DEPARTMENT OF LICENSING AND REGULATORY AFFAIRS
BOARD OF PHARMACY
PHARMACY – CONTROLLED SUBSTANCES
Filed with the secretary of state on
These rules take
effectbecome effective immediately uponafter filing
with the
secretary of state unless adopted under section 33, 44, or 45a(9) of the administrative procedures act of 1969, 1969 PA 306, MCL 24.233, 24.244, or 24.245a. Rules adopted under these sections become effective 7 days after filing with the secretary of state.
(By authority conferred on the director of the department of licensing and regulatory affairs and the board of pharmacy by sections 7106, 7109, 7203, 7216, 7301, 7303, 7303a, 7321, 7333, 7333a, and 17754 of the public health code, 1978 PA 368, MCL 333.7106, 333.7109, 333.7203, 333.7216, 333.7301, 333.7303, 333.7303a, 333.7321, 333.7333, 333.7333a, and 333.17754, and Executive Reorganization Order Nos. 1991-9, 1996-2, 2003-1, and 2011-4, MCL 338.3501, 445.2001, 445.2011, and 445.2030)
R 338.3101, R 338.3102, R 338.3104, R 338.3111, R 338.3132, R 338.3135,
R 338.3141, R 338.3143, R 338.3145, R 338.3151, R 338.3153, R 338.3153a,
R 338.3154, R 338.3161, R 338.3161a, R 338.3162, R 338.3162a, R 338.3162b,
R 338.3162c, R 338.3162d, R 338.3164, R 338.3165, R 338.3166,
R 338.3167, R 338.3170, R 338.3181, R 338.3183, and R 338.3185, of the Michigan Administrative Code are amended, and R 338.3137 and R 338.3163 are rescinded, as follows:
PART 1. GENERAL PROVISIONS
R 338.3101 Definitions; A to H.
Rule 1. As used in these rules:
(a) “ASAP” means the American Society for Automation in Pharmacy.
(ab) “Automated device” means a
mechanical system that performs an operation or activity, other than
compounding or administration, relating to the storage, packaging, dispensing,
or delivery of a drug and that collects, controls, and maintains transaction information.
(bc) “Board” means the board of pharmacy.
(d) “CMS” means the United States Centers for Medicare and Medicaid Services.
(ce) “Code” means the public health code,
1978 PA 368, MCL 333.1101 to 333.25211.
(f) “CSA” means the controlled substances act, Public Law 91-513.
(g) “DEA” means the United States Drug Enforcement Administration.
(dh) "Department" means the
department of licensing and regulatory affairs (LARA).
(ei) "Electronic signature" means
an electronic sound, symbol, or process attached to or logically associated
with a record and executed or adopted by an individual with the intent to sign
the record. An electronic signature also is a unique identifier protected by
appropriate security measures such that it is only available for
use by the intended individual and ensures nonrepudiation so that the signature
may not be rejected based on its validity.
(j) “FDA” means the United States Food and Drug Administration.
(k) “FDCA” means the Federal Food, Drug, and Cosmetic Act, 21 USC 301 to 399g.
R 338.3102 Definitions; I to P.
Rule 2. As used in these rules:
(a) "Inventory" means all stocks in finished form of a controlled substance that are manufactured or otherwise acquired by a licensee, whether in bulk or commercial containers or contained in pharmaceutical preparations in the possession of the licensee.
(b) "Licensee" means a person who that
is licensed pursuant tounder section 7303 of the code, MCL
333.7303.
(c) “MAPS” means the Michigan automated prescription system.
(cd) "Michigan automated
prescription system (MAPS) claim form" means a form, to be
determined by the department, that is in the format and includes the
information as specified by the American Society for Automation in Pharmacy
(ASAP) 4.15.0 Standard for Prescription Drug
Monitoring Programs and contains the information specified in R 338.3162b.
(e) "Medical institution" means that term as defined in R 338.486.
(df) "NDC” means a National
national drug code number (NDC)" means a number that
identifies the labeler, vendor, product, and package size and is
assigned to each drug product listed under section 510 Registration of
Producers of Drugs and Devices, of the Federal Food, Drug, and Cosmetic
Act (of the FDCA, ) of 2017, 21 USC 36021
USC 360.
(eg) "Officer" means a federal,
state, county, or local law enforcement officer who enforces the laws of this
state.
(fh) "Patient
identifier" means all of the following information about a patient:
(i) Full name.
(ii) Address, including zip code.
(iii) Date of birth.
(iv) Any 1One of the following
identification numbers:
(A) A state-issued driver's license number obtained from a state-issued driver’s license.
(B) A state-issued identification number obtained from a state-issued photo identification card.
(C) A federal passport number obtained from a federal passport.
(D) A tribal government identification number obtained from a tribal government issued identification.
(DE) The number zero. Zeroes must be
entered as the identification number, if the positive identification presented
for the patient or client does not include a license number, identification
number, or passport number as listed in subparagraphs (A) to (C) of this
paragraph, the patient is under the age of 16, or the animal’s owner cannot be
identified.
(h) "Medical institution" means the term as
defined in R 338.486.
(i) "Pharmacy services" means the direct and
indirect patient care services associated with the practice of pharmacy,
as defined in section 17707 of the code, MCL 333.17707.
R 338.3104 Definitions; R, S.
Rule 4. As used in these rules:
(a) "Readily retrievable" means a record whichthat
is keptmaintained so that it and can be separated
from all other records within 48 hours and in whichis a listed
controlled substance that is marked with an asterisk, redlined, or in
some other manner visually identifiable apart from the other substances listed
in the record.
(b) "Substance" means a controlled substance unless the context indicates otherwise.
PART 2. SCHEDULES
R 338.3111 Schedules; federal controlled substance schedules adopt by reference;
exceptions.
Rule 11. (1) The board approves and adopts by reference
the complete list of drugs and other substances that are considered controlled
substances under the Controlled Substance Act (CSA) of 1970,
21 USC 801, that have been divided into 5 schedules as published in 21 CFR
1308.11 to 1308.15, except for the following:
(a) those drugsDrugs or other
substances specifically scheduled, rescheduled, or descheduled excepted
by this state’s laws enacted after the effective date of these rulesJanuary
6, 2022. or as
(b) Drugs listed in subrule (3) of this rule, which are scheduled differently than scheduled in 21 CFR 1308.11 to 1308.15.
(2) The standards adopted by reference in subrule (1) of
this rule are available at no cost at https://www.deadiversion.usdoj.gov/21cfr/cfr/2108cfrt.htm
https://www.ecfr.gov/current/title-21/chapter-II/part-1308, or at 10
cents per page from the Board of Pharmacy, Bureau of Professional
Licensing, Michigan Department of Licensing and Regulatory Affairs, Ottawa
Building, 611 West Ottawa, P.O. Box 30670, Lansing, Michigan 48909.
