Certiorari was granted to consider the Court of Appeals’ ruling that a patient was authorized to bring a claim against a physician for the latter’s failure to disclose his use of illegal drugs.1 The evidence of record indicates that during the general time of the patient’s treatment, the physician used drugs outside of work and when he was not on call. In its ruling, the Court of Appeals concluded that one who suffers injury during medical treatment that was consented to in conjunction with a “physician’s . . . non-disclosure, or concealment of a material fact which the patient has a right to know,” in this case illegal drug use, entitles the patient to recover damages for fraud and battery.2 We conclude, however, that absent inquiry by a patient or client, there is neither a common law nor a statutory duty on the part of either physicians or other professionals to disclose to their patients or clients unspecified life factors which might be subjectively consid*297ered to adversely affect the professional’s performance. It follows that the failure to make such voluntary disclosure cannot provide a basis for a fraud claim, nor can it vitiate a patient’s consent so as to authorize an action for battery. Therefore, while we find the physician’s behavior reprehensible, we must reverse.
In 1993, appellee William Cleveland consulted with urologist Timothy Trulock, M.D., about a lump on the underside of his penis. Trulock expressed concern that Cleveland might have penile cancer and after Cleveland signed an informed consent statement, Trulock performed surgery under general anesthesia to remove the lump. Thereafter, Cleveland began to experience an acutely painful ninety-degree curvature of his penis upon erection, and a resulting inability to have intercourse. Cleveland sued Trulock and the Albany Urology Clinic where he practiced (collectively “Trulock”), claiming that Trulock negligently performed unnecessary surgery for non-existent penile cancer, and thereby exacerbated Cleveland’s medical condition. In his complaint, Cleveland alleged that Trulock was liable for medical negligence; battery; breach of contract, warranty, and guarantee of cure. Cleveland later amended his complaint to add an assertion that Trulock had fraudulently concealed or misrepresented his “illegal use and abuse of cocaine, substance abuse problem, and impairment” at the time of Cleveland’s treatment.3 In addition, Cleveland’s wife sued for loss of consortium. Cleveland’s expert testified that the lump on his penis was not caused by cancer but rather by Peyronie’s Disease,4 which might have been confirmed with proper testing and treated effectively without surgery.
Prior to trial, the court dismissed Cleveland’s claim for battery after finding the pleading defective under OCGA § 31-9-6.1 (a). The jury returned a defendant’s verdict on the malpractice claim, but returned plaintiffs’ verdicts on the claim for fraudulent concealment or misrepresentation of Trulock’s use of cocaine at the time of treatment. The trial court subsequently granted Trulock’s motion for judgment notwithstanding the verdict, holding that because Trulock had no duty to disclose his cocaine use, Cleveland’s fraud claim failed as a matter of law. The trial court also concluded that the evidence failed to establish the requisite intent for a claim of fraud.
The Court of Appeals reversed, and held that Trulock’s failure to *298voluntarily disclose his cocaine use at the time of Cleveland’s treatment was equivalent to an actual misrepresentation, and thus entitled Cleveland to file a fraud claim that was separate and distinct from his claim for medical negligence, notwithstanding the absence of evidence showing a proximate connection between Trulock’s drug use and Cleveland’s injury. The Court of Appeals also reversed the trial court’s dismissal of Cleveland’s claim for battery.
This Court granted certiorari to determine: (1) Whether there exists a duty arising from all professional relationships to disclose any factor or factors of the professional’s life which might adversely affect the professional’s performance; (2) Whether the failure to disclose such factors supports an action for fraud and battery; and if so, (3) Whether recovery in a suit for fraud or battery under such circumstances would require proof of damages arising from the professional’s performance.
1. Prior to 1988, Georgia physicians were not required to disclose to their patients any of the risks associated with a particular medical treatment or procedure. Hence, before 1988, a physician’s “silence as to risk” was not actionable and could not be the basis of a patient’s claim of fraud.5 Although a physician did then and does now have a common law duty to answer truthfully a patient’s questions regarding medical or procedural risks, absent such inquiry the common law of this state does not designate the failure to disclose such risks a fraud that may vitiate a patient’s consent to medical procedures.6 As established by pre-1988 precedent, under the common law, evidence of a failure to reveal the risks associated with medical treatment is not even admissible in support of a claim for professional negligence.7
As recognized by Georgia’s appellate courts, this common law rule could be changed only by legislative act.8 That occurred in 1988, when the General Assembly adopted the Informed Consent Doctrine, OCGA § 31-9-6.1, which became effective on January 1,1989. Section 31-9-6.1 sets forth six specified categories of information that must be disclosed by medical care providers to their patients before they undergo certain specified surgical or diagnostic procedures.9 The *299Georgia informed consent statute does not impose a general requirement of disclosure upon physicians; rather, it requires physicians to disclose only those factors listed in OCGA § 31-9-6.1 (a).10 This statutory list of mandatory disclosures does not include a requirement that physicians disclose to their patients any aspect of their personal lives which might adversely affect their professional performance.
