J. A19042/18
NON-PRECEDENTIAL DECISION – SEE SUPERIOR COURT I.O.P. 65.37
KENNETH LICHTENBERGER, : IN THE SUPERIOR COURT OF
: PENNSYLVANIA
Appellant :
:
v. :
:
GEISINGER COMMUNITY MEDICAL :
CENTER, GEISINGER HEALTH SYSTEM :
FOUNDATION, DEEPAK SINGH, M.D., : No. 142 MDA 2018
KAELY AIKMAN, PA-C AND :
TODD ELLISON, PA-C :
Appeal from the Judgment Entered February 15, 2018,
in the Court of Common Pleas of Lackawanna County
Civil Division at No. 16-CV-3362
BEFORE: GANTMAN, P.J., NICHOLS, J., AND FORD ELLIOTT, P.J.E.
MEMORANDUM BY FORD ELLIOTT, P.J.E.: FILED: MARCH 27, 2019
Kenneth Lichtenberger appeals from the February 15, 2018 judgment
entered in favor of Geisinger Community Medical Center (“GCMC”), Geisinger
Health System Foundation (“Health System”), Deppak Singh, M.D.
(“Dr. Singh”), Kaeley Aikman, PA-C (“Aikman”), and Todd Ellison, PA-C
(“Ellison”) (collectively, “appellees”) and against appellant. We affirm.
The trial court set forth the following:
[Appellant] underwent Coronary Artery Bypass Graft
(CABG) surgery on September 11, 2014. Part of the
surgical procedure involved the harvesting of the
greater saphenous vein in his left leg so that it could
be used to facilitate bypassing the blockages
discovered in his coronary artery. While the bypass
portion of the procedure was accomplished without
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any complications, [appellant] filed suit alleging
injuries caused as a result of the harvesting of his left
greater saphenous vein. [Appellant] sued his cardiac
surgeon, Deepak Singh, M.D., the two physician’s
assistants who performed the saphenous vein
harvest, Kaely Aikman, PA-C and Todd Ellison, PA-C,
and [GCMC], where his surgery was
performed.[Footnote 1] [Appellant’s] Second
Amended Complaint contained claims of negligence
against the individual [appellees], vicarious liability
against [GCMC] and corporate negligence against
GCMC.[Footnote 2]
[Footnote 1] [Appellant] also named
[Health System] as a defendant, but
stipulated to the withdrawal of his claims
against that entity prior to trial.
[Footnote 2] We granted summary
judgment in favor of GCMC on the
corporate negligence claim on July 6,
2017.
The case proceeded to a jury trial on July 10, 2017.
On July 14, 2017, a jury returned a verdict finding no
negligence on the part of any of [appellees].
[Appellant] thereafter filed a Motion for New Trial
pursuant to Pa.R.Civ.P. 227.1(a)(1) on July 24, 2017.
[Appellees] responded on August 10, 2017. Oral
argument was scheduled and held on October 17,
2017.
Trial court opinion, 12/15/17 at 1-2.
The record reflects that the trial court denied appellant’s motion for a
new trial on December 15, 2017. On January 16, 2018, appellant filed a notice
of appeal. On January 17, 2018, the trial court ordered appellant to file a
concise statement of errors complained of on appeal pursuant to
Pa.R.A.P. 1925(b). Appellant complied. The trial court then filed with this
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court a copy of its December 15, 2017 opinion which disposed of the issues
raised in appellant’s Rule 1925(b) statement.
The record further reflects that on February 12, 2018, this court entered
an order directing appellant to praecipe the trial court prothonotary to enter
judgment and file with the prothonotary of this court, within 10 days, a
certified copy of the trial court docket reflecting the entry of judgment in order
to comply with Pa.R.A.P. 301, which sets forth the requirements for a final
appealable order. (Order of court, 2/12/18.) This court further ordered that
when appellant complied with Rule 301, this court would treat appellant’s
previously filed notice of appeal as filed after the entry of judgment. Appellant
timely complied. The record reflects that judgment was entered in favor of
appellees on February 15, 2018. By order entered February 26, 2018, this
court discharged its February 12, 2018 order.
