O'Laughlin v. Radiation Therapy Services, P.S. C. et al
Filing
141
MEMORANDUM OPINION & ORDER: 1) Deft's 125 MOTION to Dismiss is GRANTED in part and DENIED in part in that the only surviving claims are Counts V, VI, and VII; 2) Deft's Motion to Stay 126 is DENIED; and 3) the parties shall file a proposed discovery plan on the remaining Counts w/i 20 days from the date of entry of this Order. Signed by Judge David L. Bunning on 11/23/22.(JLS)cc: COR
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF KENTUCKY
NORTHERN DIVISION
AT ASHLAND
CIVIL ACTION NO. 16-148-DLB-EBA
UNITED STATES OF AMERICA
ex rel. ROBERT C. O’LAUGHLIN, M.D.
v.
PLAINTIFF
MEMORANDUM OPINION AND ORDER
RADIATION THERAPY SERVICES, P.S.C., et al.
DEFENDANTS
** ** ** ** ** ** ** **
This matter is before the Court on Defendants’ Motion to Dismiss the Third
Amended Complaint. (Doc. # 125). The Motion has been fully briefed and is now ripe for
the Court’s review. (Docs. # 131 and 135). Defendants’ Motion to Stay Discovery (Doc.
# 126) is also pending. For the reasons stated herein, Defendants’ Motion to Dismiss is
granted in part and denied in part and the Motion to Stay Discovery is denied.
I.
FACTUAL AND PROCEDURAL BACKGROUND
This matter has a convoluted and lengthy procedural history. For the sake of
brevity, the facts in this matter have been previously described, in detail, in this Court’s
October 20, 2020 Order (“2020 Order”). (Doc. # 76 at 1-5). By way of quick summary,
Relator, Robert O’Laughlin, M.D. brings this qui tam action on behalf of the United States
under the False Claims Act (“FCA”), 31 U.S.C. §§ 3729-3733, based on Defendants’
allegedly fraudulent misrepresentations to Medicare, Medicaid, and other federal
1
programs regarding radiation oncology and chemotherapy services they provided. (Doc.
# 124 at 1-2).
Relator O’Laughlin initiated this lawsuit on December 7, 2016.
(Doc. # 1).
Following a prior Joint Motion to Dismiss (Doc. # 50), Relator filed an Amended Complaint
(Doc. # 53). Following this Court’s Order addressing that motion to dismiss, Relator filed
a Second Amended Complaint which also faced a second motion to dismiss. (Docs. #
91 and 95). After holding a hearing on the matter, the Court allowed Relator to file a Third
Amended Complaint which rendered the second motion to dismiss moot. (Docs. # 123
and 124).
Defendants have now filed the instant Motion to Dismiss the Third Amended
Complaint. (Doc. # 125). The Third Amended Complaint essentially alleges the same
counts as its previous iterations. Counts I, III, V, and VII are related to four separate “false
presentment” claims under 31 U.S.C. § 3729(a)(1)(A), which prohibits “knowingly
present[ing], or caus[ing] to be presented, a false or fraudulent claim for payment or
approval.” (Doc. # 124 ¶¶ 47-68, 76-110, 118-163 and 171-189). Counts II, IV and VI
allege false records claims under 31 U.S.C. § 3729(a)(1)(B), which prohibits “knowingly
mak[ing], us[ing], or caus[ing] to be made or used, a false record or statement material to
a false or fraudulent claim.” (Id. ¶¶ 69-75, 111-117, and 164-170). Lastly, O’Laughlin
alleges a conspiracy claim pursuant to 31 U.S.C. § 3729(a)(1)(C). (Id. ¶¶ 190-195).
II.
ANALYSIS
A.
Standard of Review
To survive a motion to dismiss, a complaint alleging FCA violations must comply
with the heightened pleading standard of Federal Rule of Civil Procedure 9(b). United
2
States ex rel. Prather v. Brookdale Senior Living Cmtys., Inc., 838 F.3d 750, 760 (6th Cir.
2016).
Under Rule 9(b), “a party must state with particularity the circumstances
constituting fraud.” At a minimum, a relator must allege the who, what, when, where, and
how of the alleged fraud. Sanderson v. HCA-The Healthcare Co., 447 F.3d 873, 877 (6th
Cir. 2006).
