IN THE MATTER OF THE APPLICATION OF ONCOLOGY AND HEMATOLOGY SPECIALISTS, P.A., ETC. (NEW JERSEY BOARD OF PHARMACY) ( 2021 )


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  •                              NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    This opinion shall not "constitute precedent or be binding upon any court ." Although it is posted on the
    internet, this opinion is binding only on the parties in the case and its use in other cases is limited. R. 1:36-3.
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NO. A-2080-19
    IN THE MATTER OF
    THE APPLICATION OF
    ONCOLOGY AND
    HEMATOLOGY
    SPECIALISTS, P.A.,
    d/b/a OHS PHARMACY
    TO OPERATE A PHARMACY
    IN THE STATE OF NEW
    JERSEY.
    ___________________________
    Argued October 20, 2021 – Decided December 22, 2021
    Before Judges Hoffman, Geiger, and Susswein.
    On appeal from the New Jersey Board of Pharmacy,
    Division of Community Affairs, Department of Law
    and Public Safety.
    Richard B. Robins argued the cause for appellant
    Oncology and Hematology Specialists, P.A.
    (Mandelbaum Salsburg, PC, attorneys; Richard B.
    Robins, of counsel and on the briefs; Mohamed H.
    Nabulsi, on the briefs).
    Jodi C. Krugman, Deputy Attorney General, argued the
    cause for respondent New Jersey Board of Pharmacy
    (Andrew J. Bruck, Acting Attorney General, attorney;
    Sookie Bae-Park, Assistant Attorney General, of
    counsel; Jodi C. Krugman, on the brief).
    PER CURIAM
    Petitioner Oncology and Hematology Specialists, P.A. appeals from the
    final agency decision of the New Jersey State Board of Pharmacy (the Board),
    entered on December 11, 2019, denying petitioner's application to register, open,
    and operate a pharmacy within its medical practice.
    Petitioner, a medical practice wholly owned by four medical doctors,
    sought to open a "closed door clinic pharmacy" within its practice location,
    exclusively for the patients of its physicians. The Board denied petitioner's
    pharmacy application, concluding that such a pharmacy would violate the Codey
    Law, N.J.S.A. 45:9-22.5(a), which prohibits physicians from referring patients
    to health care services owned by them.        The Board further concluded the
    proposed pharmacy did not fit within an exception to the Codey Law that states:
    "The restrictions on referral of patients . . . shall not apply to . . . medica l
    treatment or a procedure that is provided at the practitioner’s medical office[,]"
    N.J.S.A. 45:9-22.5(b), because pharmacies do not provide medical treatment.
    On appeal, petitioner argues the Board erred by failing to recognize that
    pharmacies provide medical treatment and by acting beyond the scope of its
    authority in considering the Codey Law, which falls under the authority of the
    A-2080-19
    2
    Board of Medical Examiners. Petitioner further contends the Board's denial of
    the application amounted to impermissible anti-competitive conduct, and the
    doctrine of equitable estoppel required the Board to approve petitioner's
    application. We reject these arguments and affirm.
    I.
    In May 2018, petitioner, an oncology and hematology medical practice in
    Mountain Lakes wholly owned by four physicians, submitted a pharmacy permit
    application to the Board, seeking to open a new "closed door clinic pharmacy"
    that would only be accessed by – and fill prescriptions for – petitioner's patients.
    The proposed pharmacy would be located at petitioner's practice in Mountain
    Lakes. An affidavit attached to its application specified that the pharmacy
    would be operated "in compliance with the 'Same Practice' Exception to New
    Jersey Codey Law . . . ." Thereafter, petitioner's counsel submitted a letter and
    certification, dated February 11, 2019, setting forth legal arguments and
    attaching documents in support of the subject application.
    On April 24, 2019, the Board considered petitioner's application and voted
    to deny the application, concluding "the practice structure would create a
    violation of the Codey Law." On December 11, 2019, the Board issued an order
    A-2080-19
    3
    memorializing the denial of petitioner's application, which included a seven -
    page written explanation of its decision.
