Filed
Washington State
Court of Appeals
Division Two
August 27, 2019
IN THE COURT OF APPEALS OF THE STATE OF WASHINGTON
DIVISION II
TERESA HARBOTTLE, individually and as No. 51427-3-II
Personal Representative of the Estate of JOHN
F. HARBOTTLE III, deceased,
Appellant,
v.
KEVIN E. BRAUN, M.D. and JANE DOE PUBLISHED OPINION
BRAUN, and their marital community,
Respondents.
MELNICK, P.J. — John Harbottle, III became Dr. Kevin Braun’s patient. After Harbottle
passed away, his wife, individually and on behalf of his estate (collectively Estate) filed a lawsuit
for medical negligence and failure to obtain informed consent. The trial court granted summary
judgment to Braun on the informed consent claim. The medical negligence claim went to trial and
a jury found for Braun. The Estate appeals the summary judgment order and the trial court’s
exclusion of Braun’s prior misconduct from evidence at trial.
The Estate did not have a claim for failure to obtain informed consent because Braun failed
to diagnose Harbottle’s condition and did not know about it. When a doctor misdiagnoses a
patient’s condition, and therefore is unaware of an appropriate treatment, a claim for failure to
obtain informed consent does not arise. In addition, the trial court did not abuse its discretion by
excluding the prior misconduct evidence. We affirm.
51427-3-II
FACTS
I. TREATMENT
John Harbottle first became Braun’s medical patient in January 2010. In June 2011,
Harbottle complained to Braun of “chest burning” he had been experiencing for about two months.
Clerk’s Papers (CP) at 263. At first, Braun believed numerous potential causes for the chest
burning existed, including gastrointestinal and cardiovascular. Braun performed a physical
examination and determined the cause was likely gastroesophageal reflux disorder (GERD).1
Braun ordered a number of tests for Harbottle, including an electrocardiogram (EKG), a
chest x-ray, and a stress test. Braun’s nurse performed the EKG on the same day as the
appointment. Braun and a cardiologist reviewed the EKG and stated it did not suggest any
problems with his cardiovascular system. Another doctor stated the EKG signaled the need for a
stress test, but agreed the EKG alone was not a reason to get a stress test. The x-ray came back as
normal. Braun referred Harbottle to a cardiologist to perform a stress test, which would determine
if the source of Harbottle’s pain involved cardiovascular issues.
Braun prescribed a GERD medication. Braun and Harbottle scheduled a follow-up visit
for July to see whether the GERD medication resolved Harbottle’s symptoms and to review the
results of the diagnostic tests.
At the July follow-up appointment, Harbottle reported that his symptoms had resolved.
Braun felt he had identified the cause of the chest pain as GERD. The GERD medication would
not have prevented coronary artery disease symptoms other than via placebo effect. Braun did not
believe a cardiovascular cause of the pain was “ruled out,” but thought it was unlikely because the
1
GERD “is when acidic stomach contents come up into the esophagus, where they don’t belong,
and they cause symptoms.” CP at 37.
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symptoms had resolved. CP at 266. Braun did not follow up with Harbottle regarding the stress
test, as he believed the issue had been resolved through GERD treatment.
In August, Harbottle saw Braun for unrelated issues. He noted that Harbottle’s heartburn
was well treated by GERD medication. A physical examination showed no abnormalities. Neither
Braun nor Harbottle mentioned the stress test. A cardiologist later stated that Braun should have
treated Harbottle for elevated lipids and cholesterol at this visit.
At some point, Harbottle cancelled the stress test believing that Braun had “pinpointed”
the problem. CP at 267. Braun did not tell Harbottle to cancel the test and did not know why he
did so. If Harbottle had followed through with the stress test, the test would likely have been
positive for coronary artery disease. Braun stated, with regard to the stress test, “I engaged in
shared decision-making with Mr. Harbottle, with regard to his options for additional testing. At
the time he elected a stress test, and it was ordered, and the referral was completed, to the best of
my ability.” CP at 274.
In March 2012, Harbottle complained to Braun of shortness of breath caused by exertion.
After reviewing Harbottle’s symptoms, Braun prescribed him medication for asthma. Braun did
not believe the issues related to Harbottle’s cardiovascular system because Harbottle specifically
denied experiencing chest pain. Braun did not see Harbottle again.
The following May, Harbottle died of cardiac arrest at the age of 53. An autopsy report
noted his cause of death as atherosclerotic heart disease.
II. LAWSUIT
In January 2015, the Estate filed a complaint against Braun alleging medical negligence
and failure to obtain informed consent, both of which proximately caused Harbottle’s death. Braun
moved for summary judgment on the informed consent claim, arguing that failure to diagnose a
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condition is a matter of medical negligence but not informed consent. The trial court granted
Braun’s motion, concluding that no genuine issue of material fact existed.
A. EXPERT TESTIMONY
Dr. Jerrold Glassman, a cardiologist, testified in a deposition that every male patient with
chest pressure consistent with heart disease should be referred to a cardiologist for a stress test.
