Electrical Code questions were for the purpose of testing what a person with experience in the field of electrical contracting should know about everyday matters.
54. The primary, if not the sole, motivation for the Board’s 1981 amendments to Rule 21Gg-6.01 was the Board’s concern about the quality of the O.E.S. administered examination and the Board’s feeling that, due to its estranged relationship with O.E.S., the only vehicle through which it could effectively influence the quality of future examinations was through rule-making. Those amendments were not motivated by any desire on the part of the Board to restrict competition in the field of electrical contracting.
55. During the past few years the job requirements of an electrical contractor have remained substantially the same.
56. Block and Associates (hereinafter “Block”) is a company based in Gainesville, Florida, that writes licensure examinations for contractors in various trades. Block writes such examinations for cities, counties, and states. Block has prepared electrical contracting licensure examinations for the states of Florida, Georgia, and Oklahoma, as well as for St. Johns County, Florida. Block prepares licensure examinations for just about anything that involves electricity, including such things as electrical contracting, electrical journeyman, electrical master, low voltage, elevator, burglar alarm and fire alarm. Block prepares master electrician examinations for over one hundred governmental entities. The Block electrical master exams and the Block electrical contractor exams use some of the same questions.
57. Subsequent to the 1982 examinations which for the gravamen of these Petitioners’ related proceedings under Section 120.57, Florida Statutes, the ECLB has contracted with Block and Associates to prepare the Board’s certification licensure examination. The Board has never said anything to Block about wanting to achieve any particular passing rate or wanting to have any particular percentage of the candidates taking the examination achieve a passing score. The Board has never interfered with Block’s autonomy in the preparation of the electrical contractor exam.
*22958. All of Block’s electrical electrical contractor examinations include business questions. It is important to test for business skills because an electrical contractor who gets into business trouble may start cutting corners and cutting corners is a hazard to the public. Some of Block’s electrical contractor examinations also have specific sections on safety.
59. Block always does a post-administration statistical analysis of the examination questions it uses. The reason for this is to find out if anything is wrong with the questions; in other words, to determine whether the questions are valid. The computer program used by Block to check the validity of its tests was prepared for Block by a professor in the College of Education at the University of Florida. Block uses a computer to conduct a validity analysis of each test it administers.
Findings regarding Rule 21GG-6.01(l)(c) of the Electrical Contractors Licensing Board
60. Rule 21GG-6.01(l)(c) of the Electrical Contractors’ Licensing Board reads as follows (with the portion challenged by the Petitioners underscored):
(1) The areas of competency to be covered by the certification examination shall be as follows:
(a) * * *
(b) * * *
(c) Safety, which shall include but not be
limited to, OSHA regulations, life safety codes, and the Fire Safety Code (NFPA).
61. Prior to the December 1981 amendment which is challenged here, Rule 21GG-6.01(l)(c) read as follows:
(1) The areas of competency to be covered by the certification examination shall be as follows:
(a) ***
(b) * * *
(c) Safety, which shall include but not be limited to, OSHA regulations, life safety codes, and the fire safety code (NFPA 72A, B, C and D).
62. The Board’s purpose in amending the rule to delete the reference to “72A, B, C and D” was to make it clear to candidates for examination that the Board intended to include in the safety portion of its examinations questions from portions of Volume Seven of the *230NFPA other than Chapters 72A, B, C, and D of that volume. Volume Seven of the NFPA contains quite a bit of material in addition to the material included in Chapters 72A, B, C, and D of that volume. In view of the modifying phrase “shall include but not to be limited to,” the amendment to delete the reference to Chapters 72A, B, C, and D was not a necessary prerequisite to the use of examination questions based on other portions of Volume Seven of the NFPA. The Board could ask the same examination questions before and after the amendment.
63. Several weeks before each examination, the Department of Professional Regulation sent all candidates for examination, including these Petitioners, a notice to appear for the examination. The notice to appear included a list of reference books on which the examination was to be based. That list of reference books contained a specific reference to Volume Seven of the NFPA. All sixteen volumes which comprise the entire NFPA were not listed as reference books.
64. Neither of these Petitioners demonstrated that he or she was genuinely confused or misdirected by the amendment to Rule 21GG-6.01(l)(c). Neither Petitioner contended he or she had studied all sixteen volumes of the NFPA. Instead, both Petitioners studied from the books on the reference list.
65. Neither Petitioner has an application for the examination pending; neither claims an intention to take the examination again.
Findings regarding Rule 21GG-6.01 (1), (2), (3), and (4) of the Electrical Contractors’ Licensing Board
66. At the time of the examinations which are the subject of these Petitioners’ related cases under Section 120.57, Florida Statutes, Rule 21GG-6.01(1), (2), (3), and (4) of the Electrical Contractors’ Licensing Board read as follows, in pertinent part:
(1) The areas of competency to be covered by the certification examination shall be as follows:
(a) Technical, which shall include, but not be limited to, electrical calculations, estimating, designs, and electrical schematics; and which shall be divided into two (2) separate areas, one containing electrical calculations, the other containing Code-related questions not requiring calculations.
(b) General business, which shall include but not be limited to, problems relating to accounting, law, insurance, workers’ compensation and social security.
(c) * * *
*231(2) The format of the examination shall be as follows:
(a) The portions of the examinations containing the electrical calculations and safety questions shall be open book. The applicant is responsible for bringing and may use during these portions the applicable code books, reference materials as approved by the Board, and noiseless mechanical or non-mechanical instruments he wishes to use.
(b) The portions of the examination containing the non-calculation technical questions and all business questions shall be closed-book. The application will not be permitted to use the reference materials listed in 2(a) or any other reference materials.
(c) Security measures as set forth by the Department shall be followed during both portions of the examination.
(3) The relative grading weight to be assigned to each area of competency shall be approximately as follows:
(a) Technical — 60%
1. Electrical Calculations — 40% of the Test
2. Code-related questions — 20% of the Test
(b) General business — 30%
(c) Safety — 10%
(4) An applicant shall be required to achieve a score of a general average of not less than seventy-five percent (75%) in order to pass the examination and be certified for licensure. There shall not be a practical or clinical examination.
67. The language quoted above is the language of the relevant portions of the rule as it read after the March 1981 amendments to the rule. The principal amendments in March of 1981 may be summarized as follows: (1) changes which divided technical questions on the examination into two separate areas, (2) changes which made part of the examination open book and part closed book [it was previously all open book], and (3) a change in the minimum passing score from 70% to 75%. These Petitioners challenge the validity of all three of the principal amendments.
68. As originally proposed, the March 1981 amendments to subsection (2)(a) of Rule 21GG-6.01 would have permitted a candidate to bring “any notes” to the open book portion of the examination. During the adoption process the words “and any notes” were deleted from the amendment by the Board. The words “and any notes” did not appear *232in Rule 21GG-6.01 prior to the 1981 amendments. Nor was it the practice of the Board prior to 1981 to permit candidates for examination to take any notes into the examination when it was administered by the Board.
Findings regarding examination content and relative grading weights
69. In November of 1983 the Electrical Contractors’ Licensing Board again amended Rule 21GG-6.01(3) to change the relative grading weights of the areas of competency to be tested. After November of 1983 the relative grading weights of the areas of competency were as follows: Technical increased from 60% to 65%; electrical calculations increased from 40% to 45%; code-related questions remained 20% of the examination; general business was decreased from 30% to 25% of the examination; and safety remained 105 of the examination.5
70. The licensing examination given by the Board has historically contained materials testing knowledge of electrical work and also materials testing the business qualifications of the applicants. Since the inception of the Board’s licensing exam, the electrical work portions have contained electrical calculations.
71. Throughout the time the Board has been administering licensure examinations for certification, the percentages of the examination devoted to particular subject areas have been based upon the Board’s belief as to the appropriate levels of knowledge needed by a certified electrical contractor. The weighting of the examination was equitable when it was weighted 60% technical, 30% business, and 10% safety, and it is still equitable now that it is weighted 65% technical, 25% business, and 10% safety. The Board changed to the current percentages at the suggestion of Block and Associates. The Board’s examination has had similar ratios for a long time, at least as far back as 1971.