    The Board explained the Codey Law bars medical practitioners from
    referring patients to health care services where the practitioners hold "a
    significant beneficial interest." N.J.S.A. 45:9-22.5(a). Because "[t]he definition
    of '[h]ealth care service' set forth in N.J.S.A. 45:9-22.4 expressly includes a
    pharmacy," the Board stated, "any referral by a physician to a pharmacy, in
    which the physician has a beneficial interest, would violate the Codey Law,
    unless an exception to the law applies." Ibid. (second alteration in original).
    Such an unlawful arrangement would exist if the Board approved petitioner's
    application because petitioner's physicians would have a beneficial interest in
    the pharmacy, which would only fill prescriptions for patients referred
    exclusively by the petitioner's physicians.
    Moreover, the Board determined the "so-called 'in-office' exception" did
    not apply because "the proposed pharmacy would have to provide a 'medical
    treatment or a procedure'" in petitioner's office, but "a pharmacy provides
    neither 'medical treatments' nor 'medical procedures' to patients." The Board
    also noted that its decision was consistent with the several advisory opinions
    rendered by the Board of Medical Examiners, providing "that although
    A-2080-19
    4
    physicians may own pharmacies, the Codey Law would prohibit a physician
    from referring the physician's own patients to the pharmacy in which he or she
    held an ownership interest."
    Before the Board issued its order and accompanying explanation, the
    Deputy Director of Consumer Affairs, assisted by the Supervising Management
    Improvement Specialist and the Executive Officer and Chief Investigator of the
    Legalized Games of Chance Commission, reviewed the Board's then-proposed
    order and the relevant documentation "to determine whether the denial of a
    pharmacy permit to a physician-owned medical practice constitutes anti-
    competitive conduct by the Board . . . ." In a memorandum dated December 10,
    2019, the Deputy Director stated, "[w]e unanimously determined the Board's
    proposed action would not displace competition" because the denial
    in no way suggests that licensed physicians cannot
    become owners of a pharmacy. The Board's action does
    not limit ownership of a pharmacy to only licensed
    pharmacists. Non-licensees, including physicians, may
    own a pharmacy. The Board's determination to deny
    the application for a permit was based on the fact that
    the proposed pharmacy would only have filled
    prescriptions written by the same physicians who were
    owners of the pharmacy.
    Petitioner now appeals from the December 11, 2019 order that denied its
    application to register, open, and operate a pharmacy within its medical practice.
    A-2080-19
    5
    Petitioner presents the following points of argument:
    POINT I
    THE BOARD ERRONEOUSLY ACTED BEYOND
    ITS LAWFUL SCOPE OF AUTHORITY BY
    SEEKING TO INTERPRET AND APPLY THE
    CODEY LAW, WHICH DOES NOT GOVERN
    PHARMACIES, AND WHICH THE BOARD LACKS
    POWER TO ENFORCE.
    POINT II
    THE BOARD ERRONEOUSLY FOUND THAT THE
    IN-OFFICE EXCEPTION TO THE CODEY LAW IS
    INAPPLICABLE   TO   THE   PRACTICE  OF
    PHARMACY.
    POINT III
    THE BOARD'S DENIAL OF APPELLANT'S PERMIT
    APPLICATION WAS PRECLUDED BASED ON THE
    DOCTRINE OF EQUITABLE ESTOPPEL AND
    OTHER EQUITABLE GROUNDS.
    POINT IV
    THE BOARD ERRED BY ENGAGING IN ANTI-
    COMPETITIVE CONDUCT.
    II.
    Appellate review of a final agency decision is limited, Russo v. Bd. of
    Trs., 
    206 N.J. 14
    , 27 (2011), in recognition "that agencies have 'expertise and
    A-2080-19
    6
    superior knowledge . . . in their specialized fields.'" Hemsey v. Bd. of Trs., 
    198 N.J. 215
    , 223 (2009) (alteration in original) (quoting In re License Issued to
    Zahl, 
    186 N.J. 341
    , 353 (2006)). Thus, an agency's decision should be upheld
    "unless there is a clear showing that it is arbitrary, capricious, or unreasonable,
    or that it lacks fair support in the record." Russo, 
    206 N.J. at 27
     (quoting In re
    Herrmann, 
    192 N.J. 19
    , 27-28 (2007)).