Glassman and Dr. Howard Miller, another expert witness, believed that Harbottle suffered from
two heart disease risk factors: he was a male and he had a history of elevated lipids. Glassman
said that referral to a cardiologist for a stress test would have been appropriate, despite the results
of the tests Braun performed and the resolution of his symptoms via the GERD medication.
Glassman also stated he believed the failure to refer Harbottle to a cardiologist led to his death.
Miller stated Braun should have followed up with the stress test to rule out coronary artery disease,
even though the GERD medication resolved Harbottle’s symptoms. Miller stated that the standard
of care should have required Braun to “rule out” coronary artery disease with a stress test. CP at
330.
Relating to the diagnostic process generally, Braun said, “I’m not sure ruling out is ever
what we do. What we do is risk stratify and try and do a responsible history, physical examination,
data gathering, like labs and EKG, and subsequent risk stratification as to how high a risk you have
rather than ruling out.” CP at 274. Throughout his deposition, Braun used terminology reflecting
relative likelihood that Braun suffered from various conditions. While he refused to say he felt a
cardiac cause was “ruled out,” he stated that after the GERD medication resolved Harbottle’s
symptoms, that “what had been a very unlikely potential cause of his symptoms was even less
likely, given that his symptoms had completely resolved.” CP at 266.
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B. EVIDENCE EXCLUDED
During discovery, the Estate submitted an interrogatory asking whether Braun had “ever
been the subject an [sic] allegation, claim, complaint, or lawsuit (including any civil claims,
criminal claims, and/or professional complaints) alleging inappropriate conduct or improper
and/or negligent or substandard treatment.” CP at 716. Braun responded, “[o]ther than this case,
no.” CP at 716.
At Braun’s subsequent deposition, the Estate asked why he had left his job at a clinic in
2005. Braun said he left to practice on his own and for more direct control over his care and stated
that his departure was “favorable.” CP at 275. He said he would “have to speculate” whether the
clinic would know of additional reasons for his departure. CP at 275-76. Braun listed reasons he
wanted to leave the clinic, including complaints about the clinic staff “among other things.” CP
at 276. When asked whether he was subject to complaints during his time at the clinic, Braun said
“[t]here’s always complaints” such as by patients who didn’t receive prescriptions they wanted.
CP at 276. When asked about other complaints, Braun said he would “have to go back and look
through” but did not know what he would look through. CP at 276. Braun maintained that his
departure from the clinic had been mutual.
The Estate subpoenaed Braun’s employment file and various other documents relating to
his employment at the clinic, including “any and all complaints, grievances, or investigations, and
the like pertaining” to Braun. CP at 590-91. Records produced by the clinic indicated that three
female patients had complained of inappropriate flirtatious behavior and untoward touching. The
clinic placed Braun on administrative leave as a result of the complaints and considered
terminating his employment. Braun resigned five days later.
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The Medical Quality Assurance Commission (MQAC) conducted an investigation and
described the allegations of misconduct in detail. The MQAC case summary described three
incidents between 2003 and 2005 in which Braun allegedly inappropriately touched and made
sexual innuendo comments to female patients. Braun denied any wrongdoing. The MQAC
dismissed the complaints and closed the file based on insufficient evidence. It determined no
disciplinary action was necessary.
Braun moved to exclude evidence of past grievances filed against him, arguing they were
irrelevant, overly prejudicial under ER 403, and not germane to his treatment of Harbottle. The
Estate responded that Braun’s professional misconduct and untrustworthiness during discovery
were “highly relevant to his veracity” at trial. CP at 820.
At arguments on the motion to exclude, the trial court stated that “[t]here would never, in
this case, be a reveal to the jury as to what the underlying issues were, sexual misconduct, there’d
be no way that I would allow that in,” as it would be “way too prejudicial.” Report of Proceedings
(RP) (Sept. 8, 2017) at 26. The Estate’s attorney agreed. The court said it was concerned that the
facts of the underlying misconduct were “so prejudicial that [it was] concerned about whether it
takes over the case as opposed to what needs to be the issue, which is did he violate the standard
of care.” RP (Sept. 8, 2017) at 27-28. The parties primarily argued about whether the Estate could
impeach Braun’s credibility with his dishonest discovery responses. The court granted Braun’s
motion to exclude.
After a trial, the jury returned a verdict for Braun on the medical negligence claim and the
trial court entered judgment for Braun. The Estate appeals, arguing the court erred by granting
summary judgment on the informed consent claim and excluding evidence of Braun’s prior
instances of misconduct.
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ANALYSIS
I. INFORMED CONSENT
The Estate contends that the trial court erred by granting summary judgment for Braun on
the Estate’s informed consent claim. It claims that “where the physician knows of the condition
but misdiagnoses it believing another condition is present, the physician must advise the patient of
the possible conditions known to him or her and inform the patient of them so that the patient can
make an informed decision.” Br. of Appellant at 21. The Estate acknowledges that “a physician
cannot advise of a condition he/she does not know,” but contends that Braun was aware that
Harbottle’s “symptoms of severe chest pain and shortness of breath on exertion could evidence a
life-threatening coronary disease.” Br. of Appellant at 21. Because the facts of this case do not
support an informed consent claim, we conclude the trial court did not err in granting summary
judgment.
