Court Opinion

ID: 3205731
Source: CourtListenerOpinion
Date Created: 2016-05-23 13:06:59.638095+00
Date Added: 2024-06-11T14:29:13.577062
License: Public Domain

Dennis Merchant v. State of Maryland, Misc. No. 16, September Term 2015, Opinion by
Greene, J.

Marshall Tyrone Stoddard v. Department of Health and Mental Hygiene, No. 81, September
Term 2015, Opinion by Greene, J.

CRIMINAL PROCEDURE —                    MENTAL HEALTH              —    RELEASE FROM
COMMITMENT

After an administrative hearing on a petition for release or revocation of conditional release,
the Circuit Court reviews the administrative findings and recommendations on the record
before the administrative law judge. The Circuit Court determines whether there was
substantial evidence to support the administrative law judge’s findings and recommendations.
Circuit Court for Prince George’s County
Case No. CT00-0536X
Case No. CT10-0648X
Argued: March 7, 2016
                                                       IN THE COURT OF APPEALS
                                                            OF MARYLAND

                                                           Misc. No. 16 and No. 81
                                                           September Term, 2015

                                                           DENNIS MERCHANT
                                                                   v.
                                                          STATE OF MARYLAND

                                                  MARSHALL TYRONE STODDARD
                                                              v.
                                               DEPARTMENT OF HEALTH AND MENTAL
                                                          HYGIENE

                                                           Barbera, C.J.
                                                           *Battaglia
                                                           Greene
                                                           Adkins
                                                           McDonald
                                                           Watts
                                                           Hotten,

                                                             JJ.

                                                             Opinion by Greene, J.

                                                   Filed: May 23, 2016

                                           *Battaglia, J., now retired, participated in the hearing and
                                           conference of this case while an active member of this
                                           Court; after being recalled pursuant to the Constitution,
                                           Article IV, Section 3A, she also participated in the
                                           decision and adoption of this opinion.
         In this case, we address the standard of review applicable to a circuit court’s review

of the findings and recommendations of an Administrative Law Judge (ALJ) for the grant

or revocation of a conditional release for a “committed person”1 pursuant to Md. Code

(2001, 2008 Repl. Vol., 2015 Cum. Supp.), §§ 3-114 et seq., of the Criminal Procedure

Article (“CP”).       The statutory scheme of CP, Title 3: Incompetency and Criminal

Responsibility in Criminal Cases was interpreted previously in Byers v. State, 184 Md. App.
499, 966 A.2d 982 (2009).

         The case of Dennis Merchant v. State of Maryland is before us by way of certified

question pursuant to Maryland Rule 8-304.2 The case of Marshall Tyrone Stoddard v.

1
 A “committed person” is “a person committed to the [Department of Health and Mental
Hygiene] as not criminally responsible under the test for criminal responsibility.” CP § 3-
101(b).
2
    Maryland Rule 8-304 provides:
        (a) Initiation. At any time before issuance of a mandate, the Court of Special
        Appeals or the panel of that Court to which the action has been assigned may
        certify a question of law or the entire action to the Court of Appeals. Upon
        transmission to the Court of Appeals, a copy of the certification shall be
        forwarded to the Chief Judge of the Court of Special Appeals and to the
        parties. The Court of Appeals may consider the certification pursuant to its
        authority to issue a writ of certiorari on its own motion.
        (b) Content. The certification shall briefly describe the action, state the
        question of law and the facts on which the question arises, and state the reason
        for certification.
        (c) Disposition of certification. The Court of Appeals may refuse the
        certification or may issue a writ of certiorari that (1) accepts the certification
        as submitted, (2) modifies the questions of law certified, (3) includes the
        entire action although only a question of law was certified, or (4) limits review
        to only a question of law although the entire action was certified. The Clerk
        of the Court of Appeals shall send the order refusing the certification or the
        writ of certiorari to the Court of Special Appeals and to the parties.
        (d) Record extract and briefs. If the Court of Appeals issues a writ of
Department of Health and Mental Hygiene is before us by way of petition for writ of

certiorari. Because both cases address common issues of law, we will address the following

questions, which we have rephrased in this consolidated opinion:3

         1. Did the Circuit Court err in determining that the statutory scheme, set forth
         in Criminal Procedure Article §§ 3-114, et seq., for the granting and/or
         revocation of the conditional release of a committed person violates the
         separation of powers provision found in Article 8 of the Maryland Declaration
         of Rights and is thus void as unconstitutional?

         2. Did the Circuit Court err in revoking Merchant’s conditional release and
         ordering his continued commitment for institutional inpatient care and
         treatment after the ALJ had found that Merchant was eligible for conditional
         release and had recommended the same?

         3. Did the Circuit Court err in refusing to consider the ALJ’s report and

         certiorari, the filing of a record extract and briefs shall be governed by Rules
         8-501 through 8-511 unless the Court orders otherwise.
3
    The certified questions from the Court of Special Appeals state:
         (1) Did the [C]ircuit [C]ourt err in determining that the statutory scheme, set
         forth in Crim. Proc. §§ 3-114, et seq., for the granting and/or revocation of the
         conditional release of a committed person violates the separation of powers
         provision found in Article 8 of the Maryland Declaration of Rights and is thus
         void as unconstitutional?
         (2) Did the [C]ircuit [C]ourt err in revoking Merchant’s conditional release
         and ordering his continued commitment for institutional inpatient care and
         treatment after the ALJ had found that Merchant was eligible for conditional
         release and had recommended the same?

The questions presented in the petition for certiorari state:
      (1) Does the MD[.] Code Criminal Procedure Art. § 3-115 et. seq., interpreted
      by the Court of Special Appeals in Byers v. State, 184 Md. App. 499 (2009),
      violate the MD[.] Declaration of Rights Art. 8 and did the trial court err as a
      matter of law when it conducted a de novo hearing in violation of the statute?
      (2) Did the trial court err in refusing to consider the ALJ’s report and
      recommendations and refusing to grant Petitioner’s conditional release?

                                                 2
         recommendations and refusing to grant Stoddard’s conditional release?

We shall answer these questions in the affirmative and hold that under CP §§ 3-114, et seq.,

the substantial evidence standard applies to a circuit court’s review of an ALJ’s findings of

facts and recommendations.

                   FACTUAL AND PROCEDURAL BACKGROUND

                                    A. Dennis Merchant

         On April 4, 2000, Dennis Merchant (“Merchant”) was indicted in the Circuit Court

for Prince George’s County for attempted carjacking, attempted robbery, second degree

assault, attempted theft over $500, and possession of a controlled dangerous substance.

Merchant entered a plea of not criminally responsible by reason of insanity on April 24,

2000. The Circuit Court for Prince George’s County found Merchant guilty of attempted

carjacking but not criminally responsible at the time of the commission of the offense and

committed him to the Department of Health and Mental Hygiene (“DHMH” or “Health

Department”).4 Between December 4, 2000 and August 19, 2014, the Circuit Court granted

Merchant conditional releases on various occasions but each conditional release was

subsequently revoked, resulting in Merchant’s recommitment to DHMH for treatment.