(3) The following drugs and other substances are scheduleddesignated
as a schedule 1, 2, 3, 4, or 5 drug, as follows:
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(a) Synthetic cannabinoid: Includes a material, compound, mixture, or preparation that is not otherwise listed as a controlled substance in this schedule or in schedules 2 to 5, is not approved by the FDA as a drug, and contains a quantity of the following substances, their salts, isomers (whether optical, positional, or geometric), homologues (analogs), and salts of isomers and homologues (analogs), unless specifically excepted, whenever the existence of these salts, isomers, homologues (analogs), and salts of isomers and homologues (analogs) is possible within the specific chemical designation: (i) A compound containing a 3-(1-naphthoyl)indole structure, also known as napthoylindoles, with substitution at the nitrogen atom of the indole ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the indole ring to an extent and whether or not substituted on the naphthyl ring to an extent. Examples of this structural class include, but are not limited to, JWH-007, JWH-015, JWH-018, JWH-019, JWH-073, JWH-081, JWH-122, JWH-200, JWH-210, JWH-398, AM-1220, AM-2201, and WIN-55, 212-2. (ii) A compound containing a 1H-indol-3-yl-(1-naphthyl)methane structure, also known as napthylmethylindoles, with substitution at the nitrogen atom of the indole ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the indole ring to an extent and whether or not substituted on the naphthyl ring to an extent. Examples of this structural class include, but are not limited to, JWH-175 and JWH-184. (iii) A compound containing a 3-(1-naphthoyl)pyrrole structure, also known as naphthoylpyrroles with substitution at the nitrogen atom of the pyrrole ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2- piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the pyrrole ring to an extent and whether or not substituted on the naphthyl ring to an extent. Examples of this structural class include, but are not limited to, JWH-370 and JWH-030. (iv) A compound containing a naphthylideneindene structure with substitution at the 3-position of the indene ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the indene ring to an extent and whether or not substituted on the naphthyl ring to an extent. Examples of this structural class include, but are not limited to, JWH-176. (v) A compound containing a 3-phenylacetylindole structure, also known as phenacetylindoles, with substitution at the nitrogen atom of the indole ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the indole ring to an extent and whether or not substituted on the phenyl ring to an extent. Examples of this structural class include, but are not limited to, RCS-8 (SR-18), JWH-250, JWH-203, JWH-251, and JWH-302. (vi) A compound containing a 2-(3-hydroxycyclohexyl)phenol structure, also known as cyclohexylphenols, with substitution at the 5-position of the phenolic ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not substituted on the cyclohexyl ring to an extent. Examples of this structural class include, but are not limited to, CP-47,497 (and homologues(analogs)), cannabicyclohexanol, and CP-55,940. (vii) A compound containing a 3-(benzoyl)indole structure, also known as benzoylindoles, with substitution at the nitrogen atom of the indole ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the indole ring to an extent and whether or not substituted on the phenyl ring to an extent. Examples of this structural class include, but are not limited to, AM-694, pravadoline (WIN-48,098), RCS-4, AM-630, AM-679, AM-1241, and AM-2233. (viii) A compound containing a 11-hydroxy-/\8-tetrahydrocannabinol structure, also known as dibenzopyrans, with further substitution on the 3-pentyl group by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkyethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group. Examples of this structural class include, but are not limited to, HU-210, JWH-051, JWH-133. (ix) A compound containing a 3-(1-adamantoyl)indole structure, also known as adamantoylindoles, with substitution at the nitrogen atom of the indole ring by an alkyl, haloalkyl, alkenyl, cycloalkylmethyl, cycloalkylethyl, 1-(N-methyl-2-piperidinyl)methyl, or 2-(4-morpholinyl)ethyl group, whether or not further substituted on the adamantyl ring system to an extent. Examples of this structural class include, but are not limited to, AM-1248. (x) A synthetic chemical compound that is a cannabinoid receptor agonist and mimics the pharmacological effect of naturally occurring cannabinoids that is not listed in schedules 2 through 5 and is not approved by the FDA as a drug. |
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(b) Synthetic cathinone: Includes a material, compound, mixture, or preparation that is not otherwise listed as a controlled substance in this schedule or in schedules 2 through 5, is not approved by the FDA as a drug, and contains a quantity of the following substances, their salts, isomers (whether optical, positional, or geometric), homologues (analogs), and salts of isomers and homologues (analogs), unless specifically excepted, whenever the existence of these salts, isomers, homologues (analogs), and salts of isomers and homologues (analogs) is possible within the specific chemical designation: (i) A compound containing a 2-amino-1-propanone structure with substitution at the 1-position with a monocyclic or fused polycyclic ring system and a substitution at the nitrogen atom by an alkyl group, cycloalkyl group, or incorporation into a heterocyclic structure. Examples of this structural class include, but are not limited to, dimethylcathinone, ethcathinone, and alpha-pyrrolidinopropiophenone. (ii) A compound containing a 2-amino-1-propanone structure with substitution at the 1-position with a monocyclic or fused polycyclic ring system and a substitution at the 3-position carbon with an alkyl, haloalkyl, or alkoxy group. An example of this structural class includes, but is not limited to, naphyrone. (iii) A compound containing a 2-amino-1-propanone structure with substitution at the 1-position with a monocyclic or fused polycyclic ring system and a substitution at a position of the ring system with an alkyl, haloalkyl, halogen, alkylenedioxy, or alkoxy group, whether or not further substituted at a position on the ring system to an extent. Examples of this structural class include, but are not limited to, mephedrone, methylone, and 3-fluoromethylone. |
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(c) Ephedrine: A salt of ephedrine, an optical isomer of ephedrine, a salt of an optical isomer of ephedrine, or a compound, mixture, or preparation containing ephedrine, a salt of ephedrine, an optical isomer of ephedrine, or a salt of an optical isomer of ephedrine except for both the following: (i) A product containing ephedrine, a salt of ephedrine, an optical isomer of ephedrine, or a salt of an optical isomer of ephedrine is not included in schedule 5 if the drug product meets all of the following criteria: (A) May lawfully be sold over the counter without a prescription under federal law. (B) Is labeled and marketed in a manner consistent with the pertinent over-the-counter tentative final or final monograph. (C) Is manufactured and distributed for legitimate medical use in a manner that reduces or eliminates the likelihood for abuse. (D) Is not marketed, advertised, or labeled for an indication of stimulation, mental alertness, energy, weight loss, appetite control, or muscle enhancement. (E) The drug product is 1 of the following: (I) A solid dosage form, including, but not limited to, a soft gelatin caplet that combines as active ingredients not less than 400 milligrams of guaifenesin and not more than 25 milligrams of ephedrine per dose and is packaged in blister packs with not more than 2 tablets or caplets per blister. (II) An anorectal preparation containing not more than 5% ephedrine. (ii) A food product or a dietary supplement containing ephedrine, if the food product or dietary supplement meets all of the following criteria: (A) Contains, per dosage unit or serving, not more than the lesser of 25 milligrams of ephedrine alkaloids or the maximum amount of ephedrine alkaloids in applicable regulations adopted by the FDA and contains no other controlled substance. (B) Does not contain hydrochloride or sulfate salts of ephedrine alkaloids. (C) Is packaged with a prominent label securely affixed to each package that includes all of the following: (I) The amount in milligrams of ephedrine in a serving or dosage unit. (II) The amount of the food product or dietary supplement that constitutes a serving or dosage unit. (III) That the maximum recommended dosage of ephedrine for a healthy adult human is the lesser of 100 milligrams in a 24-hour period or the maximum recommended dosage or period of use in applicable regulations adopted by the FDA. (IV) That improper use of the product may be hazardous to an individual’s health. |
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(d) Isomers: The definition of the term “isomer” used in 21 CFR 1308.11, schedule 1, is modified to include any optical, positional, or geometric isomer. The definition of “isomer” used in 21 CFR 1308.12 to 1308.15, schedules 2 to 5, remains as set forth in 21 CFR 1300. |
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(e) Marijuana: As that term is defined in section 3 of the Michigan Regulation and Taxation of Marihuana Act, 2018 IL 1, MCL 333.27953, and pharmaceutical-grade cannabis, as that term is defined in section 8105 of the code, MCL 333.8105, if it is manufactured, obtained, stored, dispensed, possessed, grown, or disposed of in compliance with the code but only for the purpose of treating a debilitating medical condition, as that term is defined in section 3 of the Michigan Medical Marihuana Act, 2008 IL 1, MCL 333.26423, and as allowed under the code. |
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(f) Salvia divinorum: All parts of the plant presently classified botanically as Salvia divinorum, whether growing or not; the leaves and seeds of that plant; an extract from a part of that plant; and every compound, salt, derivative, mixture, or preparation of that plant or its leaves, seeds, or extracts. |
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(g) Salvinorin A |
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(h) Tianeptine sodium: By whatever official, common, usual, chemical, or brand name designated. |
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(a) Marijuana including pharmaceutical-grade
cannabis, as those terms are defined in parts 71 and 81 of the code, MCL
333.7101 to 333.7125 and MCL 333.8101 to 333.8119, is a schedule 2 controlled
substance if it is manufactured, obtained, stored, dispensed, possessed, grown,
or disposed of in compliance with the code and as allowed by federal authority
but only for the purpose of treating a debilitating medical condition as that
term is defined in section 3(b) of the Michigan medical marihuana act, 2008 IL
1, MCL 333.26423, and as allowed under the code.
(b) Tianeptine sodium by whatever official, common,
usual, chemical, or brand name designated is a schedule 2 controlled substance.
(c) Gabapentin by whatever official, common, usual,
chemical, or brand name designated is a schedule 5 controlled substance.
(d) Loperamide is not a scheduled controlled
substance in this state.
(e) Pentazocine is a schedule 4 controlled substance.
(f) Brorphine is a schedule 1 controlled substance.
(g) Except in subdivision (h) of this subrule,
ephedrine, a salt of ephedrine, an optical isomer of ephedrine, a salt of an
optical isomer of ephedrine, or a compound, mixture, or preparation containing
ephedrine, a salt of ephedrine, an optical isomer of ephedrine, or a salt of an
optical isomer of ephedrine is included in schedule 5.
(h) A product containing ephedrine, a salt of
ephedrine, an optical isomer of ephedrine, or a salt of an optical isomer of
ephedrine is not included in schedule 5 if the drug product meets all of the
following criteria:
(i) May lawfully be sold over the counter without a
prescription under federal law.
(ii) Is labeled and marketed in a manner consistent
with the pertinent over-the- counter tentative final or final monograph.
(iii) Is manufactured and distributed for
legitimate medical use in a manner that reduces or eliminates the likelihood
for abuse.
(iv) Is not marketed, advertised, or labeled for an
indication of stimulation, mental alertness, energy, weight loss, appetite
control, or muscle enhancement.
(v) The drug product is 1 of the following:
(A) A solid dosage form, including, but not
limited to, a soft gelatin caplet that combines as active ingredients not less
than 400 milligrams of guaifenesin and not more than 25 milligrams of ephedrine
per dose and is packaged in blister packs with not more than 2 tablets or
caplets per blister.
(B) An anorectal preparation containing not
more than 5% ephedrine.
(C) A food product or a dietary supplement
containing ephedrine, if the food product or dietary supplement meets all of
the following criteria:
(I) Contains, per dosage unit or serving,
not more than the lesser of 25 milligrams of ephedrine alkaloids or the maximum
amount of ephedrine alkaloids in applicable regulations adopted by the Federal
Food and Drug Administration (FDA) and contains no other controlled substance.
(II) Does not contain hydrochloride or sulfate
salts of ephedrine alkaloids.
