Cite as 2017 Ark. App. 561
ARKANSAS COURT OF APPEALS
DIVISION II
No. CV-17-58
Opinion Delivered: October 25, 2017
RUSSELLVILLE HOLDINGS, LLC, D/B/A
SAINT MARY’S REGIONAL MEDICAL APPEAL FROM THE POPE
CENTER D/B/A TURNING POINT COUNTY CIRCUIT COURT
BEHAVIORAL HEALTH [NO. 58CV-15-160]
APPELLANT
HONORABLE DENNIS CHARLES
V. SUTTERFIELD, JUDGE
JAMES ROBERTSON PETERS, AS AFFIRMED
PERSONAL REPRESENTATIVE OF THE
ESTATE OF JOHN D. PETERS, JR.,
DECEASED, AND ON BEHALF OF THE
ESTATE AND ITS STATUTORY
BENEFICIARIES; JOHN D. PETERS III;
JAMES ROBERTSON PETERS,
INDIVIDUALLY; AND KATHLEEN
STINGLEY
APPELLEES
MIKE MURPHY, Judge
This medical-malpractice case stems from the death of John D. Peters, Jr. (“Mr.
Peters”), who was admitted to appellant Turning Point Behavioral Health (“Turning
Point”), a unit located at Saint Mary’s Regional Medical Center (“St. Mary’s”), and upon
his release, hanged himself ten days later. Appellee James Robertson Peters, as personal
representative of the estate, initiated suit. We affirm.
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I. Facts and Procedural History
Mr. Peters was admitted to Turning Point following the death of his wife of 37
years and two resulting suicide attempts. Mr. Peters had long suffered from bipolar
disorder with periods of severe anxiety. His second suicide attempt occurred on December
10, 2013, and resulted in an emergency-room visit to St. Mary’s. The inquiry and
assessment form that was filled out in the emergency room recognized that Mr. Peters’s
son, John D. Peters III (“Jay”), was Mr. Peters’s legal guardian. Notably, both Mr. Peters
and Jay signed the consent for voluntary admission on December 10, 2013. On December
13, 2013, a social worker from Turning Point filed a petition to involuntarily admit a
person with mental illness, which the Pope County Circuit Court granted on December
16, 2013. Nothing in the petition acknowledged that Mr. Peters had a legal guardian.
On December 26, 2013, Mr. Peters was discharged from Turning Point on his
own recognizance. The discharge summary revealed that Mr. Peters denied further
suicidal ideations; he had engaged in no self-destructive behavior since admission and
seemed ready for discharge; he was future oriented and had interacted very positively with
staff and peers; and it was felt that he had reached maximal benefit of hospitalization. 1 On
January 6, 2014, Mr. Peters hanged himself.
Four days after the death of Mr. Peters, appellees’ (Mr. Peters’s estate and heirs)
attorney sent a seven-page letter to appellant with the heading “Important Notice
Regarding Document and Data Preservation.” This broad letter gave appellant notice that
the heirs and estate of Mr. Peters had retained legal counsel to investigate a potential
1
The discharge summary report was dictated six days after Mr. Peters’s death.
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claim, and appellant was notified “not to destroy, conceal or alter any paper or electronic
files . . . .” At that time, medical records of discharged patients were kept in two places:
(1) copies of the paper portion of the records were scanned to Laserfiche by a third-party
vendor and then shredded and (2) the electronic portion of the medical records was
maintained on a computer program known as MediTech.
After receipt of the letter, Tim Copeland, chief quality officer of Russellville
Holdings, LLC (another name for appellant) told the director of the health-information-
management department, Paula Page, to sequester the paper portion of Mr. Peters’s
records. Subsequently, Turning Point retained legal counsel. Turning Point responded to
the letter on February 7, 2014, requesting a meet-and-confer conference to discuss the
breadth and scope of the document-preservation letter. Turning Point sent a follow-up
request on February 14, 2014, because counsel had not responded. A few days later, the
attorneys conducted a telephone conference, and appellees’ attorney sent a follow-up one-
page letter narrowing down the preservation request.
