J. A18013/15
NON-PRECEDENTIAL DECISION – SEE SUPERIOR COURT I.O.P. 65.37
RUFUS WALKER, : IN THE SUPERIOR COURT OF
: PENNSYLVANIA
Appellant :
:
v. :
:
LANCASTER GENERAL, :
THE LANCASTER GENERAL HOSPITAL, :
ALISON JOHANNA HARTEMINK, M.D., : No. 2036 MDA 2014
BRET M. LEVY, M.D., AND LANCASTER :
EMERGENCY ASSOCIATES, LTD. :
Appeal from the Judgment Entered November 24, 2014,
in the Court of Common Pleas of Lancaster County
Civil Division at No. CI-08-10428
BEFORE: FORD ELLIOTT, P.J.E., STABILE AND MUSMANNO, JJ.
MEMORANDUM BY FORD ELLIOTT, P.J.E.: FILED FEBRUARY 03, 2016
Rufus Walker appeals from the judgment entered November 24, 2014,
following a defense verdict in this medical malpractice action. Following
careful review, we affirm.
The trial court has aptly summarized the history of this case as
follows:
This is a medical-malpractice case involving
the care and treatment that Defendant
Alison Johanna Hartemink, M.D.[Footnote 1] and
Defendant Bret M. Levy, M.D. provided to Plaintiff,
Rufus Walker, on three occasions in the Emergency
Department at Lancaster General Hospital
(individually, “LGH” and, collectively with Defendant
Lancaster General, “LG Defendants”). Dr. Hartemink
and Dr. Levy both were emergency-medicine
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physicians and were employed by or partners of
Defendant Lancaster Emergency Associates, Ltd.
(collectively, the “LEA Defendants”). (N.T. Trial Vol.
5 at 593:23-594:3.)
[Footnote 1] At the time of trial,
Dr. Hartemink used her married name of
Dr. Railsback. For the sake of clarify
[sic], this Opinion will refer to her as
Dr. Hartemink, consistent with the
caption, even though she was referred to
during the trial by her married name.
On September 12, 2006, Plaintiff, a 30-year-
old black male, presented to the Emergency
Department of LGH, where he was seen by
Dr. Hartemink for a complaint of diffuse back pain
and a lifting injury.[Footnote 2] (N.T. Trial Vol. 5 at
471:2-5, 472:10-15.) Her impression was that he
had back pain with “no evidence of neurologic
involvement with his back pain, which . . . was
consistent with the musculoskeletal back pain.”
(N.T. Trial Vol. 5 at 479:22-480:3.) On
September 23, 2006, Plaintiff returned to LGH’s
Emergency Department, where Dr. Levy saw him.
(N.T. Trial Vol. 5 at 561:15-20.) Dr. Levy was aware
that Plaintiff had seen Dr. Hartemink at the earlier
visit to the Emergency Department. (N.T. Trial Vol.
5 at 565:6-7.) He testified that, based on the
history from the patient, his own physical
examination of the patient, and a negative MRI of
the lumbar spine, he did not have any reason to
suspect a disease with spinal-cord involvement.
(N.T. Trial Vol. 5 at 584:10-15.) On October 2,
2006, Plaintiff returned to LGH’s Emergency
Department again, at which time he was seen by
Dr. Hartemink. On that date, Dr. Hartemink
reviewed his charts, including Dr. Levy’s notes and
the report of the MRI that Dr. Levy had obtained and
a radiologist interpreted. (N.T. Trial Vol. 5 at 487:9-
12, 493:3-14.) Her impression was that “he had
severe low back pain based on the history of the
lifting injury, the continued symptoms of significant
pain in that area, and then the ED courses, the
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emergency department course.” (N.T. Trial Vol. 5 at
498:4-7.) At each presentation to the Emergency
Department, Plaintiff was discharged without
admission after being examined by Dr. Hartemink or
Dr. Levy. The examination at each of the three visits
included a neurologic component. (N.T. Trial Vol. 5
at 475:15-19, 478:5-479:11, 497:5-24, 575:3-
580:8.)
[Footnote 2] Plaintiff injured his back
while carrying a shopping cart filled with
groceries from ground level to his
second-floor apartment. (N.T. Trial Vol.
