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Medical Malpractice Law in New Jersey Excerpts from text of Abbott Brown, Esq. With permission of author EXPERT TESTIMONY IN MALPRACTICE CASES Medical malpractice cases usually require expert testimony to establish the standard of care, to explain how that standard of care was breached, and to demonstrate that the malpractice was a proximate cause of the injuries. In most negligence cases, the jury can determine the appropriate standard of care based upon its collective knowledge and experience. However, in most malpractice cases, the jury cannot establish the standard of care, and expert testimony is required to assist the jury in this endeavor. The litigation of a medical malpractice case requires a comprehensive knowledge of the law of expert witnesses. The law regarding expert testimony must be explained to the expert in order to make certain that all of the elements of the claim or defense are established, and to ensure that the expert’s opinions are utilized to their best advantage. As such, the law regarding the use of expert testimony in medical malpractice litigation demands special attention. In many cases the ultimate outcome of the case is determined by the credentials and credibility of the experts, “boil[ing] down to a pitched battle between plaintiff’s expert and defendant’s expert.”1 Honest experts will candidly expose and discuss the strengths and weaknesses of the case. At one time, finding experts was difficult because most physicians would not testify against another physician. The Appellate Division discussed this reluctance in Steiginga v. Thron,2 where plaintiff sought an adjournment of the trial when plaintiff’s medical expert refused to testify. Plaintiff was told that his expert had decided not to testify against a “brother practitioner” on the Saturday before the trial. The court noted: The circumstances of the case must be looked at in the light of—the matter is of sufficient public concern to call for plain speaking—a shocking unethical reluctance on the part of the medical profession to accept its obligations to society and its profession in an action for malpractice. … The matter is perhaps complicated by cost of insurance these days.3 Other cases spoke of the “conspiracy of silence” that existed in the medical community.4 However, it now appears that the reluctance of experts to testify for the plaintiff in a medical malpractice case has given way to a cottage industry of professional witnesses “who take the stand for a fee.”5 Although there is a plethora of experts willing to sell their expertise, it is incumbent upon the attorney to make certain that the expert witness is well credentialed and unbiased. Attorneys must search for those experts who will tell the attorney whether the case has merit, regardless of which side the opinion favors. Credibility and credentials are the keys, and a meritorious case may well be lost by reliance on an expert whose credibility or credentials are found suspect. 1. Day v. Lorenc, 296 N.J. Super. 262, 269 (App. Div. 1996). 2. Steiginga v. Thron, 30 N.J. Super. 423 (App. Div. 1954). 3. Steiginga v. Thron, 30 N.J. Super. 423, 425 (App. Div. 1954). 4. See, e.g., Largey v. Rothman, 110 N.J. 204, 213 (1988) (citing Louisell and Williams, Medical Malpractice § 22.12 (1987)). Similarly, in Lewis v. Read, the trial court noted the difficulty that plaintiffs have in obtaining members of the medical profession to testify in malpractice cases. Lewis v. Read, 80 N.J. Super. 148 (App. Div. 1963). 5. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 495 (1992). As discussed in Chapter 1, medical malpractice is defined in terms of a deviation from generally accepted medical standards. Expert testimony is usually required to establish the generally accepted medical standard. There are many cases which explain this point. The Supreme Court addressed the need for expert testimony in Sanzari v. Rosenfeld,6 distinguishing between ordinary negligence and medical malpractice claims.7 The Sanzari Court first reiterated that negligence is conduct which “falls below a standard recognized by the law as essential to the protection of others from unreasonable risks of harm.”8 The Court explained that in the “ordinary negligence case,” expert testimony is not required to establish the standard of care because the jury is “competent to determine what precautions a reasonably prudent man in the position of the defendant would have taken.”9 However, the Court acknowledged that expert testimony is usually needed to establish the standard of care in medical malpractice cases, explaining: In the ordinary dental or medical malpractice case, however, the jury is not competent to supply the standard by which to measure the defendant’s conduct. Since it has not the technical training 6. Sanzari v. Rosenfeld, 34 N.J. 128 (1961). 7. Sanzari v. Rosenfeld, 34 N.J. 128 (1961). In Sanzari, the plaintiff alleged that the defendant, a dentist, administered an anesthetic to his wife without taking a proper medical history. The plaintiff alleged that his wife suffered a cerebral hemorrhage as a result of the administration of the anesthetic, causing her death three days later. The anesthetic solution contained Xylocaine with Epinephrine. The Court noted that the brochure which accompanied the anesthetic stated that the Epinephrine was a vasoconstricting drug, i.e., one which compresses the blood vessels in order to enhance the effect of the anesthetic, and that the administration of Epinephrine may increase the blood pressure. For this reason, the package insert advised that the use of Epinephrine was contraindicated in cases where the patient suffered from high blood pressure. The patient suffered from high blood pressure but since the dentist did not take a proper medical history he did not obtain this information. The dentist conceded that he was unaware that the patient had high blood pressure and that if he had known that she had high blood pressure he would have consulted with her physician before administering the Epinephrine. Sanzari v. Rosenfeld, 34 N.J. 128, 131-34 (1961). 8. Sanzari v. Rosenfeld, 34 N.J. 128, 134 (1961). 9. Sanzari v. Rosenfeld, 34 N.J. 128, 134 (1961). necessary to determine the applicable standard of care, it cannot, without more, form a valid judgment as to whether the defendant’s conduct was unreasonable under the circumstances. Therefore, ordinarily when a physician or dentist is charged with negligence in the treatment of a patient, the standard of practice to which he failed to adhere must be established by expert testimony. In such cases, if plaintiff does not advance expert testimony establishing an accepted standard of care, it is proper for the court to grant a dismissal at the close of the plaintiff’s case.10 Nevertheless, in Sanzari, the Court held that the failure to provide expert testimony was not fatal to that case due to the doctrine of common knowledge.11 However, in the typical medical malpractice case, expert testimony is a prerequisite.12 Without such testimony to assist the jury, plaintiffs may not be able to establish a prima facie case of negligence.13 For example, in Carbone v. Warburton,14 in an early summary of medical malpractice law, the court held that a plaintiff must prove that the defendant deviated from generally recognized and accepted medical standards and that expert testimony is normally required to establish “the standards of practice and departure therefrom.”15 Similarly, in Renrick v. Newark16 the Appellate Division dismissed a malpractice claim stating plaintiff failed to present a prima facie negligence case after neglecting to call an expert witness to address injuries allegedly resulting from defendant’s use of a particular drug.17 The court concluded: 10. Sanzari v. Rosenfeld, 34 N.J. 128, 134-35 (1961). 11. See § 7-11 for discussion of the common knowledge doctrine. 12. Sanzari v. Rosenfeld, 34 N.J. 128, 141-44 (1961). 13. Renrick v. Newark, 74 N.J. Super. 200 (App. Div. 1962). 14. Carbone v. Warburton, 22 N.J. Super. 5 (App. Div. 1952), aff’d, 11 N.J. 418 (1953). 15. Carbone v. Warburton, 22 N.J. Super. 5, 10 (App. Div. 1952), aff’d, 11 N.J. 418 (1953). 16. Renrick v. Newark, 74 N.J. Super. 200 (App. Div. 1962). 17. Renrick v. Newark, 74 N.J. Super. 200 (App. Div. 1962). In Renrick, plaintiff alleged that the defendant negligently injected a drug resulting in severe burning of both forearms and widespread scarring. Defendant contended that administration of the drug was “unavoidable” due to plaintiff’s severe medical condition. Plaintiff did not “challenge the fact (alleged by defendant) that plaintiff’s life was ‘saved’ by the use of the drug in question.” Renrick v. Newark, 74 N.J. Super. 200, 202 (App. Div. 1962). The plaintiff did not Absent expert testimony, there was no proof that the extent or quality of care given plaintiff, as revealed by the hospital records, was inadequate. Without such evidence plaintiff failed to establish a prima facie case of negligence against the defendant.18 Thereafter, in Schueler v. Strelinger,19 the Supreme Court restated the rationale for the requirement of expert testimony in malpractice cases. In Schueler, the patient consulted with the defendant for various abdominal complaints and the defendant recommended surgery. Prior to the operation, the defendant performed a prothrombin test to determine the rate at which the patient’s blood coagulated, and the patient was cleared for the surgery by her medical doctor. During the surgery, the patient lost a substantial amount of blood. After the operation she continued to bleed and she was returned to the operating room to locate the source of the bleeding. The patient bled profusely after the second operation, resulting in her death. Plaintiff’s expert testified that the first prothrombin test revealed a deficient blood clotting rate and that the defendant was negligent in failing to have a second prothrombin test done prior to operating. Nevertheless, the Supreme Court held that the expert’s testimony did not create an issue of fact regarding the defendant’s deviation from the standard of care. The Court cited the fact that plaintiff’s expert conceded that hematology is a specialized field and that in order to determine the normal prothrombin rate he depended on another doctor to give him an answer. The expert also conceded that if the patient’s coagulation rate was normal, then the defendant did not commit malpractice. The Court held that the plaintiff’s expert’s testimony “makes the conclusion inescapable that he assumed the prothrombin rate specified in the questions call an expert witness to testify and at the conclusion of plaintiff’s case the court dismissed the claim, stating: It is incontrovertible that laymen would not know what Levophed is, its purpose, whether its use was warranted, and its dangers. Moreover, the jury would be in no position to judge the conduct of the doctors and nurses in administering it. Renrick v. Newark, 74 N.J. Super. 200, 207 (App. Div. 1962). 18. Renrick v. Newark, 74 N.J. Super. 200. 208 (App. Div. 1962). 19. Schueler v. Strelinger, 43 N.J. 330 (1964). was abnormal.”20 However, the Court observed that all of the other doctors who were involved in the plaintiff’s care testified that the prothrombin rate was not significant. Furthermore, the Court observed that the patient had been cleared for surgery by an internist and that the patient’s hematologist testified that the prothrombin rate was borderline and “could be within normal limits.”21 The Court therefore concluded: We are satisfied from the record before us that plaintiff’s medical proof was insufficient to raise a factual issue as to whether decedent’s bloodcoagulation rate was deficient or abnormal prior to the first operation. Under the circumstances, it was error to allow the jury to determine whether Dr. Strelinger departed from standard medical practice in failing to have the second test made.22 The Supreme Court then added, in language which was incorporated into the then-existing Model Jury Charge: The law recognizes that medicine is not an exact science. Consequently it does not make the physician a guarantor of the cure of the patient. When he takes a case it imposes upon him the duty to exercise in the treatment of his patient the degree of care, knowledge and skill ordinarily possessed and exercised in similar situations by the average member of the profession practicing in his field. Failure to have and to use such skill and care toward the patient as result of which injury or damage results constitutes negligence. … With rare exceptions (and this case is not one of them), evidence of a deviation from accepted medical standards must be provided by competent and qualified physicians. … Since there was no competent proof in this instance that the exercise of normal medical care required Dr. Strelinger to 20. Schueler v. Strelinger, 43 N.J. 330, 342 (1964). 21. Schueler v. Strelinger, 43 N.J. 330, 342 (1964). 22. Schueler v. Strelinger, 43 N.J. 330, 344 (1964). have another prothrombin test, application of the above principles called for withholding the question from jury consideration.23 A careful review of Schueler reveals that plaintiff’s expert had in fact established the standard of care and deviation from that standard. The Court chose to disregard the factual basis for the opinion by accepting the defendant’s expert’s opinion regarding the prothrombin time, and thereby render the plaintiff’s expert’s opinion insufficient. Nevertheless, it is clear that the plaintiff must establish through an expert that the defendant deviated from generally accepted medical standards, not the personal standards of the expert—which may well exceed the standard of care. This point was illustrated in Fernandez v. Baruch,24 where the Supreme Court held that the defendants should have been granted a summary judgment because the plaintiff’s expert did not express accepted medical standards but rather testified as to his personal opinion. Of course, much more than the personal opinion of a medical witness is necessary to establish a standard of accepted medical practice. The expert testimony must relate to generally accepted medical standards, not merely to standards personal to the witness. … … Since there was no proof that generally accepted medical standards required the defendant doctors to conclude that Fernandez was likely to attempt suicide, they cannot be said to be guilty of malpractice.25 Another Supreme Court decision, Lanzet v. Greenberg,26 provides an example of an unusual case in which the defendant’s expert supplied the requisite expert testimony regarding the standard of care. In Lanzet, the patient sustained brain damage as a result of oxygen deprivation during cataract surgery. The surgery was 23. Schueler v. Strelinger, 43 N.J. 330, 344-45 (1964). 24. Fernandez v. Baruch, 52 N.J. 127 (1968). 25. Fernandez v. Baruch, 52 N.J. 127, 131-32 (1968). 26. Lanzet v. Greenberg, 126 N.J. 168 (1991). performed by two ophthalmological surgeons with the assistance of an anesthesiologist. During the surgery, the plaintiff’s pulse dropped to 45 beats per minute. The anesthesiologist administered atropine and the pulse returned to an acceptable level. Thereafter, the pulse again fell below 40 beats per minute. The anesthesiologist suggested that the operation be ended, but the surgeons continued and the anesthesiologist again administered atropine. Finally, the patient’s pulse dropped to 20 beats per minute and the patient became cyanotic. The operating team then terminated the surgery and attempted to resuscitate the plaintiff but she sustained “global cerebral hypoxia,” or lack of blood to the brain, leaving her in a chronic persistent vegetative state until her death thirteen months later.27 The Court held that, despite the fact that the theory on which plaintiff pursued the case was not viable, the issue of deviation from the standard of care was nevertheless presented to the jury. The Supreme Court noted that the trial court and then plaintiff’s counsel had elicited the standard of care from defendant’s expert who agreed that it would be “good, sound operating room procedure” to be aware of the patient’s needs.28 The Court relied on this testimony for its conclusion that the standard of care required all physicians in the operating room to be aware of the patient’s needs.29 The Court observed that the jury charge instructed the jury “not to consider as proof of deviation all of the items of evidence that we may consider in assessing the record of a trial. Proof of deviation elicited from the defendants themselves, because they are competent professionals, could be relied on by the jury.”30 The importance of making certain that the expert understands precisely what opinions must be expressed was emphasized in a trilogy of appellate decisions. The expert’s opinion must be clearly 27. Lanzet v. Greenberg, 126 N.J. 168, 174 (1991). 28. Lanzet v. Greenberg, 126 N.J. 168, 178 (1991). 29. Lanzet v. Greenberg, 126 N.J. 168, 178 (1991). 30. Lanzet v. Greenberg, 126 N.J. 168, 178, 191 (1991). and specifically stated and within the bounds of reasonable medical probability. In Hearon v. Burdette Tomlin Memorial Hospital,31 the Appellate Division explained that the expert must opine specifically in the report that there is a deviation from the standard of care. Doing so can avoid the potential that the expert’s testimony at trial may be barred and the case dismissed. In Hearon, plaintiff alleged that the defendants negligently treated him for chest pains over a period of several months and as a result he suffered an acute myocardial infarction. During the trial, but prior to the testimony of plaintiff’s expert, counsel for the defendant moved to bar the expert’s testimony or for “summary judgment,” based upon the expert’s deposition testimony and report.32 The trial court granted the defendant’s motion, but the Appellate Division reversed. The appellate panel first noted that medical malpractice must be established by expert testimony relating to generally accepted medical standards. The court then noted that the trial court had not reviewed the plaintiff’s expert’s report, and that in the report the expert did render the opinion that there was a deviation from the standard of care. The court explained that: [T]he report does not spell out a deviation of any medical standard in legal terms to a degree of medical probability. Nevertheless, this failure to specify a deviation of medical standards in the appropriate legal terms is not fatal to this case. Legal standards are usually talismanic to a practicing physician unfamiliar with legal nuances and terminology. Undoubtedly, before his trial testimony, plaintiff’s attorney would have apprised [plaintiff’s expert] that the legal requirement of causation must be established to a reasonable degree of medical probability. So informed, [plaintiff’s 31. Hearon v. Burdette Tomlin Mem’l Hosp., 213 N.J. Super. 98 (App. Div. 1986). 32. Hearon v. Burdette Tomlin Mem’l Hosp, 213 N.J. Super. 98, 101 (App. Div. 1986). expert] could then respond more appropriately on direct examination.33 Thus, where the meaning or language of an expert’s report is not clear, a court should determine exactly what the expert means prior to dismissing a case or striking a defense. It is rare that a case should be dismissed based upon the reports alone, without the opportunity to supplement or clarify the opinions. As the Hearon court noted, “the better procedure would have been first, for the trial judge to examine the medical report and, if he had any doubt as to the sufficiency of the proper proofs he should then have questioned plaintiff’s expert out of the presence of a jury before granting a summary judgment.”34 The court added: In complex cases such as a medical malpractice action, reliance upon facts developed at discovery as constituting all of the relevant facts may lead to an inaccurate factual assessment. In depositions, discovery may be limited to certain critical areas which the deposing party may wish to develop and establish. Where a party’s witness is being deposed, the party is not required and for strategic purposes may not desire, to fill in any gaps submitted or glossed over by the deposing party. Nor is a party required to present all facts at the deposition.35 The Hearon court therefore concluded that it was error to grant summary judgment based solely on the expert reports and deposition, and reversed and remanded for a new trial. Although in Hearon the plaintiff averted summary judgment, the case demonstrates the need to emphasize to experts the requirement of clarity and specificity in their reports to avoid the potential dismissal of a case. Reasonable Medical Probability The expert witness should be instructed regarding the definition of “reasonable medical probability,” and should be told that any 33. Hearon v. Burdette Tomlin Mem’l Hosp, 213 N.J. Super. 98, 103 (App. Div. 1986). 34. Hearon v. Burdette Tomlin Mem’l Hosp, 213 N.J. Super. 98, 103 (App. Div. 1986). 35. Hearon v. Burdette Tomlin Mem’l Hosp, 213 N.J. Super. 98, 104 (App. Div. 1986). opinions rendered should only be rendered to the extent they are reasonably medically probable. The need for an expert to be able to testify to a reasonable medical probability was discussed in Schrantz v. Luancing.36 In Schrantz, plaintiff’s decedent died from a pulmonary embolism. Plaintiff’s expert testified without objection that in his opinion, based upon “reasonable medical certainty,” four of the five defendants were negligent. When the expert was asked the same question about the fifth defendant, counsel for that defendant objected and sought to interrogate the plaintiff’s expert regarding the meaning of the phrase “reasonable medical certainty.” The court overruled the objection and stated that since the witness had been qualified as an expert, no further foundation was necessary. Plaintiff’s counsel did not ask his expert whether he understood the meaning of the phrase “reasonable medical certainty.” On cross-examination, counsel for the defendant asked the doctor to define “reasonable medical probability.” It became clear that the doctor could not define “reasonable medical certainty” nor “reasonable medical probability.” The doctor also could not define “acceptable standards of medical practice” and later agreed that “acceptable standards of medical practice” were the same as “reasonable medical probability.”37 Plaintiff’s counsel did not conduct any re-direct regarding the expert’s understanding of the phrase “reasonable medical probability.” The court thereafter struck the expert’s testimony, noting that “medical opinion testimony must be couched in terms of reasonable medical certainty or probability.”38 The Schrantz court explained that: Reasonable medical certainty or probability refers to the general consensus of recognized medical thought and opinion concerning the probabilities of conditions in the future based on present conditions. … If the cross-examination of [plaintiff’s expert] established that he did not understand the meaning of the phrase reasonable medical probability or 36. Schrantz v. Luancing, 218 N.J. Super. 434 (Law Div. 1986). 37. Schrantz v. Luancing, 218 N.J. Super. 434, 438 (Law Div. 1986). 38. Schrantz v. Luancing, 218 N.J. Super. 434, 439 (Law Div. 1986) (citing Germann v. Matriss, 55 N.J. 193 (1970)). certainty, then his testimony must be stricken because it cannot be said that the opinions he gave were based on reasonable medical probability.39 Accordingly, the court struck the expert’s testimony and instructed the jury to disregard it. The issue of whether the opinion regarding deviation from the standard of care, as opposed to an opinion regarding causation or damages, must be expressed in terms of reasonable medical probability was resolved in Bondi v. Pole.40 In Bondi, plaintiff had been stabbed in the face with a ball point pen and a piece of the pen broke off and lodged in plaintiff ’s sinus. Plaintiff later was treated by the defendants who did not order X-rays which would have detected the broken piece of the pen. The fragment went undetected for 12 years, until it was discovered when plaintiff had dental X-rays. After plaintiff ’s expert testified, defendant moved to strike the expert’s testimony, arguing that he had not expressed “an opinion on the issue of deviation from accepted standards of medical practice, that the deviation occurred within a reasonable degree of medical certainty.”41 The trial judge allowed the expert to return to the stand and plaintiff ’s expert testified that the defendants deviated from the standard of care to a reasonable degree of medical probability.42 However, on cross-examination, the expert was not able to define the phrase “a reasonable degree of medical probability.” The doctor stated that medical probability means “within the realm of common sense and normalcy.”43 The trial court thereafter suppressed the expert’s testimony due to the inability to define probability in terms of “more likely than not.” However, the Appellate Division reversed, noting that although the expert did not give “a satisfactory definition of the concept of medical probability,” such testimony was irrelevant since the expert was not required to testify that there was a deviation from the standard of care to a reasonable medical probability. 39. Schrantz v. Luancing, 218 N.J. Super. 434, 439 (Law Div. 1986). 40. Bondi v. Pole, 246 N.J. Super. 236 (App. Div. 1991). 41. Bondi v. Pole, 246 N.J. Super. 236, 238 (App. Div. 1991). 42. Bondi v. Pole, 246 N.J. Super. 236, 239 (App. Div. 1991). 43. Bondi v. Pole, 246 N.J. Super. 236, 239 (App. Div. 1991). The trial judge confused the foundation required for expressing an opinion that there was a deviation with the foundation required for expressing an opinion that the deviation caused the patient’s injuries. …. The foundation for an expert witness’s opinion that there was a deviation is that the deviation was from an accepted medical standard, and not simply from the expert’s personal standard. The foundation for an expert witness’s opinion that the deviation caused the patient’s injuries, however, is that the causal connection is a reasonable medical probability.44 The importance of the expert opinion was demonstrated in Ritondo v. Pekala.45 In Ritondo, while testifying, plaintiff’s expert “reconsidered his opinion” regarding defendant’s deviation from the standard of care and the court subsequently concluded that such “negation of [expert’s] direct testimony” left plaintiff without expert proof supporting a case. In Ritondo, plaintiffs alleged that an obstetrician improperly managed the pregnancy of Ms. Ritondo and the delivery of their child, and that as a result their child was born with severe mental and physical disabilities. Plaintiff’s expert testified that the defendant deviated from generally accepted standards of care in four ways: (1) induction of delivery without an attempt to determine the maturity of the infant; (2) failure to recognize fetal distress and asphyxia; (3) failure to perform a cesarean section on an emergency basis; and (4) failure to consult a specialist regarding the mother’s diabetes. On cross-examination, the expert testified that given the circumstances of the case the failure to perform a cesarean section was not a deviation from the standard of care, thus abandoning claims 2 and 3. In fact, the expert conceded that defense counsel can “cross off number 2 and 3.”46 The expert then 44. Bondi v. Pole, 246 N.J. Super. 236, 240 (App. Div. 1991). 45. Ritondo v. Pekala, 275 N.J. Super. 109 (App. Div. 1994). 46. Ritondo v. Pekala, 275 N.J. Super. 109, 113 (App. Div. 1994). conceded that there was “no evidence of any lack of maturity of the fetus,” therefore eliminating claim number 1. Finally, the doctor “reconsidered his opinion” that the defendant should have consulted a diabetes specialist prior to inducing labor. The expert acknowledged that since the infant’s blood sugar was normal, the lack of a consultation was not a proximate cause of any injuries. Although counsel for plaintiff attempted to rehabilitate the expert on re-direct, on re-cross examination the expert “once again abandoned his allegations of negligence” against the defendant.47 At the end of the expert’s testimony, the trial court dismissed the case. The Appellate Division affirmed, reiterating that the plaintiff in a medical malpractice case must establish the standard of care and deviation therefrom by expert testimony.48 The Appellate Division concluded that the expert’s “negation of his direct testimony was a clear and unequivocal withdrawal of his opinion” and that as a result, “the Ritondos were left without proof of any deviation of the standard of care, a necessary element of their claim.”49 QUALIFICATION OF EXPERTS AND THE PATIENTS FIRST ACT A witness may only testify about “scientific, technical or other specialized knowledge which will assist the trier of fact” if the witness is qualified as an expert in the subject matter of the testimony.50 Given the critical importance of expert testimony in medical malpractice litigation, it is no surprise that the issues which arise in connection with the qualification of expert witnesses have resulted in a substantial body of caselaw. Legislation has also been introduced affecting the qualification of expert witnesses. 47. Ritondo v. Pekala, 275 N.J. Super. 109, 115 (App. Div. 1994). 48. Ritondo v. Pekala, 275 N.J. Super. 109, 115 (App. Div. 1994). 49. Ritondo v. Pekala, 275 N.J. Super. 109, 116 (App. Div. 1994). 50. N.J. R. Evid. 702. Qualification of Expert Witnesses After the New Jersey Medical Care Access and Responsibility and Patients First Act Same Specialty Required for Expert In 2004, the New Jersey Legislature enacted the New Jersey Medical Care Access and Responsibility and Patients First Act (The Patients First Act).102 This statute changes the manner in which medical malpractice cases will be litigated, particularly with regard to expert testimony. The following is a description of the Act’s provisions regarding expert witness qualification. For description of other provisions that affect medical malpractice, see § 7-4. The Patients First Act now mandates that if the defendant is a specialist or subspecialist, and the treatment involves that specialty or subspecialty, the expert must specialize at the time of the occurrence in the same specialty or subspecialty. Additionally, embryos, never ventured outside the cardio-vascular field and never examined the infant plaintiff, and was not qualified to do so. [Plaintiff ’s expert] ventured a net opinion without any past medical history of plaintiff and without any knowledge of the facts and circumstances concerning the dosage prescribed for plaintiff and the number of times plaintiff ingested Bendectin. The superficial ‘research’ conducted by [plaintiff ’s expert] cannot reasonably be considered a proper foundation for his opinion. An expert’s opinion which lacks a proper foundation is ‘not worthy of consideration.’ Jakubowski v. Minnesota Mining and Manufacturing, 42 N.J. 177, 187 (1964); see also Buckelew v. Grossbard, 87 N.J. 512, 524 (1981) (‘[A]n expert’s bare conclusions, unsupported by factual evidence, is inadmissible.’). Thompson v. Merrell Dow Pharm., Inc., 229 N.J. Super. 230, 242-43 (App. Div. 1988). 101. Thompson v. Merrell Dow Pharm., Inc., 229 N.J. Super. 230 (App. Div. 1988). However, in Adamson v. Chiovaro, 308 N.J. Super. 70 (App. Div. 1998), the court held that a neuropsychologist could testify as to the plaintiff’s cognitive deficits. The court distinguished Crespo v. McCartin, 244 N.J. Super. 413 (App. Div. 1990) and Thompson v. Merrell Dow Pharmaceuticals, 229 N.J. Super. 230 (App. Div. 1988). 102. See N.J.S.A. 2A:53A-38, et seq. See the Appendix for information about how to find the statute online. if the defendant is board certified, the expert witness must have the same board certifications or be credentialed by a hospital to treat patients for the medical condition, or to perform the procedure, that is the basis for the claim. The latter provision may permit, for example, an orthopedist who has been granted privileges to perform spinal surgery to render the affidavit of merit and to testify against a neurosurgeon in a case involving spinal surgery. This provision is therefore consistent with prior case law permitting a physician in a different specialty than the defendant’s to testify when there are common or overlapping areas in their practice and experience, subject to the conditions discussed below.103 Applicability of Same Specialty Requirement N.J.S.A. 2A:53A-41 provides that if a party offering or opposing the expert testimony is a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association and the care or treatment at issue involves that specialty or subspecialty … the person providing the testimony shall have specialized at the time of the occurrence … in the same specialty or subspecialty. As such, this provision only applies: 1) to physicians, and not other medical practitioners 2) those experts who are called to testify about deviations from, or compliance with, the standard of care. Obviously, the statute could not be deemed to apply to: 1) medical practitioners other than physicians 103. See § 7-3:2, et seq.; see also Burns v. Belafsky, 166 N.J. 466 (2001), aff’g 326 N.J. Super. 462 (App. Div. 1999) (neurosurgeon was qualified to render the affidavit of merit against a radiologist); Wacht v. Farooqui, 312 N.J. Super. 184 (App. Div. 1998) (plaintiff alleged that the defendant, a radiologist, failed to diagnose a dislocated shoulder, and served an affidavit of merit from an orthopedic surgeon who specialized in the “care and treatment of the shoulder;” overlap in practice between medical professionals justified orthopedic surgeon testifying in case against radiologist) (citing Rosenberg by Rosenberg v. Cahill, 99 N.J. 318 (1985) (a medical doctor competent to establish the standard of care as to a chiropractor), and Sanzari v. Rosenfeld, 34 N.J. 128 (1961) (anesthesiologist established standard of care as to a dentist who administered Xylocaine)). 2) experts who are called to testify about proximate causation 3) experts testifying about damages. Furthermore, if the party is “board certified and the care or treatment at issue involves that board specialty or subspecialty,” the expert witness must be credentialed by a hospital to treat patients for the medical condition, or to perform the procedure, that is the basis for the claim or action; or … a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association who is board certified in the same specialty or subspecialty.104 Since only physicians are recognized by the American Board of Medical Specialties or the American Osteopathic Association, this section only applies to physicians. If the defendant is a “general practitioner,” the expert witness, during the year immediately preceding the date of the occurrence that is the basis for the claim or action, must have spent the majority of his professional time in “active clinical practice as a general practitioner; or active clinical practice that encompasses the medical condition, or that includes performance of the procedure, that is the basis of the claim” or to teaching “in an accredited medical school, health professional school, or accredited residency or clinical research program in the same health care profession” as the defendant.105 Finally, long-retired experts need not apply. The statute adds that “during the year immediately preceding the date of the occurrence that is the basis for the claim or action” the expert shall have devoted a majority of his professional time to either (a) . . . the active clinical practice of the same health care profession in which the defendant is licensed, and, if the defendant is a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic 104. N.J.S.A. 2A:53A-41. 105. N.J.S.A. 2A:53A-41. Association, the active clinical practice of that specialty or subspecialty recognized by the American Board of Medical Specialties or the American Osteopathic Association; or (b) the instruction of students in an accredited medical school, … in the same health care profession in which the defendant is licensed.106 The statute provides that a court: may waive the same specialty or subspecialty … requirements of this section, upon motion by the party seeking a waiver, if, after the moving party has demonstrated to the satisfaction of the court that a good faith effort has been made to identify an expert in the same specialty or subspecialty, the court determines that the expert possesses sufficient training, experience and knowledge to provide the testimony as a result of active involvement in, or full-time teaching of, medicine in the applicable area of practice or a related field of medicine.107 The Specialties and Sub-specialties Recognized by the American Board of Medical Specialties or the American Osteopathic Association The list of recognized specialties can be found at the websites for the American Board of Medical (ABMS) specialties for medical doctors (M.D.) and the American Osteopathic Association (AOA) for osteopaths (D.O.). See, e.g.: http://www.abms.org and http:// www.osteopathic.org. The ABMS website lists the following recognized specialties and subspecialties: 106. N.J.S.A. 2A:53A-41. 107. N.J.S.A. 2A:53A-41. American Board of Allergy and Immunology American Board of Anesthesiology Critical Care Medicine Hospice and Palliative Medicine Pain Medicine Pediatric Anesthesiology Sleep Medicine American Board of Colon and Rectal Surgery American Board of Dermatology Dermatopathology Pediatric Dermatology American Board of Emergency Medicine Emergency Medicine Anesthesiology Critical Care Medicine Emergency Medical Services Hospice and Palliative Medicine Internal Medicine-Critical Care Medicine Medical Toxicology Pediatric Emergency Medicine Sports Medicine Undersea and Hyperbaric Medicine American Board of Family Medicine Adolescent Medicine Geriatric Medicine Hospice and Palliative Medicine Sleep Medicine Sports Medicine American Board of Internal Medicine Adolescent Medicine Adult Congenital Heart Disease Advanced Heart Failure and Transplant Cardiology Cardiovascular Disease Clinical Cardiac Electrophysiology Critical Care Medicine Endocrinology, Diabetes and Metabolism Gastroenterology Geriatric Medicine Hematology Hospice and Palliative Medicine Infectious Disease Interventional Cardiology Medical Oncology Nephrology Pulmonary Disease Rheumatology Sleep Medicine Sports Medicine Transplant Hepatology American Board of Medical Genetics Clinical Biochemical Genetics Clinical Cytogenetics Clinical Genetics Clinical Molecular Genetics Medical Biochemical Genetics Molecular Genetic Pathology American Board of Neurological Surgery American Board of Nuclear Medicine American Board of Obstetrics and Gynecology Critical Care Medicine Female Pelvic Medicine and Reconstructive Surgery Gynecologic Oncology Hospice and Palliative Medicine Maternal and Fetal Medicine Reproductive Endocrinology/Infertility American Board of Ophthalmology American Board of Orthopaedic Surgery Orthopaedic Sports Medicine Surgery of the Hand American Board of Otolaryngology Neurotology Pediatric Otolaryngology Plastic Surgery Within the Head and Neck Sleep Medicine American Board of Pathology Pathology-Anatomic/Pathology-Clinical Pathology - Anatomic Pathology - Clinical Blood Banking/Transfusion Medicine Clinical Informatics Cytopathology Dermatopathology Neuropathology Pathology - Chemical Pathology - Forensic Pathology - Hematology Pathology - Medical Microbiology Pathology - Molecular Genetic Pathology - Pediatric American Board of Pediatrics Adolescent Medicine Child Abuse Pediatrics Developmental-Behavioral Pediatrics Hospice and Palliative Medicine Medical Toxicology Neonatal-Perinatal Medicine Neurodevelopmental Disabilities Pediatric Cardiology Pediatric Critical Care Medicine Pediatric Emergency Medicine Pediatric Endocrinology Pediatric Gastroenterology Pediatric Hematology-Oncology Pediatric Infectious Diseases Pediatric Nephrology Pediatric Pulmonology Pediatric Rheumatology Pediatric Transplant Hepatology Sleep Medicine Sports Medicine American Board of Physical Medicine and Rehabilitation Physical Medicine and Rehabilitation Brain Injury Medicine Hospice and Palliative Medicine Neuromuscular Medicine Pain Medicine Pediatric Rehabilitation Medicine Spinal Cord Injury Medicine Sports Medicine American Board of Plastic Surgery Plastic Surgery Within the Head and Neck Surgery of the Hand American Board of Preventive Medicine Aerospace Medicine Occupational Medicine Public Health and General Preventive Medicine Clinical Informatics Medical Toxicology Undersea and Hyperbaric Medicine American Board of Psychiatry and Neurology Neurology with Special Qualification in Child Neurology Addiction Psychiatry Brain Injury Medicine Child and Adolescent Psychiatry Clinical Neurophysiology Epilepsy Forensic Psychiatry Geriatric Psychiatry Hospice and Palliative Medicine Neurodevelopmental Disabilities Neuromuscular Medicine Pain Medicine Psychosomatic Medicine Sleep Medicine Vascular Neurology American Board of Radiology Diagnostic Radiology Interventional Radiology and Diagnostic Radiology Radiation Oncology Medical Physics Hospice and Palliative Medicine Neuroradiology Nuclear Radiology Pediatric Radiology Vascular and Interventional Radiology American Board of Surgery Vascular Surgery Complex General Surgical Oncology Hospice and Palliative Medicine Pediatric Surgery Surgery of the Hand Surgical Critical Care American Board of Thoracic Surgery Congenital Cardiac Surgery American Board of Urology Female Pelvic Medicine and Reconstructive Surgery Pediatric Urology AOA Recognized Specialties The AOA website lists the following specialties and sub-specialties: Anesthesiology Critical Care Medicine Pain Management Dermatology Dermatopathology MOHS-Micrographic Surgery Emergency Medicine Emergency Medical Services Medical Toxicology Sports Medicine Family Physicians Adolescent/Young Geriatric Medicine Sports Medicine Undersea and Hyperbaric Medicine Hospice and Palliative Medicine Sleep Medicine Internal Medicine Allergy/Immunology Cardiology Endocrinology Gastroenterology Hematology Infectious Disease Pulmonary Diseases Nephrology Oncology Rheumatology Addiction Medicine Critical Care Medicine Clinical Cardiac Electrophysiology Interventional Cardiology Geriatric Medicine Sports Medicine Undersea and Hyperbaric Medicine Hospice and Palliative Medicine Sleep Medicine Neurology & Psychiatry Child/Adolescent Psychiatry Child/Adolescent Neurology Addiction Medicine Neurophysiology Geriatric Psychiatry Hospice and Palliative Medicine Sleep Medicine Neuromusculoskeletal Medicine Neuromusculoskeletal Medicine & OMM Sports Medicine Pain Medicine Obstetrics & Gynecology Gynecologic Oncology Maternal and Fetal Medicine Reproductive Endocrinology Female Pelvic Medicine/Reconstructive Surgery Ophthalmology and Otolaryngology Otolaryngology/Facial Plastic Surgery Otolaryngic Allergy Sleep Medicine Orthopedic Surgery & Pathology Hand Surgery Pathology Laboratory Medicine Anatomic Pathology Anatomic Pathology & Laboratory Medicine Forensic Pathology Hand surgery Pediatrics Adolescent & Young Adult Medicine Neonatology Allergy/Immunology Pediatric Endocrinology Sports Medicine Physical Medicine & Rehabilitation Sports Medicine Hospice & Palliative Medicine Pain Medicine Preventive Medicine Preventive Medicine/Aerospace Medicine Preventive Medicine/Occupational-Environmental Medicine Preventive Medicine/Public Health Occupational Medicine Undersea and Hyperbaric Medicine Proctology Radiology Diagnostic Radiology Radiation Oncology Neuroradiology Pediatric Radiology Vascular & Interventional Radiology (formerly Angiography & Interventional Radiology) Surgery Neurological Surgery Plastic & Reconstructive Surgery Thoracic Cardiovascular Surgery Urological Surgery General Vascular Surgery Scope of Practice for Specialties The ABMS and AOA websites also define the scope of practice for each specialty. For example the ABMS member board, American Board of Family Medicine, defines family medicine as follows: Family physicians deliver a range of acute, chronic and preventive medical care services. In addition to diagnosing and treating illness, they also provide preventive care, including routine checkups, healthrisk assessments, immunization and screening tests, and personalized counseling on maintaining a healthy lifestyle. Family physicians also manage chronic illness, often coordinating care provided by other subspecialists.108 Additionally, ABMS Member board, American Board of Internal Medicine defines the Internal Medicine specialty as follows: An Internist is a personal physician who provides long-term, comprehensive care in the office and in the hospital, managing both common and complex illnesses of adolescents, adults and the elderly. Internists are trained in the diagnosis and treatment of cancer, infections and diseases affecting the heart, blood, kidneys, joints and the digestive, respiratory and vascular systems. They are also trained in the essentials of primary care internal medicine, which incorporates an understanding of disease prevention, wellness, substance abuse, mental health and effective treatment of common 108. American Board of Medical Specialties, http://www.certificationmatters.org/abmsmemberboards/family-medicine.aspx. problems of the eyes, ears, skin, nervous system and reproductive organs.109 Overlap Between Specialties Finally, it should be noted that there is a substantial amount of overlap between the medical specialties. For example, “hand surgery” is listed as a sub-specialty of the American Boards of Orthopaedic Surgery, Plastic Surgery, and Surgery, and the AOA Boards of Orthopedic Surgery & Pathology. Similarly, “sports medicine” is listed by 10 different Boards as a sub-specialty, i.e., the American Boards of Emergency Medicine, Family Medicine, Internal Medicine, Orthopaedic Surgery, Pediatrics and the AOA Boards of Emergency Medicine, Internal Medicine, Neuromusculoskeletal Medicine, Pediatrics, and Physical Medicine & Rehabilitation. Indeed, there are four Boards which list “Undersea and Hyperbaric Medicine” as a specialty. This has major implications for the qualification of expert witnesses, because many specialties and subspecialties treat the same condition. For example, does the standard of care for treatment of chest pain differ between an internist and a family doctor? Does the standard of care for treatment of post-operative infection fusion differ for an orthopedic surgeon, a neurosurgeon, or an internist sub-certified in Infectious Disease? 7-3:3.4 Constitutionality Challenged The Patients First Act is contrary to long settled law in New Jersey regarding the qualification of the expert witness. Additionally, it has been suggested that similar requirements relating to the Affidavit of Merit Statute may be unconstitutional.110 This was an argument first 109. American Board of Medical Specialties, http://www.certificationmatters.org/abmsmemberboards/internal-medicine.aspx. 110. See, e.g., the discussion of Justice Zazzali in his concurrence in Ferreira v. Rancocas Orthopedic Associates, 178 N.J. 144, 159-69 (2003) (Zazzali, J. concurring). Justice Zazzali observed that “the conflicts between our rules and the Affidavit of Merit Statute, coupled with the fine distinctions that we have drawn to avoid the injustice that flows from the statute’s strict application, suggest a possible constitutional infirmity.” Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 167 (2003) (Zazzali, J. concurring). Justice Zazzali suggested that the Affidavit of Merit Statute, N.J.S.A. 2A:53A-26 et seq., as it then existed, appeared to conflict with N.J. Const. Art. VI, §2, ¶3, which states “The Supreme Court shall make rules governing the administration of all courts in the State and, subject to the law, the practice and procedure in all such courts.” Justice Zazzali also cited Winberry v. Salisbury, advanced by the various bar associations that appeared as Amicus in Cornblatt v. Barow,111 although the Cornblatt Court declined to decide the issue at that time.112 If anything, the changes to the Affidavit of Merit Statute and the changes in the requirements for expert testimony trespass much deeper upon the exclusive obligation of our Supreme Court to make the rules governing the administration of the courts and the practice and procedure in all such courts.113 In Nicholas v. Mynster,114 the Supreme Court interpreted the provisions of the New Jersey Medical Care Access and Responsibility and Patients First Act, N.J.S.A. 2A:53A-41, which control the qualifications of expert witnesses who testify for or against “defendant physicians” in medical malpractice cases. The Court briefly addressed the constitutionality of the statute, and declined to address the issue: NJAJ also raises issues that have never been raised by plaintiffs in the trial court, Appellate Division, or this Court. NJAJ asserts that the Patients First Act violates Article VI of the New Jersey Constitution, which vests in the Supreme Court authority over the rules of procedure in our courts, N.J. Const. art VI., § 2, ¶ 3, and the Evidence Act of 1960, N.J.S.A. 2A:84A-33 to -44, which establishes a procedure for creating new rules of evidence. ‘[A]s a general rule an amicus curiae must accept the case before the court as presented by the parties and cannot raise issues not raised by the parties.’ Bethlehem Twp. Bd. of Educ. v. Bethlehem Twp. Educ. Ass’n, 91 N.J. 38, 48-49 (1982) (citing Byram Twp. Bd. of Educ. v. Byram Twp. Educ. Ass’n, 152 N.J. Super. 12, 18 (App. Div. 1977); Endress v. Brookdale Cmty. Coll., 144 N.J. Super. 109, 123 n.6 (App. Div. 1976)). We did not grant certification on the additional issues raised by NJAJ. We decline to address these issues because they were not argued 5 N.J. 240 (1950) and Knight v. Margate, 86 N.J. 374 (1981). See also The Rule-making Power: Subject to Law?, 5 Rutgers L. Rev. 376, 387 (1951). 111. Cornblatt v. Barow, 153 N.J. 218 (1998). 112. Cornblatt v. Barow, 153 N.J. 218, 248 (1998). 113. See N.J. Const. art. VI, § 2, ¶3. 114. Nicholas v. Mynster, 213 N.J. 463 (2013). by the parties or considered by the trial court and are therefore not properly before this Court.115 Affidavit of Merit The Affidavit of Merit Statute requires that a plaintiff in a malpractice action provide an expert’s preliminary opinion that there is a “reasonable probability that the care, skill or knowledge exercised or exhibited in the treatment … fell outside acceptable professional occupational standards or treatment practices.”116 The Patients First Act amends the Affidavit of Merit Statute117 to require that the affidavit of merit be provided by a person meeting the requirements to qualify as an expert witness under N.J.S.A. 2A:53A-41 discussed above. N.J.S.A. 2A:53A-27 states: In any action for damages for personal injuries, wrongful death or property damage resulting from an alleged act of malpractice or negligence by a licensed person in his profession or occupation, the plaintiff shall, within 60 days following the date of filing of the answer to the complaint by the defendant, provide each defendant with an affidavit of an appropriate licensed person that there exists a reasonable probability that the care, skill or knowledge exercised or exhibited in the treatment, practice or work that is the subject of the complaint, fell outside acceptable professional or occupational standards or treatment practices. The court may grant no more than one additional period, not to exceed 60 days, to file the affidavit pursuant to this section, upon a finding of good cause. In the case of an action for medical malpractice, the person executing the affidavit shall meet the requirements of a person who provides expert testimony or executes an affidavit as set forth in section 7 of P.L.2004, c.17 (C.2A:53A-41). In all other cases, the person 115. Nicholas v. Mynster, 213 N.J. 463, 477 n.13 (2013). 116. N.J.S.A. 2A:53A-27. 117. N.J.S.A. 2A:53A-27. See § 7-5, et seq., for a detailed discussion of the Affidavit of Merit Statute. executing the affidavit shall be licensed in this or any other state; have particular expertise in the general area or specialty involved in the action, as evidenced by board certification or by devotion of the person’s practice substantially to the general area or specialty involved in the action for a period of at least five years. The person shall have no financial interest in the outcome of the case under review, but this prohibition shall not exclude the person from being an expert witness in the case. Thus, the same comments regarding the qualification of an expert apply to the qualifications of the person who executes the affidavit of merit. As a result of this statute, an attorney pursuing a medical malpractice case should in appropriate cases check the board certification status of every potential defendant. The website www.njdoctorlist.com lists the qualifications and board certifications of every doctor licensed to practice medicine in New Jersey. See discussion in § 7-5, et seq., regarding the Affidavit of Merit Statute. Equivalently Qualified The qualification of an expert to testify against a doctor who is a specialist in another field of medicine was considered in Buck v. Henry.118 In Buck, the Supreme Court reversed the dismissal of 118. Buck v. Henry, 207 N.J. 377 (2011). In Buck, the plaintiff sued defendant, who was board certified in emergency medicine but who was maintaining a family medicine practice. The defendant diagnosed the plaintiff as suffering from depression and insomnia, and prescribed an anti-depressant and a sleep aid. Several weeks after the defendant prescribed the medication, the plaintiff fell asleep while inspecting a hand gun. The plaintiff was awakened by a phone ringing. The plaintiff reached for the phone, but placed the gun in his mouth and it discharged, resulting in severe injuries. Buck v. Henry, 207 N.J. 377, 384 (2011). The plaintiff alleged that the defendant was negligent, and served an affidavit of merit signed by a psychiatrist. The defendant asserted that the psychiatrist was not qualified to render the affidavit because the defendant was a family practitioner. The plaintiff then served a second affidavit of merit signed by a physician specializing in emergency medicine, because the website of the N.J. Division of Consumer Affairs, www. njdoctorlist.com indicated that the defendant was board certified in emergency medicine. The defendant moved for summary judgment, contending that he practiced family practice, that the care he provided to the plaintiff involved family practice, and that the case should be dismissed because the plaintiff did not submit an affidavit of merit from a family practitioner. The plaintiff replied that he served an affidavit from a psychiatrist who treated patients such as the plaintiff, and from a physician who was board certified in emergency medicine because the defendant was boarded in that specialty. The plaintiff also argued that a physician cannot be a “specialist” without board certification. Buck v. Henry, 207 N.J. 377, 385-87 (2011). a case for a failure to provide an expert in the same specialty as defendant and remanded for a Ferreira conference,119 explaining: The basic principle behind N.J.S.A. 2A:53A-41 is that ‘the challenging expert’ who executes an affidavit of merit in a medical malpractice case, generally, should ‘be equivalently-qualified to the defendant’ physician.120 The Court then observed that: The statute sets forth three distinct categories embodying this kind-for-kind rule: (1) those who are specialists in a field recognized by the American Board of Medical Specialties (ABMS) but who are not board certified in that specialty; (2) those who are specialists in a field recognized by the ABMS and who are board certified in that specialty; and (3) those who are ‘general practitioners.’ See N.J.S.A. 2A:53A-41(a), (b).121 Although Buck involved a dispute over an affidavit of merit122 the same rules will apply to the qualification of expert witnesses in medical malpractice cases. Determining the Qualifications of Medical Malpractice Liability Experts As discussed in 7-3:3.2 Applicability of Same Specialty Requirement, N.J.S.A. 2A:53A-41 states that if a party offering or opposing the expert testimony: is a specialist or subspecialist recognized by the American Board of Medical Specialties or the The trial court found that the defendant was a specialist in family-medicine, and that the plaintiff was required serve an affidavit from a specialist in family medicine. The trial court therefore dismissed the case with prejudice. The Appellate Division affirmed and the Supreme Court reversed. Buck v. Henry, 207 N.J. 377, 387-88 (2011). 119. In Ferreira v, Rancocas Orthopedic Associates, the New Jersey Supreme Court mandated that trial courts must hold “an accelerated case management conference” within 90 days of the service of an answer in all malpractice cases to resolve any affidavit of merit questions and address other discovery issues. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144 (2003); see also § 7-7:8.2 (discussing Ferreira conference requirement). 120. Buck v. Henry, 207 N.J. 377, 389 (2011) (citing Ryan v. Renny, 203 N.J. 37, 52 (2010)). 121. Buck v. Henry, 207 N.J. 377, 389 (2011). 122. See discussion in § 7-5, et seq., for detailed discussion of the affidavit of merit. American Osteopathic Association and the care or treatment at issue involves that specialty or subspecialty … the person providing the testimony shall have specialized at the time of the occurrence … in the same specialty or subspecialty….123 Furthermore, if the defendant is board certified and the care or treatment at issue involves that board specialty or subspecialty, the expert witness must either be credentialed by a hospital to treat the medical condition, or to perform the procedure, that is the basis for the claim or action; or . . . a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association who is board certified in the same specialty or subspecialty….124 The qualification of an expert to testify against a doctor who is a specialist in another field of medicine was considered in Buck v. Henry125 and Nicholas v. Mynster.126 Although Buck involved a dispute over an affidavit of merit,127 the same standards apply to the qualification of expert witnesses who testify in medical malpractice cases. In Buck, the plaintiff sued defendant, who was board certified in emergency medicine but who was maintaining a family medicine practice. The defendant diagnosed the plaintiff as suffering from depression and insomnia, and prescribed an anti-depressant and a sleep aid. Several weeks after the defendant prescribed the medications, the plaintiff fell asleep in a chair while inspecting a handgun. The plaintiff was awakened by a phone ringing, and reached for the phone, but placed the gun to his mouth and it discharged, resulting in severe injuries.128 The plaintiff alleged that the defendant was negligent, and served an affidavit of merit signed by a psychiatrist who treats patients with insomnia and depression. The defendant asserted that the psychiatrist was not qualified to render the affidavit because the 123. N.J.S.A. 2A:53A-41a. 124. N.J.S.A. 2A:53A-41a(1) and (2) (emphasis added). 