(III) Is packaged with a prominent label
securely affixed to each package that includes all of the following:
(1) The amount in milligrams of ephedrine
in a serving or dosage unit.
(2) The amount of the food product or
dietary supplement that constitutes a serving or dosage unit.
(3) That the maximum recommended dosage of
ephedrine for a healthy adult human is the lesser of 100 milligrams in a
24-hour period or the maximum recommended dosage or period of use in applicable
regulations adopted by the FDA.
(4) That improper use of the product may
be hazardous to an individual’s health.
PART 3. LICENSES
R 338.3132 Controlled substance license.
Rule 32. (1) A person whothat manufactures,
distributes, prescribes, or dispenses a controlled substance in this state or who
proposes to engage in the manufacture, distribution, prescribing, or dispensing
of a controlled substance in this state shall apply for a controlled substance
license by submitting to the department a completed application on a form
provided by the department along with the requisiterequired fee.
(2) In addition to meeting the requirements of section
7303 of the code, MCL 333.7303, an applicant’s license shallmust be
verified by the licensing agency of anya state of the United
States in whichwhere the applicant holds or has ever held a
controlled substance license. This includes, but is not limited to, showing
proof of any disciplinary action taken or pending against the applicant.
(3) Except as otherwise provided in subrules (8) and (9) of this rule, a separate controlled substance license is required in each of the following circumstances:
(a) For each principal place of business or professional practice where the applicant stores, manufactures, distributes, prescribes, or dispenses controlled substances.
(b) Manufacturing and distributing a controlled substance listed in schedules 2-5. An individual, partnership, cooperative, association, private corporation, other legal entity, or governmental entity that is licensed in this state to manufacture a controlled substance listed in schedules 2 to 5 may also conduct chemical analysis and research with a substance that is listed in the schedules under the same controlled substance license.
(c) Dispensing a controlled substance listed in schedules 2 to 5. A prescriber or practitioner who is licensed in this state to prescribe or dispense controlled substances listed in schedules 2 to 5 may also prescribe, dispense, administer, and conduct research with those substances under the same controlled substance license.
(d) Conducting research and instructional activity with a controlled substance listed in schedule 1. An individual, partnership, cooperative, association, private corporation, other legal entity, or governmental entity that is licensed in this state to conduct research with controlled substances listed in schedule 1 may do both of the following:
(i) Manufacture the specific substances as set forth in
the research protocol that is submitted to the department with the
application for licensure and filed and approved by the FDA and the DEA pursuant
tounder the provisions of 21 CFR 1301.18 and submitted to
the department with the application for licensure.
(ii) Distribute the specific substances to others who are licensed by this state to conduct research or chemical analysis with the schedule 1 substances.
(e) Conducting research with a controlled substance
listed in schedules 2 to 5. An individual, partnership,
cooperative, association, private corporation, other legal entity, or
governmental entity whothat is licensed in this state to
conduct research with the controlled substances listed in schedules 2 to 5 may
also participate in all of the following activities:
(i) Conduct chemical analysis with the specific
substances listed in those schedules.
(ii) Manufacture the specific substances if, and to the extent that, the manufacture of the specific controlled substances is set forth in a statement filed with the application for licensure.
(iii) Distribute the specific substances to others whothat
are licensed in this state to conduct research, chemical analysis, or
instructional activity with the substances.
(iv) Conduct instructional activities with the specific substances.
(f) Conducting instructional activities with a specific controlled substance listed in schedules 2 to 5.
(g) Conducting chemical analysis with a controlled
substance listed in anya schedule. An individual,
partnership, cooperative, association, private corporation, other legal entity,
or governmental entity that is licensed in this state to conduct
chemical analysis with all controlled substances may manufacture the substances
for analytical or instructional purposes, distribute the substances to others whothat
are licensed to conduct chemical analysis, instructional activity or research
with the substances, and conduct instructional activities with the substances.
(h) A pharmacy stocking patient medication in an
automated device located at an affiliated hospital location pursuant tounder
section 17760 of the code, MCL 333.17760, or a hospital, county medical care
facility, nursing home, hospice, or other skilled nursing facility, as that
term is defined in section 20109 of the code, MCL 333.20109. The pharmacy
responsible for the device shall obtain an additional controlled substance
license for each location. If substances are stored at a health facility
without an onsite pharmacy or an automated device stocked by a pharmacy, a
designated prescriber shall obtain a controlled substance license for the
address where the drugs are stored. If a controlled substance is stored in
an emergency kit, a controlled substance license solely for the emergency kit
is not required by this rule.
(4) An applicant shall obtain a separate controlled
substance license for each practitioner license issued under article 15 of the
code, MCL 333.16101 to 333.18838. The controlled substance license must be
renewed whenif the license issued under article 15 licenseof
the code, MCL 333.16101 to 333.18838 is renewed and the controlled
substance license is renewed for an equal number of years as the article 15
license.
(5) An applicant who intends to conduct research involving
controlled substances shall submit all of the following with his or herthe
application required under subrule (1) of this rule:
(a) The applicant’s credentials to conduct the proposed research.
(b) The protocol and description of the nature of the
proposed research that is filed and approved by the FDA and the Federal Drug
Enforcement Administration (DEA) pursuant tothe provisions of 21 CFR 1301.18.contains
the following information:
(i) The following investigator information:
(a) Name, address, and DEA registration number, if any.
(b) Institutional affiliation.
(c) Qualifications, including a curriculum vitae and an appropriate list of publications.
(ii) The following research project information:
(a) Title of project.
(b) Statement of the purpose.
(c) Name of the controlled substance or substances involved and the amount of each needed.
(d) Description of the research to be conducted, including the number and species of research subjects, the dosage to be administered, the route and method of administration, and the duration of the project.
(e) Location where the research will be conducted.
(f) Statement of the security provisions for storing the controlled substances in accordance with R 338.3143 and for dispensing the controlled substances in order to prevent diversion.
(g) If the investigator desires to manufacture any controlled substance, a statement of the quantity to be manufactured and the sources of the chemicals to be used.
(iii) The following authorization information:
(a) Institutional approval.
(b) Approval of a Human Research Committee for human studies.
(c) Indication of an approved active Notice of Claimed Investigational Exemption for a New Drug (number).
(d) Indication of an approved funded grant (number), if any.
(c) A list of the controlled substances and doses to be used.
(6) An applicant who intends to conduct instructional
activity involving controlled substances shall submit all of the following
information with his or herthe application required under subrule
(1) of this rule:
(a) The applicant’s credentials to conduct the proposed instructional activity.
(b) A course outline for the proposed instructional activity.
(c) A list of the controlled substances and doses to be used.
(7) An applicant who intends to conduct chemical analysis
involving controlled substances shall submit all of the following information
with his or herthe application required under subrule (1) of this
rule:
(a) The applicant’s credentials to conduct the proposed chemical analysis.
(b) The protocol and description of the nature of the
chemical analysis that is filed and approved by the FDA and the DEA pursuant
to the provisions of 21 CFR 1301.18.contains the following information:
(i) The following investigator information:
(a) Name, address, and DEA registration number, if any.
(b) Institutional affiliation.
(c) Qualifications, including a curriculum vitae and an appropriate list of publications.
(ii) The following chemical analysis project information:
(a) Title of project.
(b) Statement of the purpose.
(c) Name of the controlled substance or substances involved and the amount of each needed.
(d) Description of the chemical analysis and instructional activity to be conducted, and the duration of the project.
(e) Location where the chemical analysis will be conducted.
(f) Statement of the security provisions for storing the controlled substances in accordance with R 338.3143.
(g) If the investigator desires to manufacture any controlled substance for analytical or instructional purposes, a statement of the quantity to be manufactured and the sources of the chemicals to be used.
(iii) The following authorization information:
(a) Institutional approval.
(b) Approval of a Human Research Committee for human studies.
(c) Indication of an approved funded grant (number), if any.
(c) A list of the controlled substances and doses to be used.
(8) A prescriber or practitioner who is licensed in this state to prescribe, administer, or dispense controlled substances at a principal place of business or professional practice consisting of multiple locations is not required to obtain a separate controlled substance license for each additional physical location of the business or professional practice if the prescriber or practitioner only prescribes controlled substances at each additional physical location of the business or professional practice.
(9) A pharmacist shall maintain 1 controlled substance
license in this state to dispense from anya licensed pharmacy in
this state.
R 338.3135 Opioids and other controlled substances awareness training standards for
prescribers and dispensers of controlled substances; requirements.
Rule 35. (1) An individual who is applying for or
renewing a controlled substance license or who is licensed to prescribe
or dispense controlled substances pursuant to section 7303 of the code, MCL
333.7303, shall complete a 1-time training in opioids and controlled
substances awareness before applying for the license or renewal. The
training must meet that meets the following standards:
(a) Training content must cover allboth of
the following topics:
(i) Use of opioids and other controlled substances.
(ii) Integration of treatments.
(iii) Alternative treatments for pain management.
(iv) Counseling on the effects and risks associated
with using opioids and other controlled substances.
(v) The stigma of addiction.
(vi) Utilizing the MAPS.
(viiii) State and federal laws regarding
prescribing and dispensing controlled substances.
(viii) Security features for opioids and other
controlled substances and prescriptions, and proper disposal requirements for
opioids and other controlled substances.
