In re Supboena Duces Tecum to Roger W. Evans, M.D., and EECP Heart Center of Kansas, Inc.
Filing
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MEMORANDUM AND ORDER denying 1 Motion to Quash; granting 3 Motion to Compel. Responsive documents shall be produced by Movants on or before October 24, 2011. Signed by Magistrate Judge Kenneth G. Gale on 10/3/2011. (df)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF KANSAS
In re: SUBPOENA DUCES TECUM
to Roger W. Evans, M.D. and EECP
Heart Center of Kansas, Inc.
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Case No. 11-MC-114-JTM
MEMORANDUM AND ORDER
Before the Court is the motion of Roger W. Evans and EECP Heart Center
of Kansas, Inc. (collectively “Movants”1) requesting an Order quashing a subpoena
duces tecum served by the United States of America (“Respondent” or “the
Government”). (Doc. 1.) The Government’s response includes a Motion to
Compel compliance with the subpoena at issue. (Doc. 3.)
It is uncontroverted that Movants are under investigation for Medicare fraud,
in violation of 18 U.S.C. §1347, and money laundering, in violation of 18 U.S.C.
§§1956 & 1957. (See Doc. 2, at 4; Doc. 4, at 1.) The subpoena at issue was served
pursuant to 18 U.S.C. §3486, which states in relevant part:
(a) Authorization.–(1)(A) In any investigation relating of –
(i)(I) a Federal health care offense, . . . the Attorney General .
. . may issue in writing and cause to be served a subpoena
requiring the production and testimony described in
subparagraph (B).
1
Dr. Evans is the sole owner of EECP Heart Center of Kansas, Inc.
(B) . . . a subpoena issued under subparagraph (A) may require – (i)
the production of any records or other things relevant to the
investigation.
The subpoena seeks production of six categories of documents, two of which are at
issue: 1) financial documents relating to Dr. Evans’ “financial condition” and 2)
Dr. Evans’ personal federal income tax returns. (Doc. 2, at 2, 12.)
Movants contend that it is improper for the Government to use an
administrative subpoena “to further its criminal investigation.” (Id., at 4.) Further,
Movants argue that Dr. Evans has a “heightened expectation of privacy in his
personal financial records,” which requires the Government “to show probable
cause before it can require Dr. Evans to turn over such records.” (Id.)
The Government responds that the statute at issue, 18 U.S.C. §3486,
“specifically permits the U.S. Attorney to issue administrative subpoenas to
investigate federal health care offenses . . . .” (Doc. 4, at 2.) The Government
continues that by passing the statute, “Congress has spoken loud, clear, and
unambiguously” to give the Government “broad investigatory, inquisitory
subpoena powers.” (Id., at 5.) Further, the Government cites several cases for the
proposition that the statute in question contains no probable cause requirement for
such affidavits. (Id., at 6-9.) Finally, the Government argues that the requested
information is reasonable and relevant because “any good investigation involving
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fraud, money laundering, and forfeiture, in which the crimes have produced illegal
gain to the fraudster, will include a financial investigation of the business and the
business owner.” (Id., at 11-12.) Stated another way, given the business
relationship between the Movants, “Dr. Evans’ personal financial information may
provide evidence of motive, money laundering, and identify potential assets for
forfeiture . . . .” (Id., at 3.)
Movants reply that although the statute was passed by Congress, “[t]he
Government’s administrative subpoena power is not without limits, and Congress
cannot trump the rights protected by the United States Constitution.” (Doc. 6, at
4.) While questioning the constitutionality of the Statute – which as been in effect
for 15 years without, to this Court’s knowledge, any binding authority successfully
challenging its constitutionality2 – Movants have not provided the Court with
sufficient basis or authority to reach such a bold conclusion.