Appellant raises the following issues for our review:
[1.] Whether the trial court committed error by
refusing to permit [appellant’s] Expert Bruce P.
Mindich, M.D. to testify as to the applicable
standard of care for harvesting a saphenous
vein[?]
[2.] Whether the trial court erred in refusing to
permit [appellant] to offer testimony and
evidence of the statement by Russell Stahl, M.D.
regarding the diagnosis of [appellant’s] leg pain
after it was reported to Dr. Stahl[?]
[3.] Whether the trial court erred in permitting
[appellees] to present testimony and evidence
on the known risks and complications associated
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with the harvesting of the saphenous vein in
Coronary Artery Bypass Graft Surgery[?]
[4.] Whether the trial court erred in permitting
[appellees] to present testimony and evidence
on the September 3, 2015 report of Bruce P.
Mindich, M.D. that was sent to [appellees] for
settlement purposes prior to the
commencement of [appellant’s] lawsuit[?]
Appellant’s brief at 3.
“[W]hen reviewing the denial of a motion for new trial, we must
determine if the trial court committed an abuse of discretion or error of law
that controlled the outcome of the case.” Estate of Hicks v. Dana
Companies, LLC, 984 A.2d 943, 951 (Pa.Super. 2009) (en banc), appeal
denied, 19 A.3d 1051 (Pa. 2011) (citations omitted).
The issues raised by appellant challenge various evidentiary rulings
made by the trial court.
Admission of evidence is within the sound discretion
of the trial court and we review the trial court’s
determinations regarding the admissibility of evidence
for an abuse of discretion. To constitute reversible
error, an evidentiary ruling must not only be
erroneous, but also harmful or prejudicial to the
complaining party.
Id. at 961 (citations omitted). “Additionally, [e]videntiary rulings which did
not affect the verdict will not provide a basis for disturbing the jury’s
judgment.” Id. (internal quotation marks and citations omitted; brackets in
original).
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Appellant first complains that the trial court erred when it refused to
permit appellant’s medical liability expert, Bruce P. Mindich, M.D., to testify
as to the applicable standard of care for harvesting a saphenous vein.
The admission of expert testimony is within the trial
court’s sound discretion and we will not disturb that
decision without a showing of manifest abuse of
discretion. An expert’s testimony on direct
examination is to be limited to the fair scope of the
expert’s pre-trial report. In applying the fair scope
rule, we focus on the word “fair.” Departure from the
expert’s report becomes a concern if the trial
testimony “would prevent the adversary from
preparing a meaningful response, or which would
mislead the adversary as to the nature of the
response.” Therefore, the opposing party must be
prejudiced as a result of the testimony going beyond
the fair scope of the expert’s report before admission
of the testimony is considered reversible error. We
will not find error in the admission of testimony that
the opposing party had notice of or was not prejudiced
by.
Whitaker v. Frankford Hosp. of City of Philadelphia, 984 A.2d 512, 522
(Pa.Super. 2009) (citation omitted).
The record reflects that during discovery, appellant submitted the
May 24, 2016 expert report of Dr. Mindich1 wherein Dr. Mindich opined, in
relevant part:
The anatomy of the saphenous nerve and saphenous
vein in the area of venous excision in connection with
1 The record reflects that Dr. Mindich authored a substantially similar expert
report, which is dated September 3, 2015, prior to appellant’s instituting the
underlying action. The record further reflects that Dr. Mindich submitted a
supplemental report dated May 9, 2017, stating that he had reviewed the
reports of appellees’ experts and that those reports did not alter his original
opinion. (Supplemental report of Bruce P. Mindich, M.D., 5/9/17.)
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[appellant’s] coronary by-pass surgery is well known.
Under the accepted relevant standard of care the
injuries to [appellant] resulting from the underlying
injury to the saphenous nerve occurring at the time of
his coronary by-pass surgery--whether it was
inadvertently cut, tied-off or otherwise grossly
impacted as a result of his surgery--were readily
avoidable.
Based upon the foregoing, it is my professional
opinion to a reasonable degree of medical certainty
that the care, skill or knowledge exercised or exhibited
in the surgery, treatment, practice of medicine or
work performed in connection with [appellant’s]
coronary by-pass surgery by Dr. Deepak Singh, M.D.,
K. Aikman, PA-C, and T. Ellison, PA-C at [GCMC],
Scranton PA on September 11, 2014 fell outside
acceptable professional standards and that such
conduct was the cause bringing about the harm
suffered by [appellant].