(b) Topics covered under subrule (1)(a)subdivision
(a) of this rulesubrule may be obtained from more than 1
program.
(c) Acceptable providers or methods of training include any
of the following:
(i) Training offered by a nationally recognized or state-recognized health-related organization.
(ii) Training offered by, or in conjunction with, a state or federal agency.
(iii) Training offered by a continuing education program or activity that is accepted by a licensing board established under article 15 of the code, MCL 333.16101 to 333.18838.
(iv) Training obtained in an educational program that has been approved by a board established under article 15 of the code, MCL 333.16101 to 333.18838, for initial licensure or registration, or by a college or university.
(d) Acceptable modalities of training include any of the
following:
(i) Teleconference or webinar.
(ii) Online presentation.
(iii) Live presentation.
(iv) Printed or electronic media.
(2) A prescriber or dispenser shallmay not
delegate, allow by a practice agreement, or order the prescribing,
or dispensing of a controlled substance as allowed by the code to an
individual, other than a physician’s assistant, only after the individual has
complied with subrulessubrule (1) and (5) of this rule. A
physician’s assistant is subject to subrules (1), (3), and (4) of this rule.
(3) The department may select and audit licensees and
request documentation of proof of completion of training. A licensee shall
maintain proof of completion of training for 3 renewal periods plus 1
additional year. If audited, anthe individual shall provide an
acceptable proof of completion of training, including either1 of
the following:
(a) A completion certificate issued by the training provider that includes the date, the provider’s name, name of the training, and the individual’s name.
(b) A self-attestation by the individual that includes the date, the provider’s name, name of the training, and the individual’s name.
(4) An individual who has been issued a controlled
substance license pursuant tounder section 7303 of the code, MCL
333.7303, shall complete the controlled substance training required by subrule
(1) of this rule, as follows:
(a) A licensee who is renewing his or hera
controlled substance license shall complete the controlled substance training
by the end of the first renewal cycle that begins after
January 4, 2019.
(b) Other than a license renewal under subdivision (a) of
this subrule, beginning September 1, 2019, the department shall not issue a
controlled substance license until anthe applicant provides proof
of having completed the controlled substance training.
(a) Use of opioids and other controlled substances.
(b) Integration of treatments.
(c) Alternative treatments for pain management.
(d) Counseling on the effects and risks associated with using opioids and other controlled substances.
(e) The stigma of addiction.
(f) Utilizing the MAPS.
(g) State and federal laws regarding prescribing and dispensing controlled substances.
(h) Security features for opioids and other controlled substances and prescriptions, and proper disposal requirements for opioids and other controlled substances.
(6) An individual who is licensed under section 7303 of the code, MCL 333.7303, to prescribe or dispense controlled substances only for research on animals, is exempt from this rule.
R 338.3137 Eliminate drug treatment program prescriber
license requirementRescinded.
Rule 37. The drug treatment program prescriber license
is eliminated.
PART 4. SECURITY
R 338.3141 Thefts and diversions.
Rule 41. (1) An applicant or licensee shall provide effective controls against theft and diversion of controlled substances.
(2) A licensee shall confirm that a person is licensed to possess a controlled substance before distributing the substance to the person.
(3) Within 1545
days ofafter completion of an investigation regarding a suspected
theft or significant loss of a controlled substance, a licensee shall notify
the department of the suspected theft or significant loss of a controlled
substance and submit a copy of the DEA theft and loss report form 106, or
equivalent document, to the department, whether or not the controlled substance
is recovered or the responsible personindividual is identified
and action is taken against him or herthe responsible individual,
and whether or not it is also reported to the DEA.
(4) A licensee shall use all of the following criteria to determine if the loss in subrule (3) of this rule is significant:
(a) The quantity of the controlled substance lost in relation to the type of business.
(b) The specific controlled substance lost.
(c) Whether the loss of the controlled substance can be associated with access to the controlled substance by specific individuals, or whether the loss can be attributed to unique activities that may take place involving the controlled substance.
(d) A pattern of loss over a specific time period, whether the loss appears to be random, and the results of efforts taken to resolve the loss.
(e) Whether the specific controlled substance is a likely candidate for diversion.
(f) Local trends and other indicators of the diversion potential of the missing controlled substance.
R 338.3143 Storage of controlled substances.
Rule 43. (1) A licensee shall store controlled substances that are listed in schedule 1 in a securely locked, substantially constructed cabinet that is anchored to a wall or the floor.
(2) A licensee shall store controlled substances that are
listed in schedules 2, 3, 4, and 5 in a securely locked, substantially
constructed cabinet, room, or cart. However, in a pharmacy, the controlled
substances may be dispersed throughout the stock of noncontrollednon-controlled
substances in a manner to obstruct the theft or diversion of controlled
substances.
R 338.3145 Employees; disqualification.
Rule 45. (1) An individual, partnership,
cooperative, association, private corporation, other legal entity, or
governmental entity whothat is licensed by the department pursuant
tounder section 7303 or 17748 of the code, MCL 333.7303,
or section 17748 of the code, MCL or 333.17748, shall not employ
or utilize, with or without compensation, or allow the following individuals
access to controlled substances:
(a) An individual who the licensee knows, or should
reasonably should know, to behas a substance abuseruse
disorder, as that term is defined in section 16106a1100d of
the mental health code, 1974 PA 258, MCL 333.16106a330.1100d.
This subdivision does not apply to a licensee enrolled in the health
professional recovery program under a current monitoring agreement.
(b) An individual whose controlled substance license is suspended, revoked, or denied.
(c) An individual whose license issued by this state or another state is under suspension or revoked for a violation that involves controlled substances.
(d) An individual who has been convicted of a crime that
involves controlled substances and who is currently under sentence for
that conviction.
(2) A licensee shall not delegate, pursuant tounder
section 16215 of the code, MCL 333.16215, to a licensed or unlicensed
individual unless the delegation complies with this rule.
PART 5. RECORDS
R 338.3151 Inventories.
Rule 51. (1) An individual, partnership, cooperative, association, private corporation, other legal entity, or governmental entity licensed to manufacture, distribute, prescribe, or dispense controlled substances shall annually perform and maintain a complete and accurate inventory of all stocks of controlled substances in the possession and control of the licensee.
(2) The inventory must contain a complete and accurate record of all controlled substances in the possession or control of the licensee on the date the inventory is taken as follows:
(a) If the substance is listed in schedule 1 or 2, then
the licensee shall make an exact count or measure of the contents.
(b) If the substance is listed in schedule 3, 4, or 5, then
the licensee shall make an estimatedestimate the count
or measure of the contents, but if the container holds more than 1,000 dosage
units, then the licensee shall make an accurate account of the contents.
(3) A licensee shall make a separate inventory for each
licensed location on the date that he or shethe licensee first
engages in the activity covered by his or herthe license,
including a change of a pharmacist in charge. The beginning inventory record
for a licensed location shallmust be keptmaintained
at the licensed location and a copy shallmust be forwarded to the
department uponon request.
(4) A licensee shall indicate on the inventory record whether the inventory was taken at the opening or closing of the day that the inventory is taken.
(5) A licensee shall maintain the inventory in a written, typewritten, or printed form at the licensed location. The inventory taken by use of an oral recording device must be promptly transcribed.
(6) A licensee shall sign and date the inventory record.
(7) A licensee's printed name, address, and DEA number shallmust
be recorded on the inventory.
(8) Schedule 2 drugs must be separated on the inventory from all other drugs.
(9) A licensee that is open for 24 hours shall indicate the time that the inventory was taken.
(10) On the effective date of the addition of a controlled
substance to a schedule, which substance that was not previously
listed in anya schedule, a licensee who possesses the substance
shall take an inventory of all stocks of the substance on hand and incorporate
it in the current inventory. Thereafter, the The substance shallmust
be included in each subsequent inventory taken.
R 338.3153 Invoices, acquisition, dispensing, administration, and distribution records.
Rule 53. (1) For 2 years, a licensee shall maintain
in the pharmacy responsible for the automated device, for review by the
department, an agency, or the board, all records for controlled substances,
including invoices, and acquisition records, and sales receipts,
as follows:
(a) A licensee may keep acquisition records, except for executed or voided DEA 222 order forms, in an electronic form at a central location with notice to the department.
(b) A licensee shall maintain invoices and other acquisition records of all controlled substances listed in schedules 1 and 2 in a separate file from invoices and other acquisition records of controlled substances listed in schedules 3, 4, and 5. The information must be readily retrievable from the ordinary acquisition records maintained by the dispenser.
(c) A licensee shall retain sales receipts for 90 days
in electronic or paper form.
(dc) A licensee shall initial or
electronically initial the invoice and indicate the date that the controlled substances
are received.
(2) A licensee shall maintain in the pharmacy for review by the department, an agency, or the board, patient sales receipts and dispensing records as follows:
(a) A licensee shall retain patient sales receipts for 90 days in electronic or paper form.
(e)(b) A licensee shall keep a record, which
may be electronic, of all controlled substances dispensed by him or herthe
licensee.
(f)(c) A licensee that prescribes
controlled substances shall keep a record separate from the patient chart whichthat
contains all of the following information for controlled substances dispensed
or administered by the prescriber:
(i) Name of the patient.