72. The proportions of the examination devoted to each particular subject matter did not change due to the March 1981 amendments. With the exception of the January 1981 examination put together by O.E.S., electrical calculations had historically been 40% of the test. Since the Board felt this percentage should be maintained, and since it was necessary to divide those calculations from the other portion of the technical section (since one would be tested in the closed book portion and the other in the open book portion), the division of the technical part of the exam was set out in the rule.
73. On an electrical contractor licensure examination it is appropri*233ate to include in the area of “technical questions, questions dealing with the following subjects: electrical calculations, parts of estimating, and designs and electrical schematics. In the “business portion of an electrical contractor examination, it is appropriate to include questions dealing with the following: accounting, worker compensation and social security.
Findings regarding closed book versus open book examination
74. Local licensing examinations had, in 1981, included a closed book portion. Local licensing examinations and state licensing examinations given in other states still include such a closed book portion. The basic Block examination has always included a closed book portion.
75. Closed book examinations are not all that unusual in occupational and professional licensure testing. The CPA and Nursing examinations are closed book. Also, virtually all of the electrical examinations administered by Block and Associates include a closed book portion. The advantage of a closed book examination technique is that it is easier to identify the candidates who have had practical experience in the subject matter being tested. A closed book examination is a better test for field experience and for general knowledge of the subject matter being tested.
76. Certain questions known as “anchor” questions were given both in the open book examination before the format change and in the closed book section after the format changed. The relative performance by candidates on the same questions in the two formats shows the format change not to have prejudiced the candidates.
77. Further, an examination analysis of the results of the closed book portions of the ECLB examinations reveals that, based on candidate performance, the closed book portion of the examinations was easier than the open book portion. This also shows that the format change did not prejudice the candidates.
Findings regarding “cut scores”
78. From 1972 until the rule changes in 1981, the minimum passing score, or “cut score,” set by the Board for the certification licensure examination was 705.
79. Cut scores of both 70% and 75% are very common cut scores for licensure examinations in the fields of electrical contracting, journeyman electrician, and master electrician, as well as licensure examinations in other occupations and professions. Many local licensure examinations have a 75% cut score.
*23480. Standing alone, the cut score to be applied to a future examination is somewhat lacking in specific significance. A cut score must be considered in relation to the content of the examination to which it is to be applied.
81. All of the testing experts who testified at the hearing agreed that setting an examination cut score is an inherently arbitrary decision. In the final analysis it is a judgment call that cannot be made with scientific exactitude and is unavoidably arbitrary to a certain extent. As explained by one of the Petitioners’ testing experts, even though statistical methodology is available for the determination of cut scores, to a large extend the cut score is a random decision, the validity of which can be assessed only in relationship to the specific testing instrument to which it is applied.
82. For example, during the course of Block’s preparation of its first licensure examination in 1958 for the City of Ormond Beach, when it came time to decide what cut score to use, the five experts who were preparing the examination talked it over and decided that 15% was the equivalent of a good “C” when compared to academic grades, and they decided to use 75% as their cut score. It is not possible to be much more scientific or precise than that in setting cut scores, especially when one has a group of candidates of varied experience and background taking the examination.
83. A skilled test preparer can construct an examination of equal validity within a range of cut scores from 655 to 80% if the test preparer knows at the time of constructing the examination what the cut score will be. With any cut score in that range, a skilled test preparer can raise or lower the percentage of candidates who will actually pass the examination by careful selection of the questions to be used on the examination. By using easy questions, the person preparing the examination can insure that more people will pass a test with a high cut score. Similarly, by using hard questions, the person preparing the examination can insure that fewer people will pass an examination with a low cut score.
84. On some standardized licensure examinations the cut score is determined after the examination results are examined. In other words, the examination results are “curved” based on the performance of the group of candidates who take a particular sessions of the examination and the actual cut score is determined in relationship to the raw scores achieved by each particular group of candidates. This flexible method of setting cut scores seems to work well on standardized examinations which are administered to large numbers of candidates, but it is *235questionable whether it would work very well with small groups of candidates. The Board’s examinations have historically been administered to small groups of candidates.
Findings regarding the effects of changes on testing instruments
85. In order for a licensure examination to accomplish the purpose for which it is administered, it should, of course, be valid and reliable.
86. Several of the Petitioners’ expert witnesses described what might be characterized as the best way to make changes to an examination or as the ideal way to make changes to an examination. Nevertheless, the manner in which the Electrical Contractors’ Licensing Board went about making the changes to the examination which were incorporated in the March 1981 rule changes was a reasonable and logical response to the circumstances faced by the Board. It was perhaps not the best way to have resolved matters, but it was a reasonable response. The Board’s actions in this regard was not arbitrary or capricious. Even the Petitioners’ most persuasive expert in the field of testing conceded that if the content experts (in this case the Board members) felt that given a specific content domain and given a specific item bank the testing instrument measured less than minimum competency, a logical response would be to raise the cut score. Another logical reaction to that situation would be to change a portion of the examination from open book to closed book. Both actions would be reasonable and logical responses to that type of problem.
87. Where there has been a modification in the format of a testing instrument, an accepted methodology for analysis of the effects of format modification is the use of repetitive questions from prior testing instruments. These repetitive questions are known as “anchor” questions. If a statistically significant deviation in performance on the anchor questions is demonstrated, the format modification requires further analysis through other statistical tools. However, if an analysis of the anchor questions shows inconclusive or mixed results on the anchor questions (such as equal or improved candidate performance on those questions), it may then be concluded that the format change is not significant to candidate performance and may be an appropriate format change relative to the profession or occupation being examined.
88. Content validity is the most practical measure of the validity of a licensure examination. The content validity of an examination depends on the extent to which the questions on an examination may be accepted as representative of performance within a specifically defined content domain of which the examination instrument is a sample. Content validation would be the best way to determine the validity of *236the examination which were administered in 1982 pursuant to the March 1981 rule amendments. One method of establishing content validity is to have a group of experts identify the domains of knowledge that are applicable to the profession or occupation being tested. The establishment of content validity relies heavily on the opinions and judgments of people who are experts in the relevant profession or occupation. Expert judgment plays an intergral part in developing the definition of the content domain to be tested.
89. To the extent that the content domain of Board examinations was established by the March 1981 amendments to Rule 21GG06.01(3), the content domain was established on the basis of the expert judgment of persons who were experts in the field of electrical contracting, namely, the members of the Electrical Contractors’ Licensing Board. The relative grading weights established in the 1981 amendments to Rule 21GG-6.01(3) have at least a possible correlation to electrical contractor competence. In fact, the persuasive expert testimony establishes that those relative grading weights did bear a reasonable relationship to electrical contractor competence even though there has been no recent change in the nature of the responsibilities of electrical contractors. In this regard it must be remembered that testing is not an exact science and no test for minimum competency can ever be expected to be an exact model of actual work experience. The best that can be expected is a reasonable model.
90. There are various accepted methodologies for the creation of standardized examinations, adherence to which tends to enhance the likelihood that the examination instrument finally produced will be valid and reliable. However, adherence to those accepted procedures is not a necessary prerequisite to creation of a valid and reliable examination. This is particularly true when one is going to be testing small groups of people with varied backgrounds instead of the massive groups of people with similar backgrounds for whom standardized tests are more typically designed. In the final analysis the only practical and reliable measure of the validity of an examination is by statistical analysis of the examination after it has been administered.
91. Given the nature of the circumstances faced by the Board at the time of the March 1981 amendments to the examination format and cut score, given the nature of the pool of candidates to be examined, given the nature of the changes contemplated by the Board, and given the very nature of the process of testing for minimum competency— which involves perhaps as much art as it does science — there is no study or data which would have been particularly useful to the Board *237in helping to determine exactly what the effect of their changes would be. Such effects can only be determined or measured with any degree of accuracy after the administration of an examination that incorporated the changes. Following the administration of such an examination, it is possible to perform a statistical analysis of all questions used on the examination and to eliminate or give credit for any questions which are shown by statistical analysis to be invalid or unreliable. This is precisely the process that is used by Block in the validation of their examinations and is an accépted testing procedure.