         Merchant’s appeal arises out of the following events. The State filed a petition for

revocation of Merchant’s conditional release on August 20, 20145 pursuant to CP §

4
    The State issued a nolle prosequi with regard to the remaining charges.
5
 The State’s petition was based on information that Merchant allegedly violated the terms
of his conditional release. Merchant allegedly went on unauthorized leaves of absence from

                                              3
3-121(c).6 On the same day, a deputy sheriff apprehended Merchant pursuant to a hospital

warrant7 issued by the Circuit Court in accordance with CP § 3-121(e) of the Criminal

Procedure Article.8 On February 26, 2015, ALJ D. Harrison Pratt for the Office of

Administrative Hearings (“OAH” or “the Office”) held a hearing on the State’s petition for

his community placement and did not seek voluntary psychiatric treatment when the staff
at his community placement requested that he do so.
6
    CP § 3-121(c) provides that:
         The petition for revocation or modification of a conditional release shall
         contain:
         (1) a statement that the committed person has violated a term of a conditional
         release and that there is therefore reason to believe that the committed person
         no longer meets the criteria for eligibility for conditional release;
         (2) a statement of the conditions violated;
         (3) the factual basis for the statements in items (1) and (2) of this subsection;
         (4) the most recent evaluation report on the committed person; and
         (5) the designation by the Health Department of the facility to receive the
         returned committed person.
7
    CP § 3-101(e) defines a hospital warrant as:
         [A] legal document issued by a court that: (1) authorizes any law enforcement
         officer in the State to apprehend a person who is alleged to have violated an
         order for conditional release and transport the person to a facility designated
         by the Health Department; and (2) requires that the issuance of the warrant is
         entered in the person’s criminal history record information of the criminal
         justice information system.
8
    CP § 3-121(e) states in pertinent part that:
         If the court’s review of the petition determines that there is probable cause to
         believe that the committed person has violated a conditional release, the court
         promptly shall:
         (1) issue a hospital warrant for the committed person and direct that on
         execution the committed person shall be transported to the facility designated
         by the Health Department . . . .

                                                4
revocation at Springfield Hospital Center, where Merchant was committed.9 In ALJ Pratt’s

Report on Revocation of Conditional Release Hearing (“Revocation Report”), he concluded

that Merchant “sustained his burden of establishing eligibility for conditional release.” ALJ

Pratt based his conclusion on testimony presented at the hearing, which he summarized in

his Revocation Report. He found by a preponderance of the evidence that:

       1. On or about September 21, 2000, the [c]ourt committed [Merchant] to
       [DHMH] after a verdict of Not Criminally Responsible for the charge of
       attempted carjacking.
       2. Subsequently [Merchant] was admitted to Springfield, a hospital under the
       control and jurisdiction of [DHMH].
       3. On or about July 26, 2013, the [c]ourt granted [Merchant] a conditional
       release.
       4. [Merchant] remained at Springfield until April 2014 when he was released
       to a residential placement, Arundel Lodge.
       5. [Merchant] was released on conditions as ordered by the [c]ourt.
       6. On August 19, 2014, the Arundel Lodge Program Manager notified the
       CFAP [Community Forensic Aftercare Program] that [Merchant] had violated
       the conditions of his release.
       7. [Merchant] violated condition #1 of his release by going on four separate
       unauthorized leaves of absence from Arundel Lodge. He violated condition
       #5 by refusing to admit himself to Springfield after being told to do so by
       Arundel Lodge staff.
       8. On August 19, 2014, after receiving correspondence from Arundel Lodge,
       the CFAP advised the State’s Attorney of [Merchant’s] violations. The
       State’s Attorney then filed a Petition for Revocation of Conditional Release.

9
 The hearing required under CP § 3-121(g) was initially postponed. CP § 3-121(f) provides
that “unless: (1) the hearing is postponed or waived by agreement of the parties; or (2)
[OAH] postpones the hearing for good cause shown,” the OAH shall hold a hearing
“[w]ithin 10 days after the committed person is returned to [DHMH] in accordance with the
hospital warrant.”

                                             5
         The [c]ourt issued a Hospital Warrant, and [Merchant] was returned to
         Springfield on August 20, 2014. He has been a patient at Springfield since
         that time.
         9. Upon his return to the hospital[,] his treating psychiatrist was Dr. Ngozi
         Nwanna.10
         10. Initially [Merchant] was irritable with mild mania on his return to to
         Springfield. He informed Dr. Nwanna that he had convinced his outpatient
         psychiatrist to decrease his medication dosage. This caused [Merchant] to
         decompensate.
         11. [Merchant] was diagnosed as having a bipolar condition with psychosis
         at the time of his readmission to Springfield.
         12. The hospital increased the dosage of his medication, and he quickly
         stabilized. He is currently stable while taking the appropriate dosage of
         medicine. He is doing exceptionally well at the hospital, and he has been
         compliant with those medicines prescribed for his condition. He is employed
         at the hospital, regularly attends group therapy sessions and is one of the better
         patients. He is currently free of any symptoms of his mental illness, and he
         has good insight as to his mental illness as well as sound judgment. He has
         reached the maximum level of improvement.
         13. Should [Merchant] be granted a conditional release he would again
         participate in the Arundel Lodge residential program, The staff from Arundel
         Lodge has agreed that he may rejoin their program. He would receive mental
         health treatment through Arundel Lodge, and the staff would monitor his
         medicines and activities.
         14. Dr. Nwanna and the staff at Springfield are of the opinion that [Merchant]
         is not now, as the result of any mental illness, a danger to himself or the
         person or property of others as long as he abides by the proposed conditions
         of release.

At the hearing, Merchant also testified on his own behalf. As the Revocation Report

summarized, Merchant understood “that he has a mental illness and is committed to taking

10
     The Revocation Report noted that Dr. Ngozi Nwanna is an expert in psychiatry.

                                                 6
his prescribed medications at the dosages prescribed.” Based on the evidence11 and

testimony12 presented at the hearing, ALJ Pratt concluded that the evidence demonstrates:

         [Merchant] has gained substantial insight into his mental illness and
         understands the critical connection between his mental health issues and his
         problems with the law. He has also exhibited insight into the incident that
         brought him to the Hospital. He has demonstrated significant improvement
         in his mental health. The evidence demonstrates that [Merchant] has
         cooperated fully with treatment in the Hospital, is compliant with his
         prescribed medication, and is committed to succeeding if he is released.
         [Merchant] also demonstrated a thorough knowledge of the rules for
         conditional release and expressed a sincere desire to comply with those
         conditions. He also exhibited insight into the role that his therapist would
         play in the community and expressed a willingness to return to the Hospital
         if it were to become necessary . . . . Accordingly, I conclude that [Merchant]
         has established that he would not be a danger to himself or to the person or
         property of others, as the result of a mental illness, if he were released subject
         to the proposed conditions.

ALJ Pratt recommended that Merchant be conditionally released from confinement for a

11
     The following joint exhibits were admitted into evidence:
         1. Psychiatric Report by Dr. Ngozi Nwanna, treating psychiatrist, February
         5, 2015.
         2. Notice of Hearing.
         3. Order of Revocation and Continued Commitment, July 18, 2008.
         4. Order revoking conditional release, October 28, 2011.
         5. Order granting conditional release, July 26, 2013.
         6. Letter from Arundel Lodge, August 19, 2014.
         7. Letter from the Community Forensic Aftercare Program (“CFAP”) to
         Alana Gayle, Assistant State’s Attorney for Prince George’s County, August
         19, 2014.
         8. Petition for Revocation of Conditional Release.
         9. Order for Hospital Warrant, August 19, 2014.
         10. Hospital Warrant, August 19, 2014.
12
 At the hearing, Merchant testified on his own behalf. Krista Hrasar, LCSW-C, Forensic
Coordinator and Dr. Ngozi Nwanna testified on behalf of DHMH.

                                                 7
period of five years. Citing CP § 3-121(h), the Revocation Report also noted that “[w]ithin

five (5) days after receipt of this report, the committed person or his attorney, the State’s

Attorney, or [DHMH] may file written exceptions to the determination made herein.”13 No

exceptions to the report were filed. The Revocation Report was mailed to the Honorable

Sean Wallace of the Circuit Court for Prince George’s County for court action. Copies of

the exhibits ALJ Pratt admitted into evidence were also forwarded to Judge Wallace.

       DHMH filed a “Motion to Hold a Hearing on the Record Made Before the Office of

Administrative Hearings,” which Merchant joined. In this motion, DHMH requested that

Judge Wallace submit on the ALJ’s findings and recommendations, and thereby adopt the

Revocation Report and order Merchant’s conditional release. Counsel for Merchant filed

a separate memorandum to address the issues of: (1) whether Byers v. State, 184 Md. App.
499, 966 A.2d 982 (2009) controlled Merchant’s case, which arises under CP § 3-121, and

(2) the implication of the separation of powers doctrine on Title 3 of CP.14 The motion and

memorandum addressed a prior Opinion Judge Wallace issued on October 28, 2011 after a

hearing on one of Merchant’s earlier revocations of conditional release. In the October 2011

opinion, Judge Wallace concluded that the ALJ procedure under Title 3 was unconstitutional

13
  CP § 3-121(h)(2) states: “Within 5 days after receipt of the report of the Office, the
committed person, the State’s Attorney, or the Health Department may file exceptions to the
determination of the Office.”
14
   The memorandum argued that Byers controlled Merchant’s case and that the
administrative provisions of Title 3 do not violate the separation of powers doctrine. We
will address these arguments below as they are essentially the same issues presented to us
on appeal.