Around the same time, but before the telephone conference occurred, Annette
Smith replaced Paula Page as health-information-management director. In an affidavit,
Smith explained that she had not been provided a copy of the letter that the hospital
received regarding document and data preservation. She said at some point between late
January but before February 10, 2014, she discovered, in a drawer of a desk previously
used by Paula Page, Mr. Peters’s paper medical records. She explained, as in the ordinary
course of business, that she took the complete paper portion to EDCO Health
Information Solutions, the third-party vendor that scans medical records into Laserfiche,
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to be scanned. Smith received the paper medical records back once they had been
scanned. At some point between February 10, 2014, and February 9, 2015, the paper
portion of the records was shredded in the usual and ordinary course of business; she
explained that this was not done maliciously or to destroy evidence. From her point of
view, “a superior copy of the paper records existed on Laserfiche at the time the paper
portion was shredded.”
Appellees eventually filed suit on May 6, 2015. Prior to, and during the course of,
litigation, four different sets of the medical records were produced, for various reasons that
were set out in the affidavit by Smith. In February 2015, after the contents of the medical
records had changed four times, counsel for appellees made a demand for a physical
inspection of Mr. Peters’s original medical chart. Of particular importance, appellees
sought to document the actual content of the original physical chart as it was on the day of
Mr. Peters’s discharge and whether the original chart contained guardianship orders that
appellees claimed they had provided to Turning Point, but Turning Point claimed the
contrary. It was then that the hospital and the appellees discovered that the original paper
medical chart had likely been destroyed by Saint Mary’s.
As a result, appellees filed a motion to compel their access to Mr. Peters’s original
chart or, in the alternative, to force Saint Mary’s to admit on the record that they had
intentionally destroyed the original chart. In response, appellant stated that it could not
permit inspection of the original chart because it had been destroyed. Appellees filed a
motion to strike appellant’s answer, arguing that their ability to obtain a full and fair trial
had been irretrievably compromised as a result of the evidentiary destruction of the
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medical records. After a hearing on the motion, the circuit court found that, after careful
consideration, the original medical file in question was so important to the case that its
preservation was essential to a just adjudication. In its order, the court recognized that
striking an answer is very serious, but it found appellant’s conduct to be most egregious.
Appellant filed a motion to reconsider, but the circuit court denied appellant’s motion
after a hearing. Appellant timely appealed, and we have jurisdiction per Ark. R. App. P. –
Civ. 2(a)(4), which states that an appeal may be taken from an order that strikes an answer.
In Arnold Fireworks Display, Inc. v. Schmidt, 307 Ark. 316, 319, 820 S.W.2d 444, 445
(1991), the supreme court explained that the general purpose of Ark. R. App. P. –Civ.
2(a)(1) (an appeal may be taken from a final judgment or decree) is to prevent piecemeal
appeals while portions of the litigation remain unresolved but that, quite differently, Ark.
R. App. P. –Civ. 2(a)(4) allows a piecemeal approach.
On appeal, appellant argues three points: (1) the court erred as a matter of law in
finding that spoliation of evidence occurred; (2) the court erred as a matter of law in
finding that appellees’ letters, sent long before any suit was filed, unilaterally imposed a
duty to preserve the paper copy of the paper portion of the record; and (3) the court erred
in imposing the extraordinary sanction of striking the answer.
II. Spoliation of Evidence
On appeal from a circuit court’s determination of a purely legal issue, we must
decide only if its interpretation of the law was correct, as we give no deference to the
circuit court’s conclusion on a question of law. Kraft v. Limestone Partners, LLC, 2017 Ark.
App. 315, at 5, 522 S.W.3d 150, 153. When a case is tried by a circuit court sitting
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without a jury, the inquiry on appeal is whether the circuit court’s fact-findings are clearly
erroneous, or clearly against the preponderance of the evidence. Rial v. Boykin, 95 Ark.
App. 404, 408, 237 S.W.3d 489, 492 (2006). Recognition must be given to the circuit
court’s superior opportunity to determine credibility of witnesses and the weight to be
given to their testimony. Id.
Our supreme court has defined “spoliation” as “the intentional destruction of
evidence and when it is established, [the] fact finder may draw [an] inference that [the]
evidence destroyed was unfavorable to [the] party responsible for its spoliation.” Goff v.