92. It would have served no useful purpose to have conducted a trial run of an examination using licensed certified electrical contractors as a test group for the new examination format. First, it would be virtually impossible to try to put together an accurate cross-section of certified electrical contractors to use as a test group. Second, one would expect them all to pass the examination, so when they did so nothing of value would have been learned. Finally, the administration of such a trial run would risk the possibility of compromising examination question security.
93. One aspect of accepted methodology for the preparation of standardized examinations is the definition of the content domain of the examination, i.e., a determination of what knowledge is essential to demonstrate that the candidates for licensure are minimally competent. This aspect of examination preparation is often accomplished by performing a formal job analysis, which is, in essence, a study of all of the usual tasks performed by a person engaged in the occupation or profession to be tested, including an evaluation of the relative importance of each of those tasks to minimum competence. The content domain can also be defined on the basis of the judgment of a group of experts in the occupation or profession to be tested.
94. With the exception of the lay members who were added in recent years, all of the members of the Electrical Contractors’ Licensing Board are, and have been, persons certified to engage in electrical contracting in the state of Florida and actively engaged in the electrical contracting business. Therefore, at all relevant times all of the professional members of the Board had extensive personal knowledge of what was involved in the practice of electrical contracting, which personal knowledge was as useful in defining content domain as would have been a formal job analysis. (In this regard it is important to note that even with the addition of lay members to the Board in recent years, the experienced professional members have continued to constitute a substantial majority of the Board.)
*238Findings regarding Rule 21Gg-6.03 of the Electrical Contractors’ Licensing Board
95. Rule 21Gg-6.03 of the Electrical Contractors’ Licensing Board reads as follows:
(1) An examinee is entitled to review his examination questions, answers, papers, grades and grading key used in the certification examination; however, no applicant may copy any materials provided for his review. Such review shall be conducted during regular business hours, in the presence of a representative of the Board at the Board’s official headquarters.
(2) If, following the review of his examination, an examinee believes that an error was made in the grading of his examination, or in the evaluation of his answers, he may request the Board to review his examination. Requests for Board review may be in writing, state with specificity the reason why review is requested, and be received within thirty (30) days after the examinee received notice that he failed the examination.
(3) Upon receipt of a request for Board review, the examination shall be reviewed by the Board at the next regularly scheduled Board meeting. If it is found that an error was made, the grade received by the examinee may be adjusted to reflect the correction. The examinee shall be notified of the final decision.
96. The Petitioners’ only challenge to Rule 21Gg-6.03 is predicated upon their concern that it may be misapplied to them by the Board.
Findings regarding Rule 21-11.11(3) of the Department of Professional Regulation as it existed prior to the October 1982 amendments
97. Prior to the October 1982 amendments, Rule 21-11.11(3) of the Department of Professional Regulation read as follows:
(3) Examination grade reviews shall be conducted at a site designated by the Department. The candidate and his/her attorney or other qualified representative shall be allowed to attend the examination grade review. A candidate may attend only one review per examination administration.
98. The above-quoted version of the rule was in effect at the time of the Petitioners’ reviews of their January and July 1982 examinations.
Findings regarding Rule 21-11.11(3) of the Department of Professional Regulation, as amended in October of 1982
99. Rule 21-11.11(3) of the Department of Professional Regulation, as amended in October of 1982, reads as follows, in pertinent part:
*239(3) A candidate taking a Department examination may request and receive an appointment for review until such times as the examination records are destroyed in accordance with Chapters 455, 119 and 267, Florida Statutes. However, unless otherwise provided by a rule of the appropriate Board within the Department, candidates may review their examination for the purpose of filing objects to the examination for the Board’s consideration under the following conditions and time frame:
(a) Within thirty (30) days of the date of the grade notification letter the candidate shall notify the Department of his/her desire to review the examination for the purpose of filing objections for consideration.
(b) Such review shall have been completed within the next thirty (30) days after the first thirty (30) days defined in (a) above.
(c) At the examination review, the candidate shall be permitted to record on forms provided by the Department any and all objections to the examination the candidate desires the appropriate Board to review. Such forms shall remain in the custody of the Office of Examination Services for presentation to the appropriate Board at the next available Board meeting as an official agenda item.
(d) * * *
(e) * * *
(f) The candidate shall not copy questions from the test booklet. The candidate may write on a separate paper in the presence of the Office of Examination Services employee, any objection or question he/she has to the written examination.
(g) The candidate shall leave the written objections and questions with the Office of Examination Services employee when he/she leaves the review room but he/she shall be permitted to leave with a form listing the question numbers he/she finds to be controversial.
(h) In the instance of a written examination, all objections will be presented to the appropriate Board for consideration.
(i) Upon completion of the Board’s review of written examination items the Department shall notify the reviewing candidate of the Board’s decision. If the Board does not concur with the candidate’s objections then the candidate will be notified in writing of this and the thirty (30) day appeal tme period shall begin to run from the date of this notice.
(j)-(m) * * *
*240Findings regarding Rule 21-11.11(13) of the Department of Professional Regulation [late renumbered as Rule 21-11.11(3)(1)]
100. Rule 21-11.11(13) of the Department of Professional Regulation, which was later renumbered as Rule 21-11.11(3)(1), reads as follows:
If the consultant finds that the original grade was not rendered in accordance with the grading criteria, then he/she will regrade that portion, or the entire examination, whichever is appropriate, pursuant to applicable statutes and rules. If it is not possible to regrade the examination, the candidate will be allowed to retake the examination at no charge.
101. It is clear from the text of Rule 21-11.11(3)0 that the language of Rule 21-11.11(3)(1) quoted immediately above is intended to apply only to practical examinations. It does not purport to apply to written examinations. These Petitioners took only written examinations; they have not taken any practical examinations.
Findings regarding Rule 21-11.14 of the Department of Profesional Regulation
102. Rule 21.11.14 of the Department of Professional Regulation reads as follows, in pertinent part:
Unless otherwise provided by a rule of the appropriate board within the Department, Security and Monitoring procedures shall be as follows:
(l)-(9) * * *
(10) Disposition of Test Booklets, Secured processing of Answer Sheets
(a) Test booklets for the state developed examinations shall be disposed of and filed in accordance with the following procedure:
1. Ten copies of the examination booklets shall be retained for ninety (90) days.
a. This procedure shall insure that there are adequate copies of the booklets available for the board to review in their review of preliminary analysis of the examination and review sessions if review responsibilities are retained by the board.
b. After the above defined ninety (90) day period the retention schedule shall change from ten copies to four copies.
(b) In the event any irregularity occurs during the examination with any state developed booklet, it shall be the examination supervi*241sor’s responsibility to prepare a detailed report of such irregularity and to retain the booklet in question in the secured flies for a period of ninety (90) days.
(c) * * *
(d) Destruction of examination booklets and related materials described in B.2.b., above:
When in accordance with procedure, it is appropriate to destroy test booklets, it shall be the Archive’s responsibility to schedule such destruction. In all instances there shall be evidenced in writing by the examination supervisor and a witness on a form which shall evidence the date of destruction and the official in charge of such destruction and a witness.
103. When examination booklets are being prepared by the Department of Professional Regulation prior to an examination, the booklets are carefully inspected to make sure that all of the booklets are identical. Following that inspection the booklets are sealed and stored in a secure place in order to insure, among other things, that no changes are made to any of the examination booklets before they are handed out to the candidates.
104. After an examination is given, the Department of Professional Regulation retrieves all of the examination booklets, including all booklets that were used by all of the candidates, and retains them in a secure place until the excess booklets can be destroyed. The examination supervisor selects the booklets which are to be retained from among the booklets that were not handed out to the candidates at the examination. In the normal course of events all of the examination booklets that were actually handled by the candidates at the examination are destroyed within a very few months of the date of the examination.