                                             8
and refused to apply the substantial evidence standard per the interpretation outlined in

Byers.15

       On May 8, 2015, Judge Wallace held a hearing on ALJ Pratt’s recommendations. At

this hearing, DHMH asked Judge Wallace to consider its motion and reconsider his October

28, 2011 opinion with regard to his conclusions about the separation of powers doctrine and

the Court of Special Appeals interpretation of the law in Byers. Judge Wallace denied

DHMH’s motion. He stated, “I am going to also incorporate my prior written [October 28,

2011] opinion in this case and the analysis there . . . . my position is that you need to present

evidence before me to determine whether or not the release of Mr. Merchant would be

appropriate.” After allowing the parties to present evidence, and hearing testimony from Dr.

Ngozi Nwanna and Merchant, Judge Wallace issued an Opinion and Order on May 28,

2015. In this Opinion and Order, Judge Wallace noted that since January 3, 2001, Merchant

“has violated the conditions of his release several times.” Of those times, “the conditional

release was revoked a few times [during] the other times he was continued on conditional

15
  In his October 28, 2011 opinion, Judge Wallace concluded that the ALJ release hearing
under CP § 3-115, et. seq., violates the separation of powers doctrine. Based on this
premise, he refused to defer to the ALJ’s recommendation of conditional release and
revoked Merchant’s conditional release. Merchant was granted leave to appeal this decision
to the Court of Special Appeals. The Court of Special Appeals initially granted the
application but later dismissed the appeal on its own motion because “a brief or record
extract was not filed by the appellant within the time prescribed by Rule 8-502.” Md. Rule
8-602(a)(7).

                                               9
release.”16 Judge Wallace discussed the interpretation of the statutory scheme explained in

Byers17 and the separation of powers doctrine of Article 8 of the Maryland Declaration of

Rights. He then concluded that “the ALJ in a release hearing is performing a judicial

function” in violation of the separation of powers doctrine. Judge Wallace rejected the

substantial evidence standard discussed in Byers, stating that while “[a] review of the ALJ’s

record reveals that there was sufficient evidence to support his recommendation that the

defendant be conditionally released again . . . . The statute that requires the court to defer to

[the ALJ’s] recommendation is unconstitutional and thus I do not defer to it.” He further

concluded that he was “unpersuaded by [DHMH’s] psychiatrist and the other incomplete

16
     Judge Wallace recounted some of Merchant’s prior violations of conditional release:

         On August 17, 2010, defendant threw a large rock through the window of an
         occupied car, sending glass shards into the car and injuring the two occupants
         . . . . Six days later on September 13, 2010, deputies with the Calvert County
         Sheriff’s Office came into contact with defendant . . . . [when] [d]efendant []
         approached a group of children waiting for a school bus and started yelling[,]
         “My [n***as] is coming for y’all.” He was arrested for disorderly conduct
         and while being transported to the Calvert County jail, the defendant stated
         numerous times that he would “get a gun and take care of [s**t] around here.”

Judge Wallace also elaborated on the events leading up to the most recent petition for
revocation of conditional release. He noted that Merchant made four unauthorized leaves
of absence, one of them leading to “a citizen call to the police regarding ‘some disturbing
behavior at a 7-11.’” He stated that Merchant was also suffering from “hypersexual
ideation, grandiose delusions and verbalized aggression to his therapist.”
17
  In his October 28, 2011 Opinion, Judge Wallace concurred with the parties that the case
was controlled by Byers but concluded that the Court of Special Appeals interpretation of
the law in that case “raises constitutional problems.” Because he found the interpretation
in Byers to be unconstitutional, he refused to defer to it.

                                               10
evidence, that defendant has shown he would not be a danger if released with the

recommended conditions” and revoked Merchant’s conditional release.

         On November 6, 2015, the Court of Special Appeals granted Merchant’s Application

for Leave to Appeal. On November 9, 2015, the Court of Special Appeals certified

Merchant’s appeal to this Court to answer two certified questions.

                                   B. Marshall Stoddard

         On May 21, 1010, Marshall Stoddard (“Stoddard”) was indicted in the Circuit Court

for Prince George’s County for first and second-degree attempted sexual offense, first and

second-degree attempted rape; first and second-degree assault; and false imprisonment.18

Stoddard entered a plea of not criminally responsible by reason of insanity on October 5,

2010. On January 7, 2011, Judge Wallace found Stoddard guilty of attempted second-

degree sexual offense.19 He also found Stoddard not criminally responsible at the time of

the commission of the offense. The court committed Stoddard to DHMH. On February 24,

2011, an administrative hearing was held to determine Stoddard’s eligibility for release from

18
   The record indicates that on or about April 12, 2010, Stoddard cut his 81-year-old
grandmother on the face and hands with a butcher knife and then poured salt in her wounds.
He also attempted to force his grandmother to engage in sexual intercourse. Stoddard had
been released from a psychiatric hospitalization a week earlier. At the time of the assault,
Stoddard was not in compliance with his prescription medications and was also using PCP,
“mushrooms,” and alcohol. In Stoddard’s account of the incident, he reported that he had
a psychotic episode and believed his grandmother was a succubus.
19
     The State issued a nolle prosequi with regard to the remaining charges.

                                              11
commitment pursuant to CP § 3-115.20 Stoddard appeared at the hearing, waived his right

to an evidentiary hearing, and agreed to remain committed to DHMH. Subsequently, Judge

Wallace issued an Order of Continued Commitment on March 23, 2011.

         On December 27, 2013, Stoddard filed an application for release pursuant to CP §

3-119(b).21 In a letter dated December 30, 2013, the staff at Thomas B. Finan Center

(“Finan Center”) where Stoddard was committed recommended that he be placed on

conditional release for a period of five years. On January 10, 2014, ALJ Michael J. Wallace

held a hearing on the application for release at the Finan Center. In ALJ Wallace’s “Report

on Release Eligibility” (“Release Report”), he found that Stoddard had sustained his burden

of proof for conditional release. CP § 3-114(d) provides that “a committed person has the

burden to establish by a preponderance of the evidence eligibility for discharge or eligibility

20
     CP § 3-115 provides in pertinent part:
         (a) When required. Within 50 days after commitment to the Health
         Department under § 3-112 of this title, a hearing officer of the Health
         Department shall hold a hearing to consider any relevant information that will
         enable the hearing officer to make recommendations to the court as to whether
         the committed person is eligible for release under § 3-114 of this title.
         (b) Postponement or waiver. (1) The release hearing may be postponed for
         good cause or by agreement of the committed person and the Health
         Department.
         (2) The committed person may waive the release hearing.
21
     CP § 3-119(b) provides in pertinent part:
         (1) To apply for release under this subsection, the committed person shall file
         an application for release with the Health Department and notify the court and
         State’s Attorney, in writing, of this request.
         (2) The provisions of this title governing administrative hearing and judicial
         determination of eligibility for release apply to any application for release
         under this subsection.