    Likewise, on appeal, appellate courts accord deference to the "agency's
    interpretation of a statute" it is charged with enforcing. Thompson v. Bd. of
    Trs., 
    449 N.J. Super. 478
    , 483 (App. Div. 2017) (quoting Richardson v. Bd. of
    Trs., 
    192 N.J. 189
    , 196 (2007)). "Deference to agency interpretation of a statute
    is appropriate as long as that interpretation is reasonable, and does not conflict
    with the express or implied intent of the legislature . . . ." Gilliland v. Bd. of
    Rev., 
    298 N.J. Super. 349
    , 354 (App. Div. 1997) (citations omitted). However,
    an agency's "interpretation of the law outside of its charge is entitled to 'no
    special deference."'    Comm. Workers of Am., Local 1034 v. N.J. State
    Policemen's Benevolent Ass'n, Local 203, 
    413 N.J. Super. 286
    , 291 (App. Div.
    2010) (quoting In re Camden Cnty. Prosecutor, 
    394 N.J. Super. 15
    , 23 (App.
    Div. 2007)). See also Teeters v. Div. of Youth and Fam. Servs., 
    387 N.J. Super. 423
    , 428 (App. Div. 2006) (citations omitted) ("Although we are enjoined to
    A-2080-19
    7
    accord respect to an agency's interpretation of the statute it is assigned to
    administer, we are not bound by an agency's interpretation of law, any more than
    we are bound by the legal rulings of lower courts").
    Under this limited standard of review, "[a] reviewing court 'may not
    substitute its own judgment for the agency's, even though the court may have
    reached a different result.'" In re Stallworth, 
    208 N.J. 182
    , 192 (2011) (quoting
    In re Carter, 
    191 N.J. 474
    , 483 (2007)). Rather, an appellate court focuses on
    three major inquiries: (l) whether the agency's decision conforms with relevant
    law; (2) whether the decision is supported by substantial credible evidence in
    the record; and (3) whether, in applying the law to the facts, the administrative
    agency clearly erred in reaching its conclusion. Id. at 192.
    Petitioner's principal claim of agency error asserts that the Board
    erroneously interpreted the Codey Law. We disagree. The Codey Law provides,
    "[a] practitioner shall not refer a patient or direct an employee of the practitioner
    to refer a patient to a health care service in which the practitioner, or the
    practitioner's immediate family, or the practitioner in combination with the
    practitioner's immediate family has a significant beneficial interest . . . ."
    N.J.S.A. 45:9-22.5(a).     "'Practitioner' means a physician, chiropractor or
    A-2080-19
    8
    podiatrist licensed pursuant to Title 45 of the Revised Statutes." N.J.S.A. 45:9-
    22.4; see also N.J.S.A. 45:9-18.
    "Health care service" means a business entity which
    provides on an inpatient or outpatient basis: testing for
    or diagnosis or treatment of human disease or
    dysfunction; or dispensing of drugs or medical devices
    for the treatment of human disease or dysfunction.
    Health care service includes, but is not limited to, a
    bioanalytical laboratory, pharmacy, home health care
    agency, rehabilitation facility, nursing home, hospital,
    or a facility which provides radiological or other
    diagnostic imagery services, physical therapy,
    ambulatory surgery, or ophthalmic services.
    ....
    "Significant beneficial interest" means any financial
    interest; but does not include ownership of a building
    wherein the space is leased to a person at the prevailing
    rate under a straight lease agreement, payments made
    by a hospital to a physician pursuant to a hospital and
    physician incentive plan, or any interest held in
    publicly traded securities.
    [N.J.S.A. 45:9-22.4 (emphasis added).]
    The Codey Law includes the following relevant exception to the above
    rule:
    "The restrictions on referral of patients established in this section shall not apply
    to . . . medical treatment or a procedure that is provided at the practitioner's
    medical office and for which a bill is issued directly in the name of the
    A-2080-19
    9
    practitioner or the practitioner’s medical office . . . ." N.J.S.A. 45:9-22.5(c).