Because OCGA § 31-9-6.1 is in derogation of the common law rule against requiring physicians to disclose medical risks to their patients, it must be strictly construed and cannot be extended beyond its plain and explicit terms.11 Thus, in situations not covered by the statute’s language, the common law rule must still govern, as courts are without authority to impose disclosure requirements upon physicians in addition to those requirements already set forth by the General Assembly.12
It follows that, notwithstanding the repugnance of Trulock’s conduct at the time he rendered medical services to Cleveland, the Court of Appeals erred in concluding that Trulock was under an affirmative obligation, either under statute or common law, to disclose his drug use to his patients prior to rendering services, and that Trulock’s failure to make such disclosure was the basis for an independent cause of action against him. In so doing, the Court of Appeals impermissibly expanded upon the statutory disclosures required of health care providers, and imposed upon health care providers a new, judicially-created, duty of disclosure. As explained above, that action was beyond the scope of the appellate court’s authority, and it must therefore be reversed.
2. The Court of Appeals also erred in ruling that Trulock’s nondisclosure of his cocaine use at the time of Cleveland’s treatment entitled the latter to file a fraud claim seeking damages. Because, as explained above, Trulock was not under a duty to make any disclosures regarding his personal life factors, the failure to make such disclosure cannot logically support a claim for fraudulent concealment or nondisclosure. The Court of Appeals, however, upheld Cleveland’s independent fraud claim based solely upon Trulock’s concealment of a negative factor in his life that, although he was not obligated to disclose, nonetheless might have adversely affected his professional per*300formance in treating Cleveland. Notably, the Court of Appeals held that such a claim was separate and distinct from Cleveland’s claim of medical negligence. Neither the Code nor the case law authorized treating this claim independently from Cleveland’s claim for malpractice.
A full and adequate remedy for Cleveland’s injuries in this case is already provided by existing law — the right to sue Trulock for professional negligence. Thus, Cleveland was not deprived of the legal means by which to recover fully for his injuries, and it was not necessary for the Court of Appeals to carve out a previously unrecognized cause of action for fraudulent concealment by a professional of a life factor that might adversely affect his performance. Certainly any evidence relevant to Cleveland’s claim that Trulock rendered deficient professional services, including evidence that Trulock used illegal drugs at the time such services were rendered that might have impacted upon his performance, is admissible in support of Cleveland’s malpractice claim. However, a professional’s failure to disclose personal factors such as illicit drug use does not constitute an independent and distinct fraud action that is separate from a malpractice action. Even where certain disclosure requirements, are mandated under the Informed Consent Doctrine, the legislature has specified that a medical provider’s failure to make the requisite disclosures does not constitute an independent cause of action, but rather may only give rise to and support a claim of professional negligence.13 It follows that the failure to make disclosures that are not required cannot give rise to an independent cause of action, either. Therefore, the Court of Appeals erred by judicially creating an independent cause of action permitting Cleveland to allege that Trulock fraudulently withheld voluntary disclosure of his drug use at the time he rendered professional services to Cleveland, and in treating such claim independently from Cleveland’s claim for malpractice.14
3. The Court of Appeals also erred in reviving Cleveland’s battery claim against Trulock. If a physician obtains consent for touching another in the course of treatment by some artifice directly *301related to his or her professional relationship with a patient, then the consent may not be valid and the touching may have been unlawful, making the physician liable for battery. Thus, where a physician knowingly misrepresents a patient’s condition or the proper treatment,15 or fails to truthfully respond to a patient’s queries about a diagnosis or treatment,16 or performs procedures outside the scope of consent,17 a patient’s consent may be vitiated, leaving the physician liable for having committed a battery.
Thus, obtaining consent for medical treatment by an artifice that is directly related to the subject matter of the professional relationship — i.e.: diagnoses, treatments, procedures — may result in an unlawful touching that supports a battery claim. However, we decline to extend this rule of law to situations such as the present case, where (1) a physician fails to disclose on his own initiative a negative personal life factor that, although not directly related to the professional relationship, may, depending upon a patient’s subjectively held beliefs, impact upon the patient’s consent to be touched in the course of treatment,18 and (2) there is no direct evidence of record that the physician was impaired or affected by the negative personal life factor at the time consent was obtained and treatment was rendered.