                                               12
for conditional release.”22 ALJ Wallace found by a preponderance of the evidence that:

          1. On January 7, 2011, after a verdict of NCR [not criminally responsible] to
          second degree attempted sexual offense, the [c]ourt committed [Stoddard] to
          [DHMH] for inpatient care and treatment.
          2. [Stoddard] was initially placed at [Clifton T.] Perkins [Hospital Center],
          and then transferred to the [Finan] Hospital on September 24, 2012, where he
          remains today.
          3. Since his admission, [Stoddard] has been able to maintain the highest level
          of privileges available to him, which includes being off the locked nursing
          unit for an hour at a time unescorted and community visits with staff
          supervision. These community visits have been without incident. [Stoddard]
          has only lost privileges at times due to violations of the hospital smoking
          policy.
          4. [Stoddard] was required to register as a Tier I sex offender and complied
          with this after admission. He has also been compliant with subsequent re-
          registrations.
          5. [Stoddard] has been assigned to a number of groups, including The
          Courage to Change, Stress Management, Leisure Skill Development, Leisure
          Awareness, Health Club, Volunteer, Community Leisure Skills, Values,
          Community Meeting, Release Readiness, Smoking Recovery, Community
          Leisure Skills, and individual therapy groups. In addition, he regularly attends

22
     CP § 3-114 governs a committed person’s eligibility for release or discharge:
         (a) In general. A committed person may be released under the provisions of
         this section and §§ 3-115 through 3-122 of this title.
         (b) Discharge. A committed person is eligible for discharge from
         commitment only if that person would not be a danger, as a result of mental
         disorder or mental retardation, to self or to the person or property of others if
         discharged.
         (c) Conditional release. A committed person is eligible for conditional
         release from commitment only if that person would not be a danger, as a result
         of mental disorder or mental retardation, to self or to the person or property
         of others if released from confinement with conditions imposed by the court.
         (d) Burden of proof. To be released, a committed person has the burden to
         establish by a preponderance of the evidence eligibility for discharge or
         eligibility for conditional release.

                                                13
         [Finan] Hospital’s NA/AA Meetings.
         6. [Stoddard] continues to be medication compliant and will ask questions
         about his medication as he takes them. [Stoddard] also consistently verbalizes
         his need for medications. No delusions or hallucinations have been noted and
         when he was asked about his medications, he stated, “I wish I had these
         medications 20 years ago.”
         7. [Stoddard] has mental disorders diagnosed as Schizoaffective Disorder and
         History of Polysubstance Abuse on Axis I.
         8. [Stoddard] has been an active participant in treatment since his admission
         to the [Finan] Hospital. He has been compliant with all aspects of treatment
         and has been willing to discuss the crime that resulted in the finding of NCR
         and how his illness impacted his ability to confirm his behaviors to the
         requirements of the law. [Stoddard] verbalizes acceptance of his
         responsibility that in order to prevent future incidents, he needs to remain
         compliant with his medications, maintain close working relationships with his
         treatment providers and avoid the stressors that resulted in his decompensation
         and subsequent crimes.
         9. [Stoddard] is currently prescribed the following psychiatric medications:
                Prolixin 5mg twice daily for Schizoaffective Disorder
                Lamictal 150mg daily for mood stabilization
                Cogentin 2mg at bedtime for prevention of extra-pyramidal symptoms
                Oxcarbazepine 600mg in the morning and 600 mg at bedtime for mood
                stabilization
                Gabapetin 600mg three times daily for mood stabilization
                Geodon 160mg daily for mood disorder
                Trazodone 100mg at bedtime for insomnia
         10. [Stoddard] is currently stable and compliant with medication, attends
         various groups and is active in discussing and preparing for his discharge.
         [Stoddard] has not been a behavioral problem and has not exhibited any
         assaultive behavior since being adjudicated NCR.

Based on the evidence23 and the testimony24 presented at the hearing, ALJ Wallace

23
     The following joint exhibits were admitted into evidence by ALJ Wallace:
         1. Notice of Hearing.
         2. Letter from Kelly A. Clark, Assistant Public Defender, to Judy Hott, CEO,
         Thomas B. Finan Center, December 27, 2013.

                                               14
concluded that the evidence was “persuasive that [Stoddard] would not be a danger to

himself or others if released subject to the proposed conditions” and recommended that

Stoddard be conditionally released for five years. Citing CP § 3-116(d), the Release Report

noted that “[w]ithin ten (10) days after receipt of this report, the committed person or his

attorney, the State’s Attorney, or [DHMH] may file written exceptions to the determination

made herein.”25 No exceptions to the report were filed. The Release Report and copies of

the exhibits ALJ Wallace admitted into evidence were forwarded to Judge Wallace.

       On April 4, 2014, Judge Wallace held a hearing on Stoddard’s conditional release.

As in Merchant’s case, DHMH filed a “Motion to Hold a Hearing on the Record Made

Before the Office of Administrative Hearings.”         Judge Wallace denied the motion,

       3. Order of Continued Commitment, March 23, 2011
       4. Commitment to the Department of Health and Mental Hygiene After a
       Verdict of Not Criminally Responsible, January 7, 2011.
       5. Order of Court, October 20, 2010.
       6. Commitment to the Department of Health and Mental Hygiene for
       Examination and Report as to Defendant’s Criminal Responsibility at the
       Time of the Commission of the Alleged Offense and Competency to Stand
       Trial, October 8, 2010.
       7. Findings, Conclusions, and Order of Conditional Release, undated.
       8. Psychiatric Report by Janet L. Hendershot, Ph.D., and Taiwo Okusami,
       M.D., December 30, 2013.
24
  Taiwo Okusami, M.D., who is an expert in general psychiatry and Janet L. Hendershot,
Ph.D., Stoddard’s psychologist, testified on behalf of DHMH. Stoddard testified on his own
behalf.
25
   CP § 3-116(d) states: “The committed person, the State’s Attorney, or the Health
Department may file exceptions to the report of the Office within 10 days after receiving the
report.”

                                             15
explaining that he finds the statute to be unconstitutional for violating the separation of

powers doctrine “for the reasons that I’ve stated previously in writing in State versus

Merchant.” Counsel for DHMH and Stoddard objected to the admission of any testimony

at the hearing, which Judge Wallace overruled, stating, “I’m going to allow [Stoddard] to

present evidence that he thinks might justify my authorizing such a release.” He further

stated that “I’m not going to consider the administrative law judge’s thing [Release Report],

but there is a copy of it in the file for the record.” He then proceeded to hear testimony from

Dr. Okusami, Stoddard’s treating psychiatrist, a social worker who has worked with

Stoddard during his time at Finan, and Stoddard himself. At the conclusion of the hearing,

Judge Wallace declared that “it certainly seems [Stoddard has] made progress, but I’m not

persuaded at this time -- and I’m going to deny the request for conditional release.”

       The Court of Special Appeals granted Stoddard’s application for leave to appeal on

June 29, 2015. Prior to any proceedings in the Court of Special Appeals, Stoddard filed a

petition for writ of certiorari in this Court, which we granted.26 Stoddard v. Dept. of Health

and Mental Hygiene, 445 Md. 487, 128 A.3d 51 (2015).

26
  In his brief, Stoddard notes that on April 24, 2015, OAH held a hearing on a new petition
for release filed by Stoddard but that the results of this hearing are unclear. In a footnote,
Stoddard explains that his counsel was filing a motion to supplement the record to determine
whether his appeal was moot. Apparently, no such motion was filed. Regardless of whether
Stoddard’s case is moot, the facts of his case present “a recurring matter of public concern
which, unless decided, will continue to evade review.” La Valle v. La Valle, 432 Md. 343,
352, 69 A.3d 1, 7 (2013) (citations omitted). Thus, we will consider his case on the merits.

                                              16
                              STANDARD OF REVIEW

      “The interpretation of a statute is a question of law, which we consider de novo.”

Harrison-Solomon v. State, 442 Md. 254, 265, 112 A.3d 408, 415 (2015). To determine the

General Assembly’s intent under the statutory scheme of CP, Title 3, we apply the rules of

statutory construction, which this Court has summarized in numerous cases:

      The cardinal rule of statutory interpretation is to ascertain and effectuate the
      real and actual intent of the Legislature. A court’s primary goal in interpreting
      statutory language is to discern the legislative purpose, the ends to be
      accomplished, or the evils to be remedied by the statutory provision under
      scrutiny.

