FILED
May 04 2023, 9:38 am
CLERK
Indiana Supreme Court
Court of Appeals
and Tax Court
ATTORNEY FOR APPELLANT ATTORNEYS FOR APPELLEE
Neal F. Eggeson, Jr. A. Richard M. Blaiklock
Eggeson Privacy Law Wade D. Fulford
Fishers, Indiana Lewis Wagner, LLP
Indianapolis, Indiana
IN THE
COURT OF APPEALS OF INDIANA
Kristyn R. Plummer and Angela May 4, 2023
M. Stillabower, Court of Appeals Case No.
Appellants-Claimants, 22A-CT-2559
Appeal from the Marion Superior
v. Court
The Honorable Cynthia Ayers,
Amy L. Beard, Commissioner of Judge
the Indiana Department of Trial Court Cause No.
Insurance, 49D04-2104-CT-011760
Appellee-Respondent
Opinion by Judge May
Judges Crone and Weissmann concur.
May, Judge.
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 1 of 24
[1] Kristyn R. Plummer and Angela M. Stillabower (collectively, “Appellants”)
appeal the trial court’s order granting summary judgment in favor of Amy L.
Beard, in her capacity as Commissioner of the Indiana Department of
Insurance, which administers the Indiana Patient Compensation Fund
(collectively, “the Fund”). 1 Appellants raise several issues, which we
consolidate, revise, and restate as:
1. Whether Appellants’ claim against Columbus Regional
Hospital (“CRH”) falls under Community Hospital v. McKenzie,
185 N.E.3d 368 (Ind. 2022), such that it sounds in ordinary
negligence rather than medical malpractice;
2. Whether, if McKenzie controls, it should be applied
retroactively to Appellants’ claim; and
3. Whether, if McKenzie controls, the Fund has statutory
authority to challenge Appellants’ right to access the Fund after
Appellants reached a settlement with CRH.
We affirm.
Facts and Procedural History
1
During the timeframe relevant herein, our legislature had limited the amount a patient could recover for an
act of malpractice to $1,250,000. Ind. Code § 34-18-14-3(a)(3). The liability of a qualified health care
provider was limited to the first $250,000 in damages. Ind. Code § 34-18-14-3(b). If a plaintiff settled with a
qualified health care provider for an amount greater than $250,000, the plaintiff could petition to receive the
excess damages from the Fund. Ind. Code § 34-18-15-3.
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 2 of 24
[2] Each of the Appellants lives in Columbus, Indiana. Plummer’s husband is
Michael Cool, and Cool’s ex-wife is Lindsay R. Johnson-Heck. Johnson-Heck
is currently married to Stephen Heck, and Heck shares a son from a prior
relationship with Stillabower.
[3] From 1993 until 2006, Johnson-Heck worked as a registered nurse at CRH. In
April 2012, Johnson-Heck returned to CRH as an employee of Emergency
Physicians, Inc. of Columbus (“EPIC”), the exclusive provider of emergency
department services at CRH. In 2014 Johnson-Heck began working for
Southern Indiana ENT (“SIENT”). During all relevant times, CRH gave
Johnson-Heck clinical privileges. Between January 2014 and June 2015,
Johnson-Heck allegedly used her CRH-granted privileges to access medical
records of twenty-three individuals who were not her patients. She accessed
Plummer’s records on May 2, 2014, and Stillabower’s records on June 3, 2014;
July 16, 2014; August 5, 2014; and June 20, 2015.
[4] Stillabower and Heck (Johnson-Heck’s then current husband) were embroiled
in a custody/visitation disagreement when Johnson-Heck and Heck via text
message and emails revealed to Stillabower that they knew some of
Stillabower’s personal medical information. Stillabower contacted CRH to
voice her suspicion that someone had accessed her protected health
information. CRH’s investigation revealed Johnson-Heck’s access to
Stillabower’s records as early as June 29, 2016, but CRH did not notify
Stillabower of the nature and extent of the breach until early October 2016. In
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early October 2016, Plummer received a letter from CRH notifying her about
Johnson-Heck’s unauthorized access into her medical records. 2
[5] On April 25, 2017, Appellants filed a Proposed Complaint with the Indiana
Department of Insurance against CRH and Johnson-Heck alleging they
“breached their statutory and common law duties of confidentiality and
privacy” and Appellants had suffered damages as a result. (App. Vol. III at 11.)