More specifically, courts have consistently noted that the particularity
requirement under Rule 9(b) necessitates that the plaintiff sufficiently allege “(1) the time,
place, and content of the alleged misrepresentation, (2) the fraudulent scheme, (3) the
defendant’s fraudulent intent, and (4) the resulting injury.” Chesbrough v. VPA, P.C., 655
F.3d 461, 467 (6th Cir. 2011) (internal quotations and citations omitted). This aligns with
the purpose of Rule 9(b) which “is to alert defendants as to the particulars of their alleged
misconduct so that they may respond.” Id. at 466 (citation omitted).
However, Rule 9(b) should not be read to “reintroduce formalities to pleading.”
United States ex rel. Sheldon v. Kettering Health Network, 816 F.3d 399, 408 (6th Cir.
2016) (internal quotations omitted). “Malice, intent, knowledge, and other conditions of a
person’s mind may be alleged generally.” Chesbrough, 655 F.3d at 466 (quoting Fed. R.
Civ. P. 9(b)). “In the qui tam context, ‘the Court must construe the complaint in the light
most favorable to the plaintiff, accept all factual allegations as true, and determine
whether the complaint contains enough facts to state a claim to relief that is plausible on
its face.’” United States ex rel. Ibanez v. Bristol-Myers Squibb Co., 874 F.3d 905, 914
(6th Cir. 2017) (quoting U.S. ex rel. SNAPP, Inc. v. Ford Motor Co., 532 F.3d 496, 502
(6th Cir. 2008)). Still, that does not obligate the Court to “accept claims that consist of no
more than mere assertions and unsupported or unsupportable conclusions.” Sanderson,
447 F.3d at 876 (citing Kottmyer v. Maas, 436 F.3d 684, 688 (6th Cir. 2006)).
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B.
Rule 9(b)
The Court notes that O’Laughlin has sufficiently pled what is required under Rule
9(b) as a matter of fact, that is “(1) the time, place, and content of the alleged
misrepresentation, (2) the fraudulent scheme, (3) the defendant’s fraudulent intent, and
(4) the resulting injury.” Chesbrough, 655 F.3d at 467. O’Laughlin provides very detailed
factual allegations regarding the false presentment claims against Defendants in the form
of tables outlining each patient’s date of service, type of service, service billing code, the
amount billed, the amount paid, and the date of payment. (Doc. # 124 ¶¶ 55, 58, 61, 86,
90, 94, 98, 102, 127, 135, 143, 151, 181, and 182). The false records claims piggyback
off the false presentment claims as they essentially allege that Defendants knew these
services were not provided in accordance with Medicare billing requirements and
submitted them for reimbursement anyway.
O’Laughlin also generally alleges Defendants’ scheme and intent of “scrubbing”
insurance claims to guarantee they would pass review by insurance carriers. (Id. ¶ 40).
Consequently, O’Laughlin alleges the resulting injury is the United States either paying
out claims that it should not have or overpaying claims for services provided by employees
other than qualified physicians. (Id. ¶ 66-68, 74-75, 109-110, 116-117, 149, 156, 162163, 169-170, 188-189, and 194-195). These alleged facts are specific enough to alert
Defendants to their so-called misconduct, even the specificity of the parties’ briefing1
leads this Court to believe that Defendants are sufficiently on notice of the specifics of the
At this point, the parties have briefed the same or similar arguments three times.
Defendants have not argued that the factual nature of the allegations is ambiguous, rather that
the allegations do not constitute fraud. Therefore, Defendants do not have an issue with the
factual particularity of the allegations, rather they take issue with the categorization of those
actions as fraud.
1
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allegations in the Third Amended Complaint. Chesbrough, 655 F.3d at 467, 470; Ibanez,
874 F.3d at 914 (noting that the allegations in the complaint should be viewed in the light
most favorable to the plaintiff). Thus, the Court holds that O’Laughlin has satisfactorily
pled the who, what, when, where, and how of the alleged fraud. Sanderson, 447 F.3d at
877.
Yet, the parties focus their disagreement on whether Defendants’ actions
constituted fraud.
C.
