
Justia
Justia Medical Malpractice Opinion Summaries
Hamilton v. Scott
Amy Langley Hamilton appealed a judgment entered in favor of Warren Scott, M.D., and the Isbell Medical Group, P.C. ("IMG"), following a jury trial on Hamilton's claim alleging the wrongful death of her stillborn son Tristian. In the first appeal, Hamilton v. Scott, 97 So. 3d 728 (Ala. 2012) ("Hamilton I"), the Alabama Supreme Court reversed in part a summary judgment entered against Hamilton because it concluded that Hamilton was entitled to pursue a wrongful-death claim regarding her unborn son even though the child was not viable at the time of his death. It was undisputed that the trial court's charges to the jury did not include the "better-position" principle. "That legal principle goes to the heart of Hamilton's theory of the case, i.e., that Dr. Scott's failure to refer Hamilton to a perinatologist during Hamilton's February 25, 2005, visit prevented timely treatment that, according to Dr. Bruner's testimony, would have saved Tristian's life." Consequently, the Supreme Court held the trial court's refusal to give such instructions constituted reversible error. View "Hamilton v. Scott" on Justia Law
Joas v. Zimmer, Inc.
Joas underwent knee replacement at a Wisconsin hospital and received a Zimmer NexGen Flex implant. Within a few years, he began experiencing pain in his new knee. X-rays confirmed that the implant had loosened and required a surgical fix. Joas brought multiple claims against Zimmer. His case was transferred to a multidistrict litigation, where it was treated as a bellwether case. Applying Wisconsin law, the presiding judge granted Zimmer summary judgment. The Seventh Circuit affirmed, declining to reinstate a single claim based on a theory of inadequate warning. The court predicted that the Wisconsin Supreme Court would follow the majority of states and adopt the “learned intermediary” doctrine, which holds that the manufacturer of a medical device has no duty to warn the patient as long as it provides adequate warnings to the physician. In addition, Joas has not identified any danger that Zimmer should have warned him about. Joas has no evidence to support causation. Joas did not select the NexGen Flex implant, so the information would not have caused him to change his behavior. His doctor selected the product, making his decision based on his own past experience, not on any marketing materials or information provided by Zimmer. View "Joas v. Zimmer, Inc." on Justia Law
Joas v. Zimmer, Inc.
Joas underwent knee replacement at a Wisconsin hospital and received a Zimmer NexGen Flex implant. Within a few years, he began experiencing pain in his new knee. X-rays confirmed that the implant had loosened and required a surgical fix. Joas brought multiple claims against Zimmer. His case was transferred to a multidistrict litigation, where it was treated as a bellwether case. Applying Wisconsin law, the presiding judge granted Zimmer summary judgment. The Seventh Circuit affirmed, declining to reinstate a single claim based on a theory of inadequate warning. The court predicted that the Wisconsin Supreme Court would follow the majority of states and adopt the “learned intermediary” doctrine, which holds that the manufacturer of a medical device has no duty to warn the patient as long as it provides adequate warnings to the physician. In addition, Joas has not identified any danger that Zimmer should have warned him about. Joas has no evidence to support causation. Joas did not select the NexGen Flex implant, so the information would not have caused him to change his behavior. His doctor selected the product, making his decision based on his own past experience, not on any marketing materials or information provided by Zimmer. View "Joas v. Zimmer, Inc." on Justia Law
Selvidge v. Tang
In November 2013, Vincent Selvidge died of a heart attack. His surviving wife and children (plaintiffs) sought to sue defendant, a physician who treated Selvidge, for medical malpractice. Plaintiffs filed their suit on January 28, 2015; 85 days after the one-year statute of limitations to bring a medical malpractice claim had expired. Defendant moved for summary judgment on the ground that the suit was untimely. Plaintiffs claimed they were entitled to tolling of the limitation period for 90 days pursuant to section 364 because they provided notice to defendant on October 24, 2014, of their intention to sue him. By their reasoning, the statute of limitations did not expire until February 2, 2015, and their suit was timely. To prove they provided notice to defendant, plaintiffs submitted a declaration from the legal assistant to plaintiffs’ attorney, who mailed the notice of intent to a Southern California address listed for defendant on the medical board’s Web site. She also called the facility in Rancho Cordova where defendant had treated Selvidge and learned defendant was no longer an employee. Although the legal assistant declared that the notice was not returned as undelivered, she did not send the letter by certified mail or prepare a proof of service. Defendant claimed to have never received the notice of intent. The address he provided to the medical board, and to which the letter was mailed, was not defendant’s residence but an address he used for billing purposes. The address was owned by a business service company that received mail on behalf of defendant and his medical corporation, to which he was the sole employee. In October of 2014, defendant estimated he checked his mailbox at the address he provided to the medical board once or twice a month. The trial court granted defendant’s summary judgment motion, finding that because defendant did not have actual notice of plaintiffs’ intention to file an action against him, plaintiffs were required to comply with the mailing provisions found in Code Civ. Proc. section 1013(a). The issue this appeal presented for the Court of Appeal's review was whether mailing a notice of intent to file an action to a physician’s address of record with the Medical Board of California provided adequate notification of a potential medical malpractice suit under the Medical Injury Compensation Reform Act. The Court held that it did, and accordingly reversed the trial court’s determination to the contrary. View "Selvidge v. Tang" on Justia Law
