Shember v. University of Michigan Medical Center

MARKEY, P.J.

In this medical malpractice action, plaintiff appeals by right the trial court’s February 5, 2007, order granting summary disposition in favor of four individual defendants, Drs. Carol L. Bradford, Dale Ekbom, James A. Freer, and Paul DeFlorio. Plaintiff also challenges the trial court’s earlier June 5, 2006, order dismissing her claims against the other five individual defendants, Drs. Pia M. Sundgren, Anthony D’Amico, Steven Kronick, John N. Shenk, and Steven Krafcik, and denying her motion to amend the complaint to allege- fraudulent concealment. We affirm.

I. BACKGROUND

On July 31, 2003, plaintiff underwent surgery at the University of Michigan Hospital to drain a cervical epidural abscess. She allegedly developed left hemiplegia before the surgery, which left her without the use of her left arm and leg. In a notice of intent to file a claim, MCL 600.2912b, mailed on July 20, 2005, plaintiff asserted that her condition was caused by the failure of health care providers to timely and appropriately diagnose and treat her condition on July 24 and 30, 2003, and that she suffered further injury because of improper postoperative care. The notice was addressed to the University of Michigan Hospitals & Health Centers, various unnamed persons, and 20 named physicians, *312including five of the individual defendants, Drs. Bradford, Ekbom, Freer, DeFlorio, and Krafcik.

In an amended notice of intent, dated January 18, 2006, plaintiff modified the basis of her claims against the individual defendants in this case to allege more specific standards of care applicable to emergency physicians and nurses, the “radiologist/neuroradiologist,” and “ENT consulting physicians,” and added allegations regarding a July 28, 2003, clinical visit.

On January 20, 2006, plaintiff filed the instant action against the University of Michigan defendants and the nine individual defendants. In February 2006, the individual defendants moved for summary disposition under MCR 2.116(C)(7) and (10) on the grounds that plaintiffs claims were barred by the statute of limitations and that the claim against Dr. Krafcik lacked an appropriate affidavit of merit required by MCL 600.2912d. Before the hearing on the motion for summary disposition, plaintiff moved to amend her complaint pursuant to MCR 2.116(I)(5) and 2.118(A)(2) to add additional theories of liability and to allege fraudulent concealment. In a proposed amended complaint filed with the motion, plaintiff alleged that “defendants,” by withholding certain medical records, fraudulently concealed the identity of the four individual defendants who were not named in her initial presuit notice of intent to file a claim.

Following a hearing on May 17, 2006, the trial court entered an order dated June 5, 2006, dismissing with prejudice plaintiffs claims against Drs. Sundgren, D’Amico, Kronick, Shenk, and Krafcik. Plaintiffs motion to amend her complaint to allege fraudulent concealment was also denied. The trial court allowed the parties to file supplemental briefs with respect to the remaining individual defendants and the additional theories of liability alleged in plaintiffs proposed *313amended complaint. Plaintiff also filed a motion for reconsideration of the order denying her motion to amend her complaint to allege fraudulent concealment, asserting that she had additional evidence to support the claim.1

On February 5, 2007, the trial court issued an opinion and order dismissing the four remaining individual defendants, Drs. Bradford, Ekbom, Freer, and DeFlorio, with prejudice. Plaintiffs motions for reconsideration and to amend her complaint were also denied.

II. STANDARD OF REVIEW

We review de novo a trial court’s grant of summary disposition to determine if the moving party was entitled to judgment as a matter of law. Maiden v Rozwood, 461 Mich 109, 118; 597 NW2d 817 (1999). Questions of statutory construction are also reviewed de novo. Woodard v Custer, 476 Mich 545, 557; 719 NW2d 842 (2006). Summary disposition may be granted under MCR 2.116(C)(7) when a claim is barred because of a statute of limitations. The moving party may support the motion with affidavits, depositions, admissions, or other documentary evidence. Maiden, supra at 119. Such evidence is considered to the extent that the content or substance would be admissible as evidence. MCR 2.116(G)(6). The allegations in the complaint are accepted as true unless contradicted by the documentary evidence. Maiden, supra at 119. “If the pleadings or other documentary evidence reveal no genuine issues of material fact, the court must decide as a matter of law whether the claim is statutorily barred.” Holmes v Michigan Capital Med Ctr, 242 Mich App 703, 706; 620 NW2d 319 (2000).