False Presentment and False Records Claims
The Medicare Program is administered by the Department of Health and Human
Services through the Centers for Medicare and Medicaid Services (“CMS”). Medicare
Part A covers hospital insurance for the elderly and disabled. Medicare Part B covers
doctors’ services and outpatient care. CMS reimburses Medicare claims through private
insurance carriers who administer and pay claims as fiscal intermediaries. As discussed
in the Court’s 2020 Order, the FCA imposes liability on a person who “knowingly presents,
or causes to be presented, a false or fraudulent claim for payment or approval.” (Doc. #
76 at 6) (quoting 31 U.S.C. § 3729(a)(1)(A)). While the FCA provides the cause of action,
relevant Medicare statutes and regulations define the requirements for submitted claims
and form the basis of much of the dispute here as to the radiological and chemotherapy
services provided by Defendants.2
As previously explained by the Court, a false certification theory is one possible
way to allege a fraudulent claim under the FCA because “liability can attach if the claimant
For example, Medicare Part B covers physician services, such as diagnosis, therapy,
surgery, and consultations that are “reasonable and necessary.” 42 U.S.C. §§ 1395x(q) and
1395y(a)(1)(A); 42 C.F.R. § 410.20(a); 42 C.F.R. § 410.35 (noting that radiation therapy services
are covered under Medicare Part B).
2
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violates its continuing duty to comply with the regulations on which payment is
conditioned.” See Chesbrough, 655 F.3d at 468; (Doc. # 76 at 6-7). To adequately allege
a false certification claim, the Sixth Circuit has held that a relator must establish that
defendants made a claim for payment that expressly stated that it complies with a
particular statute, regulation, or contractual term that is a prerequisite for payment.
Sheldon, 816 F.3d at 408 (internal quotation marks omitted).
Therefore, O’Laughlin must allege that compliance with the relevant regulation or
law was a precondition of payment, in other words “that compliance with the standard
was required to obtain payment.” Chesbrough, 655 F.3d at 468. In analyzing a false
certification theory, the Court “do[es] not look to the claimant's actual statements; rather,
the analysis focuses on ‘the underlying contracts, statutes, or regulations themselves to
ascertain whether they make compliance a prerequisite to the government's payment.’”
U.S. ex rel. Hobbs v. MedQuest Assocs., Inc., 711 F.3d 707, 714 (6th Cir. 2013) (quoting
United States ex rel. Conner v. Salina Reg’l Health Ctr., Inc., 543 F.3d 1211, 1218 (10th
Cir. 2008)). Here, the parties dispute the relevant regulations, standards, and what
constitutes a precondition of payment.
1.
Counts I and II
Count I alleges that Defendants fraudulently billed for services provided by
O’Laughlin during his employment with Defendants’ treatment centers. (Doc. # 124 ¶¶
49-50). Count II alleges false records claims related to the allegations in Count I. (Id. ¶¶
69-70). Defendants argue that Counts I and II of the Third Amended Complaint should
be dismissed because O’Laughlin provides no support for his allegation that the relevant
services had to be performed by a “qualified radiation oncologist.” (Doc. # 125 at 14).
6
Defendants further that O’Laughlin’s allegation is essentially an attempt to revive his
previously failed argument—that this Court rejected in its 2020 Order—that a radiation
oncologist must be present to supervise radiation treatment. (Id.). Then, Defendants
argue that O’Laughlin’s allegation that a qualified radiation oncologist must review and
approve guidance images prior to each daily treatment within 24 hours or prior to the next
treatment delivery is also unsupported. (Id. at 15). To counter O’Laughlin’s assertion,
Defendants cite to an American Society of Radiation Oncology (“ASTRO”) article that
discusses the various roles and requirements of a radiology practice such as Defendants.
(Id. at 16) (citing Doc. # 66-1).
In his Response, O’Laughlin answers that Defendants billed for both professional
and technical components of services but that no qualified physician provided the
professional component. (Doc. # 131 at 15). O’Laughlin seemingly posits that the
professional component must be conducted by a radiologist or a radiation oncologist. (Id.
at 15-17). As pointed out by Defendants, the Medicare Claims Processing Manual
provides that claims must be paid for professional components of services furnished “by
a physician to an individual patient in all settings under the fee schedule . . . regardless
of the specialty of the physician who performs the service.” (Doc. # 135 at 3); Medicare
Claims Processing Manual, Ch. 13, § 20.1 (emphasis added). The Court agrees that
O’Laughlin has failed to establish that the specific services had to be performed by a
radiation oncologist instead of any physician. Moreover, Defendants are correct that this
Court’s 2020 Order rejected the idea that a radiation oncologist had to perform the
relevant services instead of any physician, regardless of specialty. (Doc. # 76 at 10).