1 at 107:7-22.)
On November 15, 2006, Plaintiff presented to a
different local hospital by ambulance. (N.T. Trial
Vol. 1 at 137:4-6.) At that time, he was admitted,
and he was later discharged to a rehabilitation
facility on December 3, 2006, at which time his
diagnosis was, among other things, transverse
myelitis secondary to neurosarcoidosis. (N.T. Trial
Vol. 2 at 292:5-9, 194:25-195:1.)
At trial, Plaintiff sought to prove that the care
and treatment he received from Dr. Levy on
September 23, 2006 and from Dr. Hartemink on
October 2, 2006 was negligent in that they failed to
diagnose and treat his transverse myelitis and that
such failure caused him harm and/or increased the
risk of harm to him. Generally stated, Plaintiff
contended that the physician-defendants failed to
recognize that Plaintiff’s signs and symptoms were
early signs of a spinal-cord problem, not caused by a
back problem as they believed; the physician-
defendants should have referred Plaintiff to a
neurologist and done further work-up; and, had the
additional work-up been completed and/or referral
been made, the transverse myelitis would have been
identified and could have been treated with steroids
to improve or at least stop the progression of the
condition.
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Defendants denied all liability, challenging both
negligence and causation. At trial, their position,
generally stated, was that the physician-defendants
met or exceeded the standard of care for
emergency-medicine physicians, Plaintiff’s condition
on each visit to the physician-defendants was
musculoskeletal-related, and, further, Plaintiff’s
transverse myelitis did not develop until sometime
after the physician-defendants last saw Plaintiff.
Several non-party physicians testified as trial
experts. Dr. Frederick Levy, who testified via
videotaped deposition for use at trial, was Plaintiff’s
liability expert in emergency medicine. Also
testifying for Plaintiff was Dr. David E. Jones, who
was qualified as an expert in neurology and
neuroimmunology on the question of causation.
Dr. Daniel R. Wehner, an emergency-medicine
physician, testified via videotape as the defense
standard-of-care expert.
After a seven-day trial, the jury rendered a
defense verdict on June 24, 2014, finding no
negligence on the part of either doctor. (N.T. Trial
Vol. 7 at 760:4-14.) On June 30, 2014, Plaintiff filed
a timely Post-Trial Motion (“Motion”), alleging eleven
errors by this Court which warranted the grant of a
new trial.[Footnote 3] The LG Defendants and the
LEA Defendants filed their responses on July 10,
2014 and July 14, 2014, respectively.
[Footnote 3] See Pa. R. Civ. P. 227.1(c)
(stating that post-trial motions shall be
filed within ten days after a verdict).
By Order dated July 15, 2014, I directed
Plaintiff to file an amended post-trial motion, “which
amendment shall be limited to citing with specificity
where in the record each of the claims raised in
Paragraphs 1-11 were preserved,” as well as
directing him to file a proper request for the trial
transcript. On September 10, 2014, Plaintiff filed a
timely Amended Motion for Post-Trial Relief
(“Amended Motion”). The LEA Defendants and the
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LG Defendants filed their responses on
September 19, 2014 and September 22, 2014,
respectively. With their response to the Motion and
response to the Amended Motion, the LG Defendants
asserted an alternative Cross-Motion for Post-Trial
Relief on the Issue of Ostensible Agency.[Footnote 4]
[Footnote 4] Plaintiff alleged that the
physician-defendants were ostensible
agents of LGH for the purpose of a
vicarious-liability claim. The jury never
answered the ostensible-agency
questions on the Verdict Sheet
(Questions 7 and 8) because, before they
would have proceeded to that question,
they found that the physician-defendants
were not negligent (Questions 1 and 2).
Trial court opinion, 11/18/14 at 1-5.
On November 18, 2014, the trial court denied appellant’s amended
post-trial motion, as well as the LG defendants’ cross-motion for post-trial
relief on the issue of ostensible agency. On November 24, 2014, judgment
was entered in favor of the defendants and against appellant. This timely
appeal followed on December 2, 2014. Appellant complied with
Pa.R.A.P. 1925, and the trial court filed a Rule 1925(a) opinion, relying on its
prior opinion and order of November 18, 2014, disposing of post-trial
motions.