    Neither the statutes governing physicians, nor the Board of Medical Examiners'
    regulations, define "medical treatment" or "medical procedure."
    Petitioner argues the Board's determination that "the 'practice of
    pharmacy' does not involve 'medical treatment or procedure' . . . was totally
    erroneous." Petitioner contends a pharmacy's activities fit within "the generally
    accepted meaning of the language 'medical treatment or procedure,"' which,
    citing medical and legal dictionaries, OSHA regulations, and New Jersey case
    law, petitioner asserts "is defined as 'a broad term covering all the steps taken to
    effect a cure of an injury or disease; including examination and diagnosis as well
    as application of remedies[.]'" Petitioner argues a pharmacy's activities of
    dispensing medication, . . . "interpreting and evaluating
    prescriptions"; "administering and distributing drugs";
    "advising and consulting on the therapeutic values,
    contents, hazards and uses of drugs"; "collecting,
    analyzing and monitoring patient data"; "providing
    pharmaceutical care and education"; "collaborative
    drug therapy management including modifying,
    continuing or discontinuing drug or device therapy";
    "ordering or performing of laboratory tests under
    collaborative drug therapy management"; and "ordering
    clinical tests"
    [N.J.S.A. 45:14-41.]
    A-2080-19
    10
    constitute medical treatment as steps taken to combat illness and the application
    of remedies.       Petitioner also emphasizes the significant training and
    qualifications of pharmacists to show they administer medical treatment.
    The Board's interpretation that pharmacies do not provide medical
    treatment is also supported by the professional and statutory distinction between
    medical doctors and pharmacists. Physicians and pharmacists undergo different
    education and training, and pharmacists are not medical doctors. Moreover, the
    statutes governing medical practice and those governing pharmaceutical practice
    occupy two different chapters of New Jersey's Revised Statutes – Chapter 9
    governs medical practice, and Chapter 14 governs pharmacy practice.
    Physicians are persons "licensed or permitted to practice medicine or
    surgery in this State[,]" N.J.S.A. 45:9-27.5(a), whereas pharmacists are persons
    "licensed by this State to engage in the practice of pharmacy[,]" N.J.S.A. 45:14-
    41.     These distinctions suggest that only physicians (or those under their
    supervision) provide medical care while pharmacists provide pharmaceutical
    care.
    Whereas Chapter 9 states that, "'the practice of medicine or surgery' . . .
    include[s] the practice of any branch of medicine and/or surgery, and any
    method of treatment of human ailment, disease, pain, injury, deformity, mental
    A-2080-19
    11
    or physical condition," N.J.S.A. 45:9-5.1, Chapter 14 describes the "practice
    of pharmacy" in terms of the provision of services, not treatment.
    "Practice of pharmacy" means a health care service by
    a pharmacist that includes: compounding, dispensing
    and     labeling    of   drugs,     biologicals,    radio
    pharmaceuticals or devices; overseeing automated
    medication systems; interpreting and evaluating
    prescriptions; administering and distributing drugs,
    biologicals and devices; maintaining prescription drug
    records; advising and consulting on the therapeutic
    values, content, hazards and uses of drugs, biologicals
    and devices; managing and monitoring drug therapy;
    collecting, analyzing and monitoring patient data;
    performing drug utilization reviews; storing
    prescription     drugs   and    devices;     supervising
    technicians, interns and externs; and such other acts,
    services, operations or transactions necessary, or
    incidental to, providing pharmaceutical care and
    education. In accordance with written guidelines or
    protocols established with a licensed physician, the
    "practice of pharmacy" also includes collaborative drug
    therapy management including modifying, continuing
    or discontinuing drug or device therapy; ordering or
    performing of laboratory tests under collaborative drug
    therapy management; and ordering clinical tests,
    excluding laboratory tests, unless those tests are part of
    collaborative drug therapy management.
    [N.J.S.A. 45:14-41.]
    Chapter 14 further provides:
    "Pharmaceutical care" means the provision by a
    pharmacist of drug therapy review and other related
    patient care services intended to achieve positive
    outcomes related to the treatment, cure or prevention of
    A-2080-19
    12
    a disease; control, elimination or reduction of a
    patient’s symptoms; or arresting or slowing of a disease
    process as defined by the rules and regulations of the
    board.