Cleveland urges, quite naturally, that he would not have consented to treatment had he known of Trulock’s cocaine use outside of work. We do not question the sincerity or merit of this argument. However, there is no evidence of record showing a causal nexus between Cleveland’s consent to treatment (and his resulting injury) and Trulock’s drug use, and we cannot allow a cause of action for battery to be based upon pure speculation that such a nexus exists. In this case, the unknown factor which Cleveland claims would have caused him to withhold his consent is too attenuated from the subject matter of the professional relationship to support a battery claim. Therefore, the Court of Appeals érred in reviving Cleveland’s cause of action for battery.
4. We also note that there are compelling public policy reasons that militate against creating an independent cause of action for fraud and battery based upon a professional’s failure to disclose life factors that might be detrimental to the rendering of services to patients or clients. First among these is the impossibility of defining which of a professional’s life factors would be subject to such a disclo*302sure requirement. Indeed, in arguing before this Court, Cleveland concedes that because every situation is different, and because every patient or client has unique sensibilities, it would be impossible to say what a professional is required to disclose in any given professional relationship. This concession highlights the difficulty of ascertaining standards that would guide both professionals and their clients if such a new disclosure requirement existed, and underscores the fact that such standards would, in large part, be based upon a plaintiff’s subjective beliefs and standards.19
Accordingly, we conclude that public policy concerns support our decision to reverse the Court of Appeals’ decision to permit the filing of independent claims for fraud and battery based upon a medical *303professional’s failure to disclose a life factor which may be subjectively considered to impact negatively upon the provision of services.
5. To conclude, neither the common law nor the Code impose a duty upon physicians or any other professional to disclose personal life factors which might adversely affect their professional performance. Hence, the failure to make such disclosure cannot be a basis for either a fraud or battery claim. Furthermore, plaintiffs cannot file a claim asserting non-disclosure of a life factor by a professional that is separate and distinct from a claim for malpractice or professional negligence, but they may assert such allegations in support of their malpractice or professional negligence claims. Finally, public policy dictates against imposing such a duty of disclosure upon professionals. For all of these reasons, we reverse the Court of Appeals’ opinion in this matter.
Judgment reversed.
All the Justices concur, except Hunstein, Carley and Thompson, JJ, who concur in part and dissent in part.Cleveland v. Albany Urology Clinic, 235 Ga. App. 838 (509 SE2d 664) (1998).
Id., 235 Ga. App. at 840.
There is no direct evidence of record that Trulock -was under the immediate or residual influence of cocaine at the time he made decisions regarding Cleveland’s treatment and performed surgery. However, it also appears from the record that some time after Cleveland’s procedure, Trulock was admitted to a rehabilitation facility for drug treatment, and that this fact became known during discovery in' the underlying action.
Peyronie’s Disease is a condition where collagen deposits become calcified in the tunica of the penis secondary to an inflammation process. It is generally a benign condition that may respond to simple vitamin therapy.
See Young a Yarn, 136 Ga. App. 737, 738 (222 SE2d 113) (1975); see also Spikes v. Heath, 175 Ga. App. 187, 188 (332 SE2d 889) (1985) (a physician is under no duty to disclose the risks of treatment, and the failure to do so is not actionable); Padgett v. Ferrier, 172 Ga. App. 335, 335-336 (323 SE2d 166) (1984) (doctrine of informed consent not applicable in Georgia and the faitee to reveal risks of treatment cannot give rise to fraud claim).
See Padgett, supra; Spikes, supra.
Padgett, 172 Ga. App. at 335; Hyles v. Cockrill, 169 Ga. App. 132, 133 (312 SE2d 124) (1983).
Spikes, 175 Ga. App. at 188 n. 2; Simpson v. Dickson, 167 Ga. App. 344, 347-348 (306 SE2d 404) (1983).
These are: (1) the patient’s diagnosis necessitating the procedure; (2) the nature and purpose of the procedure; (3) the generally recognized and accepted material risks of infec*299tion, allergic reaction, disfigurement, brain or heart damage, etc. associated with the procedure; (4) the likelihood of the procedure’s success; (5) the practical, accepted and recognized alternatives to the procedure; and (6) the patient’s prognosis if the procedure is rejected. OCGA § 31-9-6.1 (a) (l)-(6).