Appellant has raised the following questions for this court’s review:
A. IS IT AN ERROR OF LAW AND/OR AN ABUSE
OF DISCRETION TO LIMIT A TREATING
PHYSICIAN SPECIALIST TO THE FACTS
CONTAINED IN HIS MEDICAL RECORDS AND
TO PRECLUDE HIM FROM OFFERING ANY
EXPERT TESTIMONY WITH REGARD TO
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CAUSATION OR TO THE EXISTENCE AND
PROGRESS OF THE DISEASE FOR WHICH HE
TREATED THE PATIENT?
B. IS IT AN ERROR OF LAW AND/OR AN ABUSE
OF DISCRETION TO PERMIT DEFENDANTS
WHO HAD LITTLE OR NO RECOLLECTION OF
EVENTS BEYOND THE MEDICAL RECORDS AND
WHO HAD NOT PROVIDED EXPERT REPORTS
PURSUANT TO PA.R.C.P. 4003.5(a)(1)(b) TO
TESTIFY AS TO WHAT THEY DID, THAT WHAT
THEY DID WAS APPROPRIATE, AND WITHOUT
BEING QUALIFIED TESTIFIED AS EXPERTS
BEYOND THEIR QUALIFICATIONS?
C. DID THE TRIAL COURT COMMIT AN ERROR OF
LAW AND/OR ABUSE HIS DISCRETION IN NOT
GRANTING A NEW TRIAL WHEN THE DEFENSE
CHANGED THEIR THEORY OF THE CASE AT
THE END OF THE TRIAL?
D. DID AN ERROR OF LAW OCCUR WHEREIN THE
COURT CONDUCTED THE VOIR DIRE AND DID
NOT EXCLUDE FOR CAUSE THE NUMEROUS
INDIVIDUALS WHO HAD EMPLOYMENT OR
OTHER RELATIONSHIPS WITH DEFENDANT
LANCASTER GENERAL HOSPITAL?
E. WAS THE JURY VERDICT CONTRARY TO THE
UNDISPUTED FACTS AND EVIDENCE?
Appellant’s brief at 5.
In his first issue on appeal, appellant argues that the trial court erred
in granting the LEA defendants’ pre-trial motion in limine to limit the
testimony of his treating physician, Hany G. Salama, M.D., a neurologist.1
The defendants sought to preclude Dr. Salama from offering expert
1
The LG defendants joined in the motion.
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testimony at trial, limiting him to the matters outlined in his August 12,
2013 letter to plaintiff’s counsel, and to material contained in his office
chart. Dr. Salama’s deposition was scheduled for May 29, 2014.
On May 9, 2014, appellant filed a responsive brief, arguing that
because Dr. Salama was appellant’s treating physician, his opinions were not
subject to the rules of expert witness discovery, including Pa.R.C.P. 4003.5.
However, appellant agreed that Dr. Salama should be precluded from
testifying regarding “standard of care liability emergency room issues.”
Appellant argued that Dr. Salama should be allowed to testify regarding
diagnosis and treatment as well as factual causation. Appellant also argued
that Dr. Salama should be permitted to testify from all medical records
produced during discovery and not limited to his August 12, 2013 letter.
On May 28, 2014, before the trial court had ruled on the motion
in limine, appellant canceled Dr. Salama’s videotape deposition. Then, on
June 6, 2014, he filed an amended pre-trial conference memorandum and
trial brief in which he amended his witness list, removing Dr. Salama.
Apparently, appellant decided not to call Dr. Salama as a trial witness, as he
did not reserve the right to supplement the witness list. (Trial court opinion,
11/18/14 at 23.) On June 9, 2014, the trial court granted the motion in
part, and denied it in part, permitting Dr. Salama to use all of the available
medical records as well as the August 12, 2013 letter, but precluding him
from offering any expert testimony regarding the appropriate standard of
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care, the alleged negligence of any defendant, or causation.2 Therefore, the
trial court’s order did not preclude Dr. Salama from testifying as a
subsequent treating neurologist in accordance with all of the medical records
and Dr. Salama’s August 12 letter including appellant’s symptoms on
physical examination, his history, diagnosis, and treatment, as well as
appellant’s current condition and prognosis. However, appellant chose not
to call Dr. Salama as a witness at trial.