125. Buck v. Henry, 207 N.J. 377 (2011). 126. Nicholas v. Mynster, 213 N.J. 463 (2013). 127. See Section 7-5:2.4, Qualifications of the Affiant. 128. Buck v. Henry, 207 N.J. 377, 384 (2011). defendant was a family practitioner. The plaintiff then served a second affidavit of merit signed by a physician specializing in emergency medicine, because the defendant was board certified in emergency medicine.129 The defendant moved for summary judgment, contending that he practiced family medicine, that the care he provided to the plaintiff involved family medicine, and that the case should be dismissed because the plaintiff did not submit an affidavit of merit from a family practitioner. The plaintiff replied that he served an affidavit from a psychiatrist who treated patients such as the plaintiff, and from a physician who was board certified in emergency medicine because the defendant was boarded in that specialty. The plaintiff also argued that a physician cannot be a “specialist” without board certification.130 The trial court found that the defendant was a specialist in family medicine, and that the plaintiff was required to serve an affidavit from a specialist in family medicine. The trial court therefore dismissed the case with prejudice. The Appellate Division affirmed, but the Supreme Court reversed and remanded the case.131 The Buck opinion began with the statement that the plaintiff must serve an affidavit from an “equivalently credentialed physician” swearing under oath “that there exists a reasonable probability that the defendant’s treatment fell outside acceptable professional standards.”132 The Court added that the “basic principle behind N.J.S.A. 2A:53A-41 is that ‘the challenging expert’ who executes an affidavit of merit in a medical malpractice case, generally, should ‘be equivalently-qualified to the defendant’ physician.”133 The Court then observed that the statute sets forth three distinct categories of physicians: (1) those who are specialists in a field recognized by the ABMS but who are not board certified in that specialty; 129. Buck v. Henry, 207 N.J. 377, 382-83 (2011). 130. Buck v. Henry, 207 N.J. 377, 386-87 (2011). 131. Buck v. Henry, 207 N.J. 377, 387-88, 396 (2011). 132. Buck v. Henry, 207 N.J. 377, 382 (2011) (citing N.J.S.A. 2A:53A-27). 133. Buck v. Henry, 207 N.J. 377, 389 (2011) (citing Ryan v. Renny, 203 N.J. 37, 52 (2010)). (2) those who are specialists in a field recognized by the ABMS and who are board certified in that specialty; and (3) those who are ‘general practitioners.’134 The Court explained that pursuant to the plain language of N.J.S.A. 2A:53A-41a, if the defendant is “a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association and the care or treatment at issue involves that specialty or subspecialty” the expert must be a specialist in the same specialty or subspecialty.135 Furthermore, if the defendant is board certified and the care or treatment at issue involves that board specialty or subspecialty, the expert witness must either be ‘credentialed by a hospital to treat the medical condition, or to perform the procedure, that is the basis for the claim or action; or . . . a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association who is board certified in the same specialty or subspecialty.’136 The Buck Court then explained the process by which a court determines the qualification of a proposed expert: Under N.J.S.A. 2A:53A-41, the first inquiry must be whether a physician is a specialist or general practitioner. If the physician is a specialist, then the second inquiry must be whether the treatment that is the basis of the malpractice action ‘involves’ the physician’s specialty. When the treatment ‘involves’ the physician’s specialty the equivalency requirements apply, otherwise the specialist is subject to the same affidavit requirements as if he were a general practitioner.137 134. Buck v. Henry, 207 N.J. 377, 389 (2011) (citing N.J.S.A. 2A:53A-41(a), (b)). 135. Buck v. Henry, 207 N.J. 377, 389 (2011). 136. Buck v. Henry, 207 N.J. 377, 389 (2011) (emphasis added). 137. Buck v. Henry, 207 N.J. 377, 391 (2011). Significantly, the Court added: A physician may practice in more than one specialty, and the treatment involved may fall within that physician’s multiple specialty areas. In that case, an affidavit of merit from a physician specializing in either area will suffice.138 This comment suggested that experts in one specialty could testify in cases involving other specialities. The issue was revisited less than a year later by the Supreme Court in Nicholas v. Mynster.139 The plaintiff in Nicholas was brought to the hospital suffering from carbon monoxide poisoning. The plaintiff came under the care of the defendants, Dr. Mynster, who was board certified in emergency medicine, and Dr. Sehgal, who was board certified in the practice of family medicine. Dr. Sehgal was described as the “attending physician” and admitted the plaintiff to intensive care unit of the hospital. However, there is nothing in the opinion to suggest that Dr. Sehgal had ever treated the plaintiff before the events which gave rise to the case. Additionally, there is nothing in the record to suggest that Dr. Sehgal was practicing “Family Medicine” as opposed to “Critical Care Medicine” or working as a hospitalist. See Section: 7-3:3.3 The Specialties and Sub-specialties Recognized by the American Board of Medical Specialties or the American Osteopathic Association. The plaintiffs served an affidavit of merit from an expert, Dr. Weaver, who was board certified in “Internal Medicine, Pulmonary Diseases, Critical Care, and Undersea & Hyperbaric Medicine.”140 The plaintiff also served the affidavit of merit of another expert who was also board certified in Internal Medicine and who was on the staff of the Department of Emergency Medicine at a hospital in Philadelphia.However, the plaintiffs only served an expert report from Dr. Weaver, who opined that the standard of care required that the plaintiff be referred for treatment by hyperbaric oxygen, and that had the plaintiff promptly received hyperbaric oxygen, “his problems would have been prevented, or mitigated.”141 138. Buck v. Henry, 207 N.J. 377, 391 (2011). 139. Nicholas v. Mynster, 213 N.J. 463 (2013). 140. Nicholas v. Mynster, 213 N.J. 463, 471 (2013). 141. Nicholas v. Mynster, 213 N.J. 463, 473 (2013). The plaintiff’s case was weakened when his expert conceded during his deposition that “there was a difference of opinion in the literature in 2005 as to the indications for hyperbaric oxygen for carbon monoxide poisoning.”142 Further, the court noted the expert “neither practiced nor was board certified in the specialties of emergency medicine or family medicine. Dr. Weaver conceded that he did not know how the average physician practicing family medicine would have treated Nicholas in 2005.”143 The defendants moved to bar the testimony of plaintiff’s expert and for summary judgment, asserting that the plaintiff’s expert could not establish the standard of care “because he did not practice in the same medical specialty as defendants.”144 The trial court denied the motion, concluding that “expertise in the treatment of the condition was sufficient even if the expert did not share the same medical specialty as the defendant physicians.”145 The Appellate Division denied defendants’ motion for leave to appeal.146 In an extraordinarily rare decision, the Supreme Court granted an interlocutory motion for leave to appeal a trial court decision, and reversed, holding that “N.J.S.A. 2A:53A-41 of the Patients First Act requires that plaintiffs’ medical expert must ‘have specialized at the time of the occurrence that is the basis for the [malpractice] action in the same specialty or subspecialty’ as defendant physicians.”147 The Court explicitly rejected the plaintiffs’ argument that under N.J.S.A. 2A:53A-41a(1), their medical expert, who did not specialize in either emergency or family medicine, was qualified to testify as an expert because he was credentialed by a hospital to treat patients for carbon monoxide poisoning. Under a plain textual reading of the Act, plaintiffs cannot establish the standard of care through an expert who does not practice in the same medical 142. Nicholas v. Mynster, 213 N.J. 463, 473 (2013). 143. Nicholas v. Mynster, 213 N.J. 463, 473 (2013). 144. Nicholas v. Mynster, 213 N.J. 463, 468 (2013). 145. Nicholas v. Mynster, 213 N.J. 463, 468 (2013). 146. Nicholas v. Mynster, 213 N.J. 463, 468 (2013). 147. Nicholas v. Mynster, 213 N.J. 463, 468 (2013). specialties as defendants. For that reason, plaintiffs’ medical expert is barred from testifying to the standard of care governing defendants. Because plaintiffs cannot establish the applicable standard of care, summary judgment must be granted in favor of defendants.148 Justice Albin acknowledged: In both Ryan v. Renny, 203 N.J. 37, 999 A.2d 427 (2010), and Buck v. Henry, 207 N.J. 377, 25 A.3d 240 (2011), we held that, generally, a plaintiff’s medical expert testifying to the standard of care allegedly breached by a defendant physician must be equivalently credentialed in the same specialty or subspecialty as the defendant physician.”149 After quoting the statute, the Nicholas Court explained: The underscored word ‘and’ that appears in the quoted portion of the statute separates the credentials a challenging expert must have (1) if the defendant physician practices in a specialty but is not board certified and (2) if the defendant is board certified in the specialty. When a physician is a specialist and the basis of the malpractice action ‘involves’ the physician’s specialty, the challenging expert must practice in the same specialty. See Buck, supra, 207 N.J. at 391. A medical expert must be a specialist in the same field in which the defendant physician specializes; there are no exceptions to that requirement other than the waiver provision of N.J.S.A. 2A:53A-41(c), which is inapplicable in this case.150 The Nicholas Court explicitly rejected the argument that a physician credentialed by a hospital to treat patients for the same 148. Nicholas v. Mynster, 213 N.J. 463, 468 (2013). 149. Nicholas v. Mynster, 213 N.J. 463, 481-83 (2013) (citing Buck v. Henry, 207 N.J. 377, 389 (2011)). 150. Nicholas v. Mynster, 213 N.J. 463, 481-83 (2013). medical condition “need neither practice in the same medical specialty nor be board certified in that specialty.”151 Emergency medicine, family medicine, internal medicine, and preventive medicine are all distinct specialty areas recognized by the American Board of Medical Specialties. No one disputes that physicians practicing in all four of these specialty areas may treat carbon monoxide poisoning. However, there is no statutory exception—other than the waiver provision of N.J.S.A. 2A:53A-41(c)—that permits a physician specializing in internal and preventive medicine to serve as an expert witness against a physician specializing in emergency or family medicine, even though each is qualified to treat a patient for carbon monoxide poisoning.152 Applying the above to the facts of the case, the Nicholas Court concluded that because defendants rendered treatment within their specialties, the equivalent-qualification rule applies. Since the plaintiff’s expert was only board certified in internal medicine, with subspecialties in pulmonary diseases and critical care, and preventive medicine, with a subspecialty in undersea and hyperbaric medicine, the expert could not be permitted to establish the standard of care for either emergency medicine or family medicine.153 Dr. Weaver unquestionably is an expert in the treatment of carbon monoxide poisoning and the use of hyperbaric oxygen as a treatment modality. But in addition to the expert-witness qualifications required by N.J.R.E. 702, the Legislature has imposed the requirements set forth in N.J.S.A. 2A:53A-41. Dr. Weaver and Drs. Mynster and Sehgal practice in different ABMS specialties. The statute does not permit Dr. Weaver to testify about the standard of care exercised by a physician practicing in a different specialty. That Dr. Weaver is credentialed by a hospital to treat carbon monoxide 151. Nicholas v. Mynster, 213 N.J. 463, 484 (2013). 152. Nicholas v. Mynster, 213 N.J. 463, 484 (2013). 153. Nicholas v. Mynster, 213 N.J. 463, 487 (2013). poisoning is a substitute for board certification in emergency and family medicine; it is not a substitute for specializing in those practice areas. … Plaintiffs never presented an expert in family medicine and never filed an affidavit of merit from a physician specializing in family medicine. Accordingly, at the summary-judgment stage, plaintiffs had no statutorily qualified expert who could render an opinion regarding the standard of care applicable to Drs. Mynster and Sehgal…. For these reasons, we reverse the trial court, enter summary judgment in favor of defendants, Drs. Mynster and Sehgal, and remand to the trial court for proceedings consistent with this opinion.154 Perhaps the result would have been different if the plaintiff ’s expert, who as noted above, was board certified in Internal Medicine, Pulmonary Diseases, Critical Care, and Undersea & Hyperbaric Medicine, had simply declared that Internal Medicine encompassed Family Medicine, and that Critical Care encompassed Emergency Medicine, and thus self-declared that he was also a specialist in both Family Medicine and Emergency Medicine, albeit not board certified in those specialties. In such a case, the fact that the plaintiff ’s expert was credentialed by a hospital to treat the condition at issue would have permitted this expert to testify against the defendants. Indeed, the Nicholas Court explained: The hospital-credentialing provision is not an alternative to the same-specialty requirement; it only comes into play if a physician is board certified in a specialty. Again, only a specialist can testify against a specialist about the treatment of a condition that falls within the specialty area. The hospital-credentialing provision is only a substitute for board certification.155 154. Nicholas v. Mynster, 213 N.J. 463, 487-88 (2013). 155. Nicholas v. Mynster, 213 N.J. 463, 481-83 (2013) (emphasis added). Of course, the prudent malpractice lawyer will strive to avoid such artificial manipulations, and rely upon experts whose credentials match those of the defendants. The Nicholas decision has raised many serious concerns amongst the medical malpractice bar. First, this decision appears to be a reversal of the longstanding policy of the Court, beginning with In re Hall, that the Affidavit of Merit Statute should be construed “to avoid the risk that even a few meritorious cases may be dismissed for non-compliance with the Statute.”156 The Nicholas Court also did not recall its statement in Ferreira that “ ‘there is no legislative interest in barring meritorious claims brought in good faith.’ ”157 As recently as Buck, the Supreme Court reiterated that the “Legislature did not intend ‘to create a minefield of hyper-technicalities in order to doom innocent litigants possessing meritorious claims.’”158 Nicholas can be viewed as an implicit reversal of Buck, where the Court remanded to determine the “adequacy of plaintiff’s affidavits of merit,” in a case where psychiatry and emergency medicine experts had rendered the affidavits of merit in a case against a self-declared specialist in family medicine. Second, it is unclear how one is determined to be a specialist. Virtually all doctors now claim that they are “specialists” in something, and every defendant does so. Indeed, the determination of who is a “specialist” remains arbitrary. Is a doctor a “specialist” simply because she says she is? Third, it is still not clear how the statute will be applied to the very common practice of doctors who treat conditions and perform procedures that traditionally were well outside of their specialty. Who provides the affidavit in a case involving an anesthesiologist who performs complex spinal fusions, or the family medicine doctor who is sub-certified in “sports medicine” and responds to serious fractures in the emergency room as the “on-call” orthopedist? Where does one locate an anesthesiologist who performs complex spinal fusions, or a family doctor who treats fractures to serve as an expert witness? 156. In re Hall, 147 N.J. 379, 392-93 (1997). 157. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 150-51 (2003) (quoting Galik v. Clara Maass Med. Ctr., 167 N.J. 341, 359 (2001)). 158. Buck v. Henry, 207 N.J. 377, 393-94 (2011) (quoting Ryan v. Renny, 203 N.J. 37 (2010)). Indeed, in Nicholas, the defendant ‘Family Medicine’ doctor was actually practicing as a critical care physician in the ICU, or as a hospitalist. The Nicholas decision simply accepted the claim that this defendant was practicing “family medicine” without any critical analysis of this claim. In fact, it is difficult to comprehend how, pursuant to N.J.S.A. 2A:53A-41, it was determined that the treatment of the plaintiff in the ICU by this defendant involves the physician’s specialty of Family Medicine. This is of course critical to this analysis because the equivalency requirements only apply “when the treatment ‘involves’ the physician’s specialty.”159 Fourth, the Buck and Nicholas decisions have eliminated the portion of N.J.S.A. 2A:53A-41 which refers to general practitioners. The author of this text has never had a defendant designate in the answer that the defendant was a “general practitioner.” This is because every defendant, board certified or not, now self-declares that they are a “specialist.” This was obviously not the intent of the legislature. Finally, by focusing on the specialty, and not the condition being treated or the procedure being performed, the Nicholas decision has dramatically increased the number of experts who are required in malpractice cases. As a proximate result of this decision, the cost to all parties for what is already an extraordinarily expensive type of personal injury litigation has increased. It is common to have doctors from two or more disparate specialties treat the same condition. In such cases, the parties must now engage multiple experts. This has already shut the door to the courthouse for many victims of medical errors. Although it appears that Supreme Court intended to clarify this area of law by reaching out to take a denial of a motion to dismiss by a trial court, this decision has already resulted in the unintended consequences of the dismissal of many meritorious claims and defenses. The problem was compounded by the fact that the Court did not make the Nicholas decision prospective, as was the case in every previous affidavit of merit case. While the intent of these statutes was to rid the system of frivolous suits promptly and lower costs, the present interpretation has had the opposite impact. The litigation over the affidavit of merit and 159. Buck v. Henry, 207 N.J. 377, 389 (2011). the qualifications of experts has taken on a life of its own. Unless this flawed statute is declared unconstitutional, amended, or construed sensibly, we will continue to waste an enormous amount of time and resources on the process, instead of determining the merits of our cases. The Patients First Act’s Impact on Other Medical Malpractice Issues Introduction The Patient First Act imposed numerous other changes affecting adjudication of medical malpractice claims. Attorneys who handle medical malpractice cases in New Jersey must therefore become aware of all the changes effected by the Act. The following is a summary of the major provisions of the statute other than those affecting expert witness testimony. Statute of Limitations Amended The Patients First Act amends the Statute of Limitations, N.J.S.A. 2A:14-2, to provide that “an action by or on behalf of a minor that has accrued for medical malpractice for injuries sustained at birth shall be commenced prior to the minor’s 13th birthday.”160 As stated, this statute only applies to injuries sustained “at birth.” As such, the change does not apply to cases involving the failure to diagnose birth defects or where the malpractice occurred not “at birth” but rather during the pregnancy. In apparent recognition of the potential unconstitutionality of limiting the right of minors to sue before they can file suit themselves, The Patients First Act provides that if an action on behalf of a minor is not commenced by the minor’s parent or guardian prior to the minor’s 12th birthday, the “minor or designated person may petition the court for the appointment of a guardian ad litem to act on the minor’s behalf.”161 However, such a limited right to sue hardly cures the complaints about the unconstitutionality of this provision. 160. N.J.S.A. 2A:14-2(a). 161. N.J.S.A. 2A:14-2(b). Affidavit of Noninvolvement The Patients First Act permits a defendant in a malpractice case to obtain a dismissal of a malpractice case upon the filing of an “affidavit of noninvolvement with the court.”162 The affidavit of noninvolvement must state with particularity, the facts that demonstrate that the provider was misidentified or otherwise not involved … in the care and treatment of the claimant … and could not have caused the alleged malpractice, either individually or through its servants or employees, in any way.163 The plaintiff and any co-defendant may challenge an affidavit of noninvolvement by filing an affidavit that contradicts the assertions of noninvolvement.164 The statute imposes penalties upon anyone who knowingly files a false or inaccurate affidavit of noninvolvement, including the “reasonable expenses” incurred, including attorney’s fees.165 The statute imposes similar sanctions on any plaintiff or plaintiff’s counsel who “falsely objected to a health care provider’s affidavit of noninvolvement.”166 Malpractice Premium Increases Barred if Case Dismissed Within 180 Days The Patients First Act has also amended N.J.S.A. 17:30d-22 to prohibit any increase in the premium of any medical malpractice policy due to the filing of a case against a physician if the case was dismissed within 180 days of the filing of the physician’s answer. This provision will impose pressure on defense counsel to exchange discovery promptly in order that qualified defendants may take advantage of this important provision of the new law. Defense counsel who delay may well find themselves the subject of suits by their own clients seeking reimbursement for the cost of increased malpractice premiums imposed on defendants who should have been dismissed prior to the 180-day limit. 162. N.J.S.A. 2A:53A-40. 163. N.J.S.A. 2A:53A-40(a). 164. N.J.S.A. 2A:53A-40(b). 165. N.J.S.A. 2A:53A-40(c). 166. N.J.S.A. 2A:53A-40(d). Remittitur and Additur The Patients First Act seeks to redefine the standard of review regarding remittitur and additur. N.J.S.A. 2A:53A-42 mandates that the trial judge consider the evidence in the light most favorable to the non-moving party and determine whether the award is clearly inadequate or excessive in view of the nature of the medical condition or injury that is the cause of action or because of passion or prejudice by the jury. The “clearly inadequate or excessive” standard is a change from the “shock the conscience” standard previously employed. Good Samaritan Immunity The Patients First Act also creates an immunity in certain “good samaritan” situations. N.J.S.A. 2A:62A-1.3, amends New Jersey’s Good Samaritan Act,167 and immunizes a health care professional who responds in a hospital or similar setting to a lifethreatening emergency or a request for emergency assistance in a life-threatening emergency within a hospital or other health care facility, unless there was gross negligence, recklessness, or willful misconduct. However, this section does not apply if: 1. “a provider-patient relationship existed before the emergency”; 2. if the practitioner was “on-call” and had a duty to respond to “a patient emergency situation”; or 3. if the health care professional is paid for the service rendered.168 AFFIDAVIT OF MERIT Professions Covered The Affidavit of Merit Statute,186 originally enacted in 1995, requires the service of an “affidavit of merit” in many professional negligence and some other cases. The Affidavit of Merit Statute initially protected physicians, dentists, podiatrists, chiropractors, nurses and health care facilities, as well as non-medical professionals 181. N.J.S.A. 45:9-22.23a(10). 182. N.J.S.A. 45:9-22.23a(10)(c). 183. See N.J.S.A. 45:9-22.23a(10)(d). 184. See N.J.S.A. 45:9-22.23c. 185. See N.J.S.A. 45:9-22.23d. 186. N.J.S.A. 2A:53A-26, et seq. The Appendix provides information about where to find the statute online. such as accountants, architects, attorneys and engineers.187 The statute was amended in 2002 and 2010, and presently includes: As used in this act, “licensed person” means any person who is licensed as: a. an accountant pursuant to P.L.1997, c.259 (C.45:2B-42 et seq.); b. an architect pursuant to R.S.45:3-1 et seq.; c. an attorney admitted to practice law in New Jersey; d. a dentist pursuant to R.S.45:6-1 et seq.; e. an engineer pursuant to P.L.1938, c.342 (C.45:8-27 et seq.); f. a physician in the practice of medicine or surgery pursuant to R.S.45:9-1 et seq.; g. a podiatrist pursuant to R.S.45:5-1 et seq.; h. a chiropractor pursuant to P.L.1989, c.153 (C.45:941.17 et seq.); i. a registered professional nurse pursuant to P.L.1947, c.262 (C.45:11-23 et seq.); j. a health care facility as defined in section 2 of P.L.1971, c.136 (C.26:2H-2); k. a physical therapist pursuant to P.L.1983, c.296 (C.45:9-37.11 et seq.); l. a land surveyor pursuant to P.L.1938, c.342 (C.45:8-27 et seq.); m. a registered pharmacist pursuant to P.L.2003, c.280 (C.45:14-40 et seq.); n. a veterinarian pursuant to R.S.45:16-1 et seq.; o. an insurance producer pursuant to P.L.2001, c.210 (C.17:22A-26 et seq.); and 187. N.J.S.A. 2A:53A-26. p. a certified midwife, certified professional midwife, or certified nurse midwife pursuant to R.S.45:10-1 et seq.188 It is important to recognize that the definition of “health care facilities” in the Affidavit of Merit Statute refers to the definition contained in N.J.S.A. 26:2H-2, which broadly provides: “Health care facility” means the facility or institution whether public or private, engaged principally in providing services for health maintenance organizations, diagnosis of treatment of human disease, pain, injury, deformity or physical condition, including, but not limited to, a general hospital, special hospital, mental hospital, public health center, diagnostic center, treatment center, rehabilitation center, extended care facility, skilled nursing home, nursing home, intermediate care facility, tuberculosis hospital, chronic disease hospital, maternity hospital, outpatient clinic, dispensary, home health care agency, residential health care facility and bioanalytical laboratory (except as specifically excluded hereunder) or central services facility serving one or more such institutions but excluding institutions that provide healing solely by prayer and excluding such bioanalytical laboratories as are independently owned and operated, and are not owned, operated, managed or controlled, in whole or in part, directly or indirectly by any one or more health care facilities, and the predominant source of business of which is not by contract with health care facilities within the State of New Jersey and which solicit or accept specimens and operate predominantly in interstate commerce.189 Thus, an affidavit of merit must be provided to a wide range of corporate health care providers, not just hospitals. 188. N.J.S.A. 2A:53A-26. 189. N.J.S.A. 26:2H-2. The statute requires service of an affidavit of merit in all cases for “personal injuries, wrongful death, and property damages against the listed licensed professionals.”190 Time for Service The time for service of the affidavit is provided in N.J.S.A. 2A:53A-27, which states: In any action for damages for personal injuries, wrongful death or property damage resulting from an alleged act of malpractice or negligence by a licensed person in his profession or occupation, the plaintiff shall, within 60 days following the date of filing of the answer to the complaint by the defendant, provide each defendant with an affidavit of an appropriate licensed person that there exists a reasonable probability that the care, skill or knowledge exercised or exhibited in the treatment, practice or work that is the subject of the complaint, fell outside acceptable professional or occupational standards or treatment practices. The court may grant no more than one additional period, not to exceed 60 days, to file the affidavit pursuant to this section, upon a finding of good cause. The failure to submit the affidavit “shall be deemed a failure to state a cause of action.”191 Failure to Produce Necessary Records or Other Information The plaintiff is not required to submit an affidavit of merit if the defendant fails to provide plaintiff with medical records or other necessary information within 45 days after receiving a written request by certified mail or personal service. In such a case, counsel for plaintiff need only file a certification stating: 190. N.J.S.A. 2A:53A-27. 191. N.J.S.A. 2A:53A-29. [T]he defendant has failed to provide plaintiff with medical records or other records or information having a substantial bearing on the preparation of the affidavit; a written request therefor along with, if necessary, a signed authorization by the plaintiff for the release of the medical records or other records or information requested, has been made by certified mail or personal service; and at least 45 days have elapsed since the defendant received the request.192 Minimum Requirements As stated above, the Affidavit of Merit Statute merely requires that the expert render a preliminary opinion that there is a “reasonable probability that the care, skill or knowledge exercised or exhibited in the treatment . . . fell outside acceptable professional occupational standards or treatment practices.”193 The minimal requirements of the Affidavit of Merit Statute are no doubt due to the fact that the affidavit is generally required prior to the exchange of any pretrial discovery. Qualifications of the Affiant The Affidavit of Merit Statute initially required that the person executing the affidavit shall be licensed in this or any other state; [and] have particular expertise in the general area or specialty involved in the action, as evidenced by board certification or by devotion of the person’s practice substantially to the general area or specialty involved in the action for a period of at least five years.194 In 2004, The New Jersey Medical Care Access and Responsibility and Patients First Act discussed above195 amended the practice and procedure involving the affidavit of merit and now provides that a person may not give expert testimony or execute an affidavit of 192. N.J.S.A. 2A:53A-28. 193. N.J.S.A. 2A:53A-27. 194. N.J.S.A. 2A:53A-27. 195. N.J.S.A. 2A:53A-38; see § 7-3:3 and following sections for discussion of The Patients First Act. merit in a medical malpractice case unless the expert is licensed as a physician or other health care professional in the United States and, if the defendant is a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association, and the treatment involves that specialty or subspecialty: [T]he person providing the testimony shall have specialized at the time of the occurrence that is the basis for the action in the same specialty or subspecialty … and if the person against whom or on whose behalf the testimony is being offered is board certified and the care or treatment at issue involves that board specialty or subspecialty … the expert witness shall be (1) a physician credentialed by a hospital to treat patients for the medical condition, or to perform the procedure, that is the basis for the claim or action; or (2) a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association who is board certified in the same specialty or subspecialty.196 As a result of this statute, an attorney pursuing a medical malpractice case should in appropriate cases check the board certification status of every potential defendant. The profiles of New Jersey doctors can be found at www.njdoctorlist.com. Similarly, the profiles of New York doctors can be found at www .nydoctorprofile.com. See Section 7-3:3.7 for further discussion regarding qualifications of experts under the Patients First Act. Application of the Affidavit of Merit Requirements The Affidavit of Merit Statute has resulted in much litigation. A series of decisions of the New Jersey Supreme Court and numerous opinions from the Appellate Division have addressed the repetitive issues generated by the Affidavit of Merit Statute and have provided guidance to those trying to navigate its murky waters. These court decisions answer the following frequently asked questions which are discussed in further detail below: 1: Who Is Entitled to an Affidavit of Merit?227 2: Is an Affidavit of Merit Needed for Professional Corporations?228 3: Who Is Qualified to Render the Affidavit of Merit?229 4: What Information Must Be Contained in the Affidavit of Merit?230 224. Fernandez v. Jersey City Med. Ctr., 336 N.J. Super. 594, 599 (App. Div. 2001). 225. Fernandez v. Jersey City Med. Ctr., 336 N.J. Super. 594, 600 (App. Div. 2001). 226. Chamberlain v. Giampapa, 210 F. 3d. 154 (3d Cir. 2000). 227. See § 7-7:2. 228. See § 7-7:2.2. 229. See § 7-7:3. 230. See § 7-7:4. 5: Does the Affidavit of Merit Statute Require Identification of the Defendants Who Deviated from the Standard of Care?231 6: When Must the Affidavit of Merit Be Filed?232 7: What Constitutes Substantial Compliance with the Affidavit of Merit Statute?233 8: Does the Doctrine of Waiver or Estoppel Apply to the Affidavit of Merit Statute?234 9: Is the Affidavit of Merit Waived If the Defendant Withholds the Medical Records Needed to Prepare the Affidavit?235 10: Does the Failure to Hold a Conference Pursuant to Ferreira Extend the Time to Serve an Affidavit of Merit?236 11: Can the Ferreira/Affidavit of Merit Conference Be Waived?237 12: Once Suit Is Filed, Is the Affidavit of Merit Statute Tolled Due to the Minority of an Infant Plaintiff ?238 13: Is an Affidavit of Merit Required in Common Knowledge or Res Ipsa Cases?239 14: Is an Affidavit of Merit Required for Informed Consent Cases?240 15: Does the Affidavit of Merit Statute Apply to Crossclaims or Counterclaims?241 231. See § 7-7:5. 232. See § 7-7:6. 233. See § 7-7:7. 234. See § 7-7:8. 235. See § 7-7:11. 236. See § 7-7:9. 237. See § 7-7:10. 238. See § 7-7:12. 239. See § 7-7:13. 240. See § 7-7:14. 241. See § 7:15. 16: Does the Affidavit of Merit Statute Apply to Nonmalpractice Claims, Such as Contract or Assault and Battery Claims?242 17: Is an Affidavit of Merit Needed to Establish Causation or Damages?243 18: Should the Affidavit of Merit Statute Ever Be Permitted to Be Used to Defeat Meritorious Claims?244 Which Licensed Professionals are Entitled to Affidavit of Merit? Only those licensed professionals specifically listed in the Affidavit of Merit Statute are entitled to an affidavit of merit.245 In Saunders, the plaintiff’s daughter was delivered by Marietta Cahill, a licensed nurse and midwife, at the Capital Health System’s Trenton hospital. The plaintiff sued Cahill and the Capital Health System, claiming that Cahill’s negligence caused a brachial plexus injury and that the infant suffered from decreased movement and flaccidity of the left arm. The plaintiff ’s counsel had obtained an affidavit of merit well within time, but had simply failed to serve it. The trial court nevertheless dismissed the complaint with prejudice, rejecting the plaintiff ’s argument that she had substantially complied with the Affidavit of Merit Statute. In reversing, the Appellate Division first observed that the Affidavit of Merit Statute specifies fifteen ‘licensed persons,’ who are entitled to an affidavit of merit, but that ‘[m]idwives were not included’ in the statute.246 242. See § 7-7:16. 243. See § 7-7:17. 244. See § 7-7:18. 245. See Saunders ex rel. Saunders v. Capital Health Sys. at Mercer, 398 N.J. Super. 500 (App. Div. 2008). 246. Saunders ex rel. Saunders v. Capital Health Sys. at Mercer, 398 N.J. Super. 500, 505 (App. Div. 2008). The court explained: Nurses and midwives are licensed pursuant to different statutes. Licensing requirements for registered professional nurses are set forth in N.J.S.A. 45:11-23 The Court then added: The Legislature initially chose to list ten particular professionals to which the Affidavit of Merit requirement would apply. The list did not include midwives. Six years after enacting N.J.S.A. 2A:53A-26, the Legislature, recognizing the limitation of the statute’s scope, amended the statute, naming five additional professionals as ‘licensed persons.’ The absence of midwives as ‘licensed persons’ strongly suggests that the list contained in N.J.S.A. 2A:53A-26 is an exclusive one and implies that the omission of other licensed health providers ‘was intentional, not an oversight.’ … Had the Legislature intended N.J.S.A. 2A:53A-26 to apply to other unspecified licensed health providers, it could easily have prefaced the licensed persons listed with the words ‘including but not limited to.’ It chose not to do so.247 The Saunders Court then ended the argument, observing: Our function is not to ‘rewrite a plainly-written enactment of the Legislature nor presume that the Legislature intended something other than that expressed by way of plain language’ … It is not our function to ‘write in an additional qualification which the Legislature pointedly omitted in drafting its own enactment’ … We, therefore, conclude that an affidavit of merit is not required when licensed midwives, as well as other unspecified licensed to -67 . . . Midwife licensing requirements are specified in N.J.S.A. 45:10-1 to -22. A midwife is defined as a person “who attends a woman in childbirth as a midwife.” N.J.S.A. 45:10-1. To qualify for a license as a midwife, a person must have “received a certificate or diploma from a legally incorporated school of midwifery, or maternity hospital.” N.J.S.A. 45:10-3. Midwives must pass an examination “sufficient to test the scientific and practical fitness of candidates to practice midwifery.” N.J.S.A. 45:10-5. Every licensed midwife is required to “procure . . . annually . . . a certificate of registration.” N.J.S.A. 45:10-7. Saunders ex rel. Saunders v. Capital Health Sys. at Mercer, 398 N.J. Super. 500, 505-06 (App. Div. 2008). 247. Saunders ex rel. Saunders v. Capital Health Sys. at Mercer, 398 N.J. Super. 500, 508 (App. Div. 2008). professionals, are sued in their professional capacity.248 Is an Affidavit of Merit Needed for Professional Corporations? In Shamrock Lacrosse Inc. v. Klehr, Harrison, Harvey, Branzburg & Ellers,249 the Appellate Division held that the Affidavit of Merit Statute250 required the service of an affidavit of merit in a case against two law firms principally located in Pennsylvania with offices in New Jersey. The plaintiff had argued that the law firms were not “licensed persons” for which an affidavit of merit was required under N.J.S.A. 2A:53A-27—which requires an affidavit of merit in cases against “an attorney admitted to practice law in New Jersey” who is one of the licensed professionals specified in N.J.S.A. 2A:53A-26(c). Additionally, the plaintiff argued that the individual defendant attorney was not admitted to practice law in New Jersey at the time of the negligent conduct.251 Considering federal court opinions on the issue, the Shamrock Supreme Court held that law firms were entitled to an affidavit of merit. The days in which the private practice of law was almost exclusively populated by individual practitioners has long passed. That being so, we doubt that the Legislature intended to penalize the legal profession by confining the important protections of the affidavit of merit statute to single-attorney law offices. To be sure, individual attorneys admitted to the New Jersey bar are clearly embraced by the affidavit of merit statute by virtue of the definition in N.J.S.A. 2A:53A-26(c). But, if plaintiff’s reading 248. Saunders ex rel. Saunders v. Capital Health Sys. at Mercer, 398 N.J. Super. 500, 507-08 (App. Div. 2008). 249. Shamrock Lacrosse Inc. v. Klehr, Harrison, Harvey, Branzburg & Ellers, 416 N.J. Super. 1 (App. Div. 2010). 250. N.J.S.A. 2A:53A-26 to -29. 251. Shamrock Lacrosse Inc. v. Klehr, Harrison, Harvey, Branzburg & Ellers, 416 N.J. Super. 1, 13-14 (App. Div. 2010). of the statute were accepted, that individualized protection would provide no solace to a law firm that could have vicarious liability for the actions or inactions of the licensed attorneys employed by, or affiliated with, that firm.252 However, the Appellate Division held in Albrecht v. Correctional Medical Services,253 that Correctional Medical Services (CMS), a contractual provider of medical services for the Department of Corrections, was not entitled to an affidavit of merit. The plaintiff filed suit against two doctors and CMS alleging that the defendants failed to properly diagnose and treat his medical condition when the plaintiff was in the custody of the DOC. Plaintiff served an affidavit of merit upon the two individual defendants, but not to CMS. CMS moved to dismiss the complaint for failure to file an affidavit of merit, asserting that it was a “health care facility” as defined by the relevant statutes, and the trial court granted the motion. In reversing, the appellate division first observed that the Affidavit of Merit Statute only applies to claims of negligence “by a licensed person in his profession or occupation.”254 In this context, a “licensed person” is “any person who is licensed as … a health care facility as defined in” N.J.S.A. 2A:53A-26(j).255 In rejecting CMS’s claim that it is a health care facility and therefore entitled to an affidavit of merit, the appellate division concluded: [T]o be a ‘licensed person’ for the AOM Statute, one must do more than practice one of the enumerated professions––one must also hold a valid license as a practitioner of one of those professions. Otherwise, unlicensed persons would be protected by the AOM Statute. See Shamrock Lacrosse, supra, 416 N.J. Super. at 26-27 (suggesting that attorney who 252. Shamrock Lacrosse Inc. v. Klehr, Harrison, Harvey, Branzburg & Ellers, 416 N.J. Super. 1, 22 (App. Div. 2010) (relying on Martin v. Perinni Corp., 37 F. Supp. 2d 362 (D.N.J. 1999), and distinguishing RTC Mortg. Trust 1994 N-1 v. Fidelity Nat’l Title Ins. Co., 981 F. Supp. 334 (D.N.J. 1997), and In re Cendant Corp. Sec. Litig., 139 F. Supp. 2d 585 (D.N.J.), aff’d in part, rev’d in part, 47 F.3d 132 (3d Cir. 2001)). 253. Albrecht v. Corr. Med. Servs., 422 N.J. Super. 265 (App. Div. 2011). 254. Albrecht v. Corr. Med. Servs., 422 N.J. Super. 265, 269 (App. Div. 2011) (quoting N.J.S.A. 2A:53A-27). 255. Albrecht v. Corr. Med. Servs., 422 N.J. Super. 265, 271 (App. Div. 2011). unlawfully represents clients may not be protected by affidavit-of-merit requirement). We cannot construe the statute to reach such an absurd result.256 The court distinguished the holdings in Shamrock Lacrosse, and Nagim v. New Jersey Transit,257 which extended the protection of the affidavit of merit to a law firm and engineering firm, respectively. The Albrecht court explained: Read together, these cases hold that when a firm’s shareholders are licensed persons under the statute, a plaintiff is required to provide an AOM in order to pursue litigation against the firm alone under respondeat superior principles. The rule in these cases is implicitly limited to professional corporations because, by statute, professional corporations must be entirely owned by shareholders who are themselves licensed professionals. N.J.S.A. 14A:17-10(a) (‘No professional corporation may issue any of its shares to anyone other than an individual who is duly licensed or otherwise legally authorized to render the same professional service as that for which the corporation was incorporated.’). Again, that rationale has no application here, where plaintiff has filed affidavits of merits to support his claims against the doctors.258 Who is Qualified to Render the Affidavit of Merit? Same Specialty Requirement In 2004, the New Jersey Legislature enacted the New Jersey Medical Care Access and Responsibility and Patients First Act (The Patients First Act.)259 As mentioned in § 7-3:3, this statute 256. Albrecht v. Corr. Med. Servs., 422 N.J. Super. 265, 271 (App. Div. 2011). 257. Nagim v. N.J. Transit, 369 N.J. Super. 103 (Law Div. 2003). 258. Albrecht v. Corr. Med. Servs., 422 N.J. Super. 265, 273 (App. Div. 2011). 259. N.J.S.A. 2A:53A-37, et seq. See the Appendix for information on how to find the text of the Act online. imposes new requirements for those providing expert testimony or executing an affidavit of merit.260 Most importantly, if the defendant is a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association, and the treatment involves that specialty or subspecialty: [T]he person providing the testimony shall have specialized at the time of the occurrence that is the basis for the action in the same specialty or subspecialty … and if the person against whom or on whose behalf the testimony is being offered is board certified and the care or treatment at issue involves that board specialty or subspecialty … the expert witness shall be (1) a physician credentialed by a hospital to treat patients for the medical condition, or to perform the procedure, that is the basis for the claim or action; or (2) a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association who is board certified in the same specialty or subspecialty … during the year immediately preceding the date of the occurrence that is the basis for the claim or action, shall have devoted a majority of his professional time to either (a) the active clinical practice of the same health care profession in which the defendant is licensed, and, if the defendant is a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association, the active clinical practice of that specialty or subspecialty recognized by the American Board of Medical Specialties or the American Osteopathic Association; or (b) the instruction of students in an accredited medical school, other accredited health professional school or accredited residency or clinical research 260. See N.J.S.A. 2A:53A-41 and § 7-3:3.5. program in the same health care profession in which the defendant is licensed, and, if that party is a specialist or subspecialist recognized by the American Board of Medical Specialties or the American Osteopathic Association, an accredited medical school, health professional school or accredited residency or clinical research program in the same specialty or subspecialty recognized by the American Board of Medical Specialties or the American Osteopathic Association; or (c) both.261 This section of the statute only applies to those experts who are called to testify about deviations from, or compliance with, the standard of care. Obviously, the statute could not be deemed to apply to experts who are called to testify about proximate causation and damages.262 If the defendant is a general practitioner, the expert witness, during the year immediately preceding the date of the occurrence that is the basis for the claim or action, must have spent the majority of his professional time in “active clinical practice as a general practitioner; or active clinical practice that encompasses the medical condition, or that includes performance of the procedure, that is the basis of the claim” or to teaching “in an accredited medical school, health professional school, or accredited residency or clinical research program in the same health care profession” as the defendant.263 Additionally, the expert must have devoted the majority of his professional time during the year immediately preceding the date of the occurrence to the “active clinical practice” of the same health care profession and specialty or subspecialty as the defendant, or the instruction of students in an accredited medical or health professional school, or accredited residency or clinical research program in the same health care profession and the same specialty or subspecialty.264 261. N.J.S.A. 2A:53A-41. 262. See Bender v. Walgreens E. Co., Inc., 399 N.J. Super. 584 (App. Div. 2008); see also discussion in § 7-7:17. 263. N.J.S.A. 2A:53A-41. 264. N.J.S.A. 2A:53A-41. The statute provides that a court may waive the same specialty or subspecialty requirement if, [a]fter the moving party has demonstrated to the satisfaction of the court that a good faith effort has been made to identify an expert in the same specialty or subspecialty, the court determines that the expert possesses sufficient training, experience and knowledge to provide the testimony as a result of active involvement in, or full-time teaching of, medicine in the applicable area of practice or a related field of medicine.265 See § 7-3:3 for discussion of Buck v. Henry,266 and Nicholas v. Mynster267 and the qualifications of the person rendering the affidavit of merit or testifying at trial, and the circumstances by which an expert certified on one specialty may testify against or for a doctor practicing in another but overlapping specialty. Waiver of Same Specialty Requirement As noted above, N.J.S.A. 2A:53A-41(c) provides: a court may waive the same specialty or subspecialty recognized by the American Board of Medical Specialties or the American Osteopathic Association and board certification requirements of this section, upon motion by the party seeking a waiver, if, after the moving party has demonstrated to the satisfaction of the court that a good faith effort has been made to identify an expert in the same specialty or subspecialty, the court determines that the expert possesses sufficient training, experience and knowledge to provide the testimony as a result of active involvement in, or full-time teaching of, medicine in the applicable area of practice or a related field of medicine. 265. N.J.S.A. 2A:53A-41(c). 266. Buck v. Henry, 207 N.J. 377 (2011). 267. Nicholas v. Mynster, 213 N.J. 463 (2013). The Supreme Court examined the safety net provided by N.J.S.A. 2A:53A-41(c) in Ryan v. Renny.268 In Ryan, the plaintiff suffered a perforated colon during a colonoscopy, and sued the defendant, a board-certified gastroenterologist. The plaintiff was not able to obtain an affidavit of merit from a boardcertified gastroenterologist despite multiple inquiries with such specialists. The plaintiff therefore served the affidavit of a general surgeon who was not board-certified in gastroenterology, but who claimed to have performed more than 100 colonoscopies, although none for many years, and who had also had performed colon and bowel surgeries, including repair of perforations from colonoscopies. The defendant moved to dismiss the complaint for failure to submit an affidavit of a board-certified gastroenterologist. The plaintiff cross-moved, seeking a waiver of the same-specialty requirement pursuant to N.J.S.A. 2A:53A-41(c). The plaintiff submitted a certification of counsel explaining that he had contacted three board-certified gastroenterologists who declined to review the case. The defendant argued that the court could infer that the specialists believed the defendant did not commit malpractice, and that the general surgeon was not qualified to render the affidavit of merit because he was not board certified in the same specialty as the defendant, and because he was not actively performing colonoscopies when the procedure was performed on the plaintiff. The trial judge granted plaintiff’s motion to waive the specialty requirements and denied the defendant’s motion to dismiss the complaint. The Appellate Division reversed, holding that the plaintiff had not demonstrated a good faith effort to obtain an expert, and dismissed the complaint. In reinstating the complaint, the Supreme Court held that an expert who does not possess the same board certification as the defendant may nevertheless provide a satisfactory affidavit of merit if the party seeking the waiver demonstrates a “good faith effort” to obtain an affidavit from a doctor with the same board certification and if the proffered expert possesses sufficient 268. Ryan v. Renny, 203 N.J. 37 (2010). training, experience and knowledge of the condition or procedure in issue as “a result of active involvement in, or full-time teaching of, medicine in the applicable area of practice or a related field of medicine.”269 The Supreme Court explained that a good-faith effort to obtain an affidavit from a similarly board certified expert required the judge to focus on whether the plaintiff attempted to secure such an expert, and not the reasons why the potential experts declined to participate in the case.270 A similar conclusion was reached by the Appellate Division in an engineering malpractice case, Berlin v. Remington & Vernick.271 In Berlin, the Borough of Berlin sued an engineer for negligence in designing a municipal water well. The plaintiff served the affidavit of a professional hydrogeologist. The defendant moved to dismiss, arguing that only an engineer could serve the affidavit of merit. The Appellate Division held that the plaintiff had complied with the statute, but warned: To protect against engineering malpractice claims being pressed against R&V without the required engineering affidavit of merit having been submitted, we direct that Berlin’s liability claim be limited to whether R&V’s hydrogeologist negligently sited the well in question and whether the hydrogeologist at the time was employed by or 269. Ryan v. Renny, 203 N.J. 37 (2010) (quoting N.J.S.A. 2A:53A-41(c)). 270. Ryan v. Renny, 203 N.J. 37, 55 (2010). The Court explained: [T]he plain language of the waiver provision, … directs the judge to focus on the ‘effort’ the moving party made to obtain a statutorily-authorized expert, and not on the reasons why a particular expert or experts declined to execute an affidavit. That focus reflects a legislative judgment that the moving party should make a legitimate attempt to obtain an equivalently-qualified expert and should not be relieved of that burden by desultory undertakings or half-hearted endeavors. It follows that, to prove a good faith effort, a moving party must show what steps he undertook to obtain an expert qualified according to N.J.S.A. 2A:53A41(a) or (b). By way of example, that would include: the number of experts in the field; the number of experts the moving party contacted; whether and where he expanded his search geographically when his efforts were stymied; the persons or organizations to whom he resorted for help in obtaining an appropriate expert; and any case-specific roadblocks (such as the absence of local sub-specialty experts) he encountered. However, the experts’ reasons for declining simply do not bear on the robustness of movant’s efforts[.] Ryan v. Renny, 203 N.J. 37, 55 (2010). 271. Berlin v. Remington & Vernick, 337 N.J. Super. 590 (App. Div. 2001). working for R&V. Because no engineering affidavit has been submitted, issues such as negligent supervision or negligent hiring, or any other claim relating to the engineering firm’s alleged breach of its professional standard of care, may not be pressed against R&V.272 What Information Must be Contained in the Affidavit of Merit? The Cornblatt decision held that the affidavit need only contain the very limited information required by the statute: The statutory language here is clear and unambiguous. N.J.S.A. 2A:53A-27 states that the plaintiff shall provide ‘an affidavit of an appropriate licensed person that there exists a reasonable probability that the care, skill or knowledge exercised or exhibited in the treatment, practice or work that is the subject of the complaint, fell outside acceptable professional or occupational standards or treatment practices.’ That language is the only part of the statute detailing what must be included in the affidavit. Separately, the statute lists the affiant’s qualifications as mandatory requirements, but the statute does not describe those requirements as information that must be included in the affidavit. … Interpreting the statute to mean that those qualifications must be included in the affidavit as the Appellate Division did goes beyond the statutory language itself.273 Significantly, the New Jersey Supreme Court in In re Hall274 explained that the affidavit of merit is not a detailed expert report but need only be “summary in nature,” and further that the required statement of opinion that the defendant’s work or treatment fell outside 272. Berlin v. Remington & Vernick, 337 N.J. Super. 590 (App. Div. 2001). 273. Cornblatt v. Barow, 153 N.J. 218, 241 (1998). 274. In re Hall, 147 N.J. 379 (1997). acceptable professional standards need not be accompanied by the same detailed explanation and analysis that ordinarily would be contained in an expert’s report required to be furnished pursuant to Rule 4:17-4(e).275 Finally, the Hall Court made clear that the statute requires only that the expert certify that a reasonable probability exists that the defendant in question deviated from professional standards. If the affiant is also to serve as an expert witness at trial, the detailed analysis supporting that conclusion need not be provided until the defendant demands production of expert reports.276 Does the Affidavit of Merit Statute Require Identification of the Defendants Who Deviated from the Standard of Care? The Supreme Court has instructed that whenever possible the affidavit of merit should specifically identify the defendants who deviated from the standard of care. In Fink v. Thompson,277 plaintiff alleged that his wife died as a result of the negligent treatment of an infection by doctors at two hospitals. Prior to filing suit, the plaintiff obtained a detailed report from an expert. Upon filing suit, plaintiff’s expert prepared an affidavit which stated that the death of the plaintiff’s wife was caused by the negligence of a number of specifically named physicians, nurses, and a hospital, as well as “currently unknown names of physicians and nurses of Robert Wood Johnson University Hospital.”278 After the passage of 120 days, one named defendant, Dr. Strobel, moved to dismiss because the affidavit of merit did not identify Dr. Strobel as a person who deviated from the standard of care. Plaintiff immediately filed a supplemental affidavit of merit wherein the expert stated that it “had become known to me that defendant, Richard Strobel, M.D., was the attending physician at Robert Wood Johnson and therefore can now be identified as one of the unknown physicians of 275. In re Hall, 147 N.J. 379, 392 (1997). 