See Butler v. South Fulton Med. Ctr., 215 Ga. App. 809 (452 SE2d 768) (1994); Moore v. Baker, 989 F2d 1129 (11th Cir. 1993).
Bo Fancy Productions v. Rabun County Bd. of Commrs., 267 Ga. 341, 343 (478 SE2d 373) (1996); Fayette County v. Seagraves, 245 Ga. 196, 197-198 (264 SE2d 13) (1980).
Simpson, 167 Ga. App. at 348.
OCGA § 31-9-6.1 (d).
It also bears noting that in creating this new cause of action, the Court of Appeals disregarded the requirement that before damages are recoverable, it must be established that the wrongful conduct complained of proximately caused loss and damage to the plaintiff. Bacote v. Wyckoff, 251 Ga. 862, 865 (310 SE2d 520) (1984); see Reynolds v. Flint River Tech. Inst., 223 Ga. App. 240 (477 SE2d 393) (1996). In this case, the record appears not to include evidence that Trulock was under either the direct or residual influence of cocaine at the time he treated Cleveland. While unnecessary to our decision in this case, that failure of proximate causal connection might also be fatal to the Court of Appeals’ ruling. In this same regard, the successful pursuit of a fraud claim, even one within the professional context, requires a showing of an intention to deceive, see Hunter &c. v. Frame, 269 Ga. 844, 849 (507 SE2d 411) (1998), and the record in this case appears to be void of such evidence.
See, e.g., Boggs v. Bosley Medical Inst., 228 Ga. App. 598 (492 SE2d 264) (1997); Smith v. Wilfong, 218 Ga. App. 503 (462 SE2d 163) (1995).
See, e.g., Spikes, supra.
See, e.g., Joiner v. Lee, 197 Ga. App. 754 (399 SE2d 516) (1990).
See also Division 4, infra.
These concerns are perhaps best described by hypothetical scenarios: Consider an attorney who, on most nights, drinks between four and five glasses of wine between the time he arrives home from work and the time he retires for the evening. He is never intoxicated or hung over at work, and he never misses or is late for a work-related event. No one has ever suggested to him, and he does not suspect, that his wine drinking affects his professional performance. However, his doctor informs him that he may be a “binge drinker,” and may have a drinking problem. See National Institute on Alcohol and Alcoholism Alcohol Alert No. 37 (U. S. Dept. of Health & Human Services Publications, July 1997) (having five or more drinks in a row may be indicative of “binge drinking”). Having been so informed, does the attorney have an affirmative duty to disclose this life factor — a diagnosed drinking problem which conceivably could affect his professional performance — to every current and prospective client? If so, does his failure to make such disclosure create a cause of action against him regardless of whether his work is competently performed? What if the lawyer is aware that his client is opposed to the drinking of alcohol on moral or religious grounds, does that create a heightened duty of disclosure on the lawyer’s part with regard to that particular client?
Or consider the internist who, the night before receiving patients, is served with divorce papers or learns of an elderly parent’s illness. Both of these incidents are naturally upsetting and might be considered by some to potentially impact the internist’s ability to render professional services. However, the internist believes that, despite the receipt of bad news, she can treat her patients competently. Is she nonetheless obligated to inform patients of the prior evening’s events, regardless of whether she actually violates the applicable standard of care in treating them? What if the internist had a mastectomy the month before and is currently undergoing preventative chemotherapy that weakens her physically, does she have an obligation to disclose that life factor to all of her patients, since it might be deemed to affect her professional performance?
These hypothetical scenarios and the questions they raise (which we do not attempt to answer here) exemplify the uncertainty that would ensue if the Court of Appeals’ opinion in this matter were allowed to stand. No ascertainable standards exist by which these professionals may gauge whether their failure to voluntarily disclose certain life factors to their patients or clients might leave them liable for damages. Moreover, whether a duty of disclosure even exists in any given scenario turns in large part upon (1) the particular profession engaged in, (2) the services being rendered, and (3) the subjective beliefs of the professional’s patient or client. Not only do these variables raise constitutional vagueness concerns, see State v. Johnson, 270 Ga. 111, 112 (507 SE2d 443) (1998) (law cannot impose unconstitutionally vague duties, rather it must “furnish a test based on normal criteria which men of common intelligence . . . may use with reasonable safety in determining its command.”), they also highlight how the duty of disclosure required by the Court of Appeals’ opinion would raise an impracticable, if not impossible, impediment to the efficient rendering of professional services.