In determining that it would be improper for Dr. Salama to testify as
to any expert opinions he held outside his capacity as a treating provider,
the trial court found that appellant violated Rule 4003.5 by failing to identify
Dr. Salama as an expert witness.3
2
Regarding emergency room standard of care, Dr. Salama would not meet
the same specialty requirement of the MCARE Act, 40 P.S. § 1303.512(c).
3
Rule 4003.5 provides, in relevant part:
(a) Discovery of facts known and opinions held by an expert,
otherwise discoverable under the provisions of Rule 4003.1
and acquired or developed in anticipation of litigation or for
trial, may be obtained as follows:
(1) A party may through interrogatories require
(A) any other party to identify each
person whom the other party
expects to call as an expert witness
at trial and to state the subject
matter on which the expert is
expected to testify and
(B) subject to the provisions of
subdivision (a)(4), the other party
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“The admissibility of evidence is a matter addressed solely to the
discretion of the trial court and may be reversed only upon a showing that
the court abused its discretion.” Commonwealth v. Marshall, 743 A.2d
489, 492 (Pa.Super. 1999), appeal denied, 757 A.2d 930 (Pa. 2000)
(citation omitted). “Thus our standard of review is very narrow . . . . To
constitute reversible error, an evidentiary ruling must not only be erroneous,
but also harmful or prejudicial to the complaining party.” McManamon v.
Washko, 906 A.2d 1259, 1268-1269 (Pa.Super. 2006), appeal denied,
921 A.2d 497 (Pa. 2007) (citations omitted).
Rule 4003.5 applies to discovery of experts that a litigant has retained
or specifically employed in the course of preparing for litigation. Generally
to have each expert so identified
state the substance of the facts
and opinions to which the expert is
expected to testify and a summary
of the grounds for each opinion.
The party answering the
interrogatories may file as his or
her answer a report of the expert
or have the interrogatories
answered by the expert. The
answer or separate report shall be
signed by the expert.
(b) An expert witness whose identity is not disclosed in
compliance with subdivision (a)(1) of this rule shall not be
permitted to testify on behalf of the defaulting party at the
trial of the action.
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speaking, Rule 4003.5 does not apply to treatment providers whose opinions
were not acquired in anticipation of litigation. The trial court relies on
Kurian v. Anisman, 851 A.2d 152 (Pa.Super. 2004), and Polett v. Public
Communications, 83 A.3d 205 (Pa.Super. 2013) (en banc), reversed,
A.3d , 2015 WL 6472419 (Pa. filed October 27, 2015).
In Kurian, the plaintiffs/appellants argued that Ancy Kurian’s treating
physician, Dr. Alvin Chin, was exempt from expert disclosure requirements
as his opinions were not acquired in anticipation of litigation. Kurian, 851
A.2d at 155. This court disagreed, finding that in his report, Dr. Chin never
came to a conclusion as to whether the defendant doctor deviated from the
standard of care or whether this deviation was a proximate cause of Ancy’s
injuries. Id. at 156. In his 1997 report, Dr. Chin merely stated that Ancy’s
large patent ductus arteriosus must have been present in 1990, when Ancy
had an echocardiogram by Dr. Paul Anisman, and was not diagnosed
correctly at that time. Id. However, in his treatment notes, Dr. Chin
offered no opinions regarding standard of care or causation:
This is hardly surprising. A doctor is concerned with
treating his patients, not about whether a prior
doctor's breach of a particular standard of care was
the factual cause of his patient's injuries. Further,
based on the report, it does not appear as if Dr. Chin
could have come to the conclusions appellants
desire; his report shows that he never even looked
at the 1990 echocardiography.
The fact that Dr. Chin never came to a
pre-anticipation of litigation conclusion as to whether
Dr. Anisman breached the physician’s standard of
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care and whether such a breach was the proximate
cause of the harm Ancy suffered is fatal to this claim.