Harold Ives Trucking Co., 342 Ark. 143, 146, 27 S.W.3d 387, 388 (2000). However, we
must begin our analysis by acknowledging that Arkansas case law on spoliation is sparse.
For example, this court has not previously addressed whether spoliation of medical
documents occurs when the documents are scanned and converted to another format. The
spoliation cases in Arkansas involve tangible evidence, such as a halogen lamp and a water-
pipe clamp and bolt. See Bunn Builders, Inc. v. Womack, 2011 Ark. 231; see also Rodgers v.
CWR Constr., Inc., 343 Ark. 126, 33 S.W.3d 506 (2000).
Our supreme court held that a circuit court is not required to make a specific
finding of bad faith on the part of the spoliator. Bunn Builders, supra. Unlike the case at
hand, the plaintiffs in Bunn Builders sought to implement jury instructions on spoliation
rather than striking the answer. Bunn Builders, 2011 Ark. 231, at 2. Regardless, it serves as
guidance in our analysis on whether spoliation actually occurred. In Bunn Builders, the
circuit court found that the parties had a duty and an agreement to preserve the evidence
in the case but that the motive behind the destruction of evidence was unclear and granted
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that the jury be instructed on spoliation. Id. The appellants appealed, arguing that the
circuit court erred in instructing the jury on spoliation because there was no initial finding
by the court that the destruction was done in bad faith. Id. The supreme court explained
that Arkansas courts have never specifically held that a circuit court must find intentional
destruction indicating a desire to suppress the truth before a spoliation instruction can be
given. Id. at 10. Therefore, the supreme court concluded that a finding of bad faith on
behalf of the spoliator is not necessary. Id. at 11.
The court in Bunn Builders relied on Rodgers for guidance. Rodgers was injured in a
construction-site accident when a section of water pipe that was suspended from the
ceiling fell and struck him as he was pulling feeder wires out of an electrical panel in the
basement of the Pulaski County Courthouse. Rodgers, supra. The parties stipulated that the
appellee, the contractor, had lost the clamp and bolt that held the water pipe to the ceiling
before the accident occurred, and the appellants requested a spoliation instruction. Rodgers,
343 Ark. at 129, 33 S.W.3d at 508. The circuit court rejected a non-AMI jury instruction
propounded by the appellants, noting that the clamp and bolt were available at the time
the appellants’ lawsuit was initiated and that the appellants had presented no proof that the
contractor willfully lost or intentionally destroyed the evidence. Id.
On appeal in Rodgers, the appellants argued that the record reflected that the
contractor had been in physical possession and control of the pipe, clamp, and bolt
involved in the accident. Rodgers, 343 Ark. at 130, 33 S.W.3d at 510–11. The supreme
court affirmed the circuit court’s decision to reject appellants’ spoliation instructions
because (1) the circuit court specifically found that the evidence had not been
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intentionally lost or destroyed; (2) the circuit court had permitted counsel to argue the
same points even though the instructions were not submitted to the jury; and (3) the
evidence was available shortly after the accident, but no meaningful discovery was
commenced until five years following the accident. Id. The supreme court held that “[i]n
absence of any intentional misconduct, we cannot say that the circuit court abused its
discretion by failing to give the jury an instruction on spoliation of evidence.” Id. One
notable difference in Rodgers is that the case had been initiated, yet discovery was not
conducted until five years later. Here, the case had not yet been initiated when the
evidence was considered destroyed.
Appellant first argues that spoliation of the medical records did not occur because
the paper portion of Mr. Peters’s medical records was not shredded until after the entire
paper portion of the record had been scanned to Laserfiche. However, it is important to
appellees that they should have had an opportunity to inspect the physical paper chart as it
existed when Mr. Peters was discharged, as appellees contend that Mr. Peters was not
adequately assessed by the treating physician, Dr. Stinnett. Additionally, it is important to
appellees to know whether copies of the guardianship orders were in the paper file to
show that appellant wrongfully discharged Mr. Peters without consulting his guardian.