105. With the exception of the examination booklet of one other candidate (which exception is not relevant to the disposition of this rule challenge proceeding), all of the examination booklets which were handed out to candidates during the examinations taken by these two Petitioners were destroyed approximately 90 days after each of the examinations. When such destruction took place, the Department retained copies of the examination booklets which had not been used by any candidate, which copies were identical to the copies that had been handed out to the candidates during the examination.
106. As part of the examination instructions, all candidates for examination are advised not to write anything in their examination *242booklets because all of the booklets used by the candidates will be shredded. They are specifically told to do all of their computations on sheets of work paper that are provided to them at the examination. All candidates are specifically told that the only things they turn in that will be saved are their answer sheets and their sheets of work paper.
Findings regarding “unwritten” and “unpublished” rules of the Electrical Contractors’ Licensing Board
107. The findings of fact immediately below relate to the eight “unwritten” and “unpublished” alleged rules of the Electrical Contractors’ Licensing Board which are described in subparagraphs (F), (O), (P), (V), (X), (Y), (Z), and (FF) at pages 1 through 5 of the Petition. (The descriptions of these alleged rules are quoted at pages 2 through 6 of this Final Order.)
108. One of these “unpublished” rules is alleged to be a rule to the effect that the Board requires more than minimum competency in order for a candidate to receive state certification and licensure as an electrical contractor. The other seven “unwritten” or “unpublished” rules of the Electrical Contractors’ Licensing Board alleged in the Petition are all related in one way or another to the Board’s alleged free form actions in the course of its review of the two examinations which have been challenged by these Petitioners in related proceedings under Section 120.57(1), Florida Statutes. None of the evidence regarding these matters proved the existence of an agency statement of general applicability purporting in and of itself to have the direct and consistent effect of law. For reasons which are explained in the Conclusions of Law portion of this Final Order, the evidence is insufficient to establish that the Electrical Contractors’ Licensing Board has any “unwritten” or “unpublished” rules such as those described in subparagraphs (F), (O), (P), (V), (X), (Y), (Z), and (FF) of the Petition.6
*243Findings regarding “unwritten” and “unpublished” rules of the Department of Professional Regulation
109. The findings of fact immediately below relate to the six “unwritten” and “unpublished” alleged rules of the Department of Professional Regulation which are described in subparagraphs (G), (J), (K), (L), (Q), and (R) at pages 1 through 5 of the Petition. (The descriptions of these alleged rules are quoted at pages 2 through 6 of this Final Order.)
110. These six “unwritten” or “unpublished” alleged rules of the Department of Professional Regulation are all related in one way or another to actions of functionaries of the Department in the course of performing the Department’s role in the administration and review of the two examinations which have been challenged by these Petitioners in related proceedings under Section 120.57(1), Florida Statutes. None of the evidence regarding these matters proved the existence of an agency statement of general applicability purporting in and of itself to have the direct and consistent effect of law. For reasons which are explained in the Conclusions of Law portion of this Final Order, the evidence is insufficient to establish that the Department of Professional Regulation has any “unwritten” or “unpublished” rules such as those described in subparagraphs (G), (J), (K), (L), (Q), and (R).7
Findings regarding “unwritten” and “unpublished” rules of both the Electrical Contractors’ Licensing Board and the Department of Professional Regulation
111. The findings of fact immediately below relate to the ten “unwritten” and “unpublished” alleged rules of both the Electrical Contractors’ Licensing Board and the Department of Professional Regulation which are described in subparagraphs (M), (N), (S), (T), (U), (AA), (BB), (CC), (DD), and (EE) at pages 1 through 5 of the Petition. (The description of these alleged rules are quoted at pages 2 through 6 of this Final Order.)
112. These ten “unwritten” or “unpublished” alleged rules of both the Electrical Contractors’ Licensing Board and the Department of Professional Regulation are all related in one way or another to actions allegedly taken by the Board and the Department in the performance of their respective functions related to the administration and review of the two examinations which have been challenged by these Petitioners in related proceedings under Section 120.57(1), Florida Statutes. None of the evidence regarding these matters proved the existence of an *244agency statement of general applicability purporting in and of itself to have the direct and consistent effect of law. For reasons which are explained in the Conclusions of Law portion of this Final Order, the evidence is insufficient to establish that both the Electrical Contractors’ Licensing Board and the Department of Professional Regulation have any “unwritten” or “unpublished” rules such as those described in subparagraphs (M), (N), (S), (T), (U), (AA), (BB), (CC), (DD), and (EE) of the Petition.8
CONCLUSIONS OF LAW
Based on the foregoing findings of fact and on the applicable legal principles, I make the following conclusions of law:
1. The Division of Administrative Hearings has jurisdiction over the parties to and the subject matter of this proceeding. (See, generally, Sec. 120.56, Fla. Stat.)
Some applicable statutory provisions
2. Section 120.54(2)(c), Florida Statutes, reads as follows:
(c) The failure to provide an adequate statement of economic impact is a ground for holding the rule invalid; however, beginning October 1, 1978, no rule shall be declared invalid for want of an adequate statement of economic impact unless the issue is raised in an administrative or judicial proceeding within 1 year of the effective date of the rule to which the statement applies.
3. Section 120.56, Florida Statutes, reads as follows, in pertinent part:
(1) Any person substantially affected by a rule may seek an administrative determination of the invalidity of the rule on the ground that the rule is in invalid exercise of delegated legislative authority.
(2) The petition seeking an administrative determination under this section shall be in writing and shall state with particularity facts sufficient to show the person seeking relief is substantially affected by the rule and facts sufficient to show the invalidity of the rule. * * *
4. For purposes of Chapter 120, Florida Statutes, the term “rule” is defined, in pertinent part, as follows at Section 120.52(15), Florida Statutes:
(15) “Rule” means each agency statement of general applicability that implements, interprets, or prescribes law or policy or describes *245the organization, procedure, or practice requirements of an agency and includes any form which imposes any requirement or solicits any information not specifically required by statute or by an existing rule. The term also includes the amendment or repeal of a rule. The term does not include:
(a) Internal management memoranda which do not affect either the private interests of any person or any plan or procedure important to the public and which have no application outside the agency issuing the memorandum. * * *
Summary of authorities on what does and does not constitute a “rule”
5. In resolving some of the issues in this case, particularly the issues regarding the so-called “unwritten” rules and “unpublished” rules, it is instructive to consider some of the court decisions which have addressed the issues of what kinds of agency statements do and do not constitute a “rule” within the meaning of Section 120.52(15), Florida Statutes, as well as what consequences flow from a determination that an agency statement is or is not a rule.
6. In McDonald v. Department of Banking and Finance, 346 So.2d 569 (Fla. 1st DCA 1977), the court discussed some of the bizarre effects that might flow from a pedantic application of the rulemaking provisions of the Administrative Procedure Act and took pains to explain that no such bizarre effects were intended by the Legislature. The Court’s explanation included the following observations:
The APA does not chill the open development of policy by forbidding all utterance of it except within the strict rulemaking process of Section 120.54. Agencies will hardly be encouraged to structure their discretion progressively by vague standards, then definite standards, then broad principles, then rules if they cannot record and communicate emerging policy in those forms without offending Section 120.54. The folly of imposing rulemaking procedures on ah statements of incipient policy is evident. * * *
. . . Section 120.54 rulemaking procedures are imposed only on policy statements of general applicability, i.e., those state- ments which are intended by their own effect to create rights, or to require compliance, or otherwise to have the direct and consistent effect of law. * * *
While the Florida APA thus requires rulemaking for policy statements of general applicability, it also recognizes the inevitability *246and desirability of refining incipient agency policy through adjudication of individual cases. There are quantitative limits to the detail of policy that can effectively be promulgated as rules, or assimilated; and even the agency that knows its policy may wisely sharpen its purposes through adjudication before casting rules. * * *
By requiring agency explanation of any deviation from “agency rule, an officially stated policy, or a prior agency practice,” Section 120.68(12)(b) recognizes there may be “officially stated agency policy” otherwise than in “an agency rule”; and, since all agency action tends under the APA to become either a rule or an order, such other “officially stated agency policy” is necessarily recorded in agency orders.