Id. (emphasis in original). Cf. Polett, supra (trial court did not abuse its
discretion by allowing treating physician to testify as an expert, where he
had reached an opinion as to causation before the prospect of litigation had
surfaced, as evidenced by his treatment notes as well as his deposition
testimony; he was concerned about the cause of his patient’s knee injury
because it was determinative of whether the inflammation and pain she was
experiencing was caused by an infection, or, alternatively, if it was
mechanical in origin).4
Instantly, Dr. Salama’s August 12, 2013 report discussed appellant’s
diagnosis of myelopathy secondary to neurocarcoidosis, his current medical
condition, and prognosis. Dr. Salama’s letter contains no opinion
whatsoever as to standard of care, negligence, or causation issues.
Dr. Salama was initially listed as a damages witness. Indeed, appellant
stated in his response to the motion in limine that he did not intend to
4
As stated above, the trial court relied on this court’s opinion in Polett, in
which a majority of the en banc panel found that the trial court should not
have permitted the treating physician to provide expert testimony, as he
was not disclosed as an expert witness by the Poletts, nor did he prepare an
expert report. The majority concluded that the treating physician’s
causation opinions were not developed during the regular course of
treatment, but, rather, arose under the “sword of litigation.” However, this
court’s decision in Polett has since been reversed by our supreme court,
which determined that the trial court did not abuse its discretion in ruling
that the treating physician’s testimony as to causation was not barred by
Rule 4003.5.
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question Dr. Salama regarding emergency medicine standard of care or
negligence; nor, as a neurologist, could Dr. Salama testify as to the standard
of care of an emergency room doctor. As far as factual causation, there is
nothing in the August 12 letter to suggest that Dr. Salama reached an
opinion on causation during the course of treating appellant and before
litigation was anticipated, and appellant makes no offer of proof in this
regard. The August 12 letter discusses only Dr. Salama’s care and
treatment as well as his thoughts on prognosis. Cf. Polett, supra (treating
physician first formed his causation opinion in 2006, two years before suit
was instituted, as reflected in his treatment notes, and the cause of his
patient’s injuries (riding an exercise bike) was critical to his chosen
treatment).
Here, the alleged breach of the standard of care, in not recognizing
early signs of spinal cord involvement during appellant’s three ER visits,
referring him to a neurologist, and administering steroids which could have
halted or even reversed the progression of the disease, does not appear to
be critical to Dr. Salama’s treatment plan, as in Polett. In addition, there is
no record as to Dr. Salama’s proposed testimony on causation. Appellant
canceled his deposition and removed him from the witness list before the
trial court ruled on the defendants’ motion.
At any rate, appellant cannot show how he was prejudiced by the trial
court’s ruling, for several reasons. First, the jury never reached the issue of
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causation because they found the physician-defendants non-negligent.
Second, Dr. Salama’s testimony would have been cumulative of the expert
testimony of Dr. Jones and Dr. Frederick Levy, who did testify at trial
regarding standard of care, liability, and causation. See Pa.R.E. 403 (“The
court may exclude relevant evidence if its probative value is outweighed by a
danger of one or more of the following: unfair prejudice, confusing the
issues, misleading the jury, undue delay, wasting time, or needlessly
presenting cumulative evidence.”). (Trial court opinion, 11/18/14 at 20-22
(discussing expert testimony of Dr. Jones and Dr. Frederick Levy).) There is
no error here.
In his second issue on appeal, appellant argues the trial court erred in
allowing the physician-defendants, Drs. Levy and Hartemink, to offer “expert
testimony” to the effect that appellant’s spinal cord problem developed after
his last ER visit on October 2, 2006. Appellant argues that neither Dr. Levy
nor Dr. Hartemink was a neurologist or neuroimmunologist, nor did they
provide an expert report prior to trial. Appellant contends that this was a
previously undisclosed defense theory and Dr. Hartemink was not qualified
to render a neurological opinion. Appellant also complains that
Dr. Hartemink had no independent recollection of appellant.