(ii) Name and strength of the controlled substance.
(iii) Quantity of the controlled substance.
(iv) Date the controlled substance was dispensed or administered.
(v) Name of the individual who dispensed or administered the controlled substance.
(g)(d) Except in medical institutions, a
licensee shall sequentially number and maintain in chronological order the
patients’ original prescriptions as follows:
(i) A licensee shall maintain a separate file for dispensed substances listed in schedule 2.
(ii) A licensee shall maintain a separate file for dispensed substances listed in schedules 3, 4, and 5.
(h)(3) TheA licensee shall
keep the original prescription record on-site for 5 years fromafter
the last date of dispensing. However, after 2 years fromafter
the last date of dispensing, if an electronic duplicate is made of the
original paper prescription, which becomes the original prescription, the
original prescription may be destroyeda licensee may make an electronic
duplicate of the original paper prescription, which becomes the original
prescription.
(i)(4) A licensee shall maintain records of
controlled substances distributed to another licensee, which shall
that must include all of the following information and be maintained in
the appropriate file described in subdivisionsubrule (1)(b)
of this rule or in a separate record that is available for inspection:
(ia) Name, address, and DEA number of
receiver.
(iib) Name, address, and DEA number of
supplier.
(iiic) Name and quantity of the controlled
substances distributed.
(ivd) Date the controlled substances were
distributed.
(j5) A DEA 222 order form must be used for
schedule 2 drugs.
(k) Except for controlled substance prescriptions
pursuant to subdivision (h) of this rule, a licensee shall maintain controlled
substances records for 2 years.
R 338.3153a Medication orders for patients in medical institutions.
Rule 53a. (1) A licensee shall include all of the following information in a prescription for controlled substance medications to be dispensed for administration to an inpatient in a medical institution:
(a) The patient's name.
(b) The prescriber's name, address, and DEA number. In place of including the address and DEA number on each medication order, the pharmacy may maintain a separate list of prescribers. The list must contain the prescriber's name, address, and DEA number.
(c) The prescriber's signature.
(d) The name, dose, and frequency of administration of the medication.
(e) The date of the medication order.
(2) If alternative therapy has been evaluated and the
immediate administration of a controlled substance, including a schedule 2
medication, is necessary for the proper treatment of a patient, then a
pharmacist may dispense the controlled substance for administration to the
inpatient if all of the following conditions are metsatisfied:
(a) The oral order of the prescriber is committed to a written or electronic order in the patient chart by a nurse licensed under part 172 of the code, MCL 333.17201 to 333.17242, a physician's assistant licensed under part 170 of the code, MCL 333.17001 to 333.17097, or part 175 of the code, MCL 333.17501 to 333.17556, or a pharmacist licensed under part 177 of the code, MCL 333.17701 to 333.17780, who has communicated directly with the prescriber.
(b) The order states the name of the prescriber and the name of the nurse, physician's assistant, or pharmacist who received the verbal order.
(c) The order is forwarded to the pharmacy.
(d) The prescriber signs the original order at the next visit or within 7 days.
(3) A licensee shall preserve an original order for a
period of 5 years fromafter the patient discharge date and the
original order must be readily retrievable. After 2 years, a licensee may make
an electronic duplicate of the original order whichthat becomes
the original order. If a licensee maintains patient records electronically, then
a printed copy must be immediately available for a current inpatient and
within 48 hours uponon request of an authorized agent of the
board for anya patient discharged in the lastof the
previous 5 years.
R 338.3154 Medication records in medical institutions.
Rule 54. (1) A patient's chart shallmust
constitute a record of medications ordered for, and actually administered to, a
patient of medical institutions.
(2) Medication records are required for all controlled substances listed in schedules 2, 3, 4, and 5. At a minimum, these records must include all of the following information:
(a) The number of doses of controlled substances purchased.
(b) The number of doses dispensed to individual patients or distributed to nursing stations or both.
(c) The number of doses administered.
(d) The number of doses dispensed, but not administered, to the patient.
(3) If the controlled substance is not dispensed to an individual patient, all of the following provisions must be complied with:
(a) Medication records for those controlled substances listed in schedules 2, 3, 4, and 5 must be maintained.
(b) Distribution of a controlled substance to a nursing unit may not be more than 25 doses per container.
(c) A distribution record for each multiple of 25 doses must be used to account for delivery to a nursing unit. The record must include all of the following information:
(i) The name and dose of the controlled substance.
(ii) The quantity of the substance.
(iii) The date of delivery.
(iv) The location of the nursing unit.
(v) The name of the distributing pharmacy and address if it is a different location from the medical institution.
(vi) Name of distributing pharmacist.
(vii) The name of the individual on the nursing unit who receives the substance.
(d) A proof of use record must be maintained to account for all doses of an administered substance. The record must include all of the following:
(i) The name of the substance.
(ii) The dose administered.
(iii) The date and time a dose was administered.
(iv) The name of the patient.
(v) The signature of the individual who administered the dose.
(e) Subrule 3of this ruleThis subrule
does not apply to automated devices.
(4) A controlled substance that is maintained at a nursing unit must be stored in a securely locked cabinet or medication cart that is accessible only to an individual who is responsible for the administration or distribution of the medication.
(5) If a controlled substance is dispensed from an
automated device, then documentation of all of the following must be
maintained on-site in the pharmacy responsible for the automated device for 2
years for review by the department, an agency, or the board.
(a) The name and address of the pharmacy or facility responsible
for the operation of the automated device.
(b) The manufacturer name, serial number,
and model number of the automated device.
(c) The location name and address of the facility
where the automated device is located.
(d) The contents of the automated device.
(e) The quality assurance policy and procedure to determine continued appropriate use and performance of the automated device that includes all of the following quality assurance documentation for the use and performance of the automated device:
(i) Use of monitors that alert the user whenif
the wrong medication is filled or removed for administration to a patient.
(ii) Use of security monitors that include an alert for unauthorized access, patients not in the system, system security breaches, and controlled substance audits.
(iii) Corrective measures to address issues and errors identified in the internal quality assurance program.
(f) The policy and procedure for system operation that includes all of the following:
(i) Safety.
(ii) Security systems and procedures that include prevention of unauthorized access or use and comply with federal and state regulations.
(iii) Accuracy.
(iv) Patient confidentiality.
(v) Access.
(vi) Type of controlled substances.
(vii) Data retention or archival.
(viii) Definitions.
(ix) Downtime procedures.
(x) Emergency procedures.
(xi) Operator inspections.
(xii) Installation requirements.
(xiii) Maintenance.
(xiv) Medication security.
(xv) Medication inventory.
(xvi) Staff education and training.
(xvii) System set-up and malfunction.
(xviii) List of medications qualifying for emergency dose removal without pharmacist prior review of the prescription or medication order.
(xix) The use of the automated device that includes a
requirement that a pharmacist review a prescription or medication order before
system profiling or removal of any medication from the automated device
for immediate patient administration, except in the following situations where
a pharmacist shall review the orders and authorize any further
dispensing within 48 hours:
(A) The automated device is being used as an after-hours cabinet for medication dispensing in the absence of a pharmacist under R 338.486(4)(j).
(B) The system is being used in place of an emergency kit under R 338.486(4)(c).
(C) The system is being accessed to remove medication required to treat the emergent needs of a patient under R 338.486(4)(c). A sufficient quantity to meet the emergent needs of the patient may be removed until a pharmacist is available to review the medication order.
(g) The automated device must maintain transaction data that includes all
activity regarding access to the contents of the automated device.
(h) The pharmacy responsible for the automated device shall maintain records related to access to the automated device. The records must be readily retrievable and must include all of the following information:
(i) The unique identity of the device.
(ii) Identification of the individual accessing the automated device.
(iii) The type of transaction.
(iv) The name, strength, dosage form, and quantity of the drug accessed.
(v) The name of the patient.
(vi) The identification of the pharmacist checking for
the accuracy of the medications to be stocked or restocked in the
automated device.
(vii) Any other information the pharmacist
considers necessary.
(i) For medication removed from the automated device for on-site patient administration, the automated device must document all of the following information:
(i) The name of the patient.
(ii) The date and time medication was removed from the automated device.
(iii) The name, initials, or other unique identifier of the individual removing the drug.
(iv) The name, strength, and dosage form of the drug.
The documentation may be on paper or completed electronically. electronic
medium.
(j) If the pharmacist delegates the stocking of the
automated device, then technologies must be in place and utilized to
ensure that the correct drugs are stocked in their appropriate assignment
utilizing bar-coding or another a board-approved error prevention technology.
(k) The automated device must provide a mechanism for
securing and accounting for controlled substances removed from the automated
device return bin. Controlled substances maymust not be returned
directly to the automated device for immediate reissue or reuse. Controlled
substances removed from the automated device may not be reused or reissued,
except as indicated in R 338.486(7).
(l) The automated device must provide a mechanism for securing and accounting for wasted or discarded medications.
(6) An individual who is responsible for administering a controlled substance or a portion thereof shall record the quantity, disposition, and an explanation of the destruction of the controlled substance on the proper accountability record. If the institution has a policy that reflects current practice standards and delineates the method of destruction, an explanation would only be required if policy was not followed.
PART 6. DISPENSING AND ADMINISTERING CONTROLLED SUBSTANCE PRESCRIPTIONS
R 338.3161 Controlled substance prescriptions.