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Second, O’Laughlin does not address Defendants’ argument regarding ASTRO’s
guidance on review of images and provides no sources to the contrary. Indeed, ASTRO’s
guidance indicates that it is recommended that patient charts and images should be
reviewed weekly, not that it is required prior to every treatment. (Doc. # 66-1 at 12). Since
O’Laughlin’s argument has been rejected previously by the Court and he has still failed
to allege that the lack of a radiation oncologist’s performance of services is a material
precondition of payment, Counts I and II are hereby dismissed.
2.
Counts III and IV
Count III alleges that Defendants submitted claims that certified physicians were
present in the facilities where the services were rendered when they were actually not
present. (Doc. # 124 ¶ 78). Count IV pleads a related false statement claim based upon
the same allegations as Count III. (Id. ¶ 111). At the heart of these allegations is the
claim that no physician provided the services described in the billing codes, no physician
supervised the provision of the services, and no physician was on the premises at the
time. (Doc. # 124 ¶¶ 79-80). Defendants retort that only two of the billing codes alleged
represent a service with any professional component. (Docs. # 125 at 19-20 and 135 at
5-7). O’Laughlin simply responds, in four sentences, that the Third Amended Complaint
corrects the deficiency the Court articulated in its 2020 Order by alleging that no physician
performed the billed-for services nor was on the premises, as opposed to only the specific
named physician on the insurance claim. (Doc. # 131 at 17).
Unfortunately for O’Laughlin, he fails to provide any relevant regulations or federal
law that support his argument; instead, he simply alleges that “these false statements
were material and pre-conditions of payment from the Medicare and Medicaid programs.”
8
(Id.). O’Laughlin has been given several opportunities to amend his complaint, so the
Court will not accept bare-bones assertions as adequate to state a claim. Sanderson,
447 F.3d at 876. Moreover, Defendants argue that the only two codes listed in these
counts with professional components need not be performed on the premises since they
require the interpretation of radiological procedures; O’Laughlin offers no response to
these arguments. (Doc. # 125 at 20); see Conrad v. U.S. Bank Nat'l Ass'n, 391 F. Supp.
3d 780, 791-92 (S.D. Ohio 2019) (noting that because plaintiff did not respond in any way
to defendants’ argument that a claim should be dismissed, plaintiff concedes the point
and waives opposition to dismissal). O’Laughlin has likewise waived his opposition to
dismissal of these counts by failing to respond to Defendants’ argument. Accordingly,
Counts III and IV are dismissed.
3.
Counts V and VI
Count V alleges that Medicare pays only 85% of the physician rate of a service
performed by a physician’s assistant or a nurse practitioner.
(Doc. # 124 ¶ 119).
O’Laughlin further alleges that Defendants billed for chemotherapy services as if they
were provided by a physician, when in fact they were neither provided by nor directly or
personally supervised by a physician. (Id. ¶ 121). Count VI pleads a related false
statement claim based upon the same allegations as Count V. (Id. ¶ 164). Defendants
argue that chemotherapy is reimbursable even when regularly performed and supervised
by non-physicians (Doc. # 125 at 21-22); O’Laughlin agrees this is per se true but that the
claims would be paid at 85% of the physician rate, instead of the full amount, unless the
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services were provided “incident-to” the physician’s services. (Doc. # 131 at 10-11).3
Defendants further argue that the relevant chemotherapy services are not
“incident-to” professional services under 42 C.F.R. § 410.26(b), which allows for
reimbursement of services incident to the service of a physician or other practitioner.
(Doc. # 125 at 22-23).4 Instead, Defendants assert that chemotherapy is a service
performed by auxiliary personnel such as nurse practitioners and physician assistants.
(Doc. # 135 at 11-12). Defendants cite to CMS’s guidance in Medicare Carriers’ Manual
Transmittal 1776 under Headnote 15400(D):
On days when a patient receives chemotherapy administration but the
physician has no face-to-face contact with the patient, the physician may
report and be paid for “incident to” services furnished by one of the
physician’s employees, in addition to the chemotherapy administration, if
they are furnished under direct personal supervision in the office by one of
the physician’s employees and the medical records reflect the physician’s
active participation in and management of the course of treatment.