Initially, we observe that the only decision cited by appellant in
support of his argument is Chiodetti v. Fernandes, 120 A.3d 371
(Pa.Super. 2015) (unpublished memorandum). As an unpublished
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memorandum decision, Chiodetti is non-precedential and is not to be cited
or relied upon by any party, except under extremely limited circumstances
not present here. See Super.Ct. IOP § 65.37(A), 42 Pa.C.S.A. (“An
unpublished memorandum decision shall not be relied upon or cited by a
Court or a party in any other action or proceeding, except that such a
memorandum decision may be relied upon or cited (1) when it is relevant
under the doctrine of law of the case, res judicata, or collateral estoppel, and
(2) when the memorandum is relevant to a criminal action or proceeding
because it recites issues raised and reasons for a decision affecting the same
defendant in a prior action or proceeding.”). As such, we will not consider
Chiodetti.
As appellant limits his argument to Dr. Hartemink’s testimony, we will
do the same.5 At trial, defense counsel asked Dr. Hartemink,
Also, under the circumstances as they existed at the
time, on September 12th and October 2nd, 2006, did
you have any reason to suspect or investigate that
Mr. Walker had some sort of disease process rare or
not, that was somehow affecting his spinal cord?
Notes of testimony, trial, 6/20/14, Vol. 5 at 468. Plaintiff’s counsel
requested a sidebar and complained,
Your Honor, this witness has no independent
recollection of either of these visits. She only knows
what’s in the records, so this would be an
inappropriate question. And any other questions
5
We note that Dr. Levy did, in fact, have an independent recollection of
appellant and was not merely testifying from his office notes. (Trial court
opinion, 11/18/14 at 28 n.18.)
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that have to do with what happened on either of
these occasions that is not in the record she cannot
testify to.
Id. at 469. The trial court did not make a ruling, but simply asked counsel
to “sit down,” stating, “That’s cross examination.” (Id.) Defense counsel
rephrased the question:
Again, under the circumstances as they existed at
the time on those two dates, based on your training
and experience at the time, was there any reason for
you to suspect or investigate a disease, rare or not,
being present that was in any way affecting
Mr. Walker’s spinal cord?
Id. Without objection, Dr. Hartemink replied,
No. If a patient had a clearly documented lifting
injury and symptoms that were consistent with a
lifting injury, and no other symptoms, that would not
make you think of a systemic illness going on.
Id. at 469-470.
We note that appellant did not argue Dr. Hartemink was not a
neurologist or was not qualified to render an expert opinion, or that the
defense was introducing a previously undisclosed theory of defense at trial,
only that Dr. Hartemink did not have an independent memory of the
September 12th and October 2nd office visits. However, appellant never
availed himself of the opportunity to attack Dr. Hartemink’s memory through
cross-examination. (Trial court opinion, 11/18/14 at 30.)
Dr. Hartemink was a named defendant and was not limited by
Rule 4003.5, which governs discovery of opinions that a party or a potential
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party to litigation solicits from a non-party expert. Neal by Neal v. Lu, 530
A.2d 103, 106 (Pa.Super. 1987). As a physician-defendant, Dr. Hartemink
could certainly testify as to why she did not feel it was necessary to refer
appellant to a neurologist, without submitting an expert report. In Neal, the
appellants objected to the physician-defendant, Dr. Lu’s causation
testimony, arguing, inter alia, that Dr. Lu was attempting to testify as a
medical expert even though he had neither listed himself as a prospective
expert witness nor furnished the appellants with a synopsis of his proposed
testimony pursuant to general and local rules of discovery. Id. at 105-106.
This court disagreed, finding that Rule 4003.5 did not apply to the testimony
of Dr. Lu where his expert opinion was not acquired or developed in
anticipation of litigation:
The doctor did not “acquire” his opinions on the
treatment of Rebecca's finger “in anticipation of
litigation.” He did not expend time and money
developing his own knowledge or employing himself
as an expert to gain a tactical advantage in the law
suit brought against him by appellants. His opinions
and knowledge, in short, were not the work product
of a well-prepared litigant. They pre-dated any
litigation and are the very gist of appellants’ cause of
action. As such, they fall outside any reasonable
definition of the phrase “acquired or developed in
anticipation of litigation.”