*314We review a trial court’s denial of a motion to amend a complaint for an abuse of discretion. Weymers v Khera, 454 Mich 639, 654; 563 NW2d 647 (1997). An abuse of discretion occurs when a trial court’s decision falls outside the range of principled outcomes. Woodard, supra at 557. A motion to amend under MCR 2.118 should ordinarily be granted, but may be denied for the following particularized reasons: “ ‘[1] undue delay, [2] bad faith or dilatory motive on the part of the movant, [3] repeated failure to cure deficiencies by amendments previously allowed, [4] undue prejudice to the opposing party by virtue of the amendment, [and 5] futility ....’” Sands Appliance Services, Inc v Wilson, 463 Mich 231, 239-240; 615 NW2d 241 (2000), quoting Sera P Fyke & Sons v Gunter Co, 390 Mich 649, 656; 213 NW2d 134 (1973).

III. MALPRACTICE CLAIMS AGAINST DRS. SUNDGREN, D’AMICO, KRONICK, AND SHENK

Because it concluded that the statutory period of limitations had expired, the trial court granted summary disposition in favor of Drs. Sundgren, D’Amico, Kronick, and Shenk, who were not named in plaintiffs initial notice of intent to file a claim. The trial court further determined that plaintiff had failed to demonstrate any reason for tolling the limitations period in spite of plaintiffs claim of fraudulent concealment or the initial or amended notice of intent to file a claim.

Initially, we note that this Court previously denied defendants’ motion to strike the portion of plaintiffs brief relating to the earlier June 5,2006, order. Shember v Univ of Michigan Med Ctr, unpublished order of the Court of Appeals, entered November 30, 2007 (Docket No. 276515). Further, plaintiffs failure to list each individual defendant as an appellee in the claim of *315appeal, as required by MCR 7.204(D)(1), was not fatal to this Court’s jurisdiction over the four individual defendants, who each received notice of the appeal. See Kaufman & Payton, PC v Nikkila, 200 Mich App 250, 258 n 1; 503 NW2d 728 (1993) (CONNOR, J., dissenting). Additionally, a party claiming an appeal of right from a final order is free to raise issues on appeal related to prior orders. See Bonner v Chicago Title Ins Co, 194 Mich App 462, 472; 487 NW2d 807 (1992). Therefore, appellate review of the trial court’s decision dismissing these four individual defendants is not precluded.

Nonetheless, “[i]t is axiomatic that where a party fails to brief the merits of an allegation of error, the issue is deemed abandoned by this Court.” Prince v MacDonald, 237 Mich App 186, 197; 602 NW2d 834 (1999). An appellant may not leave it to this Court to discover and rationalize the basis of a claim. Peterson Novelties, Inc v City of Berkley, 259 Mich App 1, 14; 672 NW2d 351 (2003). Although this Court may overlook preservation requirements in certain circumstances, “a party’s failure to brief an issue that necessarily must be reached precludes appellate relief.” City of Riverview v Sibley Limestone, 270 Mich App 627, 638; 716 NW2d 615 (2006).

Here, plaintiff has not raised any issue challenging the trial court’s determination that, absent a legally cognizable tolling event, the two-year limitations period in MCL 600.5805(6) expired before the complaint was filed on January 20, 2006; consequently, summary disposition of the malpractice claims against Drs. Sundgren, D’Amico, Kronick, and Shenk was proper under MCR 2.116(C)(7). Further, plaintiff does not argue that she may take advantage of the presuit notice tolling provision in MCL 600.5856 with respect to these individual defendants.