276. In re Hall, 147 N.J. 379, 392 (1997). 277. Fink v. Thompson, 167 N.J. 551 (2001). 278. Fink v. Thompson, 167 N.J. 551, 557 (2001). Robert Wood Johnson University Hospital who deviated from accepted standards of care in his treatment of the decedent, Lisa M. Fink.”279 Nevertheless, the trial court dismissed Dr. Strobel from the case, and the Appellate Division denied a motion for leave to appeal. However, the Supreme Court granted leave to appeal, and reversed. The Fink Court stated that key issue was whether the plaintiff’s initial affidavit was sufficient as to Dr. Strobel. The Court explained: The statute explicitly states that plaintiff must provide ‘each defendant’ with an affidavit that indicates the plaintiff’s claim has merit. N.J.S.A. 2A:53A-27. The question then is whether the plaintiff must provide each defendant with an affidavit stating that the plaintiff’s claim against that specific defendant has merit. The statute does not directly impose such a requirement.280 However, the court noted that in In re Hall it held that the failure to serve an affidavit of merit concerning a “specific defendant” constitutes a failure to state a cause of action against that defendant.281 The Fink Court therefore concluded that the Affidavit of Merit Statute requires that a plaintiff provide an affidavit as to each defendant detailing a reasonable probability that at least one claim concerning each defendant has merit. This was a necessary interpretation of the statute because [i]f a plaintiff were permitted to name fifteen defendants and provide each with an affidavit specifying only that a claim against one defendant is meritorious, the statutory purpose of reducing frivolous lawsuits would be subverted or circumvented.282 279. Fink v. Thompson, 167 N.J. 551, 558 (2001). 280. Fink v. Thompson, 167 N.J. 551, 559-60 (2001). 281. Fink v. Thompson, 167 N.J. 551, 560 (2001) (citing In re Hall, 147 N.J. 379, 390 (1997)). 282. Fink v. Thompson, 167 N.J. 551, 560 (2001). The Appellate Division has also held that the better practice is to specifically identify the defendants who deviated from the standard of care in the affidavit of merit. In Medeiros v. O’Donnell & Naccarato,283 plaintiff sued various engineers, architects and other defendants seeking damages for personal injuries sustained at a construction site. The plaintiff served an affidavit of merit signed by a person who was both a licensed engineer and architect. The defendant engineering company moved to dismiss the complaint for failure to provide an affidavit of merit that specifically named the engineering company, and the trial court dismissed the complaint. In reversing, the Appellate Division noted, “The AMS is silent as to any requirement that the affidavit specifically identify a defendant by name.”284 The Appellate Division noted that since the affidavit stated that it was being filed against “defendant architects and engineers, respectively,” the affidavit was adequate.285 The Appellate Division observed that the Supreme Court had stated in Burns v. Belafsky,286 that “we will not add requirements not explicitly set forth that deny plaintiffs their day in court.”287 The Medeiros court added: We caution, however, that the better practice would be for plaintiffs to identify, by name, the specific defendant alleged to have committed malpractice, so as to avoid litigation such as this and the potential for the dismissal of meritorious claims.288 When Must the Affidavit of Merit be Filed? As noted above, the Affidavit of Merit Statute requires that the plaintiff provide each defendant with an affidavit of merit within 60 days following the filing of the answer by the defendant.289 The court may grant one additional period of 60 days to file the affidavit 283. Medeiros v. O’Donnell & Naccarato, 347 N.J. Super. 536 (App. Div. 2002). 284. Medeiros v. O’Donnell & Naccarato, 347 N.J. Super. 536, 540 (App. Div. 2002). 285. Medeiros v. O’Donnell & Naccarato, 347 N.J. Super. 536, 541 (App. Div. 2002). 286. Burns v. Belafsky, 166 N.J. 466 (2001). 287. Medeiros v. O’Donnell & Naccarato, 347 N.J. Super. 536, 540-41 (App. Div. 2002) (citing Burns v. Belafsky, 166 N.J. 466, 470 (2001)). 288. Medeiros v. O’Donnell & Naccarato, 347 N.J. Super. 536, 542 (App. Div. 2002) (citing Galik v. Clara Maass Med. Ctr. 167 N.J. 341, 357-358 (2001)). 289. N.J.S.A. 2A:53A-27. “upon a finding of good cause.” 290 The New Jersey Supreme Court in In re Hall291 briefly reviewed the Affidavit of Merit Statute and observed that the time for serving an affidavit is calculated from the date each defendant files the answer.292 The question of when a motion to extend time to serve an affidavit of merit must be filed was answered in Burns v. Belafsky.293 In Burns, plaintiff’s counsel had received an expert report prior to filing suit, but admitted that he inadvertently failed to obtain and serve an affidavit of merit within the 60-day period permitted by the statute. After 60 days but before 120 days had elapsed after the filing of the one defendant’s answer, that defendant moved to dismiss the complaint for failure to serve an affidavit of merit. The plaintiff’s counsel immediately obtained and served an affidavit of merit. The defendant contended that since the plaintiff had not filed an application to extend the time to serve the affidavit of merit within the initial 60 days, the plaintiff was barred from obtaining an extension of 60 days. The trial court dismissed the complaint. In reversing and allowing the case to proceed, the Supreme Court stated: We do not know whether plaintiffs will ultimately prevail at trial. We do know that in this case, an expert’s report was obtained even before the complaint was filed. Indeed, the physician who prepared that report later executed the affidavit, asserting to the merit of plaintiffs’ claims. When a statute is susceptible of an interpretation true to its purpose and that permits plaintiffs to proceed with meritorious claims, we will not add requirements not explicitly set forth that deny plaintiffs their day in court. We hold therefore that an affidavit submitted within the sixty-day extension period should be considered timely filed so long as good cause is found by the trial court.294 290. N.J.S.A. 2A:53A-27; see also In re Hall, 147 N.J. 379, 390 (1997). 291. In re Hall, 147 N.J. 379, 391 (1997). 292. In re Hall, 147 N.J. 379, 391 (1997). 293. Burns v. Belafsky, 166 N.J. 466 (2001), aff’g 326 N.J. Super. 462 (App. Div. 1999). 294. Burns v. Belafsky, 166 N.J. 466, 470-71 (2001). The Supreme Court then affirmed the Appellate Division’s conclusion that inadvertence of counsel constituted good cause.295 The Burns Court added: In this case, the Court is guided in its interpretation of the extension provision of the statute by the legislative policy not only to dispose of meritless malpractice claims early in the litigation, but also to allow meritorious claims to move forward unhindered. In order that meritorious claims are not defeated by a strict application of the initial sixty-day filing deadline, the Legislature included the extension provision, allowing a plaintiff to file outside of the first sixty-day period when good cause is shown. Requiring plaintiffs to file a motion for an extension within the first sixty days in order to avail themselves of the extension provision simply adds a technical precondition that the Legislature did not include in the statute. We decline to do so. Imposing such a technical requirement is unwarranted, especially where the Legislature has indicated a preference for flexibility by including the extension provision and thereby allowing leeway in the filing deadline.296 The Court instructed the Civil Practice Committee to revise the case information statement to specifically inquire about the affidavit of merit and thereby serve as notice to plaintiffs regarding the Affidavit of Merit Statute.297 295. Burns v. Belafsky, 166 N.J. 466, 478 (2001). 296. Burns v. Belafsky, 166 N.J. 466, 475 (2001). 297. Burns v. Belafsky, 166 N.J. 466, 477 (2001). See also Burns v. Belafsky, 326 N.J. Super. 462 (App. Div. 1999), aff’d, 166 N.J. 466 (2001), where the Appellate Division held: While carelessness and inadvertence on the part of an attorney is insufficient grounds for the establishment of excusable neglect, such is not necessarily the case when it comes to a determination of whether good cause exists to excuse late filings . . . A review of the record fails to indicate that the defendants suffered any demonstrable prejudice by counsel’s twenty-five to thirty-five day delay in filing. It is necessary to look at the overall purpose of the statute to determine whether good cause exists to justify an extension of time thereby excusing counsel’s failure to file the affidavit of merit within the initial sixty day period. The overall purpose of the Affidavit of Merit Statute is ‘to require plaintiffs in malpractice cases to NJ MedMal_FullBook.indb 594 5/27/14 5:41:02 PM The plaintiff cannot delay the time for filing an affidavit of merit by delaying issuance of a summons and service of the complaint.298 In Czepas v. Schenk,299 the plaintiff filed suit but, because plaintiff’s counsel was unable to obtain affidavits of merit, the summons was not issued and the defendants were not served with the complaint for approximately two years. The trial court dismissed the complaint, concluding that the plaintiff should not have been permitted to defeat the statute of limitations and the affidavit of merit defenses by failing to serve the summons and complaint.300 The trial court therefore dismissed the complaint without prejudice and ordered that the refiling of a new complaint will not relate back to the filing date of the original complaint. In affirming, the Appellate Division noted that by failing to issue the summons and serve the complaint, plaintiff, effectively rewrote the Affidavit of Merit Statute— he extended the statutory 60-day time frame within which to provide the Affidavit of Merit to two years. This conduct undermined one of the legislative purposes of the statute, that plaintiff make a threshold showing of a meritorious claim at an early stage in the litigation.301 The Czepas court took note of the conflict between the statute of limitations, which compels the filing of a lawsuit, and the Affidavit of Merit Statute, which mandates that a lawsuit not make a threshold showing that their claim is meritorious, in order that meritless lawsuits readily could be identified at an early stage of litigation.’ Burns v. Belafsky, 326 N.J. Super. 462, 471-72 (App. Div. 1999), aff’d, 166 N.J. 466 (2001) (quoting In re Hall, 147 N.J. 379, 391 (1997)); see also Galik v. Clara Maass Med. Ctr., 167 N.J. 341, 351 (2001) (the Supreme Court reiterated that “if a plaintiff files a motion to extend time, establishing good cause for the late filing, and also files an affidavit of merit within the overall 120-day window provided in N.J.S.A. 2A:53A-27, those actions will be deemed timely.”); Familia v. Univ. Hosp. of N.J., 350 N.J. Super. 563, 568-69 (App. Div. 2002) (Appellate Division said inappropriate to extend Affidavit of Merit by only 30 days rather than statutorily permitted 60 days). But see Douglass v. Obade, 359 N.J. Super. 159, 161 (App. Div. 2003) (motion to extend time to file appropriately denied where plaintiff did not have a signed affidavit of merit until 160 days after the answer was filed and provided “no reasonable explanation” as to why the affidavit was not supplied on a timely basis). 298. Czepas v. Schenk, 362 N.J. Super. 216 (App. Div. 2003). 299. Czepas v. Schenk, 362 N.J. Super. 216 (App. Div. 2003). 300. Czepas v. Schenk, 362 N.J. Super. 216, 220 (App. Div. 2003). 301. Czepas v. Schenk, 362 N.J. Super. 216, 225 (App. Div. 2003). be filed unless the plaintiff is in possession of or can reasonably anticipate obtaining an affidavit of merit. However, the court noted that in such cases the plaintiff should either seek pre-suit depositions or conduct discovery shortly after the filing of the complaint. The court therefore affirmed the dismissal of the complaint. Dismissal with Prejudice Absent Extraordinary Circumstances The Supreme Court ruled in Tischler v. Watts325 that dismissal for failure to serve the affidavit of merit “should be with prejudice unless there are ‘extraordinary circumstances.’”326 Quoting Cornblatt v. Barow, the Court stated, “Where such circumstances do exist, however, fairness dictates that we dismiss the action without prejudice.”327 However, in Ferreira, Justice Long explained in a concurring opinion: prejudice. The plaintiff appealed and the Appellate Division reversed, holding that the plaintiff had substantially complied with the Affidavit of Merit Statute, citing Fink and Galik. However, the Appellate Division reiterated that: Our decision is not intended to be a license to plaintiffs or their counsel in malpractice cases to ignore the substantive and procedural requirements of the affidavit of merit statute in the hope that a higher court will find substantial compliance and allow them their day in court. We admonish the plaintiffs’ bar not to be lulled into a false sense of security based on the trend of the Supreme Court to allow an expansive interpretation of substantial compliance. Hefferon v. Gitler, 346 N.J. Super. 141, 150 (App. Div. 2001). 324. Kritzberg v. Tarsny, 338 N.J. Super. 254, 259 (App. Div. 2001). 325. Tischler v. Watts, 177 N.J. 243 (2003). 326. Tischler v. Watts, 177 N.J. 243, 246 (2003). 327. Tischler v. Watts, 177 N.J. 243, 246 (2003) (quoting Cornblatt v. Barow, 153 N.J. 218, 247 (1998)). Cornblatt’s mandatory dismissal with prejudice rule should be limited to those cases in which a plaintiff cannot or will not produce an affidavit of merit at all. Concomitantly, trial judges should have available to them a full panoply of discretionary remedies for procedural deficiencies in complying with the Affidavit of Merit statute, including dismissal with or without prejudice and discovery-type sanctions such as reasonable expenses incurred in obtaining the affidavit along with counsel fees.328 Justice Long’s interpretation is the only interpretation consistent with the courts’ desire to avoid the dismissal of meritorious cases.329 Rather than dismiss, a court should impose appropriate sanctions and fees where a proper affidavit of merit is served prior to the return date of the motion. The Tischler Court then instructed that whether extraordinary circumstances exist requires “a fact-sensitive [case-by-case] analysis.”330 The Court’s review of the facts demonstrated that Tischler was such a case, where plaintiff’s counsel was replaced by new counsel after being diagnosed with lung cancer and the new counsel discovered the expert withheld the fact that his license had been revoked.331 The Court explained: Indeed, if ever there were a case in which extraordinary circumstances justified a failure to comply with procedural requirements, this is it. 328. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 157 (2003) (Long, J. concurring in part, dissenting in part). Justice Zazzali and Judge Pressler, temporarily assigned, joined in Justice Long’s opinion. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 159 (2003). 329. See discussion, § 7-7:18. 330. Tischler v. Watts, 177 N.J. 243, 246 (2003). 331. Tischler v. Watts, 177 N.J. 243, 244-45 (2003). In Tischler, plaintiff’s attorney retained a medical expert to review the relevant medical records and if appropriate, execute an affidavit of merit. The plaintiff’s expert supplied a “curriculum vitae, which chronicled an impressive career in plastic surgery and listed academic appointments and research publications.” Tischler v. Watts, 177 N.J. 243, 244-45 (2003). After reviewing the records, the plaintiff’s expert executed the affidavit of merit. The plaintiff’s counsel was then diagnosed with lung cancer, and another attorney assumed responsibility for handling the case. Thereafter, the defendant moved to dismiss the complaint because the affidavit of merit was improperly drafted. The plaintiff’s new attorney then discovered that the expert’s license had been revoked, but that this information had been fraudulently withheld from plaintiff’s initial counsel. Nevertheless, the trial court dismissed the complaint with prejudice, and the Appellate Division affirmed but the Supreme Court reversed. Tischler v. Watts, 177 N.J. 243, 244-45, 247 (2003). A fact-sensitive analysis here inexorably leads us to the conclusion that these circumstances are precisely the sort of ‘extraordinary’ circumstances meant under the standard. By all accounts, [plaintiff’s initial counsel] was a competent attorney who, in the ordinary course, may well have discovered and rectified the deficiencies in Dr. Schoenbach’s Affidavit of Merit within the 120 days permitted by the statute. N.J.S.A. 2A:53A-27; Burns, supra, at 465-66. But for the immediate and debilitating effects of her aggressive radiation and chemotherapy treatments, she certainly would have had an opportunity to comply with the statutory requirements. It would be counter to the fundamental purpose of the Affidavit of Merit Statute to dismiss this case with prejudice when such compelling circumstances exist and when the underlying case may be a meritorious lawsuit that, except for those circumstances, would have been timely filed. The decision of the Appellate Division is reversed. The dismissal of plaintiff’s case shall be without prejudice.332 332. Tischler v. Watts, 177 N.J. 243, 247 (2003). But see Stoecker v. Echevarria, 408 N.J. Super. 597 (App. Div. 2009), in which the court did not find extraordinary circumstances existed. In Stoecker, a legal malpractice case, the complaint was filed on August 10, 2005. The defendant lawyer filed an answer in September 2006. On July 2, 2007, the defendant lawyer filed a motion to dismiss the complaint for failure to serve an affidavit of merit. On July 17, 2007, plaintiff served an affidavit of merit dated January 30, 2007 and an expert report written dated March 7, 2007. In affirming the dismissal of the case, the Appellate Division held that: Here, plaintiff’s attorney had an affidavit of merit that had been signed by a qualified professional on January 30, 2007, but did not serve the affidavit of merit until July 17, 2007, which was more than 120 days after Londono had filed her amended answer to the complaint. Plaintiff’s attorney provided no explanation for failing to serve the affidavit within the time required by N.J.S.A. 2A:53A 27. Plaintiff therefore did not show that the failure to serve a timely affidavit of merit was due to ‘extraordinary circumstances.’ . . . Moreover, plaintiff did not establish that she substantially complied with N.J.S.A. 2A:53A-27. Plaintiff failed to show that she generally complied with the statute and provided no explanation for her lack of compliance. Stoecker v. Echevarria, 408 N.J. Super. 597, 613 (App. Div. 2009). The Stoecker panel recalled that in Ferreira, the Supreme Court stated that where the plaintiff serves the affidavit of merit before the defendant files a motion to dismiss, “‘the defendant shall not be permitted to file such a motion based on the late arrival of the affidavit.’” Stoecker v. Echevarria, 408 N.J. Super. 597, 613 (App. Div. 2009). Failure to Put Expert Under Oath Renders Affidavit Non-Compliant The appellate division explained that a failure to place the declarant expert under oath was not a mere technical deficiency, and therefore a dismissal was proper, in Tunia v. St. Francis Hospital.333 In Tunia, plaintiff failed to supply an affidavit of merit but provided a Certificate of Merit and later, after the initial dismissal, an affidavit of merit, both signed by the deponents before a notary public.334 The court found that neither document satisfied the requirements of an affidavit: Neither of the doctors was placed under oath in connection with executing the documents. Statements completed by the notary’s public are in the form of acknowledgments necessary to record an instrument, N.J.S.A. 46:14-2.1 rather than a jurat, evidencing that the notary placed the doctor under oath at the time the document was executed.335 The court explained that the failure to place the declarant under oath was not a mere technical deficiency, and therefore a dismissal was proper.336 333. Tunia v. St. Francis Hosp., 363 N.J. Super. 301 (App. Div. 2003). 334. Tunia v. St. Francis Hosp., 363 N.J. Super. 301, 303-06 (App. Div. 2003). Plaintiff filed suit in September 1999 and the defendant filed an answer in December 1999. The plaintiff did not supply an affidavit of merit and, after 60 days, the defendant moved to dismiss the complaint. While that motion was pending the plaintiff supplied a “Certificate of Merit.” The certificate of merit stated that the expert deponent upon his oath deposes and says that he was a podiatrist licensed in New Jersey, that he had no financial interest, and that the care rendered to the plaintiff by the defendant fell outside professional standards. The so-called certificate of merit was then acknowledged by a notary who stated that the deponent “personally came before me and acknowledged under oath and to my satisfaction that the expert signed the document as his own act and deed.” The notary signed the document and sealed it. However, discovery revealed that the expert was not board certified and had not been practicing podiatry for five years, and therefore was not qualified to render the affidavit of merit. The trial court dismissed the complaint in May 2000. Shortly thereafter the plaintiff served another document captioned as affidavit of merit which was executed by another doctor. This affidavit of merit stated that the doctor was licensed to practice podiatry for 20 years, that he had no financial interest in the matter, and that the care rendered to the plaintiff by the defendant fell outside accepted professional standards. The second affidavit of merit concluded with an affirmation which was notarized. In March 2002 the plaintiff moved for reconsideration of the dismissal and the trial court denied that motion. The Appellate Division affirmed. Tunia v. St. Francis Hosp., 363 N.J. Super. 301, 303-06 (App. Div. 2003). 335. Tunia v. St. Francis Hosp., 363 N.J. Super. 301, 306 (App. Div. 2003). 336. Tunia v. St. Francis Hosp., 363 N.J. Super. 301, 305 (App. Div. 2003). Failure to Promptly Seek Dismissal Estops Defendant In Ferreira v. Rancocas Orthopedic Associates,337 the Supreme Court applied the doctrines of estoppel and laches to save a case from dismissal due to the failure to timely serve an affidavit of merit.338 Reviewing the legislative history and judicial interpretation of the Affidavit of Merit Statute, the Court reiterated that the purpose of the Affidavit of Merit Statute was to “weed out frivolous lawsuits early in the litigation while, at the same time, ensuring that plaintiffs with meritorious claims will have their day in court.”339 The Ferreira Court then noted that the plaintiff in that case had in fact obtained the affidavit of merit prior to the expiration of the statutory deadline and served it on the defendant before the defendant had moved to dismiss.340 In reversing the dismissal of the case, the Court explained that “principles of equity and the essential goal of the statute—to eliminate frivolous lawsuits—are not advanced by dismissing the complaint.”341 The Court explained that where the defendant waited until after it had received the affidavit to move to dismiss, the defendant “should be estopped from claiming entitlement to dismissal as a remedy.”342 Similarly, in the companion case, Knorr v. Smeal,343 the Supreme Court concluded that the defendant was estopped from moving 337. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144 (2003). 338. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144 (2003). 339. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 150 (2003) (citing Hubbard v. Reed, 168 N.J. 387 (2001)). 340. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 148-49, 152-53 (2003). In Ferreira, the plaintiff filed suit in May 2000. The defendant answered in August 2000. Counsel for plaintiff had obtained an affidavit of merit in August 2000, but he inadvertently failed to serve the affidavit of merit on counsel for the defendant. In January 2001, 18 days after the expiration of the 120-day limitation in the Affidavit of Merit Statute, counsel for the defendant advised counsel for the plaintiff about the failure to serve the affidavit of merit. Counsel for plaintiff immediately faxed the affidavit of merit to counsel for the defendant. Nevertheless, the defendant moved to dismiss the complaint for failure to serve the affidavit of merit. The trial court granted the motion and the Appellate Division affirmed. The Supreme Court reversed. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 148-49 (2003). 341. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 153 (2003). 342. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 153 (2003). 343. Knorr v. Smeal, 178 N.J. 169 (2003). to dismiss due to the failure to move promptly to dismiss the case. In that case, defendant did not seek to dismiss the complaint until more than 14 months after the filing deadline for the affidavit of merit.344 In reversing a dismissal of the complaint, the Supreme Court stated: In this case, defendant did not act on plaintiffs’ failure to file an affidavit until more than fourteen months after the filing deadline, despite knowing that his co-defendant, Dr. Lockwood, had filed a timely motion and was granted relief. … … Accordingly, because of defendant’s belated filing of the motion, and the plaintiffs’ reliance on his failure to do so timely, defendant is equitably estopped from gaining a dismissal.345 The Court also explained that the defendant had “slept on his rights” and that “[b]y application of the doctrine of laches, defendant forfeited his right to pursue the motion.”346 However, counsel should beware that in Stoecker v. Echevarria,347 the court ruled a defendant was not estopped despite engaging in discovery because defendant filed the motion to dismiss less than three months after the affidavit of merit deadline passed and prior to plaintiff filing a late affidavit of merit. The court also noted that there had been only “limited paper discovery exchanged.”348 The Stoecker court quoted Ferreira for holding that: 344. Knorr v. Smeal, 178 N.J. 169, 174 (2003). The plaintiff filed suit in July 1999 against several defendants. In December 1999 two defendants moved for summary judgment due to plaintiff’s failure to serve an affidavit of merit. The motion was granted as to one defendant and denied as to another defendant who had failed to provide medical records. Thereafter, the parties participated in the discovery process including the taking of depositions and service of an expert report by the plaintiff. In March 2001, the defendant moved to dismiss for failure to serve an affidavit of merit. The trial court dismissed the case and the Appellate Division affirmed. Knorr v. Smeal, 178 N.J. 169, 173-76 (2003). 345. Knorr v. Smeal, 178 N.J. 169, 179-80 (2003). 346. Knorr v. Smeal, 178 N.J. 169, 181 (2003). 347. Stoecker v. Echevarria, 408 N.J. Super. 597 (App. Div. 2009). 348. Stoecker v. Echevarria, 408 N.J. Super. 597 (App. Div. 2009). In Stoecker, the Appellate Division rejected plaintiff’s contention that the defendant was estopped from raising the affidavit of merit defense because the defendant continued to exchange discovery after the statutory deadline expired. Plaintiff relied on Knorr v. Smeal. The Stoecker panel distinguished Knorr, observing that the Supreme Court held in Knorr that the defendant had waited 14 months before filing the motion to dismiss, and had engaged in the exchange of substantial discovery and depositions, thereby causing the “plaintiffs to incur ‘significant expert and deposition costs, as well as emotional stress under the mistaken belief that their NJ MedMal_FullBook.indb 608 5/27/14 5:41:04 PM “If defense counsel files a motion to dismiss after the 120-day deadline and before plaintiff has forwarded the affidavit, the plaintiff should expect that the complaint will be dismissed with prejudice provided the doctrines of substantial compliance and extraordinary circumstances do not apply.”349 The Ferreira Conference In Ferreira, the Supreme Court also mandated a new procedural requirement for malpractice cases. The Ferreira Court instructed that in the future, the trial courts must hold “an accelerated case management conference” within 90 days of the service of an answer in all malpractice cases. This conference will resolve any affidavit of merit questions and can be utilized to address other discovery issues.350 Does the Failure to Hold a Ferreira Conference Extend the Time to Serve an Affidavit of Merit? In Paragon Contractors, Inc. v. Peachtree Condominium Association,351 the Supreme Court held that the trial court’s failure to hold a Ferreira conference352 does not toll the time to serve the affidavit of merit, overruling in part, Saunders ex rel. Saunders v. Capital Health System at Mercer.353 In Paragon, a third-party defendant pled the affidavit of merit statute as an affirmative defense but waited more than 120 days after it filed its answer to move to dismiss on grounds the third-party plaintiff had not served an cause of action was still viable.’” Stoecker v. Echevarria, 408 N.J. Super. 597, 614 (App. Div. 2009) (quoting Knorr v. Smeal, 178 N.J. 169, 180 (2003)). However, in Stoecker, the affidavit of merit was due by April 18, 2007, and the defendant filed her motion to dismiss on July 2, 2007, and only limited paper discovery had been exchanged. Stoecker v. Echevarria, 408 N.J. Super. 597, 614-15 (App. Div. 2009). 349. Stoecker v. Echevarria, 408 N.J. Super. 597, 613 (App. Div. 2009) (quoting Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 154 (2003)) (emphasis in original). 350. Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144, 153 (2003). 351. Paragon Contractors, Inc. v. Peachtree Condo. Ass’n, 202 N.J. 415 (2010). 352. See Ferreira v. Rancocas Orthopedic Assocs., 178 N.J. 144 (2003) (requiring that trial courts hold “an accelerated case management conference” within 90 days of the service of an answer in all malpractice cases to resolve any affidavit of merit questions and address other discovery issues). See § 7-7:8.2 for discussion of the Ferreira case. 353. Saunders ex rel. Saunders v. Capital Health Sys. at Mercer, 398 N.J. Super. 500 (App. Div. 2008). affidavit of merit. That motion was filed before the trial court had scheduled a Ferreira conference. The third-party plaintiff served the affidavit of merit before the return date of the motion, and argued that the trial court’s failure to schedule a Ferreira conference tolled the time to serve the affidavit of merit. The Supreme Court held: going forward, reliance on the scheduling of a Ferreira conference to avoid the strictures of the Affidavit of Merit statute is entirely unwarranted and will not serve to toll the statutory time frames. Indeed, it is only the confusion over the role of the Ferreira conference—which now has been addressed and clarified—that warrants relief in this case.354 Can the Ferreira/Affidavit of Merit Conference be Waived? The Ferreira conference may be omitted “‘when the Affidavit of Merit has been provided by plaintiff and all defendants have waived any objections to its adequacy.’”355 Is the Affidavit of Merit Waived if the Defendant Withholds Medical Records Needed to Prepare the Affidavit? Records Having Substantial Bearing on Preparation of Affidavit of Merit Defendants in malpractice cases have a duty to supply all relevant and requested medical records, and the right to an affidavit of merit is waived if the records are not supplied.356 In interpreting the Affidavit of Merit Statute, the New Jersey Supreme Court in In re Hall 357 noted that an affidavit of merit is not required if the plaintiff files a sworn statement certifying that the defendant failed to produce the “medical records or 354. Paragon Contractors, Inc. v. Peachtree Condo. Ass’n, 202 N.J. 415, 426 (2010). 355. Paragon Contractors, Inc. v. Peachtree Condo. Ass’n, 202 N.J. 415, 424 (2010) (quoting Waiver of Affidavit of Merit Conference, 176 N.J.L.J. 1006 (2004)). The Notice to the Bar dated May 25, 2004 re the waiver of affidavit of merit conference can be found at www.judiciary.state.nj.us/notices/n040527b.htm. 356. N.J.S.A. 2A:53A-28. 357. In re Hall, 147 N.J. 379, 390 (1997). information having a substantial bearing on preparation of the affidavit” within 45 days of a proper request for the records or information.358 The concept was further explained in Aster v. Shoreline Behavioral Health,359 where the plaintiff requested but the defendant never furnished, either before or after suit was instituted, the relevant medical records. The defendant nevertheless moved to dismiss the complaint for failure to provide an affidavit of merit, and the trial court dismissed the case. The Appellate Division reversed, holding that the medical records presumptively had a substantial bearing on the ability to prepare an affidavit of merit, and that plaintiff had complied with N.J.S.A. 2A:53A-28, which eliminated the obligation to file an affidavit of merit.360 The Aster court added that the defendant had not overcome the presumption that the records had “‘a substantial bearing on preparation of the affidavit.’”361 The Aster court also observed that plaintiff did not file the motion to serve the statement in lieu of the affidavit of merit until more than 120 days after the defendant answered the complaint. Nevertheless, this delay did not mandate the dismissal of the case. The court explained: The Legislature that created the affidavit of merit requirement also created the ‘sworn statement’ safety valve, however, and we see no legislative purpose that would be served by construing or applying that provision restrictively. In our view, it advances the legitimate purposes of this safety valve to relate back the timeliness of the sworn statement application, particularly in as much as 358. In re Hall, 147 N.J. 379, 390 (1997); see also N.J.S.A. 2A:53A-28. 359. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536 (App. Div. 2002). 360. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536, 543 (App. Div. 2002). The court stated: [W]e are persuaded that in the context of the facts presented here, and in the language of N.J.S.A. 2A:53A-28, it should be presumed that the ‘medical records or other records or information’ not produced have had ‘a substantial bearing on preparation of the affidavit,’ and that the burden of establishing otherwise should be borne by the party that has not produced the records. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536, 543 (App. Div. 2002). 361. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536, 544 (App. Div. 2002) (quoting N.J.S.A. 2A:53A-28). the Affidavit of Merit Statute is not to be read in a purely mechanical fashion.362 The Aster court distinguished and disagreed with Scaffidi v. Horvitz,363 which held that N.J.S.A. 2A:53A-28 required a plaintiff to identify with specificity any medical records needed to prepare the affidavit of merit.364 The Aster court explained: Application in this case of the type of limitation established in Scaffidi would provide a wholly undeserved windfall to the non-producing party, which surely could have inferred, if not the particular use plaintiff intended to make of plaintiff’s own medical records, at least that they were being sought in respect of litigation or a claim.365 The Aster court concluded that the sworn statement procedure provided by N.J.S.A. 2A:53A-28 should be sensibly and not restrictively construed … to presumptively deem the medical records not produced … to have had ‘substantial bearing on preparation of the affidavit,’ and to require the non-producing party, here Shoreline, to establish otherwise. For the same reasons, we deem to have been timely made the request by plaintiff to file a ‘sworn statement’ that ensued from unhonored document requests antedating not only the expiration of the two sixty-day periods prescribed in N.J.S.A. 2A:53A-27 but also the filing of suit.366 In the Scaffidi case with which the Aster court disagreed, the plaintiff asserted that the affidavit of merit need not be served because the defendant had not provided logs of the procedures performed on the plaintiff within 45 days of service of the plaintiff’s notice to produce as required by N.J.S.A. 2A:53A-28.367 362. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536, 545-46 (App. Div. 2002). 363. Scaffidi v. Horvitz, 343 N.J. Super. 552 (App. Div. 2001). 364. Scaffidi v. Horvitz, 343 N.J. Super. 552, 559 (App. Div. 2001). 365. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536, 548-49 (App. Div. 2002). 366. Aster v. Shoreline Behavioral Health, 346 N.J. Super. 536, 549-50 (App. Div. 2002). 367. Scaffidi v. Horvitz, 343 N.J. Super. 552, 556 (App. Div. 2001). Plaintiff had alleged that the defendant negligently performed certain medical procedures. The court noted that the complaint was served on the defendant in December 1999 and was accompanied by The trial court dismissed the complaint in Scaffidi and the Appellate Division affirmed. The court explained that a plaintiff may be prevented from providing an affidavit of merit if the defendant fails to produce essential records but the obligation to provide an affidavit of merit is not excused entirely merely because a defendant fails to produce documents. The Scaffidi court concluded that plaintiff had more than 60 days after receipt of the logs to prepare an affidavit of merit “but failed to do so.”368 The Appellate Division therefore affirmed the dismissal with prejudice of the plaintiff’s case. The court also observed that a plaintiff may request documents which are not essential to preparation of the affidavit of merit and that it would be difficult for the defendant to know which documents were essential to production of the affidavit of merit. Thus, the court said: N.J.S.A. 2A:53A-28 must be construed to require a plaintiff to identify with specificity any medical records or information he believes are needed to prepare an affidavit of merit, in order to trigger the running of the forty-five day period for a response.369 As Aster demonstrated, this conclusion is flawed. The plaintiff is often in no position to determine which records will be the critical records in preparation of the affidavit of merit. The New Jersey a notice to produce, which included a demand for production of the procedure log. The defendants filed answers to the complaint in January and February 2000. In February 2000 plaintiff filed a motion for an extension of time to file an affidavit of merit and supported the motion with an affidavit from counsel for plaintiff which stated that it was necessary to obtain the procedure log in order to prepare an affidavit of merit. Scaffidi v. Horvitz, 343 N.J. Super. 552, 555 (App. Div. 2001). The court entered an order extending the time to serve the affidavit of merit to May 16, 2000. The plaintiff was provided with all of the documents that plaintiff requested by March 8, 2000. Scaffidi v. Horvitz, 343 N.J. Super. 552, 555 (App. Div. 2001). On the last day when an affidavit of merit could be served, May 16, 2000, plaintiff filed a motion for a second 60-day extension, an application not permitted by the Affidavit of Merit Statute. In the supporting certification, the plaintiff acknowledged receiving the documents needed to provide the affidavit of merit by March 8, 2000 but asserted that additional time was still necessary. The defendant filed a crossmotion to dismiss the complaint. In answering, plaintiff claimed failure to provide the logs within 45 days of the notice to produce excused defendant from filing an affidavit of merit. Scaffidi v. Horvitz, 343 N.J. Super. 552, 556 (App. Div. 2001). 368. Scaffidi v. Horvitz, 343 N.J. Super. 552, 559 (App. Div. 2001). 369. Scaffidi v. Horvitz, 343 N.J. Super. 552, 559 (App. Div. 2001). Administrative Code simply requires medical providers to provide all medical records within 30 days.370 Records Not Needed for Affidavit The failure to serve an affidavit of merit is not excused by the failure to produce medical records which are not needed to prepare the affidavit of merit. In Davies v. Imbesi,371 the court ruled dismissal for failure to file an affidavit of merit was appropriate despite a lack of X-rays because the X-rays were not needed for the affidavit of merit but rather to prove causation. The plaintiff did not serve an affidavit of merit within the time provided by the Affidavit of Merit Statute and the defendants moved to dismiss the complaint. After the defendants filed the motion to dismiss, the plaintiff served an affidavit of merit. The plaintiff then contended that compliance with the Affidavit of Merit Statute was excused because the plaintiff’s counsel was unable to obtain copies of certain X-ray films relevant to the case.372 The Appellate Division rejected the argument, noting that [a] portion of plaintiff’s argument appears to contend that they were unable to produce an affidavit of merit without the x-ray films because it was the films that would allow them to address the issue of proximate cause. The affidavit of merit statute does not require, however, that the affidavit address the issue of proximate cause; it speaks only of an affidavit ‘that the care, skill or knowledge exercised . . . in the treatment . . . fell outside acceptable professional . . . standards or treatment practices.’373 The court added, “plaintiffs were able to produce an affidavit of merit on the basis of the X-ray report alone, without production of the films.” 374 Similarly, in Guzman v. Jersey City Medical Center,375 370. See Chapter 6, § 6-2 regarding statutory and administrative code regulations regarding medical records. 371. Davies v. Imbesi, 328 N.J. Super. 372 (App. Div. 2000). 372. Davies v. Imbesi, 328 N.J. Super. 372, 377 (App. Div. 2000). 373. Davies v. Imbesi, 328 N.J. Super. 372, 378 (App. Div. 2000). 374. Davies v. Imbesi, 328 N.J. Super. 372, 379 (App. Div. 2000). 375. Guzman v. Jersey City Med. Ctr., 356 N.J. Super. 37 (App. Div. 2002). the Appellate Division held that plaintiff cannot avoid filing an affidavit of merit by requesting records which the plaintiff does not reasonably believe to exist.376 In Guzman, the plaintiff had been taken to the Jersey City Medical Center but left without being seen by a doctor after the plaintiff felt he was being ignored. The plaintiff’s counsel made a request to the hospital for medical records and was advised that no records existed. The plaintiff filed suit against numerous defendants including the Jersey City Medical Center and filed a sworn statement in lieu of affidavit of merit in which the plaintiff’s counsel certified that the defendant had failed to produce the records needed to prepare an affidavit of merit. The court rejected plaintiff’s assertion that the defendant’s failure to provide medical records negated the obligation to serve an affidavit of merit. The same result was reached in Balthazar v. Atlantic City Medical Center,377 where the plaintiff alleged that the defendants negligently injured her ureter during a hysterectomy. The plaintiff did not serve an affidavit of merit until more than 120 days after the defendants’ answers had been filed and after the defendants had filed a motion for summary judgment.378 The trial court dismissed the case, and the Appellate Division affirmed. The court rejected the plaintiff’s claim that improprieties with the medical records excused compliance with the Affidavit of Merit Statute.379 The court explained that the operative reports did not mention damage to the ureter because the surgeon was unaware of the damage. In this case, like many others, defendants claim that the damage that was inflicted was unknown to them and thus was unrepaired and unrecorded. This asserted lack of knowledge on defendants’ part provides a factual foundation for Balthazar’s malpractice claim. It does not provide grounds for avoidance of the requirements of the affidavit of merit.380 376. Guzman v. Jersey City Med. Ctr., 356 N.J. Super. 37, 42 (App. Div. 2002). 377. Balthazar v. Atl. City Med. Ctr., 358 N.J. Super. 13 (App. Div. 2003). 378. Balthazar v. Atl. City Med. Ctr., 358 N.J. Super. 13, 18 (App. Div. 2003). 379. Balthazar v. Atl. City Med. Ctr., 358 N.J. Super. 13, 21 (App. Div. 2003). 380. Balthazar v. Atl. City Med. Ctr., 358 N.J. Super. 13, 22 (App. Div. 2003). Furthermore, since other portions of the chart did describe the damage to the ureter, the court concluded that there was no reason that the plaintiff’s expert was unable to prepare an affidavit of merit with the available documents.381 The Balthazar court distinguished Aster which recognized a presumption that the non-produced records may have a substantial bearing on preparation of the affidavit of merit. The Balthazar court explained that the records that were not produced were “wholly collateral” and therefore any presumption had been overcome.382 Is an Affidavit of Merit Required in Common Knowledge or Res Ipsa Cases? The plaintiff is not required to serve an affidavit of merit in common knowledge cases but may be required to do so in res ipsa cases. The distinction is due to the fact that an expert may be required in order to satisfy all of the elements of the doctrine of res ipsa loquitur.385 In Hubbard v. Reed,386 addressing a claim that a dentist extracted the wrongtooth, the Supreme Court held that an affidavit of merit is not needed in common knowledge cases, reiterating [t]he primary purpose of the Affidavit of Merit Statute ‘is to require plaintiffs in malpractice cases to make a threshold showing that their claim is meritorious, in order that meritless lawsuits readily [can] be identified at an early stage of the litigation.’387 The Hubbard Court observed that “by definition, in common knowledge cases an expert is not needed to demonstrate that a defendant breached the duty of care.”388 The Court therefore concluded that if a jury could determine without the assistance of an expert that the defendant was negligent, “the threshold of merit should be readily apparent from a reading of the plaintiff’s complaint.”389 Nevertheless, the Court warned: 385. See § 7-12 regarding res ipsa loquitur. 386. Hubbard v. Reed, 168 N.J. 387 (2001). 387. Hubbard v. Reed, 168 N.J. 387, 394 (2001) (quoting Cornblatt v. Barow, 153 N.J. 218, 242 (1998) and In re Hall, 147 N.J. 379, 391 (1997)). In Hubbard, the defendant dentist pulled the wrong tooth, extracting a bicuspid instead of an incisor. The plaintiff asserted that an affidavit of merit was not needed in a common knowledge case. The trial court dismissed and the Appellate Division affirmed only to be reversed by the Supreme Court. 388. Hubbard v. Reed, 168 N.J. 387, 394 (2001). 389. Hubbard v. Reed, 168 N.J. 387, 395 (2001); see also Levinson v. D’Alfonso & Stein, 320 N.J. Super. 312, 321 (App. Div. 1999) (Wecker, J. concurring) (Judge Wecker, in a concurring opinion, noted that the Affidavit of Merit Statute does not apply to malpractice claims that are viable without expert testimony). The Hubbard Court cited Judge Wecker’s concurrence with approval. Hubbard v. Reed, 168 N.J. 387, 394 (2001); see also Natale v. Camden Cnty., 318 F. 3d 575 (3d Cir. 2003) (applying the common knowledge doctrine to the Affidavit of Merit Statute); Popwell v. Law Offices of Broome, 363 N.J. Super. 404 (Law Div. 2002) (plaintiff claimed her former attorneys failed to file a timely application for a trial de novo after an unsatisfactory result in arbitration; defendants moved to dismiss the complaint due to plaintiff’s failure to serve an affidavit of merit but the court denied the motion, concluding that the jury could determine that the defendant was negligent utilizing common knowledge) (citing Hubbard v. Reed, 168 N.J. 387, 397 (2001)). [T]he wise course of action in all malpractice cases would be for plaintiffs to provide affidavits even when they do not intend to rely on expert testimony at trial.390 The Court therefore reversed and remanded. In a significant footnote, the Court held that an affidavit of merit may be required in a res ipsa loquitur case because an expert may be required to testify that the medical community recognizes that the claimed injury does not occur in the absence of negligence.391 The Supreme Court reached the same conclusion in Palanque v. Lambert-Wooley,392 decided on the same day as Hubbard, ruling that the admitted misreading of a laboratory report supported a claim based on common knowledge and therefore the plaintiff was not required to serve an affidavit of merit.393 The Court reiterated that the safer course of action would be to serve an affidavit of merit even where the plaintiff does not intend to utilize expert testimony at trial.394 The Palanque Court explained that if the defendant later serves an expert report refuting the common knowledge claim, the plaintiff will be permitted to respond with an expert for rebuttal purposes but will not be permitted to present an expert on the case-in-chief.395 Similarly, in Bender v. Walgreens Eastern Co., Inc.,396 the Appellate Division held that “filling a prescription with the wrong drug” is within the “common knowledge” exception to the Affidavit of Merit Statute.397 The plaintiff in Bender alleged that he presented a prescription for Primidone, but that Walgreens dispensed Prednisone. In reversing the trial court’s dismissal, the Appellate Division stated: 390. Hubbard v. Reed, 168 N.J. 387, 397 (2001). 391. Hubbard v. Reed, 168 N.J. 387, 391 n.1 (2001). 392. Palanque v. Lambert-Wooley, 168 N.J. 398 (2000). 393. Palanque v. Lambert-Wooley, 168 N.J. 398, 407 (2000). Defendant read the “specimen identification numbers” on a laboratory report as the results of a pregnancy test and determined that plaintiff was pregnant when in fact she was not pregnant. As a result of this error, the plaintiff was diagnosed with an ectopic pregnancy and underwent an unnecessary operation. 394. Palanque v. Lambert-Wooley, 168 N.J. 398, 407 (2000) (citing Hubbard v. Reed, 168 N.J. 387, 397 (2001)). 395. Palanque v. Lambert-Wooley, 168 N.J. 398, 407-08 (2000). 396. Bender v. Walgreens E. Co., Inc., 399 N.J. Super. 584 (App. Div. 2008). 397. Bender v. Walgreens E. Co., Inc., 399 N.J. Super. 584, 588 (App. Div. 2008) (citing Hubbard v. Reed, 168 N.J. 387 (2001)). Because the deviation from professional standards entailed in a pharmacist’s filling a prescription for ‘primidone’ with ‘prednisone’ would be apparent to the average person, we vacate the order of dismissal and remand for further proceedings on that claim.398 However, the court explained that since expert testimony would be needed to establish Bender’s claims based on Walgreens’ failure to recognize the impropriety of the dosage of ‘Prednisone’ delivered and failure to provide adequate information or warnings. … Bender may not pursue those alleged deviations or any others that require expert testimony.399 Following up on the footnote in Hubbard concerning res ipsa, the Appellate Division explained in Risko v. Ciocca.400 why an affidavit of merit is required in res ipsa cases. In Risko, the plaintiff alleged that his wife was discharged from the hospital with a “leaking endarterectomy” which caused her death.401 The plaintiff filed suit against several defendants but did not serve an affidavit of merit. The plaintiff argued that the discharging of a patient who was bleeding bespeaks negligence and that one or more of the defendants must be responsible. The plaintiff therefore contended that the doctrine of res ipsa loquitur should be applied to the facts of the case and that application of this doctrine eliminated the need for an affidavit of merit. However, the Risko Court pointed out that in Hubbard, the Supreme Court stated in a footnote that although an affidavit of merit is not needed in a common knowledge case, an affidavit of merit may be required in a res ipsa case because the plaintiff in such cases must generally present expert testimony establishing that the event does not ordinarily occur in the absence of negligence.402 The appellate panel therefore affirmed the dismissal of the case. 398. Bender v. Walgreens E. Co., Inc., 399 N.J. Super. 584, 592 (App. Div. 2008). 399. Bender v. Walgreens E. Co. Inc., 399 N.J. Super. 584, 592 (App. Div. 2008). 400. Risko v. Ciocca, 356 N.J. Super. 406 (App. Div. 2003). 401. Risko v. Ciocca, 356 N.J. Super. 406, 408 (App. Div. 2003). 402. Risko v. Ciocca, 356 N.J. Super. 406, 411 (App. Div. 2003) (citing Hubbard v. Reed, 168 N.J. 387, 391 n.1 (2001)). Is an Affidavit of Merit Required for Informed Consent Cases? In Darwin v. Gooberman,403 the Appellate Division held the affidavit of merit is required for informed consent cases: [T]he judge was correct in dismissing those portions of the complaint which asserted liability against defendant for professional negligence or malpractice. N.J.S.A. 2A:53A-27 clearly requires this result, no matter what the possible potential merit of plaintiff’s claim. … We do not think an affidavit of merit is required for the assaultand-battery, breach-of-contract, and product-liability claims. These are not claims for breach of professional responsibility, or which involve a ‘physician’s deviation from a standard of care,’ or sound medical judgment. Matthies v. Mastromonaco, 160 N.J. at 35-36. Insofar as plaintiff claims an assault-and-battery, ‘an unauthorized touching or invasion of the patient’s body,’ id. at 36, and not a “deviation from a standard of care,” plaintiff does not need an affidavit of merit. Ibid. If plaintiff simply asserts that the doctor failed to adequately “present the material facts so that the patient can make an informed decision,” ibid., this asserts a malpractice claim, not an assaultandbattery claim. The failure to fully inform the patient of risks and options is professional fault, not assault. Invading a patient’s body without any colorable type of consent or authorization, is an unlawful assault, and beyond the contemplation of N.J.S.A. 2A:53A-27.404 403. Darwin v. Gooberman, 339 N.J. Super. 467, 480 (App. Div. 2001), abrogated in part by Couri v. Gardner, 173 N.J. 328 (2002). 404. Darwin v. Gooberman, 339 N.J. Super. 467, 480 (App. Div. 2001), abrogated in part by Couri v. Gardner, 173 N.J. 328 (2002); see also Risko v. Ciocca, 356 N.J. Super. 406, 412 n.1 (App. Div. 2003). Applicability to Third-Party Malpractice Complaint In Nagim v. New Jersey Transit,416 a court concluded that the Affidavit of Merit Statute applies “to the filing of a third-party complaint when the cause of action pled requires proof of 410. Burt v. W. Jersey Health Sys., 339 N.J. Super. 296, 304 (App. Div. 2001). 411. Burt v. W. Jersey Health Sys., 339 N.J. Super. 296, 305 (App. Div. 2001). 412. N.J.S.A. 59:1-1. 413. Burt v. W. Jersey Health Sys., 339 N.J. Super. 296, 305 (App. Div. 2001). 414. Burt v. W. Jersey Health Sys., 339 N.J. Super. 296, 307 (App. Div. 2001). 415. Burt v. W. Jersey Health Sys., 339 N.J. Super. 296, 308 (App. Div. 2001). 416. Nagim v. N.J. Transit, 369 N.J. Super. 103 (Law Div. 2003). malpractice or professional negligence.”417 The court therefore dismissed the third-party complaint of New Jersey Transit against the third party defendant, Urbitran.418 However, the trial court allowed Urbitran’s liability to remain on any jury verdict sheet. The court held that: By allowing Transit to diminish its own liability by proving the negligence of Urbitran and allowing the jury to apportion same, Urbitran will not be liable to either Transit or plaintiff and Transit will not become responsible for a share of plaintiff’s damages greater than Transit’s own negligence warrants. Plaintiff, likewise, will be unable to recover against Urbitran because he failed to comply with the affidavit of merit statute.419 Note, however, that a defendant who files a third-party complaint against a licensed professional seeking indemnification or contribution need not serve an affidavit of merit. In Diocese of Metuchen v. Prisco,420 the plaintiff had retained the defendant, Prisco, to perform architectural services converting a former high school into a corporate business center. Prisco retained the thirdparty defendant, Remington, to perform engineering services on the project. After the Diocese filed suit against Prisco asserting that the heating, ventilation and air conditioning system, and parking lot drainage were improperly designed, Prisco filed a thirdparty complaint against Remington seeking contribution and indemnification. The trial court held that Prisco was not obligated to serve an affidavit of merit as to Remington. In affirming, the Appellate Division observed that the question of whether an affidavit of merit is needed to pursue a thirdparty complaint for contribution and indemnification against a professional included within the Affidavit of Merit Statute was left open in Burt. The court also recalled that it had held that a counterclaim for professional negligence does require service of 417. Nagim v. N.J. Transit, 369 N.J. Super. 103, 115 (Law Div. 2003). 418. Nagim v. N.J. Transit, 369 N.J. Super. 103, 122 (Law Div. 2003). 419. Nagim v. N.J. Transit, 369 N.J. Super. 103, 122 (Law Div. 2003) (relying upon Burt v. W. Jersey Health Sys., 339 N.J. Super. 296, 307 (App. Div. 2001)). 420. Diocese of Metuchen v. Prisco, 374 N.J. Super. 409 (App. Div. 2005). an affidavit of merit.421 In allowing the third-party complaint to proceed, the Appellate Division explained: Prisco’s third-party pleading, as against Remington, asserts a true claim for contribution and for allocation of fault as among joint tort-feasors rather than an independent claim of professional negligence. It is therefore analytically more like the positions of the parties in Burt than in Manganaro or Couri.... .… We therefore conclude that where a defendant subject to the affidavit of merit statute asserts a third-party claim in the nature of contribution or joint-tortfeasor liability as against another professional also subject to the statute, no affidavit of merit is required.422 See also Highland Lakes Country Club v. Nicastro,423 holding that an affidavit of merit is not required for an unaccrued third-party claim. Does the Affidavit of Merit Statute Apply to Non-Malpractice Claims, Such as Contract or Assault and Battery Claims? An affidavit of merit is not required in cases alleging nonmalpractice claims such as breach of contract or intentional torts. For example, an affidavit of merit is not required in a claim against an expert witness for breaching the duty of confidentiality. In Couri v. Gardner,431 the Supreme Court observed that the Affidavit of Merit Statute only applies to claims of “damages for personal 426. Charles A. Manganaro Consulting Eng’rs, Inc. v. Carneys Point Twp. Sewage Auth., 344 N.J. Super. 