Rule 61. (1) A prescription that is issued for a controlled substance must be dated and signed by the prescriber, when issued, and contain all of the following information:
(a) The full name and address of the patient for whom the substance is being prescribed.
(b) The prescriber's DEA registration number, preprinted, stamped, typed, or manually printed name, address, and telephone number or pager number, and professional designation that is either written on the prescription or stored in the pharmacy’s automated data processing system.
(c) The drug name, strength, and dosage form.
(d) The quantity prescribed. For a paper prescription
received in writing, the prescription must contain the quantity in both written
and numerical terms. A paper prescription complies if it must containcontains
preprinted numbers representative of the quantity next to a box or line that
the prescriber may check.
(e) The directions for use.
(f) If the prescription is for an animal, then the
species of the animal and the full name and address of the owner.
(2) A written prescription for a controlled substance listed
in schedules 2 to 5 shallmust be written legibly with ink or an
indelible pencil or prepared using a printer and signed by the prescriber.
(3) An agent of the prescriber may prepare a prescription
for the signature of the prescriber, but,however, pursuant tounder
the codesections 16106 and 17744 of the code, MCL 333.16106 and 333.17744,
the prescriber is liable if the prescription does not conform to these rules. A
pharmacist who dispenses a controlled substance pursuant tounder
a prescription not prepared in the form required by these rules is liable pursuant
tounder the code.
(4) If the controlled substance prescription or order in a
medical institution is issued pursuant tounder delegation, then
the printed name of the delegatee, the licensure designation, the
delegating prescriber, and the signature of the delegatee shallmust
be on the written prescription. In medical facilities, orders must contain the
signatures of the delegatee and the printed name of the delegating prescriber.
(5) A prescriber shall not issue a prescription to obtain a stock of a controlled substance for the purpose of dispensing or administering the substance to patients.
R 338.3161a. Exception to bona fide prescriber-patient relationship; alternative
requirements.
Rule 61a. (1) Except as provided in subrule (2) of this
rule and for a patient who is under the care of a hospice, aA bona
fide prescriber-patient relationship is required before a licensed prescriber
may prescribe a controlled substance listed in schedules 2 to 5.
(2) Pursuant toUnder
Sectionsection 16204e of the code, MCL 333.16204e, a licensed
prescriber may prescribe a controlled substance listed in schedules 2 to 5
without first establishing the bona fide prescriber-patient relationship
required under Sectionsection 7303a of the code, MCL 333.7303a,
in the following situations:
(a) The prescriber is
providing on-call coverage or cross-coverage for another prescriber who is not
available and has established a bona fide prescriber-patient relationship with
the patient for whom the on-call or covering prescriber is prescribing a
controlled substance, the prescriber, or an individual licensed under
article 15 of the code, MCL 333.16101 to 333.18838, reviews the patient’s
relevant medical or clinical records, medical history, and any change in
medical condition, and provides documentation in the patient’s medical record pursuant
toconsistent with medically accepted standards of care.
(b)The prescriber is
following or modifying the orders of a prescriber who has established a bona
fide prescriber-patient relationship with a hospital in-patient or nursing care
facility resident and provides documentation in the patient’s medical record pursuant
toconsistent with medically accepted standards of care.
(c) The prescriber is
prescribing for a patient that has been admitted to a licensed nursing care
facility, completes the tasks identified in subrule (2)(a) and (2)(b)subdivisions
(a) and (b) of this rulesubrule in compliance with R
325.45377, as applicable, and provides documentation in the patient’s medical
record pursuant toconsistent with medically accepted standards of
care.
(d) The prescriber is
prescribing for a patient for whom the tasks listed in subrule (2)(a) and
(2)(b)subdivisions (a) and (b) of this rule have beensubrule
are performed by an individual licensed under article 15 of the code,
MCL 333.16101 to 333.18838, and the prescriber provides documentation in the
patient’s medical record pursuant toconsistent with medically
accepted standards of care.
(e) The prescriber is
treating a patient in a medical emergency. For
purposes ofAs used in this subdivision, “medical emergency” means a situation
that, in the prescriber’s good-faith professional judgment, creates an
immediate threat of serious risk to the life or health of the patient for whom
the controlled substance prescription is being prescribed.
R 338.3162 Dispensing by pharmacists; delivery of controlled substances.
Rule 62. (1) Except for a remote pharmacy, which that
is regulated by section 17742a of the code, MCL 333.17742a, and whichthat
allows a qualified pharmacy technician to assist in the dispensing process
while being overseen by a pharmacist through the use of a surveillance system
and telepharmacy system, a controlled substance shallmust be
dispensed by a pharmacist or a pharmacy intern in the presence, and under the
personal charge of, a pharmacist.
(2) A pharmacist shall require positive identification of
individuals to whom controlled substances are dispensed or delivered whenif
the individual is not known to the pharmacist or pharmacy employees,
except whenif positive identification is not available and a
pharmacist, who in exercising his or her professional judgment,
determines that a delay in dispensing the controlled substance may be
detrimental to a patient.
(3) Subrule (2) of this rule does not exempt a pharmacist from the requirement to submit a patient identifier to the electronic system for monitoring controlled substances.
(4) The dispensing pharmacist and pharmacy are both responsible for complying with this rule.
(5) A pharmacist may dispense a controlled substance that
is listed in schedules 3 to 5 and that is a prescription drug pursuant tounder
the provisions ofsection 503 of the FDCA of 1991, 21 USC
353, only pursuant tounder a prescription on a prescription form,
an oral prescription of a practitioner, or a prescription that is
electronically transmitted pursuant to R 338.3162a and that contains all of the
required information under R 338.3161, except that the signature of the
prescriber is not required if the controlled substance is obtained pursuant
tounder an oral order.
(6) In addition to the requirements in section 17744 of
the code, MCL 333.17744, if a prescriber’s agent under delegation transmits an
oral prescription for a controlled substance to a pharmacy, all of the
following shallmust be recorded on the prescription generated at
the pharmacy:
(a) The information required by R 338.3161.
(b) The transmitting agent's identity.
(c) The individual who received the prescription at the pharmacy.
(7) Only a prescription that is issued in the usual course of professional treatment or in the course of legitimate and authorized research is a prescription.
R 338.3162a Electronic transmission of prescription; waiver of electronic transmission.
Rule 62a. (1) Until the enforcement date established by
the federal Centers for Medicare and Medicaid Services for the Medicare
electronic transmission requirement, a prescription may be electronically transmitted,
and a pharmacist may dispense the electronically transmitted prescription,
if all of the following conditions are satisfied:Effective on January 1,
2023 prescribers shall, unless an exception under section 17754a of the code,
MCL 333.17754a, applies, electronically transmit a prescription and a
pharmacist may dispense the electronically transmitted prescription, if all of
the following conditions are satisfied:
(a) The prescription is transmitted to the pharmacy of the patient's choice and occurs only at the option of the patient.
(b) The electronically transmitted prescription includes all of the following information:
(i) The name and address of the prescriber.
(ii) An electronic signature or other board-approved means of ensuring prescription validity.
(iii) The prescriber's telephone number for verbal confirmation of the
order.
(iv) The time and date of the electronic transmission.
(v) The name of the pharmacy intended to receive the electronic transmission.
(vi) Unless otherwise authorized under section 17754(1)(b) of the code, MCL 333.17754, the full name of the patient for whom the prescription is issued.
(vii) All other information that must be contained in a prescription under R 338.3161.
(c) The pharmacist exercises professional judgment regarding the accuracy, validity, and authenticity of the transmitted prescription.
(d) All requirements in section 17754a of the code, MCL 333.17754a, are met.
(2) An electronically transmitted prescription that meets the requirements of subrule (1) of this rule is the original prescription.
(3) Effective the enforcement date established
by the federal Centers for Medicare and Medicaid Services for the Medicare
electronic transmission requirement, prescribers shall, unless an exception
under section 17754a of the Code, MCL 333.17754a, applies, electronically
transmit a prescription for a controlled substance consistent with both of the
following requirements:
(a) All the requirements in section 17754a of the
code, MCL 333.17754a, are met.
(b) All the requirements in R 338.3161 are met.
(4) A prescriber applying for a waiver from section
17754a of the code, MCL 333.17754a, shall submit a completed application to the
department, on a form provided by the department, and satisfy either of the
following requirements:
(a) The prescriber provides evidence
satisfactory to the department that the prescriber has received a waiver of the
Medicare requirement for the electronic transmission of controlled substances
prescriptions from the federal Centers for Medicare and Medicaid ServicesCMS.
(b) The prescriber is unable to meet the requirements of section 17754a(1) or (2) of the code, MCL 333.17754a, and the prescriber meets 1 of the following:
(i) The prescription is dispensed by a dispensing
prescriber.
(ii) The prescriber demonstrates economic
hardship or technological limitations that are not within the control of the
prescriber.
(iii)(ii) The prescriber demonstrates by attesting
to exceptional circumstances, including,
but not limited to, the following:
(B) The prescriber has or intends within the next 12
months to no longer regularly practice their licensed profession for financial
gain or as a means of livelihoodIntention to cease practice within the
next twelve months.
(C) Limited practice due to an illness or other unforeseen event.