*316At best, plaintiff has presented an issue challenging the trial court’s determination that there was no evidence of fraudulent concealment to toll the limitations period. But plaintiff incorrectly presents this issue solely as one relevant to whether she should have been allowed to amend her complaint to add a substantive claim for fraudulent concealment.

It is true that a plaintiff must allege in a complaint facts supporting fraudulent concealment in order to rely on the fraudulent concealment tolling provision.2 Sills v Oakland Gen Hosp, 220 Mich App 303, 310; 559 NW2d 348 (1996); Dunmore v Babaoff, 149 Mich App 140, 146-147; 386 NW2d 154 (1985). But the fraudulent concealment tolling provision is not itself a substantive cause of action for which a plaintiff may recover damages from a tortfeasor.

Fraudulent concealment is recognized as a tolling event in MCL 600.5855. See Sills, supra; Dunmore, supra. Plaintiff is charged with the discovery of facts that with the exercise of reasonable diligence she ought to have discovered. Meyer & Anna Prentis Family Foundation, Inc v Barbara Ann Karmanos Cancer Institute, 266 Mich App 39, 45-46 n 2; 698 NW2d 900 (2005). To prove fraudulent concealment, plaintiff must show that a person who is or may be liable for the claim engaged in some arrangement or contrivance of an *317affirmative character that was designed to prevent subsequent discovery of the existence of the claim or the identity of the person liable for the claim. Doe v Roman Catholic Archbishop, 264 Mich App 632, 642-643; 692 NW2d 398 (2004); Sills, supra at 310. Plaintiff must specifically plead the acts or misrepresentations that comprised the fraudulent concealment and prove that they were designed to prevent subsequent discovery. Phinney v Perlmutter, 222 Mich App 513, 563; 564 NW2d 532 (1997); Dunmore, supra at 147.

Because tolling based on fraudulent concealment relates to the statute of limitations, it is appropriately reviewed under MCR 2.116(C)(7). Meyer & Anna Prentis Family Foundation, Inc, supra at 46 n 3. Therefore, it was appropriate for the trial court to consider the evidence the parties submitted when reviewing defendants’ motion for summary disposition. MCR 2.116(G)(5).

The affidavits plaintiff and her counsel executed aver that they both attended a meeting on September 2, 2004, at the University of Michigan’s risk management department and were provided with incomplete medical records at that time. Plaintiffs counsel averred, and documentary evidence confirmed, that an issue arose in February 2005 regarding whether it was necessary that plaintiff execute a release to authorize counsel’s receipt of the records, but there was no evidence that plaintiff executed or timely provided the release.3 And while plaintiffs counsel averred that she was unsuccessful in obtaining copies of additional records from the risk management department, plaintiff averred that she was *318able to obtain copies of the records in August 2005, by personally going to the University of Michigan’s records department.

We must consider the evidence in the light most favorable to plaintiff. Brennan v Edward D Jones & Co, 245 Mich App 156, 157; 626 NW2d 917 (2001). In so doing, we agree with the trial court that there was no evidence of fraudulent concealment. Plaintiff was required to exercise reasonable diligence. Meyer & Anna Prentis Family Foundation, Inc, supra at 46 n 2. Assuming for purposes of review that the University of Michigan was or may be liable within the meaning of MCL 600.5855, plaintiffs counsel’s inability to obtain medical records from the university’s employees plainly suggested the need for some other course of action to either view or obtain copies of the records. The evidence did not support an inference that the employees had embarked on a course of action designed to prevent or hinder plaintiffs identifying the particular physicians who might be liable for medical malpractice. Further, plaintiff offered no evidence that she could not have, with reasonable diligence, timely accessed or obtained copies of the records through other means, such as when, according to plaintiffs affidavit, she personally went to the records department in August 2005 and obtained the records.