7. As noted in the Final Order in Pahokee Farms, Inc. v. Board of Trustees of the Internal Improvement Trust Fund and Department of Natural Resources, 7 FALR 4931 (1985), at 4936-4937:
In any proceeding seeking an administrative determination of a proposed or existing rule pursuant to Sections 120.54(4) or 120.56, Florida Statutes, there are four basic or general areas of inquiry. First, are the parties participating in the rule-challenge proceeding substantially affected by the rule? Second, is the statement or document being challenged truly a “rule” within the meaning of the Administrative Procedure Act? Third, was there compliance with the rulemaking requirements of Section 120.54, Florida Statutes, or, stated differently, is the rule procedurally valid? And forth, is the rule substantively valid?
8. In Hill v. School Board of Leon County, 351 SO. 2d 732 (Fla. 1st DCA 1977), the court had before it a petition for relief which asserted that the School Board had engaged in illicit rulemaking without complying with Section 120.54, Florida Statutes, by discontinuing its prior practice of affording county-paid transportation on dangerous routes to school children whose transportation costs were not payable from state funds because their homes were within two miles from school. In denying the petition for relief, the court stated, at page 733:
While county school transportation policy may be a proper one for rulemaking, as may policy concerning the availability of hot breakfasts and the distribution and care of school books, not every statement by the Board on those subjects is a rule for which Section 120.54 procedures are required. * * *
Inasmuch as requiring rulemaking will not automatically provide the transportation petitioners seek, even during the rulemaking proceed*247ing itself, our duty in doubtful cases is to withhold judicial imperatives and leave affected parties to initiate rulemaking under Section 120.54(5) or to request proceedings under Section 120.57.
9. In State, Dept. of Commerce, Division of Labor v. Matthews Corporation, 358 SO. 2d 256 (Fla. 1st DCA 1978), the court was faced with the issue of whether certain procedures, informally adopted by the agency, were rules within the contemplation of the Administrative Procedure Act. The procedures at issue involved several wage rate determinations, as well as the agency’s practice of deviating from its promulgated rule requiring a study of at least six months’ duration by conducting surveys of only one week’s duration. With regard to the wage rate determinations, the court held that they were not rules for the following reasons:
The [wage] determinations are not statements of general applicability. While wage determinations must be included within the specifications of each public works contract in the state, the determination, by agency Rule 8C-2.05, Florida Admin. Code, is applicable only to the construction of the particular public building or other work specified in the determination. The determination thus has temporal as well as geographical limitations. The determinations have no prospective application to any other contract — only the specific project involved in the particular location. Nor do they set wage standards for affected persons extending some indefinite time into the future. The wage determinations may be considered informal “orders” which can be subjected to Section 120.57 proceedings.
10. With regard to the agency’s practice of conducting one-week surveys rather than the six-month studies required by the existing rule, the court in Matthews Corp. held:
While the examiner found a study conducted for only one week was not in compliance with Section 215.19(2)(a), nevertheless he held the agency’s practice in carrying out the survey was not an agency statement of general applicability as contemplated by Section 120.52(14) and was not proscribed as an unpublished rule.
We agree with the hearing officer. While Section 120.52(14) defines rule in part as an amendment or repeal of a rule, the testimony given by the administrator of the labor and wage section, as to the agency’s inconsistent policy, does not meet the primary requirement of Section 120.52(14) that such deviation be a statement of general applicability. An agency’s policy, which is merely inconsistent with its published rule, but does not expressly repeal the rule, cf. Price Wise Buying Group v. Nuzum, 343 SO.2d 115 (Fla. 1st DCA 1977), *248is hardly a statement of general applicability to which the structures of formal rulemaking apply.
11. In Matthews Corp. supra, the court once again stated that in these doubtful rule challenge cases “[adjudication, via Section 120.57, provides the appropriate method of relief to such parties.” And the court also noted, as it had previously noted in McDonald and Harvey:
At such proceedings, to the extent agency policy is not incorporated in its regularly adopted rules, the agency may be required by a disappointed applicant to defend its policy, to present evidence and expose its reasons for discretionary action.
12. To the same effect as Matthews Corp. supra, is Neff v. Biltmore Construction Company, Inc., 362 So.2d 442 (Fla. 1st DCA 1978), where the court stated:
Because they are not rules, the wage rate determinations are not subject to an attack of invalidity on the ground they were not adopted pursuant to Section 120.54, Florida Statutes (1975).
13. In Department of Corrections v. McCain Sales of Florida, Inc., 400 SO.2d 1301 (Fla. 1st DCA 1981), the court reversed a hearing officer’s conclusion that an agency program for the manufacture of metal signs by inmates was an illicit rule because it was not subjected to formal rulemaking processes under Section 120.54, Florida Statutes. In rejecting the hearing officer’s conclusion, the court stated:
An agency program reflects its policy, to be sure, but a program as such is not a statement of policy, and no statutes requires all agency programs to be described in Florida Administrative Code, [citation omitted] Moreover, as has been shown by Florida decisions since the hearing officer ruled in this matter ... an agency that permissibly withholds its policy from rulemaking assumes considerable burdens of proof and exposition in Section 120.57 proceedings, [citations omitted] Now more than ever it is appropriate to allow these incentives for rulemaking to work in other proceedings rather than to subject marginal cases to the difficult semantic debate that our earlier decisions encouraged in rule-challenge proceedings against nonrule policy.
14. Consistent with the foregoing, in Dept. of Highway Safety and Motor Vehicles v. Florida Police Benevolent Association, 400 So.2d 1302 (Fla. 1st DCA 1981), the court reversed a hearing officer’s conclusion that certain general orders issued by the agency without benefit of Section 120.54 rulemaking proceedings were illicit rules and hence invalid. In so doing, the court again stated:
*249In marginal rule challenges such as this, [citation omitted] the public interest is now better served by permitting other incentives for rulemaking to operate in Section 120.57 proceedings.
15. In determining whether a statement or a document is a “rule” within the statutory definition, it is important to remember that the appellation given to the statement or document by the agency, or by others, is not dispositive. As noted in State Department of Administration, Division of Personnel v. Harvey, 356 So.2d 232, 325 (Fla. 1st DCA 1977), the matter turns on the “effect” of the statement, “. . . not on the agency’s characterization of the statement by some appellation other than ‘rule.’ ”9 And just as an agency cannot prevent a statement from being a rule by giving it another name, a statement which does not have the effect of a rule cannot be transformed into a rule merely because someone has called it a rule. See Pahokee Farms, Inc., supra.
16. Also illustrative of the proposition that not all policies are, or have to be, rules is the decision in Home Health Professional Services, Inc. v. Department of Health and Rehabilitative Services, 463 So.2d 345 (Fla. 1st DCA 1985), in which the court said, at pages 347-48:
As a second prong of its attack, HHPS urges us to invalidate this agency action because HRS has failed to enact the policy applied in this case as a rule. Although it might have been preferable for HRS to have expressed its policy by the adoption of a rule, the fact that HRS has not reduced its policy to a rule does not automatically invalidate its decision in this case. Instead, we are required to examine this record to determine if HRS’ policy is clearly explicated and is supported by record foundation.
17. A number of the foregoing legal principles were synthesized as follows in the Final Order in Greg Hill v. State of Florida, Department of Natural Resources, 7 FALR 5236 (1985), at 5241-5242:
Mere “unwritten policy” cannot amount to an illicit rule. Department of Corrections v. McCain Sales of Florida, Inc., 400 So. 2d 1301 (Fla. 1st DCA 1981) (“a program as such is not a statement of policy” at 1302). A rule is a statement “of general applicability . . . applied and . . . intended to be applied with the force of a rule of law.” State, Department of Administration v. Stevens, 344 So.2d 290, 296 (Fla. 1st DCA 1977); McDonald v. Department of Banking *250and Finance, 346 So.2d 569, 580-581 (Fla. 1st DCA 1977). * * * A policy implicit in agency action does not ipso facto amount to an administrative rule, even when it has been consistently applied. Home Health Professional Services, Inc. v. Department of Health and Rehabilitative Services, 463 So.2d 345 (Fla. 1st DCA 1985).