The matter was submitted to a medical review panel, which issued its opinion
on September 11, 2019:
The panel is of the unanimous opinion that the evidence does not
support the conclusion that defendant [CRH] failed to meet the
applicable standard of care, and therefore, its conduct
complained of was not a factor of any resultant damages.
The panel is of unanimous opinion that the evidence supports the
conclusion that defendant [Johnson-Heck] failed to comply with
the appropriate standard of care, but the panel is unable to
determine from the evidence whether her conduct was or was not
a factor of the resultant damages.
(App. Vol. II at 220.) Appellants then filed an amended complaint that alleged
CRH was vicariously liable for Johnson-Heck’s breach of their privacy, CRH
was liable for negligent training and supervision of Johnson-Heck, CRH was
liable for its own inadequate protection of confidential patient information,
Johnson-Heck was liable for “negligence, breach of professional duty, invasion
2
Johnson-Heck allegedly shared Plummer’s personal medical information with Cool in 2015.
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 4 of 24
of privacy by intrusion, invasion of privacy by public disclosure of private facts,
intentional infliction of emotional distress, [and] negligent infliction of
emotional distress[.]” (App. Vol. III at 19) (capitalization removed).
[6] On April 5, 2021, CRH and Appellants entered into a Mediation Agreement
and Settlement Agreement. The Mediation Agreement stated that it was “not
contingent on [Fund] access or further recovery,” (id. at 28), such that Plummer
and Stillabower acknowledged the potential they might not recover any
payment from the Fund. As part of the Settlement Agreement, CRH (and/or
its insurers) agreed to pay (1) $107,001.00 to counsel; (2) $71,499.50 to
Stillabower, and (3) $71,499.50 to Plummer. Neither individual received a total
of $250,000, but the total payout from CRH was $250,000.
[7] On April 7, 2021, Appellants filed their Petition for Payment of Damages from
the Fund in the Marion Superior Court, alleging they were “separate,
independent, non-derivative victims of a single act of malpractice[.]” (App. Vol.
II at 26.) On April 18, 2022, Appellants filed a motion for summary judgment
that argued the facts of this case fall within the Medical Malpractice Act
(“MMA”). The Fund responded to Appellants’ motion to dispute the claim fell
under the MMA and filed a cross-motion for summary judgment contending
Appellants failed to recover the statutorily-required amounts to obtain monies
from the Fund.
[8] After a hearing, the trial court determined, in reliance on Community Health
Network, Inc. v. McKenzie, 185 N.E.3d 368 (Ind. 2022), “that unauthorized
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 5 of 24
access to confidential medical records by a person, not directly related to
medical care and treatment of the complainant, is not covered by the MMA and
that setting policy for medical records access is an internal non-medical
treatment provider’s business decision.” (App. Vol. II at 20.) The trial court
also noted the MMA “allows for one recovery for each distinct act of
malpractice that results in a distinct injury, even if multiple acts of malpractice
occur in the same procedure.” (Id. at 21) (quoting Walen v. Hossler, 130 N.E.3d
138, 147 (Ind. Ct. App. 2019)). Because the evidence revealed Johnson-Heck
did not access Appellants’ records on the same date, the trial court concluded in
the alternative that Johnson-Heck committed separate acts of malpractice for
which an individual recovery of $250,000.00 must be made prior to money
from the Fund becoming available. (Id. at 22.) The trial court denied
Appellants’ Motion for Summary Judgment and granted the Fund’s Motion for
Summary Judgment.
Discussion and Decision
[9] “‘When reviewing the grant or denial of a motion for summary judgment we
stand in the shoes of the trial court.’” Supervised Estate of Kent, 99 N.E.3d 634,
637 (Ind. 2018) (quoting City of Lawrence Utils. Serv. Bd. v. Curry, 68 N.E.3d 581,
585 (Ind. 2017)). Summary judgment should be granted “if the designated
evidentiary matter shows that there is no genuine issue as to any material fact
and that the moving party is entitled to a judgment as a matter of law.” Ind.
Trial Rule 56(C).
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The party moving for summary judgment bears the burden of
making a prima facie showing that there is no issue of material
fact and that it is entitled to judgment as a matter of law. The
burden then shifts to the non-moving party to show the existence
of a genuine issue.
Burton v. Benner, 140 N.E.3d 848, 851 (Ind. 2020). “A fact is ‘material’ if its
resolution would affect the outcome of the case, and an issue is ‘genuine’ if a
trier of fact is required to resolve the parties’ differing accounts of the truth, or if
the undisputed facts support conflicting reasonable inferences[.]” Williams v.