A. LEGAL PRINCIPLES
We review a grant of summary judgment de novo, performing the same inquiry as the trial
court. Volk v. DeMeerleer, 187 Wn.2d 241, 254, 386 P.3d 254 (2016). “Summary judgment is
appropriate when there is ‘no genuine issue as to any material fact and . . . the moving party is
entitled to a judgment as a matter of law.’” Volk, 187 Wn.2d at 254 (quoting CR 56(c)). We
construe all facts and reasonable inferences in the light most favorable to the nonmoving party.
Scrivener v. Clark Coll., 181 Wn.2d 439, 444, 334 P.3d 541 (2014).
The doctrine of informed consent refers to the requirement that a health care provider has
a duty to his or her patient “to disclose relevant facts about the patient’s condition and the proposed
course of treatment so that the patient may exercise the right to make an informed health care
decision.” Stewart-Graves v. Vaughn, 162 Wn.2d 115, 122, 170 P.3d 1151 (2007). “Informed
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consent focuses on the patient's right to know his bodily condition and to decide what should be
done.” Burnet v. Spokane Ambulance, 54 Wn. App. 162, 168, 772 P.2d 1027 (1989).
“Informed consent and medical negligence are distinct claims that apply in different
situations. While there is some overlap, they are two different theories of recovery with
independent rationales.” Anaya Gomez v. Sauerwein, 180 Wn.2d 610, 617, 331 P.3d 19 (2014).
To prove medical negligence, a plaintiff must show that the defendant proximately caused injuries
by failing to exercise the appropriate degree of care, skill, and learning. RCW 7.70.040. To prove
failure to obtain informed consent, a plaintiff must prove the following four elements:
(a) That the health care provider failed to inform the patient of a material fact or
facts relating to the treatment;
(b) That the patient consented to the treatment without being aware of or fully
informed of such material fact or facts;
(c) That a reasonably prudent patient under similar circumstances would not have
consented to the treatment if informed of such material fact or facts;
(d) That the treatment in question proximately caused injury to the patient.
RCW 7.70.050(1).
Informed consent “‘does not place upon the physician a duty to explain all possible risks,
but only those of a serious nature.’” Backlund v. Univ. of Wash., 137 Wn.2d 651, 662 n.3, 975
P.2d 950 (1999) (quoting Brown v. Dahl, 41 Wn. App. 565, 570, 705 P.2d 781 (1985)). If the
“‘reasonable person in the patient’s position would attach significance to a risk in deciding
treatment,’” the doctor must disclose that risk as material. Backlund, 137 Wn.2d at 662 n.3
(quoting Brown, 41 Wn. App. at 570).
B. MISDIAGNOSIS
The duty to obtain informed consent “is not confined to the choice of treatment once a
disease is present and has been conclusively diagnosed.” Gates v. Jensen, 92 Wn.2d 246, 250, 595
P.2d 919 (1979). In certain circumstances, “the right to informed consent can include the process
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of diagnosis.” Anaya Gomez, 180 Wn.2d at 617. The fact that a patient’s “symptoms were
‘inconclusive’ . . . does not prevent the doctrine of informed consent from applying. It merely
points out the duty to inform the patient of potentially fatal causes of his abnormality, and the
means of ruling out or confirming this source of illness.” Keogen v. Holy Family Hosp., 95 Wn.2d
306, 315, 622 P.2d 1246 (1980).
However, a “physician who misdiagnoses the patient’s condition, and is therefore unaware
of an appropriate category of treatments or treatment alternatives, . . . may not be subject to an
action based on failure to secure informed consent.” Backlund, 137 Wn.2d at 661. “Simply put, a
health care provider who believes the patient does not have a particular disease cannot be expected
to inform the patient about the unknown disease or possible treatments for it.” Anaya Gomez, 180
Wn.2d at 618. “In such situations, a negligence claim for medical malpractice will provide the
patient compensation if the provider failed to adhere to the standard of care in misdiagnosing or
failing to diagnose the patient’s condition.” Anaya Gomez, 180 Wn.2d at 618. This rule is
necessary “to avoid imposing double liability on the provider for the same alleged misconduct.”
Anaya Gomez, 180 Wn.2d at 618.