    [N.J.S.A. 45:14-41 (emphasis added).]
    Notably, under Chapter 9, the practice of medicine involves "any method of
    treatment of human ailment[,]" N.J.S.A. 45:9-5.1, whereas under Chapter 14,
    pharmaceutical care involves "patient care services intended to achieve positive
    outcomes related to the treatment[,]" N.J.S.A. 45:14-41 (emphasis added).
    Pharmaceutical care being related to treatment, but not treatment itself, reflects
    that pharmacists and pharmacies do not render medical treatment to patients;
    rather, they are the means by which patients receive access to their treatment
    needs.
    Even where the practice of pharmacy involves working "in conjunction
    with . . . physicians" to provide "collaborative drug therapy management[,]"
    N.J.A.C. 13:39-13.2(a), a pharmacist may perform "[o]nly those activities that
    have been approved by the collaborating physician," N.J.A.C. 13:39-13.1, which
    shall only include the collecting, analyzing and
    monitoring of patient data; ordering or performing of
    laboratory tests based on the standing orders of a
    physician as set forth in the written protocol; ordering
    of clinical tests based on the standing orders of a
    physician as set forth in the written protocol, . . .
    modifying, continuing or discontinuing drug or device
    A-2080-19
    13
    therapy; and therapeutic drug monitoring with
    appropriate modification to dose, dosage regimen,
    dosage forms or route of administration.
    [N.J.S.A. 45:14-41.]
    These activities do not obviously constitute medical treatment and are akin to
    the others "related to" treatment.     Furthermore, to engage in collaborative
    practice with a physician, a pharmacist must "be pre-approved by the Board."
    N.J.A.C. 13:39-13.3. Petitioner does not indicate that it planned to engage in
    collaborative practice or would seek permission from the Board to do so.
    We acknowledge that in Kemp, our Supreme Court interpreted the word
    "treatment"1 and held, "[t]he plain meaning of "treatment" encompasses the
    administration of a vaccine." 147 N.J. at 300-01 (citing various legal and
    medical dictionaries for the proposition that "treatment" encompasses
    prevention of diseases). Later in its opinion, the Court explicitly stated, "[t]he
    introduction of the vaccine into [one]'s body, . . . to cause the body to react in a
    certain way, falls within the definition of medical treatment." Id. at 303-04
    1
    Kemp involved the issue of whether a State entity enjoyed immunity from
    liability under the Tort Claims Act, N.J.S.A. 59:6-4. 147 N.J. at 297, 299. The
    statute provided public entities with "absolute immunity for the failure to
    perform an adequate examination 'for the purpose of determining whether [a]
    person has a disease or physical or mental condition that would constitute a
    hazard to the health or safety of himself or others'" unless "the examination is
    'for the purpose of treatment."' Id. at 300.
    A-2080-19
    14
    (emphasis added).     Chapter 14 provides, the "[p]ractice of pharmacy . . .
    includes . . . administering a distributing drugs . . . ." N.J.S.A. 45:14-41. It
    further provides:
    "Administer" means the direct application of a drug to
    the body of a patient or research subject by
    subcutaneous, intramuscular or intradermal injection,
    inhalation or ingestion by a pharmacist engaged in
    collaborative practice or in accordance with regulations
    jointly promulgated by the board and the State Board of
    Medical Examiners.
    [Ibid.]
    While pharmacists provide medical treatment when they administer
    vaccines, most referrals from physicians to a pharmacy are not for vaccination,
    but rather for the dispensing of drugs and the other services encompassing the
    "practice of pharmacy" under N.J.S.A. 45:14-41, which do not constitute
    medical treatment or procedures. Petitioner does not claim its pharmacy would
    only be administering vaccines. Since the primary functions of a pharmacy do
    not include medical treatment, the Board did not err by finding the "in-office"
    exception to the Codey Law inapplicable.