Report of Bruce P. Mindich, M.D., 5/24/16 at 1-2.
In precluding Dr. Mindich from testifying as to the acceptable
professional standards, the trial court explained:
. . . Dr. Mindich’s reports opined that the actions of
[appellees] “fell outside acceptable professional
standards” and that “such conduct was the cause
bringing about the harm suffered by [appellant].”
However, Dr. Mindich never identified in any of his
reports what those “acceptable professional
standards” consisted of. Dr. Mindich never identified
what medical records he reviewed before drafting his
report. His report simply stated, “pursuant to your
request, I have reviewed certain medical records
relating to the cardiothoracic surgery performed on
[appellant]. . . . The records reviewed were all of
those which were included with your letter.” See,
May 24, 2016 report of Bruce P. Mindich, M.D. to
Attorney Carl J. Greco. Moreover, nowhere in his
report does Dr. Mindich identify what the “acceptable
professional standards” were against which he was
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measuring the conduct of [appellees]. Dr. Mindich
just simply and generally states that it is his
professional opinion “to a reasonable degree of
medical certainty that the care, skill or knowledge
exercised or exhibited in the surgery, treatment,
practice of medicine or work performed in connection
with [appellant’s] coronary by-pass surgery by
[appellees] . . . fell outside acceptable professional
standards.” (emphasis added). Dr. Mindich’s report,
essentially, is a disjunctive kitchen sink approach that
measures the conduct of [appellees] without revealing
or identifying his yardstick. To allow Dr. Mindich to
identify the acceptable standard of care for the first
time from the witness stand deprived [appellees] of
an appropriate opportunity to prepare a response to
his testimony. In short, we conclude that since
Dr. Mindich did not identify the acceptable standards
of care in his report, testimony beyond his report
would not have been, in our view, within the “fair
scope” of his report. Indeed, Dr. Mindich’s report was
completely silent regarding any standard of care, or
even breach for that matter, concerning [appellee
Dr.] Singh’s supervisory capacity over the physician’s
assistants Aikman and Ellison. His report provided
absolutely no basis for any proposed testimony on
that topic. We do not think it consistent with
Rule 4003.5[2] to allow an expert to define the
standard of care from the witness stand without first
identifying it in a report.
Trial court opinion, 12/15/17 at 8-9.
A reading of Dr. Mindich’s May 24, 2016 expert report demonstrates
that he failed to set forth the applicable standard of care; rather, Dr. Mindich
merely opined that certain conduct “fell outside acceptable professional
standards” without identifying those “acceptable professional standards.”
(Report of Bruce P. Mindich, 5/24/16 at 2.) Therefore, the trial court properly
2 Pa.R.Civ.P. 4003.5(c) sets forth the fair scope rule.
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precluded Dr. Mindich from testifying at trial as to the applicable standard of
care.
Appellant next complains that the trial court erred by precluding
appellant and his neighbor from testifying regarding the alleged statement
made to them by Russell Stahl, M.D., a non-party physician, that Dr. Stahl’s
colleague had nicked appellant’s nerve because the statement was admissible
under Pennsylvania Rules of Evidence 803(4) and (25).
Rule 803 provides, in relevant part:
The following are not excluded by the rule against
hearsay,[3] regardless of whether the declarant is
available as a witness:
....
(4) Statement Made for Medical Diagnosis or
Treatment. A statement that:
(A) is made for--and is
reasonably pertinent to--
medical treatment or
diagnosis in contemplation of
treatment; and
(B) describes medical history,
past or present symptoms,
pain, or sensations, or the
inception or general character
of the cause or external
source thereof, insofar as
3 Pennsylvania Rule of Evidence 801(c) defines “hearsay” as “a statement that
(1) the declarant does not make while testifying at the current trial or hearing;
and (2) a party offers in evidence to prove the truth of the matter asserted in
the statement. Pa.R.E. 801(c). “Hearsay is not admissible except ‘as provided
by the [[R]ules of Evidence], by other rules prescribed by the Pennsylvania
Supreme Court, or by statute.” Pa.R.E. 802.