      To ascertain the intent of the General Assembly, we begin with the normal,
      plain meaning of the statute. If the language of the statute is unambiguous
      and clearly consistent with the statute’s apparent purpose, our inquiry as to the
      legislative intent ends ordinarily and we apply the statute as written without
      resort to other rules of construction. We neither add nor delete language so
      as to reflect an intent not evidenced in the plain and unambiguous language
      of the statute, and we do not construe a statute with forced or subtle
      interpretations that limit or extend its application.

      We, however, do not read statutory language in a vacuum, nor do we confine
      strictly our interpretation of a statute’s plain language to the isolated section
      alone. Rather, the plain language must be viewed within the context of the
      statutory scheme to which it belongs, considering the purpose, aim, or policy
      of the Legislature in enacting the statute. We presume that the Legislature
      intends its enactments to operate together as a consistent and harmonious body
      of law, and, thus, we seek to reconcile and harmonize the parts of a statute, to
      the extent possible consistent with the statute’s object and scope. Where the
      words of a statute are ambiguous and subject to more than one reasonable
      interpretation, or where the words are clear and unambiguous when viewed
      in isolation, but become ambiguous when read as part of a larger statutory
      scheme, a court must resolve the ambiguity by searching for legislative intent
      in other indicia, including the history of the legislation or other relevant
      sources intrinsic and extrinsic to the legislative process. In resolving
      ambiguities, a court considers the structure of the statute, how it relates to

                                             17
       other laws, its general purpose and relative rationality and legal effect of
       various competing constructions.

       In every case, the statute must be given a reasonable interpretation, not one
       that is absurd, illogical or incompatible with common sense.

Gardner v. State, 420 Md. 1, 8–9, 20 A.3d 801, 806 (2011) (citing State v. Johnson, 415
Md. 413, 421–22, 2 A.3d 368, 373 (2010)).

                                     DISCUSSION

       The procedure under Maryland law for dealing with those not criminally responsible

was changed in 1984 with the inception of Senate Bill 645 which resulted in the enactment

of 1984 Md. Laws, Chap. 501. The purpose of Senate Bill 645 was to “revise, restate, and

recodify the laws relating to incompetency and criminal responsibility in criminal cases.”

Senate Judicial Proceedings Committee, Summary of Committee Report, S.B. 645 at 3 (Md.

1984) (hereinafter Summary of Committee Report ). The Summary of Committee Report

further provided that “[t]he purpose of the bill is to implement the recommendations of the

Task Force27 in an effort to streamline and strengthen, where necessary, the procedures for

the defense of not criminally ‘responsible’ in Maryland.” Id. Senate Bill 645 was originally

codified in Md. Code (1982, 1989 Cum. Supp.), § 12-101 et.seq., of the Health-General

Article (“HG”) and later recodified as Title 3 of CP.

       In both cases before us, the Circuit Court concluded that the statutory scheme set

27
  In 1982, Governor Hughes appointed the “Task Force to Review the Defense of Insanity”
to examine the insanity defense in Maryland. Chapter 501 of the Acts of 1984 was enacted
pursuant to the report and recommendations of the Task Force.

                                            18
forth in CP §§ 3-114, et. seq., for the granting and/or revoking of the conditional release of

a committed person is unconstitutional. All parties contend that this conclusion was in error.

It is well documented that State statutes enjoy “a strong presumption of constitutionality.”

Burruss v. Bd. of Cty. Commissioners of Frederick Cty., 427 Md. 231, 263, 46 A.3d 1182,

1201 (2012). Furthermore, “[w]e do not presume that the Legislature intended to enact

unconstitutional legislation and, if it did so intend, we would limit a statute to only those

situations in which it would pass constitutional muster.” Harrison-Solomon, 442 Md. at

287, 112 A.3d at 428. While the Honorable Charles E. Moylan, Jr. did not specifically

address the constitutionality of Title 3 in Byers, his analysis properly proceeded on the

presumption that Title 3 is constitutional. We begin our discussion on the same premise.

                           The Separation of Powers Doctrine

       In Maryland, the separation of powers doctrine is embodied in Article 8 of the

Maryland Declaration of Rights.28 We recently stated that this “doctrine does not, however,

rigidly establish strict lines of demarcation between the three branches of government.”

Meyer v. State, 445 Md. 648, 672, 128 A.3d 147, 161 (2015). We have repeatedly

recognized the concept of constitutional elasticity. See Meyer, 445 Md. at 673, 128 A.3d

at 162 (“In Maryland, we have applied this ‘sensible degree of elasticity’ when alleged

violations of the separation of powers doctrine occurred.”); McCulloch v. Glendening, 347

28
  “That the Legislative, Executive and Judicial powers of Government ought to be forever
separate and distinct from each other; and no person exercising the functions of one of said
Departments shall assume or discharge the duties of any other.” Md. Decl. of Rts. art. 8.

                                             19
Md. 272, 284, 701 A.2d 99, 105 (1997) (“Thus, the separation of powers doctrine does not

require absolute separation between the branches of government.”); Dep’t of Nat. Res. v.

Linchester Sand & Gravel Corp., 274 Md. 211, 220, 334 A.2d 514, 521 (1975) (“We believe

this to be permissible, within limits, as the separation of powers concept may constitutionally

encompass a sensible degree of elasticity and should not be applied with doctrinaire rigor.”).

In Linchester Sand & Gravel Corp., we specifically discussed the separation of powers

doctrine as it pertains to administrative agencies:

       In response to the practical needs of government, not only has there been an
       extensive introduction of these administrative agencies in this State, as is true
       in most if not all of our sister states, but in addition, as a consequence of this
       need, there has occurred within these agencies some mingling, blending and
       overlapping of the legislative, executive and judicial functions. We believe
       this to be permissible, within limits, as the separation of powers concept may
       constitutionally encompass a sensible degree of elasticity and should not be
       applied with doctrinaire rigor.
274 Md. at 220, 334 A.2d at 521. The concept of constitutional elasticity is not, however,

without limits. “[C]onstitutional ‘elasticity’ cannot be stretched to a point where, in effect,

there no longer exists a separation of governmental power, as the Maryland Constitution

does not permit a merger of the three branches of our State government, nor does it ‘make

any one of the three departments subordinate to the other, when exercising the trust

committed to it.’” Id. (citation omitted).

       The appellants, Merchant and Stoddard, argue that the interpretation of the statutory

scheme in Byers was correct, applicable to their cases, and the Circuit Court erred by

declining to apply this precedent. Pursuant to Byers, there was substantial evidence to

                                              20
support the ALJ’s recommendation to release Merchant and Stoddard, respectively.

Therefore, Merchant and Stoddard ask that we reverse the judgment of the Circuit Court and

direct the Circuit Court to approve the ALJ’s recommendations in their respective cases.

       In contrast, Appellees DHMH and the Criminal Appeals Division of the Office of the

Attorney General (“the Criminal Appeals Division”) argue that the intermediate appellate

court was mistaken in Byers when it concluded the statutory scheme of Title 3 imposed a

substantial evidence review requirement on the Circuit Court. They claim that the Byers

interpretation violates the separation of powers doctrine because requiring the court to

review the ALJ decision for substantial evidence results in an impermissible delegation of

judicial authority to the executive branch. Both appellees suggest alternative interpretations

of the statutory scheme of Title 3.

       DHMH contends that the proper role of the Circuit Court is to rely on the record

developed in the OAH and accord deference to the purely factual findings of the ALJ but

to make its own conclusion on the merits of the case. It analogizes the role of the ALJ under

Title 3 to that of the use of masters, now magistrates. Citing In re Marcus J., 405 Md. 221,

950 A.2d 787 (2008), DHMH explains that courts may delegate the process of fact finding

and the making of recommendations to a magistrate, but a magistrate may not exercise the

judicial authority of rendering ultimate determinations. Based on its interpretation of the

statutory scheme, DHMH asserts that the Circuit Court erred in both Merchant’s and

Stoddard’s cases because the uncontroverted evidence before the Circuit Court was that

                                             21
Merchant and Stoddard, respectively, would not be a danger to himself or others.

Meanwhile, the Criminal Appeals Division espouses the view that the court has the inherent

authority to hold a supplemental evidentiary hearing. Based on its interpretation of the law,

the Criminal Appeals Division concludes that the Circuit Court did not err when it refused

to grant Merchant and Stoddard a conditional release. In Merchant’s case, the Criminal

Appeals Division states that Merchant’s long history of violations of conditional release

properly rebutted the testimony of his treating psychiatrists. In Stoddard’s case, the Division

states that based on the exceptional violence of Stoddard’s crime, the court properly found

that Stoddard did not meet his burden of proving by a preponderance of the evidence that

he would not be a danger to himself or others if conditionally released. We address the

interpretations proposed by DHMH and the Criminal Appeals Division below and conclude

that the interpretation of Title 3 in Byers is more persuasive and does not violate the

separation of powers doctrine.