(iv)(iii) The prescriber issues
prescriptions from a non-profit charitablenot-for-profit medical
clinic that provides free or low-cost services to the public.
(54) A waiver is valid for 2 years and is
applicableapplies to the specific circumstances included in the
application. A waiver may be renewed by application to the department.
R 338.3162b Electronic system for monitoring schedules 2, 3, 4, and 5 controlled
substances.
Rule 62b. (1) Except as otherwise exempt under section
7333a of the code, MCL 333.7333a, a pharmacist, dispensing prescriber, andor
veterinarian licensed under Partpart 177 of the code, MCL
333.17701 to 333.17780, who dispenses a prescription drug that is a controlled
substance listed in schedules 2 to 5 or a pharmacy licensed by thethis
state that dispenses in this state or dispenses to an address in this state a
controlled substance listed in schedules 2 to 5, shall report to the
department or the department's contractor by means of an electronic data
transmittal process, the following information for each prescription of
a scheduled 2 to 5 controlled substance that has been dispensed:
(a) The patient identifier identification number. For
purposes ofAs used in this subdivision, all of the following apply:
(i) An identification number, as specified in R 338.3102(1)(f)(h)(iv)(A)
to (CE), is not required for patients under the age of 16.
(ii) If the patient is under 16 years of age, zeroes must be entered as the identification number.
(iii) If the medication being dispensed is for an
animal, the patient identification number applies to the animal's owner, the
client, that meets the requirements of R 338.3102(1)(f)(iv).338.3102(h)(iv).
If the animal’s owner cannot be identified, zeroes must be entered as the
identification number.
(b) The patient’s name; client’s name, including first name, middle name, or middle initial, if available; and last name.
(c) The patient’s or client’s address, including street, city, state, and zip code.
(d) The patient’s or client’s phone number.
(e) The patient’s or client’s gender.
(f) The patient’s or client’s date of birth.
(g) The species code, as specified by ASAP.
(h) The metric quantity of the controlled substance dispensed.
(i) The NDC of the controlled substance dispensed.
(j) The date the prescription is issued.of
issue of the prescription.
(k) The date of dispensingthe prescription is
filled.
(l) The number of refills authorized.
(m) The refill number of the prescription fill.
(n) The estimated days of supply of the controlled substance dispensed.
(o) The prescription number assigned by the dispenser.
(p) The prescription transmission form code, as specified by ASAP, that indicates how the pharmacy received the prescription.
(q) The prescription payment type. Cash discount cards are considered cash transactions.
(r) The electronic prescription reference number, if applicable.
(s) The patient’s or client’s
location code when receiving pharmacythe dispensed controlled
substance, as specified by ASAP.
(t) The DEA registration number of the prescriber and the dispensing pharmacy.
(2) A pharmacist, dispensing prescriber, or veterinarian
may presume that the patient identification information provided by a patient, or
a patient's representative, or veterinarian’s client is correct.
(3) As used in this rule, R 338.3162c, and R 338.3162d, the
term “dispense” or “dispensing” means the preparation, compounding,
packaging, or labeling of a controlled substance along with delivery of the
controlled substance pursuant tounder a prescription or other
authorization issued by a prescriber, and does not include the acts of
prescribing a controlled substance or administering a controlled substance
directly to a patient.
(4) As used in this rule, the term “patient” refers
tomeans an individual, not an animal.
R 338.3162c Format for electronic transmission of data to electronic system for
monitoring; waiver.
Rule 62c. (1) A pharmacist, dispensing prescriber, or veterinarian who dispenses a prescription drug that is a controlled substance listed in schedules 2 to 5 shall transmit the data, as specified under R 338.3162b, by electronic media or other means as approved by the department or the department's contractor.
(2) The data must be transmitted in the format established
by the ASAP 4.15.0 Standard for Prescription Drug Monitoring
Programs.
(3) A pharmacist, dispensing prescriber, or veterinarian
who dispenses controlled substances and who does not have an automated
record-keeping system capable of producing an electronic report in the format
established by subrule (2) of this rule may request a waiver from electronic
reporting. The request shallmust be made in writing to the
department.
(4) A pharmacist, dispensing prescriber, or veterinarian
may be granted a waiver, if he or shethe pharmacist, dispensing
prescriber, or veterinarian demonstrates an inability to report as required
by R 338.3162b and he or she agrees in writing to report the data to
the department or the department's contractor by submitting a completed
MAPS claim form , as defined in R 338.3102(1)(c),
or transmitting data via an internet web portal that is provided by the
department or the department’s contractor for this purpose.
R 338.3162d Required reporting of prescription data; error reporting.
Rule 62d. (1) A pharmacist, pharmacy, dispensing prescriber, or veterinarian shall report all scheduled 2 to 5 controlled substances dispensed.
(2) The licensee shall forward the data required by R
338.3162b by on-lineonline transmission, computer diskette,
compact disk, or other approved medium, as specified in R 338.3162c to the
department or the department’s contractor, on a daily basis, by the end of the
next business day and include the data for all controlled substances dispensed
since the previous transmission or report.
(3) A pharmacist, pharmacy, dispensing prescriber, or
veterinarian whothat does not have the capacity to forward the
information as specified in R 338.3162b, shall mail or deliver the information
to a location specified by the department or the department’s contractor not
later than 7 calendar days after the date that the controlled substance has
been dispensed, and include the data for all controlled substances dispensed
since the previous transmission or report.
(4) The department or the department’s contractor shall
notify a pharmacist, pharmacy, dispensing prescriber, or veterinarian of an
error in data reporting. If a pharmacist, pharmacy, dispensing prescriber,
or veterinarian receivesUpon receiving notification of an error in
data reporting, thea pharmacist, pharmacy, dispensing prescriber,
or veterinarian shall take appropriate measures to correct the error and
transmit the corrected data to the department or the department’s contractor
within 7 calendar days ofafter being notified of the error.
(5) A pharmacist, pharmacy, dispensing prescriber, or
veterinarian whothat fails to report the dispensing of a
prescription for a controlled substance listed in schedules 2 to 5 as required,
is subject to the penalty provisions in section 16221, 17741, or 17768 of the
code, MCL 333.16221, 333.17741, or 333.17768., in article 15 of the
code, MCL 333.16101 to 333.18838.
Rule 63. (1) A practitioner within his or her scope of
practice, may either prescribe, dispense, or administer a controlled substance
to an individual with substance use disorder for the purpose of maintenance or
detoxification treatment pursuant to any of the following situations:
(a) A practitioner acting pursuant to federal law or
regulations to conduct the drug treatment of an individual with
substance use disorder may prescribe, dispense, and administer a controlled
substance for the purpose of legitimate treatment of the individual with
substance use disorder. A prescription may only be issued for a schedule 3
through 5 substance.
(b) A practitioner may administer or dispense a
controlled substance approved by the FDA specifically for use in maintenance or
detoxification treatment directly to an individual with substance use disorder
who is participating in a program.
(c) A practitioner may administer a controlled
substance approved by the FDA specifically for use in maintenance or
detoxification treatment directly to an individual with substance use disorder
who is experiencing acute withdrawal symptoms and administration of a
controlled substance is necessary while the practitioner is arranging referral
for treatment. The following requirements must be followed:
(i) Not more than 1 day's supply of medication may be
administered or directly dispensed to the individual with drug addiction or
dependence.
(ii) The emergency treatment may be carried out for
not more than 3 consecutive days and may not be renewed or extended.
(2) Notwithstanding subrule (1) of this rule, a
practitioner within the scope of his or herthe practitioner's practice, may
administer or dispense a controlled substance in any schedulein a hospital or
similar setting to an individual with substance use disorder consistent with
both of the following:
(a) The controlled substance is administered or
dispensed to continue maintenance or detoxification treatment as an adjunct to
medical or surgical treatment of conditions other than addiction.
(b) The controlled substance is administered or
dispensed to relieve intractable pain for which no relief or cure is possible,
or none has been found after reasonable efforts.
(3) As use in this rule:
(a) “Practitioner” means the term as defined in
section 7109 of the code, MCL 333.7109.
(b) “Program” means the term as defined in
section 260 of the mental health code, 1974 PA 258, MCL 330.1260.
(c) “Substance use disorder” means that term as
defined in section 100d of the mental health code, 1974 PA 258, MCL 330.1100d.
R 338.3164 Emergency dispensing of schedule 2 substances; oral prescriptions.
Rule 64. A pharmacist may dispense a controlled substance
listed in schedule 2 in an emergency in whichif all of the
following conditions are met:
(a) The prescriber advises the pharmacist of all of the following:
(i) Immediate administration of the controlled substance
is necessary for proper treatment of the intended ultimate user
patient.
(ii) Appropriate alternative treatment is not available, including administration of a drug that is not a controlled substance under schedule 2.
(iii) It is not reasonably possible for the prescriber to
provide a written prescription to be presented to the dispenser before
the dispensing.
(iv) The quantity prescribed and dispensed is limited to
the amount adequate to treat the patient during the emergency period and pursuant
tounder a written prescription.
(b) The pharmacist shall immediately put the prescription in writing, which contains the information that must be contained in a prescription under R 338.3161, except for the prescriber's signature.