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reasonably pertinent to
treatment, or diagnosis in
contemplation of treatment.
....
(25) An Opposing Party’s Statement. The
statement is offered against an opposing
party and:
....
(D) was made by the party’s
agent or employee on a
matter within the scope of
that relationship and while it
existed; or
....
Pa.R.E. 803(4) & (25)(D).
With respect to the medical treatment exception to the hearsay rule set
forth in Rule 803(4), our supreme court has explained that this exception:
provides that testimony repeating out-of-court
statements which were made for the purposes of
receiving medical treatment are admissible as
substantive evidence. As early as 1884, this Court
stated that “nothing is better settled than that
statements of a patient to his physician, as to the
character and seat of his sensations, made for the
purpose of receiving medical advice, are competent
evidence. . . .” Lichtenwallner v. Laubach, 105 Pa.
366 (1884).
The law in Pennsylvania . . . has been that
statements to a doctor were admissible
insofar as they were necessary and proper
for diagnosis and treatment of the injury
and referred to symptoms, feelings and
conditions.
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.... Given these descriptions of the medical
treatment exception, it becomes apparent that there
are essentially two requirements for a statement to
come within this exception. First, the declarant must
make the statement for the purpose of receiving
medical treatment, Lichtenwallner v. Laubach, and
second, the statement must be necessary and proper
for diagnosis and treatment[.]
Commonwealth v. Smith, 681 A.2d 1288, 1291 (Pa. 1996) (some internal
citations omitted).
Here, the trial court properly concluded that the medical treatment
exception to the hearsay rule does not apply because the statement that
Dr. Stahl allegedly made to appellant and his neighbor was not made by a
patient for the purpose of receiving medical treatment.
With respect to the admission by a party opponent exception under
Rule 803(25)(D), the proponent of the statement must demonstrate that:
“(1) the declarant was an agent or employee of a party opponent; (2) the
declarant made the statement while employed by the party opponent; and
(3) the statement concerned a matter within the scope of agency or
employment.” Harris v. Toys “R” Us-Penn, Inc., 880 A.2d 1270, 1275
(Pa.Super. 2005) (citation omitted).
Here, appellant claims that the trial court erred in not admitting
Dr. Stahl’s statement that Dr. Stahl’s colleague had nicked appellant’s nerve
under Rule 803(25)(D) because:
The trial record clearly supports the existence of an
ostensible agency relationship between Dr. Stahl
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and [GCMC]. In fact, in response to questioning,
Dr. Singh stated:
Q. Who’s Dr. Stahl?
A. Dr. Stahl at that time was one of my
colleagues and partners. And he
was primarily in charge of this
campus or the Scranton campus.
Dr. Singh went on to testify that, “At [GCMC],
Dr. Stahl is in charge” with respect to determining
individuals’ roles in surgery. Further, the statement
is clearly within the scope of this relationship: it
directly relates to the reason that [appellant] was
admitted to [GCMC]; the cardiothoracic evaluation he
underwent with Dr. Stahl when admitted to the
hospital; and the surgery that [appellant] underwent
and that is at the center of this action. Finally, the
statement was made during the existence of that
relationship. The requirements of Pa. R.E. 803(25)(D)
where [sic] clearly met, however, the court committed
an abuse of discretion and failed to apply this
exception to the hearsay rule when ruling on Plaintiff’s
Motion for a New Trial.
Appellant’s brief at 29 (emphasis added).
Contrary to appellant’s assertion, ostensible agency is a theory of
liability and not a consideration under the admission by party opponent
exception to the hearsay rule.
To gain admissibility under Rule 803(25)(D), appellant was first required
to prove by a preponderance of the evidence that Dr. Stahl made the
statement while an agent of GCMC. An agency relationship may be created
by:
(1) express authority, (2) implied authority,
(3) apparent authority, and/or (4) authority by
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estoppel. Express authority exists where the principal
deliberately and specifically grants authority to the
agent as to certain matters. Implied authority exists
in situations where the agent’s actions are “proper,
usual and necessary” to carry out express agency.