(emphasis added).
However, Defendants fail to adequately support either that the services are
incident-to professional services or that they are exempt from the billing cap because they
Indeed, O’Laughlin’s own source reinforces that “chemotherapy supervision in the
freestanding setting, [] can be performed by either a physician or an [advanced practitioner].”
Advisory Board, What You Need to Know About Medicare’s Physician Supervision Requirements,
March
29,
2018,
https://www.advisory.com/blog/2018/03/what-you-need-to-know-aboutmedicares-physician-supervision-requirements. Nurse practitioners and physician assistants
“are also known outside of the Medicare program by other names, such as advanced practice
practitioners.” Emily Jane Cook and Caroline Reignley, CMS Proposes New Regulation to Clarify
Physician and NPP “Split (or Shared)” Billing Policy, JDSupra July 16, 2021,
https://www.jdsupra.com/legalnews/cms-proposes-new-regulation-to-clarify3157466/#:~:text=NPPs%20generally%20include%20nurse%20practitioners,advanced%20prac
tice%20practitioners%20(APPs).
3
Under 42 C.F.R. § 410.26, a practitioner “means a non-physician practitioner who is
authorized by the Act to receive payment for services incident to his or her own services.” Under
42 C.F.R. §§ 410.74(b) and 410.75(d), services furnished incident to the services of a nurse
practitioner and physician’s assistant are covered.
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are performed by auxiliary personnel. The above quote discusses incident-to services
billed by a physician. For services furnished by a non-physician that are “incident-to” a
physician or other practitioner’s services they “must be furnished under the appropriate
level of supervision by a physician (or other practitioner.)” See 42 C.F.R. §§ 410.26 and
410.75(d). There are three levels of supervision: general, direct, and personal. 42 C.F.R.
§§ 410.26(a)(2)-(3) and 42 C.F.R. § 410.32(b)(3). Therefore, if the chemotherapy services
in question were incident-to physician services, a physician would have to at least be
present on the premises, which O’Laughlin has alleged was not the case. U.S. ex rel.
Lockyer v. Hawaii Pac. Health, 490 F. Supp. 2d 1062, 1073 (D. Haw. 2007), aff'd in part
sub nom. U.S. ex rel. Lockyer v. Hawaii Pac. Health Grp. Plan for Emps. of Hawaii Pac.
Health, 343 F. App'x 279 (9th Cir. 2009) (“Both parties seem to agree that under the
incident to rules, services administered by a non-physician are only eligible for Medicare
payment if there is a supervising physician in the same office suite where the services are
furnished, and who is immediately available to provide assistance.”).
But, Defendants are correct that nurse practitioners and physician assistants also
qualify as “other practitioners” and can be the party supervising the incident-to services,
as discussed above. While they can supervise the services, O’Laughlin is correct that the
amount billed “may not exceed 85 percent of the physician fee schedule amount for the
service.” 42 C.F.R. §§ 414.56(c) and 405.520(a).
Additionally, Defendants’ argument that “chemotherapy is a service performed by
auxiliary personnel” and that physician supervision is not necessary may be true, but it
does not refute the argument that those services would be capped at the amount they are
reimbursed.
(Doc. # 135 at 12).
The Third Amended Complaint alleges that the
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chemotherapy services were billed as if they were provided by physicians when they were
actually provided by non-physicians (Doc. # 124 ¶ 121), and if that is true, the amount
reimbursed would have been higher than what was allowed by the 85% reimbursement
cap on physician assistant and nurse practitioner services. O’Laughlin specifically alleges
amounts overpaid by insurance carriers for these insurance claims and that they would
not have been paid at a certain physician rate had the insurance carriers known that nonphysicians were providing the services.
(Id. ¶¶ 132-133, 140-141, 148-149, 156).
Therefore, considering the allegations in Count V and VI in the light most favorable to
O’Laughlin as the non-moving party, he has adequately stated a claim for relief. Ibanez,
874 F.3d at 914. Accordingly, Defendants’ Motion to Dismiss is denied as to Count V and
VI and they may proceed with discovery on those Counts.