    Petitioner also highlights the Board of Medical Examiners' regulations
    that "permit[] physicians to refer their own patients for bioanalytical tests to
    laboratories in which the physicians have a financial interest, and which are
    A-2080-19
    15
    located at the physicians' offices" and "permit[] physicians to dispense
    prescription drugs to their own patients in their offices."       N.J.A.C. 13:35-
    6.16(i)(1); N.J.A.C. 13:35-7.5(a).     Petitioner argues that if physicians are
    allowed to provide these services without violating the Codey Law, then they
    also can lawfully operate a pharmacy within their practice. We disagree.
    First, bioanalytical testing may constitute medical treatment and fit within
    the above-discussed exception to the Codey Law. More importantly, N.J.S.A.
    45:14-41 provides: "'Pharmacy practice site' means any place in this State where
    drugs are dispensed or pharmaceutical care is provided by a licensed pharmacist,
    but shall not include a medical office under the control of a licensed physician ."
    N.J.S.A. 45:14-41 (emphasis added). Accordingly, when physicians dispense
    medication directly to patients per N.J.A.C. 13:35-7.5, they do not act as
    pharmacists or a separate pharmaceutical entity. There is thus no "refer[ral]" . . .
    to a health care service" that would violate the Codey Law; instead, the
    dispensing falls within the scope of the doctor's medical practice.
    Petitioner maintains the Board exceeded the scope of its authority by
    interpreting, applying, and enforcing the Codey Law. Petitioner also contends
    the Pharmacy Practice Act (PPA), N.J.S.A. 45:14-40 to -82, only empowers the
    Board to regulate the practice of pharmacy, and thus the Board was not
    A-2080-19
    16
    authorized to enforce the Codey Law, which regulates the profession of
    physicians; instead, the New Jersey State Board of Medical Examiners has sole
    and exclusive authority to regulate the conduct of physicians in New Jersey.
    Citing Newcomb Sales v. Bd. of Pharmacy, 
    218 N.J. Super. 69
    , 71 (App. Div.
    1987), petitioner further argues the Board deviated from the PPA's directives,
    which "mandates issuance of a pharmacy permit," upon an applicant's
    satisfaction of the applicable statutory requirements to receive a permit, none of
    which prohibit physician ownership of pharmacies. Petitioner contends that "the
    Board may deny an application only for one or more of the eleven grounds
    specifically enumerated in the PPA." Thus, because it "satisfied each of the
    enumerated statutory and regulatory permit requirements," petitioner asserts
    "the Board lacked lawful power to deny the permit application based on a reason
    that was not enumerated in the controlling statute." We disagree.
    N.J.S.A. 45:14-42 provides:
    The [B]oard shall enforce the provisions of this act.
    The [B]oard shall have all of the duties, powers and
    authority specifically granted by or necessary for the
    enforcement of this act, as well as such other duties,
    powers and authority as it may be granted from time to
    time by applicable law.
    The statute delineating the Board's responsibilities and powers authorizes
    the Board to "deny . . . the permit of any pharmacy practice site" if the Board
    A-2080-19
    17
    finds "that any conduct of the . . . applicant is violative of any federal, State or
    local laws or regulations relating to the practice of pharmacy . . . ." N.J.S.A.
    45:14-75(b)(1) (emphasis added). The Codey Law reasonably relates to the
    practice of pharmacy, as it explicitly defines pharmacies as a health care service,
    N.J.S.A. 45:9-22.4, to which physicians are barred from referring their patients
    if they hold a beneficial interest in said pharmacy, N.J.S.A. 45:9-22.5(a). Thus,
    we conclude the Board acted within the scope of its authority under N.J.S.A.
    45:14-75(b) in denying petitioner's application because petitioner, a group of
    physicians, would violate a state law relating to the practice of pharmacy if
    permitted to operate the pharmacy.
    Petitioner next argues "the doctrine of equitable estoppel precludes the
    Board from lawfully denying [petitioner]'s application" because petitioner relied
    on the Board's previous grant and multiple renewals of a pharmacy permit to a
    similarly-structured in-house physician-owned pharmacy. The Board granted
    this application to Regional Cancer Care Associates LLC (RCCA) in 2014 and
    renewed it as recently as May 2019. Petitioner argues it "reasonably expected"
    its pharmacy permit would be granted, relying on the Board allowing RCCA to
    operate a physician-owned pharmacy. Based on this assumption, petitioner
    A-2080-19
    18
    asserts it has incurred costs in excess of $512,000 relating to its pharmacy
    application.