343, 347 (App. Div. 2001); see also Alpert Goldberg v. Quinn, 410 N.J. Super. 510 (App. Div. 2009) (regarding the need for an affidavit of merit to pursue a counterclaim in a legal malpractice case). 427. Charles A. Manganaro Consulting Eng’rs, Inc. v. Carneys Point Twp. Sewage Auth., 344 N.J. Super. 343, 346 (App. Div. 2001). 428. Charles A. Manganaro Consulting Eng’rs, Inc. v. Carneys Point Twp. Sewage Auth., 344 N.J. Super. 343, 347 (App. Div. 2001). In Manganaro, an engineering firm sued its client for breach of contract and the defendant filed a counterclaim asserting breach of contract. The engineers filed a motion seeking to dismiss the counterclaim for failure to provide an affidavit of merit. Charles A. Manganaro Consulting Eng’rs, Inc. v. Carneys Point Twp. Sewage Auth., 344 N.J. Super. 343, 346 (App. Div. 2001). 429. Charles A. Manganaro Consulting Eng’rs, Inc. v. Carneys Point Twp. Sewage Auth., 344 N.J. Super. 343, 347 (App. Div. 2001). 430. Charles A. Manganaro Consulting Eng’rs, Inc. v. Carneys Point Twp. Sewage Auth., 344 N.J. Super. 343, 348-49 (App. Div. 2001). 431. Couri v. Gardner, 173 N.J. 328 (2002). Application of the Affidavit_7-7 of Merit Requirements NJ MedMal_FullBook.indb 625 5/27/14 5:41:06 PM 626 New Jersey Medical Malpractice law 2015 Chapter 7 Expert Testimony and Learned Treatises injuries, wrongful death or property damage.”432 The Court then instructed that the applicability of the Affidavit of Merit Statute does not depend on the claimed cause of action but rather on whether the claim requires proof of a deviation from the applicable standard of care: It is not the label placed on the action that is pivotal but the nature of the legal inquiry. Accordingly, when presented with a tort or contract claim asserted against a professional specified in the statute, rather than focusing on whether the claim is denominated as tort or contract, attorneys and courts should determine if the claim’s underlying factual allegations require proof of a deviation from the professional standard of care applicable to that specific profession. If such proof is required, an affidavit of merit is required for that claim, unless some exception applies.433 The Couri Court explained that claims against professionals that require proof of “ordinary negligence” would not be included by the statute. Therefore, a claim of malpractice against the doctor would require an affidavit, while a trip and fall claim in the doctor’s office would not require an affidavit of merit.434 In Couri, plaintiff hired the defendant, a psychiatrist, as an expert witness in a divorce case involving visitation rights. The defendant prepared a report that he sent to the plaintiff’s wife and the court-appointed guardian without obtaining plaintiff’s consent and the plaintiff filed suit asserting, inter alia, breach of contract.435 The Couri Court concluded that the plaintiff did not need an affidavit of merit to pursue such a claim against an expert witness. Implicit in defendant’s hiring as an expert witness was the condition that defendant would provide his report to plaintiff only, and that it was within 432. Couri v. Gardner, 173 N.J. 328, 339 (2002). 433. Couri v. Gardner, 173 N.J. 328, 340 (2002). 434. Couri v. Gardner, 173 N.J. 328, 341 (2002). 435. Couri v. Gardner, 173 N.J. 328, 341 (2002). The defendant moved to dismiss for failure to submit an affidavit of merit. The plaintiff responded that his case was based on breach of contract and therefore an affidavit was not required. The trial court dismissed the complaint, and the Appellate Division affirmed, over a dissent. plaintiff’s discretion whether to use the report and provide it to others. Plaintiff is not claiming that defendant erred in respect of the conclusions that he drew concerning psychiatric/medical matters or that defendant acted improperly from a psychiatric/ medical standpoint in interviewing plaintiff’s child.436 Although the defendant’s breach of the duty of confidentiality might have been a deviation from the standard of care: proof of that deviation is not essential to the establishment of plaintiff’s right to recover based on breach of contract. Accordingly, plaintiff’s breach of contract claim does not require proof of a deviation from the professional standard of care to be provided by a psychiatrist, and thus the claim lays beyond the purview of the statute.437 See also Risko v. Ciocca,438 where the court disregarded plaintiff’s attempt to characterize his claim as an intentional tort “such as outrage, fraud, deceit, [and] misrepresentation.” The court explained that it is not the label placed on the claim but rather whether proof of deviation from the standard of care is required that controls whether an affidavit of merit must be served on the defendant. The court concluded that in any case where proof of a deviation from the standard of care is required then the affidavit of merit is also required.439 The Foundation for Expert Testimony Testimony Based on Knowledge, Training, Experience or Education An expert’s testimony must be based on the knowledge, training, experience, or education of the expert.451 An instructive discussion of the basis for expert opinion is found in Bellardini v. Krikorian,452 in which the Appellate Division explained that those aforementioned requirements for expert qualifications are listed in the disjunctive and the expert need not have knowledge and experience and training. Further, the court concluded that a doctor may express an opinion as to accepted standards of medical care and “the expert is not required 450. Ryan v. Renny, 203 N.J. 37, 51 (2010) (quotation omitted); accord Paragon Contractors, Inc. v. Peachtree Condo. Ass’n, 202 N.J. 415, 421 (2010). 451. See N.J. R. Evid. 702. 452. Bellardini v. Krikorian, 222 N.J. Super. 457 (App. Div. 1988). to produce a treatise to support his opinion.”453 In Bellardini, during his deposition, plaintiff’s expert testified that the defendant deviated from the standard of medicine at the time but the expert could not identify any medical literature establishing the relevant standard of care.454 The trial court therefore barred the expert’s testimony but the Appellate Division reversed because the expert could express his personal opinion about the standard based on his experience and need not support that opinion with a medical treatise.455 Similarly, the Appellate Division again addressed proper foundation for expert testimony in Rosenberg v. Tavorath,456 explaining that [e]vidential support for an expert opinion is not limited to treatises or any type of documentary support, but may include what the witness has learned from personal experience.457 In Rosenberg, the plaintiff alleged that the defendant, an oncologist, failed to properly monitor her husband’s response to 453. Bellardini v. Krikorian, 222 N.J. Super. 457, 463 (App. Div. 1988). 454. Plaintiff alleged that the defendant negligently prescribed medication to plaintiff’s mother while she was pregnant with the plaintiff. Plaintiff’s expert opined that the defendant deviated from generally accepted standards by failing to take adequate steps to assure that plaintiff’s mother was not pregnant when he prescribed the drug or consider her possible pregnancy thereafter and advise her of the dangers of an adverse reaction from the drug. Bellardini v. Krikorian, 222 N.J. Super. 457, 459 (App. Div. 1988). 455. Bellardini v. Krikorian, 222 N.J. Super. 457, 461-63 (App. Div. 1988). Defendant had moved in limine to bar the testimony of plaintiff’s expert, arguing it was a net opinion. The trial court barred the plaintiff’s expert from testifying since he did not provide evidential support for his opinion. Bellardini v. Krikorian, 222 N.J. Super. 457, 461 (App. Div. 1988). In reversing, the Appellate Division explained: Obviously, the support for such expert opinion can be based on what the witness has learned from personal experience or from persons with adequate training and experience. . . . Expert testimony may be furnished by a person whose knowledge, training or experience are deemed qualified to express their opinions on medical subjects. . . . The requirements for expert qualifications are in the disjunctive. The requisite knowledge can be based on either knowledge, training or experience. . . . Expert testimony is admissible where the witness has peculiar knowledge or experience not common to the world which renders his opinion an aid to the court or jury in determining the question in issue. Bellardini v. Krikorian, 222 N.J. Super. 457, 462, 463 (App. Div. 1988) (citing Carbone v. Warburton, 11 N.J. 418 (1953) and Hudgins v. Serrano, 186 N.J. Super. 465 (App. Div. 1982)). 456. Rosenberg v. Tavorath, 352 N.J. Super. 385 (App. Div. 2002). 457. Rosenberg v. Tavorath, 352 N.J. Super. 385, 403 (App. Div. 2002) (citing Bellardini v. Krikorian, 222 N.J. Super. 457, 463 (App. Div. 1988)). chemotherapy, ultimately resulting in her husband’s death. The plaintiff’s expert testified at trial that the decedent had suffered an extremely toxic reaction to the initial course of chemotherapy, and that the defendant was negligent in failing to reduce the dosage of the second course of chemotherapy. The plaintiff’s expert further testified that the defendant’s failure to reduce the dosage of the second course of chemotherapy had caused the death of the patient. The defendants moved for an involuntary dismissal, asserting that the testimony of plaintiff’s expert was inadequate because: (1) he offered only his net opinion on the appropriate standard of care unsupported by reference to any medical literature or case studies; (2) he testified that there was no standard of care regarding dose modification, or, that it ranged from a 5 percent to 25 percent modification and, therefore, his testimony was too imprecise and lacking in parameters to assist the jury; and (3) his testimony on proximate cause was lacking because he did not supply ‘some percent . . . in reasonable medical probabilities’ demonstrating that a dose reduction would have influenced the outcome.458 In reversing the trial court’s dismissal of the case, the Appellate Division rejected the assertion that there was an inadequate foundation for the testimony of the plaintiff’s expert or that the expert rendered a net opinion.459 The court explained that plaintiff’s expert provided: adequate, particularized testimony sufficient to establish a standard of care, a deviation from that standard, and a causal link between that deviation and the injury. He had personally administered the chemotherapy drugs in question numerous times over a twenty-year period. He studied and trained 458. Rosenberg v. Tavorath, 352 N.J. Super. 385, 393-94 (App. Div. 2002). 459. Rosenberg v. Tavorath, 352 N.J. Super. 385, 403 (App. Div. 2002). The trial court dismissed the case, concluding that the plaintiff’s expert did not establish the standard of care or that the alleged deviation was the proximate cause of the death of the plaintiff’s decedent. in oncology for nearly a decade before becoming board certified, and he served as chief of oncology at two hospitals. He was certainly familiar with the subject of his testimony and he repeatedly stated that the majority of oncologists would concur with his opinion regarding dose modification.460 The Appellate Division acknowledged the fact that plaintiff’s expert did not cite or rely upon any treatises, articles, or protocols in support of his opinion. However, the appellate panel explained that an expert opinion may be based not only on medical literature but also the expert’s training or experience. Additionally, as to causation, the court reiterated that “[a]n expert’s opinion need not be predicated on medical certainty.”461 The court therefore remanded the case for trial. General education or knowledge is also sufficient and the jury is charged with weighing the reliability and credibility of an expert. As the Appellate Division explained in Kimmel v. Dayrit,462 an expert may testify based upon his general education, training, and reading of the medical literature, without specifying particular texts or articles. The factual and scientific basis for an expert’s opinion are among the factors a jury is instructed to consider when it weighs the reliability and credibility of an expert witness.463 Use of Multiple Experts The use of multiple experts was approved in McLean v. Liberty Health System.481 In McClean, the plaintiff alleged that the 475. N.J. R. Evid. 104. Under the New Jersey Rules of Evidence, Rule 104 provides for a court hearing to determine any preliminary questions about a witness’s qualifications, relevance of testimony and admissibility. 476. Kemp v. State, 174 N.J. 412 (2002). 477. Kemp v. State, 174 N.J. 412, 416 (2002). The package insert advised that the vaccine should not be given to pregnant women or women of childbearing age unless there was no possibility of a pregnancy within the three months following vaccination. Id. 478. Rubanick v. Witco Chem. Corp., 125 N.J. 421 (1991). 479. Kemp v. State, 174 N.J. 412, 425 (2002). 480. Kemp v. State, 174 N.J. 412, 432 (2002). 481. McLean v. Liberty Health Sys., 430 N.J. Super. 156 (App. Div. 2013). defendant emergency department doctor negligently failed to diagnose her son’s infection, resulting in her son’s death.482 At trial, the plaintiff called expert witnesses in emergency medicine, infectious diseases and radiology. The plaintiff had been prepared to call two experts in emergency medicine and two in radiology. Although it was unclear in the record, the trial court had apparently ordered that the plaintiff could only call one expert in each specialty.Counsel for the defendant then told the jury in opening that: [W]e will prove to you that no emergency room physician with a possible exception of Dr. Bagnell, plaintiff’s expert who is going to testify here, would ever have thought for a scintilla of a moment that this is a patient with an infection. None.483 As the Appellate Division observed, “This statement was false.”484 The plaintiff ’s other emergency medicine expert was also prepared to testify that the defendant deviated from the standard of care.485 After opening statements, counsel for the plaintiff moved for reconsideration of the order limiting the number of experts, but the trial court refused to allow the second expert to testify. In reversing, the appellate panel held that: [T]he trial court erred in limiting expert witnesses to only one per side for each relevant field of medicine, in particular, on the crucial issue of deviation from accepted standards of medical care. The court’s pretrial ruling was a mistaken exercise of its discretionary authority to control the presentation of evidence at the trial. See N.J.R.E. 611(a) (“court shall exercise reasonable control over the mode and order of interrogating witnesses and presenting evidence”). Nothing in our rules of evidence, or other laws or rules, gives a trial court authority to balance the number of witnesses presented by each 482. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 159-62 (App. Div. 2013). 483. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 164 (App. Div. 2013). 484. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 164 (App. Div. 2013). 485. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 164 (App. Div. 2013). side at the trial. Nor is the trial court authorized by N.J.R.E. 403 or any other rule or law to bar crucial evidence merely on the ground that it duplicates another witness’s testimony. …. We see no reason that expert testimony should be treated wholly differently from factual testimony with respect to vital opinions that go to the heart of the disputed issues in the case. Especially in a case such as this where the jury’s truth-finding function required choosing between the opinions of experts, the parties should have been permitted to corroborate the testimony of their experts with other experts who reached similar conclusions.486 The court explained that in a medical malpractice case, testimony as to the standard of care went to the heart of her case: whether defendant deviated from accepted standards of care for an emergency department physician. Although a second expert would have taken more time at the trial, it might have been time well-spent. In the field of medicine, second opinions are often sought to test the accuracy of a diagnosis or the benefits and risks of proposed treatment. Surely it cannot be said that additional expert testimony in a case that involved complicated issues of emergency and diagnostic medicine had such low probative value as to be substantially outweighed by its partially repetitive nature.487 The court added that New Jersey Rule of Evidence 403 does not refer to “‘duplicative evidence’” but to “‘needless ... cumulative evidence.’”488 We hold, however, that two expert witnesses on the central issue of liability in a medical malpractice 486. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 165-66 (App. Div. 2013). 487. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 167-68 (App. Div. 2013). 488. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 168 (App. Div. 2013). case do not per se reach the level of needless cumulative evidence that substantially outweighs its probative value. The trial court mistakenly exercised its discretion in granting defendant’s pretrial motion to limit expert witnesses to one on each side on a central disputed issue in the case. …. A trial judge must avoid infringing on the parties’ right to present their proofs through their chosen witnesses, which is ‘an essential element in the conduct of a trial.’ Cardell, Inc. v. Piscatelli, 277 N.J. Super. 149, 155 (App. Div. 1994) (internal quotation mark omitted); accord Peterson v. Peterson, 374 N.J. Super. 116, 125 (App. Div. 2005).489 The Requirements of the Expert Report The rules of discovery require the pretrial disclosure of all expert opinions. An expert will generally be prohibited from testifying as to opinions not contained in the expert’s report. Whether an expert is testifying beyond the scope of the report has been the subject of much discussion. A review of the cases reveals that the courts are exceedingly reluctant to dismiss a case due to the inadequacy of an expert’s report, or to restrict experts from explaining the opinions stated in the report, even if the explanation exceeds the opinions found within the “four corners” of the report. Initially, it should be noted that there are no formal requirements for the expert report, and certainly the report does not have to be in the form of an affidavit.490 In Baldyga v. Oldman, the Appellate 489. McLean v. Liberty Health Sys., 430 N.J. Super. 156, 168-69 (App. Div. 2013). 490. Baldyga v. Oldman, 261 N.J. Super. 259 (App. Div. 1993). In Baldyga v. Oldman, 261 N.J. Super. 259 (App. Div. 1993), plaintiff alleged that the defendant negligently prescribed tetracycline, resulting in the discoloration of his permanent teeth. The defendant moved for summary judgment asserting that there was no proof that the defendant had prescribed tetracycline to the plaintiff. In response to the motion, plaintiff supplied the report of an expert which stated that, within a reasonable degree of dental probability, plaintiff had been prescribed tetracycline between the ages of three and six, which was during the time period that plaintiff was under defendant’s care. The trial court refused to consider this expert report because it was submitted after the deadline for discovery and was not in “affidavit or testimony form.” Baldyga v. Oldman, 261 N.J. Super. 259, 264 (App. Div. 1993). The Division distinguished admissibility of an expert report that is not in the form of a sworn affidavit from unsworn factual statements from lay witnesses and unauthenticated documents.491 The court noted that the expert report did not contain lay witness factual statements, but was instead expert opinion evidence submitted as an addendum to the record. Discovery materials, including answers to interrogatories, are not within the parameters of R. 1:6-6, as is made clear by the comment following the rule. Instead, R. 4:17-4 governs the form, service and time of answers to a party’s interrogatory requests. R. 4:17-4(e) specifically deals with expert or treating physician’s reports, and provides that an exact copy of an expert’s report must be annexed to the interrogatory. There is no requirement under R. 4:17-4(e) that an expert physician’s report must be submitted in the form of affidavit or testimony.492 The court also held that it was an abuse of discretion to refuse to consider the expert report, noting that a “trial is a search for the truth” and that closing the doors of the courthouse to a litigant is too heavy a price to pay for the submission of a late report.493 The reluctance to bar expert testimony due to deficiencies in the report was again demonstrated in Hearon v. Burdette Tomlin Memorial Hospital,494 in which the court ruled that failure to specify a deviation from the medical standard to a degree of medical probability was not fatal to the report’s admissibility. The Appellate Division reversed a trial court ruling barring an expert’s testimony and granting defendant summary judgment, noting Appellate Division reversed, holding that there is no requirement that an expert report must be in the form of a sworn affidavit. Baldyga v. Oldman, 261 N.J. Super. 259, 265-66 (App. Div. 1993). 491. Baldyga v. Oldman, 261 N.J. Super. 259, 265-66 (App. Div. 1993) (distinguishing Celino v. Gen. Accident Ins. Co., 211 N.J. Super. 538 (App. Div. 1986)). 492. Baldyga v. Oldman, 261 N.J. Super. 259, 265-66 (App. Div. 1993). 493. Baldyga v. Oldman, 261 N.J. Super. 259, 267 (App. Div. 1993) (quoting Sholtis v. Am. Cyanamid Co., 238 N.J. Super. 8 (App. Div. 1989), and citing Tyler v. N.J. Auto. Full Ins., 228 N.J. Super. 463 (App. Div. 1988). But see Cornblatt v. Barow, 153 N.J. 218 (1998) (holding that generally only an affidavit, and not a certification or report, satisfies the Affidavit of Merit Statute). See discussion of Affidavit of Merit in § 7-5, et seq. 494. Hearon v. Burdette Tomlin Mem’l Hosp., 213 N.J. Super. 98 (App. Div. 1986). that the trial court had not reviewed the plaintiff’s expert’s report and that a review of the report revealed that the expert did render the opinion that there was a deviation from the standard of care. Furthermore, the Appellate Division instructed: [T]he report does not spell out a deviation of any medical standard in legal terms to a degree of medical probability. Nevertheless, this failure to specify a deviation of medical standards in the appropriate legal terms is not fatal to this case. Legal standards are usually talismanic to a practicing physician unfamiliar with legal nuances and terminology. Undoubtedly, before his trial testimony, plaintiff’s attorney would have apprised [plaintiff’s expert] that the legal requirement of causation must be established to a reasonable degree of medical probability. So informed, [plaintiff’s expert] could then respond more appropriately on direct examination.495 The court instructed that where the language in an expert’s report was subject to more than one interpretation, the trial court should determine exactly what the expert means. Therefore, the better procedure would have been first, for the trial judge to examine the medical report and, if he had any doubt as to the sufficiency of the proffered proofs, he should then have questioned [plaintiff’s expert] out of the presence of a jury before granting a summary judgment.496 The court added in a final significant comment: In complex cases such as a medical malpractice action, reliance upon facts developed at discovery as constituting all of the relevant facts may lead to an inaccurate factual assessment. In depositions, discovery may be limited to certain critical areas which the deposing party may wish to develop and establish. Where a party’s witness is being deposed, 495. Hearon v. Burdette Tomlin Mem’l Hosp., 213 N.J. Super. 98, 103 (App. Div. 1986). 496. Hearon v. Burdette Tomlin Mem’l Hosp., 213 N.J. Super. 98, 103 (App. Div. 1986). the party is not required, and for strategic purposes may not desire, to fill in any gaps submitted or glossed over by the deposing party. Nor is a party required to present all facts at the deposition.497 In Gaido v. Weiser,498 plaintiff contended that the defendant’s expert was permitted to testify beyond the scope of his report. The trial court allowed the attorney for the plaintiff to take the deposition of the defendant’s expert, on the evening after he testified at defendant’s expense, regarding the new issues. The Appellate Division held that the trial court’s decision to adjourn the trial and allow the defendant’s expert to be deposed was “a sound and effective way to solve a problem of this nature.”499 The court reasoned that “the sins or faults of an errant attorney should not be visited upon a client” and therefore courts hesitate to “impose the sanction of testimonial exclusion where a litigant’s attorney has failed to comply fully with the rules of discovery.”500 The court noted that since the doctor’s opinion was something plaintiff’s counsel should have been prepared for, it was not an abuse of discretion to allow the adjournment for the deposition and expanded testimony.501 A similar holding is found in WhitleyWoodford v. Jones,502 where the court permitted an expert to testify beyond the four corners of the expert’s report in “an explanatory reaction to evidence.”503 When an expert report fails to specify the standard of care violated or medical basis for a conclusion regarding causation, the court may allow a party to supplement or amend the report.504 The Appellate Division ruled summary judgment was not appropriate in such circumstances in Kisselbach v. County of Camden505 reversing the dismissal of a wrongful death claim 497. Hearon v. Burdette Tomlin Mem’l Hosp., 213 N.J. Super. 98, 104 (App. Div. 1986). 498. Gaido v. Weiser, 227 N.J. Super. 175 (App. Div. 1988), aff’d, 115 N.J. 310 (1989). 499. Gaido v. Weiser, 227 N.J. Super. 175, 192 (App. Div. 1988), aff’d, 115 N.J. 310 (1989). 500. Gaido v. Weiser, 227 N.J. Super. 175, 192-93 (App. Div. 1988), aff’d, 115 N.J. 310 (1989) (citing Maurio v. Mereck Constr., 162 N.J. Super. 566, 570 (App. Div. 1978)). 501. Gaido v. Weiser, 227 N.J. Super. 175, 193 (App. Div. 1988), aff’d, 115 N.J. 310 (1989). 502. Whitley-Woodford v. Jones, 253 N.J. Super. 7 (App. Div. 1992). 503. Whitley-Woodford v. Jones, 253 N.J. Super. 7, 11 (App. Div. 1992). 504. Kisselbach v. Cnty. of Camden, 271 N.J. Super. 558 (App. Div. 1994). 505. Kisselbach v. Cnty. of Camden, 271 N.J. Super. 558 (App. Div. 1994). based upon the trial court’s determination that plaintiff ’s expert report constituted a net opinion. Plaintiff ’s expert, a former hospital administrator, testified that the defendant’s deviations from standards of nursing home care contributed to the decedent’s deterioration and death. The trial court concluded that the hospital administrator, not being a medical doctor, could not establish causation. However, plaintiff had also supplied the report of his father’s treating doctor, who stated that he concurred with the conclusions of the hospital administrator that plaintiff ’s father developed a medical condition as a result of mistreatment, and that the condition led to the death of plaintiff ’s father. The trial court concluded that the treating physician’s report was a net opinion because it did not specify the standard of care which was violated or the medical basis for the conclusion that the mistreatment led to the death of plaintiff ’s father. The Appellate Division reversed, concluding that: Although the medical report is weak, the preferred course is to deny summary judgment and permit the matter to proceed, so that the expert’s opinion can be fleshed out. Dismissal under R. 4:37-2(b) may be granted at trial if necessary.506 Indeed, courts are reluctant to preclude expert testimony that goes beyond a medical expert’s report if there is no attempt to mislead and no surprise or prejudice will result if the testimony is admitted.507 In Congiusti v. Ingersoll-Rand Co, Inc.,508 the court showed extreme reluctance to approve the preclusion of expert testimony when plaintiffs contended that defendant’s experts testified far beyond the content of the expert reports supplied before trial. The court noted plaintiff’s claim was “only partially accurate because broad subject areas were covered.”509 The court explained: While the experts had not fully disclosed their theories in their reports, had they been deposed 506. Kisselbach v. Cnty. of Camden, 271 N.J. Super. 558, 569 (App. Div. 1994) (citing Hearon v. Burdette Tomlin Mem’l Hosp., 213 N.J. Super. 98, 104 (App. Div. 1986)). 507. Congiusti v. Ingersoll-Rand Co., 306 N.J. Super. 126, 131-33 (App. Div. 1997). 508. Congiusti v. Ingersoll-Rand Co., 306 N.J. Super. 126 (App. Div. 1997). 509. Congiusti v. Ingersoll-Rand Co., 306 N.J. Super. 131 (App. Div. 1997). by plaintiffs, their depositions might have fully revealed the bases for their eventual testimony. …. In this case, we have read the testimony of defendant’s experts, and we have examined their reports. It does not appear that plaintiff’s attorneys should have been surprised, except as they had failed to depose the experts, and thus were unaware of the details of the experts’ opinions. .… The deviation from these reports at trial was sufficiently minimal that we see a lack of prejudice to plaintiffs, especially as plaintiffs chose not to depose the witnesses to flesh out any questions they may have had concerning the bases for or the scope of the opinions expressed in the reports. We see no design to mislead, no significant surprise to plaintiffs, and therefore no prejudice as a result of this testimony. The testimony is logically related to the information contained in the reports.510 Therefore, any claim that a case should be dismissed prior to trial due to deficiencies in the expert opinions should initially be rejected by a trial court. Any questions regarding the sufficiency of an expert’s report should be raised and resolved by pretrial motion, so that the party has the chance to cure any deficiency in the report. The courts have cautioned that pretrial motions or motions in limine should not be used to attack the efficacy of an expert report.511 An expert may also be permitted to answer a hypothetical question based upon a fact not contained in the expert’s report when the fact is a “logical predicate” of the expert opinion.512 510. Congiusti v. Ingersoll-Rand Co., 306 N.J. Super. 126, 131-33 (App. Div. 1997). 511. Bellardini v. Krikorian, 222 N.J. Super. 457, 464 (App. Div. 1988). 512. Velazquez v. Jiminez, 336 N.J. Super. 10, 46 (App. Div. 2000), aff’d, 172 N.J. 240 (2002) (permitting an expert to answer a hypothetical question based upon a fact not contained in the expert’s report; the court reasoned that the additional fact was merely a “‘logical predicate’ of the expert’s opinion which is not foreclosed”). See also New Jersey Court Rule 4:10-2(d)(1) and New Jersey Court Rule 4:17-4(e) regarding expert reports. The Net Opinion Rule An expert must explain all opinions on both liability and causation issues. An inadequately explained or conclusory opinion is a “net opinion” and is subject to be stricken by the court. One of the first discussions of the net opinion rule is found in Parker v. Goldstein,513 in which the court affirmed the dismissal of a case because the plaintiff’s expert failed to explain how a delay in performing a cesarean section on a pregnant woman caused or contributed to a pulmonary embolism.514 Plaintiff’s expert testified that the defendant deviated in failing to perform the cesarean section at the time of plaintiff’s admission or soon thereafter and that this deviation led to the patient’s death from the pulmonary embolism. However, the Appellate Division noted that the expert had not explained how the delay contributed to the formation of the embolism: The patient died as a result of a pulmonary embolism—generically, a blood clot in the blood stream. What caused this condition to come into being? Was it the so-called delay? If so, where is the proof in this case of such connection? If it be found at all, it must be in [plaintiff’s expert’s] naked assertion that in the entire complex of the facts as given to him, the course of medical conduct pursued by the defendant ‘led eventually to her death with pulmonary embolism.’ There was no word of testimony from the witness to explain the physiological reactions of the decedent to the alleged delay, or of the anatomical effect of the delay on the pulmonary structure of decedent. The opinion, thus, was what is commonly described as a ‘net opinion.’515 513. Parker v. Goldstein, 78 N.J. Super. 472 (App. Div. 1963). 514. Parker v. Goldstein, 78 N.J. Super. 472 (App. Div. 1963). Plaintiff alleged that his wife died as a result of the defendant’s delay in performance of a cesarean section. The patient was admitted to the hospital at 6:30 p.m. The defendant examined her at 7:30 p.m. and recommended a cesarean section. The Appellate Division observed that “the patient withheld permission to perform the operation until 11:35 p.m. or thereabouts, contrary to the doctor’s advice.” Parker v. Goldstein, 78 N.J. Super. 472, 479 (App. Div. 1963). Shortly before performance of the cesarean section, plaintiff’s wife suffered a pulmonary embolism and she died at 1:13 a.m. Parker v. Goldstein, 78 N.J. Super. 472, 479 (App. Div. 1963). 515. Parker v. Goldstein, 78 N.J. Super. 472, 483 (App. Div. 1963). The court concluded that the failure of plaintiff’s expert to explain how the delay caused or contributed to the embolism left “an irreparable void in plaintiff’s proof. Acceptable medical opinion of causation supported by expert explanation was an integral and indispensable part of plaintiff’s case.”516 Therefore, the court affirmed the dismissal of the case. Another example of an inadmissible net opinion is found in Anderson v. Somberg.517 This case involved the trial after remand.518 In Anderson, the plaintiff’s expert attributed the decedent’s premature death to the stress of a second operation to remove a broken surgical instrument. However, the Appellate Division concluded that the opinion that the patient’s death was proximately caused by the surgeries was rendered by the expert “without any proof thereof in the record or fact relating thereto within his knowledge.”519 The court stated that it was “sheer conjecture” that the breaking of a surgical instrument during an operation caused the death of plaintiff’s decedent years later. To have permitted a jury to determine on these proofs, whether Anderson’s death from the claimed myocardial infarction was causally related to the surgeries performed a substantial time prior thereto, would have improperly authorized “the jury to reach an answer through guess or speculation.” Germann v. Matriss, 55 N.J. 193, 209 (1970). The judge’s dismissal of the wrongful death claim under these circumstances is unassailable.520 The Supreme Court defined a net opinion in Buckelew v. Grossbard,521 as one consisting merely of the expert’s “bare conclusions, unsupported by factual evidence.”522 However, the Court noted that such testimony could form the foundation for the 516. Parker v. Goldstein, 78 N.J. Super. 472, 484 (App. Div. 1963). 517. Anderson v. Somberg, 158 N.J. Super. 384 (App. Div. 1978). 518. Anderson v. Somberg, 67 N.J. 291 (1975), cert. denied, 423 U.S. 929 (1975). See discussion of Anderson v. Somberg in § 7-13. 519. Anderson v. Somberg, 158 N.J. Super. 384, 399 (App. Div. 1978). 520. Anderson v. Somberg, 158 N.J. Super. 384, 400 (App. Div. 1978). 521. Buckelew v. Grossbard, 87 N.J. 512 (1981). 522. Buckelew v. Grossbard, 87 N.J. 512, 524 (1981). application of the doctrine of res ipsa loquitur.523 Nevertheless, the Court noted that the plaintiff’s expert cannot simply state that the relationship between the injury and the deviation is a matter of common knowledge in the medical community, but rather must offer “evidential support, experiential or the like,” to prove that the mishap would not have occurred but for the physician’s negligence.524 The other cases that have discussed the net opinion rule generally reach the same conclusions. For example, in Pelose v. Green,525 the court found a net opinion because it concluded a plaintiff’s expert merely assumed that since an assistant surgeon lacked sufficient expertise with the procedure at issue, he must have caused the injury. The court ruled that such reasoning was “no more than speculation—speculation surrounded by expertise but, nonetheless, speculation.”526 523. Buckelew v. Grossbard, 87 N.J. 512, 524-25 (1981). (See discussion in § 712 regarding res ipsa loquitur). 524. Buckelew v. Grossbard, 87 N.J. 512, 529 (1981). In Buckelew, plaintiff alleged that the defendant negligently lacerated her bladder during performance of a laparotomy. The defendant testified that he believed he was incising the peritoneum when in fact he was incising the bladder. Plaintiff’s expert testified that the defendant deviated from medical standards when “he failed to exercise the necessary care to avoid cutting into the urinary bladder.” Buckelew v. Grossbard, 87 N.J. 512, 520 (1981). Defendant’s expert testified that the defendant exercised meticulous care and testified that any surgeon who has done these operations has had such an experience. After the jury rendered a verdict for plaintiff, the trial court granted a judgment n.o.v., holding that plaintiff’s expert’s opinion was net opinion. The Appellate Division affirmed, but the Supreme Court reversed. Buckelew v. Grossbard, 87 N.J. 512, 521-23 (1981). 525. Pelose v. Green, 222 N.J. Super. 545 (App. Div. 1988). 526. Pelose v. Green, 222 N.J. Super. 545, 550 (App. Div. 1988). In Pelose, plaintiff alleged that the defendants negligently performed a cervical laminectomy. Plaintiff was left with quadriparesis, or weakness of the limbs, and plaintiff ’s expert testified that the quadriparesis resulted from trauma to the spinal cord during the operation. Plaintiff ’s expert testified that one of the two surgeons who performed the surgery lacked “sufficient expertise to perform a cervical laminectomy and deviated from acceptable medical standards by actively engaging in crucial aspects of the laminectomy.” Pelose v. Green, 222 N.J. Super. 545, 548 (App. Div. 1988). Plai-ntiff ’s expert therefore concluded that the inexperienced surgeon’s negligence was a proximate cause of the plaintiff ’s injury. The trial court dismissed the complaint due to lack of evidence of causation. The Appellate Division affirmed, stating that there was no evidence that the damage was caused by the inexperienced assistant surgeon as opposed to the principal surgeon. The court also noted that the opinion of plaintiff ’s expert as to damages was predicated on the opinion that the trauma was caused by the inexperienced assistant surgeon. The court supported its holding with the concession by plaintiff ’s expert that the damage could have happened in the hands of an experienced neurosurgeon and could have happened when the principal surgeon was operating. Pelose v. Green, 222 N.J. Super. 545, 548-50 (App. Div. 1988). However, in Bellardini v. Krikorian,527 the court held that where the basis of an expert’s conclusion is explained and supported by education or experience, the opinion is not a net opinion.528 In Bellardini, plaintiff was prescribed medication which allegedly led to birth defects in a subsequently born child and plaintiff’s medical expert could not cite any specific medical literature establishing the standard of care for providing women of child-bearing age with prescription medications. The Appellate Division ruled the trial court should not have barred the expert’s testimony for lack of evidential support. The court explained that expert testimony is admissible where the witness has peculiar knowledge or experience not common to the world which renders his opinion an aid to the court or jury in determining the question in issue.529 The court concluded that a doctor may express an opinion as to accepted standards of medical care and furthermore, “the expert is not required to produce a treatise to support his opinion.”530 When one portion of testimony may be considered net opinion, the expert will not be completely barred if part of the testimony is properly supported. In Pearson v. St. Paul,531 plaintiff’s child died 527. Bellardini v. Krikorian, 222 N.J. Super. 457 (App. Div. 1988). 528. Bellardini v. Krikorian, 222 N.J. Super. 457 (App. Div. 1988). In Bellardini, plaintiff alleged that he was born with numerous birth defects due to the defendant’s negligent failure to perform a pregnancy test prior to prescribing various prescription medications to his mother. Plaintiff’s expert stated in a report that the defendant deviated from generally accepted standards by failing to take adequate steps to assure that plaintiff’s mother was not pregnant when he prescribed the drug or consider her possible pregnancy thereafter and advise her of the dangers of an adverse reaction from the drug. Bellardini v. Krikorian, 222 N.J. Super. 457, 459 (App. Div. 1988). 529. Bellardini v. Krikorian, 222 N.J. Super. 457, 462-63 (App. Div. 1988). 530. Bellardini v. Krikorian, 222 N.J. Super. 457, 463 (App. Div. 1988). In reversing, the Appellate Division instructed: Obviously, the support for such expert opinion can be based on what the witness has learned from personal experience or from persons with adequate training and experience. . . . Expert testimony may be furnished by a person whose knowledge, training or experience are deemed qualified to express their opinions on medical subjects. . . . The requirements for expert qualifications are in the disjunctive. The requisite knowledge can be based on either knowledge, training or experience. Bellardini v. Krikorian, 222 N.J. Super. 457, 462-63 (App. Div. 1988). 531. Pearson v. St. Paul, 220 N.J. Super. 110 (App. Div. 1987). after undergoing arthroscopic knee surgery. The procedure was done under general anesthesia administered by a nurse anesthetist. After the procedure, the child was brought to the recovery room, where she went into cardiac arrest. She suffered severe brain damage and died after being in a coma for five days. Plaintiff ’s expert was an anesthesiologist who had been chairman of the department of anesthesiology at Mt. Sinai Hospital and was chief of anesthesiology at Upstate Medical Center. The court noted that “his qualifications and credentials were impeccable.”532 When asked whether he had an opinion as to what caused the death of the child, the expert stated that the child was administered dosages that were “large beyond normal standards.”533 The expert also rendered the opinion that, given the dosage, inadequate precautions were taken to avoid serious respiratory depression. The expert stated that either the antidote to reverse the anesthesia should have been given in the operative room instead of the recovery room or the endotracheal tube should have been maintained until it was clear that respiration was adequate. Finally, the expert also criticized the failure to maintain the endotracheal tube since the anesthetic may cause paralysis of the jaw muscles and the tongue may fall backward, obstructing the airway. On cross-examination, the expert confirmed that the dosages and their timing were within acceptable medical standards. The trial court therefore struck the testimony as a net opinion. However, the Appellate Division reversed, holding that despite the issue regarding the dosage, the expert testified that the defendant was negligent regarding withdrawal of the oral tube and administration of the drug to reverse the narcotic. The court explained: We note that a net opinion has been defined as the bare conclusions of an expert unsupported by factual evidence. … In our view, it is patent that [plaintiff’s expert’s] opinion in respect of [nurse] St. Paul whether or not it would have ultimately been accepted by the jury was not a ‘net opinion’, but was rather a conclusion adequately based on 532. Pearson v. St. Paul, 220 N.J. Super. 110, 113 (App. Div. 1987). 533. Pearson v. St. Paul, 220 N.J. Super. 110, 114 (App. Div. 1987). facts and expert assumptions permissibly and reasonably drawn therefrom.534 An expert’s testimony is not a net opinion if based on observation and examination of a patient or medical and other records. In Baldyga v. Oldman,535 plaintiff brought a claim alleging that the defendant negligently prescribed tetracycline resulting in discoloration of his permanent teeth. Defendant moved for summary judgment asserting that there was no proof that the defendant had prescribed tetracycline to the plaintiff. In response to the motion, plaintiff supplied the report of an expert which stated that within a reasonable degree of dental certainty plaintiff had been prescribed tetracycline between the ages of three and six, which was during the time period that he was under defendant’s care. The Appellate Division noted that the expert’s report was not net opinion because it was based upon the expert’s “own observation and examination of plaintiff” which revealed that plaintiff’s teeth exhibited “characteristic banding” associated with tetracycline.536 Similarly, in Nguyen v. Tama,537 Appellate Division then rejected arguments that an expert issued a net opinion because it found that expert’s opinion was supported by the defendant’s office records, the hospital records, the expert’s own experience, and by reference to a well-known textbook.538 In Vitrano by Vitrano v. Schiffman,539 the Appellate Division ruled an expert’s opinion was not a net opinion because it was based upon the surgical report of the subsequent treating physician.540 The court explained: 534. Pearson v. St. Paul, 220 N.J. Super. 110, 116 (App. Div. 1987). 535. Baldyga v. Oldman, 261 N.J. Super. 259 (App. Div. 1993). 536. Baldyga v. Oldman, 261 N.J. Super. 259, 266 (App. Div. 1993). 537. Nguyen v. Tama, 298 N.J. Super. 41 (App. Div. 1997). 538. Nguyen v. Tama, 298 N.J. Super. 41, 42, 49 (App. Div. 1997). In Nguyen, plaintiff alleged that the defendant, an obstetrician, improperly managed her labor and delivery and specifically failed to treat preeclampsia. The jury rendered a verdict for the plaintiff, and the defendant appealed asserting that the opinion of one of plaintiff’s experts was a net opinion. The Appellate Division rejected the defendant’s arguments, noting that the expert’s opinion was supported by the defendant’s office records, the hospital records, the expert’s own experience, and by reference to a well-known textbook, Williams Obstetrics. Nguyen v. Tama, 298 N.J. Super. 41, 49 (App. Div. 1997). 539. Vitrano by Vitrano v. Schiffman, 305 N.J. Super. 572 (App. Div. 1997). 540. Vitrano by Vitrano v. Schiffman, 305 N.J. Super. 572, 577 (App. Div. 1997). In Vitrano, plaintiff alleged that several defendants failed to diagnose bilateral undescended testes. The plaintiff ’s examining doctor noted at birth that both of the testes had [Plaintiff’s expert’s] is not a net opinion because it is based upon the facts contained in the surgical report of [another doctor]. Further, the fact that [plaintiff’s expert’s] opinion is contrary to defendants’ medical records and to some extent the testimony of plaintiff and his mother, who both say plaintiff’s testes were examined during visits to defendants, does not make it a net opinion. A medical expert has the ability to opine that the records he examined were incorrect provided that the opinion is grounded in medical evidence present in the record. Here, that is what occurred and [plaintiff’s expert] should have been permitted to testify.541 The court therefore reversed the summary judgment, stating that since the expert would now be permitted to testify, the evidence was not “so one-sided” that the defendants “must prevail as a matter of law.”542 An expert can rely on his or her own experience and need not rely upon a treatise to support the opinion. In Rosenberg v. Tavorath.543 the trial court dismissed plaintiff’s case, agreeing with defendant that plaintiff’s expert failed to support his opinion regarding the standard of care with a reference to medical literature or case studies and failed to provide precise testimony regarding appropriate chemotherapy dosage.544 descended. Plaintiff was later examined by a second doctor who also noted that his testes had descended. Nevertheless, plaintiff ’s expert testified that the defendants were negligent in failing to diagnose undescended testes. Vitrano by Vitrano v. Schiffman, 305 N.J. Super. 572, 576 (App. Div. 1997). The expert concluded that the defendants had either failed to examine the child or failed to note the abnormal condition. The trial court granted summary judgment, ruling that the opinion of plaintiff ’s expert was a net opinion. The Appellate Division reversed, holding that the expert’s opinion was not a net opinion because it was based upon the surgical report of the subsequent treating physician which had disclosed undescended testes. Vitrano by Vitrano v. Schiffman, 305 N.J. Super. 572, 577 (App. Div. 1997). 541. Vitrano by Vitrano v. Schiffman, 305 N.J. Super. 572, 577 (App. Div. 1997). 542. Vitrano by Vitrano v. Schiffman, 305 N.J. Super. 572, 578 (App. Div. 1997). 543. Rosenberg v. Tavorath, 352 N.J. Super. 385 (App. Div. 2002). 544. Rosenberg v. Tavorath, 352 N.J. Super. 385, 393-94 (App. Div. 2002). Plaintiff alleged that the defendant, an oncologist, failed to properly monitor her husband’s response to chemotherapy, ultimately resulting in her husband’s death. The plaintiff’s expert testified at trial that the decedent had suffered an extremely toxic reaction to the initial course of chemotherapy, and that the defendant was negligent in failing to reduce the dosage of the In reversing, the Appellate Division acknowledged the fact that plaintiff ’s expert did not cite or rely upon any treatises, articles, or protocols in support of his opinion. However, the appellate panel explained that an expert opinion may be based not only on medical literature but also the expert’s training or experience: “Evidential support for an expert opinion is not limited to treatises or any type of documentary support, but may include what the witness has learned from personal experience.”545 Finally, as to causation, the court reiterated that “[a]n expert’s opinion need not be predicated on medical certainty.”546 The court therefore remanded the case for trial. The Appellate Division deemed an expert to have rendered a net opinion in C.W. v. Cooper Health System,547 In C.W., the plaintiffs sued the Cooper Health System and numerous physicians, alleging that defendants failed to inform C.W. that an HIV test second course of chemotherapy. The plaintiff’s expert further testified that the defendant’s failure to reduce the dosage of the second course of chemotherapy had caused the death of the patient. The defendants moved for an involuntary dismissal, asserting that the testimony of plaintiff’s expert was inadequate because: (1) he offered only his net opinion on the appropriate standard of care unsupported by reference to any medical literature or case studies; (2) he testified that there was no standard of care regarding dose modification, or, that it ranged from a 5 percent to 25 percent modification and, therefore, his testimony was too imprecise and lacking in parameters to assist the jury; and (3) his testimony on proximate cause was lacking because he did not supply ‘some percent . . . in reasonable medical probabilities’ demonstrating that a dose reduction would have influenced the outcome. Rosenberg v. Tavorath, 352 N.J. Super. 385, 393-94 (App. Div. 2002). The trial court dismissed the case, concluding that the plaintiff ’s expert did not establish the standard of care or that the alleged deviation was the proximate cause of the death of the plaintiff ’s decedent. 545. Rosenberg v. Tavorath, 352 N.J. Super. 385, 403 (App. Div. 2002) (citing Bellardini v. Krikorian, 222 N.J. Super. 457, 463 (App. Div. 1988)). 546. Rosenberg v. Tavorath, 352 N.J. Super. 385, 403 (App. Div. 2002) (citing Greene v. Mem’l Hosp. of Burlington Cnty., 304 N.J. Super. 416, 420 (App. Div. 1997)). The Appellate Division rejected the assertion that the expert rendered a net opinion. The court explained that plaintiff’s expert provided adequate, particularized testimony sufficient to establish a standard of care, a deviation from that standard, and a causal link between that deviation and the injury. He had personally administered the chemotherapy drugs in question numerous times over a twenty-year period. He studied and trained in oncology for nearly a decade before becoming board certified, and he served as chief of oncology at two hospitals. He was certainly familiar with the subject of his testimony and he repeatedly stated that the majority of oncologists would concur with his opinion regarding dose modification. Rosenberg v. Tavorath, 352 N.J. Super. 385, 402 (App. Div. 2002). 547. C.W. v. Cooper Health Sys., 388 N.J. Super. 42 (App. Div. 2006). ordered while in the hospital was positive. The plaintiffs asserted that C.W. was not informed of the need to seek treatment, and to take measures to prevent transmission of the virus to his wife and child. In August 1994, C.W. was admitted into Cooper Hospital. Shortly after C.W.’s admission to the hospital, a resident ordered an HIV test. Three days after the administration of the HIV test, C.W. was discharged from the hospital with a diagnosis of “toxic encephalopathy from marijuana use.”548 During the period in question, Cooper Hospital did not perform HIV tests for admitted patients, but rather “the pathology department’s central receiving laboratory (“CRL”) sent test samples to outside laboratories and thereafter was responsible for receiving the test result reports.” Dr. Catalano, the supervisor of the pathology department, testified that all test results from outside laboratories would be sent to his attention, and the patient’s treating physician would contact the CRL for the test results. The court noted: in order to maintain the confidentiality of HIV test results, CRL staff did not send doctors ordering the test copies of HIV reports, nor log the results into any of Cooper Hospital’s computer systems. The established procedure required CRL staff to record the HIV test results in a notebook maintained exclusively for this purpose.549 C.W.’s HIV test was performed by SmithKline Beecham clinical laboratories which reported, in a report marked to Dr. Catalano’s attention, that C.W. had tested positive for HIV. However, neither of C.W.’s doctors, Dr. Sherman nor Dr. Gerber, was notified that C.W.’s HIV test was positive. Dr. Catalano asserted that the attending physicians, Dr. Sherman and Dr. Gerber, were responsible for informing the patient of the results of the HIV test. Dr. Sherman testified that if he had been advised of the positive HIV test he would have contacted the patient or the patient’s personal physician. In the fall 1994, E.Y. and C.W. entered into a sexual relationship and on July 18, 1995, their daughter J.W. was born. In July 2000, 548. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 52 (App. Div. 2006). 549. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 52-53 (App. Div. 2006). C.W. was diagnosed with AIDS. Shortly thereafter, E.Y. also tested positive for HIV. One of the plaintiff’s experts opined that Dr. Catalano was negligent because the ‘standard practice of laboratory medicine’ requires a medical lab to ‘insure that all significant laboratory results reach the eyes of the attending physicians and that patients with significant disease processes diagnosed definitively by laboratory modalities are promptly identified and brought to treatment.’550 This expert also concluded that Dr. Catalano and the CRL staff, all shared responsibility to have in place reporting modalities that will deliver laboratory testing results to the attending physicians after the patient is discharged.551 This expert based his opinions upon the regulations of the Department of Health; the laws of the state of NJ; the regulations of the Joint Commission on Accreditation Hospitals [sic]; and the regulations of the College of American Pathologists.552 Finally, this expert testified that since ‘[t]he physician is the captain of the ship in terms of the treatment of that patient,’ he or she remains responsible, as ‘the ultimate caregiver,’ for the proper performance of any delegated task.553 Nevertheless, the trial court dismissed all claims against Dr. Catalano, holding that the plaintiff ’s expert had rendered a net opinion as to this doctor. The Appellate Division affirmed the trial court’s conclusion that the plaintiff ’s expert had rendered a net opinion as to Dr. Catalano. The court accepted the fact 550. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 56 (App. Div. 2006). 551. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 56 (App. Div. 2006). 552. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 56 (App. Div. 2006). 553. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 57 (App. Div. 2006). that Dr. Catalano could not demonstrate that C.W.’s treating physicians were advised of the positive HIV test results. The court first held that the reporting provisions of N.J.A.C. 8:57-2.2, which mandates reporting the diagnosis of HIV directly to the Department of Health and Senior Services on forms supplied by the department, were “not relevant to determining Dr. Catalano’s duty of care as a director of Cooper Hospital’s pathology department [because] Dr. Catalano was not one of C.W.’s ‘attending’ physicians.”554 The court also held that the opinions of the plaintiff ’s experts as to Dr. Catalano were inadmissible net opinions. The court stated: Experts may opine on the basis of their ‘knowledge, skill, experience, training, or education,’ N.J.R.E. 702, but they may not give a ‘net opinion,’ which is an opinion that is unsupported by factual evidence and is thus inadmissible. In Re Yaccarino, 117 N.J. 175, 196 (1989); Buckelew v. Grossbard, 87 N.J. 512, 524 (1981). An expert must give ‘the why and wherefore of his expert opinion, not just a mere conclusion.’ Jimenez v. GNOC Corp., 286 N.J. Super. 