Gates established that the duty of a physician to obtain informed consent applies at the
diagnostic stage. 92 Wn.2d at 250-51. In Gates, the patient had a condition “which doubled her
risk of glaucoma.” 92 Wn.2d at 247. She consulted with an ophthalmologist who performed tests
that put her “in the borderline area for glaucoma.” Gates, 92 Wn.2d at 247. An additional test
indicated “no evidence of abnormality,” so the doctor told the patient he had checked and “found
everything all right.” Gates, 92 Wn.2d at 247-48. He diagnosed her problems as “difficulties with
[her] contact lenses” and treated her accordingly. Gates, 92 Wn.2d at 248. The ophthalmologist
did not inform the patient of her increased risk factors for glaucoma, nor that there existed “two
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additional diagnostic tests for glaucoma which [were] simple, inexpensive, and risk free.” Gates,
92 Wn.2d at 248.
The court ruled that “[t]he patient’s right to know is not confined to the choice of treatment
once a disease is present and has been conclusively diagnosed” because important treatment
decisions are often required in “non-treatment situations” such as “procedures leading to a
diagnosis.” Gates, 92 Wn.2d at 250-51. These decisions “must all be taken with the full
knowledge and participation of the patient” and the physician has a duty “to tell the patient what
he or she needs to know in order to make them.” Gates, 92 Wn.2d at 251.
Anaya Gomez further clarified and narrowed Gates. In Anaya Gomez, a blood test
preliminarily determined that the patient’s blood cultures were positive for yeast. 180 Wn.2d at
614. Because of the potential seriousness of this result, the doctor determined that if the patient
was feeling ill, she should come in immediately for treatment, but, if she was feeling better, it was
more likely that the test result was a false positive, “a common occurrence in microbiology labs.”
Anaya Gomez, 180 Wn.2d at 614.
After learning that the patient was feeling better, the doctor concluded the result had been
a false positive and never informed her about it. Anaya Gomez, 180 Wn.2d at 614. The result was
not a false positive and the patient died several months later as a result. Anaya Gomez, 180 Wn.2d
at 614-15. Her estate sued the doctor and clinic for both medical negligence and failing to obtain
informed consent. Anaya Gomez, 180 Wn.2d at 615.
“[W]hen a health care provider rules out a particular diagnosis based on the circumstances
surrounding a patient’s condition, including the patient’s own reports, there is no duty to inform
the patient on treatment options pertaining to a ruled out diagnosis.” Anaya Gomez, 180 Wn.2d at
623. “To hold otherwise would require health care providers and patients to spend hours going
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through useless information that will not assist in treating the patient.” Anaya Gomez, 180 Wn.2d
at 623. In a footnote, the court quoted Keogan, 95 Wn.2d at 331 (J. Hicks concurring in part and
dissenting in part), “‘[There are] 200 different things that might cause chest pain, only 3 of which
are related to the heart.’ A health care provider cannot possibly inform a patient about every
disease that might be causing each of his or her symptoms.” Anaya Gomez, 180 Wn.2d at 623 n.8.
The court declined to adopt a new rule requiring health care providers “to inform patients
of all positive test results,” noting that health care providers use many tools to form a diagnosis
and “[o]nly after the provider has used these tools to make a diagnosis can he or she inform the
patient about possible treatments and the risks associated with each.” Anaya Gomez, 180 Wn.2d
at 619-20. It noted that “[g]iven the vast number of false positive test results that occur in
Washington on a daily basis, imposing a duty on health care providers to inform every patient
about every test result would be unduly burdensome, pointless, and unwise.” Anaya Gomez, 180
Wn.2d at 627.
Anaya Gomez clarified that Gates “has not been overruled” and that “[u]nder Gates, there
may be instances where the duty to inform arises during the diagnostic process.” 180 Wn.2d at
623. The “determining factor is whether the process of diagnosis presents an informed decision
for the patient to make about his or her care.” Anaya Gomez, 180 Wn.2d at 623.
The court distinguished Gates on the grounds that the doctor in Gates “had available ‘two
additional diagnostic tests for glaucoma which are simple, inexpensive, and risk free’” and that the
doctor “could have put to Mrs. Gates [the decision of] whether to do the additional testing in light
of her borderline test result.” Anaya Gomez, 180 Wn.2d at 621 (quoting Gates, 92 Wn.2d at 248).
The doctor in Gates also saw that the patient had “consistently high eye pressure readings that
pointed to higher risk for glaucoma over a two year period,” whereas the doctor in Anaya Gomez’s
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only contact with the decedent was “a phoned-in lab report and her medical record.” Anaya
Gomez, 180 Wn.2d at 621. The doctor in Anaya Gomez “[u]s[ed] the information available to
him,” lacked “the ability to obtain more information,” and “determined that there was nothing
further to diagnose.” 180 Wn.2d at 622.
In Backlund, a prematurely born child suffered from jaundice. 137 Wn.2d at 654. The
doctor treated the child with phototherapy, a common remedy for that condition, but did not discuss
the possibility of a riskier transfusion treatment often used in more severe cases. Backlund, 137
Wn.2d at 655. He did not believe the child’s condition was serious enough to warrant the
transfusion treatment and thought that bringing it up would cause unnecessary stress and distress
to the family. Backlund, 137 Wn.2d at 656. The risk of brain damage from phototherapy was
approximately one in 10,000, while the risk of serious consequences associated with the
transfusion were about four or five in 100. Backlund, 137 Wn.2d at 656. The phototherapy
resulted in permanent brain damage to the child. Backlund, 137 Wn.2d at 655. The parents sued
for medical negligence and failure to obtain informed consent. Backlund, 137 Wn.2d at 655.