    Equitable estoppel "is designed to prevent injustice by not permitting a
    party to repudiate a course of action on which another party has relied to his
    detriment." Knorr v. Smeal, 
    178 N.J. 169
    , 178 (2003). This equitable doctrine
    is "founded in the fundamental duty of fair dealing imposed by law" and "is
    invoked in 'the interests of justice, morality and common fairness.'" 
    Ibid.
     (first
    quoting Casamasino v. City of Jersey City, 
    158 N.J. 333
    , 354 (1999); and then
    quoting Palatine I v. Plan. Bd., 
    133 N.J. 546
    , 560 (1993)). "[T]o establish
    equitable estoppel, plaintiffs must show that defendant engaged in conduct,
    either intentionally or under circumstances that induced reliance, and that
    plaintiffs acted or changed their position to their detriment." 
    Ibid.
     (citing Miller
    v. Miller, 
    97 N.J. 154
    , 163 (1984)). However, "[s]ubstantial detrimental reliance
    is not enough, 'only justified and reasonable reliance warrant the application of
    equitable estoppel[.]'" Gen. Accident Ins. Co. v. N.Y. Marine and Gen. Ins. Co.,
    
    320 N.J. Super. 546
    , 557 (App. Div. 1999) (quoting Palatine I v. Plan. Bd., 
    133 N.J. 546
    , 563 (1993)).
    "Equitable estoppel is rarely invoked against a governmental entity.
    However, equitable estoppel will be applied in the appropriate circumstances
    A-2080-19
    19
    unless the application would prejudice essential governmental functions."
    Middletown Twp. Policemen's Benevolent Ass'n Local No. 124 v. Twp. of
    Middletown, 
    162 N.J. 361
    , 367 (2000) (internal citations and quotation marks
    omitted) (quoting Wood v. Borough of Wildwood Crest, 
    319 N.J. Super. 650
    ,
    656 (App. Div. 1999)). We recently stated that "equitable considerations are
    relevant to assessing governmental conduct, and may be invoked to prevent
    manifest injustice." Tasa v. Bd. of Trs., 
    458 N.J. Super. 47
    , 60 (App. Div. 2019)
    (quoting In re Johnson, 
    215 N.J. 366
    , 378-79 (2013)).
    We reject petitioner's equitable estoppel argument.         The Board has
    conceded that it made a mistake when it granted the permit to RCCA and has
    filed an action for the rescission of RCCA's permit. We agree with the Board
    that "if approval of RCCA's application was in error, it was not required to repeat
    that error as to [petitioner]."
    Additionally, within four months of submitting its application to the
    Board, petitioner received notice the Board would likely reject its pharmacy
    application to avoid violating the Codey Law.          In May 2018, petitioner
    submitted the application under review, and in September 2018, the Board
    A-2080-19
    20
    denied the application for a physician-owned-pharmacy permit submitted by
    Summit Medical Group (SMG).2
    Finally, petitioner has not shown the Board reversing its position on
    physician-owned pharmacies to be unjust. See Johnson, 215 N.J. at 379-80
    ("Equitable estoppel is designed to prevent disavowal of prior conduct if a
    change of course would be unjust."). "[A]dministrative agencies generally have
    the inherent power to reopen or to modify and rehear prior decisions[,]"
    including "decision[s] involving the same parties and the identical subject
    matter . . . ." In re Trantino, 
    89 N.J. 347
    , 364 (1982).
    Additionally, an agency may revise its interpretation of a statute after
    testing the "wisdom of its policy" and to meet "the demands of changed
    circumstances . . . ." Glukowsky v. Equity One, Inc., 
    180 N.J. 49
    , 65-66 (2004)
    (citations omitted). Thus, the Board changing course to accord its policy with
    the Codey Law and the Board of Medical Examiners' position on physician-
    owned pharmacies did not amount to a "manifest injustice."