       In Byers, the Judge Moylan performed a detailed examination of CP, Title 3. He

described the statutory scheme as calling “for release or discharge to be a hybrid

determination engaging both the executive branch and the judicial branch in the decisional

process.” Byers, 184 Md. App. at 505, 966 A.2d at 986. DHMH and OAH “act on behalf

of the executive branch” while “[t]he circuit court acts for the judicial branch.” Id. The

statutory scheme here prescribes mandatory judicial review. Generally, an “administrative

decision takes effect and is a final resolution of the problem” if no petition for judicial

                                              22
review is taken. Byers, 184 Md. App. at 511S12, 966 A.2d at 990. Title 3 presents a

situation where the administrative decision is not “self-executing,” rather, “[a] judge must

‘sign off’ on the release or discharge.” Byers, 184 Md. App. at 511, 966 A.2d at 990. This

occurs because a person found not criminally responsible is “committed” by the circuit court,

so only the circuit court may “uncommit” the person. Id. Judge Moylan concluded that “the

basic release or discharge determination is intended to be an administrative decision to be

made within the executive branch of government, subject only to judicial monitoring of its

procedural propriety, and is not intended to be something that segues into an actual judicial

determination on the ultimate merits.” Byers, 184 Md. App. at 514, 966 A.2d at 991.

Therefore, the role of the circuit court is to determine whether the evidence “was substantial

enough to support the conclusions and the recommendation of the ALJ.” Byers, 184 Md.

App. at 532, 966 A.2d at 1002.

       Judge Moylan’s interpretation of the statutory scheme in Byers does not violate the

separation of powers doctrine. Generally, judicial review of an administrative hearing is a

creature of statute rather than a constitutional or common law right. Parlato v. State

Comm’n on Human Relations, 76 Md. App. 695, 698, 548 A.2d 144, 145S46 (1988) cert.

denied, 314 Md. 497, 551 A.2d 867 (1989); see also Criminal Injuries Compensation Board

v. Gould, 273 Md. 486, 500, 331 A.2d 55 (1975). We also note that the circuit courts “have

an inherent power to review administrative agency decisions.” Anne Arundel Cty. v. Halle

Dev., Inc., 408 Md. 539, 556, 971 A.2d 214, 224 (2009). The circuit court’s power “in

                                             23
reviewing an administrative agency adjudicatory decision is narrow[.] [I]t is limited to

determining if there is substantial evidence in the record as a whole to support the agency’s

findings and conclusions, and to determine if the administrative decision is premised upon

an erroneous conclusion of law.” Cosby v. Dep’t of Human Res., 425 Md. 629, 638, 42
A.3d 596, 601 (2012) (citing Board of Physician Quality Assurance v. Banks, 354 Md. 59,

67–68, 729 A.2d 376, 380 (1999)). CP § 3-116 provides:

       (a) In general. Within 10 days after the hearing ends, the Office shall prepare
       a report of recommendations to the court that contains:
       (1) a summary of the evidence presented at the hearing;
       (2) recommendations of the Office as to whether the committed person
       proved, by a preponderance of the evidence, eligibility for conditional release
       or eligibility for discharge; and
       (3) if the Office determines that the committed person proved eligibility for
       conditional release, the recommended conditions of the release in accordance
       with subsection (b) of this section.

       (b) Consideration of conditions for release. In recommending the conditions
       of a conditional release, the Office shall give consideration to any specific
       conditions recommended by the facility of the Health Department that has
       charge of the committed person, the committed person, or counsel for the
       committed person.

       (c) Copies of report. The Office shall send copies of the report of
       recommendations:
       (1) to the committed person;
       (2) to counsel for the committed person;
       (3) to the State’s Attorney;
       (4) to the court; and
       (5) to the facility of the Health Department that has charge of the committed
       person.

       (d) Exceptions. The committed person, the State’s Attorney, or the Health
       Department may file exceptions to the report of the Office within 10 days after
       receiving the report.

                                             24
CP § 3-117 provides:

       (a) In general. Within 30 days after the court receives the report of
       recommendations from the Office:
       (1) the court on its own initiative may hold a hearing; or
       (2) if timely exceptions are filed, or if the court requires more information, the
       court shall hold a hearing unless the committed person and the State’s
       Attorney waive the hearing.

       (b) Conduct of hearing. (1) The court shall hold the hearing on the record that
       was made before the Office.
       (2) At the judicial hearing, the committed person is entitled to be present and
       to be represented by counsel.
       (3) The court may continue its hearing and remand for the Office to take
       additional evidence.

Pursuant to CP § 3-116, no conclusive action in a case is taken until the circuit court acts.

As Judge Moylan explained, the language of CP § 3-117(b)(1) “mandates that the court

hearing shall be ‘on the record that was made before the Office’” and “[m]ost significantly,

subsection [CP § 3-117](b)(3) then goes on to prescribe the steps that need to be taken in

case further evidence should be needed.” Byers, 184 Md. App. at 514, 966 A.2d at 991.

Specifically, the circuit court must remand to OAH for the taking of additional evidence.

What is unique about the statutory power of judicial review described here is that it is

mandatory. This does not render the procedure unconstitutional, rather, given the unique

judiciary-executive branch hybrid at play, it avoids the separation of powers problem that

would otherwise arise. An individual who has committed a crime but is found not criminally

responsible is not sanctioned, instead, the remedy is treatment under the aegis of DHMH.

Harrison-Solomon, 442 Md. at 286S87, 112 A.3d at 428. As Judge Moylan noted, it is,

                                              25
however, the circuit court that commits the individual, therefore, only the circuit court may

release, conditionally or otherwise, the individual. To allow an ALJ’s findings and

recommendations to go into effect automatically under the judiciary-executive hybrid

created under Title 3 would beget the impermissible situation where the judicial branch is

made subordinate to the executive branch, stretching the concept of constitutional elasticity

“to a point where, in effect, there no longer exists a separation of governmental power.”

Linchester Sand & Gravel Corp., 274 Md. at 220, 334 A.2d at 521. As explained above, the

substantial evidence standard of review put forth by Judge Moylan is the commonly

accepted standard for court review of administrative decisions and does not, as the appellees

contend, impermissibly delegate judicial authority to the executive branch.

       To give a circuit court the authority to make its own decision on the merits of the case

as suggested by DHMH or hold its own de novo hearing as proposed by the Criminal

Appeals Division would yield a result that violates the separation of powers doctrine. See

Linchester Sand & Gravel Corp., 274 Md. at 229, 334 A.2d at 525S26 (striking down the

subparagraph of the statute which “in substance provides for a de novo trial free of the

Administrative Procedure Act.”).         The DHMH’s analogy overlooks a significant

distinguishing feature between the role of a juvenile magistrate and the role of an ALJ.

Magistrates are arms of the judiciary whereas ALJs perform executive functions. Article

IV, § 9, of our State Constitution authorizes the circuit courts “to appoint masters as officers

of the court,” giving a magistrate a ministerial role. Harryman v. State, 359 Md. 492, 505,

                                              26
754 A.2d 1018, 1025 (2000); see also In re Marcus J., 405 Md. at 235, 950 A.2d at 795.