Tharp, 914 N.E.2d 756, 761 (Ind. 2009) (citations omitted). Any doubts about
the facts, or the inferences to be drawn from the facts, are resolved in favor of
the non-moving party. Burton, 140 N.E.3d at 851. Where the challenge to
summary judgment raises questions of law, we review them de novo. Rogers v.
Martin, 63 N.E.3d 316, 320 (Ind. 2016).
[10] Findings of fact and conclusions of law entered by the trial court aid our review,
but they do not bind us. Supervised Estate of Kent, 99 N.E.3d at 637. Nor is our
standard of review or analysis altered by the parties’ filing of cross-motions for
summary judgment – we simply “‘consider each motion separately to determine
whether the moving party is entitled to judgment as a matter of law.’” Erie
Indemnity Co. v. Estate of Harris, 99 N.E.3d 625, 629 (Ind. 2018) (quoting SCI
Propane, LLC v. Frederick, 39 N.E.3d 675, 677 (Ind. 2015)). The party appealing
the trial court’s decision has the burden to convince us the trial court erred, but
we scrutinize the trial court’s decision carefully to make sure a party was not
improperly denied its day in court. Ryan v. TCI Architects, 72 N.E.3d 908, 913
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 7 of 24
(Ind. 2017). Indiana “consciously errs on the side of letting marginal cases
proceed to trial on the merits, rather than risk short-circuiting meritorious
claims.” Hughley v. State, 15 N.E.3d 1000, 1004 (Ind. 2014).
[11] Not all claims by patients against healthcare providers fit within the MMA, nor
is the MMA intended to encompass cases of ordinary negligence. Doe v. Ind.
Dept. of Insurance, 194 N.E.3d 1197, 1200 (Ind. Ct. App. 2022). Instead, the
MMA covers only “curative or salutary conduct of a health care provider acting
within his or her professional capacity” and “not conduct unrelated to the
promotion of a patient’s health or the provider’s exercise of professional
expertise, skill, or judgment.” Id. (quoting Howard Reg’l Health Sys. v. Gordon,
952 N.E.2d 182, 185 (Ind. 2011)).
The fact that the alleged misconduct occurred in a healthcare
facility, or that the injured party was a patient at the facility, is
not dispositive of whether the MMA applies. Instead we must
look to the substance of the claim and determine whether it is
based on the provider’s behavior or practices while acting in his
or her professional capacity as a provider of medical services.
We have explained:
A case sounds in ordinary negligence where the factual
issues are capable of resolution by a jury without
application of the standard of care prevalent in the local
medical community. By contrast, a claim falls under the
MMA where there is a causal connection between the
conduct complained of and the nature of the patient-health
care provider relationship.
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Thus, “acts or omissions of a health care provider unrelated or
outside the provider’s role as a health care professional” are
outside the reach of the MMA.
“In sum, the appropriate analysis involves first, the nature of the
conduct alleged in the complaint – whether or not the alleged
negligence involves provision of medical services – and, second,
whether the rendering of medical services is to the plaintiff for the
plaintiff’s benefit.”
Id. (internal citations and footnote omitted). Whether a case is ordinary
negligence or medical malpractice that falls under the MMA is a “question for
the court,” Rossner v. Take Care Health Sys., LLC, 172 N.E.3d 1248, 1255 (Ind.
Ct. App. 2021), trans. denied, and as such it is “particularly suited for
determination on summary judgment.” Doe, 194 N.E.3d at 1199.
1. Does Appellants’ claim against CRH fall under McKenzie?
[12] We begin our analysis with discussion of our Indiana Supreme Court’s decision
in Community Health Network, Inc. v. McKenzie, 185 N.E.3d 368 (Ind. 2022), on
which the trial court relied when granting summary judgment to the Fund. In
McKenzie, Katrina Gray, who worked for an orthopedic practice in the
Community Health Network (“Community”), had been given access to
Community’s confidential medical records system so that she could schedule
appointments and release records for patients of the orthopedic practice. Id. at
374. Gray also used that access to improperly browse the medical records of
160 people who were not patients of the orthopedic practice. Id. Amongst
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those 160 people were seven members of the family of Heather McKenzie, with
whom Gray had a “long-running family feud.” Id. at 373.