Conclusions regarding all of the alleged “unwritten” rules and “unpublished” rules of the Electrical Contractors’ Licensing Board and the Department of Professional Regulation
18. With respect to the rules described in the Petition as “unwritten” rules and “unpublished” rules, the Petitioners here, as in the Greg Hill case, supra, have failed to prove the existence of any writing issued by the Board or the Department, or issued by any person with delegated powers to perform rulemaking functions for the Board or Department, that purports to be of general applicability and purports to establish uniform standards or requirements having the force and effect of law. To the contrary, all of the allegations regarding the so-called “unwritten” and “unpublished” rules are allegations having to do with actions rather than with writings. Neither the allegations nor the proof regarding the so-called “unwritten” and “unpublished” rules shows the existence of any written document issued by the Board or the Department, or issued by any person demonstrated to have delegated rule-making functions for the Board or Department, which purports to be the utterance of any policy of general application having the force and effect of law. Instead, to the extent that the proof in this case tends to establish the factual foundation for the allegations respecting the so-called “unwritten” and “unpublished” rules, the proof also tends to establish that each of the actions was directed to a specific unique circumstance and was intended to address or dispose of only the specific unique circumstance which was at hand at the time f the action.
19. In view of the foregoing, on the basis of the authorities summarized above under the subcaption “Summary of authorities on what does and does not constitute a ‘rule’ ”, it is clear that all of the so-called “unwritten” and “unpublished” rules described in the Petition are not rules. They neither purport to be rules nor have the effect of rules. Therefore, so much of the Petition as is addressed to the so-called “unwritten” rules and the “unpublished” rules must be dismissed.10
*25120. As a final observation on the matter of the so-called “unwritten” and “unpublished” rules, even if it were to be concluded, arguendo, that some or all of them were rules within the statutory definition of the term “rule,” they would all be rules that admittedly had not gone through the 120.54 rulemaking process, i.e., rules for which there was not even any pretense of 120.54 rulemaking compliance. Such being the case, the Respondent agencies could never apply any of them as rules, but would of necessity be required to prove and defend the policies underlying them in proceedings under Section 120.57, Florida Statutes, just as they must prove and defend every other policy that has not been formally adopted as a rule when the existence or validity of the non-rule policy is placed in issue in proceedings under Section 120.57, Florida Statutes, by a party whose substantial interests are affected by any non-rule policy. Therefore, it being impossible for these alleged “unwritten” and “unpublished” rules to ever be applied as rules to these or to any other Petitioners, there is a serious question as to whether these Petitioners, or anyone else, would ever have a substantial interest sufficient to confer standing to challenge admittedly unpromulgated “rules.” This is because regardless of whether any admittedly unpromulgated rules are in fact rules, they can never be applied in the manner in which duly adopted rules are applied and any effect they might have, or any effect an agency might try to give to them, can always be fully addressed — and, where appropriate, fully remedied — in proceedings under Section 120.57, Florida Statutes. The rights of a substantially affected person in a Section 120.57 proceeding ae neither enhanced nor diminished by a prior determination that an unpromulgated rule is or is not a rule. Thus, a determination as to whether such an unpromulgated rule is in fact a rule within the statutory definition of the term “rule” is a moot point. And no one has a substantial interest in litigating moot points.
Summary of authorities on the standards applicable to the promulgated rules challenged by these Petitioners
21. With regard to rules which have been duly promulgated pursuant to Section 120.54 rulemaking procedures, in Agrico Chemical Company v. State Dept. of Environmental Regulation, 365 So. 2d 759 (Fla. 1st DCA 1978), the court quoted, with approval the following language from its earlier decision in Florida Beverage Corporation v. Wynne, 306 SO.2d 200 (Fla. 1st DCA 1975):
*252Where the empowering provision of a statute states simply than an agency may ‘make such rules and regulations as may be necessary to carry out the provisions of this act’, the validity of regulations promulgated thereunder will be sustained so long as they are reasonably related to the purposes of the enabling legislation, and are not arbitrary or capricious.
22. In Agrico, supra, the court also described the nature of the burden upon one who challenges the validity of a proposed or existing rule as follows:
The burden is upon one who attacks the proposed rule to show that the agency, if it adopts the rule, would exceed its authority; that the requirements of the rule are not appropriate to the ends specified in the legislative act; that the requirements contained in the rule are not reasonably related to the purpose of the enabling legislation or that the proposed rule or the requirements thereof are arbitrary or capricious.
A capricious action is one which is taken without thought or reason or irrationally. An arbitrary decision is one not supported by facts or logic, or despotic. Administrative discretion must be reasoned and based upon competent substantial evidence. Competent substantial evidence has been described as such evidence as a reasonable person would accept as adequate to support a conclusion.
The requirement that a challenger has the burden of demonstrating agency action to be arbitrary or capricious or an abuse of administrative discretion is a stringent one indeed.
See also Humana, Inc. v. Dept. of Health and Rehabilitative Services, 469 SO. 2d 889 (Fla. 1st DCA 1985).
23. In Department of Professional Regulation, Board of Medical Examiners v. Durrani, 455 So. 2d 515 (Fla. 1st DCA 1984), the court reiterated:
The well recognized general rule is that agencies are to be accorded wide discretion in the exercise of their lawful rulemaking authority, clearly conferred or fairly implied and consistent with the agencies’ general statutory duties. Florida Commission on Human Relations v. Human Development Center, 413 So. 2d 1251 (Fla. 1st DCA 1982). An agency’s construction of the statute it administers is entitled to great weight and is not to be overturned unless clearly erroneous. Pan American World Airways, Inc. v. Florida Public Service Commission, 427 So. 2d 716 (Fla. 1983); Barker v. Board of Medical Examiners, 428 So.2d 720 (Fla. 1st DCA 1983). Where, as here, the *253agency’s interpretation of a statute has been promulgated in rule-making proceedings, the validity of such rule must be upheld if it is reasonably related to the purposes of the legislation interpreted and it is not arbitrary and capricious. The burden is upon petitioner in a rule challenge to show by a preponderance of the evidence that the rule or its requirements are arbitrary and capricious. Agrico Chemical Co. v. State, Department of Environmental Regulation, 365 So. 2d 759 (Fla. 1st DCA 1978); Florida Beverage Corp. v. Wynne, 306 So.2d 200 (Fla. 1st DCA 1975). Moreover, the agency’s interpretation of a statute need not be the sole possible interpretation or even the most desirable one; it need only be within the range of possible interpretations. Department of Health and Rehabilitative Services v. Wright, 439 So. 2d 937 (Fla. 1st DCA 1983) (Ervin, C.J., dissenting); Department of Administration v. Nelson, 424 SO. 2d 852 (Fla. 1st DCA 1982); Department of Health and Rehabilitative Services v. Framat Realty, Inc., 407 So.2d 238 (Fla. 1st DCA 1981). . . .
24. In Durrani, supra, the court also make the following observations regarding the validity of a rule setting a 75% minimum score on another agency’s licensure examination:
As earlier observed, the criteria selected by the Board to constitute an acceptable FLEX examination in Rule 21M-29.01(2) need not be the only possible interpretation or even the best interpretation of statutory language — it need only be within the range of possibilities. The choices of a 75% minimum score and the requirement that all test section scores calculated into this overall average be attained at a single sitting of FLEX are certainly within the range of permissible choices. There is nothing in the record to suggest that this choice was arbitrary or capricious. The establishment of examination criteria for endorsement candidates identical to that imposed on examination candidates implements the legislative intent of uniformity. Additionally, the criteria selected are reasonably related to the statutory purpose of requiring some basic level of medical competence to assure protection of the public health, safety and welfare. Both the 75% score and the single sitting requirement are criteria having a possible correlation to medical competence.