    We further agree with the Board arguments regarding petitioner's desire
    to open a pharmacy rather operate a dispensary:
    2
    The Board voted to deny SMG's application for a specialty pharmacy license
    at the conclusion of its September 27, 2018 meeting and explained the denial in
    an October 24, 2018 order and decision.
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    21
    Most telling, however, is [petitioner's] admission that
    there is a direct financial incentive for its desire to open
    a pharmacy rather operate a dispensary. [Petitioner]
    admits that operating a dispensary "would present a
    serious payment issue" because pharmacy benefit
    managers "deter payment by seeking to restrict patient
    access to physician dispensaries." [Petitioner] thus
    admits to a direct financial incentive for [its] physicians
    to prescribe medications to be filled at the proposed
    pharmacy, where they will obtain additional profit from
    owning that pharmacy. Nothing would prevent an
    [petitioner's] physician[s] from choosing to prescribe a
    drug that will provide a higher profit margin for the
    pharmacy than a lower cost drug, assuming both would
    provide a similar benefit for patient treatment, or worse,
    choosing to prescribe a drug that would be less
    efficacious but produce a higher profit for the pharmacy
    and its physician-owners. This potential financial gain
    should not[,] either actually or potentially[,] influence
    a treatment decision. This concern is the precise ill the
    Codey Law was intended to prevent.
    Lastly, petitioner argues the Board engaged in anti-competitive conduct
    by changing its position on physician owned pharmacies and denying
    petitioner's pharmacy application.      Petitioner claims the Board, which is
    "controlled by active market participants, i.e., practicing pharmacists[,]" denied
    petitioner (and SMG's) application "to protect its members' financial interests[]
    by prohibiting non-pharmacists from competing against them in the free
    market."
    A-2080-19
    22
    Petitioner relies on N.C. State Bd. of Dental Exam'rs v. Fed. Trade
    Comm'n, 
    574 U.S. 494
     (2015). In that case, the United States Supreme Court
    allowed the Federal Trade Commission (FTC) to bring a complaint against a
    dentist-run state dentistry board which, "after dentists complained to the Board
    that non-dentists were charging lower prices for certain services than dentists,
    "issued cease-and-desist letters to non-dentist teeth whitening service providers
    and product manufacturers, often warning that the unlicensed practice of
    dentistry is a crime." 
    Id. at 494
    .
    The Court considered whether the Board could claim state-action
    immunity, not the merits of the FTC's claims alleging "anticompetitive and
    unfair method of competition." 
    Id. at 501
    . Ultimately, the Court held that "a
    state board on which a controlling number of decisionmakers are active market
    participants in the occupation the board regulates" cannot "invoke state-action
    antitrust immunity" unless the state actively supervises the board for anti-
    competitive conduct. 
    Id. at 511-12
    . Because the State did not exercise active
    supervision over the dentistry board, the Court found the board was not immune
    from suit and affirmed the decision disciplining the board for violating antitrust
    law. See 
    Id. at 515
    .
    A-2080-19
    23
    Petitioner's reliance on this case is unpersuasive. Petitioner did not assert
    an anti-trust claim against the Board. Moreover, petitioner presents no evidence
    the Board acted improperly, but instead asks this court to "infer" the Board acted
    with an anti-competitive motive based on the Board's change-of-position on
    physician owned pharmacies after a large medical practice, SMG, applied to
    open a pharmacy.
    Furthermore, the State proactively screened the Board's denial of
    petitioner's pharmacy application for anti-competitive conduct and concluded
    the denial did not displace competition. Nothing suggests the State's review of
    the Board's decision was deficient. See N.C. State Bd. of Dental Exam'rs, 574
    U.S. at 515 (discussing state supervision over regulatory boards, which requires
    the supervisor review "the substance of the anticompetitive decision, not merely
    the procedures followed to produce it"; "the supervisor must have the power to
    veto or modify particular decisions to ensure they accord with state policy"; and
    "the state supervisor may not itself be an active market participant").
    In sum, petitioner fails to convincingly show the Board acted with an
    improper motive or arbitrarily, capriciously, or unreasonably.
    Affirmed.
    A-2080-19
    24