[13] The McKenzie family members (collectively “the McKenzies”) filed a lawsuit
against Community and Gray in Marion Superior Court. Id. at 374. Against
Community, the McKenzies asserted claims of respondeat superior and
negligent training, supervision, and retention, and against Gray, the McKenzies
asserted claims of negligence and invasion of privacy. Community filed a
motion to dismiss for lack of subject matter jurisdiction in which Community
asserted the McKenzies could not proceed in the trial court without first
satisfying the jurisdictional requirements of Indiana’s MMA. 3 Id. The trial
court denied Community’s motion to dismiss after finding the McKenzies did
not need to satisfy the jurisdiction requirements of the MMA because the
McKenzies “‘were not patients of the practice at which Gray worked’ and
Gray’s alleged misconduct ‘did not involve providing medical treatment to
them.’” Id. at 375 (quoting trial court order). The Court of Appeals affirmed
the trial court’s denial of the motion to dismiss after concluding the McKenzies’
claims did not fall under the MMA, and Community petitioned for transfer. Id.
3
Community also filed a motion for summary judgment, and the trial court denied that motion based on
what it found to be genuine issues of material fact. Our Indiana Supreme Court held Community was
entitled to summary judgment on all of the McKenzies’ claims for reasons not relevant to the issues before us
in this appeal. See McKenzie, 185 N.E.3d at 379 (negligence-based claims fail because damages for emotional
injury are unavailable without physical injury satisfying modified impact rule or bystander rule) & 383
(public disclosure of private facts claim fails because there was no evidence disclosure as to public or large
number of people). As those issues are not relevant to the issues herein, we will not discuss the facts and
analysis of those issues in any detail herein.
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[14] Our Indiana Supreme Court affirmed the trial court’s denial of the motion to
dismiss because “[t]he misconduct alleged does not constitute ‘malpractice[.]’”
Id.
Malpractice is a ‘tort or breach of contract based on health care
or professional services that were provided or that should have
been provided, by a healthcare provider, to a patient.’ I.C. § 34-
18-2-18. This definition imposes four requirements, two of which
are not challenged here — [the McKenzies] allege a ‘tort…by a
health care provider,’ and [the McKenzies] are all ‘patient[s]’ of
Community. See id. The contested issues are whether the
tortious conduct was (1) based on ‘health care’ or ‘professional
services’ (2) that were, or should have been, provided ‘to a
patient.’ Id. Because neither requirement is met, we hold the
MMA does not apply.
To determine whether the conduct was based on ‘health care’ or
‘professional services,’ we look first to the definitions provided in
the MMA. ‘Health care’ is ‘an act or treatment performed or
furnished, or that should have been performed or furnished, by a
health care provider for, to, or on behalf of a patient during the
patient’s medical care, treatment, or confinement.’ Id. § -13
(emphasis added). The statute’s focus on timing—requiring that
the alleged tortious conduct (whether by omission or
commission) occur ‘during’ a patient’s care, treatment, or
confinement—imposes a temporal requirement that tethers the
misconduct to patient care. See id. But here, neither [the
McKenzies] nor Community have alleged or shown any such
connection. And without this requisite temporal tie, the
underlying actions are not ‘health care’ under the MMA.
The remaining question is whether the unauthorized access of
[the McKenzies’] medical records qualifies as a ‘professional
service’ under the MMA. Unlike ‘health care,’ ‘professional
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service’ is not defined in the MMA. Community contends that
its ‘maintenance of medical records, as well as its determination
and utilization of the appropriate mechanisms, training
protocols, and procedures for logging, auditing, monitoring,
detecting, or otherwise securing access to patient records, are
professional services.’ To be sure, Community uses professional
judgment when it establishes protocols for creating, maintaining,
and accessing patient information. But even if we assume that
the mere exercise of professional judgment makes doing so a
‘professional service,’ Community’s relevant protocols and
procedures could support a malpractice claim only if they were
provided ‘to a patient.’ Id. § -18.
Although this case presents a close call, on this record we
conclude that Community’s internal business decisions and
access protocols for medical records are not professional services
provided to a patient. Community acts largely on its own behalf
in developing and implementing its policies for safeguarding
confidential patient health information. And those policies -
which are directed inward to Community employees, not
outward to its patients - are used to execute Community’s
regulatory obligations and balance its business risks. Simply put,
Community’s applicable protocols and procedures are neither
conduct related ‘to the promotion of a patient’s health’ nor do
they require ‘the provider’s exercise of professional expertise,
skill, or judgment.’ Gordon, 952 N.E.2d at 185. Additionally
relevant here, [the McKenzies] were not patients of any of the
orthopedic providers for whom Gray was responsible for
scheduling appointments and releasing medical records. Thus,
Gray’s unauthorized access of [the McKenzies’] medical records
was unrelated to any professional service executed on their behalf
as Community’s patients.