Appellant explained that it is its policy to recognize guardianship orders only if they are
located in the patient’s medical chart. Appellant further contends that the electronic
version of the record did not contain a guardianship order, so it must not have been in the
record because the electronic copy is an exact replica. On the contrary, appellees argue
that having the opportunity to inspect the actual chart, as it existed at the time of
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discharge, could reflect otherwise. Appellees assert that a genuine dispute as to the actual
content of the medical record on the day of discharge exists and that the only way to
resolve this issue is to examine the original. We agree and decline to accept appellant’s
logic that a duplicate of the evidence was made before it was destroyed.
It is appellees’ burden to prove that Mr. Peters was wrongfully discharged, and to
do so appellees need to know what the discharge notes revealed the day of Mr. Peters’s
release and whether Dr. Stinnett wrongfully released his patient on his own recognizance,
because a guardianship order existed in the file. It is well established that we require the
fact-finder to base its decision on proof, and not mere speculation or conjecture. Rodgers,
343 Ark. at 131, 33 S.W.3d at 509–10. Here, the parties and the fact-finder would be
required to speculate as to what was in the stack of documents and what was actually in
front of the caregivers when the decision to discharge Mr. Peters was made. Moreover, for
our analysis, the manner in which appellant destroyed the records is irrelevant because, as
determined in Bunn Builders, a finding of bad faith is not necessary.
We distinguish the situation at hand from one in which the letter to preserve the
records came after the files had been converted to an electronic format. Here, we find it
notable that appellees sent a letter to preserve the documents before they were destroyed
and converted into an electronic format. As in Rodgers, the evidence was available
following the death of Mr. Peters, but unlike Rodgers, meaningful discovery had
commenced, yet destruction of the evidence still occurred. For these reasons, we must
affirm on this point.
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III. Duty to Preserve
Other courts have held that whether a duty to preserve evidence exists is a question
of law for the court. Cockerline v. Menendez, 988 A.2d 575, 589 (N.J. Super. Ct. App. Div.
2010). This court does not defer to the circuit court on a question of law. Clark v.
Caughron, 2017 Ark. App. 409, at 2, __ S.W.3d __, __. We review the issue de novo, as
on review of any question of law, and simply apply the applicable law. Muhammad v. State,
67 Ark. App. 262, 998 S.W.2d 763 (1999).
Under Ark. R. Civ. P. 37(b)(2), a party risks sanctions if he or she destroys
documents or other evidence after the court has issued an order compelling discovery or a
protective order, for destruction constitutes an obvious failure to comply with the order.
However, the rule does not expressly address the destruction of relevant documents before
litigation has commenced or after a complaint has been filed but before the documents are
sought via discovery. 2 David Newbern, John J. Watkins, D.P. Marshall Jr. & Brandon J.
Harrison, Arkansas Civil Practice & Procedure § 21:16 (5th ed. 2017). In Arkansas, the
standard is very clear in criminal cases that the State’s duty to preserve evidence is limited
to that which “might be expected to play a significant role in the suspect’s defense” and
that the “evidence must both possess an exculpatory value that was apparent before the
evidence was destroyed, and be of such a nature that the defendant would be unable to
obtain comparable evidence by other reasonably available means.” Lee v. State, 327 Ark.
692, 700, 942 S.W.2d 231, 235 (1997). However, the duty is not so clear in civil cases.
Courts in other jurisdictions have held that a party has an obligation to preserve
relevant evidence upon receiving notice of being sued and when he or she should know
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that it may be relevant to future litigation. Newbern et al., supra. Further, § 21:16
explains,
The scope of the duty to preserve evidence “is not boundless,” and a potential
litigant “need do only what is reasonable under the circumstances.” Likewise, the
duty to preserve evidence does not extend to every document in one’s possession,
for such a responsibility would “cripple large corporations . . . that are almost
always involved in litigation.” As one U.S. District Judge has observed, “to hold
that a corporation is under a duty to preserve all e-mail potentially relevant to any
future litigation would be tantamount to holding that the corporation must
preserve all e-mail,” a result that would be “especially burdensome where the e-
mail system [is] used primarily for routine communication.
(Citations omitted.)