Selvidge v. Tang
In November 2013, Vincent Selvidge died of a heart attack. His surviving wife and children (plaintiffs) sought to sue defendant, a physician who treated Selvidge, for medical malpractice. Plaintiffs filed their suit on January 28, 2015; 85 days after the one-year statute of limitations to bring a medical malpractice claim had expired. Defendant moved for summary judgment on the ground that the suit was untimely. Plaintiffs claimed they were entitled to tolling of the limitation period for 90 days pursuant to section 364 because they provided notice to defendant on October 24, 2014, of their intention to sue him. By their reasoning, the statute of limitations did not expire until February 2, 2015, and their suit was timely. To prove they provided notice to defendant, plaintiffs submitted a declaration from the legal assistant to plaintiffs’ attorney, who mailed the notice of intent to a Southern California address listed for defendant on the medical board’s Web site. She also called the facility in Rancho Cordova where defendant had treated Selvidge and learned defendant was no longer an employee. Although the legal assistant declared that the notice was not returned as undelivered, she did not send the letter by certified mail or prepare a proof of service. Defendant claimed to have never received the notice of intent. The address he provided to the medical board, and to which the letter was mailed, was not defendant’s residence but an address he used for billing purposes. The address was owned by a business service company that received mail on behalf of defendant and his medical corporation, to which he was the sole employee. In October of 2014, defendant estimated he checked his mailbox at the address he provided to the medical board once or twice a month. The trial court granted defendant’s summary judgment motion, finding that because defendant did not have actual notice of plaintiffs’ intention to file an action against him, plaintiffs were required to comply with the mailing provisions found in Code Civ. Proc. section 1013(a). The issue this appeal presented for the Court of Appeal's review was whether mailing a notice of intent to file an action to a physician’s address of record with the Medical Board of California provided adequate notification of a potential medical malpractice suit under the Medical Injury Compensation Reform Act. The Court held that it did, and accordingly reversed the trial court’s determination to the contrary. View "Selvidge v. Tang" on Justia Law
In re Bailey v. Hermacinski
Defendants sought ex parte interviews with a number of non-party medical providers in this medical malpractice action. Because of this, an issue arose regarding the scope of the physician–patient privilege in medical-malpractice actions. Section 13-90-107(1)(d), C.R.S. (2017), prohibited certain medical providers from revealing, in testimony or otherwise, information about a patient gathered in the course of treating that patient. That prohibition, however, was not unlimited. The dispute, as presented to the Colorado Supreme Court, did not implicate the physician–patient relationship between Kelley Bailey (“Bailey”) and Defendants, meaning section 107(1)(d)(I) was inapplicable. Instead, the issue here was whether the non-party medical providers were “in consultation with” Defendants such that section 107(1)(d)(II) removed that typically privileged information from the protection of the physician–patient privilege. The Supreme Court held the non-party medical providers were not in consultation with Defendants for the purposes of section 107(1)(d)(II). However, the Court remanded this case to the trial court for consideration of whether the Baileys impliedly waived the physician–patient privilege for the non-party medical providers. On remand, if the trial court concluded that the Baileys did waive that privilege, it should reconsider whether there is any risk that: (1) ex parte interviews with the non-party medical providers would inadvertently reveal residually privileged information; or (2) Defendants would exert undue influence on the non-party medical providers in the course of any ex parte interviews. View "In re Bailey v. Hermacinski" on Justia Law
In re Bailey v. Hermacinski