To summarize, the alleged misconduct does not fall under the
MMA. It lacks a temporal connection to any care provided by
Community to the Plaintiffs as patients. And it was also
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unrelated to either the promotion of a patient’s health or the
provider’s exercise of professional expertise, skill, or judgment.
McKenzie, 185 N.E.3d at 376-77.
[15] Appellants claim we should reach a different result herein because three factual
differences make their circumstances distinguishable from McKenzie. We
disagree, but we address each of Appellants’ assertions to further explain our
reasoning.
[16] First, Appellants assert that, in McKenzie, the tortfeasor worked for an
orthopedic practice where none of the victims were patients, while herein
Johnson-Heck worked for CRH where both Plummer and Stillabower were
patients. However, while Johnson-Heck worked at CRH during the years in
question and had clinical privileges at CRH, both Johnson-Heck and CRH
indicated Johnson-Heck did not work for CRH during months when she
accessed the medical records of Plummer and Stillabower. Instead, Johnson-
Heck was employed by EPIC and SIENT. (See Appellants’ App. Vol. II at 54,
60 (“At the time of each inappropriate access to Plaintiffs’ electronic health
record, Johnson-Heck was an employee of either EPIC or SIENT[.]”); & 110
n.1 (indicating Johnson-Heck was employed by EPIC and SIENT, which had
relationships with CRH but were “separate entities from CRH”).) Accordingly,
Johnson-Heck’s employment for a third-party provider who had been given
access to the hospital’s records places her in precisely the same position as the
tortfeasor in McKenzie.
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[17] Moreover, Johnson-Heck’s legal submission to the Medical Review Panel
admitted she “never provided care to either Plummer or Stillabower, nor did
she ever have a practitioner-patient relationship with either of them.” (Id. at
114.) Accordingly, her accessing of Appellants’ medical records “lacks a
temporal connection to any care provided” by CRH to Appellants as patients.
McKenzie, 185 N.E.3d at 377. As such, her alleged misconduct cannot be
construed as “‘health care’ under the MMA.” Id. at 376 (“without this requisite
temporal tie, the underlying actions are not ‘health care’ under the MMA”).
[18] Second, Appellants assert that, unlike in McKenzie, they “were being provided a
service of ‘professional expertise, skill, or judgment’ when [Johnson-Heck]
accessed their records[.]” (Appellants’ Br. at 24.) In support of this assertion,
Appellants quote Johnson-Heck’s submission to the Medical Review Panel:
Johnson-Heck denies that her access to the records of Plummer
and Stillabower constituted misconduct. Nor was the access
improper. HIPAA does allow for physicians, medical
professionals, and hospitals to access patient information to
ensure adequate and appropriate care is being provided and to
evaluate the quality of care being provided.
(Id. at 23 (citing App. Vol. II at 111).) However, if, as Appellants now assert,
Johnson-Heck was providing them with a professional service permitted by
HIPAA, then arguably CRH could not be liable for Johnson-Heck’s accessing
of Appellants’ medical records. Not only would Appellants avoid application
of McKenzie, but they ought also dismiss this action altogether. Moreover,
while HIPAA might permit medical professionals and hospitals to access
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patient information to evaluate quality of care, there is nothing in the record
before us to suggest Johnson-Heck had been given authorization to evaluate the
quality of care provided to people who had never been her patients (and also
happened to be married to Johnson-Heck’s ex-husband or to be the mother of a
child with Johnson-Heck’s current husband). We decline to hold Appellants’
case is distinguishable from McKenzie on this basis. See McKenzie, 185 N.E.3d at
376 (“Gray’s unauthorized access of Plaintiffs’ medical records was unrelated
to any professional service executed on their behalf as Community’s patients.”).
[19] Finally, Appellants note there was no medical review panel decision in
McKenzie, while a unanimous medical review panel reached a determination
regarding whether Johnson-Heck or CRH breached the appropriate standard of
care. Appellants assert this “factor is of particular significance given that ‘[the
Medical Review Panel is] empowered to determine whether its opinion is called
for since the Act provides for no other body to make that determination.’”