Because plaintiffs original complaint did not allege fraudulent concealment and because plaintiff failed to demonstrate any evidence showing a genuine issue of material fact regarding this issue, we uphold the trial court’s grant of summary disposition under MCR 2.116(C)(7) in favor of Drs. Sundgren, D’Amico, Kronick, and Shenk. Holmes, supra at 706. Further, given the lack of evidence to support this tolling theory, the trial court did not abuse its discretion in denying *319plaintiffs motion to amend the complaint to plead fraudulent concealment. Only where summary disposition is based on MCR 2.116(C)(8), (9), or (10) is a trial court required to give a party an opportunity to amend the complaint. MCR 2.116(I)(5); Weymers, supra at 658. Even then, the evidence before the trial court can be considered in determining if an amendment would be justified. MCR 2.116(1)(5); see also Ormsby v Capital Welding, Inc, 471 Mich 45, 52-60; 684 NW2d 320 (2004). Therefore, even if we were to treat this case as involving a motion under MCR 2.116(C)(8) instead of MCR 2.116(C)(7), we would not reverse because the evidence before the trial court when it decided the motion indicates that an amendment would have been futile. Ormsby, supra at 53, 60; Dunmore, supra at 147.

IV MALPRACTICE CLAIMS AGAINST DRS. BRADFORD, EKBOM, FREER, AND DEFLORIO

The trial court granted summary disposition in favor of Drs. Bradford, Ekbom, Freer, and DeFlorio on the ground that plaintiffs claims were barred by the statute of limitations. It determined that plaintiff could not take advantage of the presuit notice tolling provision in MCL 600.5856(c) because her initial notice of intent mailed on July 20, 2005, did not comply with the requirement of MCL 600.2912b(4)(b) that the notice identify the applicable standard of practice or care.

Although the trial court did not articulate the particular subrule of MCR 2.116 on which it relied, the individual defendants sought summary disposition under MCR 2.116(C)(7), which is appropriately applied to claims based on a statute of limitations. Meyer & Anna Prentis Family Foundation, Inc, supra at 46 n 3.

Plaintiffs principal argument is that the trial court erred in finding that her initial presuit notice of intent *320failed to comply with MCL 600.2912b(4)(b). We disagree. Under Roberts v Mecosta Co Gen Hosp (After Remand), 470 Mich 679, 690-696; 684 NW2d 711 (2004) (Roberts II), a plaintiff must identify in a readily ascertainable manner all the specific information mandated by the statute regarding each particular professional or facility that is named in the notice. The notice is not required to be accurate in every respect. Id. at 691. But a plaintiff must “make good-faith averments that provide details that are responsive to the information sought by the statute and that are as particularized as is consistent with the early notice stage of the proceedings.” Id. at 701 (emphasis in original); see also Boodt v Borgess Med Ctr, 481 Mich 558, 560-561; 751 NW2d 44 (2008). The standard applicable to one defendant is not necessarily the standard applicable to another defendant. Roberts II, supra at 694 n 11. The degree of specificity must allow potential defendants to understand the nature of the claims against them. Id. at 701. A plaintiff must only “ ‘specify what it is that she is claiming under each of the enumerated categories in § 2912b(4).’ ” Boodt, supra at 561, quoting Roberts II, supra at 701 (emphasis in original).