Backlund observed that, while the doctor was aware of the child’s condition,
A physician who misdiagnoses the patient’s condition, and is therefore unaware of
an appropriate category of treatments or treatment alternatives, may properly be
subject to a negligence action where such misdiagnosis breaches the standard of
care, but may not be subject to an action based on failure to secure informed
consent.
137 Wn.2d at 661. Physicians should not be liable under RCW 7.70.050 “for a condition unknown
to the physician,” rather such misdiagnoses are a proper basis for liability in negligence if they
breach the standard of care. Backlund, 137 Wn.2d at 661 n.2. For example, “a physician who
misdiagnosed a headache as a transitory problem and failed to detect a brain tumor may be guilty
of negligence for the misdiagnosis,” but it would be “anomalous to hold the physician culpable
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under RCW 7.70.050 for failing to secure the patient’s informed consent for treatment for the
undetected tumor.” Backlund, 137 Wn.2d at 661 n.2. An informed consent claim was available
in Backlund because “a trier of fact might still have found [the doctor] did not sufficiently inform
the patient of risks and alternatives” given that he was aware of the transfusion alternative. 137
Wn.2d at 662.
In Flyte v. Summit View Clinic, a pregnant woman felt ill and visited a clinic. 183 Wn.
App. 559, 562, 333 P.3d 566 (2014). In the months preceding her visit, the clinic received public
health alerts about “a global pandemic of ‘swine flu,’ a potentially fatal illness.” Flyte, 183 Wn.
App. at 562-63. The clinic neither informed the woman of the dangers of swine flu, nor about an
available treatment. Flyte, 183 Wn. App. at 563. Her condition deteriorated and she died shortly
after delivering her child, who died months later. Flyte, 183 Wn. App. at 563. Her estate sued the
clinic for medical negligence and failure to obtain informed consent. Flyte, 183 Wn. App. at 562.
On the informed consent claim, the trial court instructed the jury that “[a] physician has no
duty to disclose treatments for a condition that may indicate a risk to the patient’s health until the
physician diagnoses that condition.” Flyte, 183 Wn. App. at 572.
On appeal, we ruled that the jury instruction was a “clear misstatement of the law” because
”’[e]ven if a doctor has not specifically diagnosed a medical problem, if the doctor embarks on a
diagnostic procedure which entails a reasonable foreseeable risk to the patient, the patient must be
informed of the risk and possible alternatives.’” Flyte, 183 Wn. App. at 578 (quoting Keogan v.
Holy Family Hosp., 22 Wn. App. 366, 369-70, 589 P.2d 310 (1979), rev’d by Keogan, 95 Wn.2d
306 (emphasis omitted)). The “jury could reasonably have concluded that, in light of [the
patient’s] symptoms, a reasonable person in [her] position would, in making [her] decision, have
attached significance to information regarding the extreme danger [swine flu] posed to pregnant
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women and the availability of suitable prophylactic measures.” Flyte, 183 Wn. App. at 578-79.
Accordingly, the patient had an informed consent claim against the clinic and the court reversed
the trial court for giving an erroneous jury instruction that contained a clear misstatement of law.
Flyte, 183 Wn. App. at 580.
Flyte distinguished Anaya Gomez on its facts. 183 Wn. App. at 576-77. It observed that,
though the doctor testified that he had “ruled out influenza,” he said he “had no independent
memory” of meeting the patient and “admitted that he based his testimony entirely” on his notes.
Flyte, 183 Wn. App. at 579. The notes did not “definitively rule[] out influenza as a possible
diagnosis” because they used the terms “‘working diagnosis,’” with notation of “[c]hills and
sweats[;] not sure where coming [sic] from[;] exam normal[.] If gets worse to go to ER,” providing
space for a “reasonable inference” that upper respiratory infection was only a tentative diagnosis.
Flyte, 183 Wn. App. at 579. A witness present also testified that he recalled the doctor saying the
patient had “influenza.” Flyte, 183 Wn. App. at 579. This situation provided an issue of fact for
the jury as to whether the doctor had actually ruled out influenza, and if the jury found he had not
done so, it could have properly considered the informed consent claim. Flyte, 183 Wn. App. at
580.
In the present case, Harbottle went to Braun complaining of “chest burning.” CP at 36-37.
Braun ordered an EKG, a chest x-ray, and a stress test “to try and help diagnose potential causes”
of the chest pain. CP at 38. He did not find the x-ray or EKG results remarkable. Braun believed
the problem was most likely GERD and prescribed GERD medication. A month later, resolution
of Harbottle’s symptoms reinforced Braun’s belief that GERD had been causing the chest pain.