(Appellants’ Br. at 24.) 4 However, as noted above, whether facts state a claim
for ordinary negligence or medical malpractice under the MMA is a “question
for the court.” Rossner, 172 N.E.3d at 1255. Accordingly, we do not find
4
In support of this assertion, Appellants claimed to be quoting a concurring opinion from Judge Garrard in
Guinn v. Light, 536 N.E.2d 546, 549 (Ind. Ct. App. 1989), reh’g denied, trans. granted. We remind counsel for
Appellants that the granting of a petition to transfer by our Indiana Supreme Court vacates any opinion from
the Court of Appeals unless the Supreme Court invokes one of the two exceptions provided in Appellate Rule
58. As our Supreme Court did not invoke an exception in Guinn, see Guinn v. Light, 558 N.E.2d 821, 824 (Ind
1990) (“We vacate the opinions of the Court of Appeals….”), there remained no Court of Appeals opinion
for Appellants to cite in support of any legal assertion. See Appellate Rule 58 (“Upon the grant of transfer,
the Supreme Court shall have jurisdiction over the appeal and all issues as if originally filed in the Supreme
Court.”).
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compelling Appellants’ assertion that the existence of a medical review panel
decision distinguishes this case from McKenzie.
[20] For all these reasons, we reject Appellants’ attempts to avoid the application of
McKenzie to the facts of their case. Johnson-Heck’s use of her CRH privileges to
access medical records of Appellants, who were not her patients, “was
unrelated to any professional service executed on their behalf as [CRH]
patients.” See McKenzie, 185 N.E.3d at 376. Moreover, to the extent CRH was
exercising professional judgment when designing “protocols for creating,
maintaining, and accessing patient information[,]” id., those professional
services were not provided “to a patient.” See id. (holding Community’s
professional judgments about policies around patient information systems were
“directed inward to Community employees, not outward to its patients”).
Appellants’ claim sounds in ordinary negligence rather than medical
malpractice.
[21] Nevertheless, Appellants urge us to allow them to avoid the application of
McKenzie based on the timing of the McKenzie decision and the timing of the
Fund’s challenge to their claim for excess damages. We address each of these
additional arguments in turn.
2. Should McKenzie apply retroactively?
[22] Appellants argue McKenzie should not be applied retroactively because
“McKenzie charted a new course away from clear past precedent” on which the
parties relied. (Appellant’s Br. at 20.) In Arrendale v. American Imaging & MRI,
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our Indiana Supreme Court was asked to decide whether the apparent agency
principles outlined in Sword v. NKC Hospitals, Inc., 714 N.E.2d 142, 152-53 (Ind.
1999), should be expanded to non-hospital medical facilities. One of the parties
therein – Marion Open MRI – asked that any expansion be made prospective
only. The Court said:
We have observed that “[p]rospective application is an
extraordinary measure[,]’ Lowe v. N. Ind. Comm. Transportation
Dist., 177 N.E.3d 796, 800 (Ind. 2021), and “[a]ppellate court
decisions routinely apply to the parties involved, and everyone
else, even when addressing an unresolved point of law.” Ray-
Hayes v. Heinamann, 768 N.E.2d 899, 900 (Ind. 2002).
Accordingly, we decline to apply today’s rule prospectively only,
and apply it to Marion Open MRI.
Arrendale, 183 N.E.3d at 1073 n.4 (alterations in Arrendale). We see no reason a
different result should occur herein. See also Eakin v. Kumiega, 567 N.E.2d 150,
153, 153 n.5 (Ind. Ct. App. 1991) (hereinafter “Kumiega”) (noting Court of
Appeals could not exempt the Eakin family from the “harshness” of the
required legal ruling because an exception for the Eakin family “would create
the potential for an anamolous result in subsequent cases”), trans. denied,
abrogated as to the unavailability of emotional distress damages without physical impact
by Shaumber v. Henderson, 579 N.E.2d 452 (Ind. 1991) (adopting modified
impact rule).
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3. Can the Fund challenge Appellants’ claim?
[23] Appellants next argue we should not apply McKenzie to their claim because the
Fund has no authority to challenge Appellants’ claim for funds in excess of
CRH’s payment. In support thereof, Appellants cite Indiana Code section 34-
18-15-3, which provides the procedure to be followed to make a claim against
the Fund. Accordingly, addressing Appellants’ argument requires us to
interpret and implement the controlling statute, which is a question of law that
we review de novo. McKenzie, 185 N.E.3d at 375 (“The interpretation of the
MMA presents a question of law subject to de novo review.”).
[24] Indiana Code section 34-18-15-3 provides, in relevant part:
If a health care provider or its insurer has agreed to settle its
liability on a claim by payment of its policy limits established in
IC 34-18-14-3(b) and IC 34-18-14-3(d), and the claimant is
demanding an amount in excess of that amount, the following
procedure must be followed:
(1) A petition shall be filed by the claimant . . . .