533, 540 (App. Div.), certif. denied, 145 N.J. 374 (1996). Experts in negligence cases must establish the actual existence of a standard of care, and may not simply declare their personal preferences or the conduct they wish to encourage as being the standard. Fernandez v. Baruch, 52 N.J. 127, 131 (1968); Taylor v. Delosso, 319 N.J. Super. 174, 179-80 (App. Div. 1999); Crespo v. McCartin, 244 N.J. Super. 413, 422-23 (App. Div. 1990). Here, the trial court correctly found that Dr. Shane’s report amounted to nothing more than a net opinion … Dr. Shane declared the practices of the two laboratories where he had worked to represent ‘[T]he standard practice of laboratory medicine,’ 554. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 63 (App. Div. 2006). with no indication of how and why those laboratories developed their practices. See Taylor, supra, 319 N.J. Super. at 179-80 (unexplained statement that ‘accepted practice’ required particular actions was merely expert’s ‘personal’ standard and thus ‘equivalent to a net opinion’); accord Kaplan v. Skoloff, 339 N.J. Super. 97, 103 (App. Div. 2001). He also failed to give a basis for making a hospital’s pathology department or its supervisor separately liable from the hospital for the same negligent acts.555 The Supreme Court explained why an expert’s opinion was not a net opinion in Creanga v. Jardal,556 where the plaintiff claimed that she sustained injuries in an automobile accident, causing premature labor and the death of one of her twins. The plaintiff’s treating obstetrician opined that the automobile accident was the proximate cause of the miscarriage. The opinion was based upon the expert’s treatment of the plaintiff before, during, and after the delivery, the plaintiff’s medical records and the elimination of other causes of the miscarriage. The trial court dismissed the complaint, concluding that the plaintiff’s expert offered a net opinion, and the Appellate Division affirmed. The Supreme Court reversed, saying that “an expert opinion derived from a differential diagnosis is admissible under the New Jersey rules of evidence.”557 The Court explained: [B]ecause of the widespread acceptance of differential diagnosis in the medical community, the recognition of the technique in state and federal courts, and its compatibility with our rules of evidence in prior case law, we conclude that a trial court may admit an expert’s differential diagnosis into evidence.558 The Court observed that the plaintiff’s expert had in fact specified the basis for his conclusion. The expert stated the trauma of the 555. C.W. v. Cooper Health Sys., 388 N.J. Super. 42, 56 (App. Div. 2006). 556. Creanga v. Jardal, 185 N.J. 345 (2005). 557. Creanga v. Jardal, 185 N.J. 345, 349 (2005). 558. Creanga v. Jardal, 185 N.J. 345, 357 (2005). accident initiated the events leading to the miscarriage. The expert had considered and rejected alternative causes of the miscarriage. The expert considered the temporal relationship between the accident and the miscarriage and supported his conclusion with reference to his pre-accident treatment records, the hospital records, and his post treatment records. Accordingly, Dr. Zarghami not only provided his conclusion that the plaintiff’s premature labor was caused by the automobile accident, but he also gave the ‘why and wherefore’ for that conclusion.559 The Court therefore reversed and remanded for trial. The consequences of having an expert’s opinion stricken as a net opinion may be the dismissal of a complaint or the direction of a verdict. This point was made in a product liability case, Johnson v. Salem Corp.,560 where the Court stated: There are, however, limits to the permissible inferences that may be extracted from experts’ testimony. ‘The weight to which an expert opinion is entitled can rise no higher than the facts and reasoning upon which that opinion is predicated.’ . . . Here, the testimony of defendants’ expert was infirm in both its factual foundation and inherent reasoning. His express belief that the scrap baling machine was reasonably safe was not adequately supported by sufficient underlying facts. It amounted to no more than an inadmissible ‘net opinion,’ constituting the ‘expert’s bare conclusions, unsupported by factual evidence.’561 After the Court held that the defendants’ expert’s testimony was a net opinion and should be stricken, the Court observed that the expert testimony submitted by the plaintiff was then uncontradicted. The Supreme Court instructed that in such cases a trial judge should not hesitate to enter summary judgment or grant 559. Creanga v. Jardal, 185 N.J. 345, 362 (2005). 560. Johnson v. Salem Corp., 97 N.J. 78 (1984). 561. Johnson v. Salem Corp., 97 N.J. 78, 91 (1984). a directed verdict in favor of the party offering the uncontradicted and reliable expert opinion. ‘[W]here the uncontradicted testimony of a witness, interested or otherwise, is unaffected by any conflicting inferences to be drawn from it and is not improbable, extraordinary or surprising in its nature, or there is no other ground for hesitating to accept as the truth, there is no reason for denying the verdict dictated by such evidence.’562 In Hemmen v. Atlantic City Medical Center,563 plaintiff was given an intramuscular injection in the buttock, and experienced sciatic nerve damage shortly after the injection. Plaintiff’s expert, a neurologist, rendered the opinion that the drug was administered too close to the sciatic nerve.564 The defendant moved to bar the opinion as a net opinion. In rejecting the expert’s opinion and dismissing the case, the trial court stated: I recognized that the expert may have been reporting that the medical community understands that of the cases of drug induced sciatic nerve damage, negligence is the most frequent cause. Such a report, however, must rest upon the expert’s experience or upon textual support. … In the absence of such a basis, the opinion of the relative frequency of negligent and non-negligent caused damage would be an inadmissible net opinion, bereft of any factual underpinning. … Accordingly, I permitted the expert to amend his report to indicate the basis for his contention that the medical profession recognizes the greater frequency of negligence as a cause of sciatic nerve injury. He has been unable to do so and I conclude that no such evidence is available.565 562. Johnson v. Salem Corp., 97 N.J. 78, 93 (1984). 563. Hemmen v. Atl. City Med. Ctr., 334 N.J. Super. 274 (Law Div. 1999), aff’d o.b., 334 N.J. Super. 160 (App. Div. 2000). 564. Hemmen v. Atl. City Med. Ctr., 334 N.J. Super. 274, 277 (Law Div. 1999), aff’d o.b., 334 N.J. Super. 160 (App. Div. 2000). 565. Hemmen v. Atl. City Med. Ctr., 334 N.J. Super. 274, 280-81 (Law Div. 1999), aff’d o.b., 334 N.J. Super. 160 (App. Div. 2000) (citations omitted). The trial court therefore dismissed the case and the Appellate Division affirmed.566 The Common Knowledge Doctrine Doctrine Established in Cases of Foreign Objects Left Behind in Surgery The common knowledge doctrine allows a jury to establish the standard of care without expert testimony. The earliest cases to recognize the common knowledge doctrine, although sometimes under the rubric of the res ipsa doctrine, involve foreign objects inadvertently left in the body after surgery. In Becker v. Eisenstodt,567 the court blended the common knowledge doctrine with the res ipsa doctrine when it spoke of situations “which speak for themselves without the need for any expert testimony,” i.e., a sponge left inside a patient’s abdomen, the removal of or injury to an inappropriate part of the anatomy, dropping a tube down the windpipe, inflicting a serious burn or removing a wrong tooth.568 Similarly, in Martin v. Perth Amboy General Hospital,569 a laparotomy pad was left in plaintiff’s body during an operation. At trial, a jury determined that the surgeon and two of three nurses were negligent. The physician argued that the trial court erroneously applied the doctrine of res ipsa loquitur. The Appellate Division disagreed, stating: Foreign object malpractice cases form a unique class, presenting considerations different from those 566. Hemmen v. Atl. City Med. Ctr., 334 N.J. Super. 160 (App. Div. 2000); see also Kaplan v. Skoloff & Wolfe, 339 N.J. Super. 97 (App. Div. 2001) (a legal malpractice case where the trial court granted the defendant’s motion for summary judgment, concluding that the plaintiff’s expert had rendered a net opinion, relying on Buckelew v. Grossbard, 87 N.J. 512 (1981), and Taylor v. DeLosso, 319 N.J. Super. 174 (App. Div. 1999)). The Kaplan court explained: “Plaintiff’s expert offered no evidential support establishing the existence of a standard of care, other than standards that were apparently personal to himself.” Kaplan v. Skoloff & Wolfe, 339 N.J. Super. 97, 103 (App. Div. 2001). 567. Becker v. Eisenstodt, 60 N.J. Super. 240 (App. Div. 1960). 568. Becker v. Eisenstodt, 60 N.J. Super. 240, 246 (App. Div. 1960). 569. Martin v. Perth Amboy Gen. Hosp., 104 N.J. Super. 335 (App. Div. 1969). involved in other kinds of medical malpractice actions. …. It cannot be gainsaid that among the duties owed by an operating surgeon to his patient is the ‘duty of removing all foreign substances from the surgical wound before closing it’ and that ‘a surgeon undertaking to perform an operation requiring the placement of sponges in the incision does not complete his undertaking until the sponges are properly removed.’570 The same conclusion is found in Tramutola v. Bortone,571 where plaintiff discovered that a needle had been left in her chest during surgery. The Court noted with minimal discussion that the surgeon was liable as a matter of law.572 However, in Wagner v. Deborah Heart and Lung Center,573 a piece of a needle broke in plaintiff’s sternum during cardiac bypass surgery. The surgeon decided to leave the tip of the needle in the sternum as it was inert and would cause plaintiff no harm. Plaintiff did not supply an expert report and relied upon the doctrine of res ipsa loquitur. The defendant’s expert testified that the defendant did not deviate from the accepted standard of care by deciding to leave the tip of the needle in the sternum. Defendant’s expert explained that the risks of attempting to find and remove the needle tip at the time of the initial surgery outweighed the benefits associated with the removal because the needle was made of stainless steel like other items implanted inside bone. Based on this evidence, the court held that the doctrine of res ipsa loquitur does not apply and that plaintiff’s reliance on cases where a sponge or foreign object was inadvertently left in a patient was misplaced. The court explained: But here, we are not dealing with a case where the surgeon inadvertently left a foreign object in the patient. To the contrary, Dr. Fernandez 570. Martin v. Perth Amboy Gen. Hosp., 104 N.J. Super. 335, 340-41 (App. Div. 1969). 571. Tramutola v. Bortone, 63 N.J. 9 (1973). 572. Tramutola v. Bortone, 63 N.J. 9, 15 (1973). 573. Wagner v. Deborah Heart & Lung Ctr., 247 N.J. Super. 72 (App. Div. 1991). intentionally left the awl needle tip imbedded in the sternum because it was his medical judgment that the risks were too high to remove it at that time.574 Cases in Which Common Knowledge Found Generally An early application of the common knowledge doctrine in a case not involving a foreign object is found in Steinke v. Bell.575 In Steinke, plaintiff sued a dentist who, while removing plaintiff’s left second molar, also extracted plaintiff’s upper right lateral incisor. The defendant appealed a judgment against him and argued that plaintiff could not prevail without expert testimony. The Appellate Division held that ordinarily the applicable medical standard and deviation therefrom must be established by expert testimony, but that this was an appropriate case for the application of the common knowledge doctrine since: We think laymen, looking at this case in the light of their common knowledge and experience, can say that a dentist engaged to remove a lower left molar is not acting with the care and skill normal to the average member of the profession if, in so doing, he extracts or causes to come out an upper right lateral incisor. Expert testimony therefore was not necessary under the circumstances of this case.576 Similarly, the use of a caustic instead of an anesthetic is something that is within the common knowledge of the jury. In 574. Wagner v. Deborah Heart & Lung Ctr., 247 N.J. Super. 72, 78 (App. Div. 1991). The facts of Wagner are to be distinguished from Anderson v. Somberg, discussed in § 7-13. 575. Steinke v. Bell, 32 N.J. Super. 67 (App. Div. 1954). 576. Steinke v. Bell, 32 N.J. Super. 67, 70 (App. Div. 1954). The National Quality Forum has promulgated a list of 29 serious reportable events. Some of these items are relevant to the common knowledge doctrine and others may be relevant to res ipsa loquitor. See National Quality Forum, Serious Reportable Events (Oct. 2008); see http://www.qualityforum.org/ Publications/2008/10/Serious_Reportable_Events.aspx The National Quality Forum is a not-for-profit membership organization created in 1999 to develop and implement a national strategy for health care quality measurement and reporting. The NQF has created the Consensus Standards Maintenance Committee on Serious Reportable Events to review the list and recommend additions or changes for Members to consider so that the set remains current and appropriate. See, http://www .qualityforum.org/Topics/SREs/Serious_Reportable_Events.aspx Becker v. Eisenstodt,577 plaintiff alleged that the defendant inserted a pledget that was supposed to contain a ten percent solution of cocaine in her nostril as part of a post-plastic surgery regimen. When plaintiff complained that the solution was causing pain, the physician allegedly said “Don’t be a baby; I have other people to take care of.”578 Plaintiff sustained a severe burn and was left with a scar that was described as appearing to be a harelip. Counsel for plaintiff called a subsequent treating physician, who had examined the plaintiff two days after the incident, and who testified that the plaintiff had sustained a burn injury due to a caustic substance. Plaintiff’s subsequent treating physician and the defendant’s expert both testified that a ten percent solution of cocaine could not have caused this burn. Counsel for plaintiff even had the subsequent treating physician insert a pledget ‘well saturated with ten percent solution of cocaine, into Arlene’s nose in the presence of the jury. … The pledget was allowed to remain in her nose for at least ten minutes. Arlene testified that the only sensation she experienced was a soothing one.’579 Plaintiff’s subsequent treating doctor concluded that plaintiff sustained a burn from an undetermined source but that the ten percent solution could not have caused the burn injury. Nevertheless, the trial court granted a motion to dismiss, concluding that since the defendant’s uncontradicted testimony was that he used a ten percent cocaine solution and since it was demonstrated that this solution was harmless, plaintiff had failed to sustain her burden of proof. In reversing, the Appellate Division concluded that although plaintiff’s medical experts did not establish the standard of care, such testimony was not necessary because the use of a caustic, instead of an anesthetic, “is the type of negligence which lay jurors can appreciate without the testimony of medical experts to describe the applicable standard of care.”580 The court held that the evidence created an issue of fact as to whether the anesthetic or caustic was used, and if in fact the jury concluded a caustic was 577. Becker v. Eisenstodt, 60 N.J. Super. 240 (App. Div. 1960). 578. Becker v. Eisenstodt, 60 N.J. Super. 240, 243 (App. Div. 1960). 579. Becker v. Eisenstodt, 60 N.J. Super. 240, 244 (App. Div. 1960). 580. Becker v. Eisenstodt, 60 N.J. Super. 240, 246 (App. Div. 1960). used, plaintiff did not need to provide medical expert testimony that use of the caustic constituted negligence.581 Similarly, in Terhune v. Margaret Hague Maternity Hospital,582 plaintiff alleged that she was burned as a result of the improper administration of an anesthetic during childbirth. Plaintiff’s counsel stated during his opening that the plaintiff was unconscious during the delivery and when she awoke she had been burned in the face. Counsel for plaintiff further stated in his opening that he could not prove what had happened but that obviously something improper had happened. The trial court dismissed the case at the conclusion of the plaintiff’s opening. In reversing, the Appellate Division stated: If the apparently abnormal effect of the anesthesia on Mrs. Terhune’s face was, in fact, a species of burning, as the hospital’s medical director is purported to have admitted to her, it is possible (whether or not likely) that when all the plaintiff’s proofs are in it will appear that a determination could be made that this was so obviously an untoward consequence of careful anesthesia that a lay jury should be allowed to infer negligence by the anesthetist without expert testimony.583 Although the court spoke in terms of the doctrine of res ipsa, the absence of the need for expert testimony reveals that it is really the common knowledge doctrine that was applied. The common knowledge doctrine was explored by the Supreme Court in Sanzari v. Rosenfeld,584 In Sanzari, plaintiff alleged that the defendant dentist had administered an anesthetic solution which contained Xylocaine with Epinephrine to his wife without taking a proper medical history and therefore not learning that his wife suffered from high blood pressure. The patient suffered a cerebral hemorrhage as a result of the anesthetic, causing her death three days later. Significantly, the defendant conceded that 581. Becker v. Eisenstodt, 60 N.J. Super. 240, 246-47 (App. Div. 1960). 582. Terhune v. Margaret Hague Maternity Hosp., 63 N.J. Super. 106 (App. Div. 1960). 583. Terhune v. Margaret Hague Maternity Hosp., 63 N.J. Super. 106, 115 (App. Div. 1960). 584. Sanzari v. Rosenfeld, 34 N.J. 128 (1961). he was unaware the patient had high blood pressure and that if he had known she had high blood pressure he would have consulted with her physician before administering the Epinephrine. The Supreme Court noted that the brochure which accompanied the anesthetic stated that the Epinephrine was a vasoconstricting drug, or one which compresses the blood vessels in order to enhance the effect of the anesthetic. The Court also noted that the effect of the administration of Epinephrine is to increase blood pressure and that Epinephrine is contraindicated in cases where the patient suffers from high blood pressure. Plaintiff argued that the doctrine of res ipsa loquitur was applicable because in the absence of negligence the routine filling of a tooth does not result in death. The Court rejected this argument, stating: It would make every untoward result of a dental or medical operation or treatment a res ipsa case. There are a variety of reasons why a patient may die while being operated on by a dentist—none of which may be related to the dentist’s failure to exercise proper skill and care.585 Nevertheless, despite the fact that the doctrine of res ipsa loquitur was deemed not applicable, the Court explained that the ordinary jury could, after considering the package insert and the defendant’s admission, reach the conclusion that the defendant was negligent, and thus the doctrine of common knowledge eliminated the need for expert testimony to establish the standard of care: Ordinarily, the common knowledge doctrine is applied in a malpractice case after the plaintiff proves his injury and a causally related act or omission by the defendant. The effect of applying this doctrine is to allow the jury to supply the applicable standard of care and thus to obviate the necessity for expert testimony relative thereto. In other words, application of the doctrine transforms the case into an ordinary negligence case where, as mentioned above, the jury, from its fund of common knowledge, assays the feasibility 585. Sanzari v. Rosenfeld, 34 N.J. 128, 141 (1961). of possible precautions which the defendant might have taken to avoid injury to the plaintiff. The basic postulate for application of the doctrine therefore is that the issue of negligence is not related to technical matters peculiarly within the knowledge of medical or dental practitioners.586 The Court then explained why the common knowledge doctrine should have been applied in Sanzari: We believe that the doctrine of common knowledge combined with the manufacturer’s brochure admitted in evidence was sufficient to avoid a dismissal, especially in the light of defendant’s testimony that he was unaware that the drug was contraindicated for patients suffering from hypertension. The brochure stated that Epinephrine is administered with Xylocaine to prolong the anesthetic effect of the latter drug; that to achieve greater constriction of the blood vessels (haemostasis) the concentration of Epinephrine should be increased; and that in cases where vasopressor drugs (Epinephrine) are contraindicated (dangerous) Xylocaine can be used alone. From this evidence the jury could reasonably conclude that defendant knew or should have known that it was dangerous to administer Epinephrine to a hypertensive patient. We believe that it is within the common knowledge of laymen that a reasonable man, including a dentist, who knows a drug is potentially harmful to a certain type of patient should take adequate precaution before administering the drug or deciding whether to administer it.587 The common knowledge doctrine was applied to a surgical mishap in Jones v. Stess,588 where plaintiff, a diabetic, alleged that 586. Sanzari v. Rosenfeld, 34 N.J. 128, 141 (1961). 587. Sanzari v. Rosenfeld, 34 N.J. 128, 143 (1961). See also the discussion in § 7-17, regarding the admissibility of the package insert.) 588. Jones v. Stess, 111 N.J. Super. 283 (App. Div. 1970). the defendant, a podiatrist, negligently cut her toe while clipping toenails. The cut became infected and the infection spread to her bones, resulting in four operations and an above the knee amputation. Plaintiff’s personal physician testified: “Great care must be used in taking care of these areas because any type of trauma can precipitate an infection in the toe.”589 At the end of plaintiff’s proofs, the court granted the defendant’s motion for an involuntary dismissal because plaintiff had not provided expert testimony as to the standard of care and deviation.590 The Appellate Division found the testimony of plaintiff’s physician sufficient to trigger application of the common knowledge doctrine, and reversed, stating: The medical testimony was adequate to sustain the finding that plaintiff suffered the amputation of a substantial portion of her left leg by reason of an infection which she sustained through the breaking of her skin by defendant on the day in question. Defendant knew plaintiff was diabetic and acknowledged the need for extra care in working on the feet of diabetics. The issue of his responsibility in tort for her condition did not depend on whether the method utilized by him was correct or scientific, but whether his unintentional wounding of her was occasioned by the lack of reasonable care on his part.591 The common knowledge doctrine was applied to the failure to monitor a woman who was in labor in Friel v. Vineland Obstetrical and Gynecological Professional Association.592 In Friel, plaintiff, while in her thirty-first week of gestation, noticed some vaginal bleeding and called the defendant doctors who had treated her throughout the course of her pregnancy. The defendants advised the plaintiff to take some aspirin and “a shot of whiskey.”593 The 589. Jones v. Stess, 111 N.J. Super. 283, 286 (App. Div. 1970). 590. Jones v. Stess, 111 N.J. Super. 283, 286 (App. Div. 1970). 591. Jones v. Stess, 111 N.J. Super. 283, 289-90 (App. Div. 1970). 592. Friel v. Vineland Obstetrical & Gynecological Prof’l Ass’n, 166 N.J. Super. 579 (Law Div. 1979). 593. Friel v. Vineland Obstetrical & Gynecological Prof’l Ass’n, 166 N.J. Super. 579, 582 (Law Div. 1979). plaintiff continued to be followed by the defendants who finally admitted the plaintiff to the hospital after ten days of continuous bleeding. While in the hospital, the plaintiff was left unattended and the infant plaintiff was born weighing three pounds, six ounces. The court denied the motion by the defendant hospital for summary judgment, because: However, insofar as plaintiffs allege an utter lack of attendance, particularly at the time the baby was delivered, the question of malpractice in that regard would appear to be within the provence of the jury of laymen, depending on the proofs submitted. ‘There are basic aspects of child birth procedure within the common knowledge of the laity.’ Lewis v. Read, 80 N.J. Super. 148, 170 (App. Div. 1963), certif. granted 41 N.J. 121 (1963). Attendance of a patient in labor at or near the moment of giving birth would seem to be an aspect particularly within that knowledge.594 Another example of the application of the common knowledge doctrine is found in Tierney v. St. Michael’s Medical Center.595 In Tierney, plaintiff’s infant crawled out of a crib while hospitalized at the defendant hospital. The child sustained a fractured skull as a result of falling from the crib. The court instructed the jury that they could infer that the accident was caused by the defendant’s negligence if they find that the accident took place under circumstances which would suggest that in the ordinary course of events it would not have happened without the lack of due care and that the infant was under the exclusive control and care of the defendants.596 The Appellate Division affirmed a verdict for the plaintiff, noting that the doctrine creates a presumption that the accident would not have occurred in the absence of negligence and is “available to a plaintiff if it is more probable than not that the defendant’s 594. Friel v. Vineland Obstetrical & Gynecological Prof’l Ass’n, 166 N.J. Super. 579, 584 (Law Div. 1979). 595. Tierney v. St. Michael’s Med. Ctr., 214 N.J. Super. 27 (App. Div. 1986). 596. Tierney v. St. Michael’s Med. Ctr., 214 N.J. Super. 27, 30 (App. Div. 1986). negligence was a proximate cause of the mishap.”597 The court held that the doctrine should be applied here since the case involved a small infant placed in a crib and under the care of the defendants. This logic would apply not only to infants, but also to the aged and those otherwise unable to care for themselves.598 The common knowledge doctrine was applied to a fall in a hospital in Nowacki v. Community Medical Center,599 where plaintiff alleged that she fell while attempting to lift herself onto a treatment table. The defendants appealed a verdict for the plaintiff, arguing that plaintiff presented no testimony as to the standard of care. In rejecting this argument, the court noted that the evidence revealed the hospital knew that plaintiff was suffering from bone cancer, needed a cane with which to walk, and came for treatment in a wheelchair. The Appellate Division ruled that expert testimony was not necessary in such a scenario: Plaintiff sought damages because of a fall in the hospital attributable to the hospital’s negligence. The complaint alleged negligence because the hospital employees failed to secure the stool or table with a handle bar or grip bar, failed to assist plaintiff ‘in climbing on the table,’ failed to maintain the radiation room in a reasonably safe condition, and failed to attend to ‘plaintiff’s special needs.’ We agree with the trial judge that this was not a medical malpractice action requiring expert testimony on the standard of care. See Tierney by Tierney v. St. Michael’s Medical Center, 214 N.J. Super. 27, 31, 518 A.2d 242 (App. Div.1986), certif. denied, 107 N.J. 114, 526 A.2d 184 (1987), (applying res ipsa loquitur in a case involving a fall from a hospital crib). The majority view is that jurors are competent to assess simple negligence occurring in a hospital without expert testimony 597. Tierney v. St. Michael’s Med. Ctr., 214 N.J. Super. 27, 30 (App. Div. 1986). 598. See, e.g., Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335 (1994) (discussing the relationship between the doctrine of comparative fault and patients who are unable to protect themselves from injury because of “age, substance abuse, or mental derangement.”). 599. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276 (App. Div. 1995). to establish the standard of ordinary care, as in any other negligence case.600 Similarly, in Winters v. Jersey City Medical Center,601 the court held that one does not need an expert witness to testify that the bed rails should have been in the up position for an elderly person who fell out of bed.602 However, the court noted that despite the fact that plaintiff was not required to call an expert witness, a nurse had in fact testified that the side rails should have been up for a person in the plaintiff’s condition. The Jacober Rule/Learned Treatises In Jacober v. St. Peter’s Medical Center,822 the Supreme Court provided lawyers handling medical malpractice cases with a powerful tool which can be utilized to establish the standard of care. The Court, in urging the increased use of learned treatises, quoted Wigmore, who wrote “those who write with no view to litigation are at least as trustworthy, though unsworn and unexamined, as perhaps the greater portion of those who take the stand for a fee from one of the litigants.”823 The Jacober Court noted that greater use of reliable learned treatises will enhance “the ability of juries to evaluate expert testimony,”824 and distinguish meritorious claims and defenses from those supported by “hired guns.”825 The trial court prohibited the plaintiff’s expert in Jacober from using medical literature to support his opinion that defendant negligently used too large a catheter on a neonate, causing blood clots which led to gangrene, toe amputation and deformity of the leg, because defense counsel refused to stipulate that the treatises were “authoritative.”826 Plaintiff’s counsel also attempted to 822. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475 (1992). 823. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 495 (1992) (quoting 6 Wigmore on Evidence, § 1692, at 7 (Chadbourn rev. 1976)). 824. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 494 (1992). 825. See, e.g., Rubanik v. Witco Chem. Corp., 125 N.J. 421, 453 (1991). 826. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 481 (1992). In Jacober, plaintiff’s child was born after 25 to 28 weeks of gestation, and weighed just 730 grams, or 1 pound 10 ounces. The neonate’s physicians wanted to insert a catheter into the infant’s aorta through an umbilical artery to monitor the infant’s blood pressure and gases. The nurse prepared two surgical trays, one with a 3.5 catheter and one with 5.0 catheter. The doctors attempted several times to insert the larger catheter and on each occasion the infant’s right leg became discolored, indicating circulatory dysfunction. Plaintiffs alleged that as a result of the attempts to insert the larger size catheter, the infant’s toes “autoamputated from dry gangrene” and that thereafter the right leg grew unevenly. At the age of ten, the child’s right leg was misshapen and six inches shorter than the left leg, and one of his doctors projected a twelve inch difference in leg length by the time he became an adult. Plaintiff’s expert opined that the defendants were negligent in attempting to use the larger 5.0 catheter given the infant’s low birth weight, and that the larger catheter caused vasospasm or blood clots which blocked the blood flow to the leg. Defendants’ expert testified that the defendants should use the largest possible catheter since smaller catheters are prone to clot. At trial, plaintiff’s counsel attempted to use two texts, Klaus & Fanaroff, Care of the High Risk impeach the defendant and the defense experts with the medical literature. Although the defendant and defense experts conceded that the literature plaintiff wished to utilize were “standard texts,” the defendant and defense experts testified that the books were not authoritative. Indeed, one defense expert testified that nothing in medical literature was “authoritative”; another of the defendant’s experts refused to recognize even his own articles as authoritative for anyone other than himself, and refused to acknowledge that a chapter in a book which he wrote was an authoritative source.827 Therefore, the court sustained objections to plaintiff’s attempted cross-examination of the defendant’s experts with these textbooks. Plaintiff also attempted to read a portion of the defendant’s deposition wherein she admitted that the hospital’s standard procedure of using the smaller catheter on infants weighing less than 1500 grams was based on the one of the texts. The court allowed the plaintiff to read the defendant’s deposition but refused to allow plaintiff to refer to the text. The trial court also held that no party could refer to the medical literature during summations. The jury returned a verdict in favor of all defendants and specifically found that the defendants did not deviate from generally accepted medical standards in using the larger catheter. In reversing, the Jacober Court started its analysis by noting that, in Ruth v. Fenchel,828 it held that learned treatises may be utilized on cross-examination only if the expert acknowledges the text as “authoritative.”829 The Jacober Court held that even under the Ruth standard, the texts were admissible since the defense experts admitted that one text was “a standard text” and that the other text came from “an eminent neonatologist” who authored “a standard text book.”830 The Court explained that Ruth merely requires an expert to recognize a text as a standard authority.831 The Court observed that a treatise generally has a high degree of Neonate (2d. Ed. 1979) and James, Emergencies in the Delivery Room, in Neonatal-Perinatal Medicine (2d Ed. 1977), to support the argument that the smaller catheter should have been used and to impeach the defendants’ experts. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 481 (1992). 827. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 483 (1992). 828. Ruth v. Fenchel, 21 N.J. 171 (1956). 829. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 487 (1992). 830. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 487 (1992). 831. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 488 (1992). trustworthiness and reliability due to the scrutiny, criticism, and revision required to “find its way into publication.”832 The Court concluded: It certainly is illogical, if not actually unfair, to permit witnesses to give expert opinions based on book knowledge, and then deprive the party challenging such evidence of all opportunity to interrogate them about divergent opinions expressed in other reputable books.833 These reasons led the Court to conclude that an expert need only recognize a text as “the type of material reasonably relied on by experts in the field,”834 in order for a party to utilize it as “substantive evidence on both direct and cross-examination.”835 The Jacober Court further held that if an expert testifies that a treatise or periodical is regarded by professionals in the field as trustworthy, then articles in the publication satisfy the requirements of the rule. The Court adopted New Jersey Rules of Evidence 803(c)(18), which permits statements contained in learned treatises to be utilized as evidence. The Court noted that the policy behind the rule is to help equalize resources by “permitting a party with less access to expert witnesses to advance an argument before a jury based on opinions set forth in learned treatises.”836 Significantly, the Court did not limit the use of text books to cross-examination. The new rule: allows texts to be established as reliable authority by experts other than the cross-examined expert, as well as by judicial notice. Secondly, expert witnesses may refer to statements from learned treatises on direct examination, to the extent that they relied on those statements in forming their own opinion. Finally, the contents of learned treatises may be 832. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 495 (1992). 833. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 494-95 (1992). 834. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 495 (1992). 835. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 491 (1992). 836. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 495 (1992). The Jacober Rule/Learned Treatises 7-16 introduced as substantive evidence on both direct and cross- examination.837 The Court cautioned that allowing the text to be used as substantive evidence on direct examination requires an expert to explain and assist in the application of the treatise.838 When the reliability of a proper text is in doubt, the issue shall be resolved by a Rule 8 (now Rule 104) hearing and “the focus should be on what the experts in fact rely on, not on whether the Court thinks they should so rely.”839 The Jacober rationale applies not only to medical texts but also safety codes and other manuals which may now be utilized as evidence. Indeed, experts should ordinarily be permitted to introduce the information contained in such publications on direct examination if they rely on them in forming their opinion. These publications can be used offensively to support a witness offered by that party, or defensively to counter expert witnesses who offer opinions which are contrary to the prevailing opinion in the field, as found in the relevant professional literature. Jacober was followed and expanded in Adamski v. Moss.840 In Adamski, plaintiff alleged that she suffered damage to a nerve in her right arm during an operation to remove a benign tumor in her neck. Plaintiff claimed that the doctor failed to disclose that the surgery could result in nerve damage and thus failed to obtain her informed consent to the procedure. The defendant moved for summary judgment based upon plaintiff’s failure to provide an expert report. The pro se plaintiff’s responding certification indicated that she was unable to secure the services of an expert witness but informed the court that she intended to prove the medical aspects of her case through “learned treatises.” Nevertheless, the trial court granted defendant’s motion. In affirming the dismissal, the Appellate Division noted that previously “learned treatises were inadmissible substantively in New Jersey, except for their use for impeachment of a witness, and then only when the witness 837. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 489-90 (1992). 838. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 491 (1992). 839. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 495-96 (1992). 840. Adamski v. Moss, 271 N.J. Super. 513 (App. Div. 1994). recognized the treatise as authoritative.”841 After commenting that learned treatises became conditionally admissible as a result of the Supreme Court’s decision in Jacober, and the adoption of New Jersey Rules of Evidence 803(c)(18), the Adamski court summarized the two prerequisites for the use of learned treatises to establish the standard of care in malpractice cases, stating: First, the learned treatise must either be ‘called to the attention of an expert witness upon crossexamination’ or be ‘relied upon by the expert in direct examination.’ … The rule thus requires that there must be an expert on the stand either as the party’s witness or as an adverse witness being crossexamined. … Second, the particular treatise must be ‘established as a reliable authority by testimony or by judicial notice.’842 On first reading, the Adamski opinion would seem to still require the use of an expert, if not to establish the standard of care, then at least to establish the reliability of the learned treatise. However, the Adamski court observed that the plaintiff could compel the defendant doctor to provide the opinion which is the foundational prerequisite to use of the learned treatise. The court explained: Defendant, on the other hand, could be asked concerning the fact of his expert opinion in the past, rather than being required to make an expert evaluation in the present. Rogotzki v. Schept, 91 N.J. Super. 135, 147-149, 219 A. 2d 426 (App. Div. 1966). Cf., Stigliano v. Connaught Laboratories, Inc., 270 N.J. Super. 373, 378, 637 A. 2d 223 (App. Div. 1994) (applying this principle to a defendant compelling a plaintiff’s treating physician to testify). The treatises might have been qualified during a deposition.843 841. Adamski v. Moss, 271 N.J. Super. 513, 517 (App. Div. 1994) (citing Ruth v. Fenchel, 21 N.J. 171, 176 (1956)). 842. Adamski v. Moss, 271 N.J. Super. 513, 519-20 (App. Div. 1994). 843. Adamski v. Moss, 271 N.J. Super. 513, 520 (App. Div. 1994). The Adamski opinion also foresaw the possibility of “cases in which learned treatises, qualified by judicial notice or by a witness, could satisfy a requirement for expert proof.”844 Nevertheless, the Appellate Division affirmed the dismissal, concluding “we seriously doubt, however, that since discovery had been completed and any opportunity to secure the qualification of the treatises during deposition, has now passed,” plaintiff can call defendant at trial and establish that the treatises were, as suggested by plaintiff, “reliable authority through defendant’s testimony.”845 The court suggested that even if plaintiff called defendant as her witness and was given leave to cross examine him, there is virtually no possibility that defendant would establish the text as reliable authority so that they could be presented against him.846 However, this conclusion is flawed. The plaintiff could have probably, if not certainly, compelled the defendant to acknowledge that certain basic textbooks on surgery, such as Principles of Surgery, were reliable. The plaintiff could have simply asked the defendant what books or journals the defendant would rely upon when doing research, and relied on those texts. Nevertheless, Adamski is particularly significant in informed consent cases since it allows a plaintiff to establish the knowledge of the risk that occurred in the medical community. The Jacober doctrine was followed in DaGraca v. Bell,847 where plaintiff alleged that the defendant’s sudden stopping of antianxiety medications lead to the development of neuroleptic malignant syndrome. The jury rendered a verdict in favor of the defendants and the plaintiff appealed, arguing that the trial court precluded plaintiff from utilizing a learned treatise to crossexamine the defendant’s experts. Plaintiff attempted to utilize the report of a task force of the American Psychiatric Association and plaintiff’s expert testified that the task force report was considered reliable by the medical profession. The defense expert testified that 844. Adamski v. Moss, 271 N.J. Super. 513, 522 (App. Div. 1994). 845. Adamski v. Moss, 271 N.J. Super. 513, 520 (App. Div. 1994). 846. Adamski v. Moss, 271 N.J. Super. 513, 521 (App. Div. 1994). 847. DaGraca v. Bell, 288 N.J. Super. 292 (App. Div. 1996). the task force report was not a reliable authority and the trial court sustained an objection and precluded plaintiff from utilizing the report. The Appellate Division reversed, observing: The trial court’s ruling in this regard is plainly incorrect and violates the learned-treatise rule announced by our Supreme Court in Jacober v. St. Peter’s Medical Center, 128 N.J. 475, 498 (1992).848 The Appellate Division specifically noted that a text may be determined to be reliable by an expert other than the one being crossexamined, and may also be determined to be reliable by judicial notice, and that the reason for this is to avoid “the possibility that the expert may at the outset block cross-examination by refusing to concede reliance.”849 The court reiterated that a reliable authority is one which is representative of the type of research material relied upon by experts in the field. The purpose of the rule was to prevent a witness from avoiding interrogation “about divergent opinions expressed in other reputable books.”850 The court reiterated that the focus is not what the court thinks experts should rely on but rather what experts actually rely on. If the reliability of the proffered text is in doubt, the court should decide same by conducting a Rule 104 (formerly Rule 8) hearing.851 The Appellate Division also noted that pursuant to New Jersey Rules of Evidence 803(c)(18), statements called to the attention of an expert witness on either direct or cross-examination may be read into evidence if they are established to be a reliable authority by testimony or judicial notice. Significantly, the court held that the statements from the learned treatise may not be received as exhibits but may be read into evidence or displayed on charts. The Jacober rule was revisited in Morlino v. Medical Center of Ocean County,852 where the Court noted that a treatise may not be substituted for expert testimony.853 The Court explained that 848. DaGraca v. Bell, 288 N.J. Super. 292, 299 (App. Div. 1996). 849. DaGraca v. Bell, 288 N.J. Super. 292, 299 (App. Div. 1996). 850. DaGraca v. Bell, 288 N.J. Super. 292, 300 (App. Div. 1996) (citing Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 494-95 (1992)). 851. DaGraca v. Bell, 288 N.J. Super. 292, 300 (App. Div. 1996). 852. Morlino v. Med. Ctr. of Ocean Cnty., 152 N.J. 563 (1998). 853. Morlino v. Med. Ctr. of Ocean Cnty., 152 N.J. 563, 580 (1998) (citing Adamski v. Moss, 271 N.J. Super. 513, 519-22 (App. Div. 1994)). Jacober limited the use of learned treatises to situations where an expert is on the stand and available to explain and assist in comprehension of the treatise.854 The need for expert testimony to accompany medical literature was re-emphasized in Tyndall v. Zaboski,855 where plaintiff alleged that the defendant failed to inform her of the risk of pancreatitis associated with the performance of a surgical procedure known as endoscopic retrograde cholangio-pancreatography (ERCP). The plaintiff relied on an excerpt of Harrison’s Principles of Internal Medicine which reported that pancreatitis is a known risk of an ERCP. Nevertheless, the trial court dismissed plaintiff’s complaint for failure to provide expert testimony that pancreatitis was a known risk of an ERCP. In affirming, the Appellate Division held: The case law is clear. A plaintiff alleging lack of informed consent has the burden of producing expert testimony to establish that the risk cited was one that the defendant should have been aware of because it was known to the medical community at the time. … We addressed virtually the same issue in Febus v. Barot, 260 N.J. Super. 322, 616 A.2d 933 (App. Div. 1992). There we affirmed summary judgment for the defendant physician on an informed consent claim because plaintiff failed to produce expert testimony that the surgical complication that she suffered was a ‘risk . . . of which the physician should have been aware, and that it was recognized within the medical community.’856 The court reiterated that New Jersey Rules of Evidence 803(c)(18) requires that the learned treatise must be relied on by an expert in direct examination or called to his or her attention on crossexamination in order to be utilized. The court cited its holding in 854. Morlino v. Med. Ctr. of Ocean Cnty., 152 N.J. 563, 581 (1998) (citing Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475, 491 (1992)). 855. Tyndall v. Zaboski, 306 N.J. Super. 423 (App. Div. 1997). 856. Tyndall v. Zaboski, 306 N.J. Super. 423, 426 (App. Div. 1997) (citing Febus v. Barot, 260 N.J. Super. 322, 327 (App. Div. 1992)). Canesi v. Wilson,857 that “a party cannot generally introduce a treatise into evidence as a substitute for expert testimony.”858 Therefore, the Tyndall court concluded that even if the trial court took judicial notice that Harrison’s was a reliable authority, the treatise still must be utilized in connection with the testimony of an expert.859 Since plaintiff had no expert, it was appropriate to grant summary judgment. Fictitious Defendant Rule However, it is not always possible to identify all potential defendants prior to expiration of the statute of limitations. In such a case, the plaintiff must utilize the fictitious defendant procedures provided by New Jersey Court Rule 4:26-4. This rule provides that when the plaintiff does not know, and cannot with reasonable effort learn, the true identity of a potential defendant, the plaintiff 8. Mitchell v. Procini, 315 N.J. Super. 557, 564-65 (App. Div. 1998). 9. Mitchell v. Procini, 315 N.J. Super. 557, 566 (App. Div. 1998); see also Cogdell v. Hosp. Ctr. at Orange, 116 N.J. 7 (1989); Stegmeier v. St. Elizabeth’s Hosp., 239 N.J. Super. 475 (App. Div. 1981); Cafferata v. Payser, 251 N.J. Super. 256 (App. Div. 1991); N.J. Ct. R. 4:51(a)(2), “Notice of Other Actions and Potentially Liable Persons.” can plead a fictitiously named defendant, commonly named as a “John Doe,” and amend the complaint to substitute the real name of the defendant after the defendant’s identity is discovered. The complaint against the new defendants is deemed to relate back to the date of the filing of the initial complaint. However, this rule has its pitfalls for the unwary. An example of the application of this rule is found in Stegmeier v. St. Elizabeth’s Hospital.10 In Stegmeier, plaintiff obtained a $50,000 verdict against a hospital. Pursuant to N.J.S.A. 2A:53A-8, the hospital’s liability at that time was limited to $10,000. Plaintiff therefore moved after entry of the judgment to amend the complaint to name an individual nurse as one of the fictitious defendants. The court noted that use of New Jersey Court Rule 4:26-4 permits one to file suit against a fictitious defendant and then amend the complaint when the name of the defendant is discovered, and provides that the amendment relates back to the filing of the original complaint.11 However, the court warned that “plaintiff is required to proceed diligently to amend the complaint without prejudice to the defendant to be joined.”12 The court also noted that New Jersey Court Rule 4:26-4 requires plaintiff to amend the complaint “prior to judgment” and therefore plaintiff’s attempt to amend the complaint post-judgment to name an individual defendant was improper.13 Therefore, the court denied the application to amend the complaint.14 An unusual exception to the entire controversy rule is found in Cafferata v. Payser,15 where the physician had sued a patient in the Special Civil Part to collect a bill of $1,275. The case was settled with the insurance company paying the bulk of the bill and the patient paying $160.80 to settle the case. Thereafter, the patient brought a malpractice suit and the physician moved to dismiss based upon the entire controversy doctrine embodied in New Jersey Court Rule 4:30A. The trial court dismissed plaintiff’s claim, but the Appellate Division reversed. Initially, the court noted that 10. Stegmeier v. St. Elizabeth’s Hosp., 239 N.J. Super. 475 (App. Div. 1981). 11. Stegmeier v. St. Elizabeth’s Hosp., 239 N.J. Super. 475, 484 (App. Div. 1981). 12. Stegmeier v. St. Elizabeth’s Hosp., 239 N.J. Super. 475, 484 (App. Div. 1981). 13. Stegmeier v. St. Elizabeth’s Hosp., 239 N.J. Super. 475, 485 (App. Div. 1981). 14. See also § 8-6:2 discussing the discovery rule. 15. Cafferata v. Payser, 251 N.J. Super. 256 (App. Div. 1991). NJ MedMal_FullBook.indb 767 5/27/14 5:41:19 PM the entire controversy doctrine is based upon knowledge of the existence of a cause of action: The knowledge of the existence of a cause of action which will invoke the entire controversy doctrine is the same as the knowledge which will trigger the running of the statute of limitations in those cases to which the discovery rule of deferred accrual is applicable.16 Nevertheless, the court held that even if plaintiff had knowledge of the potential malpractice claim, the settlement of the collection case against plaintiff did not bar the plaintiff from later bringing the malpractice claim. The court expressly stated that the purpose of the entire controversy doctrine is “to achieve economy in litigation by avoiding the waste, inefficiency, delay and expense of piecemeal and fragmented litigation.”17 However, the court also noted that the doctrine is “equitable in nature and is fundamentally predicated upon ‘judicial fairness and will be invoked in that spirit.’ ”18 The court therefore held that a patient, appearing pro se as a defendant in a Special Civil Part matter, and who paid $160.80 to settle a claim based on mediation with a law clerk, should not be barred as a matter of equity from bringing a malpractice claim thereafter. The compulsion to join all potential defendants in one action prior to expiration of the statute of limitations lends itself to the possibility that plaintiff will not initially be able to support the claim against certain defendants with the requisite expert testimony. In such cases a dismissal without prejudice is the proper procedure, as was suggested by Lawler v. Isaac.19 In Lawler, plaintiff alleged that a radiologist negligently transposed an X-ray and reported that a polyp was in the right transverse colon of plaintiff when in fact, the polyp was in the left transverse colon. Plaintiff also alleged that other doctors who performed numerous resections of the colon were negligent. During the course of pretrial discovery, plaintiff’s counsel executed stipulations of dismissal without prejudice as 16. Cafferata v. Payser, 251 N.J. Super. 256, 260 (App. Div. 1991). 17. Cafferata v. Payser, 251 N.J. Super. 256, 261 (App. Div. 1991) (citing Cogdell v. Hosp. Ctr. at Orange, 116 N.J. 7, 26 (1989)). 18. Cafferata v. Payser, 251 N.J. Super. 256, 261 (App. Div. 1991) (citing Cogdell v. Hosp. Ctr. at Orange, 116 N.J. 7, 26 (1989)). 19. Lawler v. Isaac, 249 N.J. Super. 11 (App. Div. 1991). to two individual defendants and a stipulation of dismissal with prejudice as to the hospital. Thereafter, plaintiff’s new counsel received a report asserting that the two defendants who had been dismissed were negligent. Counsel for plaintiff made a motion to reinstate the complaint and the trial court denied the motion, holding that New Jersey Court Rule 4:50-1 applied to voluntary dismissals and plaintiff’s claim for relief due to the new expert report was time barred by the oneyear limitation in New Jersey Court Rule 4:50-2. The Appellate Division reversed, noting that New Jersey Court Rule 4:50 applies only to final judgments as to all parties. Since not all parties had been dismissed from the case, the stipulation of dismissal without prejudice was not a final judgment.20 The court held: We conclude that the interest of justice requires reinstatement of plaintiff’s complaint against [defendant] and [co-defendant]. They will not be prejudiced by their reentry into this lawsuit. Discovery can be reopened to permit them to take supplemental depositions and permit participation by all parties and such additional discovery as the trial court considers proper.21 Affidavit of NonInvolvement The New Jersey Medical Care Access and Responsibility and Patients First Act,63 created a procedure for a defendant to file an “Affidavit of Noninvolvement.”64 This statute provides that a defendant in a malpractice case “may cause the action against that provider to be dismissed upon the filing of an affidavit of noninvolvement with the court.” The affidavit of noninvolvement must state with particularity, the facts that demonstrate that the provider was misidentified or otherwise not involved, individually or through its servants or employees, in the care and treatment of the claimant, and was not 56. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335 (1994). 57. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335, 338 (1994). 58. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335, 339 (1994). 59. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335, 338 (1994). 60. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335, 338 (1994). 61. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335, 341 (1994) (citing Cowan v. Doering, 111 N.J. 451 (1988)). 62. Tobia v. Cooper Hosp. Univ. Med. Ctr., 136 N.J. 335, 341 (1994) (citing Green v. Sterling Extruder, 95 N.J. 263 (1984) and Suter v. San Angelo Foundry & Mach. Co., 81 N.J. 150 (1979)). 63. N.J.S.A. 2A:53A-37, et seq. 64. See N.J.S.A. 2A:53A-40. obligated, either individually or through its servants or employees, to provide for the care and treatment of the claimant, and could not have caused the alleged malpractice, either individually or through its servants or employees, in any way.65 The plaintiff and any co-defendant shall have the right to challenge an affidavit of noninvolvement by filing a motion and submitting an affidavit that contradicts the assertions of noninvolvement made by the health care provider in the affidavit of noninvolvement.66 The court shall reinstate any claim dismissed due to “false or inaccurate statements in an affidavit of noninvolvement” and reinstatement of a party pursuant to this subsection shall not be barred by any statute of limitations defense that was not valid at the time the original action was filed.67 The statute imposes penalties upon anyone who “knowingly filed a false or inaccurate affidavit of noninvolvement,” including the reasonable expenses incurred as a result of the filing of the false or inaccurate affidavit, including a reasonable attorney fee. The court shall also refer the matter to the Attorney General and the appropriate professional licensing board for further review.68 The statute imposes similar sanctions on any plaintiff or plaintiff’s counsel who “falsely objected to a health care provider’s affidavit of noninvolvement, or knowingly provided an inaccurate statement regarding a health care provider’s affidavit,” including the reasonable expenses incurred as a result of the submission of the false objection or inaccurate statement, including a reasonable attorney fee. The court shall also refer the matter to the Attorney 65. N.J.S.A. 2A:53A-40(a). 66. N.J.S.A. 2A:53A-40(b). 67. N.J.S.A. 2A:53A-40(c). 