However, the Eighth Circuit has acknowledged it is less willing to let corporations
hide behind their retention policies. The Eighth Circuit in Lewy v. Remington Arms
Co. concluded that “a corporation cannot blindly destroy documents and expect to be
shielded by a seemingly innocuous document retention policy.” 836 F.2d 1104, 1112 (8th
Cir. 1988). The Lewy court admonished the defendant for negligently failing to preserve
the evidence requested and suggested that a court should consider whether the record
retention policy is “reasonable considering the facts and circumstances surrounding the
relevant documents.” Id. The Eighth Circuit elaborated in Morris v. Union Pacific Railroad,
373 F.3d 896 (8th Cir. 2004), to also look at the intention of the company destroying
evidence.
Here, appellees argue that a similar standard in criminal cases should apply in civil
cases; they argue that appellant was under a duty to preserve all items that “might be
material” to a potential claim. Appellees assert that it was reasonably foreseeable that the
original paper chart might be material to that potential claim. We agree.
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We rely on Bunn Builders, supra, for insight into our policy. There, painters were
painting a building late at night, and after they had left, a fire destroyed the building. Days
later, the owners of the building and the insurance company (the plaintiffs) retained
certain items for preservation and testing, including a halogen lamp that had been left by
the painters. Before filing suit, the painters’ insurance company (the defendant) sent a
letter requesting that it be informed prior to, and present for, any examination or
inspection of those items. The plaintiffs sent a letter to defendant claiming that the
investigation was a result of the painters’ negligence. Thereafter, the lamp was authorized
to be destroyed without inspection or testing by the defendant. The supreme court
affirmed the circuit court’s finding that the parties had a duty and an agreement to
preserve the evidence in the case; the court therefore granted their request for a spoliation
instruction.
Similarly, it is undeniable that appellant was on notice of a potential suit. Appellant
was put on notice long before litigation commenced that it was to preserve “original
dictation related to the intake, discharge, or care of Mr. Peters, whether maintained in
digital, cassette tape format or otherwise.” Moreover, appellant acknowledged the request
and originally sequestered the paper records. On appeal, appellant asserts that it was in
compliance with the obligations under Arkansas law regarding the retention and
preservation of medical records. However, that is not sufficient because not only was it
reasonably foreseeable that the original medical records would be material to a potential
claim, but also because the paper records existed at the time the letter was sent, and
appellant agreed to retain them. It was not unduly burdensome for appellant to maintain
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the paper records. Unlike the example of the burdensome requirement that a corporation
to preserve all e-mail correspondence, appellant was not required to keep all the patients’
paper records, just Mr. Peters’s. For the foregoing reasons, we find that a duty attached.
IV. Sanction of Striking an Answer
The imposition of sanctions rests in the circuit court’s discretion. Ramsey v. Dodd,
2015 Ark. App. 122, 456 S.W.3d 790. It is crucial to our judicial system that circuit courts
retain the discretion to control their dockets and imposition of discovery sanctions. Lake
Village Health Care Ctr., LLC v. Hatchett, 2012 Ark. 223, 407 S.W.3d 521. The circuit
court is in a superior position to judge the actions and motives of the litigants, and the
circuit court’s rulings should not be second-guessed. Id. Accordingly, we review the
imposition of sanctions, even severe ones, under an abuse-of-discretion standard. Ramsey,
2015 Ark. App. 122, at 4–5, 456 S.W.3d at 793. A court commits an abuse of discretion
when it acts thoughtlessly, improvidently, or without due consideration. Ocwen Loan
Servicing, LLC v. Mickna, 2017 Ark. App. 430, at 4.
Arkansas Rule of Civil Procedure 37(b)(2)(C) provides that if a party fails to obey
an order to provide or permit discovery, the court in which the action is pending may
make such orders in regard to the failure as are just, including an order striking out
pleadings or rendering a judgment by default against the disobedient party. The Arkansas
Supreme Court noted in Goff that the same sanctions available under the discovery rules
are allowed as a spoliation sanction, which includes striking an answer of an offending
party. 342 Ark. at 150, 27 S.W.3d at 391.