*****
(3) The commissioner . . . may agree to a settlement with
the claimant from the patient’s compensation fund, or the
commissioner . . . may file written objections to the
payment of the amount demanded. . . . .
(4) The judge of the court in which the petition is filed
shall set the petition for approval or, if objections have
been filed, for hearing, as soon as practicable. . . . .
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(5) At the hearing, the commissioner, the claimant, the
health care provider, and the insurer of the health care
provider may introduce relevant evidence to enable the
court to determine whether or not the petition should be
approved if the evidence is submitted on agreement
without objections. If the commissioner, the health care
provider, the insurer of the health care provider, and the
claimant cannot agree on the amount, if any, to be paid
out of the patient’s compensation fund, the court shall,
after hearing any relevant evidence on the issue of
claimant’s damage submitted by any of the parties
described in this section, determine the amount of
claimant’s damages, if any, in excess of the health care
provider’s policy limits established in IC 34-18-14-3(b) and
IC 34-18-14-3(d) already paid by the insurer or the health
care provider. The court shall determine the amount for
which the fund is liable and make a finding and judgment
accordingly. In approving a settlement or determining the
amount, if any, to be paid from the patient’s compensation fund,
the court shall consider the liability of the health care provider as
admitted and established.
Ind. Code § 34-18-15-3 (emphasis added).
[25] Appellants acknowledge Subsection (3) of that statute permits the Fund to
object to the payment of the amount demanded by a claimant, but they assert
Subsection (5) precludes the objection filed by the Fund herein, which
Appellants argue is a challenge to “the liability of the health care provider as
admitted and established” in violation of Subsection 5. Appellants claim the
only Indiana authority regarding “whether the Fund may challenge MMA-
applicability post-settlement” is a concurrence by Judge Shields in 1993 that
demonstrates Appellants’ position is correct. (Appellant’s Reply Br. at 11
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(citing Dillon v. Callaway, 609 N.E.2d 424 (1993) (hereinafter “Callaway” 5), trans.
denied.) Appellants are simply wrong.
[26] In 1991, the Commissioner of the Department of Insurance, Eakin, appealed a
trial court ruling that allowed medical malpractice claimants, the Kumiegas, to
access excess damages from the Patient’s Compensation Fund for emotional
distress that resulted from witnessing the death of their daughter. Kumiega, 567
N.E.2d 150. Eakin argued that allowing the Kumiegas to access the Fund was
improper because the emotional distress damages sought were prohibited by
Indiana’s adherence to the impact rule, and our court agreed. We held “the
impact rule bars the Kumiegas’ claim for emotional distress damages. From
this it follows that such noncompensable injuries are not subject to payment from the
Fund.” 567 N.E.2d at 153 (emphasis added). In the process of reaching that
holding, the court also specifically held:
The Kumiegas also argue that the Commissioner’s argument
must fail because Ind. Code 16-9.5-4-3(5) [a prior version of the
statute at issue herein with the same language in Subsection 5]
requires the trial court to consider the health care provider’s
liability as “admitted and established.” While we agree that the
statute requires such admitted liability, we do not agree that the
existence of a health care provider’s liability obligates the Fund to
compensate claimants for noncompensable injuries.
5
Dillon was the Commissioner of the Indiana Department of Insurance, which administers the Patient’s
Compensation Fund, and his name is also on other opinions to be discussed herein. Accordingly, for clarity,
we will refer to this case and others involving the Fund by the name of the Plaintiff/Appellee.
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 20 of 24
Id. at 152 n.4 (emphasis added). Thus, under Kumeiga, after a plaintiff and
health care provider reach a settlement, the Fund may challenge the availability
of excess damages under the Fund if the Fund believes the requested damages
are for injuries that are “noncompensable” under the MMA. See id.
[27] Then, the next year, our court decided Dillon v. Glover, 597 N.E.2d 971 (Ind. Ct.
App. 1992), trans. denied, in which the new Commissioner of the Indiana
Department of Insurance, Dillon, challenged the availability of excess damages
from the Fund based on the lack of evidence that the doctor’s mistake had
proximately caused Glover’s damages. Id. at 792. As in Kumiega, the petition
for excess damages from the Fund was filed after Glover settled with the doctor
(or doctor’s insurer) for the amount necessary to access the Fund. The Glover
panel noted Kumiega “concluded that the admission of liability did not obligate
the Fund to compensate claimants for noncompensable injuries[,]” id. at 793,
but then distinguished Kumiega based on the fact that, in Glover, the Fund’s
challenge to proximate cause was prohibited by the health care provider’s
admission of liability. See id. (“once liability is established, the issue of
proximate cause is decided”) (emphasis in original).