Braun thought a cardiac cause of Harbottle’s symptoms was very unlikely and even more unlikely
after his symptoms were resolved by GERD medication. Harbottle cancelled the stress test on his
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own, without consulting with Braun, and told the cardiologist his doctor had “pinpointed” the
cause of his symptoms. CP at 267. Braun never followed up about the stress test or informed
Harbottle of potential risks if the chest pain was related to cardiovascular problems. Harbottle
died of a condition that the stress test would likely have uncovered.
This case is factually similar to Anaya Gomez, where the doctor was aware of a test result,
but believed it to be a false positive and did not inform the patient of it. In this case, Braun was
aware both that chest pain was a symptom of potentially fatal coronary disease and that Harbottle
suffered from chest pain, but he believed the source of Harbottle’s chest pain was GERD.
Harbottle’s condition improved as a result of taking the GERD medication. As Anaya Gomez
stated,
Simply put, a health care provider who believes the patient does not have a
particular disease cannot be expected to inform the patient about the unknown
disease or possible treatments for it. In such situations, a negligence claim for
medical malpractice will provide the patient compensation if the provider failed to
adhere to the standard of care in misdiagnosing or failing to diagnose the patient’s
condition.
180 Wn.2d at 618.
The patient in Gates had consistently high eye pressure readings pointing to glaucoma risk
over two years and that additional diagnostic tests for glaucoma were “simple, inexpensive, and
risk free.” 92 Wn.2d at 248. Harbottle lacked many risk factors for coronary disease2 and lived a
healthy lifestyle. Unlike the additional glaucoma tests available in Gates, the stress test in this
case had to be scheduled in advance with a specialist. Braun “use[ed] the information available to
2
The record reflects that major risk factors for coronary artery disease include hyperlipidemia,
diabetes, smoking, hypertension, male gender, and family history. Male gender and high lipid
count were the only two of these factors present in Harbottle. To the extent the parties dispute
Harbottle’s risk factors for coronary disease, we take the facts in the light most favorable to the
Estate.
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him” and “determined that there was nothing further to diagnose.” Anaya Gomez, 180 Wn.2d at
622. Anaya Gomez also noted that the doctor knew the patient had “one blood test that was
inconsistent with her physical condition and other tests, rendering the positive blood test more
likely to be a false positive” and never knew of the specific, particularly threatening strand of yeast
that turned out to be present. 180 Wn.2d at 621 n.5. Braun’s assessment of Harbottle’s condition
over time made him believe more firmly that he suffered from GERD and not coronary disease.
The Estate contends that Harbottle’s heart condition was “known” to Braun such that the
case law regarding unknown conditions does not apply. Reply Br. of Appellant at 3. In support
of this contention, the Estate points out that Braun “determined that Harbottle needed to see a
cardiologist, then dropped that course of treatment after Harbottle responded to heartburn
medication without informing him of the risks involved.” Reply Br. of Appellant at 4. The record
does not reflect that Braun ever knew of Harbottle’s condition. Rather, he sought to diagnose
Harbottle’s complaints of “chest burning” and scheduled a stress test. After he believed that he
successfully diagnosed the chest burning as GERD, he did not follow up further relating to the
stress test. To the extent it was negligent for him to misdiagnose Harbottle’s heart condition as
GERD, the jury found in Braun’s favor at trial.
Flyte distinguished Anaya Gomez on grounds that the doctor did not “definitively rule[]
out influenza” because his chart referred to his diagnosis as “working,” included influenza
symptoms and that he was “not sure” where the patient’s symptoms were coming from, and a
witness overheard him say she had “influenza.” 183 Wn. App. at 579.
Like Flyte, Braun in this case specifically stated he didn’t “rule out” a cardiovascular cause
of Harbottle’s chest pain because he did not believe that was his role as a doctor. Rather, he
believed a coronary disease to be an “unlikely cause” of Harbottle’s pain made even more unlikely
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by the fact that the GERD medication cleared Harbottle’s symptoms. No additional evidence, such
as the chart or witness present in Flyte, suggests that Braun ever believed Harbottle suffered from
coronary disease other than Braun scheduling the diagnostic stress test. Additionally
distinguishing Flyte, that case concerned a public health alert about which the doctor failed to warn
the patient. Prophylactic treatment was available to treat swine flu before any test was able to
diagnose the disease. Such extraordinary circumstances did not exist in this case.
The record in this case reflects that Braun did not know of Harbottle’s coronary condition
when he scheduled the stress test. Though he did not definitively “rule out,” coronary disease
during his diagnostic process, to do so is not the role of a doctor. Imposing a requirement that a
doctor must obtain informed consent not to treat any condition that is not definitively “ruled out”
would “require health care providers and patients to spend hours going through useless information
that will not assist in treating the patient.” Anaya Gomez, 180 Wn.2d at 623. As Braun described,
when GERD medication resolved Harbottle’s symptoms, “what had been a very unlikely potential
cause of his symptoms was even less likely.” CP at 266. Braun’s misdiagnosis of Harbottle
allowed for a medical negligence cause of action, for which the jury ruled in favor of Braun. On
the facts of this, Braun’s failure to inform Harbottle of the potential risks of coronary disease or of
cancelling the stress test did not breach the duty to obtain informed consent.3
3
Braun further contends that summary judgment was appropriate because the Estate failed to make
out the prima facie elements of an informed consent case. Because we affirm on the same ground
as the trial court, we do not reach this alternative argument.