68. N.J.S.A. 2A:53A-40(c). General and the appropriate professional licensing board for further review.69 As such, this section is narrowly drawn to include only those who have not only been “misidentified or otherwise not involved,” but also “not obligated” to have provided care and treatment of the patient and who “could not have caused the alleged malpractice, either individually or through its servants or employees, in any way.” In fact, such persons could always have moved for summary judgment. Statute of Limitations The statute of limitations70 requires that a personal injury case “be commenced within 2 years next after the cause of any such action shall have accrued.” The application of the statute of limitations in malpractice cases is often difficult since, unlike many other personal injury claims, there is often no single traumatic event which starts the limitations period. In some cases, such as the failure to remove a sponge from the body of a surgical patient, the negligent act may not even be discovered for more than two years from the day of the operation. The use of the word “accrued” has resulted in a substantial amount of discussion in the caselaw. An early interpretation of the accrual language in the statute of limitations is found in Tortorello v. Reinfeld,71 where plaintiff alleged that a surgeon negligently performed plastic surgery. The defendant operated on plaintiff in August and September 1946. Plaintiff had another operation in October 1946 by another surgeon and saw a third doctor in December 1946. She continued to be examined by the defendant until June or July 1947. Plaintiff claimed she was discharged from the defendant’s care in November 1947. The complaint was filed in January 1949. The court noted that any negligence of the defendant must have occurred before December 1946 when the plaintiff saw her third doctor. The court therefore 69. N.J.S.A. 2A:53A-40(d). 70. N.J.S.A. 2A:14-2. 71. Tortorello v. Reinfeld, 6 N.J. 58 (1950). dismissed the case because the suit was not filed until two years and one month after the defendant’s last negligent act could have been performed. The Court rejected the argument that the statute of limitations in malpractice cases commences when the plaintiff discovers that malpractice was committed: Any wrongful act or omission resulting in any injury to the person, though slight, for which the law provides a remedy gives rise to the right to institute an action therefore and the cause of action is said to accrue at that time. The statute of limitations attaches at once and commences to run from that time irrespective of the time when the injury is discovered or the consequential damages result.72 The Court noted that the plaintiff consulted with a lawyer in June 1948, several months prior to expiration of the statute of limitations, and therefore “her failure to bring the action in due time is not attributable to any fault but her own.”73 However, subsequent cases recognized the injustice imposed upon a patient whose claim is time-barred before the patient even knew of the injury. The New Jersey Supreme Court ultimately concluded that because the statute of limitations is equitable in nature, the defendant should be required to demonstrate prejudice due to the lack of notice in order to have a case dismissed on limitation grounds. This point was made in Zaccardi v. Becker,74 where the issue was whether the statute of limitations bars the re-institution of a case dismissed for procedural reasons. In discussing the statute of limitations, the Court noted: At the outset, we note that statutes of limitations are not self-executing. Such statutes are based on the goals of achieving security and stability in human affairs and insuring that cases are not tried on the basis of stale evidence. … Because they are based on these specific policies, they must be raised as affirmative defenses, subject to 72. Tortorello v. Reinfeld, 6 N.J. 58, 65 (1950). 73. Tortorello v. Reinfeld, 6 N.J. 58, 67 (1950). 74. Zaccardi v. Becker, 88 N.J. 245 (1982). judicial modification in appropriate circumstances. Mechanistic application of such statutes could unnecessarily sacrifice individual justice in particular circumstances.75 It was the equitable nature of the statute of limitations that led to development of the discovery rule, which is discussed in the next section. In 2004, the New Jersey Legislature enacted the New Jersey Medical Care Access and Responsibility and Patients First Act.76 The statute created a number of changes in existing law. The statute of limitations77 was amended to read as follows: Every action at law for an injury to the person caused by the wrongful act, neglect or default of any person within this State shall be commenced within two years next after the cause of any such action shall have accrued; except that an action by or on behalf of a minor that has accrued for medical malpractice for injuries sustained at birth shall be commenced prior to the minor’s 13th birthday.78 As stated, this statute only applies to injuries sustained “at birth,” presumably as the result of birth trauma, and would not apply to cases involving the failure to diagnose birth defects or similar claims where the malpractice occurred not at birth but rather during the pregnancy. The statute continues: In the event that an action by or on behalf of a minor that has accrued for medical malpractice for injuries sustained at birth is not commenced by the minor’s parent or guardian prior to the minor’s 12th birthday, the minor or a person 18 years of age or older designated by the minor to act on the minor’s behalf may commence such an action. For this purpose, the minor or designated person 75. Zaccardi v. Becker, 88 N.J. 245, 256 (1982). 76. See N.J.S.A. 2A:53A-38, et seq. 77. N.J.S.A. 2A:14-2. 78. See N.J.S.A. 2A:14-2(a). may petition the court for the appointment of a guardian ad litem to act on the minor’s behalf.79 Similarly, N.J.S.A. 2A:14-21 was amended to provide that any action by or on behalf of a minor that has accrued for medical malpractice for injuries sustained at birth shall be commenced prior to the minor’s 13th birthday, as provided in N.J.S.A. 2A:14-2. Although a discussion of the constitutionality of this provision is beyond the scope of this text, significant constitutional issues are created by a statute which seeks to bar the claim of a child before that child reaches the age of majority. The Discovery Rule Although most attorneys associate the creation of the discovery rule with Lopez v. Swyer,80 the genesis of the discovery rule is found in Fernandi v. Strully,81 which involved a foreign object, a wing nut, which was inadvertently left inside the plaintiff ’s body during surgery. In Fernandi, plaintiff had the operation in April 1955. Plaintiff continued to see the surgeon through 1958 and complained of pain in her back. In August 1958, she had an X-ray that disclosed the presence of a foreign body that had been left during the surgery. Plaintiff filed suit in August 1959. The trial court granted summary judgment due to the fact that more than two years had elapsed between the date of the operation and the institution of the lawsuit. In reversing, the Supreme Court noted that statutes of limitations are designed to stimulate prompt assertion of claims and provide repose when such claims are not asserted. However, the Fernandi Court held that these considerations do not come into play in a case involving a foreign object: [F]oreign object malpractice cases, with which we are particularly concerned, present special 79. See N.J.S.A. 2A:14-2(b). 80. Lopez v. Swyer, 62 N.J. 267 (1973). 81. Fernandi v. Strully, 35 N.J. 434 (1961). considerations which may fairly be said to set them apart. They involve a confidential doctor-patient relationship, the negligent failure to remove a foreign object during the course of the doctor’s operation on his patient, the patient’s total ignorance during the customary period of limitations of that fact or of circumstances suggesting it, the later discovery of the foreign object and the material harm it had done and the patient’s expeditious institution of legal action thereafter. These circumstances eliminate the danger of a belated false or frivolous claim. Departing from the ordinary rule in this special type of situation so as to permit the patient to maintain his legal action after he knows or has reason to know of the existence of his claim would avoid flagrant injustice to him without unduly impairing repose or promoting litigation of the character referred to in Tortorello as ‘too uncertain and too speculative to be encouraged.’82 Thus the Court held that foreign object cases fall within a special grouping or ‘class of cases’ … where the period of limitations may and should fairly and justly be said to begin to run when the plaintiff knows or has any reason to know about the foreign object and the existence of the cause of action based upon its presence.83 The Court concluded: Here the lapse of time does not entail the danger of a false or frivolous claim nor the danger of a speculative or uncertain claim. The circumstances do not permit the suggestion that Mrs. Fernandi may have knowingly slept on her rights but, on the contrary, establish that cause of action was unknown and unknowable to her until shortly before she instituted suit. Justice cries out that she 82. Fernandi v. Strully, 35 N.J. 434, 441-42 (1961). 83. Fernandi v. Strully, 35 N.J. 434, 450 (1961). fairly be afforded a day in court and it appears evident to us that this may be done, at least in this highly confined type of case, without any undue impairment of the two-year limitation or the considerations of repose which underlie it. If, as is to be hoped, the resulting jeopardy to defendants produces a greater measure of care in connection with surgical operations, so much the better.84 The discovery rule was later extended to other types of malpractice cases, and it became well settled that the statute of limitations required plaintiff to file suit within two years after plaintiff knew or had reason to know of the basis for a claim against the defendant. In Yerzy v. Levine,85 plaintiff alleged that the defendant negligently performed gall bladder surgery in January 1964. Plaintiff continued to have problems after the operation and she underwent a second operation in February 1964, which revealed that the common bile duct had been completely severed. The first operation did not involve the common bile duct and although the defendant denied severing it, he conceded that it must have happened during the first operation. Plaintiff alleged that she first found out about the severed common bile duct sometime during the first half of 1966, and she filed suit in October 1966. The defendant moved to dismiss based upon the statute of limitations, and the trial court dismissed the malpractice claims but permitted plaintiff to proceed on a claim of fraudulent concealment. At trial, the court instructed the jury first to determine whether the defendant had been guilty of negligence and then to determine whether there had been a fraudulent concealment of the malpractice. The jury found malpractice but no fraudulent concealment. In reversing, the Appellate Division relied on Fernandi, to support the conclusion that the discovery rule applied to this surgical mishap. The severing of the common duct and the closing of the operative site without repairing it, like the leaving of the wing nut in Fernandi, are actions which themselves bespoke negligence. … We 84. Fernandi v. Strully, 35 N.J. 434, 450-51 (1961). 85. Yerzy v. Levine, 108 N.J. Super. 222 (App. Div. 1970), aff’d o.b., 57 N.J. 234 (1970). conclude that to give plaintiffs their day in court will work no undue impairment of the two-year limitation or the reasons which underlie it.86 The court therefore concluded that the jury must determine whether the plaintiff discovered the malpractice within two years of the filing of the suit.87 (The Supreme Court later held in Lopez, that this was not a jury question but rather a determination to be made by the trial court, see discussion below.) Nevertheless, in affirming based upon the opinion below, the Supreme Court clearly defined the issue: [T]he question with respect to the statute of limitations is whether plaintiff brought this action within two years after plaintiff knew or had reason to know that plaintiff might have a basis for a claim against the defendant.88 The discovery rule was refined in Lopez v. Swyer.89 In Lopez, plaintiff had a radical mastectomy and thereafter was treated with radiation therapy by Dr. Swyer, a radiologist, during January and February 1962. The court described in detail the unfortunate residuals of the radiation, which included fibrosis of the lung, spontaneous rib fractures, necrotic ulcers of the skin, and other injuries. Plaintiff ’s treatment with Dr. Swyer terminated in April 1962. Plaintiff claimed that she became aware of the possibility of malpractice in March 1967, while in a hospital for reconstructive surgery, when she heard her treating doctor state, “and there you see, gentlemen, what happens when the radiologist puts a patient on a table and goes out and has a cup of coffee.”90 The plaintiff filed suit against the radiologist and others in September 1967. The defendants moved for summary judgment, contending that the plaintiff knew or should have known of the malpractice no later than 86. Yerzy v. Levine, 108 N.J. Super. 222, 229-30 (App. Div. 1970), aff’d. o.b., 57 N.J. 234 (1970). 87. Yerzy v. Levine, 108 N.J. Super. 222, 230 (App. Div. 1970), aff’d. o.b., 57 N.J. 234 (1970). 88. Yerzy v. Levine, 57 N.J. 234, 235 (1970). 89. Lopez v. Swyer, 115 N.J. Super. 237 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 90. Lopez v. Swyer, 115 N.J. Super. 237, 245 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 1962, and the trial court dismissed the complaint. In reversing the dismissal, the Appellate Division first noted: Under the so-called ‘discovery rule’ of Fernandi v. Strully, 35 N.J. 434 (1961), for defendant to prevail on a statute of limitations defense it is not enough that a plaintiff knows of the injury for which the claim is made as a residual of the purported offensive treatment, but he must know or have reason to know that such treatment was negligently administered. … [W]e believe that plaintiffs’ knowledge of the causal relationship of these physical injuries to negligent treatment by Swyer remains a fact question concerning which, under the circumstances of this case, the minds of reasonable men could differ.91 The Appellate Division added: Where plaintiff has acted promptly after gaining knowledge of his injuries and their causal connection with negligent treatment, and the passage of time neither lends inspiration to fraudulent claims nor puts defendants at a disadvantage from a standpoint of proofs, we do not believe that the policy considerations concerning repose are paramount to those suggesting justice by a trial on the merits.92 The court based its decision in part upon the fact that the defendant notified his malpractice carrier in October 1962, and therefore there was no prejudice to Dr. Swyer as a result of the delay in filing suit.93 The Supreme Court affirmed, Lopez v. Swyer,94 and created a procedure which has become known as a “Lopez hearing” for the resolution of limitations defenses. Initially, the Supreme Court amended Yerzy, and held that the determination as to the 91. Lopez v. Swyer, 115 N.J. Super. 237, 245-46 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 92. Lopez v. Swyer, 115 N.J. Super. 237, 248 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 93. Lopez v. Swyer, 115 N.J. Super. 237, 243 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 94. Lopez v. Swyer, 62 N.J. 267 (1973). expiration of the statute of limitations is a question of law for the trial court: [W]henever a plaintiff claims a right to relief from the bar of the statute of limitations by virtue of the so called ‘discovery’ rule, the question as to whether such relief is properly available shall be deemed to be an issue for determination by the court rather than by the jury.95 The Supreme Court explained that even though the time of discovery may be a question of fact, it is “[t]he interplay of the conflicting interests of the competing parties” that must be considered and therefore must be made “by a judge conscious of the equitable nature of the issue before him.”96 The Court also held that the determination of the applicability of the discovery rule by the trial court: should ordinarily be made at a preliminary hearing, and outside of the presence of the jury. Generally the issue will not be resolved on affidavits or depositions since the demeanor may be an important factor where credibility is significant. Where credibility is not involved, affidavits, with or without depositions, may suffice; it is for the trial judge to decide. The issue will be whether or not a party, either plaintiff or counter-claimant, is equitably entitled to the benefit of the discovery rule. All relevant facts and circumstances should be considered. The determinative factors may include but need not be limited to: the nature of the alleged injury, the availability of witnesses and written evidence, the length of time that has elapsed since the alleged wrongdoing, whether the delay has been to any extent deliberate or intentional, whether the delay may be said to have peculiarly or unusually prejudiced the defendant. The burden of proof 95. Lopez v. Swyer, 62 N.J. 267, 272 (1973). 96. Lopez v. Swyer, 62 N.J. 267, 275 (1973). will rest upon the party claiming the indulgence of the rule.97 In a footnote, the Supreme Court noted that where the same evidence to be presented at trial is relevant to the statute of limitations issue, the judge may elect to go forward and rule at the end of the plaintiff’s case or after all proofs are in, as is appropriate.98 The Court cautioned that when this procedure is followed, the trial court should excuse the jury during the introduction of any evidence which is relevant only to the limitations issue. Filing within Two Years from the Date of Discovery The caselaw provides much guidance regarding the proper application of the discovery rule. The issue of whether a plaintiff has a full two years from the date of discovery, or must file suit within a reasonable amount of time after discovery of the malpractice, was addressed in Fox v. Passaic General Hospital.99 In Fox, plaintiff had surgery in October 1970. Plaintiff had a post-surgical intra-abdominal abscess drained in November 1970. In February 1971, she went to the emergency room because of continued pain, and an X-ray taken at that time demonstrated that a drain from the original surgery had not been removed. The drain was removed in March 1971 and plaintiff filed suit against the doctor in the same month. Plaintiff settled the case against the doctor shortly thereafter and then filed suit against the hospital and a nurse in December 1972, more than two years after the malpractice occurred but less than two years after plaintiff discovered the presence of the foreign object. The defendants moved for summary judgment, arguing that plaintiff had sufficient time to file suit prior to the expiration of the statute of limitations, and the trial court dismissed the case. The Appellate Division reversed, holding that since plaintiff did not know about the existence of the drain in her abdomen until the X-ray was taken in February 1971, the suit against the hospital was filed within the two years provided by the statute 97. Lopez v. Swyer, 62 N.J. 267, 275-76 (1973) (citations omitted). 98. Lopez v. Swyer, 62 N.J. 267, 275 n.3 (1973). 99. Fox v. Passaic Gen. Hosp., 135 N.J. Super. 108 (App. Div. 1975), aff’d, 71 N.J. 122 (1976). of limitations. The court based its decision on the equitable considerations: The lapse between the time that the drain was first missed on October 30, 1970 and the institution of this action on December 1, 1972, (approximately 25 months) did not create the danger of a false, frivolous, speculative or uncertain claim. The claim does not raise questions as to plaintiff’s credibility, nor does it rest on matters of professional diagnosis, judgment or discretion. Plaintiff’s claim rests on the presence of a foreign object within her abdomen following the post-operative care by … [the defendant] and defendant hospital and its employee nurses. … Moreover, the witnesses and all written evidence, including all hospital records, are available. There is no suggestion that the delay had prejudiced defendants in any way.100 The Supreme Court affirmed.101 The Court decided that for practical reasons plaintiff must be entitled to file suit for two years from the date the plaintiff discovered the cause of action. The Court stated that there was no utility in a rule which would add to the difficulties already faced by a trial judge in determining, under Lopez, the date of ‘discovery’ of the cause of action by the plaintiffs, the task of resolving in every case the ‘reasonableness’ vel non of the time left for the commencement of an action between the date of discovery and the expiration of the two years from the actionable occurrence.102 The Court concluded that it is “convenient as well as logical” simply to allow plaintiff to pursue the cause of action within two years of the date of discovery of the cause of action. However, the Court cautioned that there may be exceptions to this general rule: 100. Fox v. Passaic Gen. Hosp., 135 N.J. Super. 108, 112 (App. Div. 1975), aff’d, 71 N.J. 122 (1976). 101. Fox v. Passaic Gen. Hosp., 71 N.J. 122 (1976). 102. Fox v. Passaic Gen. Hosp., 71 N.J. 122, 126 (1976). As already intimated, however, the general rule we here declare must be administered in such manner as not unduly to affect the defendant’s right to equitable treatment. The discovery rule possesses the inherent capacity for prejudice to a defendant since the principle of repose inherent in the statute of limitations is necessarily diluted when an action is instituted beyond a statutory period after the defendant’s actionable conduct. See Lopez v. Swyer, supra, 62 N.J. at 274. We therefore are of the view, and hold, that if a defendant can establish (a) that the lapse of time between the expiration of two years after the actionable event and the date of the institution of the suit ‘peculiarly or unusually prejudiced the defendant’, Id. at 276; and (b) that there was a reasonable time for plaintiff to institute his action between discovery of the cause of action and expiration of said two years after the actionable event, the cause of action may be dismissed on limitations grounds.103 The Supreme Court also instructed that it remains the plaintiff’s burden of proof as to the date of discovery and that this rule only applies to cases where the cause of action is discovered within two years. The Court expressly withheld decision as to cases where the cause of action is not discovered within two years of the date of the malpractice.104 The Supreme Court reached a similar conclusion in Moran v. Napolitano,105 where plaintiff had been treated by the defendants through October 1971. In March 1972, plaintiff consulted a lawyer to investigate the possibility of a malpractice case. In June 1972 plaintiff’s subsequent treating physician stated to plaintiff’s counsel that although he did not believe that the plaintiff received proper treatment, he could not state that the defendants were guilty of malpractice. In December 1972, counsel for plaintiff obtained an 103. Fox v. Passaic Gen. Hosp., 71 N.J. 122, 127-28 (1976). 104. Fox v. Passaic Gen. Hosp., 71 N.J. 122, 128 (1976). 105. Moran v. Napolitano, 71 N.J. 133 (1976). opinion from a physician stating that the defendants committed malpractice. Plaintiff did not file suit until January 1974. The Supreme Court held that discovery of the cause of action occurred in June 1972, when the subsequent treating doctor advised counsel for the plaintiff that the treatment provided to plaintiff was improper. Therefore, the plaintiff’s action was timely, “having been filed within two years of her discovery of [the] cause of action.”106 Justice Clifford dissented, arguing that a plaintiff who discovers a cause of action after the statute of limitations has expired should be required to file his suit “expeditiously,” and that a plaintiff who discovers the cause of action before the expiration of the statute of limitations should be required to file suit within a reasonable time. Justice Clifford noted that the plaintiff was “sufficiently suspicious” to trigger the statute of limitations by March 1972 when she consulted a lawyer, and would have held that the statute of limitations barred the suit of plaintiff because more than reasonable time remained for them expeditiously—even casually, languidly, desultorily, at their leisure—to institute suit. Ordinarily in the context of statute of limitations, we speak in terms of sleeping on one’s rights; but this case comes closer to outright hibernation.107 Nevertheless, Moran is significant for the holding that the statute of limitations is not necessarily triggered by the mere consultation with an attorney. Discovery Rule Triggered by Knowledge of Fault The discovery rule is triggered by knowledge of fault, but is not delayed until the plaintiff is advised of the possibility of a cause of action by an attorney. This point was emphasized in Burd v. New Jersey Telephone Company,108 where plaintiff had a heart attack while using a glue with a particular substance, THF, and claimed that the glue caused the heart attack. The heart attack occurred in September 1971, and the suit was not filed until May 1974. After judgment was entered for the plaintiff, the Appellate Division 106. Moran v. Napolitano, 71 N.J. 133, 137 (1976). 107. Moran v. Napolitano, 71 N.J. 133, 144 (1976) (Clifford, J. dissenting). 108. Burd v. N.J. Tel. Co., 76 N.J. 284 (1978). reversed and held that the case should have been dismissed due to the statute of limitations. The Supreme Court affirmed and held: It was not our intent, in the language from Lopez quoted at the head of this opinion, to hold that a claimant’s time to sue, for limitations purposes, does not begin to run until he knows or is advised by a lawyer that facts of which he does, or should, reasonably have knowledge, give rise to a legal cause of action against a particular defendant.109 The Court held that this rule applies to any personal injury claim, including malpractice actions, and that the cause of action accrues when “plaintiff learns, or reasonably should learn, the existence of that state of facts which may equate in law with a cause of action.”110 Since it was clear that plaintiff knew of the causal relationship between the glue and the heart attack at or about the time the heart attack occurred, the Supreme Court concluded that his claim was time barred. Justice Handler dissented, arguing that plaintiff could not have discovered the cause of action until advised by his attorney that he had expert reports linking the glue and the heart attacks. Justice Handler would have held that a lawsuit is timely unless defendant could show unusual prejudice and there was a reasonable time for plaintiff to institute the suit prior to expiration of the statute of limitations.111 The same conclusion was reached in Rankin v. Sowinski,112 where plaintiff alleged that the defendant negligently extracted an impacted wisdom tooth in February 1964. Within days of the extraction of the tooth, plaintiff consulted with two other dentists because of problems she had been having with her jaw after the extraction. Plaintiff saw no other dentist until August 1968, when she conferred with her attorney, who had her see a dentist in New York City. Plaintiff did not file suit until January 1969. The trial court denied the defendant’s motion for summary judgment, concluding that although plaintiff had sustained an injury to the jaw during the extraction, the statute of limitations did not begin to run 109. Burd v. N.J. Tel. Co., 76 N.J. 284, 291 (1978). 110. Burd v. N.J. Tel. Co., 76 N.J. 284, 291 (1978). 111. Burd v. N.J. Tel. Co., 76 N.J. 284, 299-304 (1978). 112. Rankin v. Sowinski, 119 N.J. Super. 393 (App. Div. 1972). until plaintiff realized the nature and extent of her injuries. The defendants appealed, arguing that plaintiff knew her jaw was injured as early as March 1964. The Appellate Division reversed, stating, Plaintiff knew her jaw had been injured by Dr. Sowinski in March 1964 within two or three days after the extraction. The fact that she had been injured had been confirmed during her subsequent examinations by Dr. Ruff and Dr. Donner. There was no evidence to support her contention that she did not discover the nature of her injury until she was examined by Dr. Berlove after conferring with her attorney in September 1968.113 The court rejected the argument that the statute does not begin to run until the plaintiff not only knew she had been injured, but also knew that the defendant was negligent.114 To say that she had to know or be informed that she had a cause of action before the statute would begin to run would be unreasonable. … To accept the premise that the statute did not begin to run until she was advised by her attorney or Dr. Berlove in September 1968 that she had a cause of action for malpractice (which, incidentally, is not supported by the record) would be to disregard the policy of repose, which underlies the statute of limitations, thus extending the threat of litigation indefinitely.115 The Supreme Court has held, however, that the plaintiff must have reason to know of the fault of another before the statute of limitations begins to accrue. This point is demonstrated in Savage v. Old Bridge-Sayreville Medical Group.116 In Savage, plaintiff brought suit when she was 27 years old, alleging that she suffered tooth discoloration due to the use of tetracycline as a child. The plaintiff testified that when she was nine or ten years 113. Rankin v. Sowinski, 119 N.J. Super. 393, 400 (App. Div. 1972). 114. Rankin v. Sowinski, 119 N.J. Super. 393, 400 (App. Div. 1972). 115. Rankin v. Sowinski, 119 N.J. Super. 393, 401 (App. Div. 1972). 116. Savage v. Old Bridge-Sayreville Med. Grp., 260 N.J. Super. 417 (App. Div. 1992), aff’d, 134 N.J. 241 (1993). old, her mother told her that the discolored teeth may have been caused by taking antibiotics as a child. Plaintiff’s mother testified that she was informed by one of the plaintiff’s childhood dentists that the discoloration was most likely due to antibiotics her daughter received as a child. Plaintiff conceded that in her teens and twenties she understood the correlation between the administration of the antibiotics and her discolored teeth but that she was not aware of the potential claim for such damages until she saw a 1988 advertisement by a lawyer regarding legal actions for such claims. The trial court dismissed the case due to plaintiff’s failure to file suit within two years of the reaching of the age of majority, concluding that plaintiff was aware that the medication given to her may have caused the discoloration. In reversing, the Appellate Division first noted that prior discovery rule cases fell into one of three categories: (1) foreign objects left in a patient’s body; (2) cases where plaintiff is aware of the damage, but not aware of the cause of the damage; and (3) cases where plaintiff knows of the damage and has been advised that there was no one at fault. The Appellate Division concluded that Savage presented a fourth case, where plaintiff: knew the fact and extent of her injury (the tooth discoloration) and the causative agent (a medication administered during childhood). There apparently were no active efforts on the part of the potential tortfeasors to mislead plaintiff or her mother. What may differentiate this case from the others, however, is that without being misled, plaintiff may simply have had no reasonable basis to equate the administration of the tetracycline to the fault or wrongdoing of another. … …. … In the case before us, plaintiff was aware of causation in fact, but she was allegedly unaware that there had been fault.117 117. Savage v. Old Bridge-Sayreville Med. Grp., 260 N.J. Super. 417, 421-22 (App. Div. 1992), aff’d, 134 N.J. 241 (1993). The Appellate Division therefore reversed, holding that the accrual of the cause of action does not occur where the plaintiff reasonably is unaware either that he had been injured, or that the injury is due to the fault or neglect of an identifiable individual or entity.118 In noting that the issue was whether plaintiff was “equitably entitled to the benefit of the discovery rule,”119 the Appellate Division remanded the case for a “balancing of plaintiff’s rights against those of a potential defendant.” The court instructed: The Lopez motion is not a motion for summary judgment. The court thus cannot expect the plaintiff to be prepared before discovery has been concluded, to meet all defenses. A defendant, however, may still come forward and show the court that there is such little likelihood of plaintiff’s success that equity should not permit defendant to be put through the time and expense of a trial. While such proofs may be unusual at a Lopez hearing, the court should not cast a blind eye to the realities of the situation before it. The trial judge must apply an objective standard and determine whether a reasonable person in plaintiff’s position should have known that the drugs given to her as a young child may have injured her through the fault of another, and that thus she should have sought appropriate professional assistance.120 The Supreme Court affirmed.121 Initially, the Supreme Court noted that the “core meaning” of the discovery rule is the injured party’s knowledge that the injuries were related to another person’s conduct.122 The Court recalled that in Lopez, it held that the statute of limitations was deemed to commence when the plaintiff knew 118. Savage v. Old Bridge-Sayreville Med. Grp., 260 N.J. Super. 417, 424 (App. Div. 1992), aff’d, 134 N.J. 241 (1993). 119. Savage v. Old Bridge-Sayreville Med. Grp., 260 N.J. Super. 417, 425 (App. Div. 1992), aff’d, 134 N.J. 241 (1993). 120. Savage v. Old Bridge-Sayreville Med. Grp., 260 N.J. Super. 417, 425-26 (App. Div. 1992), aff’d, 134 N.J. 241 (1993). 121. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241 (1993). 122. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241, 246 (1993). not only of the illness but also its causal relationship with the alleged negligence.123 ‘Fault’ in the context of the discovery rule is simply that it is possible—not provable or even probable— that a third person’s conduct that caused the injury was itself unreasonable or lacking in due care. In other words, knowledge of fault does not mean knowledge of a basis for legal liability or a provable cause of action; knowledge of fault denotes only facts suggesting the possibility of wrong doing. Thus, knowledge of fault for purposes of the discovery rule has a circumscribed meaning: it requires only the awareness of facts that would alert a reasonable person exercising ordinary diligence that a third party’s conduct may have caused or contributed to the cause of the injury and that conduct itself might possibly have been unreasonable or lacking in due care.124 The Court explained that “knowledge of injury plus knowledge of cause” does not equal “knowledge of fault” and therefore the case must be remanded to determine whether the plaintiff was negligent in not becoming earlier aware of fault in the administration of the medicine.125 Justice Clifford, in a strong dissent joined by Justices Pollock and Garibaldi, recalled that in Burd v. New Jersey Telephone Co.,126 and Agar v. Lederle Laboratories,127 the statute of limitations was triggered by knowledge of: ‘[T]hat state of facts which may equate in law with a cause of action. There is no suggestion in any of the leading cases in this area that accrual of the cause of action is postponed until plaintiff learns or should learn the state of law positing a right 123. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241, 246-47 (1993). 124. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241, 248 (1993). 125. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241, 249 (1993). 126. Burd v. N.J. Tel. Co., 76 N.J. 284 (1978). 127. Agar v. Lederle Labs., 123 N.J. 450 (1991). of recovery upon the facts already known to or reasonably knowable by the plaintiff.’128 A plaintiff must exercise diligence to investigate a potential cause of action. This point was emphasized in Drazin v. Ortho Pharmaceutical Corp.129 In Drazin, plaintiff experienced numbness and burning in her hand in December 1973, and she attributed these symptoms to the use of certain contraceptives. Plaintiff sued two drug manufacturers in January 1975, alleging that the contraceptives necessitated that she undergo two arterial bypass operations. In August 1976, the plaintiff’s treating physician was deposed and he testified that he was aware of certain side effects of the drugs in April 1973, when he prescribed the contraceptives to plaintiff. Plaintiff moved to amend her complaint to name the physician, asserting that she was not aware of any possible cause of action against the physician until the deposition.130 Plaintiff argued, inter alia, that she was entitled to the benefit of the discovery rule, citing Fernandi and Lopez.131 The court acknowledged that plaintiff’s position is that she did not know nor should she have known of any causal relationship between her injury in December 1973 and the failure of her physicians to advise her of the possible dangerous side effect of the contraceptives.132 However, the court also noted that the plaintiff knew of her injury in December 1973 and knew by April 1974 that there was a possible relationship between the injury and the contraceptives. The court also noted that the plaintiff always knew that the doctors had not warned her of the possible side effects. The court therefore concluded that the plaintiff was barred from amending the complaint to name the physician by virtue of the statute of limitations, because if the plaintiff had made even a 128. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241, 251 (1993) (Clifford, J. dissenting) (citing Burd v. N.J. Tel. Co., 76 N.J. 284, 291-92 (1978)) (emphasis removed). 129. Drazin v. Ortho Pharm. Corp., 148 N.J. Super. 56 (Law Div. 1977), aff’d sub. nom. Drazin v. Shanik, 171 N.J. Super. 76 (App. Div. 1979). 130. Drazin v. Ortho Pharm. Corp., 148 N.J. Super. 56, 58 (Law Div. 1977), aff’d sub. nom. Drazin v. Shanik, 171 N.J. Super. 76 (App. Div. 1979). 131. Drazin v. Ortho Pharm. Corp., 148 N.J. Super. 56, 58 (Law Div. 1977), aff’d sub. nom. Drazin v. Shanik, 171 N.J. Super. 76 (App. Div. 1979). 132. Drazin v. Ortho Pharm. Corp., 148 N.J. Super. 56, 61 (Law Div. 1977), aff’d sub. nom. Drazin v. Shanik, 171 N.J. Super. 76 (App. Div. 1979). “perfunctory investigation” as to the nature of the contraceptives in April 1974, she would have discovered the drug’s potentially dangerous propensities. The court noted that the medications were distributed with warnings and that the warnings were available in the Physicians’ Desk Reference and pamphlets which are distributed to physicians and made available to patients. The trial court therefore concluded that the plaintiff knew or should have known of the proposed claim in April 1974, and therefore, the proposed amendment more than two years later was untimely and must be denied with prejudice.133 However, there is authority for the proposition that the statute of limitations should generally not be the grounds to deny plaintiff the right to amend a complaint to add new parties. In Bernstein v. Cheslock,134 plaintiff alleged that his wife died in February 1977 as a result of the negligence of the defendants in treatment of her ovarian cancer. In July 1979, during the course of pretrial discovery, plaintiff was advised that another physician, not named as a defendant, was the doctor who actually prescribed the medications which led to the death of his wife. Plaintiff immediately moved to amend the complaint, but at the motion, the trial court raised the issue of the statute of limitations and determined that, since the name of this physician was discoverable more than two years prior to the date of the motion to file the amended complaint, the claim was barred by the statute of limitations. The motion court therefore denied the plaintiff’s motion to amend the complaint. The Appellate Division reversed, stating that in medical malpractice cases, the determination required by the trial court pursuant to Lopez, cannot be made on a motion to amend the complaint.135 It is our view that where a proposed amended complaint, such as in the malpractice action here involved, or the affidavit submitted in support of the motion for leave to amend, sets forth at least prima facie that the factual basis for the cause of action sought to be asserted was not discovered or 133. Drazin v. Ortho Pharm. Corp., 148 N.J. Super. 56, 61-63 (Law Div. 1977), aff’d sub. nom. Drazin v. Shanik, 171 N.J. Super. 76 (App. Div. 1979). 134. Bernstein v. Cheslock, 171 N.J. Super. 566 (App. Div. 1979). 135. Bernstein v. Cheslock, 171 N.J. Super. 566, 569-70 (App. Div. 1979). reasonably discoverable prior to the expiration of the statute of limitations, the fact-finding process required of the trial judge would preclude the denial of the motion to amend, since the determination at that stage of the proceedings that plaintiff is not entitled to invoke the discovery rule would clearly be premature, bearing in mind the factors to be considered as enumerated in Lopez v. Swyer, supra, among which, it should be noted, is a showing by defendant that he would be ‘peculiarly or unusually prejudiced.’ See Fox v. Passaic General Hospital, 71 N.J. 122, 128 (1976).136 Thus, ordinarily plaintiff should be permitted to amend the complaint and obtain discovery, and any attempt by the newly added defendants to dismiss the case must be pursuant to a Lopez hearing. Fact of Injury, Not Injury’s Extent, Triggers Statute of Limitations It should be emphasized that it is the fact of injury, not the extent of injury, which triggers the running of the statute of limitations. This point was made clear in Silverman v. Lathrop,137 where plaintiff alleged that the defendant failed to diagnose a tumor which metastasized and caused the death of plaintiff’s decedent. The patient first noticed a small dark spot on his leg in April 1972. He consulted the defendant in July 1972 at which time defendant removed the lesion but did not perform a biopsy. In October 1972, plaintiff’s decedent returned to the defendant, who then became suspicious of a malignant melanoma. A biopsy was taken and it confirmed the diagnosis. Plaintiff’s decedent began treatment in November 1972. In April 1975, a liver scan suggested that the plaintiff had metastatic liver cancer. Plaintiff’s decedent immediately consulted with an attorney who filed suit in October 1975. The plaintiff’s decedent died in December 1975. The defendant moved for summary judgment as to the survival claims pursuant to N.J.S.A. 2A:15-3 and -4. Plaintiff contended that the statute of limitations did not begin to run until 136. Bernstein v. Cheslock, 171 N.J. Super. 566, 570 (App. Div. 1979). 137. Silverman v. Lathrop, 168 N.J. Super. 333 (App. Div. 1979). NJ MedMal_FullBook.indb 799 5/27/14 5:41:22 PM 1975 when plaintiff’s decedent first consulted with counsel. In rejecting the argument, the court relied on Burd v. N.J. Telephone Co.138 The Appellate Division affirmed the trial court’s grant of summary judgment: [A]ll relevant facts were known to Silverman as of December 1972 and therefore the action filed on October 31, 1975 was out of time. … The testimony clearly supports the trial judge’s finding that by December 1972 [plaintiff] was well aware of all the implications of his condition and of defendant’s possible medical dereliction in not obtaining a biopsy following the first excision in July 1972. By December 1972, following his radical surgery, defendant knew of his confirmed diagnosis of malignant melanoma with a Stage II, or regional, metastasis. The fact that the terminal metastasis to the liver was not medically confirmed until June 1975 did not defer the ripening of the cause of action until that time. This fact of terminal metastasis to the liver goes to the extent of damages, not to the accrual of the cause of action for personal injury.139 Similarly, in Troum v. Newark Beth Israel Medical Center,140 the plaintiff’s husband was given a blood transfusion in 1984. In April 1987, the plaintiffs were advised that the blood transfusion was contaminated with the HIV virus, and the plaintiff’s husband tested positive for the HIV virus at that time. The plaintiff testified that it was not until 1989 that she and her husband realized someone may be at fault for administering the tainted transfusion. The plaintiffs brought suit in March 1990. However, shortly after bringing suit, the plaintiffs decided to dismiss the case primarily because Mr. Troum was suffering from depression “and did not want to spend his remaining days fighting a contentious lawsuit.”141 The case was dismissed in September 1990. In October 1990, the 138. Burd v. N.J. Tel. Co., 76 N.J. 284 (1978). 139. Silverman v. Lathrop, 168 N.J. Super. 333, 339-40 (App. Div. 1979). 140. Troum v. Newark Beth Israel Med. Ctr., 338 N.J. Super. 1 (App. Div. 2000). 141. Troum v. Newark Beth Israel Med. Ctr., 338 N.J. Super. 1, 11 (App. Div. 2000). plaintiff’s husband was diagnosed with “full-blown AIDS.”142 The plaintiff’s husband died in June 1993 and she filed her suit in September 1994, 15 months after her husband’s death. After a verdict in favor of the plaintiff, the defendants appealed, arguing that the statute of limitations began to run on the survival claim when the decedent tested positive for HIV, not when the decedent was diagnosed with AIDS. In reversing the verdict for the survival claim in favor of plaintiff, the Appellate Division stated: Because the medical evidence establishes that HIV and AIDS occur as a seamless progression of a single pathology, we reject plaintiff’s argument that each condition is a separate and distinct illness triggering a new statute of limitations. We hold that the survival action accrued when plaintiff tested positive for HIV and knew that his infection was caused by another’s negligence.143 Increased Risk of Harm, Latent Disease, Cancer Recurrence: Statute of Limitations Begins to Run Only After Harm Occurs While uncertainty regarding the extent of harm does not toll the statute, uncertainty about whether a particular harm will arise at all does toll the statute of limitations. Cases involving the delay in the diagnosis and treatment of cancer or other diseases, for example, often raise a common statute of limitations issue, since the patient may not know that permanent damage has been caused until the metastasis or other delayed manifestation of the disease is discovered. This issue was addressed in the context of a toxic tort case in Ayers v. Jackson Township,144 where plaintiffs sought damages for the contamination of their well water by toxic chemicals leeching from a landfill operated by defendant. The Supreme Court noted that the discovery rule tolls the statute of limitations until a victim 142. Troum v. Newark Beth Israel Med. Ctr., 338 N.J. Super. 1, 10 (App. Div. 2000). 143. Troum v. Newark Beth Israel Med. Ctr., 338 N.J. Super. 1, 6 (App. Div. 2000). 144. Ayers v. Jackson Twp., 106 N.J. 557 (1987). discovers both the injury and the facts suggesting that a third party may be responsible.145 The Court held: [I]t is appropriate that all of the parties in interest understand that neither the single controversy doctrine nor the statute of limitations, N.J.S.A. 2A:14-2, will preclude a timely-filed cause of action for damages prompted by the future ‘discovery’ of a disease or injury related to the tortious conduct at issue in this litigation. The bar of the statute of limitations is avoided because, under New Jersey’s discovery rule, the cause of action does not accrue until the victim is aware of the injury or disease and of the facts indicating that a third party is or may be responsible.146 The Court further held that the entire controversy doctrine does not apply since the cause of action “does not accrue until the disease is manifested; hence, it could not have been joined with earlier claims.”147 The courts have reached a similar conclusion in the medical malpractice setting. Where the negligence has only increased the risk of some harm in the future, such as a recurrence of cancer, but the harm has not yet occurred, the cause of action does not begin to accrue, and the statute of limitations does not begin to expire, until the harm occurs. In Karol v. Berkow,148 plaintiff alleged that the defendant failed to diagnose and treat a malignant melanoma. The plaintiff saw the defendant in August 1983, complaining about a mole, but the diagnosis of a malignant melanoma was not made until August 1984. Plaintiff filed suit within two years of the date of discovery of the melanoma, and plaintiff’s expert testified that the one year delay in diagnosis increased plaintiff’s chance of dying from 3 percent to 23 percent. Since plaintiff had no clinical evidence of recurrence, the complaint was dismissed without prejudice. In 1989, plaintiff was diagnosed with metastatic malignant melanoma. In February 1991, plaintiff filed a new 145. Ayers v. Jackson Twp., 106 N.J. 557, 582 (1987). 146. Ayers v. Jackson Twp., 106 N.J. 557, 583 (1987). 147. Ayers v. Jackson Twp., 106 N.J. 557, 583 (1987). 148. Karol v. Berkow, 254 N.J. Super. 359 (App. Div. 1992). complaint against the defendant alleging negligence in the diagnosis of a melanoma. The defendant moved to dismiss based upon the statute of limitations. The trial court dismissed, concluding that the cause of action accrued in 1984, although plaintiff did not know the full extent of his injury. The Appellate Division reversed, noting that increased risk of harm cases permit plaintiff to recover damages if the negligence increased the risk of a recurrence and the increased risk was a substantial factor in bringing about the condition from which plaintiff suffers.149 In concluding that the cause of action does not accrue until the risk “becomes a reality,”150 the appellate court noted that the Supreme Court has refused to recognize a cause of action for increased risk of harm where the harm has not occurred and plaintiff cannot quantify or otherwise show the likelihood of future harm as a matter of probability.151 The Karol court therefore concluded, “the increased-risk-of-harm cause of action did not accrue until the apprehended harm—the metastasis—became a reality in 1989.”152 In Campo v. Tama,153 plaintiff alleged that the defendant negligently failed to diagnose breast cancer. The plaintiff was examined by the defendant in March 1985 and the defendant diagnosed fibrocystic breast disease. She was sent for a mammogram that disclosed microcalcifications, and plaintiff was again examined by the defendant in October 1985 and in March 1986. At the last examination plaintiff advised the defendant that her breast was so tender she could not lie on her stomach. The plaintiff was sent for another mammogram and a follow-up biopsy that disclosed a malignant tumor. She thereafter underwent a modified radical mastectomy, involving removal of the breast, underlying muscle and lymph nodes. The tumor had metastasized to one lymph node and plaintiff underwent six months of chemotherapy. The Court noted that there was no recurrence of the cancer in the intervening 149. Karol v. Berkow, 254 N.J. Super. 359, 362-63 (App. Div. 1992) (citing Evers v. Dollinger, 95 N.J. 399 (1984)). 150. Karol v. Berkow, 254 N.J. Super. 359, 363 (App. Div. 1992). 151. Karol v. Berkow, 254 N.J. Super. 359, 367 (App. Div. 1992). 152. Karol v. Berkow, 254 N.J. Super. 359, 367-68 (App. Div. 1992). 153. Campo v. Tama, 133 N.J. 123 (1993). NJ MedMal_FullBook.indb 803 5/27/14 5:41:22 PM seven years. Although the jury found the defendant physician not negligent, the Court addressed the viability of a claim for recurrence of cancer. The Court advised that if the cancer recurred, “the claim could be asserted if and when the disease occurred. Neither the statute-of-limitations or the single-controversy doctrine would preclude the claim.”154 Discovery of Proper Defendant Amended Complaint Relates Back An amended complaint filed soon after discovery of the identity of the defendant will relate back to the filing of the initial complaint. In Brown v. Kennedy Memorial Hospital,155 the court affirmed the denial of a motion to dismiss based upon the statute of limitations. The court concluded that the plaintiff first learned of the new defendant’s identity during the deposition of a codefendant and immediately filed a motion to substitute the moving defendant for a previously fictitiously named defendant. The court noted that the hospital records were mostly illegible.156 Although the new defendant’s name did appear in a typewritten discharge summary and in another instance the name was fairly clear in the medical record, the Appellate Division cited the fact that a named defendant has misled and deceived plaintiff. See Viviano v. CBS, Inc., 101 N.J. 538, 544 (1986). Here, named defendants failed to specifically answer interrogatories when asked the names of all treating physicians but referred plaintiff to hospital records. Additionally, Abraham, who practiced medicine with Cohen, a named defendant, could point to no prejudice arising from late service of process. Clearly, Abraham knew that plaintiff had instituted suit against his medical associate Cohen. The doctrine of relation back is applicable 154. Campo v. Tama, 133 N.J. 123, 130 (1993) (citing Ayers v. Jackson Twp., 106 N.J. 557, 583 (1987)). 155. Brown v. Kennedy Mem’l Hosp., 312 N.J. Super. 579 (App. Div. 1998). 156. Brown v. Kennedy Mem’l Hosp., 312 N.J. Super. 579, 587 (App. Div. 1998). particularly where there is no prejudice to the late identified defendant.157 The court then noted that a fourth amended complaint dated back to the filing of the initial complaint, because: “only distinctly new or different claims are barred, not those pertaining to the same subject matter.”158 The Appellate Division concluded that the allegations in the fourth amended complaint, dealing with the failure to obtain consultations, arose out of the same conduct referred to in the original complaint. An interesting analysis of the relation back doctrine is found in Lombardi v. Simon,159 where plaintiff brought suit alleging that the negligence of an anesthesiologist caused the death of his son. In the initial complaint, plaintiff named Dr. Wen-Hong Chen, the anesthesiologist plaintiff thought was responsible. Plaintiff amended the complaint to name Dr. Te-Hong Chen, the actual anesthesiologist, as a defendant, but the amended complaint was not filed within two years of the date of his son’s death. The new defendant, Dr. Te-Hong Chen, moved for summary judgment based upon the two year statute of limitations in the Wrongful Death Act. The court held that the amended complaint related back to the date of the initial complaint which was timely filed. The court noted that in order for a complaint to relate back, three factors must be satisfied: (1) the claim in the amended complaint must have arisen out of the conduct complained about in the initial complaint; (2) the new defendant has sufficient notice so as not to be prejudiced; and (3) the new defendant knew or should have known but for the misidentification that suit would have been brought against the new defendant. The court noted that the first element was obviously satisfied. The court also held that the second and third elements were satisfied since it was reasonably foreseeable that all the doctors present when Mr. Lombardi died on the operating table would expect a wrongful death suit to be forthcoming. Thus, defendant, Te-Hong Chen 157. Brown v. Kennedy Mem’l Hosp., 312 N.J. Super. 579, 588 (App. Div. 1998). 158. Brown v. Kennedy Mem’l Hosp., 312 N.J. Super. 579, 589 (App. Div. 1998). 159. Lombardi v. Simon, 266 N.J. Super. 708 (Law Div. 1993). received sufficient notice of the wrongful death claim.160 The court also concluded that there would be no prejudice to the defendant since both of the anesthesiologists practiced out of the same office and had the same insurance carrier. The court therefore concluded that the claim was timely. In Walker v. Choudhary,161 the Appellate Division examined the interaction between the statute of limitations and the “relationback” doctrine as provided by New Jersey Court Rule 4:9-3. The plaintiff alleged that the negligence of the defendants during decedent’s treatment at the hospital November 30, 2005 resulted in her decedent’s death on December 5, 2005.The plaintiff filed suit on November 20, 2007, against a hospital, three doctors employed in the emergency department of the hospital, and the medical practice group that employed the physicians. After learning that Dr. Kiger was actually the ER doctor treating defendant, on February 28, 2008, the plaintiff’s attorney filed a motion to amend the complaint to add Dr. Kiger as a defendant, and on April 10, 2008, the plaintiff filed an amended complaint naming Dr. Kiger as a defendant.162 Dr. Kiger moved to dismiss based upon the statute of limitations, which was granted on August 1, 2008. The medical group that employed Dr. Kiger then successfully moved for summary judgment dismissing claims of vicarious liability for Dr. Kiger’s negligence.163 On appeal, the plaintiff asserted that the claims plaintiff sought to assert against Dr. Kiger should have been deemed to relate back to the filing date of the original complaint pursuant to New Jersey Court Rule 4:9-3. In reversing, the appellate panel observed that this rule requires a determination of whether, during the limitations period, the party to be joined ‘received such notice of the institution of the action that the party will not be prejudiced in maintaining 160. Lombardi v. Simon, 266 N.J. Super. 708, 714 (Law Div. 1993). 161. Walker v. Choudhary, 425 N.J. Super 135 (App. Div. 2012). 162. Walker v. Choudhary, 425 N.J. Super 135, 140-41 (App. Div. 2012). 163. Walker v. Choudhary, 425 N.J. Super 135, 141 (App. Div. 2012). a defense on the merits[.]’ Ibid. The rule’s scope allows for a plaintiff to add a defendant to an action for a claim that has since become time-barred so long as the new defendant ‘had such notice, albeit informal, of the action prior to the running of the statute of limitations that he [or she] would not be prejudiced in maintaining his [or her] defense on the merits.’ Pressler & Verniero, Current N.J. Court Rules, comment 4 on R. 4:9-3 (2012). Additionally, the remaining aspect of Rule 4:9-3 to be considered is whether a defendant must have known or should have known within the statute of limitations period that but for the plaintiff’s mistake in not naming her as a defendant, the action would have been brought against her personally. See ibid.164 The Appellate Division, noting that Dr. Kiger was employed by the same medical group as the original individual defendants, cited Dr. Kiger’s deposition testimony which revealed that she may have had knowledge of the lawsuit prior to the expiration of the statute of limitations. When asked whether she had spoken to Choudhary about the case, Kiger replied that she had, ‘[a]pproximately two years ago to a year ago at the time the papers were served.’ Again, when Kiger was asked whether she had spoken with Diorio about the case, she replied that she had, ‘[w]hen he was first served.’ This testimony, while not conclusive as to whether Kiger had knowledge of the lawsuit prior to the expiration of the statutory period, clearly contradicts her certification in support of her motion for summary judgment. … Because Kiger’s deposition testimony contradicted her certification, the motion judge should have conducted an evidentiary hearing, of the type prescribed by Lopez v. Swyer, 62 N.J. 267 (1973), to determine when Kiger first learned 164. Walker v. Choudhary, 425 N.J. Super 135, 143 (App. Div. 2012). about the pending litigation and whether the late filing prejudiced her defense.165 The Appellate Division explained that in Lopez, the Supreme Court has stated that while ‘[i]t is true that the time of discovery is a question of fact,’ it should be determined by ‘a judge conscious of the equitable nature of the issue before him.’166 The Appellate Division also rejected the notion that dismissal of Dr. Kiger on limitations grounds was justified because she was mentioned as decedent’s physician in the medical records ‘prominently in two other places,’ and that ‘this is not a case where there were scores of pages of medical records and somewhere obscurely in the middle of that ... Kiger was mentioned.’167 The court added: Here, there appears little doubt that decedent’s records disclosed Kiger’s identity as decedent’s treating physician before plaintiff ultimately sought to join her after the passage of the limitations period set forth in N.J.S.A. 2A:31-3 and N.J.S.A. 2A:14-2. Although Diorio was listed as decedent’s admitting and attending physician on a single page of Healthcare’s records, Kiger’s identity as decedent’s treating physician was indeed displayed in decedent’s medical records in several places. Plaintiff’s knowledge of the identity of Kiger suggests that she was not joined because of the error or omission of plaintiff or plaintiff’s attorney. The motion judge’s decision did not discuss these circumstances or whether the failure to timely join Kiger constituted the type of mistake encompassed by Rule 4:9-3. On remand, the judge should 165. Walker v. Choudhary, 425 N.J. Super 135, 144 (App. Div. 2012). 166. Walker v. Choudhary, 425 N.J. Super 135, 144 (App. Div. 2012) (quoting Lopez v. Swyer, 62 N.J. 267, 274-75 (1973)). 167. Walker v. Choudhary, 425 N.J. Super 135, 145 (App. Div. 2012). consider and determine the reasons for plaintiff’s failure to timely join Kiger.168 The Appellate Division reiterated: [T]he trial judge must be mindful of our Supreme Court’s instruction that Rule 4:9-3 ‘should be liberally construed.’ Kernan v. One Washington Park Urban Renewal Assocs., 154 N.J. 437, 458 (1998) (quoting Harr v. Allstate Ins. Co., 54 N.J. 287, 299 (1969)). As such, the rule’s goal of permitting a party to correct ‘pleading errors’ or to respond to the ‘acquisition of new information’ should be served so long as a defendant’s ‘right to rely on the repose afforded by the statute of limitations’ is not unduly offended. Ibid. (quoting Wimmer v. Coombs, 198 N.J. Super. 184, 188 (App. Div. 1985)). The rule guides the accommodation of these competing interests by recognizing that a person who has timely notice of a pending action cannot reasonably object to the late assertion against him ... provided he is reasonably chargeable with the knowledge that those other claims would have been timely asserted against him but for plaintiff’s error ... and provided further that the late assertion does not prejudice him in maintaining his defense.169 The appellate panel therefore remanded to the motion judge to analyze the factual questions that emanate from plaintiff’s attempt to have the proposed amended complaint relate back to the original filing date…. On remand, if the judge finds that Kiger, within the statutory period (on or before December 5, 2007), had received such notice of the institution of the action that she will not be prejudiced in maintaining a defense on the merits and knew or should have known but for the mistake concerning 168. Walker v. Choudhary, 425 N.J. Super 135, 145-46 (App. Div. 2012). 169. Walker v. Choudhary, 425 N.J. Super 135, 146 (App. Div. 2012). NJ MedMal_FullBook.indb 809 5/27/14 5:41:23 PM her identity the action would have been brought against her, the motion to amend the complaint should be granted. R. 4:9-3. If the judge does not so determine, but concludes that the complaint filed against the practice group and Kiger’s colleagues should have included her but for plaintiff’s good faith mistake or omission and Kiger is not prejudiced, he should consider relaxing the rule’s application in the interest of justice and granting the motion to amend. See Aruta, supra, 134 N.J. Super. at 529 (finding Rule 4:9-3 unduly confining and ‘relax[ing]’ its application in circumstances where a plaintiff would be otherwise barred by the statute of limitations even though he/she ‘presumably in good faith and with some justification served parties believed to be the correct parties’); R. 1:1-2. See also Viviano v. CBS, Inc., 101 N.J. 538, 551-52 (1986) (acknowledging the ‘liberal construction’ of Rule 4:9-3 to permit joinder of additional parties after the expiration of the period of limitations).170 In concluding the court instructed: Given the contradictory assertions as to when Kiger learned about the litigation, it appears that this issue cannot be resolved on affidavits or depositions since demeanor may be an important factor in the judge making his credibility findings. On remand, the judge should consider the totality of the circumstances in arriving at the decision whether the ‘relation-back’ doctrine saves plaintiff’s claim against Kiger. R. 4:9-3. The motion judge should conduct a Lopez hearing as was, for example, found appropriate in Aruta, supra, 134 N.J. Super. at 530. As part of the process, the judge should consider determining the reasons for plaintiff’s failure to timely join Kiger and any assertions by Kiger that the delay prejudiced her defense. However, 170. Walker v. Choudhary, 425 N.J. Super 135, 147 (App. Div. 2012). prejudice is unlikely, in this context, because the practice group and other doctors within the group were also sued within the statutory period.171 Due Diligence Required The discovery rule requires the exercise of due diligence in discovering the proper defendants. The Appellate Division explained this obligation in Johnston v. Muhlenberg Regional Medical Center,172 where plaintiff’s decedent died on December 7, 1993. The complaint was filed on August 16, 1995 and a number of fictitious defendants were named pursuant to New Jersey Court Rule 4:26-4. The hospital records revealed that the physician who performed a lumbar puncture was Dr. Guha, although the name was illegible. The initial complaint alleged that fictional defendants including “unidentified medical personnel … of the defendant Muhlenberg Regional Medical Center” were negligent.173 None of the named defendants, including the hospital and “a physician associated with Dr. Guha in a medical practice” identified Dr. Guha by name as a person who participated in treating plaintiff’s decedent until April 1996, when Dr. Guha’s name was provided by Dr. Fishberg’s answers to interrogatories. In August 1996 plaintiff moved for leave to file an amended complaint to name Dr. Guha as a defendant. The motion was granted in September 1996 and an amended complaint was filed in November 1996. The summons was issued in March 1997, but by that time, all of the other defendants had been dismissed from the case. Dr. Guha’s answer was filed in August 1997. The trial court granted Dr. Guha summary judgment, holding that the plaintiff failed to use due diligence to discover this defendant’s involvement in the case and then bring this defendant into the case. The trial court noted that the entire case “centered around this lumbar puncture procedure” and that plaintiff could have ascertained the identity of the surgeon who performed the procedure much sooner than three years after the operation. The Appellate Division agreed with the trial court and emphasized 171. Walker v. Choudhary, 425 N.J. Super 135, 147-48 (App. Div. 2012). 172. Johnston v. Muhlenberg Reg’l Med. Ctr., 326 N.J. Super. 203 (App. Div. 1999). 173. Johnston v. Muhlenberg Reg’l Med. Ctr., 326 N.J. Super. 203, 205 (App. Div. 1999). that a party must use due diligence “in perfecting her claim against Dr. Guha after learning her identity.”174 The court noted: [E]ven if we were to give substantial weight to plaintiff’s contention that other defendants, including the hospital and Dr. Guha’s associate in practice were ‘stonewalling’ on the question of her identity, we can discern no excuse for plaintiff’s inattention to her suit obligations following her discovery of Dr. Guha’s identity. We have been given no explanation for the expiration of almost four months from that date before plaintiff moved for leave to amend the complaint, two and half months more after the motion was granted until the complaint was filed, four additional months after filing until the issuance of the summons, and some undisclosed further period before service was effected.175 The court therefore affirmed the dismissal. The Supreme Court has also emphasized that a plaintiff must exercise due diligence to identify the proper defendants to a lawsuit. In Matynska v. Fried,176 the plaintiff filed suit against several doctors and the Robert Wood Johnson University Hospital. The plaintiff named several fictitious defendants but did not name Dr. Mark Feierstein, who performed hospital rounds for three days after the plaintiff’s surgery. The plaintiff asserted she had not met Dr. Feierstein and did not know of his role in her care. The plaintiff did not file a motion to name Dr. Feierstein as a direct defendant until more than four years after the surgery and more than two years after she initially filed suit. The trial court denied the motion and the Appellate Division and Supreme Court affirmed. The Supreme Court based its decision on the conclusion that the plaintiff did not make adequate efforts to discover the role of Dr. Feierstein. The Court observed that Dr. Feierstein’s name appeared twice in the chart as someone who had participated in 174. Johnston v. Muhlenberg Reg’l Med. Ctr., 326 N.J. Super. 203, 207 (App. Div. 1999). 175. Johnston v. Muhlenberg Reg’l Med. Ctr., 326 N.J. Super. 203, 207-08 (App. Div. 1999). 176. Matynska v. Fried, 175 N.J. 51 (2002). the care of the plaintiff. “In short, Matynska failed to cross the due diligence threshold, and thus the lower courts properly denied her right to amend the complaint.”177 However, the Supreme Court criticized the “tactics” of defense counsel. “Sharp practice came into play in the answers to interrogatories and in Dr. Fried’s dissembling responses to the questions propounded during depositions.”178 The Court concluded that certain defendants provided answers calculated to mislead the plaintiff, “thus paving the way for the so-called ‘empty chair defense.’ ”179 The Court admonished: “We abhor such tactics, which, in an appropriate case, could well be considered lulling, if not deliberate concealment.”180 Nevertheless, the Court concluded that because the plaintiff failed to properly investigate Dr. Feierstein’s involvement “in a diligent and timely fashion, the defense’s later tactics are not material to our disposition. We nevertheless caution attorneys to avoid such conduct or risk the potential consequences.”181 Application of Discovery Rule to Cases The application of the discovery rule has been the focus of many cases. In Parete v. Mully,182 plaintiff went to the defendant for dental treatment in January 1988. In June 1989 plaintiff consulted another dentist because she suspected the defendant “might have made a mistake.”183 The second dentist did not want to get involved and told plaintiff to go back to the defendant. Plaintiff subsequently saw two other dentists because she “still felt that [the defendant] did something wrong.”184 These dentists did not advise plaintiff that the defendant had committed malpractice. In July 1990 plaintiff visited another dentist because she continued to believe the defendant “had done something wrong.”185 Plaintiff 177. Matynska v. Fried, 175 N.J. 51, 53 (2002). 178. Matynska v. Fried, 175 N.J. 51, 53 (2002). 179. Matynska v. Fried, 175 N.J. 51, 53 (2002). 180. Matynska v. Fried, 175 N.J. 51, 53 (2002). 181. Matynska v. Fried, 175 N.J. 51, 54 (2002). 182. Parete v. Mully, 316 N.J. Super. 100 (App. Div. 1998). 183. Parete v. Mully, 316 N.J. Super. 100, 104 (App. Div. 1998). 184. Parete v. Mully, 316 N.J. Super. 100, 104 (App. Div. 1998). 185. Parete v. Mully, 316 N.J. Super. 100, 104 (App. Div. 1998). claimed that she was advised at this time that the defendant had committed malpractice. Plaintiff contended that in March 1992 an expert retained for litigation advised her of additional malpractice. The plaintiff filed suit in April 1992. The trial court dismissed the case, concluding that the statute began to run in June 1989 when plaintiff believed the defendant had made a mistake.186 The Parete court began the analysis by noting that the Supreme Court stated in Baird v. American Medical Optics,187 that the statute of limitations begins to run when the plaintiff is aware that she has sustained injuries as the result of the fault of an identifiable person.188 The Appellate Division observed that none of the doctors that plaintiff consulted prior to March 1992 advised her that the defendant had committed malpractice. The court also observed that the defendant advised the plaintiff that “God would take care” of her pain and that the teeth would “settle in.”189 The Parete court relied on Abboud v. Viscomi190 and Lynch v. Rubacky,191 where the doctors had reassured the plaintiff that she was recovering. The court then observed that the discovery rule is a rule of equity and the decision as to when a claim accrues requires more than simple factual determinations.192 The court added that the merits of the statute of limitations defense in a case such as this, involving the discovery rule, depend upon the unique facts of the case regarding when the cause of action ‘accrued.’ The factual issue can generally be resolved only after discovery is completed.193 The Appellate Division concluded that the case must be remanded so that the trial court could “consider the impact of 186. Parete v. Mully, 316 N.J. Super. 100, 105 (App. Div. 1998). 187. Baird v. Am. Med. Optics, 155 N.J. 54 (1998). 188. Parete v. Mully, 316 N.J. Super. 100, 106 (App. Div. 1998) (citing Baird v. Am. Med. Optics, 155 N.J. 54, 69 (1998)). 189. Parete v. Mully, 316 N.J. Super. 100, 107 (App. Div. 1998). 190. Abboud v. Viscomi, 111 N.J. 56 (1988). 191. Lynch v. Rubacky, 85 N.J. 65 (1981). 192. Parete v. Mully, 316 N.J. Super. 100, 107 (App. Div. 1998). 193. Parete v. Mully, 316 N.J. Super. 100, 107 (App. Div. 1998). plaintiff’s continued treatment with the defendant in determining when the cause of action accrued.”194 The Appellate Division and Supreme Court re-examined the application of the discovery rule in Gallagher v. Burdette-Tomlin Memorial Hospital.195 In Gallagher, plaintiff had surgery in May 1994 and suffered post-operative complications. In May 1995, plaintiff filed suit against some of her doctors. Plaintiff added additional defendants in October 1995 and April 1996. Plaintiff supported the claims against the then-named defendants with the reports of various experts who opined that the then-named defendants had deviated from the generally accepted standards of care. One of the defendant’s experts was deposed in October 1997, and as the Appellate Division noted: During her testimony, Dr. Jacobs suggested, for the first time, malpractice (untreated osteomyelitis) on the part of Drs. Goldstein and Phillips, the physicians who had been treating Mrs. Gallagher for the complications of her surgery. No expert up to that point had expressed any criticism or concern or raised any issue of malpractice against Drs. Goldstein and Phillips or their group.196 Plaintiff thereafter amended the complaint again to name Drs. Goldstein and Phillips, who moved to dismiss the complaint based on the statute of limitations. The trial court denied the motion and the Appellate Division granted leave to appeal and affirmed. The Gallagher court first reviewed the discovery rule, noting that in Lopez the Supreme Court sought to avoid the “‘harsh results that would otherwise flow from the mechanical application’ of the statute of limitations.”197 The Appellate Division also noted the Supreme Court’s statement in Baird v. American Medical Optics:198 194. Parete v. Mully, 316 N.J. Super. 100, 109 (App. Div. 1998). 195. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 196. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 492 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 197. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 492 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 198. Baird v. Am. Med. Optics, 155 N.J. 54 (1998). Critical to the running of the statute is the injured party’s awareness of the injury and the fault of another. The discovery rule prevents the statute of limitations from running when injured parties reasonably are unaware that they have been injured, or, although aware of an injury, do not know that the injury is attributable to the fault of another.199 The Gallagher court specifically rejected the defendant’s argument that because the plaintiff had all of the facts, the statute of limitations against the last named defendants had expired. The Gallagher court distinguished Burd v. New Jersey Telephone Company,200 Savage v. Old Bridge-Sayreville Medical Group,201 and Silverman v. Lathrop,202 upon which the defendants relied. [T]he cases turn not wholly upon what records or documents are in a plaintiff ’s possession, but upon what a reasonable person would make of that material. Burd had every reason to connect his inhalation of glue to his heart attack given his symptoms upon each inhalation. Silverman knew several months after his physician had failed to send an excised mole for biopsy that it was a malignant melanoma. Savage knew the manufacturer of the tetracycline drug could be liable, but had no reason to think her doctors administered the drug wrongly, despite having all her medical records. In each case, the applicability of the discovery rule turned upon whether a reasonable person would have known, based on what occurred and on the records, that his or her injury was due to the fault of another.203 199. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 493 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 200. Burd v. N.J. Tel. Co., 76 N.J. 284 (1978). 201. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241 (1993). 202. Silverman v. Lathrop, 168 N.J. Super. 133 (App. Div. 1979). 203. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 495-96 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). The Gallagher court acknowledged that the statute of limitations does not begin to run until an expert renders an opinion that a defendant was negligent.204 This is a far cry, however, from suggesting that where the relationship between a plaintiff’s injury and a defendant’s fault is not self-evident and there is nothing else in the record warranting the conclusion that plaintiff should have made that linkage, that belated receipt of an expert’s report cannot trigger operation of the discovery rule.205 Thus where “a plaintiff knows she has been injured but fault is not self-evident or implicit in the injury itself, it must be shown that a reasonable plaintiff would have been aware of such fault in order to bar her from invoking the discovery rule.”206 The Gallagher court explained that a contrary result would conflict with the Affidavit of Merit Statute, N.J.S.A. 2A:53A-27, and place “lawyers and litigants in an untenable position with respect to that statute which requires an affidavit of merit by a plaintiff in a professional malpractice case.”207 The Supreme Court affirmed the Appellate Division’s decision.208 The Court explained that invocation of the discovery rule will depend on the “type of case.”209 “This ‘type of case’ involving medical causation demands special attention due to the intrinsic hardship facing a potential medical malpractice claim in determining fault.”210 The Gallagher Court rejected the defendants’ reliance on Baird v. American Medical Optics,211 stating that Baird did not create 204. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 496 (App. Div. 1999) (citing Graves v. Church & Dwight Co., 115 N.J. 256 (1989)), aff’d, 163 N.J. 38 (2000). 205. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 496 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 206. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 496 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 207. Gallagher v. Burdette-Tomlin Mem’l Hosp., 318 N.J. Super. 485, 499 (App. Div. 1999), aff’d, 163 N.J. 38 (2000). 208. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38 (2000). 209. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 43 (2000). 210. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 43 (2000). 211. Baird v. Am. Med. Optics, 155 N.J. 54 (1998). a new bright-line discovery rule for medical malpractice cases that starts the statute of limitations running for all potentially responsible parties when a patient knows that she has been injured and knows or has reason to know that someone has probably been at fault. Defendant relies on the language in Baird: ‘The discovery rule prevents the statute of limitations from running when injured parties reasonably are unaware that they have been injured, or, although aware of the injury, do not know that the injury is attributable to the fault of another.’ … We disagree that that generic statement was ever intended to mean that statutes of limitations could not run at different times for different defendants.212 The Gallagher Court held that the statute of limitations could run at different times for different defendants.213 The Court gave the example of a patient who sues a doctor for malpractice arising out of surgery. Assume that more than two years after the initial surgery, the patient undergoes corrective surgery at which time it is discovered that an object was left in her knee by one other than the surgeon whom she had sued. Would such a claim be precluded by the language in Baird? We think not.214 The Gallagher Court concluded that when the patient is unaware that “the injury was due to the fault or neglect of an identifiable individual or entity,”215 the patient is entitled to rely on the discovery rule. No readily apparent indication of Drs. Phillips and Goldstein’s potential contribution to the patient’s medical deterioration materialized until [Dr. Steeb’s expert] brought the failure to treat plaintiff’s infection to light. Competent experts 212. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 43 (2000). 213. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 43 (2000). 214. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 43 (2000). 215. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 44 (2000). retained by [plaintiff] did not express any opinion on the care and treatment of plaintiff provided by Drs. Phillips and Goldstein.216 The Court emphasized, “The unfairness of denying plaintiff leave to amend her complaint was compounded in this case by the discovery posture taken by the initial defendants.”217 The Court observed that although plaintiff filed suit in May 1995, the initial defendants did not contend, prior to the expiration of the statute of limitations, that any other doctor may be liable: Not until the statute of limitations had passed did Dr. Steeb’s expert suggest the fault of the after-care physicians. Invoking the principles of Young v. Latta, 123 N.J. 584 (1991) (that require parties seeking to diminish their share of fault to ‘give prompt notice’), the trial court reasoned that it would be especially unfair to deny plaintiff the benefit of the discovery rule.218 The Supreme Court reached the same conclusion in Mancuso v. Neckles,219 which was decided the same day as Gallagher. In Mancuso, the defendant, Dr. Beinart, interpreted mammograms in 1988 and 1989 as revealing a benign cyst. In 1991, the plaintiff had a mammogram that revealed abnormalities, and the radiologist recommended follow-up, but the defendant, Dr. Neckles, failed to order any follow-up studies. In July 1992, the plaintiff had a mammogram, which revealed that she had cancer. In December 1992, the plaintiff learned of the abnormalities in the 1991 mammogram and that Dr. Neckles had ignored the recommendation for follow-up. In June 1993, the plaintiff consulted an attorney. In June 1994, the attorney consulted with an expert who opined that Dr. Neckles committed malpractice in 1991. In July 1994, the plaintiff filed suit against Dr. Neckles. In April 1996, Dr. Neckles’ expert submitted a report stating that the 1989 mammogram revealed “a possible malignancy.” This was the first indication that Dr. Beinart may have committed malpractice. 216. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 44 (2000). 217. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 44 (2000). 218. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38, 44 (2000). 219. Mancuso v. Neckles, 163 N.J. 26 (2000). In November 1996, plaintiff’s attorney consulted with another expert who stated that Dr. Beinart committed malpractice. In July 1997, five years after the plaintiff learned that she had cancer, she filed an amended complaint naming Dr. Beinart as a defendant. The trial court dismissed the claim against Dr. Beinart and the Appellate Division affirmed.220 In allowing the case to proceed, the Supreme Court first explained that the application of the discovery rule depends on the “type of case.”221 This ‘type of case’ involving medical malpractice requires special focus on the ‘nature of the information’ possessed by the claimant. … In cases of complex medical causation, it is not at all selfevident that the cause of the injury ‘was (a) the fault of (b), a third party. Not only is the nature of the injury generally unclear, its very existence is frequently masked.’ In that context of masked injury and complex causation more is required than suspicion—in the sense of an uninformed guess or of speculation without some reasonable medical support—of a causal connection between a physical condition and chemical exposure [to start] the running of the statute of limitations.222 The Court added: In order to start the statute of limitations running in this context of medical malpractice, more is required than mere speculation or an uninformed guess ‘without some reasonable medical support’ that there was a causal connection between Pia Mancuso’s condition and Dr. Beinart’s conduct.223 The Mancuso Court emphasized that the plaintiff was not dilatory and expressly rejected the Appellate Division’s analysis that plaintiff should have ‘second guessed’ her experts. “Could or should she have insisted that her attorney seek further experts, and if so, how many? Lawyers retaining expert witnesses do not target 220. Mancuso v. Neckles, 316 N.J. Super. 128 (App. Div. 1998), rev’d, 163 N.J. 26 (2000). 221. Mancuso v. Neckles, 163 N.J. 26, 34 (2000). 222. Mancuso v. Neckles, 163 N.J. 26, 34 (2000) (bracketed material in original). 223. Mancuso v. Neckles, 163 N.J. 26, 34 (2000). the expert on a particular defendant, theory or cause of action. They seek the best advice possible.”224 The Mancuso Court observed that plaintiff’s counsel was constrained by the rules of professional conduct that bar filing suit “unless the lawyer knows or reasonably believes there is a basis for doing so that is not frivolous.”225 The Court also cited the Frivolous Litigation Statute, N.J.S.A. 2A:15-59.1, and noted that the “ethical requirement of a good faith belief in an actionable claim is reinforced by the recent enactment of the Affidavit of Merit Statute. N.J.S.A. 2A:53A-27.”226 The Court explained: Thus, in addition to filing the action within two years of its accrual, a claimant must also have in hand or be able to obtain within 60 days the expert’s opinion pursuant to the Affidavit of Merit Statute; otherwise the claim is precluded. Realistically, most attorneys and parties will want to have the report in hand before filing suit.227 The Court therefore held that the plaintiff’s claim against Dr. Beinart should have been permitted to continue. Applying these principles, we are satisfied that Pia Mancuso was reasonably unaware, until the 1996 deposition, that her injury was possibly due to the fault of Dr. Beinart. The ‘nature of the information’ that she possessed did not suggest that the spread of her cancer may have been due to the fault of Dr. Beinart. In fact, two sets of medical professionals had confirmed that Dr. Beinart’s initial diagnosis of a benign cyst in her right breast was correct. Indeed, Pia Mancuso received years of post-operative care from physicians at the worldrenowned Memorial Sloan-Kettering Cancer Center. Not one of those physicians alerted her to the possibility of fault on behalf of Dr. Beinart. 224. Mancuso v. Neckles, 163 N.J. 26, 36 (2000). 225. Mancuso v. Neckles, 163 N.J. 26, 36 (2000) (citing Rule of Professional Conduct 3.1). 226. Mancuso v. Neckles, 163 N.J. 26, 36 (2000). 227. Mancuso v. Neckles, 163 N.J. 26, 37 (2000). The ‘quality of the requisite state of mind’ that she possessed appeared blameless.228 The Mancuso Court concluded with the following instruction: We are thus satisfied that when a patient has relied on competent expert advice that one or more of her treating physicians did not contribute to the patient’s injuries, later assertions to the contrary by a competent expert would then provide the basis for an actionable claim.229 Thus, unless the defendant can meet the heavy burden of demonstrating actual prejudice because of the delay, the plaintiff’s claims should be permitted to proceed. Indeed, in Mancuso the Court held that Dr. Neckle’s death did not meet the burden of demonstrating actual prejudice.230 “Although Dr. Neckles has died, his testimony is not crucial to this inquiry.”231 Similarly, in Martinez v. Cooper Hospital,232 also decided on the same day as Gallagher and Mancuso, the Supreme Court restated its commitment to the discovery rule. In Martinez, plaintiff’s decedent was assaulted in April 1993 and admitted to the Cooper Hospital, where he died several days later. Plaintiff went to see the decedent at the hospital and was told that the decedent had died due to a “small hole in his intestines” and that the hospital staff “did all they could.”233 The death certificate indicated that the death was a “homicide.”234 In October 1995, plaintiff’s attorney received an anonymous letter from someone who worked in the hospital which said that the decedent died due to a delay in treatment. In April 1996, the attorney advised the plaintiff of this letter and in January 1997, three and one-half years after the date of the decedent’s death, but within two years of receiving the letter, plaintiff filed suit against Cooper Hospital and several John Doe defendants. The trial court denied Cooper Hospital’s motion 228. Mancuso v. Neckles, 163 N.J. 26, 35 (2000). 229. Mancuso v. Neckles, 163 N.J. 26, 37 (2000). 230. Mancuso v. Neckles, 163 N.J. 26, 38 (2000). 231. Mancuso v. Neckles, 163 N.J. 26, 38 (2000). 232. Martinez v. Cooper Hosp., 163 N.J. 45 (2000). 233. Martinez v. Cooper Hosp., 163 N.J. 45, 49 (2000). 234. Martinez v. Cooper Hosp., 163 N.J. 45, 49 (2000). for summary judgment but the Appellate Division reversed and remanded for a Lopez hearing. After the hearing, the trial court dismissed with prejudice and the Appellate Division affirmed in an unpublished opinion. The Supreme Court held that the statute of limitations does not begin to accrue until the plaintiff is aware that the injury is “attributable to the fault of another.”235 The Court explained that the essence of the discovery rule is: where, within the limitations period, a plaintiff knows of an injury and that the injury is due to the fault of another, he or she has a duty to act. However, those cases also stand for the proposition that where a plaintiff knows of an injury, but fault is not self-evident or implicit in the injury itself, it must be shown that a reasonable person would have been aware of such fault in order to bar the plaintiff from invoking the discovery rule.236 In permitting the plaintiff to pursue the claim, the Court observed that it was reasonable for plaintiff to believe that the decedent died from the beating. The court noted that the death certificate stated the death was a homicide and that the staff at the hospital told the plaintiff “they did all they could,” thereby misleading the plaintiff. The Martinez Court explained that although the plaintiff could have immediately obtained the extensive medical record: It is not necessary every time a person dies in a hospital for his or her relatives to immediately suspect malpractice. … The rule accepted by the lower courts, that Ms. Martinez was unreasonable because she did not obtain and analyze [the decedent’s] medical records even though she was not suspicious, encourages mistrust and essentially pits patients against their physicians even in cases where there is not even a trace of negligence apparent.237 235. Martinez v. Cooper Hosp., 163 N.J. 45, 52 (2000). 236. Martinez v. Cooper Hosp., 163 N.J. 45, 55 (2000). 237. Martinez v. Cooper Hosp., 163 N.J. 45, 58 (2000). The Court distinguished Martinez from a case where an otherwise healthy individual undergoes elective surgery and dies. In such cases, “some inquiry would be required by a reasonable person in such circumstances.”238 The Court therefore allowed Ms. Martinez to pursue the claim: We are satisfied that under presently existing standards governing the discovery rule, Ms. Martinez acted in an objectively reasonable way in connection with [the decedent’s] death. She believed the official version of events and had no duty to investigate further. … She did not delay but took timely action as soon as she received the information in the anonymous letter. No issue of prejudice to the Hospital was raised in this appeal. The judgment of the Appellate Division is reversed.239 It should be noted that in Martinez the plaintiff was only pursuing a survival claim and did not file a wrongful death claim. Therefore the Supreme Court did not need to discuss N.J.S.A. 2A:31-3, which requires that a claim for wrongful death must be brought within two years after the date of death and does not contain the same accrual language as N.J.S.A. 2A:14-2. Similarly, the Court did not need to cite Presslaff v. Robins,240 declining to apply the discovery rule to a wrongful death case. See also discussion of LaFage v. Jani,241 and § 8:6-8 of this text. The Supreme Court revisited and acknowledged the complexity of the discovery rule in Caravaggio v. D’Agostini.242 In fact, Justice Long stated at the outset in Caravaggio: The discovery rule, incorporating as it does a notion of simple justice, has been anything but simple in application, as evidenced by the amount of litigation it has spawned. Decades after its 238. Martinez v. Cooper Hosp., 163 N.J. 45, 58 (2000). 239. Martinez v. Cooper Hosp., 163 N.J. 45, 58 (2000). 240. Presslaff v. Robins, 168 N.J. Super. 543 (App. Div. 1979). 241. LaFage v. Jani, 166 N.J. 412 (2001). 242. Caravaggio v. D’Agostini, 166 N.J. 237 (2001). enunciation, lawyers and judges are still grappling with its application. This is another such case.243 In Caravaggio, the plaintiff was injured in a motorcycle accident in May 1993 and the defendant performed surgery at that time. In July 1993, while engaging in physical therapy, a rod that had been inserted in the plaintiff’s leg fractured through the screw lines. The defendant told the plaintiff at that time that he was “very much surprised” that the rod had failed.244 In October the same year, the plaintiff saw another surgeon who advised that the defendant “might have chosen a thicker rod.”245 However, the Court noted that the second orthopedist “did not suggest directly or obliquely that Mrs. Caravaggio should question the medical care she received from Dr. D’Agostini.”246 The defendant performed a second operation in October 1993 and, after the surgery, the defendant advised the plaintiff that there was something wrong with the rod and that plaintiff should consult an attorney. The plaintiff gave the rod to her attorney and it was examined by metallurgists who determined that the rod was not defective. The plaintiff later retained another attorney who filed suit in September 1995 against the surgeon who installed the rod. The defendant moved for summary judgment, arguing that the statute of limitations had expired. The trial court granted the motion, concluding the plaintiff should have known she had an action against the defendant no later than August 1993 when she learned that the rod had broken. The Appellate Division affirmed in an unpublished opinion; however, the Supreme Court reversed. The Caravaggio Court first reviewed the purpose behind the statute of limitations and the discovery rule. The Court reiterated that the commencement of the running of the statute of limitations requires “knowledge not only of the injury but also that another is at fault.”247 The Court relied on Savage v. Old Bridge-Sayreville Medical Group,248 and Lynch v. Rubacky,249 as examples of cases 243. Caravaggio v. D’Agostini, 166 N.J. 237, 240 (2001). 244. Caravaggio v. D’Agostini, 166 N.J. 237, 241 (2001). 245. Caravaggio v. D’Agostini, 166 N.J. 237, 242 (2001). 246. Caravaggio v. D’Agostini, 166 N.J. 237, 242 (2001). 247. Caravaggio v. D’Agostini, 166 N.J. 237, 246 (2001). 248. Savage v. Old Bridge-Sayreville Med. Grp., 134 N.J. 241 (1993). 249. Lynch v. Rubacky, 85 N.J. 65 (1981). where the plaintiff was aware of an injury but not aware that the injury was attributable to the fault of another. The Court explained that, in such cases, the “cause of action does not accrue until she has knowledge of the injury and that such injury is the fault of another.”250 The Court recalled that it had reaffirmed the discovery rule in Martinez v. Cooper Hospital251 and Gallagher v. Burdette-Tomlin Memorial Hospital.252 The Court explained that in those cases it had held that even if a plaintiff knows that an injury is the fault of another, but is reasonably unaware that a third party may also be responsible, the accrual clock does not begin ticking against the third-party until the plaintiff has evidence that reveals his or her possible complicity.253 The Caravaggio Court therefore concluded that it was not until the surgical rod was examined and found not to be defective in October 1993 that the plaintiff had any reason to suspect that the defendant might have been partly at fault. Since the complaint was filed against the surgeon within two years of the examination of the rod, the case against the surgeon should not have been dismissed on limitations grounds.254 The Court explained the public policy supporting its decision as follows: If the rulings of the trial court and the Appellate Division to the contrary were to be approved, it would have the untoward effect of pitting patients against their physicians, at a time at which they have no reason to doubt their physicians, in order not to risk losing their cause of action altogether.255 Subsequently, in Guichardo v. Rubinfeld,256 the Supreme Court explored what may be the outer boundary of the statute of 250. Caravaggio v. D’Agostini, 166 N.J. 237, 246 (2001). 251. Martinez v. Cooper Hosp., 163 N.J. 45 (2000). 252. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38 (2000). 253. Caravaggio v. D’Agostini, 166 N.J. 237, 250 (2001). 254. Caravaggio v. D’Agostini, 166 N.J. 237, 251 (2001). 255. Caravaggio v. D’Agostini, 166 N.J. 237, 253 (2001). 256. Guichardo v. Rubinfeld, 177 N.J. 45 (2003). limitations, expanding upon the holdings in Gallagher v. BurdetteTomlin Memorial Hospital.257 In Guichardo, the plaintiff was under the care of the defendant, Dr. Rubinfeld, who treated the plaintiff with a series of thoracic epidural catheterizations. In September 1992, the plaintiff was admitted to a hospital by the defendant, Dr. DeLisi, so that Dr. Rubinfeld could perform a catheterization. After that procedure, the plaintiff developed an infection near the insertion site of the catheter but was nevertheless discharged from the hospital four days later. Shortly after her discharge from the hospital, the plaintiff began to experience numbness, tingling, and difficulty with urination and bowel movements, and Dr. DeLisi re-admitted the plaintiff to the hospital in October 1992. After her re-admission to the hospital, the plaintiff began to experience difficulty walking. Dr. DeLisi diagnosed an epidural abscess and performed surgery to remove the abscess. Unfortunately, the plaintiff did not regain the ability to walk. Prior to filing suit, plaintiff’s counsel consulted an expert who concluded that various doctors had committed malpractice during the insertion of the catheter and during the plaintiff’s first hospital stay in September 1992. However, the expert did not opine that Dr. DeLisi deviated from the standard of care in any way. The plaintiff filed suit in September 1994, naming Dr. Rubinfeld, the hospital, and other medical personnel who were involved with her care during the admission to the hospital in September 1992. However, the plaintiff did not sue Dr. DeLisi at that time. Thereafter, in December 1994 and April 1995, plaintiff’s counsel consulted with two additional medical experts, and neither expert opined that Dr. DeLisi had committed malpractice. In July 1995, the plaintiff’s counsel consulted with a fourth expert who concluded that Dr. DeLisi had been negligent in delaying the diagnosis and treatment of the epidural abscess, and that this negligence contributed to the plaintiff’s paraplegia.258 The plaintiff amended the complaint in March 1996 to add Dr. DeLisi as a defendant, and Dr. DeLisi moved for summary judgment based on the statute of limitations. Dr. DeLisi asserted that the plaintiff knew or should have known by October 1992 at 257. Gallagher v. Burdette-Tomlin Mem’l Hosp., 163 N.J. 38 (2000). 258. Guichardo v. Rubinfeld, 177 N.J. 45, 49 (2003). the latest of the facts giving rise to the claim against him. The trial court concluded that the discovery rule did not toll the statute of limitations against Dr. DeLisi and granted the motion dismissing the complaint against Dr. DeLisi. Subsequently, another defendant filed a third-party complaint against Dr. DeLisi. In February 2000, after the New Jersey Supreme Court decided Gallagher v. Burdette-Tomlin Memorial Hospital, and Mancuso v. Neckles, the plaintiff successfully moved for reconsideration of the trial court’s dismissal of Dr. DeLisi. The trial court concluded at that time that the plaintiff did not become aware of Dr. DeLisi’s negligence until she received the opinion of her fourth expert and reinstated the claim against Dr. DeLisi.259 However, the Appellate Division granted leave to appeal and reversed, remanding for entry of an order dismissing the plaintiff’s complaint against Dr. DeLisi. In reversing the Appellate Division and permitting the plaintiff to pursue her claim against Dr. DeLisi, the Supreme Court first recalled that: New Jersey courts long have employed the equitable principle of the discovery rule to avoid the potentially harsh effects of the ‘mechanical application’ of statutes of limitations. Vispisiano v. Ashland Chem. Co., 107 N.J. 416, 426 (1987). The discovery rule delays accrual of a cause of action ‘until the injured party discovers, or by an exercise of reasonable diligence and intelligence should have discovered[,] that [he or she] may have a basis for an actionable claim.’ Lopez v. Swyer, 62 N.J. 267, (1973), supra 62 N.J. at 272. To start the statute of limitations running in a case involving ‘complex medical causation,’ in which ‘it is not at all selfevident that the cause of injury was the fault of … a third party,’ Mancuso, supra 163 N.J. at 34 (quoting Vispisiano, supra 107 N.J. at 434), ‘more is required than mere speculation or an uninformed guess without some reasonable medical support that there was a causal connection’ between the 259. Guichardo v. Rubinfeld, 177 N.J. 45, 50 (2003). plaintiff’s condition and the third party’s conduct. Ibid (quoting Vispisiano, supra 107 N.J. at 437).260 Therefore, in order for the statute of limitations clock to start, the plaintiff must possess “knowledge not only of the injury but also that another is at fault.”261 The Court further explained that: Accordingly, plaintiffs who seek application of the discovery rule may be ‘divided into two classes: those who do not know that they have been injured and those who know they have suffered an injury but do not know that it is attributable to the fault of another. A cause of action does not accrue until both of those factors exist.’ … This Court also has distinguished a ‘sub-category’ of that second genre of ‘knowledge of fault’ cases, which includes actions brought by plaintiffs who ‘know [they have] been injured and [that] the injury was the fault of another, but do not know that a third party was also responsible for [their] plight.’262 The Guichardo Court then recalled that in Mancuso, and Gallagher, the plaintiffs were allowed to add defendants more than two years after the plaintiffs were injured due to the plaintiffs’ reliance “on earlier expert opinions indicating that the additional physicians were not at fault.”263 Based upon this analysis, the Guichardo Court rejected the contention of Dr. DeLisi that the plaintiff should have known of the basis for a claim against him shortly after her injury. The Court explained that although the plaintiff had a duty to investigate, she “fulfilled that duty, as evidenced by her consultation with numerous experts and her specific inquiries in respect of whether the care she received during her October 1992 hospital admission deviated from accepted standards.”264 The Court specifically took note of the fact 260. Guichardo v. Rubinfeld, 177 N.J. 45, 51 (2003). 261. Guichardo v. Rubinfeld, 177 N.J. 45, 51 (2003) (quoting Martinez v. Cooper Hosp., 163 N.J. 45, 52 (2000)). 262. Guichardo v. Rubinfeld, 177 N.J. 45, 51-52 (2003) (quoting Mancuso v. Neckles, 163 N.J. 26, 38 (2000)). 263. Guichardo v. Rubinfeld, 177 N.J. 45, 53 (2003). 264. Guichardo v. Rubinfeld, 177 N.J. 45, 54 (2003). that the plaintiff could not be deemed “dilatory.”265 The Guichardo Court agreed that the plaintiff’s reliance on the advice of the initial experts was reasonable. “Accordingly, we do not find that plaintiff knew or reasonably should have known of the existence of her claim against Dr. DeLisi.”266 The Guichardo Court also explained that the application of the discovery rule requires the equitable weighing of all factors, including whether the defendant has been “unfairly prejudiced” by the delay.267 The Guichardo Court determined that Dr. DeLisi could not demonstrate such prejudice, noting that: Dr. DeLisi has been an active participant in this case, represented by counsel, for nearly five years. He is already conversant with the facts and issues that would be litigated by plaintiff and has participated in discovery and depositions. Dr. DeLisi has not suggested that the passage of time has made any evidence or witnesses unavailable. We therefore conclude that Dr. DeLisi is not prejudiced by application of the discovery rule in this appeal.268 Therefore, as the result of the plaintiff’s “reasonable reliance” on the initial experts, and the lack of prejudice to Dr. DeLisi, the Court reversed and reinstated the claim against Dr. DeLisi. In concluding, the Guichardo Court added that this decision does not permit an open-ended process that allows a plaintiff an indefinite period in which to search for an expert willing to support a preferred theory of liability. First, in this appeal, as in Mancuso and Gallagher, plaintiff reasonably relied on expert advice indicating an absence of fault on the part of a particular care provider. In the majority of medical malpractice cases, such detrimental reliance is unlikely. Second, when, as in this appeal, litigation 265. Guichardo v. Rubinfeld, 177 N.J. 45, 54 (2003). 266. Guichardo v. Rubinfeld, 177 N.J. 45, 55 (2003). 267. Guichardo v. Rubinfeld, 177 N.J. 45, 55 (2003) (citing Mancuso v. Neckles, 163 N.J. 26, 38 (2000) and Lopez v. Swyer, 62 N.J. 267, 276 (1973)). 268. Guichardo v. Rubinfeld, 177 N.J. 45, 55 (2003). against other defendants already is in progress, the time limitations prescribed in our court rules will serve to limit a plaintiff’s ability to continue the search for a supportive expert. When no litigation is pending, the discovery rule’s inquiry into diligence by the plaintiff and prejudice to the defendant will accomplish the same objective. Finally, the discovery rule is a doctrine of equity and there is nothing in our jurisprudence that would bar the application of other equitable principles such as unclean hands or laches to avoid undue prejudice to a potential defendant.269 The accrual of the statute of limitations may be delayed by false assurances by the treating doctor that the condition is improving. In Lynch v. Rubacky,290 plaintiff fractured her ankle in December 1972 and came under the care of the defendant, an orthopedic surgeon. The defendant performed a closed reduction and a few days later performed an open reduction. Plaintiff experienced severe pain, and in July 1972 underwent a second surgical procedure performed by the defendant. In January 1974, the defendant told the plaintiff that she was completely healed and that the problems were in her head, requiring referral to a psychiatrist. Instead, plaintiff went to another orthopedist in February 1974 and in May 1974 the subsequent treating physician told plaintiff that the defendant did not perform the first two operations properly. The trial court determined that by the exercise of reasonable diligence and intelligence plaintiff should have known about the potential malpractice claim in February 1974. Since the suit was filed in May 1976, the trial court dismissed the case due to the expiration of the statute of limitations. In reversing, the Supreme Court revisited the Lopez doctrine and reiterated that the cause of action accrues when the injured party through the exercise of reasonable diligence should have discovered the basis for the claim.291 The Court added: 288. Rothman v. Silber, 90 N.J. Super. 22, 35 (App Div 1966). 289. Rothman v. Silber, 90 N.J. Super. 22, 36 (App Div 1966). 290. Lynch v. Rubacky, 85 N.J. 65 (1981). 291. Lynch v. Rubacky, 85 N.J. 65, 70 (1981). As emphasized in Lopez, the discovery rule centers upon an injured party’s knowledge concerning the origin and existence of his injuries as related to the conduct of another person. Such knowledge involves two key elements, injury and fault.292 The Lynch Court instructed that where the fault is not self-evident, “the judicial search into an aggrieved party’s knowledge of possible fault must be commensurately exacting.”293 The Court deemed significant the fact that plaintiff was reassured by defendant that her condition was getting better, a fact supported by the doctor’s office notes. The Court noted that it was likely that the patient was misled by the physician’s optimistic prognosis and that it would be “inequitable” for a physician who has given such assurances to claim that a patient, in relying upon them and not suspecting their falsity or inaccuracy, failed to exercise the reasonable diligence required by the discovery rule.294 Therefore, the Supreme Court reversed the determination that knowledge of the malpractice was imputed upon seeing a second physician, and supported this conclusion with the observation that the second physician did not advise plaintiff in February 1974 that something had been done wrong, but rather merely provided a second medical opinion which differed from the first medical opinion. The Court concluded: On the record of that hearing, the only legal conclusion which fairly can be drawn from the evidence is that plaintiff acted reasonably in attending to her medical needs; she was not remiss or sluggish in her own care. And she is not to be blamed because she did not have knowledge of material facts sufficient to generate the belief or suspicion that her course of treatment with Dr. Rubacky was improper until Dr. Argiroff so advised her in May 1974.295 The Court concluded that since the defendant did not claim prejudice, the plaintiff was entitled to two years from the date of 292. Lynch v. Rubacky, 85 N.J. 65, 70 (1981). 293. Lynch v. Rubacky, 85 N.J. 65, 74 (1981). 294. Lynch v. Rubacky, 85 N.J. 65, 75 (1981). 295. Lynch v. Rubacky, 85 N.J. 65, 77 (1981). discovery of the malpractice to file suit and the case was not time barred.296 A similar example of the statute of limitations being tolled by the misleading advice from a medical professional is found in Abboud v. Viscomi.297 In Abboud, plaintiff had a wisdom tooth extracted in July 1980. Plaintiff followed up with the defendant who advised her that the extraction had caused nerve and muscle damage. However, defendant advised plaintiff that the condition was not permanent and was part of the normal healing process. Defendant also advised plaintiff that “nerve regeneration takes a very long time.”298 In December 1983 plaintiff saw a physician who advised her that the nerve damage was permanent. The plaintiff then consulted an attorney and filed suit in June 1984. The defendant moved for summary judgment and the trial court held a Lopez hearing. The plaintiff testified during the Lopez hearing that the extraction was more difficult than others she had experienced and that afterwards she felt substantial pain and lacked normal sensation on the left side of her face. The trial court held that plaintiff’s admissions that she felt something had gone wrong immediately after the dental surgery constituted discovery of the cause of action and triggered the running of the statute of limitations. Plaintiff argued that she did not discover she had a permanent injury until December 1983 when she was so advised by the second doctor. The trial court held, however, that knowledge of permanence is not necessary to commence the running of the statute of limitations. In reversing, the Supreme Court reiterated that the discovery rule was designed to “avoid harsh results that otherwise would flow from mechanical application of a statute of limitations.”299 The Court then observed that the plaintiff in fact had knowledge of sufficient facts to commence a claim because she knew her injury was due to the dentist’s neglect. Nevertheless, the Court reiterated that “the discovery rule is essentially a rule of equity”300 296. Lynch v. Rubacky, 85 N.J. 65, 77-78 (1981) (citing Fox v. Passaic Gen. Hosp., 71 N.J. 122 (1976)). 297. Abboud v. Viscomi, 111 N.J. 56 (1988). 298. Abboud v. Viscomi, 111 N.J. 56, 59 (1988). 299. Abboud v. Viscomi, 111 N.J. 56, 62 (1988). 300. Abboud v. Viscomi, 111 N.J. 56, 63 (1988) (citing Lopez v. Swyer, 62 N.J. 267, 273 (1973). and therefore “each case calls for an identification evaluation and weighing of the equitable claims of the parties.”301 The Court concluded that the “defendant’s misrepresentations to the plaintiff reasonably induced plaintiff not to sue within the normal limitations time period” and that plaintiff was misled due to “defendant’s erroneous statements, rather than any unilateral misjudgment concerning the nature of her injury.”302 Since the defendant “induced plaintiff not to file a timely complaint through erroneous medical counseling,” the equities favored permitting plaintiff to pursue the cause of action and plaintiff ’s claims were not barred.303 Continuing Treatment and the Statute of Limitations Where there is continuing negligence, as opposed to a solitary incident, the statute of limitations does not begin to expire until the patient has been discharged from treatment, unless the patient had reason to know of the malpractice during the course of treatment. This conclusion was implied in Tortorello v. Reinfeld,304 where, in the context of a discussion of the statute of limitations, the Court noted that it was not concerned with a “continuing tort.”305 Similarly, in Bauer v. Bowen,306 the court stated: If injurious consequences arise from a continuing course of negligent treatment, the statute does not ordinarily begin to run until the treatment is terminated, unless the patient shall have earlier discovered the injury.307 A similar sentiment was expressed in Aykan v. Goldzweig,308 a legal malpractice case, where the court held: 301. Abboud v. Viscomi, 111 N.J. 56, 63 (1988). 302. Abboud v. Viscomi, 111 N.J. 56, 65 (1988). 303. Abboud v. Viscomi, 111 N.J. 56, 65 (1988). 304. Tortorello v. Reinfeld, 6 N.J. 58 (1950). 305. Tortorello v. Reinfeld, 6 N.J. 58, 66 (1950). 306. Bauer v. Bowen, 63 N.J. Super. 225 (App. Div. 1960). 307. Bauer v. Bowen, 63 N.J. Super. 225, 231 (App. Div. 1960). 308. Aykan v. Goldzweig, 238 N.J. Super. 389 (Law Div. 1989). The law in this State is well settled that, in professional negligence cases, where there is a continuing course of negligent treatment, the Statute of Limitations does not begin to run until treatment is terminated, unless the plaintiff earlier discovers such injury or fraudulent concealment is involved. Bauer v. Bowen, 63 N.J. Super. 225, 164 A.2d 357 (App. Div. 1960).309 However, if the patient has reason to discover the negligent conduct prior to the termination of treatment, the statute of limitations is not tolled. In Lopez v. Swyer,310 the Court specifically rejected the “so-called ‘continuing treatment doctrine’ ” which does not “permit the statute of limitations to commence running in any event until the conclusion of the entire course of treatment.”311 However, the Appellate Division in Lopez did hold that where a physician is guilty of malpractice in connection with a continuing course of treatment, the statute of limitations does not begin to run until the injurious treatment is terminated unless the patient discovered or should have discovered the injury and its causal connection with the negligent treatment before that time.312 Furthermore, the Appellate Division observed that the physician has a duty to disclose negligent treatment, and: We observe that Tortorello, in the dictum referred to above, speaks of ‘the continuing neglect to advise a proper course of treatment’ as a ‘continuing tort.’313 Incompetency/Insanity and the Statute of Limitations N.J.S.A. 2A:14-21 tolls the statute of limitations during a period of incompetency or insanity. The statute was applied in Kisselbach v. 309. Aykan v. Goldzweig, 238 N.J. Super. 