Id. at 108. “The Rule simply does not apply to expert opinions of a party
when a matter within that party’s field of expertise is at issue.” Id.
See also Pa.R.C.P. 4003.5, comment (“It should be emphasized that
Rule 4003.5 is not applicable to discovery and deposition procedure where a
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defendant is himself an expert, such as a physician, architect or other
professional person, and the alleged improper exercise of his professional
skills is involved in the action.”). As such, Dr. Hartemink could testify as to
whether appellant was exhibiting symptoms of spinal cord disease which
would warrant referral to a specialist, or whether, given his history of a
lifting injury and the results of neurological testing, his symptoms were
consistent with a musculoskeletal disorder. Appellant’s argument that
Dr. Hartemink, a physician-defendant, had to submit an expert report and
comply with expert discovery rules is wholly without merit.6
In addition, although Dr. Hartemink had no independent recollection of
examining appellant, she could testify from the medical records and her
habit and routine as a treating physician. Pa.R.E. 406.7 She was not
6
In fact, as the trial court observes, appellant repeatedly elicited such
testimony during his cross-examination of Dr. Hartemink, i.e., that there
was no evidence of spinal cord involvement during appellant’s three ER visits
at LGH and the spinal cord condition must have developed between the date
of his last ER visit, October 2, 2006, and November 15, 2006, when he was
admitted to the hospital. (Trial court opinion, 11/18/14 at 28-29.)
7
Q. And these routines that you develop by virtue
of your education and training allow you to say
with a very good deal of certainty what exam
you did on a particular day and what your
documentation tells you, even if, you know,
years down the road, eight years, for example,
let’s just say, you can’t recall what occurred as
if it was a movie playing in your head?
A. Correct.
Notes of testimony, trial, Vol. 5, 6/20/14 at 524.
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required to actually remember appellant from eight years prior in order to
testify regarding her examination, diagnosis, and treatment. The trial court
did not err in permitting Dr. Hartemink’s testimony.
In his third assignment of error, appellant argues that he was
prejudiced by the defendants’ decision not to call certain expert witnesses
including their neurologist, Dr. Katz, and their emergency room doctor,
Dr. Cosgrove. According to appellant, the defendants changed their theory
at trial, claiming, for the first time, that appellant’s spinal cord disease
started sometime after October 2, 2006. (Appellant’s brief at 35.) Appellant
posits that the defendants did not call these expert witnesses because they
would have contradicted this new position and testified in accordance with
their expert reports, i.e., that appellant’s disease process was in its early
stages during the three ER visits, was steadily progressing, and did not
suddenly appear after October 2, 2006. (Id.) Appellant argues that this
was trial by ambush and he was entitled to some sort of jury instruction.
(Id. at 34-35.)
First, we note that appellant did not make any objection at trial, nor
did he request a jury instruction. (Trial court opinion, 11/18/14 at 31.)
Therefore, the matter is deemed waived. See Pa.R.C.P. 227.1(b)(1)
(“Except as otherwise provided by Pa.R.E. 103(a), post-trial relief may not
be granted unless the grounds therefor, (1) if then available, were raised in
pre-trial proceedings or by motion, objection, point for charge, request for
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findings of fact or conclusions of law, offer of proof or other appropriate
method at trial . . .”). This issue was raised for the first time in appellant’s
post-trial motion. As the trial court states, during the course of trial, it
became obvious that the defendants would not be calling certain witnesses,
including the neurologist, yet appellant did not raise the issue. (Trial court
opinion, 11/18/14 at 31.)
In addition, appellant cites no authority for the proposition that the
defendants were required to call every witness on their witness list, or else
suffer an adverse instruction. The only case cited by appellant is Chiodetti,
supra, which is non-precedential, and, according to our Internal Operating
Procedures, should not be cited. The plaintiff bears the burden of proof and
the defendants were not obligated to call every witness. As the trial court
observes, a trial is a fluid process and counsel is not required to adhere to a
particular theory of the case as articulated during pre-trial discovery. (Id. at
33.) Apparently, the defendants decided not to call Dr. Katz because they
were satisfied that Dr. Jones’ testimony provided them with a defense. (Id.
at 31-32.) Dr. Jones testified to the rarity of appellant’s condition; that
there is no evidence that administration of steroids alters its course; that it
generally develops over a period of days, rather than weeks or months; and
that appellant had increased symptoms subsequent to his treatment with the
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defendants. (Id.) Certainly, if defense counsel referenced Dr. Katz or other
witnesses during trial and then failed to call them to the stand, appellant
could alert the jury to their absence; however, even if this matter were
preserved, which it is not, appellant would not be entitled to post-trial relief
for a defendant’s decision not to call a particular witness.