4.
Count VII
Count VII alleges that Defendants submitted false claims related to simulation
services, which is a clinical process used to establish radiation treatment locations and
volume. (Doc. # 124 ¶¶ 171-174). O’Laughlin specifically alleges that Defendants failed
to meet the documentation requirements for the relevant simulation billing codes
submitted, such as the treating physician preparing a written record of the procedure as
well as a copy of reviewed images with the physician’s signature. (Id. ¶¶ 177-179).
Defendants counter that CMS policy contains no reference to these requirements
as preconditions of payment and cite to a Medicare Administrative Contractor’s (“MAC”)
guidance on the issue. (Doc. # 125 at 18). While the MAC website establishes that
certain radiological services do require signed and dated documentation, the simulation
codes referenced by O’Laughlin only require documentation of the medical necessity of
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the treatment. Noridian Healthcare Solutions, Radiation Oncology, January 29, 2021,
http://med.noridianmedicare.com/web/jfb/specialties/radiation-oncology#documentation.
O’Laughlin responds with citations to several sources but only one of which
supports his argument that the documentation outlined in the Third Amended Complaint
is necessary. (Doc. # 131 at 18-20).5 O’Laughlin cites to a transmittal from a private
healthcare organization, National Imaging Associates Inc. (“NIA”), titled “Coverage
Indications, Limitations, and/or Medical Necessity.” (Doc. # 131 at 19) (citing Doc. # 664 at 6).
While O’Laughlin is correct that the transmittal states “[d]ocumentation of
simulation requires a written record of the procedure and hard copy of a[n] x-ray film or
electronic images and evidence of image review of physicians including signature or
initials and data review,” it is unclear from where NIA obtained this information, who
requires this information, and if it is a precondition for payment of claims. There is no
citation to any CMS policy or guidance that would make the alleged documentation
requirements a material precondition of payment. Accordingly, Count VII is dismissed.
5.
Count VIII
Count VIII alleges a conspiracy claim related to all the previous counts. (Doc. #
124 ¶¶ 190-195). Defendants argue that since all the counts in the Third Amended
Complaint should be dismissed, this count should also be dismissed. (Doc. # 125 at 24).
O’Laughlin responds that it logically follows that if any count survives, the conspiracy
claim must also survive. (Doc. # 131 at 20-21).
The other sources cited by O’Laughlin in his Response merely support the requirement
that documentation of medical necessity is mandatory for claim reimbursement, a premise to
which Defendants have agreed. (See Doc. # 131 at 18-20). However, O’Laughlin does not allege
that any of the submitted claims lacked medical necessity nor that medical necessity was not
documented.
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13
O’Laughlin is correct that he has adequately alleged a conspiracy on the face of
the Third Amended Complaint. For a conspiracy to exist in the FCA context, “a relator
[must] plead facts showing that there was a plan or agreement ‘to commit a violation of’
one or more of the FCA subsections . . . they must show an agreement was made in order
to violate the FCA.” Ibanez, 874 F.3d at 917. Here, O’Laughlin specifically alleges that
each Defendant engaged in the conspiracy to present false claims as to the only surviving
counts: Count V (Doc. # 124 ¶ 120) and Count VI (id. ¶ 165). O’Laughlin alleges the
specifics of the conspiracy as well: that the physicians prepared the service forms and
that A One Biz converted the information into a viable claim through manipulating the
information to pass review (id. ¶ 40). If these allegations are taken as true, then this would
likely amount to conspiracy. Thus, the conspiracy claim survives as to Count V and VI.
Defendants’ Motion to Dismiss as to Count VIII is therefore denied.
III.
CONCLUSION
For the reasons set forth herein, IT IS ORDERED that:
(1)
Defendants’ Motion to Dismiss Relator’s Third Amended Complaint (Doc. #
125) is GRANTED in part and DENIED in part in that the only surviving claims are
Counts V, VI, and VIII;
(2)
Defendants’ Motion to Stay Discovery (Doc. # 126) is DENIED; and
(3)
The parties shall file a proposed discovery plan on the remaining Counts
within twenty (20) days from the date of entry of this Order
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This 23rd day of November, 2022.
K:\DATA\ORDERS\Ashland Civil\2016\16-148 MOO re Third MTD.docx
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