Because a magistrate functions as part of the judiciary, there is no separation of powers issue

when the circuit court makes its own decision on the merits of the case or holds a de novo

hearing—all actions occur within the judiciary branch. To apply this procedure to the role

of the ALJ under Title 3, however, creates a separation of powers problem because it would

allow a circuit court, exercising judicial authority, to essentially “assume or discharge the

duties of” an ALJ’s exercise of executive power. Md. Decl. of Rts. art. 8. Therefore, we

agree with Judge Moylan that pursuant to Title 3, the General Assembly, consistent with the

separation of powers doctrine, intended for a circuit court judge to apply the substantial

evidence standard to its review of an ALJ’s findings of facts and recommendation.

                                  The Statutory Scheme

       All parties point to CP § 3-118 as the source of ambiguity in the statutory scheme.

CP § 3-118 describes the action to be taken by a court upon receiving a report from OAH,

providing in pertinent part:

       (a) In General. Within 15 days after a judicial hearing ends or is waived, the
       court shall determine whether the evidence indicates that the committed
       person proved by a preponderance of the evidence eligibility for release, with
       or without conditions, in accordance with § 3-114 of this title, and enter an
       appropriate order containing a concise statement of the findings of the court,
       the reasons for those findings, and ordering:
              (1) continued commitment;
              (2) conditional release; or
              (3) discharge from commitment.

       (b) Order without hearing. (1) If timely exceptions are not filed, and, on
       review of the report of recommendations from the Office, the court determines

                                              27
       that the recommendations are supported by the evidence and a judicial hearing
       is not necessary, the court shall enter an order in accordance with the
       recommendations within 30 days after receiving the report from the Office.
       (2) A court may not enter an order that is not in accordance with the
       recommendations from the Office unless the court holds a hearing or the
       hearing is waived.

       ***

       (e) Appeals. (1) An appeal from a District Court order shall be on the record
       in the circuit court.
       (2) An appeal from a circuit court order shall be by application for leave to
       appeal to the Court of Special Appeals.

       Judge Moylan also acknowledged that it is ambiguous whether CP § 3-118(a)

requires the court to be persuaded of eligibility for release “by a preponderance of the

evidence,” or requires the court to determine whether there was substantial evidence for the

ALJ to have been persuaded “by a preponderance of the evidence.” Byers, 184 Md. App.

at 517, 966 A.2d at 993. The Criminal Appeals Division contends that the language of CP

§ 3-118(b) does not alter the interpretation of CP § 3-118(a). Instead, the Criminal Appeals

Division argues that the plain language of CP 3-118(a) “allows the court to make its own

determinations” and gives the court discretion “to hold a hearing under any circumstances.”

The Criminal Appeals Division’s contention ignores the fact that “[t]he meaning of the

plainest language is controlled by the context in which it appears.” Md.-Nat’l Capital Park

& Planning Comm’n v. Anderson, 395 Md. 172, 182, 909 A.2d 694, 700 (2006) (internal

quotation marks omitted) (citing State v. Pagano, 341 Md. 129, 133, 669 A.2d 1339, 1341

(1996)). As Judge Moylan recognized in Byers, an isolated reading of CP § 3-118(a),

                                            28
“would seem to indicate that it is the judge who must be personally persuaded that release

or discharge is called for rather than an indication that the judge must only be satisfied, as

a matter of law, that the evidence was sufficient for the ALJ to have been so persuaded.”

Byers, 184 Md. App. at 517, 966 A.2d at 993. The language of subsections (b) and (e),

however, seems to indicate otherwise:

       Subsection (b)(1) deals with the situation in which no exceptions have been
       filed to the recommendations of the ALJ and the Board. In such a case, the
       court does not take evidence or presume to engage in fact-finding of its own.
       It simply reviews the report from the Office [of Administrative Hearings] to
       see if the ALJ’s “recommendations are supported by the evidence” (emphasis
       supplied), and, if so, the court “shall enter an order in accordance with the
       recommendations.” This is the classic language of administrative appeals.
       The court, in a quasi-appellate capacity, monitors the action that has been
       taken by the ALJ and determines whether the recommendations are supported
       by substantial evidence. It does not presume to second-guess the
       recommendations on their merits.

       Subsection (b)(2) goes on to provide that if the circuit court judge is not going
       to follow the recommendations of the ALJ, the court must hold a hearing
       unless the hearing is waived. This seems to be nothing but the affording of
       an opportunity to the lawyers to argue the case.

Byers, 184 Md. App. at 518S19, 966 A.2d at 994. Furthermore, CP § 3-118(e)(2) provides

that “[a]n appeal from a circuit court order shall be by application for leave to appeal to the

Court of Special Appeals” rather than of right to the Court of Special Appeals. Judge

Moylan explained that because the statute does not provide for an automatic right to an

appeal to the intermediate appellate court, this is “a further indication that [the Court of

Special Appeals] would not in such a case be reviewing a de novo decision of the circuit

court but would only be entertaining an administrative appeal that had already enjoyed one

                                              29
level of judicial review.” Byers, 184 Md. App. at 519, 966 A.2d at 994.

      Judge Moylan also discussed, in Byers, CP § 3-119, which delineates how a

committed person may apply for release:

      (a) In general. (1) Not earlier than 1 year after the initial release hearing ends
      or was waived, and not more than once a year thereafter, a committed person
      may apply for release under either subsection (b) or (c) of this section, but not
      both.
      (2) Notwithstanding the time restrictions in paragraph (1) of this subsection,
      a committed person may file an application for release at any time if the
      application is accompanied by an affidavit of a physician or licensed
      psychologist that states an improvement in the mental condition of the
      committed person since the last hearing.

      (b) Administrative Procedure. (1) To apply for release under this subsection,
      the committed person shall file an application for release with the Health
      Department and notify the court and State’s Attorney, in writing, of this
      request.
      (2) The provisions of this title governing administrative hearing and judicial
      determination of eligibility for release apply to any application for release
      under this subsection.

      (c) Court procedure. (1) To apply for release under this subsection, the
      committed person shall file a petition for release with the court that ordered
      commitment.
      (2) The committed person shall send a copy of the petition for release to the
      Health Department and the State’s Attorney.
      (3) If the committed person requests a trial by jury, the trial shall be held in a
      circuit court with a jury as in a civil action at law.
      (4) The trier of fact shall:
              (i) determine whether the committed person has proved eligibility for
              release by a preponderance of the evidence; and
              (ii) render a verdict for:
                       1. continued commitment;
                       2. conditional release; or
                       3. discharge from commitment.
      (5) If the trier of fact renders a verdict for conditional release, within 30 days
      after the verdict, the court shall release the committed person under conditions

                                             30
       it imposes in accordance with specific recommendations for conditions under
       § 3-116(b) of this title.

       (d) Appeals. (1) An appeal from a District Court order shall be on the record
       in the circuit court.
       (2) An appeal from a circuit court order shall be by application for leave to
       appeal to the Court of Special Appeals.

The Criminal Appeals Division asserts that the presence of two different methods for

obtaining court review does not divest a circuit court of its authority to make its own

decision on the merits of the case, regardless of which avenue of release the committed

person selects. This contention cannot stand because it would render the language of CP §

3-119(a) “superfluous[] or nugatory.” Bd. of Educ. of Howard Cty. v. Howard Cty. Educ.

Ass’n-ESP, Inc., 445 Md. 515, 533, 128 A.3d 68, 79 (2015). CP § 3-119 explicitly provides

two modalities for a committed individual’s subsequent applications for release, an

“Administrative procedure” under CP § 3-119(b) and a “Court procedure” under CP § 3-

119(c). As Judge Moylan emphasized, “[s]ubsection (a) further provides that ‘a committed

person may apply for release under either subsection (b) or (c) of this section, but not both.’”

Byers, 184 Md. App. at 505S06, 966 A.2d at 986 (emphasis in original). A committed

person opts for the “Administrative procedure” by filing an application for release with

DHMH pursuant to CP § 3-119(b)(1). A hearing before an ALJ follows.29 A committed

29
  CP § 3-119(b)(2) states: “The provisions of this title governing administrative hearing and
judicial determination of eligibility for release apply to any application for release under this
subsection.”