The Court is equally unpersuaded by Movants’ attempts to discredit Tenth
Circuit authority holding that it is unnecessary to establish probable cause before a
court can issue an administrative subpoena. The Tenth Circuit has been very
2
To the contrary, Movants admit that “[t]he Supreme Court has not reviewed the
constitutionality of 18 U.S.C. §3486 in any context, much less the context, as here, where
the Government seeks production of an individual’s personal financial records.” (Doc. 6,
at 4.)
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specific on this issue.
Under Fourth Amendment law, an investigatory or
administrative subpoena is not subject to the same
probable cause requirements as a search warrant. See v.
City of Seattle, 387 U.S. 541, 544, 87 S.Ct. 1737, 18
L.Ed.2d 943 (1967); United States v. Reno, 522 F.2d
572, 575 (10th Cir.1975). The Fourth Amendment
requires only that a subpoena be ‘sufficiently limited in
scope, relevant in purpose, and specific in directive so
that compliance will not be unreasonably burdensome.’
City of Seattle, 387 U.S. at 544, 87 S.Ct. 1737; see also
Matter of Grand Jury Subpoena Duces Tecum Issued
on June 9, 1982, to ‘Custodian of Records,’ 697 F.2d
277, 281 (10th Cir.1983) (holding a subpoena in a
criminal investigation ‘is not unreasonable under the
Fourth Amendment if it: (1) commands the production
only of things relevant to the investigation; (2) specifies
the items with reasonable particularity; and (3) covers
only a reasonable period of time’); United States v.
Bailey (In re Subpoena Duces Tecum), 228 F.3d 341,
347–49 (4th Cir.2000) (holding probable cause required
for warrants but not subpoenas because warrants are
‘immedia[te] and intrusive[ ]’ whereas the subpoenaed
party has an opportunity to challenge a subpoena before
complying with it).
Becker v. Kroll, 494 F.3d 904, 916-917 (10th Cir. 2007).
Movants contend that the Tenth Circuit’s reasoning in Becker is “flawed,”
as was a similar decision reached by the Sixth Circuit in the matter of In re
Administrative Subpoena John Doe, 253 F.3d 256 (6th Cir. 2001) (holding that the
Department of Justice need not establish probable cause before the issuance of a
§3486 administrative subpoena for records from an individual doctor under
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investigation for health care fraud) (cited with approval in Becker, 494 F.3d at
917). (See Doc. 6, at 7.) Despite Plaintiff’s assertions that in reaching these
decisions, the Tenth and Sixth Circuit Courts incorrectly relied on authority
relating to the production of corporate – rather than personal – papers, the Court is
not prepared to break with this clearly established line of authority from the Circuit
Courts.
It is uncontroverted that Dr. Evans, the sole owner of EECP Heart Center of
Kansas, Inc., is being investigated for Medicare fraud and money laundering.
(Doc. 4, at 1.) For purposes of this motion, it remains uncontested that Dr. Evans
represented to Medicare that certain procedures at EECP were conducted by, or
under the direct supervision of, a licensed physician. (Id., at 1-2.) Respondent
contends that, for numerous such procedures, Dr. Evens was not present at the
clinics in question “although the billing submitted to Medicare represented that he
was.” (Id.) Respondent further contends that EECP received payment from
Medicare for certain such procedures in an amount exceeding $800,000.00. (Id.)
Given the business relationship of the Movants, Respondent has established that
the requested information is both reasonable and relevant because “Dr. Evans’
personal financial information may provide evidence of motive, money laundering,
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and identify potential assets for forfeiture . . . .”3 (Id., at 3.)
IT IS THEREFORE ORDERED that Movants’ Motion to Quash Subpoena
Duces Tecum, In Part (Doc. 1) is DENIED and, concurrently, Respondent’s Motion
to Compel (Doc. 3) is GRANTED.
IT IS SO ORDERED.
Dated this 3rd day of October 2011, at Wichita, Kansas.
S/ KENNETH G. GALE
Kenneth G. Gale
UNITED STATES MAGISTRATE JUDGE
3
It is significant that – other than to argue that the Government must establish
probable cause as a basis for the subpoena – Movants do not challenge the substantive
reasonableness of the request.
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