In his fourth issue on appeal, appellant contends that the trial court
erred in allowing jurors to serve who were employees or otherwise
associated with LGH, but stated during voir dire that they could be fair and
impartial. (Appellant’s brief at 36.) Appellant states that LGH is one of
Lancaster’s largest employers. (Id.) Appellant concedes that he did not
object to the voir dire process or challenge any of the prospective jurors for
cause, but claims that a recent decision of this court, Cordes v. Associates
of Internal Medicine, 87 A.3d 829 (Pa.Super. 2014) (en banc), appeal
denied, 102 A.3d 986 (Pa. 2014), changed the legal landscape in this area.
In his reply brief, appellant asserts that he had no basis to object until our
supreme court denied allocatur in Cordes. (Appellant’s reply brief to brief
of LEA defendants and Drs. Levy and Hartemink at 22-23.)
In Cordes, the opinion in support of reversal by Judge Wecht found
that certain jurors’ close familial relationships with patients of the
physician-defendant warranted a finding of per se prejudice, despite their
assurances during voir dire that they could be fair and impartial. Cordes,
87 A.3d at 842-843. Judge Wecht concluded that the trial court failed to
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give due regard to the importance of ensuring a jury that is not only
impartial in fact, but also in appearance. Id. at 842-846. Judge Wecht also
found that empanelment of a third juror, who testified he could deliberate
impartially despite his employment relationship with Heritage Valley Health
System which had an undisputed financial interest in the outcome of the
litigation, “created a sufficient risk of partiality to establish prejudice per se
arising from his jury service.” Id. at 845 (footnote omitted). Again, in so
holding, Judge Wecht emphasized avoiding even the appearance of partiality
or bias.
There are several problems with appellant’s argument. First, Cordes
was a plurality decision and is not binding precedent. See Shinal v. Toms,
122 A.3d 1066, 1076 n.8 (Pa.Super. 2015) (explaining that Cordes is not
controlling authority and that while a majority of the en banc panel
concurred in the result in Cordes, the judges did not agree on the rationale
for the result). Second, in Cordes, the appellant challenged the prospective
jurors for cause. Instantly, appellant did not argue that any of the
individuals employed by, or who had a close association with, LGH should be
stricken for cause, nor did appellant make any objections during voir dire or
request the trial court to ask additional questions. (Trial court opinion,
11/18/14 at 33-34.) Therefore, the matter is waived. See Shinal, 122
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A.3d at 1078 (finding appellants’ exhaustion of peremptory challenges
argument waived where they failed to raise the issue at trial).8
Finally, in his statement of questions involved, appellant raises a
weight of the evidence claim; however, he does not argue the issue in his
brief. Therefore, it is deemed waived. See Pa.R.A.P. 2119(a) (“The
argument shall be divided into as many parts as there are questions to be
argued; and shall have at the head of each part--in distinctive type or in
type distinctively displayed--the particular point treated therein, followed by
such discussion and citation of authorities as are deemed pertinent.”). 9
Judgment affirmed.
Judgment Entered.
Joseph D. Seletyn, Esq.
Prothonotary
Date: 2/3/2016
8
We also note that Cordes was decided on March 12, 2014, and jury
selection took place in this case on June 16, 2014, three months later.
9
Appellant makes a fleeting reference to the issue in his reply brief;
however, reply briefs may not be used as an opportunity to raise additional
issues on appeal. Pa.R.A.P. 2113. Furthermore, the trial court likewise
found appellant’s weight of the evidence claim waived, as mere boilerplate.
(Trial court opinion, 11/18/14 at 37.)
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