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II. PRIOR MISCONDUCT
The Estate contends that the trial court erred by “refusing to address” Braun’s “willful
nondisclosure in discovery of past instances of professional misconduct.”4 Br. of Appellant at 22
(initial capitalization omitted). It claims that the trial court should have allowed evidence of
Braun’s past professional grievances at trial5 and his attempts to hide those grievances in discovery
to impeach Braun’s credibility as a witness. The trial court did not abuse its discretion.
“This court reviews a trial court’s evidentiary decisions for an abuse of discretion. Farah
v. Hertz Transporting, Inc., 196 Wn. App. 171, 181, 383 P.3d 552 (2016). “A trial court abuses
its discretion when it exercises it on untenable grounds or for untenable reasons.” Farah, 196 Wn.
App. at 181.
ER 607 provides that the “credibility of a witness may be attacked by any party.” Parties
may impeach a witness’s credibility with “[s]pecific instances of the conduct of a witness, for the
purpose of attacking or supporting the witness’ credibility.” ER 608(b). Such specific instances
“may not be proved by extrinsic evidence, but may ‘in the discretion of the court, if probative of
truthfulness or untruthfulness, be inquired into on cross examination of the witness . . . concerning
4
The Estate contends that Braun violated discovery rules and perjured himself in his discovery
responses and that such conduct is sanctionable. It does not request sanctions or any action from
this court other than reversal of the trial court’s decision to exclude evidence of the misconduct.
5
Although the Estate argues that evidence of both the underlying sexual misconduct and Braun’s
attempts to cover it up in discovery should have been admissible at trial, its only arguments that
this evidence was relevant concern impeachment of Braun’s credibility as a witness. The Estate
has not explained how the underlying sexual misconduct would have been relevant at trial for any
reason since it has nothing to do with Braun’s veracity. See ER 608(b). The trial court noted at
oral argument on the motion to exclude that “[t]here would never, in this case, be a reveal to the
jury as to what the underlying issues were, sexual misconduct, there’d be no way that I would
allow that in . . . That’s way too prejudicial.” RP (9/8/17) at 26. The Estate’s lawyer agreed with
this assessment. We limit our ER 608 analysis to whether the trial court should have permitted the
Estate to cross-examine Braun about his dishonest discovery responses.
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the witness’ character for truthfulness or untruthfulness.’” State v. O’Connor, 155 Wn.2d 335,
349, 119 P.3d 806 (2005) (quoting ER 608(b)). The trial court has “broad discretion to admit or
exclude” specific instances of nonconvicted conduct. Loeffelholz v. Citizens for Leaders with
Ethics & Accountability Now, 119 Wn. App. 665, 708, 82 P.3d 1199 (2004).
Impeachable instances of misconduct under ER 608 “must be probative of truthfulness and
not remote in time; further, the court should apply the overriding protection of ER 403 (excluding
evidence if its probative value is outweighed by danger of unfair prejudice, confusion of the issues,
or misleading the jury).” State v. Wilson, 60 Wn. App. 887, 893, 808 P.2d 754 (1991). “Any fact
which goes to the trustworthiness of [a] witness may be elicited if it is germane to the issue.” State
v. York, 28 Wn. App. 33, 36, 621 P.2d 784 (1980). However, requiring the trial court to “admit
any instance of a key witness’s prior misconduct . . . would be clearly contrary to ER 608, which
grants trial courts discretion to make such determinations.” O’Connor, 155 Wn.2d at 350.
In York, the State’s case against a defendant for delivery of a controlled substance rested
largely on the testimony of an undercover investigator with the sheriff’s department. 28 Wn. App.
at 34. The trial court admitted evidence of the deputy’s background and military service, including
his experience in undercover work, but denied the defendant’s request to cross-examine him about
his being fired from a Montana sheriff’s department over “irregularities in his paperwork
procedures, and his general unsuitability for the job.” York, 28 Wn. App. at 34.
Despite the discretion due to the trial court’s decision, the appellate court reversed. York,
28 Wn. App. at 38. It emphasized that allowing criminal defendants “no cross-examination into
an important area is an abuse of discretion” and noted that criminal defendants are “given extra
latitude in cross-examination to show motive or credibility, especially when the particular
prosecution witness is essential to the state’s case.” York, 28 Wn. App. at 36.