In this case, plaintiffs notice was addressed to the University of Michigan Hospitals & Health Centers; 20 individuals from a variety of departments, including emergency medicine, physical medicine and rehabilitation, otolaryngology, neurosurgery, and radiology; and unnamed individuals. The only factual allegation directed at Dr. Bradford, an alleged member of the Department of Otolaryngology, was that a “second esophageal dilation was performed on June 8, 2003.” Plaintiff also alleged a different esophageal dilation by Dr. Rontal, also an alleged member of the Department of Otolaryngology, that resulted in a torn esophagus. The standard of care alleged in the notice did not *321address the June 8 dilation, but rather contained broad allegations regarding the alleged failure of health care providers to timely and appropriately diagnose and treat plaintiffs condition in the emergency room on July 24 and 30, 2003, broad allegations regarding postoperative care, and a general allegation that the “applicable standard of care required the Health Care providers to avoid perforation during an esophageal dilation; timely and appropriately appreciate Claimant’s complaints and symptoms, timely and appropriately diagnosis and treat Claimant’s condition in the ER which would include, but is not limited to, ordering appropriate films in an emergent and STAT manner .. .

Without a more exacting statement of the standard of care applicable to an otolaryngologist, who previously performed an esophageal dilation as alleged in the notice, Dr. Bradford would be left to guess at the basis of plaintiffs claim. Examined in its entirety, the notice was insufficient to inform Dr. Bradford of the standard of care applicable to her circumstances, as required by MCL 600.2912b(4)(b). Cf. Gawlik v Rengachary, 270 Mich App 1, 10-11; 714 NW2d 386 (2006) (notice of intent inadequate where it generally encompassed all caregivers and failed to explain what the physician should have done).

Plaintiffs claim with respect to Dr. Ekbom, also an alleged member of the Department of Otolaryngology, is even vaguer, because the notice does not contain any particular factual allegations against him. Plaintiffs claims against Dr. Freer, an alleged member of the Department of Emergency Medicine, similarly contain no specific factual allegations. Viewed in conjunction with the standard of care that is generally directed at the health care providers mentioned in the notice, the *322notice is inadequate to satisfy MCL 600.2912b(4)(b) with respect to these physicians.

The factual basis of plaintiffs claim with respect to Dr. DeFlorio, an alleged member of the “Department of Emergency Department,” is more detailed. The notice indicates that it relates to the events of July 30, 2003, in the emergency room:

Claimant returned to the Emergency Room on July 30, 2003 at approximately 1:00 a.m. and again presented with extreme pain in her neck and shoulders. Claimant was kept in the ER for approximately 17 hours during which she had experienced progressive neurological deficit for which nothing was done. Due to incomplete records, it is believed that Dr. DeFlorio attempted to spinal tap 2-3 times at some point during Claimant’s 17 hours in the ER for suspected meningitis, for which he failed each time and left Claimant to excruciating pain. Dr. DeFlorio then indicated that he was “needed elsewhere” and left Claimant to continue to sit in the ER while Claimant continued to experience progressive neurological deficit for which nothing was done. Specifically, Plaintiff was losing mobility and control of her left arm which she had control of 17 hours ago, prior to her walking into the ER of the University of Michigan Hospital. Claimant repeatedly advised her treaters of her increasing inability to move her left arm throughout her course in the ER. An MRI was finally taken sometime approximately late evening on July 30, 2003, which showed massive infection.. .. The next day, on July 31, 2003, Dr. Frank LaMarca performed a posterior cervical fusion-vertex. [Emphasis added.]

Further, the alleged standard of care contained some specific allegations directed at the events of July 30, 2003:

The Health Care Providers should have also timely and appropriately diagnosed and treated Claimant’s condition upon her second presentation to the ER on July 30, 2003 wherein she had the same complaints of extreme and unbearable pain in her neck and shoulders and was also *323experiencing progressive neurological deficit over the course of approximately 17 hours. The applicable standard of care required the Health Care providers to ... timely and appropriately diagnose and treat Claimant’s condition in the ER which would include, but is not limited to, ordering appropriate film in an emergent or STAT manner, order timely CBCs, order timely or emergent/STAT consults including neurosurgery for a patient who was experiencing progressive neurological deficit, obtain Claimant’s past medical history and consult known treaters of Claimant in a timely fashion to understand and appreciate Claimant’s past medical history, immediately order a STAT MRI and immediately take the Claimant to the operating room given the presence of massive infection and cord compression.