Apparent agency exists where the principal, by word
or conduct, causes people with whom the alleged
agent deals to believe that the principal has granted
the agent authority to act. Authority by estoppel
occurs when the principal fails to take reasonable
steps to disavow the third party of their belief that the
purported agent was authorized to act on behalf of the
principal.
***
The basic elements of agency are the manifestation
by the principal that the agent shall act for him, the
agent’s acceptance of the undertaking and the
understanding of the parties that the principal is to be
in control of the undertaking. The creation of an
agency relationship requires no special formalities.
The existence of an agency relationship is a question
of fact. The party asserting the existence of an agency
relationship bears the burden of proving it by a fair
preponderance of the evidence. In establishing
agency, one need not furnish direct proof of specific
authority, provided it can be inferred from the facts
that at least an implied intention to create the
relationship of principal and agent existed.
CONRAIL v. Ace Prop. & Cas. Ins. Co., 182 A.2d 1011, 1027 (Pa.Super.
2018).
Here, appellant neither claims on appeal nor did he demonstrate below
the existence of an agency relationship between GCMC and Dr. Stahl by
express authority, implied authority, apparent authority, and/or authority by
estoppel. Appellant merely cites to Dr. Singh’s testimony that he and
Dr. Stahl were “colleagues and partners” and that Dr. Stahl “was primarily in
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charge of this campus or the Scranton campus” to support the existence of an
“ostensible agency” relationship between Dr. Stahl and GCMC. (Appellant’s
brief at 29.) Notwithstanding the fact that the ostensible agency theory of
liability has no bearing on admissibility of the statement under
Rule 803(25)(D), the record supports the trial court’s determination that
appellant failed to lay a foundation to support the conclusion that Dr. Stahl
was GCMC’s agent. Therefore, the trial court did not abuse its discretion when
it held that the statement was not admissible under Rule 803(25)(D).
Appellant next complains that the trial court erred when it permitted
appellees to introduce evidence of known risks and complications of harvesting
the saphenous vein in coronary artery bypass surgery. In this assignment of
error, appellant calls this court’s attention to four pages of testimony of
defense expert Dr. Walter Pae, Jr., wherein appellant claims Dr. Pae
impermissibly and “continually testified before the jury that [appellant’s]
injuries were a known risk and complication associated with the harvesting of
the saphenous vein.” (Appellant’s brief at 37-39, citing notes of testimony,
7/12/17 at 181-182, 184-185.)
Our review of Dr. Pae’s testimony reveals that appellant failed to object
to any of the testimony that he now challenges as inadmissible.4 It is well
settled that a failure to object before the trial court results in waiver of the
4 We note that a review of Dr. Pae’s testimony on direct and re-direct
examinations reveals that appellant did not object to any of Dr. Pae’s
testimony. (Notes of testimony, 7/12/17 at 173-189, 195-197.)
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issue on appeal. See Pa.R.A.P. 302(a) (“Issues not raised in the lower court
are waived and cannot be raised for the first time on appeal”); see also
Burnhauser v. Bumberger, 745 A.2d 1256, 1259 (Pa.Super. 2000) (failure
to object before the trial court results in waiver of issue on appeal).
Appellant nevertheless claims that he preserved his objection to
Dr. Pae’s challenged testimony because
[p]rior to the direct testimony of Dr. Mindich, the
[trial] court ruled on the extent of the testimony that
Dr. Mindich would be allowed to provide on the
applicable standard of care. In light of the ruling on
the scope of Dr. Mindich’s testimony, over the
objection and argument of [appellant’s] counsel, the
court erred again in ruling that such testimony would
“open the door” to testimony regarding the known
risks and complications associated with the harvesting
of a saphenous vein in CABG Surgery.
Appellant’s reply brief at 10.
Even if we gave appellant the benefit of the doubt that the argument he
advanced at trial regarding the fair scope of Dr. Mindich’s report that preceded
the trial court’s ruling with respect to the scope of Dr. Mindich’s testimony
somehow preserved his objection to Dr. Pae’s testimony, his claim would fail.