                                               31
person also has the option to file his or her petition for release directly with the circuit court

under the “Court procedure” of CP § 3-119(c). When a committed person selects the “Court

procedure” there is no prior administrative activity; the committed person selects a trial by

jury or a bench trial. If the committed person selects a bench trial, the trial judge serves as

the fact-finder, and determines whether the person has proved eligibility for release by a

preponderance of the evidence and renders a verdict. If the committed person opts for the

“Administrative procedure,” the circuit court has no role until it receives a report from the

ALJ. For a circuit court to hold its own evidentiary hearing when it is clear that the

committed person selected the administrative route merges the two modalities of review

which is inconsistent with the clear mandate of CP § 3-119(a).

       In addition, as previously discussed, the General Assembly intended to create a

statute to “streamline and strengthen . . . the procedures for the defense of not criminally

‘responsible’ in Maryland.” Summary of Committee Report at 3. For a court to hold its own

evidentiary hearing on the merits of the case when the committed individual selected the

administrative procedure available under CP § 3-119(b)(1), as Stoddard did, would be

repetitive because much of the testimony that would be presented is the same as that which

was presented before the ALJ. This certainly would not be a streamlined procedure.

       We also note that even where the committed person selects the “Court procedure,”

CP § 3-119(c)(5) provides that “[i]f the trier of fact renders a verdict for conditional release

                                               32
. . . the court shall release the committed person under conditions it imposes in accordance

with specific recommendations for conditions under [CP] § 3-116(b).” These “specific

recommendations for conditions under [CP] § 3-116(b)” are the conditions of release

recommended by an ALJ. CP § 3-116(b) provides: “In recommending the conditions of a

conditional release, the Office shall give consideration to any specific conditions

recommended by the facility of [DHMH] that has charge of the committed person, the

committed person, or counsel for the committed person.” It is apparent that the statutory

provisions require a circuit court to defer to OAH’s recommendations as to the conditions

of release even where a committed person initiates the “Court procedure” in a circuit court.

This is an indication that under the statutory scheme, generally, the General Assembly did

not intend for the court to have anything more than the power of judicial review. The

language found elsewhere in Title 3 providing the court with the power of judicial review

reinforces this conclusion. See discussion of CP § 3-117 supra.

       CP § 3-121, under which Merchant’s case arises, also provides valuable insight into

the statutory scheme. This section provides the procedure to be followed when a committed

person has allegedly violated conditions of conditional release. CP § 3-121 describes in

pertinent part:

       (f) Revocation hearing required. Within 10 days after the committed person
       is returned to the Health Department in accordance with the hospital warrant,
       the Office shall hold a hearing unless:
       (1) the hearing is postponed or waived by agreement of the parties; or
       (2) the Office postpones the hearing for good cause shown.

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       (g) Hearing procedures. At the hearing on revocation or modification: (1) the
       committed person is entitled to be represented by counsel including, if the
       committed person is indigent, the Public Defender or designee of the Public
       Defender;
       (2) the committed person, Health Department, and State’s Attorney are
       entitled to offer evidence, to cross-examine adverse witnesses, and to exercise
       any other rights that the Office considers necessary for a fair hearing; and
       (3) the Office shall find:
               (i) whether, by a preponderance of the evidence, the State has proved
               that the committed person violated conditional release; and
               (ii) whether, by a preponderance of the evidence, the committed person
               nevertheless has proved eligibility for conditional release.

       (h) Report and exceptions. (1) The Office promptly shall:
              (i) send a report of the hearing and determination to the court; and
              (ii) send copies of the report to the committed person, counsel for the
              committed person, the State’s Attorney, and the Health Department.
       (2) Within 5 days after receipt of the report of the Office, the committed
       person, the State’s Attorney, or the Health Department may file exceptions to
       the determination of the Office.

       (i) Court action. After the court considers the report of the Office, the
       evidence, and any exceptions filed, within 10 days after the court receives the
       report, the court shall:
              (1) revoke the conditional release and order the committed person
              returned to the facility designated by the Health Department;
              (2) modify the conditional release as required by the evidence;
              (3) continue the present conditions of release; or
              (4) extend the conditional release by an additional term of 5 years.

       ***
       (k) Appeals. (1) An appeal from a District Court order shall be on the record
       in circuit court.
       (2) An appeal from a circuit court order shall be by application for leave to appeal to
       the Court of Special Appeals.

The Task Force Comment to HG § 12-120, predecessor to CP § 3-121, states that “another

major change is that the hearing will be an administrative hearing before a hearing officer

                                             34
of the Department [of Health and Mental Hygiene], with review by the court, rather than

a hearing in court as formerly provided. This change is for the sake of practicality and

speeding the implementation of this procedure.” (emphasis added). The Revisor’s Note to

CP § 3-121 further indicates that when it was recodified from HG § 3-120, aside from certain

changes in terminology for accuracy or conformity, the only other changes were stylistic.

This indicates a clear legislative intent to have the court perform judicial review of the ALJ’s

hearing and determination when a committed person is subject to the procedures of CP § 3-

121. The call for judicial review under CP § 3-121 is consistent and harmonious with the

language of CP § 3-117 calling for the court to hold a hearing “on the record that was made

before the Office.” This further bolsters Judge Moylan’s interpretation that CP § 3-118

requires the court to perform judicial review after a hearing occurs in OAH.

       We also find it relevant, as did Judge Moylan, that the only place the General

Assembly explicitly “affords the possibility of a court procedure” is in CP § 3-119(c) and

“not in combination with but as an alternative to an administrative procedure.” Byers, 184
Md. App. at 528, 966 A.2d at 1000. In comparison, the General Assembly utilized language

elsewhere in Title 3 indicating that the court performs the task of judicial review. For

example, CP § 3-117 (b)(1) states that “[t]he court shall hold the hearing on the record that

was made before the Office.” Additionally, CP § 3-119(b)(2) states that “[t]he provisions

of this title governing administrative hearing and judicial determination of eligibility for

release apply to any application for release under this subsection[,]” incorporating by

                                              35
reference the comprehensive administrative procedure set forth in CP §§ 3-114 through 3-

118. This difference also demonstrates the General Assembly’s intent to create an overall

statutory scheme that calls for an administrative procedure, unless explicitly stated otherwise.

To adopt the action taken by the Circuit Court in this case, or the procedure suggested by the

appellees would result in inconsistencies within Title 3.

       The Circuit Court erred in both Merchant’s and Stoddard’s cases when it found the

statutory scheme of CP §§ 3-114, et seq., void as unconstitutional under the separation of

powers doctrine. In Merchant’s case, which arose under CP § 3-121, the Circuit Court erred

when it held its own evidentiary hearing. As discussed above, it is clear that the trial judge

also erred when he concluded that he was unpersuaded by the psychiatrist’s testimony and

unpersuaded that Merchant had met his burden of proof, even though he found there was

sufficient evidence on the record to support the ALJ’s recommendation that Merchant be

conditionally released again. In Stoddard’s case, Stoddard opted for the administrative

procedure under CP § 3-119(b). Therefore, the Circuit Court erred when it held its own

hearing on the merits of the case and declined to consider the ALJ’s report. The court’s

actions ran counter to the mandate of CP § 3-119(a). Furthermore, the Circuit Court’s

actions in both cases frustrated the legislative intent to streamline and strengthen the

procedures for the release of a person who was found not criminally responsible and

“committed” in a criminal case.

                                     IN CASE MISC. NO. 16, CERTIFIED QUESTIONS
                                     OF LAW ANSWERED. COSTS TO BE DIVIDED

                                              36
EQUALLY BETWEEN THE PARTIES.

IN CASE NO. 81, JUDGMENT OF THE CIRCUIT
COURT FOR PRINCE GEORGE’S COUNTY
REVERSED.     CASE REMANDED TO THAT
CO U R T FO R FU R T H E R PR O C E E D IN G S
CONSISTENT WITH THIS OPINION. COSTS TO
BE PAID BY APPELLEES.

       37