The alleged manner in which the standard of care was breached also refers to the events on July 30, 2003, and, in particular, alleges that there was a failure to “to timely obtain and review results of CBC, MRI, neurosurgery consult, failure to be admitted or triaged while in the ER instead of waiting 17 hours in an ER cubical [sic] during which nothing was done regarding Claimant’s progressive neurological deficit. . . .”

The problem with the notice is that it does not indicate that Dr. DeFlorio was the only physician to see plaintiff during her 17-hour stay in the emergency room or that he became involved in her care for any purpose other than the attempted spinal taps. To the contrary, plaintiff alleged that there were other unidentified “treaters.” In addition, the alleged standard of care is not particularized to Dr. DeFlorio’s circumstances, or even emergency physicians in general, but rather is directed at the “health care providers” mentioned in the notice. The notice suggests that the same list of actions would apply to all health care providers who had contact with plaintiff in the emergency room.

*324On the other hand, Dr. DeFlorio, as a medical professional, would presumably have ready access to information about the case after being provided with notice of the claim against him. Thus, it would be easy for him to comprehend the factual nature of the impending lawsuit. Further, while the unique standard applicable to a particular defendant is an element of a malpractice action, the presuit notice need not contain a perfect rendition of the applicable standard of care. Roberts II, supra at 692-694.

Examining the notice in its entirety, we conclude that no guesswork is necessary for Dr. DeFlorio to appreciate that the basis of the claim against him was that he should not have left plaintiff sitting untreated and unattended in the emergency room; he should have taken some action other than the attempted spinal taps. But without any particularization of which listed actions in the alleged standard of care for health care providers apply to Dr. DeFlorio, the notice is insufficient to inform him of what he did not do or should have done to comply with the applicable standard of care. Because the notice examined in its entirety does not comport with plaintiffs responsibility to make a good-faith averment of all the requirements of the statute pertaining to Dr. DeFlorio, we uphold the trial court’s determination that plaintiff failed to satisfy MCL 600.2912b(4)(b).

Next, plaintiff claims that a defect in the notice required under MCL 600.2912b does not prevent her from taking advantage of the presuit notice tolling provision in MCL 600.5856. Although plaintiff failed to present this legal issue to the trial court, we will consider plaintiffs argument because the trial court specifically held that a notice that does not comply with the requirements set forth in MCL 600.2912b(4) does *325not toll the period of limitations under MCL 600.5856(c). This Court may overlook preservation requirements to consider an issue that is necessary to a proper resolution of the case. Laurel Woods Apartments v Roumayah, 274 Mich App 631, 640; 734 NW2d 217 (2007).

First, we note that the trial court relied on MCL 600.5856(c) as amended by 2004 PA 87, effective April 22, 2004. This statute was amended after the alleged malpractice in this case. As amended, MCL 600.5856(c) provides that the period of limitations is tolled

[a]t the time notice is given in compliance with the applicable notice period under [MCL 600.2912b], if during that period a claim would be barred by the statute of limitations or repose; but in this case, the statute is tolled not longer than the number of days equal to the number of days remaining in the applicable notice period after the date notice is given.

Conversely, at the time of the alleged malpractice in this case, former MCL 600.5856(d) provided that the period of limitations is tolled

[i]f, during the applicable notice period under [MCL 600.2912b], a claim would be barred by the statute of limitations or repose, for not longer than a number of days equal to the number of days in the applicable notice period after the date notice is given in compliance with [MCL 600.2912b].

In general, amendments to statutes of limitations apply prospectively. See Davis v State Employees’ Retirement Bd, 272 Mich App 151, 155; 725 NW2d 56 (2006). But there is no vested right in the running of a period of limitations, except when it has completely run and the action is barred. In re Straight’s Estate, 329 Mich 319, 325; 45 NW2d 300 (1951). Here, enacting § 1 of the amendatory act provides that it applies to civil *326actions filed after April 22, 2004, unless the period of limitations expired before that date. Thus, the amended statute applies to this case.