Defendants sought ex parte interviews with a number of non-party medical providers in this medical malpractice action. Because of this, an issue arose regarding the scope of the physician–patient privilege in medical-malpractice actions. Section 13-90-107(1)(d), C.R.S. (2017), prohibited certain medical providers from revealing, in testimony or otherwise, information about a patient gathered in the course of treating that patient. That prohibition, however, was not unlimited. The dispute, as presented to the Colorado Supreme Court, did not implicate the physician–patient relationship between Kelley Bailey (“Bailey”) and Defendants, meaning section 107(1)(d)(I) was inapplicable. Instead, the issue here was whether the non-party medical providers were “in consultation with” Defendants such that section 107(1)(d)(II) removed that typically privileged information from the protection of the physician–patient privilege. The Supreme Court held the non-party medical providers were not in consultation with Defendants for the purposes of section 107(1)(d)(II). However, the Court remanded this case to the trial court for consideration of whether the Baileys impliedly waived the physician–patient privilege for the non-party medical providers. On remand, if the trial court concluded that the Baileys did waive that privilege, it should reconsider whether there is any risk that: (1) ex parte interviews with the non-party medical providers would inadvertently reveal residually privileged information; or (2) Defendants would exert undue influence on the non-party medical providers in the course of any ex parte interviews. View "In re Bailey v. Hermacinski" on Justia Law
Southeastern Pain Specialists, P.C. v. Brown
Companion appeals raised questions about when a jury considering a medical malpractice case might also be instructed on issues of ordinary negligence. Sterling Brown Sr. sued the defendant medical centers and medical professionals individually and on behalf of his wife, Gwendolyn Brown, after she suffered catastrophic brain damage, allegedly from oxygen deprivation while undergoing a procedure to relieve back pain. Mrs. Brown died while this suit was pending, and the complaint was amended to add a wrongful death claim. A trial in which the court instructed the jury on both ordinary negligence and medical malpractice resulted in an award of nearly $22 million. A divided Court of Appeals affirmed. The Georgia Supreme Court granted the defendants’ petitions for certiorari to consider their argument that the Court of Appeals erred by concluding that the evidence supported a claim of ordinary negligence. "The plaintiffs’ case of medical malpractice was very strong. But a very strong case of medical malpractice does not become a case of ordinary negligence simply due to the egregiousness of the medical malpractice." The Supreme Court concluded the Court of Appeals erred in concluding that an ordinary negligence instruction was authorized by evidence that a doctor defendant responded inadequately to medical data provided by certain medical equipment during a medical procedure. Because the verdict was a general one such that the Court could not determine that the jury did not rely on this erroneous theory of liability, it reversed with instructions that the Court of Appeals on remand order a full retrial as to defendants. View "Southeastern Pain Specialists, P.C. v. Brown" on Justia Law
Southeastern Pain Specialists, P.C. v. Brown
Companion appeals raised questions about when a jury considering a medical malpractice case might also be instructed on issues of ordinary negligence. Sterling Brown Sr. sued the defendant medical centers and medical professionals individually and on behalf of his wife, Gwendolyn Brown, after she suffered catastrophic brain damage, allegedly from oxygen deprivation while undergoing a procedure to relieve back pain. Mrs. Brown died while this suit was pending, and the complaint was amended to add a wrongful death claim. A trial in which the court instructed the jury on both ordinary negligence and medical malpractice resulted in an award of nearly $22 million. A divided Court of Appeals affirmed. The Georgia Supreme Court granted the defendants’ petitions for certiorari to consider their argument that the Court of Appeals erred by concluding that the evidence supported a claim of ordinary negligence. "The plaintiffs’ case of medical malpractice was very strong. But a very strong case of medical malpractice does not become a case of ordinary negligence simply due to the egregiousness of the medical malpractice." The Supreme Court concluded the Court of Appeals erred in concluding that an ordinary negligence instruction was authorized by evidence that a doctor defendant responded inadequately to medical data provided by certain medical equipment during a medical procedure. Because the verdict was a general one such that the Court could not determine that the jury did not rely on this erroneous theory of liability, it reversed with instructions that the Court of Appeals on remand order a full retrial as to defendants. View "Southeastern Pain Specialists, P.C. v. Brown" on Justia Law
King v. Albemarle Hospital Authority
The trial court’s appointment of a guardian ad litem (GAL) on behalf of a minor removes that minor’s disability of minority and starts the running of the statute of limitations. Therefore, the failure of a court-appointed GAL to pursue the minor’s claim within the statute of limitations bars the claim.In the instant case, a minor plaintiff, by and through a court-appointed GAL, filed an action against defendant-health providers, alleging that Defendants’ medical negligence led to Plaintiff’s brain injury. The trial court dismissed the claims as time barred. Plaintiff appealed, arguing that the plain language of N.C. Gen. Stat. 1-17(b) tolled the limitations period until Plaintiff reached the age of nineteen. The court of appeals agreed and reversed. The Supreme Court reversed, holding that the appointment of the GAL removed Plaintiff’s disability of minority, which eliminated the tolling and started the running of the applicable three-year statute of limitations for medical malpractice claims. View "King v. Albemarle Hospital Authority" on Justia Law
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Medical Malpractice, North Carolina Supreme Court