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In State v. Griswold, the defendant in a criminal child molestation case sought to cross-
examine one of the victims and her mother about a specific incident of alleged lying “related to
why [she] was unable to continue helping on her friend’s paper route.” 98 Wn. App. 817, 822,
991 P.2d 657 (2000), abrogated on other grounds by State v. DeVincentis, 150 Wn.2d 11, 74 P.3d
119 (2003). The victim’s mother had stated under oath that the victim quit the route out of fear of
the defendant, but the victim stated in an interview that she lost the job because she sometimes
threw papers away instead of delivering them. Griswold, 98 Wn. App. at 822-23. The defendant
wished to impeach the State’s witnesses to show their dishonesty, but the trial court did not allow
cross-examination on this issue. Griswold¸ 98 Wn. App. at 823, 830.
The trial court did not abuse its discretion because, even “assuming the prior false statement
[was] relevant to [the victim’s] credibility, her prior false statement [was] not germane to the guilt
issues.” Griswold, 98 Wn. App. at 831. The issue was “clearly collateral” and would have led to
a “mini trial” relating to the victim’s paper route. Griswold, 98 Wn. App. at 831.
In O’Connor, the State charged the defendant with malicious mischief in the second degree
for slashing the tires on his ex-girlfriend’s car. 155 Wn.2d at 337. The victim received
compensation from both the defendant, and her insurance company, leading to a windfall of about
$300. O’Connor, 155 Wn.2d at 339-40. The defendant sought to cross-examine the victim about
her payment from the insurance company, arguing her windfall went to her credibility and “ability
to tell the truth on the stand,” but the trial court ruled that facts about the payment were relevant
only to her character, not to whether her testimony was likely truthful. O’Connor, 155 Wn.2d at
339-40.
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The court observed that “the York, Wilson, Griswold line of cases contemplates
consideration of whether the evidence sought to be explored during cross-examination under ER
608(b) is relevant to the issue at hand.” O’Connor, 155 Wn.2d at 350. It noted that “[p]rohibiting
the trial court from considering the issue of germaneness to the issue at hand when exercising its
discretion under ER 608 could result in a system under which a trial court is constitutionally
required to admit any instance of a key witness’s prior misconduct,” which would be “clearly
contrary to ER 608.” O’Connor, 155 Wn.2d at 350. The court held,
[I]n exercising its discretion under ER 608, a trial court may consider whether the
proposed subject of cross-examination is relevant to the witness’s veracity on the
stand and germane to the issues in question at trial. While the retention of the $300
may reflect an instance of dishonesty, it did not involve a lie under oath. . . .
Moreover, the retention of the excess $300 was not germane to the key factual issue
to which [the victim] testified, namely the fact that [the defendant] was outside her
house on the night her tires were slashed. Fundamentally, it is reasonable to
conclude that the insurance payment is not relevant to the ultimate question of
whether [the defendant] slashed the tires. Therefore, the trial court acted within its
discretion when it determined that the retention of the excess $300 was not
probative of [the victim’s] truthfulness on the stand because it was simply too
attenuated from her testimony regarding the events on the night in question.
O’Connor, 155 Wn.2d at 352-53.
In this case, Braun denied allegations of misconduct during his employment at a clinic in
his discovery responses. He stated this case was the only “allegation, claim, complaint, or lawsuit”
alleging any inappropriate conduct or improper and/or negligent or substandard treatment that he
had ever been subjected to. CP at 716. As a result of a subpoena to the clinic, the Estate learned
of three sexual misconduct grievances filed against Braun that led to his suspension and ultimately
his withdrawal.
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The trial court granted Braun’s motion to exclude his past misconduct from evidence and
prohibit the Estate from cross-examining him with his false and misleading discovery responses
at trial. We review whether this decision was an abuse of discretion by looking to whether the
misleading discovery responses were germane to the issues in this case or collateral such that they
would likely result in a mini-trial.
This case is most similar to Griswold. The defendant in Griswold alleged that the victim
and her mother had made inconsistent statements at a previous hearing and during an interview
and wished to cross-examine them on these statements. 98 Wn. App. at 822-23. As in this case,
the alleged misstatements were made during the course of the litigation. Also as in this case, the
misstatements had to do with matters collateral and unrelated to the litigation. Braun’s sexual
misconduct at a clinic in 2005 is no more relevant to his treatment years later of Harbottle than the
Griswold victim’s loss of her paper route were to the state’s prosecution of Griswold for child
molestation. In both cases, the only relevance of the misconduct would have been to impeach
credibility as a witness on a collateral matter.
Unlike York and Griswold, this case is civil and does not implicate a criminal defendant’s
fundamental rights or merit “extra latitude” in cross-examination of essential prosecution
witnesses. 28 Wn. App. at 36. By comparison, Loeffelholz, a civil case, noted the trial court’s
“broad discretion” to admit or exclude alleged misconduct. 119 Wn. App. at 708.
The trial court had access to the full record and was in the best position to make a decision
as to whether to allow cross-examination on this issue. Additionally, Braun’s history of sexual
misconduct was collateral to the issues in the case. The trial court did not abuse its discretion by
excluding evidence of Braun’s misleading discovery responses.
22
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We affirm.
Melnick, P.J.
We concur:
Sutton, J.
Glasgow, J.
23