Nonetheless, we find no merit to plaintiffs argument that the amended statute substantively changed the effect of the presuit notice tolling provision. An unambiguous statute is enforced according to its plain language. Roberts v Mecosta Co Gen Hosp, 466 Mich 57, 66; 642 NW2d 663 (2002) (Roberts I). 2004 PA 87 did not change the substance of the presuit notice tolling provision.

Plaintiffs reliance on Kirkaldy v Rim, 478 Mich 581; 734 NW2d 201 (2007), as support for how the presuit notice tolling provision in MCL 600.5856(c) should operate, is misplaced. The issue in Kirkaldy involved application of the tolling provision in MCL 600.5856(a) under the former version of the statute, before it was amended by 2004 PA 87. Under MCL 600.5856(a), tolling commences “[a]t the time the complaint is filed and a copy of the summons and complaint are served on the defendant.” See Kirkaldy, supra at 584 n 4.4 Viewed in conjunction with the requirement in MCL 600.2912d that the complaint be accompanied by an affidavit of merit, our Supreme Court concluded that the “period of limitations is tolled when a complaint and affidavit of merit are filed and served on the defendant” and that the tolling continues, even if the affidavit is defective, until the presumptive validity of the affidavit is successfully challenged in a subsequent judicial proceeding. Kirkaldy, supra at 585-586.

This case is distinguishable from Kirkaldy because in that case the plaintiff had presumably filed a notice of *327intent in compliance with MCL 600.2912b, and the presuit notice tolling provision in MCL 600.5856(c) was not at issue. See Boodt, supra at 564. And while this Court recently concluded in Potter v McLeary (On Remand), 278 Mich App 279, 286; 748 NW2d 599 (2008), that the Supreme Court’s treatment of deficient affidavits of merit in Kirkaldy applies by analogy to deficient notices of intent under MCL 600.2912b so as to permit a notice of intent to toll the period of limitations unless and until the notice is successfully challenged in a judicial proceeding, this Court did not consider the specific presuit notice tolling provision in MCL 600.5856(c). Further, this Court did not apply our Supreme Court’s holding in Roberts I, supra at 67, that compliance with MCL 600.2912b is required to toll the period of limitations because the plain language of MCL 600.5856 requires the plaintiff to comply with the provisions of MCL 600.2912b in order to toll the limitations period. Although MCL 600.5856 was amended after our Supreme Court’s decision, because the substantive requirement of the presuit notice tolling provision was not changed, the holding in Roberts I that compliance with MCL 600.2912b is required to toll the period of limitations remains valid, binding law.5

We are bound to follow a published opinion of this Court establishing a rule of law that our Supreme Court or a special panel of this Court has not reversed or modified. MCR 7.215(J)(1). But under the doctrine of stare decisis, this Court must follow decisions of our Supreme Court. People v Hall, 249 Mich App 262, 270; *328643 NW2d 253 (2002), remanded on other grounds 467 Mich 888 (2002). “[I]t is the Supreme Court’s obligation to overrule or modify case law if it becomes obsolete, and until this Court takes such action, the Court of Appeals and all lower courts are bound by that authority.” Boyd v W G Wade Shows, 443 Mich 515, 523; 505 NW2d 544 (1993), overruled on other grounds by Karaczewski v Farbman Stein & Co, 478 Mich 28 (2007). We conclude that Roberts I remains valid precedent. See Boodt, supra at 561-563. Consequently, we reject plaintiffs claim that the defective notice of intent was sufficient to toll the period of limitations with respect to Drs. Bradford, Ekbom, Freer, and DeFlorio.

We also reject plaintiffs claim that she should have been afforded an opportunity to file an amended notice of intent to correct any deficiency in the notice of intent mailed on July 20, 2005, pursuant to MCL 600.2301. Plaintiff has failed to establish that she preserved this issue by presenting it to the trial court. See Peterman v Dep’t of Natural Resources, 446 Mich 177, 183; 521 NW2d 499 (1994).