[28] This is the context in which arose the Callaway opinion, 609 N.E.2d 424, and
Judge Shields’s concurring opinion, to which Appellants cite. Judge Shields’s
concurrence insisted the Fund’s attempt to avoid payment of the excess
damages was “foreclosed by the settlement made by [the doctor] and his
insurer”:
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In my opinion, the Fund’s arguments that the Act does not apply
to Dr. Chambers’s sexual relationship with Callaway and that
Callaway’s injuries were not the proximate result of health care
services provided by Dr. Chambers raise an issue of liability
rather than an issue of whether particular damages asserted by
Callaway are compensable within the Act. Therefore, because “a
health care provider or its insurer [Dr. Chambers and his insurer]
has agreed to settle its liability on a claim by payment of its
policy limits,” IC 16-9.5-4-3 (1988), this court’s decisions in
Dillon v. Glover (1992), Ind. App., 597 N.E.2d 971, and Eakin v.
Kumiega (1991), Ind. App., 567 N.E.2d 150, compel the
determination that the issues the Fund attempts to present are
precluded.
Id. at 429.
[29] Appellants point to Judge Shields’s language and assert “with liability
conclusively established,” the Fund cannot contest the applicability of the
MMA. (Appellants’ Br. at 18.) But this is an inaccurate reading of Judge
Shields’s concurrence. Judge Shields would have held the Fund’s challenge
precluded, but only because she believed the Fund to be raising “an issue of
liability rather than an issue of whether particular damages . . . are compensable
under the Act.” Callaway, 609 N.E.2d at 429 (Judge Shields, concurring in
result).
[30] Thus, the language in Subsection (5) of Indiana Code section 34-18-15-3
prohibits post-settlement challenges to liability, see Glover, 597 N.E.2d at 973-74
(citing subsection 5 of prior version of the statute, then codified as Ind. Code §
16-9.5-4-3, which contained the same language), but does not prohibit post-
settlement challenges to the non-compensability of damages under the MMA,
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 22 of 24
see Kumeiga, 567 N.E.2d at 152 n.4 (health care provider’s admitted liability
does not obligate the Fund to compensate claimants for noncompensable
injuries under Subsection 5 of Ind. Code § 16-9.5-4-3, which is now found at
Ind. Code § 34-18-15-3). This is why the majority opinion in Callaway
explicitly stated: “the compensable nature of Callaway’s injuries was not
decided by her settlement of liability with [the doctor] and his insurer, and is
properly before us.” 609 N.E.2d at 426. Based on this precedent, we hold the
Fund can challenge the compensable nature of the Appellants’ damages under
the MMA even after Appellants reached a settlement with providers that
admitted liability. 6 See also J.L. v. Mortell, 633 N.E.2d 300, 303-304 (Ind. Ct.
App. 1994) (holding trial court’s inquiry into the compensable nature of the
plaintiff’s damages was proper based on Callaway and Kumeiga), trans. denied.
Conclusion
[31] Appellants’ claims cannot be distinguished from those asserted in McKenzie and,
thus, do not state a claim for medical malpractice that is compensable from the
Fund. McKenzie applies retroactively to Appellants’ claim. Finally, as thirty
years of precedent demonstrates, Indiana Code section 34-18-15-3(5) permits
the Fund to challenge whether Appellants’ claimed injuries are non-
6
Because of this clear precedent, we decline Appellants’ invitations to hold estoppel or waiver should
preclude the Fund from raising its statutorily-permitted challenge to the compensability of Appellants’ claims
under the Fund. Moreover, because McKenzie applies and precludes recovering damages from the Fund, we
need not determine whether Appellants’ settlement with CRH was for the amount statutorily required to
access the Fund.
Court of Appeals of Indiana | Opinion 22A-CT-2559 | May 4, 2023 Page 23 of 24
compensable under the MMA. Because Appellants have not demonstrated any
genuine issue of material fact about the application of McKenzie and the Fund is
entitled to judgment as a matter of law, we affirm the trial court’s grant of
summary judgment to the Fund.
[32] Affirmed.
Crone, J., and Weissmann, J., concur.
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