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A review of the record reveals that the circuit court did not reach its decision
without due consideration. The court conducted two hearings and directed thoughtful
questions to both parties. In fact, the court admonished appellees’ counsel for cutting off
the court’s questions and input. The circuit court chose to reject appellant’s argument that
the electronic copy was an exact replica and therefore considered an “original.” In
granting the motion to strike, the court acknowledged that striking the answer of a party is
very serious but that the conduct was most egregious as evidenced by the fact that
appellant was “clearly placed on notice not to destroy these critical documents,” yet it
proceeded to destroy the original file anyway. The circuit court further considered the
alternative to instruct the jury on spoliation of evidence, but found that it would be
insufficient given the importance of the factual dispute surrounding which documents
were in the original file. We recognize that we have never addressed a case in which the
sanction was to strike the entire answer, but the option to do so does exist. Because the
circuit court clearly found that appellant willfully destroyed the paper medical records and
that a curative instruction would be insufficient, we cannot say that the court abused its
discretion by striking the answer.
Affirmed.
VIRDEN, J., agrees.
GLOVER, J., concurs.
DAVID M. GLOVER, Judge, concurring. I reluctantly affirm this case. Our
standard of review on appeal for the imposition of sanctions is abuse of discretion, Parker v.
Perry, 355 Ark. 97, 131 S.W.3d 338 (2003), which is an extremely high threshold to
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overcome. To hold there was an abuse of discretion, it must be shown the trial court acted
thoughtlessly and without due consideration. Roberts v. Wortz, 2017 Ark. App. 349, 525
S.W.3d 485. Here, the record reflects the in-depth hearing conducted by the trial court
on the spoliation. Each party was questioned at length. Then, several weeks later, the trial
court detailed by letter to the parties its decision. On such a record, I cannot say the trial
court acted thoughtlessly and without due consideration. Through this concurrence,
however, I express my grave concern for the breadth of the sanctions levied against
appellant Russellville Holdings stemming from destruction of the paper medical records.
Spoliation is defined as “the intentional destruction of evidence and when it is
established, [the] fact finder may draw [an] inference that [the] evidence destroyed was
unfavorable to [the] party responsible for its spoliation.” Rodgers v. CWR Constr., Inc., 343
Ark. 126, 33 S.W.3d 506 (2000) (citing Goff v. Harold Ives Trucking Co., Inc., 342 Ark.
143, 146, 27 S.W.3d 387, 388 (2000) (citing Black’s Law Dictionary 1401 (6th Ed.
1990))). Unlike a number of federal courts, Arkansas courts have never held that there
must be a finding of bad faith by the trial court of intentional destruction indicating a
desire to suppress the truth before a spoliation instruction can be given. Bunn Builders, Inc.,
v. Womack, 2011 Ark. 231.
The sanctions are many. In Arkansas, sanctions for a spoliation violation cover a
wide range of options—from a fine, to orders providing that the facts in question are
conclusively established or refusing to allow certain evidence or defenses to be admitted,
to ordering the “striking [of] pleadings or parts thereof.” See Arkansas R. Civ. P. 37(b)(2)(C)
(emphasis added). AMI jury instruction 106 is also available. Though not chosen as a
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sanction by the trial court, that instruction states that if a party intentionally destroys, loses,
or suppresses evidence with the knowledge it may be material to a pending or potential
claim, an inference may be drawn that such evidence would have been unfavorable to that
party’s claim or defense.
Here, the trial court struck Russellville Holdings’ entire answer as the sanction for
shredding the paper medical records. In its order, the trial court found the original medical
file was “so important” that “its preservation was essential to a just adjudication of the
issues,” that a curative instruction was insufficient “given the importance of the factual
dispute in this case surrounding what documents were in the original file,” and that
Russellville Holdings’ conduct was “most egregious” so as to require the striking of its
answer. It is stringent, clearly, but is a sanction approved under Ark. R. Civ. P. 37(b)(2).
There are two factual questions lifting this appeal. The first question centers around
whether orders of temporary and permanent guardianship over Peters were present in his
paper medical file on his discharge date of December 26, 2013. His children assert the
orders were delivered to the hospital and requested to be placed in Peters’s file. 2
2
Peters’s counsel narrowed this question by his remarks to the trial court:
[W]e are entitled to show what was in that original file in regards to the
guardianship orders, and whether we could substantiate our clients’ allegation that
they provided those and they were in the file . . . .