(c) If the prescriber is not known to the pharmacist, then
the pharmacist shall make a reasonable effort to determine that the oral
authorization came from a prescriber by returning the prescriber's call, using
the telephone number listed in the telephone directory, and other good faith
efforts to ensure the prescriber's identity.
R 338.3165 Emergency dispensing of schedule 2 substances; written prescriptions.
Rule 65. (1) Within 7 days afterAfter
authorizing an emergency oral prescription of a controlled substance listed in
schedule 2, the prescriber shall comply with all of the following within 7
days:
(a) The prescriber shall deliver to the dispensing
pharmacist a written prescription postmarked within 7 days after the date
the prescription was dispensed, or electronically transmit the prescription
pursuant tounder R 338.3162a.
(b) The prescriber shall include on the prescription both "Authorization for Emergency Dispensing" and the date of the oral order.
(2) A pharmacist that has dispensed a prescription on an emergency oral prescription shall comply with all of the following:
(a) The dispensing pharmacist shall reduce the oral prescription to writing.
(b) Upon receipt of the prescription, theAfter
the dispensing pharmacist receives the prescription the pharmacist shall
attach the prescription to the oral order whichthat was earlier
reduced to writing.
(c) The pharmacy shall notify the department if the
prescriber fails to deliver to him or herthe pharmacy either a
written prescription or a prescription transmitted electronically.
(3) The failure of the pharmacy to notify the department
if the prescriber fails to deliver a prescription pursuant tounder
subrule (1) of this rule voids the authority conferred by this rule.
R 338.3166 Partial dispensing of controlled substances.
Rule 66. (1) A pharmacist may partially dispense a controlled substance listed in schedule 2 in conformance with the following:
(a) The pharmacist is unable to supply the full quantity called for in a written or emergency oral prescription.
(b) The pharmacist makes a notation ofnotes the
quantity supplied on the face of the written prescription, written record of
the emergency oral prescription, or in the electronic prescription record.
(c) The pharmacist may dispense the remainder of the prescription within 72 hours after the first partial dispensing.
(d) If the remainder of the prescription is not or cannot be dispensed within the 72 hours, the pharmacist shall notify the prescriber.
(e) The pharmacist shall not dispense anyan
additional quantity of the drug beyond 72 hours without a new
prescription.
(f) The pharmacy must havehas the
balance of the prescription ready for dispensing before the 72-hour limit, but
the patient is not required to pick up the balance of the prescription within
that 72-hour limit.
(2) A pharmacist may partially dispense a prescription for a controlled substance listed in schedule 2 at the request of the patient or the prescribing practitioner in conformance with the following:
(a) The prescription is written
and filled pursuant tounder the CSA and DEA regulations and state
law.
(b) The total quantity dispensed in all partial fillings does not exceed the total quantity prescribed.
(c) The remaining portions of a
partially filled prescription listed in schedule 2, if filled, shallmust
be filled not later than 30 days after the date on which the
prescription was written.
(d) For each partial filling, the dispensing pharmacist shall record, on the back of the prescription or on another appropriate record that is uniformly maintained and readily retrievable, all of the following information:
(i) Date of the partial filling.
(ii) Quantity dispensed.
(iii) Remaining quantity that may be dispensed.
(iv) Identification of the dispensing pharmacist.
(3) A pharmacist may partially dispense, including individual dosage units, a prescription for a schedule 2 controlled substance that is written for a patient in a long-term care facility or for a patient with a medical diagnosis that documents a terminal illness in conformance with all of the following:
(a) For each partial filling, the dispensing pharmacist shall record, on the back of the prescription or on another appropriate record that is uniformly maintained and readily retrievable, all of the following information:
(i) Date of the partial filling.
(ii) Quantity dispensed.
(iii) Remaining quantity authorized to be dispensed.
(iv) Identification of the dispensing pharmacist.
(b) The total quantity of schedule 2 controlled substances dispensed in all partial fillings may not be more than the total quantity prescribed.
(c) Prescriptions are valid for a period of not more than
60 days fromafter the issue date unless terminated at an earlier
date by the discontinuance of medication.
(d) A pharmacist shall record on the prescription whether the patient is terminally ill or is a long-term care facility patient.
(4) A pharmacy may partially fill a prescription for a schedule 3, 4, or 5 controlled substance if all of the following provisions are met:
(a) Each partial filling is recorded in the same manner as a refilling.
(b) The total quantity dispensed in all partial fillings does not exceed the total quantity prescribed.
(c) No dispensing occurs after 6 months fromafter
the date the prescription was issued for schedules 3, 4, and 5.
R 338.3167 Dispensing schedule 5 substances without prescriptions.
Rule 67. (1) A pharmacist may, without a prescription,
dispense a controlled substance listed in schedule 5 that is not a prescription
medication as determined under the FDCA, 21 USC 301 to 392, if all of
the following provisions are met:
(a) The dispensing pharmacist determines the controlled substance is intended to be used for a medical purpose.
(b) Not more than 240 cc, 8 ounces, or 48 solid doses of
a substance containing opium or more than 120 cc, 4 ounces, or 24 solid doses
of any otheranother substance listed in schedule 5 are
distributed at retail to the same purchaser in anya single 48-hour
period.
(c) The purchaser is not younger than 18 years of age.
(d) The dispensing pharmacist requires a purchaser, not known to the pharmacist, to furnish suitable identification, including proof of age where appropriate.
(2) If a pharmacist dispenses a controlled substance
listed in schedule 5 without a prescription, then he or shethe
pharmacist shall affix a label to the container in whichthat
holds the substance is dispensedthat includes all the
following:
(a) Thea label that shows the date the
controlled substance was dispensed.,
(b) The his or herpharmacist’s name.,
and the
(c) The name and address of the place of practicepharmacy
where the substance is dispensed.
(3) The pharmacist shall maintain a record of the dispensing without a prescription of controlled substances listed in schedule 5 with the following requirements:
(a) The record must be keptmaintained for 5
years fromafter the date of dispensing. After 2 years, an
electronic duplicate of the original order may be made which becomes the
original record.
(b) The record must be immediately retrievable and may be maintained in the same manner as required for schedule 5 prescription medication.
(c) The record must contain all of the following information:
(i) The name and address of the patient.
(ii) The name and address of the purchaser if different from the patient.
(iii) The name and quantity of substance purchased.
(iv) The date purchased.
(v) The name or initials of the pharmacist or pharmacy intern who dispensed the substance.
(vi) The medical purpose for whichof the
medication is being used as determined by the pharmacist.
R 338.3170 Dispensing and administering controlled substances by prescribers.
Rule 70. (1) A prescriber in the course of his or herthe
prescriber’s professional practice may dispense, or administer, or
delegate under direct supervision the administering of a controlled substance
listed in schedules 2 to 5.
(2) A veterinarian, in the course of his or herthe
veterinarian’s professional practice may dispense, administer, or delegate
the administering under direct supervision of a controlled substance listed in
schedules 2 to 5 to an animal.
PART 7. DISTRIBUTIONS
R 338.3181 Distributions by dispensers.
Rule 81. (1) A dispenser who is not licensed as a
wholesale distributor may distribute a controlled substance to another
dispenser for the purpose of general dispensing to his or herthe
dispenser’s patients if all of the following conditions are satisfied:
(a) The receiving dispenser is licensed to dispense the substance.
(b) The distribution is recorded by the distributing dispenser and a receipt record is maintained by the receiving dispenser.
(c) An order form for substances listed in schedules 1 and 2 is used.
(d) The total number of dosage units of all controlled
substances distributed by the distributing dispenser during the 12-month period
in which the dispenser is licensed is not more than 5% of the total
number of all dosage units distributed and dispensed during the 12-month
period.
(2) If the dispenser has reason to believe that the total
number of dosage units which will be distributed by him or herthe
dispenser pursuant tounder this rule will beare
more than 5% of the total number of dosage units of all controlled substances
distributed and dispensed by him or herthe dispenser during the
12-month period, the dispenser shall obtain a license to distribute controlled
substances.
R 338.3183 Distribution to suppliers.
Rule 83. (1) An personindividual who
is lawfully in possession of a controlled substance that is listed in anya
schedule may distributereturn the substance to the personindividual
who gave the personfrom whom he or she obtained the substance or
to the manufacturer of the substance without obtaining a license to
distribute. The personindividual who distributes the substance
shall maintain a written record that contains all of the following information:
(a) The date of the distribution.
(b) The name, form, and quantity of the substance.
(c) The name, address, and license number, if any,
of the personindividual who makes the distributiondistributes
the substance.
(d) The name, address, and license number, if known, of the supplier or manufacturer.
(2) In the case of a controlled substance listed in schedules 1 or 2, an order form must be used and maintained as the written record of the distribution.
R 338.3185 Discontinuances and transfers.
Rule 85. A licensee who wants to discontinue or transfer
business activities or a professional practice altogether or only with respect
to controlled substances shall return his or her DEA registration and any
unexecuted order forms in his or her possession to the DEA. The licensee shall
return the state controlledstate-controlled substances license to
the department. The transfer of the controlled substances is subject to
approval by the DEA pursuant tounder the provisions of 21
CFR 1301.52 and written notification must be provided to the department 15
days before the controlled substances are transferred.
PART 8. ADMINISTRATIVE AND DISCIPLINARY PROCEDURE