25. A similar view was stated in the earlier case of State Department of HRS v. Framat Realty, Inc., 407 So.2d 238 (Fla. 1st DCA 1981), where the court noted:
When as here an agency has responded to rule-making incentives and has allowed affected parties to help shape the rules they know will regulate them in the future, the judiciary must not, and we shall *254not, overly restrict the range of an agency’s interpretive powers. Permissible interpretations of a statute must and will be sustained, through other interpretations are possible, and may even seem preferable according to some views. If the rule binds too tightly to suit them, the appellee developers have their proper remedy in the representative and politically responsive branches, the legislative or executive, but not in the judiciary, nor in Section 120.56 rule challenge proceedings before a hearing officer.
26. Clearly underlying the Petitioners’ challenge to many of these rules is a concern about the manner in which the Board or the Department may apply the rules. Such concerns are not appropriately addressed in a Section 120.56 rule challenge proceedings because the misapplication of a rule is not a basis for invalidation of a rule. In this regard the court in Hasper v. Dept. of Administration and Dept. of Labor and Employment Security, 459 So. 2d 398 (Fla. 1st DCA 1984) quoted with approval the following language from the hearing officer’s order:
The fact that an agency may wrongfully or erroneously apply [the] Rule ... in any given situation does not invalidate the Rule. The challenged Rule certainly does not mandate an application contrary to or conflictive with the enabling legislation. The remedy for an erroneous application of [the] Rule ... is a proceeding pursuant to Section 120.57, Florida Statutes. . . .
27. The Florida courts have also stated that testing methods do not have to be perfect in order to pass muster. It is sufficient that they be reasonably accurate under the circumstances. See Florida Agricultural Research Institute v. Florida Dept. of Agriculture, 416 So.2d 1153 (Fla. 2d DCA 1982), in which the court upheld the validity of rules permitting the use of an inaccurate measurement device in conjunction with tolerance tables that also permitted some inaccuracies which could have been, but were not, alleviated by refinements to the tolerance tables.
Conclusions regarding Rule 21GG-6.01(l)(c) of the Electrical Contractors’ Licensing Board
28. As noted in the findings of fact regarding the December 1981 amendment to Rule 21GG-6.01(l)(c), in view of the modifying phrase “shall include but not be limited to,” which appears in both versions of the rule, the amendment was merely a technical amendment which served the purpose of more accurately describing the Board’s intentions. Because of the quoted modifying phrase, the Board could ask the same examination questions before or after the amendment. Such being *255the case, the December 1981 amendment to Rule 21GG-6.01(l)(c) did not affect the substantial interests of either Petitioner. Although it is contended that the amendment caused confusion about what would be covered by future examinations, there is no convincing evidence of any genuine confusion, particularly when the amended version of the rule is considered in light of the list of reference books provided to each candidate several weeks before each examination. Further, neither of these Petitioners have any present intention to take any future ECLB certification examination. In view of the foregoing, the Petitioners lack standing to challenge the December 1981 amendment to Rule 21GG-6.03(l)(c) because the amendment did not affect their substantial interests.
Conclusions regarding Rule 21GG-6.01(1), (2), (3), and (4) of the Electrical Contractors’ Licensing Board
29. For the reasons discussed in the paragraphs which follow, it must be concluded that Petitioners have failed to establish that the March 1981 amendments to Rule 21GG-6.01(1), (2), (3), and (4) are invalid rules.
30. First, the totality of the evidence supports a conclusion that the Board complied with all relevant rulemaking requirements of Section 120.54, Florida Statutes, when it adopted the March 1981 amendments to these rules.
31. With regard to the areas of competency set forth in subsection (1) of the rule, all of the specified areas of competency are reasonably related to testing for minimum competency to engage in electrical contracting. There is nothing arbitrary or capricious about them.
32. With regard to the closed book portion of the examination set forth in subsection (2) of the rule, as noted in the findings of fact, it is quite common for licensure examinations to be entirely closed book or to have portions that are closed book. The fact that a portion of an examination is closed book does not ipso facto have anything to do with the validity or reliability of an examination, except to the extent that a closed book examination is generally a better instrument for determining the extent of a candidate’s practical experience. There is nothing arbitrary or capricious about including a closed book portion on an electrical contractor licensing examination.
33. With regard to the relative grading weights established in subsection (3) of the rule, the relative grading weights which were in effect in 1982 and the ones which are in effect now all bear a reasonable relationship to testing for minimum competency in the field *256of electrical contracting. Although there have been changes in the relative grading weights over the years, the changes have been slight. As noted in the findings of fact, the determination of what the relative grading weights should be is a matter involving the exercise of judgment by experts in the field, in this case the professional members of the Board. The greater weight of the evidence supports the conclusion that their judgment in this regard was reasonable. It certainly bears at least a possible correlation to electrical contractor competence, and it is not arbitrary or capricious.
34. With regard to the 75% cut score established by subsection (4) of the rule, it must first be noted that cut scores of 70% and 75% are quite common on licensure examinations. Further, absent perhaps some extreme example which is not present in this case, the validity or invalidity,or the reasonableness or unreasonableness, of a particular cut score cannot be determined in a vacuum. Rather, it must be determined in the context of a specific testing instrument. As noted in the findings of fact, the Board’s decision to change from a 70% cut score to a 75% cut score was a reasonable and logical response to the circumstances which existed at the time of the change. Further, as in Durrani, supra, the 75% cut score bears at least a possible correlation to electrical contractor competence, and it is not arbitrary or capricious.
35. All of the choices made by the Board in the course of the March 1981 amendments to Rule 21GG-6.01(1), (2), (3), and (4) are, in the words of the Durrani decision, supra, “. . . certainly within the range of permissible choices.” They are not the only permissible choices and they are arguably not the best choices, but they are within the range of possibilities and that is enough. Further, here, as in Durrani, supra, “. . . the criteria selected are reasonably related to the statutory purpose of requiring some basic level of . . . competence to assure protection of the public health, safety and welfare.”
36. A major contention of the Petitioners is that all of the March 1981 amendments to Rule 21GG-6.01(1), (2), (3), and (4) are invalid because they were made without first conducting a study to determine what effect the amendments would have on the validity and reliability of future examinations. There was expert testimony on both sides of the issue regarding the need for and usefulness of such a study. The greater weight of the expert testimony supports a conclusion that, while such a study might have been beneficial, it is by no means a necessary prerequisite to the adoption of rules which have the effect of modifying some aspects of future examinations. As noted in the findings of fact, such a study might have tended to have increased the *257likelihood of future examinations being valid and reliable, but it would not have assured validity and reliability, just as the failure to conduct such a study does not assure invalidity or unreliability. The Board’s approach to the matter was perhaps not the best approach, but even the most persuasive of the Petitioners’ expert witnesses on testing agreed that under the circumstances the Board’s approach was a reasonable and logical response to the situation faced by the Board.
37. Accordingly, for the reasons set forth in Department of Professional Regulation, Board of Medical Examiners v. Durrani, 455 So. 2d 515 (Fla. 1st DC A 1984), and the other cases summarized above regarding the applicable standards in a rule challenge case, the Petitioners’ challenge to the March 1981 amendments to Rule 21GG-6.01(1), (2), (3), and (4) must be dismissed.
38. The Petitioners have also challenged the March 1981 amendments to Rule 21GG-6.01(1), (2), (3), and (4) on the grounds that it has an invalid statement of economic impact. The instant Petition was filed more than one year after the effective date of the rule. Accordingly, by operation of Section 120.54(2)(c), Florida Statutes, any challenge to the validity of the rule’s statement of economic impact is time barred.
Conclusions regarding Rule 21GG-6.03 of the Electrical Contractors’ Licensing Board
39. The Petitioners’ sole concern regarding Rule 21GG-6.03 is that it may be wrongfully or erroneously applied to them. As noted above, such concerns do not invalidate a rule. See Hasper v. Dept. of Administration and Dept. of Labor and Employment Security, 459 So.2d 398 (Fla. 1st DCA 1984). There being no other evidence of any invalidity of this rule, the Petitioners’ challenge to this rule must fail. Their concerns about its application may, of course, be fully addressed and resolved in their related proceedings under Section 120.57(1), Florida Statutes.