Even if we were to overlook this deficiency on appeal, Laurel Woods Apartments, supra at 640, we would reject plaintiffs argument because MCL 600.2301 has no application to the presuit notice required under MCL 600.2912b. Boodt, supra at 563 n 4. Dismissal with prejudice is an appropriate remedy when a period of limitations has expired. See Scarsella v Pollak, 461 Mich 547, 549; 607 NW2d 711 (2000). Prejudice to a defendant is not a factor in applying the relevant medical malpractice statutes. See Burton v Reed City Hosp Corp, 471 Mich 745, 753; 691 NW2d 424 (2005).

Because the Legislature has not authorized retroactive amendment of the presuit notice to toll the period of limitations, plaintiff has not shown any error in the *329trial court’s failure to afford her an opportunity to amend the notice. Thus, plaintiff has not demonstrated any basis for disturbing the trial court’s determination that her malpractice claims against Drs. Bradford, Ekbom, Freer, and DeFlorio were time-barred. We affirm the trial court’s decision granting their motion for summary disposition and dismissing plaintiffs claims against them with prejudice.

V MALPRACTICE CLAIM AGAINST DR. KRAFCIK

The trial court’s grant of summary disposition in favor of Dr. Krafcik was based on plaintiffs failure to file an affidavit of merit with the complaint that complied with MCL 600.2912d. Specifically, plaintiff failed to file an affidavit comporting with Dr. Krafcik’s proper board certification as an internal medicine specialist.

On appeal, plaintiff does not challenge the trial court’s ruling. Plaintiff only asserts that the trial court erred in dismissing her claim with prejudice on the basis of Kirkaldy. Although we find merit to plaintiffs argument, we will not reverse a trial court’s decision if the right result was reached, albeit for the wrong reason. Netter v Bowman, 272 Mich App 289, 308; 725 NW2d 353 (2006).

Here, the same deficiency in the July 20, 2005, presuit notice that exists with respect to Drs. Bradford, Ekbom, Freer, and DeFlorio also exists with respect to Dr. Krafcik. The only allegation in the notice with respect to Dr. Krafcik was that he was a member of the Department of Emergency Medicine. The notice was insufficient to toll the period of limitations under MCL 600.5856(c). As with plaintiffs claims against Drs. Bradford, Ekbom, Freer, and DeFlorio, dismissal with prejudice was appropriate because the period of limitations had expired.

*330We affirm.

WILDER, J., concurred.

The University of Michigan defendants were dismissed without prejudice pursuant to a stipulated order dated July 31, 2006.

MCL 600.5855 provides:

If a person who is or may be hable for any claim fraudulently conceals the existence of the claim or the identity of any person who is hable for the claim from the knowledge of the person entitled to sue on the claim, the action may be commenced at any time within 2 years after the person who is entitled to bring the action discovers, or should have discovered, the existence of the claim or the identity of the person who is liable for the claim, although the action would otherwise be barred by the period of limitations.

We note that plaintiff submitted additional evidence with her motion for reconsideration of the trial court’s denial of her motion to amend the complaint, but plaintiff does not challenge the trial court’s decision to deny the motion for reconsideration.

The amended version of MCL 600.5856(a) provides that tolling commences “[a]t the time the complaint is filed, if a copy of the summons and complaint are served on the defendant within the time set forth in the supreme court rules.”

As a practical matter, we note that MCL 600.2912b establishes an interval of time in which a potential plaintiff is not permitted to sue for medical malpractice. If the interval ends before the period of limitations expires, the presuit notice tolling provision in MCL 600.5856 is of no consequence. See Mayberry v Gen Orthopedics, PC, 474 Mich 1, 8-9; 704 NW2d 69 (2005).