....
With regard to our case, we are entitled to try and prove, because it is at the
heart of our case, that those guardianship orders were in that file on the day of
discharge.
....
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Russellville Holdings claims the orders were never received. Russellville Holdings offered
other less drastic measures such as (i) giving the spoliation instruction; (ii) giving a
modified version of the spoliation instruction, making the adverse inference to be drawn
from the spoliation instruction an irrebuttable presumption as opposed to only a rebuttable
one; or (iii) precluding Russellville Holdings’ witnesses from testifying that the
guardianship orders at issue were not delivered to it by appellees. As to the orders
themselves, the latter two options would answer the question of whether they were in the
file. 3 It would be undisputed the orders were received by Russellville Holdings. Later,
Russellville Holdings’ counsel’s concessions of fact at the reconsideration hearing fully
resolve the guardianship-identity issue:
There’s no dispute in this case that the proposed guardian was contacted by the
hospital prior to Mr. Peters’ discharge. There’s no dispute in this case that he came to the
hospital. He presented himself to the hospital as the guardian.
There’s no dispute that he met with the medical care providers. There’s no dispute
that he presented his contention that the patient should not be discharged or that other
arrangements should be made. Those facts are in the pleading and I don’t believe that
there will be, there may be some back and forth argument, or could have been some back
[I]t is our allegation in this case that the chart contained those guardianship
orders.
3
Applying the latter two options would have had the effect of Russellville Holdings
admitting that it had received the orders. That in turn would have alleviated the main
concern surrounding the destruction of the paper medical file.
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and forth argument about the discussion that was had, but what will be presented is that
the guardian was contacted.
He did come to the hospital the day of the discharge. He was advised of the
patient’s discharge.
The second factual question: whether the written discharge notes of another patient
were placed in Peters’s file instead of the written discharge notes for Peters. The trial court
referenced only “the original medical file” in its order. However, by then, Russellville
Holdings had submitted four similar, though not exact, microfiche copies of Peters’s
medical records. One version of Peters’s medical records include another patient’s notes.
In a subsequent version, the other patient’s medical notes had been removed and Peters’s
medical notes had replaced them. The paper medical notes were handwritten by separate
defendant Dr. Thomas Stinnett, who discharged Peters. 4 Any other discharge notes could
not be at issue, as Dr. Stinnett did not write them but dictated them January 14, over a
4
Peters’s counsel stated:
[The other thing] is his actual medical records from the day they let him go,
which is the whole point of this case.
What is crucially important to prove that one way or another is what was in
that file the day he left.
....
What our lawsuit pertains to is what was in the file when that man walked
out the door.
The treatment team’s notes are what we are talking about from the day of
discharge. Those are gone.
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week after Peters committed suicide (January 6, 2014), and those notes were not
transcribed until January 17. Thus, all discharge records were reported.
I repeat. In Arkansas, there does not have to be a bad intent to find spoliation of
evidence. However, given the wide range of sanctions—from a jury instruction to the
wholesale striking of an entire answer (which in effect amounts to a default judgment as to
liability)—I believe when assessing a sanction, there must be consideration of how the
evidence was spoliated as to each separate count. We have little to no appellate guidance
regarding the imposition of sanctions for pre-litigation spoliation of evidence. The
majority acknowledges Arkansas case law on any type of spoliation is sparse. Our rule
(Ark. R. Civ. P. 37(b)(2)) contemplates a risk of sanctions for destruction of documents or
other evidence after the court has issued an order compelling discovery. In this case, we
concede the rule does not expressly address the destruction of relevant documents before
litigation has commenced. With such a lack of direction, I am hopeful that our supreme
court will be asked for review in order to give direction to the bench and bar for
spoliation sanctions.
Munson, Rowlett, Moore and Boone, P.A., by: Beverly A. Rowlett, Timothy L. Boone,
and Mary Carole Young, for appellant.
Streett Law Firm, P.A., by: Alex G. Streett, James A. Streett, and Robert M. Veach; and
Brian G. Brooks, Attorney at Law, PLLC, by: Brian G. Brooks, for appellees.
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