Conclusions regarding Rule 21-11.11(3) of the Department of Professional Regulation as it existed prior to the October 1982 amendments
40. To at least some extent, the Petitioners’ challenge to Rule 21-11.11(3) as it existed prior to the October 1982 amendments is predicated upon a concern that the rule was or will be wrongfully or erroneously applied to them. As noted above, such concerns are remedied in proceedings under Section 120.57, Florida Statutes, and not in Section 120.56 rule challenge proceedings. See Haspter v. Dept. *258of Administration and Dept. of Labor and Employment Security, supra.
41. The Petitioners also contend that Rule 21-11.11(3) as it existed prior to the October 1982 amendments is invalid by reason of being in direct conflict with Sections 119.07 and 455.217, Florida Statutes. A careful comparison of the language of the rule as it existed prior to the October 1982 amendments with the cited statutory provisions reveals no such conflict. In this regard it is also instructive to review the Attorney General’s discussion of the manner in which Sections 119.07 and 455.217, Florida Statutes, function in pari materia. See Attorney General Opinion 83-52 (August 12, 1983).
42. The Petitioners also contend, generally, that Rule 21-11.11(3) as it existed prior to the October 1982 amendments is arbitrary ad without a rational basis. There is no evidence in the record of this case sufficient to establish such general allegations. Accordingly, the Petitioners have failed to establish that Rule 21-11.11(3) as it existed prior to the October 1982 amendments is an invalid rule.
Conclusions regarding Rule 21-11.11(3) of the Department of Professional Regulation, as amended in October of 1982
43. The basic nature of the Petitioners’ challenge to Rule 21-11.11(3), as amended in October of 1982, is the same as their challenge to the prior rule, i.e., a concern that it may be wrongfully or erroneously applied to them, a contention that the rule is in conflict with Sections 119.07 and 455.217, Florida Statutes, and a contention that the rule is arbitrary and without a rational basis. For the reasons set forth in the three immediately preceding paragraphs, the Petitioners have failed to establish that Rule 21-11.11(3), as amended in 1982, is an invalid rule.
Conclusions regarding Rule 21-11.11(13) of the Department of Professional Regulation [later renumbered as Rule 21-11.11(3)(1)]
44. As noted in the findings of fact, Rule 21-11.11(13), which was later renumbered as Rule 21-11.11 (3)( 1), applies only to practical examinations. These Petitioners did not take any practical examination, only written examinations. Thus, they are not affected by this rule and have no standing to challenge it.
Conclusions regarding Rule 21-11.14 of the Department of Professional Regulation
45. To at least some extend the Petitioners’ challenge to Rule 21-11.14 is predicated upon a concern that the rule was wrongfully or *259erroneously applied to their detriment. As previously noted, such concerns are remedied in proceedings under Section 120.57, Florida Statutes, and not in Section 120.56 rule challenge proceedings. See Haspter v. Dept. of Administration and Dept. of Labor and Employment Security, supra.
46. Petitioners also assert that Rule 21-11.14 conflicts with Section 267.051, Florida Statutes. A careful review of the cited statutory provision reveals no facial conflict between the requirements of the statute and the provisions of the subject rule. While it is possible that the rule could be misapplied in a manner which would violate Section 267.051, the possibility of misapplication does not invalidate the rule.
47. It is also contended by the Petitioners that Rule 21-11.14 conflicts with Sections 119.07(3)(c) and 455.217(3), Florida Statutes. The first of these statutory provisions reads as follows:
(c) Examination questions and answer sheets of examinations administered by a governmental agency for the purpose of licensure, certification, or employment shall be exempt from the provisions of subsection (1). However, an examinee shall have the right to review his own completed examination.
And Section 455.217(3) states:
(3) The department shall make an accurate record of each applicant’s examination questions, answers, papers, grades, and grading key. The department shall keep such record for a period of not less than 2 years immediately following the examination, and such record shall thereafter be maintained or destroyed as provided in chapters 119 and 267.
48. Neither of the two statutory provisions quoted immediately above specifically requires the retention of each and every examination question booklet used by each and every candidate. (Of course, it cannot be doubted that keeping all of the examination booklets of all of the candidates would be one way to comply with both statutory provisions — but it is not the only way to comply with the statutory requirements.) When the statutory provisions quoted immediately above are read in pari materia and in light of their obvious purposes, it is clear that Rule 21-11.14 runs afoul of neither and fulfills the purposes of both.
49. As noted in the findings of fact, before each examination all copies of the examination question booklets are inspected to verify that they are identical; and when the examination is administered, each candidate reviews an identical examination question booklet. Further, *260all candidates are instructed not to write in their examination booklets. Such being the case, it makes no difference to the fulfillment of the purposes of either of the subject statutory provisions whether the Department of Professional Regulation keeps one, ten, or a thousand copies of an examination booklet so long as at the appropriate time the candidate can be shown a copy of an examination booklet identical to the one that was given to him when he sat for the examination.
50. The Petitioners also contend, generally, that Rule 21-11.14 is arbitrary and that it exceeds the Department’s rulemaking authority. There is no evidence in the record of this case sufficient to establish such general allegations. Accordingly, the Petitioners have failed to establish that Rule 21-11.14 is an invalid rule.
Conclusions regarding the Petitioners’ post-hearing motion to amend and motion for legal fees and costs
51. By their July 8, 1985, post-hearing motion to amend their petition in this case, the Petitioners seek to add a request for costs as part of their request for relief in this case. By their January 28, 1986, motion the Petitioners seek both legal fees and costs. There is no provision in Section 120.56, Florida Statutes, or elsewhere in the Florida Statutes, which authorizes an award of legal fees and costs in a rule challenge proceeding. It is also well-settled law in this state that attorney’s fees should not be awarded against another party except where such an award is expressly authorized. Therefore, because there is no statutory provision for the relief sought by these two motions, the Petitioners’ July 8, 1985, motion to amend their petition to request costs and their January 28, 1986, motion seeking legal fees and costs are DENIED. In this regard it is also noted that a motion seeking similar relief was previously denied prior to the hearing. See paragraph 11 of the order of October 9, 1985.
For all of the foregoing reasons, it is
ORDERED:
That the relief requested by the Petitioners in this rule challenge petition is DENIED and the rule challenge petition is hereby DISMISSED in its entirety.
DONE AND ORDERED this 4th day of March, 1986, at Tallahassee, Florida.
Mrs. Tell withdrew as counsel for the Petitioners subsequent to the hearing. Prior to the withdrawal she filed a proposed final order and several motions on behalf of the Petitioners.
The exhibits alone fill two large cardboard boxes and constitute literally thousands of pages of paper.
The Respondents’ Proposed Final Order was filed on December 14, 1984. The Petitioners’ Proposed Final Order, following requests for extension of time which were not objected to, was filed on April 1, 1985.
Due in large part to this estrangement between the Board and O.E.S., as well as to other testimony bearing on the matter, I have not given much credence to the opinions set forth in Petitioners’ Exhibit No. 28.
These Petitioners have not challenged the validity of the November 1983 amendments to Rule 21GG-6.01(3).
Although the evidence does establish that some of the Board and Department actions in the course of the administration and review of the examinations were the same as or similar to conduct described in the Petition as rules, the proof is insufficient to establish that any of such actions are or were rules. Accordingly, it would serve no useful purpose to make extensive findings of fact in this Final Order with respect to which actions alleged in the Petition were or were not proved, because none of the alleged actions constitute rules. The propriety of such actions as were proved to have been taken by the Board is the appropriate subject of the related Section 120.57(1) proceedings to the extent any such actions impacted on the substantial interests of the Petitioners, and appropriate findings will be made in the Recommended Order in those proceedings.
See Footnote 6.
See Footnote 6.
To the same effect, see the Final Order in Visual Health and Surgical Center of the Palm Beaches v. Department of Health and Rehabilitative Services, 7 FALR 5185 (1985).
This dismissal of the portion of the rule challenge Petition addressed to the *251“unwritten” and “unpublished” rules should not be misconstrued as in any way passing upon the propriety of any actions taken by the Board or Department. See Footnote 6.