In Mitchell v. Shikora, 161 A.3d 970, 975 (Pa.Super. 2017), we held
that evidence of risks and complications of a surgical procedure may be
admissible to establish the relevant standard of care, but such evidence is
irrelevant to the determination of whether the defendant acted within the
applicable standard of care in medical negligence cases that do not advance
an informed consent claim.
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Here, with respect to evidence of risks and complications, the trial court
ruled as follows:
[THE COURT:] [B]ased on my reading of Mitchell, I’m
going to say at this stage of the game we won’t be
taking any evidence on the discussion of risks or
complications, okay, based on my reading of Mitchell.
Mitchell does not provide an out and out ban of
evidence of risk and complications in the absence of
an informed consent claim.
But based on the circumstances that we have right
now, I think it’s sufficient to preclude that evidence. I
will say that if evidence is brought forth either by way
of direct or cross examination which might open that
door, I will consider using it or allowing it in at the
appropriate time. But as we stand right now[] it’s not
coming in [. . . .]
Notes of testimony, 7/10/17 at 24-25.
During direct examination, and despite the trial court’s proper ruling
precluding Dr. Mindich from testifying as to the applicable standard of care as
outside the fair scope of his expert report, Dr. Mindich testified that “the
standard of care demands that you do not cause damage to the nerve that
runs near the saphenous vein.” (Id. at 69.) At this point, evidence of risks
and complications became admissible to establish the applicable standard of
care.
Appellant finally complains that the trial court erred in permitting
Dr. Mindich to be cross-examined with respect to the doctor’s September 3,
2015 expert report that was sent as an enclosure to correspondence that
appellant’s counsel sent to Dr. Singh, GCMC, and Health System that placed
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them on notice of appellant’s claims and attempted to settle the case in
violation of Pa.R.E. 408. (Appellant’s brief at 40-43; see also correspondence
dated 9/11/15 from appellant’s counsel to Dr. Singh, GCMC, and Health
System stamped “for settlement purposes only”.)
Rule 408(a) provides that:
Evidence of the following is not admissible--on behalf
of any party--either to prove or disprove the validity
or amount of a disputed claim or to impeach by a prior
inconsistent statement or a contradiction:
(1) furnishing, promising, or offering--or
accepting, promising to accept, or offering
to accept--a valuable consideration in
compromising or attempting to
compromise the claim; and
(2) conduct or a statement made during
compromise negotiations about the claim.
Pa.R.E. 408(a).
Stated differently, offers of settlement or compromise of a disputed
claim are not admissible in evidence to prove liability for or invalidity of the
claim or its amount. See Pa.R.E. 408; see also McMullen v. Kutz, 925 A.2d
832, 835 (Pa.Super. 2007).
Here, Dr. Mindich’s September 3, 2015 expert report sets forth his
conclusion that in his:
professional opinion to a reasonable degree of medical
certainty that the care, skill or knowledge exercised
or exhibited in the surgery, treatment, practice of
medicine or work performed in connection with
[appellant’s] coronary by-pass surgery by Dr. Deepak
Singh, M.D., at [GCMC], Scranton PA on
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September 11, 2014 fell outside acceptable
professional standards and that such conduct was the
cause bringing about the harm suffered by
[appellant].
Report of Bruce P. Mindich, M.D., 9/3/15 at 2.
The record reflects that Dr. Mindich’s September 3, 2015 report and his
May 24, 2016 expert report are identical but for the addition of Aikman’s and
Ellison’s names in the May 24, 2016 report. The record further reflects that
during argument on this issue, counsel for GCMC stated that she received the
report from appellant’s counsel but that she did not solicit the report. (Notes
of testimony, 9/12/17 at 10.) Nothing in the record demonstrates that the
jury was informed that the September 3, 2015 report was an enclosure to
unsolicited correspondence from appellant’s counsel to GCMC, Health System,
and Dr. Singh marked “for settlement purposes only.”
Therefore, appellant fails to demonstrate how Dr. Mindich’s
September 3, 2015 report furnished, promised, or offered a valuable
consideration in compromising or attempting to compromise the claim during
settlement negotiations to render it inadmissible under Rule 408. We find no
abuse of discretion.
Judgment affirmed.
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Judgment Entered.
Joseph D. Seletyn, Esq.
Prothonotary
Date: 03/27/2019
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