389, 392 (Law Div. 1989). 310. Lopez v. Swyer, 115 N.J. Super. 237 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 311. Lopez v. Swyer, 115 N.J. Super. 237, 249 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 312. Lopez v. Swyer, 115 N.J. Super. 237, 250 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). 313. Lopez v. Swyer, 115 N.J. Super. 237, 251 (App. Div. 1971), aff’d, 62 N.J. 267 (1973). County of Camden,314 where plaintiff brought suit as administratrix ad prosequendum of the estate of his father and alleged that his father had been mistreated while a patient at a county-run medical facility. The court dismissed the survival claim based on the statute of limitations. The Appellate Division reversed, noting that the survival claim was tolled during the decedent’s lifetime by N.J.S.A. 2A:14-21. The court further held that the grant of a power of attorney to the son did not compel the son to institute a personal injury claim on behalf of his father. The court distinguished Kyle v. Green Acres at Verona, Inc.,315 where the Supreme Court held that whether a guardian knew or should have known of the cause of action is relevant to the statute of limitations defense.316 The Kisselbach court explained that: A guardianship follows incapacitation and is undertaken in response to it. Thus, it is reasonable to shift the burden of deciding to sue to the guardian. Contrast this to a power of attorney which cannot be executed by an incapacitated principal, must pre-date any incapacitation, and does not divest the principal of any authority.317 The court therefore held that the claim was tolled by the patient’s insanity. Infancy/Parents’ Claim for Injuries to a Child and the Statute of Limitations N.J.S.A. 2A:14-21 tolls the statute of limitations until the age of majority. Therefore, a minor is required to file a claim within two years of the minor’s 18th birthday.318 The only exception is for “injuries sustained at birth.” In 2004, the New Jersey Legislature enacted the New Jersey Medical Care Access and Responsibility and Patients First Act.319 This statute amended N.J.S.A. 2A:14-2, to read as follows: 314. Kisselbach v. Cnty. of Camden, 271 N.J. Super. 558 (App. Div. 1994). 315. Kyle v. Green Acres at Verona, Inc., 44 N.J. 100, 112 (1965). 316. Kisselbach v. Cnty. of Camden, 271 N.J. Super. 558, 565 (App. Div. 1994). 317. Kisselbach v. Cnty. of Camden, 271 N.J. Super. 558, 566 (App. Div. 1994). 318. See Green v. Averbach Chevrolet, 127 N.J. 591 (1992). 319. N.J.S.A. 2A:53A-38, et seq. Every action at law for an injury to the person caused by the wrongful act, neglect or default of any person within this State shall be commenced within two years next after the cause of any such action shall have accrued; except that an action by or on behalf of a minor that has accrued for medical malpractice for injuries sustained at birth shall be commenced prior to the minor’s 13th birthday.320 The time limit for the claim of a parent for an injury to a child is controlled by N.J.S.A. 2A:14-2.1, which provides: Where a parent or other person has a claim for damages suffered by him because of an injury to a minor child caused by the wrongful act, neglect or default of any person within this State, an action at law upon such claim may be commenced by the said parent or other person within the same period of time as provided by law in the case of the said minor child so injured provided that, if an action is commenced by or on behalf of the said minor child, the said claim of the parent or other person shall be asserted and maintained in such action brought on behalf of the injured minor child either as a plaintiff or third party plaintiff and if not so asserted shall be barred by the judgment in the action brought on behalf of said injured minor child. The issue of when the parents must file a claim for their damages arising out of an injury to their child depends on the nature of the injury. In Procanik by Procanik v. Cillo,321 a wrongful birth case discussed in Chapter 5, § 5-12 of this text, the Court noted that the parents’ claims were barred by the statute of limitations contained in N.J.S.A. 2A:14-2.1. The Court rejected the argument that the parents’ claims were derivative of the infant’s claim. The Court concluded that the claim of the parents did not arise solely 320. N.J.S.A. 2A:14-2(a). 321. Procanik by Procanik v. Cillo, 97 N.J. 339 (1984). because of injury to the child but rather was a direct injury to their independent rights and therefore the parents’ claim was time barred.322 A distinction was drawn in Mansour v. Leviton Manufacturing Co., Inc.,323 where the plaintiff brought suit individually and as guardian ad litem of his daughter, who sustained severe burns when an electric wok turned over and spilled its contents on her. The suit was filed more than two years after the child was injured. The defendants contended that the father’s claim was untimely. The court analyzed N.J.S.A. 2A:14-21, which states that when a parent has a claim for damages because of an injury to a child, an action may be commenced by the parent, within the same period of time as provided by law in the case of the said minor child so injured, provided that, if an action is commenced by or on behalf of the said minor child, the said claim of the parent or other person shall be asserted and maintained in such action. The court first observed: the plain language of the statute allows a parent, who claims to have suffered damages as a result of injury to his child, to wait to file suit until the child’s suit is brought, but no longer.324 The court then distinguished a parent’s claim for the parents’ own injury from a parent’s derivative claim. The tolling statute does not define a parent’s allowable ‘claim for damages suffered by him because of an injury to a minor child caused by’ another’s wrong. See N.J.S.A. 2A:14-2.1. It merely provides that such a claim, insofar as it is otherwise allowed, will be tolled. The underlying assumption of the tolling statute is that proof of the child’s cause of action is an essential element of the parent’s. See Model Jury Charge 5.15. That is what makes 322. Procanik by Procanik v. Cillo, 97 N.J. 339, 355-56 (1984). 323. Mansour v. Leviton Mfg. Co., 382 N.J. Super. 594 (App. Div. 2006). 324. Mansour v. Leviton Mfg. Co., 382 N.J. Super. 594, 602 (App. Div. 2006). the claim ‘derivative.’ Compare Procanik v. Cillo, 97 N.J. 339, 355-56 (1984) (addressing the parents’ claim for negligent advice and treatment during pregnancy that deprived them of an opportunity to avoid birth of a child with severe defects).325 The court then analyzed the impact of the tolling statute on the father’s claim: Yet if the parent is not allowed the same tolling period, the parent will be forced within two years to file (and try) the same products claim that the child may pursue years later. Such duplication of effort and expense, with its potential for inconsistent verdicts, makes no sense and cannot have been intended by the Legislature. … It would make little or no sense to allow, much less effectively to require, separate lawsuits, especially when the parent’s case likely would be tried first to avoid the two-year time bar. The statute itself implies exactly that rationale, by allowing the parent’s action the same tolling period as an action on behalf of the child, but no more: requiring the parent’s action to be brought no later than the child’s.326 The court concluded by observing: Most significant to our conclusion that the [father’s] Portee claim is tolled for as long as the child’s claim is tolled is that the practical effect is entirely consistent with the entire controversy doctrine, see Rule 4:30A, and its underlying rationale: to avoid multiple lawsuits on related claims involving the same parties, thereby also to avoid the risk of inconsistent results, and to promote judicial economy, all in a fair and equitable manner.327 325. Mansour v. Leviton Mfg. Co., 382 N.J. Super. 594, 602-03 (App. Div. 2006). 326. Mansour v. Leviton Mfg. Co., 382 N.J. Super. 594, 603-04 (App. Div. 2006). 327. Mansour v. Leviton Mfg. Co., 382 N.J. Super. 594, 604 (App. Div. 2006). In McDonald v. Lederle Laboratories, the Appellate Division held that a patient who does not file a timely claim under the National Childhood Vaccine Injury Act, 42 U.S.C. 300, et seq., is barred from subsequently bringing a personal injury action in state court.328 The National Childhood Vaccine Injury Act requires that a claim be filed within 36 months after the first symptom or manifestation of the injury. In McDonald, the plaintiff was inoculated with the DPT vaccine in 1989 but did not file a claim until 1998, and the claim was dismissed as untimely. Thereafter, the plaintiff filed a civil action against the defendants. The Appellate Division affirmed the order dismissing the complaint.329 Statute of Limitations for Wrongful Death N.J.S.A. 2A:31-3 provides that actions for wrongful death must be brought within two years after the date of the death. There is no accrual language as is contained in N.J.S.A. 2A:14-2. This distinction was the key to the decision in Duffy v. Ackerhalt,330 where plaintiff’s decedent was last treated by defendant in December 1971. Plaintiff’s decedent complained of various pains and was given aspirin. In March 1972, plaintiff’s decedent was taken to an emergency room and died shortly thereafter. The cause of death was determined to be subacute bacterial endocarditis, an infection of the muscles lining the heart. Plaintiff’s administratrix instituted suit in January 1974, alleging a claim for wrongful death and survival damages. The trial court dismissed both claims. The Appellate Division reversed, simply noting that the statute of limitations for wrongful death is two years from the date of the death.331 328. McDonald v. Lederle Labs., 341 N.J. Super. 369 (App. Div. 2001) (affirming dismissal of mother’s claims on child’s behalf, reversing dismissal of mother’s individual claims and remanding to address those claims), appeal after remand 366 N.J. Super. 555 (App. Div. 2004) (affirming dismissal of some of the mother’s individual claims and reversing dismissal of her per quod claim for loss of her son’s services), certif. granted, 180 N.J. 455 (2004). See also Rivard v. Am. Home Prods., 391 N.J. Super. 129 (App. Div. 2007) and Troxclair v. Aventis Pasteur, Inc., 374 N.J. Super. 374 (App. Div. 2005), which discuss the National Childhood Vaccine Injury Act, 42 U.S.C. 300AA-1 to -34. 329. McDonald v. Lederle Labs., 341 N.J. Super. 369, 376 (App. Div. 2001). 330. Duffy v. Ackerhalt, 138 N.J. Super. 119 (App. Div. 1975). 331. Duffy v. Ackerhalt, 138 N.J. Super. 119, 120 (App. Div. 1975) (citing N.J.S.A. 2A:31-3). This result was followed in Silverman v. Lathrop,332 where plaintiff alleged that the defendant failed to diagnose a tumor which metastasized and caused her husband’s death. Plaintiff’s decedent first noticed a small dark spot on his leg in April 1972. He consulted the defendant in July 1972 at which time defendant removed the lesion but did not perform a biopsy. In October 1972 plaintiff returned to the defendant who at that time became suspicious of a malignant melanoma. A biopsy was taken and it confirmed the diagnosis of regional metastasis. In April 1975 a liver scan suggested that the plaintiff had metastatic liver cancer. Plaintiff immediately consulted with an attorney, who filed suit in October 1975. The plaintiff died in December 1975, and the complaint was amended to assert survival and wrongful death claims. The trial court granted summary judgment as to the survival claims brought pursuant to N.J.S.A. 2A:15-3 and -4. The court then turned to the discussion as to whether the wrongful death claim is also barred by the statute of limitations. The court rejected the contention that the wrongful death action is derivative of the personal injury action, which was time barred, and held that the wrongful death claim, brought within two years of the date of death, was timely. We conclude that conditioning the cause of action for death on an extant and viable cause of action for personal injuries at the time of death is not required by the statutory language, logic or credible precedent.333 An interesting analysis of the wrongful death statute of limitations is found in Lombardi v. Simon,334 where plaintiff brought suit alleging that the negligence of an anesthesiologist caused the death of his son. In the initial complaint, plaintiff named Dr. Wen-Hong Chen, the anesthesiologist that the plaintiff thought was responsible. Plaintiff amended the complaint to name Dr. Te-Hong Chen, the actual anesthesiologist, as a defendant, but the amended complaint was not filed within two years of the date of his son’s death. The defendant, Dr. Te-Hong Chen, moved for summary judgment based upon the two-year statute of limitations 332. Silverman v. Lathrop, 168 N.J. Super. 333 (App. Div. 1979). 333. Silverman v. Lathrop, 168 N.J. Super. 333 (App. Div. 1979). 334. Lombardi v. Simon, 266 N.J. Super. 708 (Law Div. 1993). in the Wrongful Death Act. The court explained that the qualifier in N.J.S.A. 2A:31-3, that an action for wrongful death be brought within two years of the date of death, is not actually a statute of limitations, but rather, “a condition which is an integral part of the right to sue and therefore must be present before one secures the right to file a wrongful death action.”335 The court instructed that the wrongful death action focuses on the date of death and not on the accrual of the cause of action. Therefore, the court held that the amended complaint related back to the date of the initial complaint which was timely filed. The court held that in order for a complaint to relate back, three factors must be satisfied: (1) the claim in the amended complaint must have arisen out of the conduct complained about in the initial complaint; (2) the new defendant has sufficient notice so as not to be prejudiced; and (3) the new defendant knew or should have known but for the misidentification that suit would have been brought against that party. The court noted that the first element was obviously satisfied. The court also concluded that the second and third elements were also satisfied since it was reasonably foreseeable that all the doctors present when Mr. Lombardi died on the operating table would expect a wrongful death suit to be forthcoming. Thus, defendant, Te-Hong Chen received sufficient notice of the wrongful death claim.336 The court also concluded that there would be no prejudice to the defendant since both of the anesthesiologists practiced out of the same office and had the same insurance carrier. The court therefore held that the claim was timely. Several cases have discussed whether the discovery rule applies to the Wrongful Death Act. In Presslaff v. Robins,337 plaintiff’s decedent died in January 1975, and the administratrix claimed that it was not until July 1977 that she learned that one of the drugs taken by the decedent had been linked with a number of deaths.338 335. Lombardi v. Simon, 266 N.J. Super. 708, 712 (Law Div. 1993). 336. Lombardi v. Simon, 266 N.J. Super. 708, 714 (Law Div. 1993). 337. Presslaff v. Robins, 168 N.J. Super. 543 (App. Div. 1979). 338. Presslaff v. Robins, 168 N.J. Super. 543, 545 (App. Div. 1979). The complaint was filed in March 1978. The defendants moved for summary judgment, relying on N.J.S.A. 2A:31-3, which provides that actions for wrongful death must be brought within two years after the date of the death. The court held that the discovery rule does not apply to wrongful death claims, and affirmed the granting of the defendant’s motion for summary judgment. However, in Negron v. Llarena,339 plaintiff filed a wrongful death suit in the federal court in New York. The case was transferred to the federal district court in New Jersey. Thereafter the case was dismissed for lack of diversity jurisdiction and plaintiff filed a wrongful death action in the Superior Court of New Jersey. The defendants moved for summary judgment based on the fact that the suit in state court was not filed within two years of the date of the death. The trial court denied the defendant’s motion but the Appellate Division reversed. The Supreme Court reinstated the action, concluding that the plaintiff had substantially complied with the wrongful death statute of limitations.340 The Negron Court held that the doctrine of substantial compliance was available to be applied to “substantive” statutes of limitations, such as the Wrongful Death Act. The Negron Court reviewed the legislative history of the Wrongful Death Act and concluded, Looking to the Wrongful Death Act, ‘there is nothing reflective in the objectives of [the Act] or its history that suggests the Legislature intended to foreclose the familiar doctrine of substantial compliance in the [statute of limitations] context.’341 The Negron Court held that a party should be deemed to have substantially complied with the Wrongful Death Act’s strict statute of limitations by satisfying the same requirements to demonstrate substantial compliance with the Affidavit of Merit Statute: ‘(1) the lack of prejudice to the defending party; (2) a series of steps taken to comply with the statute involved; 339. Negron v. Llarena, 156 N.J. 296 (1998). 340. Negron v. Llarena, 156 N.J. 296, 307 (1998). 341. Negron v. Llarena, 156 N.J. 296, 304 (1998) (citing Cornblatt v. Barow, 153 N.J. 218, 240 (1998)). (3) a general compliance with the purpose of the statute; (4) a reasonable notice of petitioner’s claim; and (5) a reasonable explanation why there was not a strict compliance with the statute.’342 Similarly, in Estate of Vida v. City of Garfield,343 the Appellate Division held that under the doctrine of substantial compliance a claim is timely under the Wrongful Death Act where the defendant is actually aware of the filing of the suit prior to the expiration of the statute of limitations. In LaFage v. Jani,344 the Supreme Court held that the Wrongful Death Act,345 may be equitably tolled for minors who suffer the wrongful death of a parent. In LaFage, plaintiff’s decedent became ill in March 1995 and was examined at a local hospital, then by a private physician, and again at the local hospital. Plaintiff’s decedent died two days later. He left a wife who was three months pregnant, as well as four- and eight-year-old children. The surviving wife spoke to a lawyer about the possibility of a malpractice suit within five days after her husband died. Within two weeks of her husband’s death she also spoke to a relative who was a physician and was advised that her husband died as a result of malpractice. A complaint seeking damages for wrongful death was filed in April 1997, two years and 27 days after Mr. LaFage’s death. The defendants moved to dismiss the case and the plaintiff argued that the statute of limitations did not begin to run until June 1995, when the autopsy report was received. The trial court held that the discovery rule could be applied to a wrongful death claim and scheduled a Lopez hearing. After concluding the hearing, the trial court held that the statute of limitations began to run in March 1995 when the plaintiff spoke to a doctor who advised her that her husband died of malpractice. The trial court also held that the wrongful death claim could be equitably tolled, relying on Negron v. Llarena.346 The trial court therefore dismissed the 342. Negron v. Llarena, 156 N.J. 296, 305 (1998). 343. Estate of Vida v. City of Garfield, 330 N.J. Super. 225 (App. Div. 2000). 344. LaFage v. Jani, 166 N.J. 412 (2001). 345. N.J.S.A. 2A:31-1, et seq. 346. Negron v. Llarena, 156 N.J. 296 (1998). wrongful death claim asserted on behalf of Mrs. LaFage, as well as the survival claim, but allowed the wrongful death claim filed on behalf of the minors to continue. The Appellate Division refused to hear an interlocutory appeal but the Supreme Court granted leave to appeal and revisited the interplay between the statute of limitations and the Wrongful Death Act. The Supreme Court began the analysis observing that the statute of limitations, N.J.S.A. 2A:14-2, requires a suit be filed within two years “after the cause of any such action shall have accrued.” The Wrongful Death Act states that suit shall be filed “within two years after the death of the decedent, and not thereafter.”347 The Supreme Court quickly affirmed the trial court’s factual finding that Mrs. LaFage had discovered the potential malpractice claim more than two years prior to the filing of the suit.348 The Supreme Court therefore declined to “address the broader questions whether the discovery rule generally should be applicable to Wrongful Death Act claims.”349 The Court then turned to the claims of the children. In noting that the Wrongful Death Act “does not explicitly relax the 2-year requirement,” the Supreme Court recalled that in Negron, it permitted equitable tolling or the discovery rule to be applied to the Wrongful Death Act in appropriate circumstances.350 The Supreme Court concluded that the legislature’s 1951 revisions to the Infant Tolling Statute, N.J.S.A. 2A:14-21, were not intended to prevent tolling of the statute of limitations for infants for wrongful death cases.351 The LaFage Court pointed to the example of a child and father who were severely injured in an accident with the child surviving but the father dying a week later. The Court explained that the Legislature did not intend that the personal injury claim be permitted but the wrongful death claim be barred, stating ‘We do not believe that the Legislature would have intended that the wrongful death claim should be barred either in that hypothetical example or in the present case. Although a literal reading of the 347. LaFage v. Jani, 166 N.J. 412, 420 (2001). 348. LaFage v. Jani, 166 N.J. 412, 420 (2001). 349. LaFage v. Jani, 166 N.J. 412, 420 (2001). 350. LaFage v. Jani, 166 N.J. 412, 421 (2001). 351. LaFage v. Jani, 166 N.J. 412, 425 (2001). Wrongful Death Act might suggest a different result, considerations of fairness and equity convince us that the true legislative intent is otherwise.’352 The Court therefore concluded that N.J.S.A. 2A:14-21 should be construed to toll as well wrongful death actions by infants because such actions are fairly encompassed by the limitation provisions applicable to actions for injury to the person. Although we are confident that construction of the tolling statute is consistent with the Legislature’s intent, the Legislature is of course free to correct our interpretation if we have misperceived its intent.353 In Miller v. Estate of Sperling,354 the Supreme Court held that failure to bring a personal injury action within the time provided by the statute of limitations does not bar the pursuit of a wrongful death claim if it is filed within two years of the date of the decedent’s death.355 In Miller, plaintiff alleged that the defendant prescribed birth control medication to his wife from the early 1960s until 1985, but that he did not tell either plaintiff or his wife that the prescription was for birth control. The plaintiff’s wife left the care of the defendant in 1985. Plaintiff’s wife died in 1996 at the age of 66 from a suspected heart attack. Plaintiff brought a pro se wrongful death suit in 1998. The trial court held that the claim was barred by the statute of limitations. The Appellate Division affirmed, holding that the failure to bring a personal injury claim prior to the expiration of the statute of limitations barred the filing of a wrongful death claim after the patient’s death. The Appellate Division explicitly relied on Knabe v. Hudson Bus Transportation Company.356 352. LaFage v. Jani, 166 N.J. 412, 425 (2001). 353. LaFage v. Jani, 166 N.J. 412, 430 (2001). 354. Miller v. Estate of Sperling, 166 N.J. 370 (2001). 355. Miller v. Estate of Sperling, 166 N.J. 370, 372, 375 (2001); see also Troum v. Newark Beth Israel Med. Ctr., 338 N.J. Super. 1, 27 (App. Div. 2000) (rejecting defendant’s argument that the wrongful death claim was barred by the failure to pursue the personal injury claim prior to expiration of the statute of limitations, relying on Miller v. Estate of Sperling, 166 N.J. 370 (2001); Cockinos v. GAF Corp., 259 N.J. Super. 204, 207-08 (Law Div. 1992) (discussing the distinction between N.J.S.A. 2A:31-3, which requires that claims for wrongful death be brought within two years of the date of death, and N.J.S.A. 2A:14-2, which requires that claims be brought within two years from the date of “accrual”). 356. Knabe v. Hudson Bus Transp. Co., 111 N.J.L. 333 (E. & A. 1933). The Supreme Court reversed and overruled Knabe.357 In reaching this conclusion, the Court noted that New Jersey’s present wrongful death statute requires that the suit be brought “within two years after the death of the decedent, and not thereafter.”358 In allowing Mr. Miller’s wrongful death action to proceed, the Court noted that to rule otherwise would mean a wrongful death claim could effectively be timebarred before the death itself. … For example, a person critically injured on January 1, 1998 would have until January 1, 2000 to file a personal injury action. If that hypothetical victim passed away on January 1, 2001 without filing such an action, Knabe would bar the wrongful death claim. Thus the failure to file a personal injury claim by January 1, 2000 would bar the wrongful death claim, which did not accrue until January 1, 2001, when the decedent died. … We construe legislation to avoid such an absurd result.359 The Supreme Court revisited the statute of limitations in wrongful death cases in Szczuvelek v. Harborside Healthcare Woods Edge.360 In Szczuvelek, the patient was admitted to the Robert Wood Johnson University Hospital in February 1999. The patient was transferred to the defendant, Harborside, for rehabilitation on April 13, 1999. On transfer to Harborside, an order was entered that the patient was to be suctioned once every four hours. However, upon admission to Harborside, an order was entered requiring that the patient be suctioned only once per shift, and as needed. On April 15, 1999, two days after admission to Harborside, the patient complained to a close friend that the facility was not suctioning the patient. Later that day, the patient’s friend had an argument with a nurse who stated that “it’s the doctor’s orders, he’s not to be suctioned.”361 The next day, the patient was returned to the hospital in an unresponsive state and the patient died on April 17, 1999. 357. Miller v. Estate of Sperling, 166 N.J. 370, 375 (2001). 358. N.J.S.A. 2A:31-3. 359. Miller v. Estate of Sperling, 166 N.J. 370, 382-83 (2001). 360. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275 (2005). 361. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 278 (2005). The plaintiff first contacted an attorney three weeks after the patient died. The plaintiff contacted another attorney in August 2000 and the complaint was filed against Harborside and Somerset Medical Center on April 26, 2001, two years and nine days after the patient’s death. The plaintiff filed an amended complaint on July 9, 2002. The defendants both moved for summary judgment based upon the statute of limitations. The plaintiff argued that the lawsuit was timely because it was not until he spoke to the first lawyer, three weeks after the patient’s death, that the plaintiff became aware of the possibility of a malpractice case against Harborside, and not until he spoke to the second attorney that he became aware of a potential case against Somerset Medical Center. The trial court held that the plaintiff was aware of the malpractice committed at Harborside on April 15, 1999, when the plaintiff had the argument with the nurse. The case was dismissed as to both defendants. The Appellate Division affirmed.362 The Supreme Court began its analysis with a review of the statute of limitations and the development of the discovery rule.363 The Court explained that since the discovery rule is a “rule of equity,” it is “necessary to identify the equitable claims of each party and evaluate and weigh those claims in determining whether it is appropriate to apply the discovery rule.”364 The Court then explained that the critical inquiry is when a reasonable person would have known that he or she was injured as a result of somebody else’s fault. “The standard is basically an objective one—where the plaintiff ‘knew or should have known’ of sufficient facts to start the statute of limitations running.”365 In affirming the dismissal as to Harborside, the Supreme Court noted that the trial court had concluded that, based on the patient’s April 15 note to plaintiff and plaintiff’s observations on that day, “along with the cause of the decedent’s death (respiratory complications), plaintiff knew or should have known that Harborside’s actions or lack thereof were actionable at that 362. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 281 (2005). 363. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 281 (2005). 364. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 281 (2005). 365. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275 (2005) (citing Martinez v. Cooper Hosp., 163 N.J. 45, 52 (2000)). time.”366 The Supreme Court was equally divided as to whether the complaint against Harborside should be dismissed. Therefore, the judgment of the trial court and Appellate Division that Harborside should be dismissed with prejudice was affirmed. In reversing the dismissal as to the Somerset Medical Center, the Court, in a terse per curiam opinion, noted that the trial court did not make any finding as to the Somerset Medical Center. The Supreme Court therefore remanded the matter to the trial court to determine whether the claim against the Somerset Medical Center should be dismissed. The Court explained: Unlike the claim against Harborside, the trial court made no findings on the record that would indicate when a reasonable person in plaintiff’s position should have been aware of Somerset’s role in contributing to the cause of Burns’ death. The court below failed to discuss the application of the discovery rule to Somerset and to determine when plaintiff should have reasonably known of facts supporting a cause of action against Somerset to start the running of the statute of limitation. The application of the discovery rule may result in different dates for the accrual of a cause of action against different parties. As noted above, the discovery rule delays accrual of a cause of action ‘until the injured party discovers, or by an exercise of reasonable diligence and intelligence should have discovered that [he or she] may have a basis for an actionable claim.’ Lopez, supra, 62 N.J. at 272. Plaintiff certified that he did not have any knowledge of possible negligence by Somerset until he contacted Mr. Leifer on August 31, 2000. We note, however, that we have an incomplete record as the parties failed to submit to us a statement of material facts, which is required on the filing of a motion for summary judgment, that could have enabled us to decide this issue. Consequently, a 366. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 280 (2005). remand is necessary for the trial court to determine the application of the discovery rule as to Somerset and when the cause of action arose against Somerset.367 In a separate concurring opinion, Justices Poritz, Wallace, and Rivera-Soto stated they would affirm the judgment of the Appellate Division in favor of Harborside. Justice Poritz observed that the plaintiff witnessed the malpractice at Harborside. The three justices in favor of dismissal distinguished Mancuso v. Neckles,368 which was deemed to be a complex medical malpractice case. Unlike in Mancuso, this case is not about a complex medical causation issue. Rather it is a simple case where plaintiff is aware of the facts that suggest that the fault of a third party may have caused or contributed to the death of the victim, but further investigation is needed. The plaintiff need not have knowledge of the basis for legal liability or even that he is able to prove a cause of action. All that is required is that the facts suggest to a reasonable person that a third party’s conduct, here Harborside, contributed to the injury.369 Justice Zazzali, concurring in part and dissenting in part, would have reinstated the matter against Harborside. Justice Zazzali concluded: “In cases of complex medical causation, such as the present matter, it is not at all self-evident that the cause of the injury [be] … the fault of … a third party.”370 Justice Zazzali added: A plaintiff must have ‘some reasonable medical support that there was a causal connection between the plaintiff’s condition and the defendant’s conduct’ before we will deem him or her to have 367. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 282-83 (2005). 368. Mancuso v. Neckles, 163 N.J. 26 (2000). 369. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 285-86 (2005). 370. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 288 (2005) (Zazzali, J. concurring in part, dissenting in part) (citing Mancuso v. Neckles, 163 N.J. 26, 34 (2000)). the requisite knowledge of the facts that trigger the statutory period.371 .… To hold otherwise is to encourage plaintiffs to file medical malpractice claims, even in the unique circumstances of complex medical causation, whenever they are dissatisfied with their treatment without first obtaining some reasonable medical support for their claims. That approach invites frivolous litigation and is inconsistent with our decision in Martinez, supra.372 Justices Long and Albin joined in Justice Zazzali’s concurrence. Hospitals and Charitable Immunity Limitations on Hospital Liability In Schiavo v. John F. Kennedy Hospital,373 the court determined the effective date of the amendment of N.J.S.A. 2A:53A-8, which increased the maximum liability of an eligible hospital from $10,000 to $250,000. The Appellate Division held that the increased liability 371. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 288-89 (2005) (Zazzali, J. concurring in part, dissenting in part). 372. Szczuvelek v. Harborside Healthcare Woods Edge, 182 N.J. 275, 291 (2005) (Zazzali, J. concurring in part, dissenting in part). 373. Schiavo v. John F. Kennedy Hosp., 258 N.J. Super. 380 (App. Div. 1992), aff’d, 131 N.J. 400 (1993). only applied to claims accruing after July 1, 1991, the effective date of the statute. The court discussed the circumstances by which a statute is entitled to retroactive application and decided that the Charitable Immunity Statute was not entitled to retroactive application. In White v. Mattera,374 the Court held that the $250,000 limit on hospital liability provided by N.J.S.A. 2A:53A-8 applies where the malpractice occurred in 1986 but the harm did not manifest until 1996. The Court noted that the statute was amended to increase the limit of liability from $10,000 to $250,000 in 1991. The White Court recalled that in Schiavo v. John F. Kennedy Hospital,375 it held that the higher limit applied to any cause of action which accrued after the effective date of the amendment. The Court concluded that the claim accrues when the harm was sustained, and that since the patient did not sustain harm until 1996, the higher limit applied despite the fact that the malpractice occurred in 1986.376 See also Vasilik v. Federbush,377 where plaintiff brought suit seeking damages arising out of the death of plaintiff’s son, a heroin addict who committed suicide after being released from a hospital. The trial testimony revealed that before his death plaintiff’s son was in the throes of overcoming heroin addiction and had attempted suicide by slashing his wrists and jumping out a window. Plaintiff had brought his son to the hospital crisis center, where he was examined and released. Plaintiff’s son committed suicide by jumping in front of a truck the next day. Plaintiff came upon the accident scene and saw paramedics administering CPR to his son at the scene of the accident. The court rejected the defendants’ claim of immunity pursuant to N.J.S.A. 30:4-27.7, which provides immunity relating to involuntary commitment for mental health treatment and steps taken to assess mental health and need for commitment. In addition to not being raised before the trial court, the court stated this statute provides immunity when a person is involuntarily committed and does not apply to a situation in which no steps were taken to assess mental health or recommend either involuntary or voluntary commitment. 374. White v. Mattera, 175 N.J. 158 (2003). 375. Schiavo v. John F. Kennedy Hosp., 258 N.J. Super. 380 (App. Div. 1992), aff’d, 131 N.J. 400 (1993). 376. White v. Mattera, 175 N.J. 158, 167 (2003). 377. Vasilik v. Federbush, 327 N.J. Super. 6 (App. Div. 1999). See also, Kuchera v. Jersey Shore Family Health Center,378 where the Supreme Court granted certification of the following question: Does this non-profit community outreach clinic have a charitable or educational purpose entitling it to absolute immunity under N.J.S.A. 2A:53A-7, or is it organized exclusively for hospital purposes and therefore subject to a $250,000 limit on its liability pursuant to N.J.S.A. 2A:53A-8? Limitations on Hospital Liability Not Applicable to Hospital Employees The $250,000 limitation on liability of a hospital does not limit the liability of hospital employees. In Maciag v. Strato Medical Corp.,379 the Appellate Division observed: It is true that if the hospital is rendered liable on the basis of the actions of the surgical nurses, and they have not been named separately as parties, damages will be limited to $250,000.00 under N.J.S.A. 2A:53A-8.380 In McFadden v. Turner,381 the court discussed the limitation of N.J.S.A. 2A:53A-8 and observed the limitation does not extend to the hospital’s employees, who are accordingly obligated to respond in full for the damages resulting from the acts of negligence, N.J.S.A. 2A:53A-7.382 The question of whether the hospital limitation of liability in the amount of $250,000 contained in N.J.S.A. 2A:53-8 applies to vicarious liability or to cases of apparent employment has been the subject of several recent cases. In the unreported case of Santana v. Chaudri,383 the appellate division held that a hospital cannot be held 378. Kuchera v. Jersey Shore Family Health Ctr., 87 A.3d 773 (2013), granting certification to No. A-2155-12T3, 2013 N.J. Super Unpub. LEXIS 2456 (N.J. Super. App. Div. Feb. 14, 2014); http://njlaw.rutgers.edu/collections/courts/appellate/a215512.opn.html. 379. Maciag v. Strato Med. Corp., 274 N.J. Super. 447 (App. Div. 1994). 380. Maciag v. Strato Med. Corp., 274 N.J. Super. 447, 458 n.4 (App. Div. 1994). 381. McFadden v. Turner, 159 N.J. Super. 360 (App. Div. 1978). 382. McFadden v. Turner, 159 N.J. Super. 360, 364 (App. Div. 1978). 383. Santana v. Chaudri, No. A-0782-10T3, 2012 N.J. Super. Unpub. LEXIS 38 (N.J. Super. App. Div. Jan. 11, 2012). liable for more than the $250,000 limit, even in cases of vicarious liability or apparent employment. The same conclusion is reached in another unreported decision, Ruday v. Shore Memorial Hospital.384 See also American Nurses Ass’n v. Passaic General Hospital,385 discussing the interplay between the limitation of liability provided by N.J.S.A. 2A:53-8 and insurance policies issued to hospitals providing coverage for the negligence of the hospital’s employees. As noted by the court, insurance policies issued to hospitals indemnifying against the negligence of the hospital’s employees may provide coverage in excess of and may not be limited by the statutory limitation of liability.386 Thus, it is essential to obtain the hospital’s insurance policies and carefully review the coverage provided to employees of the hospital. Determining Whether Defendant is a Charity Subject to Immunity In an important but inexplicably unpublished opinion in the case of Klein v. Bristol Glen Inc.,387 the appellate division explored the limits of the immunities provided to certain health care providers by N.J.S.A. 2A:53A-7 and -9. Although the court did not directly address the limitation of liability provided to non-profit hospitals by N.J.S.A. 2A:53A-8, the case is also instructive as to those claims. In Klein, the plaintiff was injured when she fell on the grounds of defendant, an elder care community. Defendant asserted that it was a non-profit corporation whose stated mission is to “provide quality and caring services to senior men and women in a Christian community.” When defendant moved for summary judgment based upon charitable immunity, plaintiffs sought additional discovery, including “[a]ll records in regard to payments by patients; salaries of employees, including management employees; [and] salaries of the President and Vice-President of Bristol Glen, Inc.”388 Defendant 384. Ruday v. Shore Mem’l Hosp., No. A-3646-10T1, 2011 N.J. Super. Unpub. LEXIS 2607 (N.J. Super. App. Div. Oct. 18, 2011). 385. American Nurses Ass’n. v. Passaic Gen. Hosp., 192 N.J. Super. 486 (App. Div. 1984). 386. American Nurses Ass’n. v. Passaic Gen. Hosp., 192 N.J. Super. 486, 495 (App. Div. 1984). 387. Klein v. Bristol Glen Inc., No. A-1382-08T3, 2010 N.J. Super. Unpub. LEXIS 1868 (N.J. Super. App. Div. Aug. 4, 2010). 388. Klein v. Bristol Glen Inc., No. A-1382-08T3, 2010 N.J. Super. Unpub. LEXIS 1868, at *7-8 (N.J. Super. App. Div. Aug. 4, 2010). refused to produce this discovery, and the motion judge nevertheless granted defendant’s motion for summary judgment. The motion judge determined that defendant was a “charitable organization” pursuant to N.J.S.A. 2A:53A-7 and -9 and was “formed for non-profit purposes, organized as religious and charitable operations, and were promoting such activities at the time of the injury sustained.”389 The appeal raised the question: What is a charity? The discovery that had been provided revealed that residents paid up to $3,513 per month, an entrance fee between $199,700 to $319,000, or a nonrefundable entrance fee between $126,600 to $227,100. However, once a resident was accepted into the community they would not have to leave if they could no longer pay. The Klein Court deemed it significant that charitable donations made up only 0.8 percent of the operating budget of defendant. In reversing, the Appellate division first observed that where a defendant seeks the protection of the Act based on its status as an entity organized exclusively for charitable purposes, courts must undertake the fact-sensitive analysis.390 The Klein Court noted that in Abdallah v. Occupational Ctr. of Hudson County, Inc.,391 a non-profit entity relied on charitable donations equal to one-and-a-half percent of the institution’s total revenue and that was deemed “too insignificant” to accord it charitable status. In most significant language that will apply to the largest hospital systems, the court explained: Without that opportunity and the discovery of financial information sought, the court could not have been in a position to determine whether defendants’ ‘dominant motive is charity [and not] some other form of enterprise.’392 389. Klein v. Bristol Glen Inc., No. A-1382-08T3, 2010 N.J. Super. Unpub. LEXIS 1868, at *10 (N.J. Super. App. Div. Aug. 4, 2010). 390. Klein v. Bristol Glen Inc., No. A-1382-08T3, 2010 N.J. Super. Unpub. LEXIS 1868, at *15 (N.J. Super. App. Div. Aug. 4, 2010) (citing Parker v. St. Stephen’s Urban Dev. Corp., 243 N.J. Super. 317, 321 (App. Div. 1990) and Ryan v. Holy Trinity Evangelical Lutheran Church, 175 N.J. 333, 341 (2003)). 391. Abdallah v. Occupational Ctr. of Hudson Cnty., Inc., 351 N.J. Super. 280, 284 (App. Div. 2002). 392. Klein v. Bristol Glen Inc., No. A-1382-08T3, 2010 N.J. Super. Unpub. LEXIS 1868, at *18-19 (N.J. Super. App. Div. Aug. 4, 2010)). The Court then added, in language that will chill hospital executives and their counsel: On remand, plaintiffs must be provided an opportunity to discover information previously requested that will reveal the extent to which Bristol Glen and UMH exist and function as moneymaking operations, and the extent to which they truly rely on charitable donations. That opportunity was not provided in the proceeding below.393 Immunity for Emergency Squads and Personnel In Frields v. St. Joseph’s Hospital,407 the court explained that in the circumstances of that case, the intensive care personnel and emergency medical technicians were immune from liability pursuant to N.J.S.A. 2A:62A-1, N.J.S.A. 26:2K-14, and N.J.S.A. 26:2K-29.408 405. Weiss v. Goldfarb, 154 N.J. 468, 481-82 (1998). 406. Weiss v. Goldfarb, 154 N.J. 468, 496 (1998) (Stein, J. dissenting). 407. Frields v. St. Joseph’s Hosp., 305 N.J. Super. 244 (App. Div. 1997). 408. See also: N.J.S.A. 2A:62A-1, the Good Samaritan Act, discussed in § 87:4, and N.J.S.A. 2A:62A-2, which provides immunity to any person, including a volunteer member of a first aid emergency or volunteer ambulance or rescue squad, for negligence in rendering emergency care at the scene of an accident or emergency; N.J.S.A. 2A:62A-1.1 and -1.2, which provides immunity to police and firefighters for negligence in rendering emergency care at the scene of an accident or emergency; N.J.S.A. 26:2K-14, which provides immunity to intensive care paramedics and others rendering of “advanced life support services”; and N.J.S.A. 26:2K-43, which provides immunity to EMTs and others for negligence in performing cardiac defibrillation. In Murray v. Plainfield Rescue Squad,409 the Supreme Court held that then existing N.J.S.A. 26:2K-29 did not provide immunity to the Plainfield Rescue Squad as an entity, reversing an appellate division decision.410 The legislature promptly responded and proposed an amendment to N.J.S.A. 26:2K-29 and N.J.S.A. 2A:53A-13.1, to provide the same level of immunity to the Rescue Squad as provided to the individual members.411 That proposed amendment was still pending as this text went to press. The immunity granted to emergency medical personnel was revisited in De Tarquino v. City of Jersey City.412 In De Tarquino, the plaintiff asserted that the defendant EMTs had negligently failed to record on a report that her son, a head trauma victim, had been vomiting. This report was provided to the emergency room personnel at the hospital where the plaintiff’s son was brought for treatment. The plaintiff’s son was released from the hospital and died soon thereafter, and the plaintiff alleged that the negligence of the EMTs was a contributing factor in his death. The EMT defendants successfully moved for a dismissal pursuant to the immunity granted by N.J.S.A. 26:2K-29, which states: No EMT-intermediate, licensed physician, hospital or its board of trustees, officers and members of the medical staff, nurses or other employees of the hospital, or officers and members of a first aid, ambulance or rescue squad shall be liable for any civil damages as the result of an act or the omission of an act committed while in training for or in the rendering of intermediate life support services in good faith and in accordance with this act. The Appellate Division reversed, concluding that the statute did not provide immunity for the improper preparation of the report, but rather only for negligence while actually providing life support. The Appellate Division analyzed a number of statutes which provide qualified immunities to persons who provide medical assistance 409. Murray v. Plainfield Rescue Squad, 210 N.J. 581 (2012). 410. Murray v. Plainfield Rescue Squad, 210 N.J. 581 (2012), rev’g 418 N.J. Super. 574 (App. Div. 2011). 411. See S-2165, 215th Legislature, N.J. State Legislature (2012-2013) (introduced Aug. 20, 2012). 412. De Tarquino v. City of Jersey City, 352 N.J. Super. 450 (App. Div. 2002). in emergencies, including the Good Samaritan Statute, N.J.S.A. 2A:62A-1, as well as statutes that provide immunity to police and fire fighters, N.J.S.A. 2A:62A-1.1; intensive care paramedics who render advance life support, N.J.S.A. 26:2K-29; and a statute which provides qualified immunity to emergency medical technicians performing cardiac defibrillation, N.J.S.A. 26:2K-43.413 The court found that the common thread in all of these statutes is the provision of immunity to those who “perform medical services at the scene of emergencies.”414 The court explained that the qualified immunity conferred upon EMT personnel is based upon the fact that emergencies which occur outside of a hospital setting present greater risk than the performance of the similar services by a doctor in a hospital setting. This immunity is intended to prevent emergency medical personnel from being “inhibited in performing those services by fear of tort liability.”415 However, the preparation of an accurate report concerning the observations of the patient’s condition does not pose the same risk as the rendering of emergency medical care outside a hospital. Therefore, the legislative policy of immunizing persons from liability for negligence in performing emergency medical services may be achieved without construing that immunity to extend to negligence in the preparation of the report provided to the hospital where an emergency patient is brought for treatment.416 The Appellate Division supported this conclusion by noting that the legislature could have conferred a general immunity for any negligent conduct but rather limited the immunity to negligence committed while rendering life support services in good faith.417 The issue arose in Lauder v. Teaneck Ambulance Corps,418 where the patient was injured when a gurney collapsed. The defendant ambulance squad and its members were granted summary judgment pursuant to N.J.S.A. 2A:53A-13, et seq., which grants immunity 413. De Tarquino v. City of Jersey City, 352 N.J. Super. 450, 455 (App. Div. 2002). 414. De Tarquino v. City of Jersey City, 352 N.J. Super. 450, 456 (App. Div. 2002). 415. De Tarquino v. City of Jersey City, 352 N.J. Super. 450, 456 (App. Div. 2002). 416. De Tarquino v. City of Jersey City, 352 N.J. Super. 450, 456 (App. Div. 2002). 417. De Tarquino v. City of Jersey City, 352 N.J. Super. 450, 456 (App. Div. 2002). 418. Lauder v. Teaneck Ambulance Corps, 368 N.J. Super. 320 (App. Div. 2004). to volunteer first aid squads. At the commencement of trial, the defendant hospital moved to dismiss because plaintiff did not have an expert on either the standard of care for hospital employees transporting patients or on proximate causation. The trial court dismissed the case. In reversing the dismissal of the case as to a hospital employee, the appellate court noted that pursuant to N.J.S.A. 26:2k-14, a paramedic is not liable for civil damages as the result of an act or omission while rendering “advanced life support services.” The Appellate Division then concluded that the improper strapping of a patient to a gurney did not constitute “advanced life support services.” In so ruling, the Appellate Division relied on De Tarquino.419 The Appellate Division also rejected the hospital’s argument that expert testimony is necessary to determine whether a hospital employee was negligent for failing to strap a patient to a gurney,420 and therefore reinstated the case. An emergency medical technician has no duty to attempt or supervise the rescue of a child in a swimming pool. In Shehaiber v. University of Medicine and Dentistry/UMDNJ,421 the plaintiff’s child fell into an unmaintained swimming pool filled with dark, murky water. The police and EMT units arrived within minutes, but no one entered the pool for approximately 20 minutes after the emergency personnel arrived at the scene. The child died the next day. The parents filed suit and included a claim against the University of Medicine and Dentistry of New Jersey, and its EMTs, for negligence in the rescue efforts. The trial court granted UMDNJ’s motion for summary judgment on the grounds that the EMTs were immune from liability, citing N.J.S.A. 26:2K-14 and N.J.S.A. 26:2K-29. Plaintiffs contended on appeal that the EMTs were negligent for failing to enter the pool during the first 20 minutes to try and rescue 419. Lauder v. Teaneck Ambulance Corps, 368 N.J. Super. 320, 329 (App. Div. 2004) (relying on De Tarquino v. City of Jersey City, 352 N.J. Super. 450, 456 (App. Div. 2002)); see also Murray v. Plainfield Rescue Squad, 418 N.J. Super. 574, 586 (App. Div. 2011) (holding that members of a municipal rescue squad were entitled to immunity under N.J.S.A. 26:2K-29 unless the plaintiff demonstrates that the members either “did not act in an objectively reasonable manner or with a lack of subjective good faith.”), rev’d on other grounds, 210 N.J. 581 (2012); Leang v. Jersey City Bd. of Educ., 198 N.J. 557 (2009) (the Supreme Court construed N.J.S.A. 30:4-27.1 to -31 to provide immunity to emergency medical technicians who transported plaintiff after she had been arrested for a psychiatric evaluation). 420. Lauder v. Teaneck Ambulance Corps, 368 N.J. Super. 320, 329-30 (App. Div. 2004). 421. Shehaiber v. Univ. of Med. & Dentistry/UMDNJ, 360 N.J. Super. 330 (App. Div. 2003). the child, for failing to lead the rescue efforts, and in improperly rendering aid to the child at the scene. The Appellate Division held that the statutory immunity applied as to the rendering of emergency medical assistance, citing De Tarquino. The court also rejected the claims against the EMTs for failing to enter the pool and/or supervise the rescue. The issue, as we view it, is thus not one of immunity but rather one of duty. Simply put, did the EMTs have the duty of entering that pool or of supervising the rescue efforts being simultaneously attempted by the police and fire fighters at the scene? We are constrained to conclude that they did not.422 The court added that the existence of a duty is a question of law to be decided by the court, and that: There is nothing in this record suggesting that when police, firefighters and EMTs are simultaneously at an accident scene where a rescue effort is required, it is the duty of the EMTs to supervise the rescue efforts, and plaintiffs point to no legal authority imposing such a duty upon them. Indeed, the contrary would appear to be so.423 Similarly, the court held that the EMTs had no duty as a matter of law to enter the pool. There was nothing in the record to suggest that EMTs are required to be trained in or to perform lifeguard services, and certainly not lifeguard services in a body of water posing such obvious risk of harm to a potential rescuer.424 The court therefore affirmed the dismissal of the EMTs from the case. 422. Shehaiber v. Univ. of Med. & Dentistry/UMDNJ, 360 N.J. Super. 330, 334-35 (App. Div. 2003). 423. Shehaiber v. Univ. of Med. & Dentistry/UMDNJ, 360 N.J. Super. 330, 335 (App. Div. 2003). 424. Shehaiber v. Univ. of Med. & Dentistry/UMDNJ, 360 N.J. Super. 330, 335 (App. Div. 2003). Good Samaritan Act Immunity The Supreme Court analyzed the application of New Jersey’s Good Samaritan Act, N.J.S.A. 2A:62A-1, et seq., in a malpractice case arising in a hospital setting in Velazquez v. Jiminez.425 This statute provides that any person who, in good faith, renders emergency care at the scene of an accident or while transporting victims to the hospital, is immune for damages as a result of any acts or omissions of such person in rendering emergency care. However, in Velazquez, the plaintiff was in a hospital when she experienced complications during delivery of her child. Dr. Jiminez, the attending physician, sought assistance and Dr. Ranzini responded and helped deliver the infant. The child was born with severe brain injuries and died prior to his third birthday. The plaintiff filed a lawsuit against both physicians and the case against Dr. Jiminez settled. The case against Dr. Ranzini went to trial and the jury allocated three percent of the fault to Dr. Ranzini. The trial court held that the Good Samaritan Act did not insulate Dr. Ranzini from liability but entered a judgment notwithstanding the verdict on other grounds. The Appellate Division reversed the entry of the judgment notwithstanding the verdict and affirmed the holding that the Good Samaritan Act did not exculpate Dr. Ranzini. The Supreme Court granted Dr. Ranzini’s petition for certification and affirmed. The question in Velazquez was whether the statute immunizes a physician who assists a patient during a medical emergency in the hospital. Justice Long traced the Good Samaritan Doctrine to its origin in a New Testament parable.426 The Velazquez Court noted that all 50 states have enacted some form of Good Samaritan legislation, and that there are many variations of statutes, some of which explicitly immunize conduct which takes place in a hospital and others which do not, including New Jersey’s Good Samaritan statute. After reviewing numerous law review discussions of the statute, the Court concluded that New Jersey’s Good Samaritan statute does not immunize conduct which occurs in the hospital. The Court explained that the purpose of the statute, “to encourage the rendering of medical care to those who would not otherwise receive it, by physicians who come 425. Velazquez v. Jiminez. 172 N.J. 240 (2002). 426. See Luke 10:30-37 (King James). upon such patients by chance, without the benefit of the expertise, assistance, equipment, or sanitation that is available in a hospital or medical setting,” is best satisfied by its exclusion of in-hospital negligence.427 The Court also rejected Dr. Ranzini’s contention that not extending Good Samaritan immunity to a hospital setting “will encourage physicians to simply stand by and allow patients to suffer or die.”428 The Court would not “impute such conduct to the highly respected medical profession.”429 The New Jersey Medical Care Access and Responsibility and Patients First Act,430 grants an immunity to health care professionals in certain “Good Samaritan” situations. N.J.S.A. 2A:62A-1.3, amends New Jersey’s Good Samaritan Act, N.J.S.A. 2A:62A-1, et seq., and immunizes a health care professional who responds in a hospital or similar setting to a life-threatening emergency or a request for emergency assistance in a life-threatening emergency within a hospital or other health care facility, unless there was gross negligence, recklessness, or willful misconduct. This section was enacted in response to Velazquez v. Jiminez.431 However, this section does not apply if “a provider-patient relationship existed before the emergency,” if the practitioner was “on-call” and had a duty to respond to “a patient emergency situation,” or if the health care professional is paid for the service rendered. Additionally, the health care professional is not liable for failing to obtain informed consent in an emergency situation when the failure to inform is due to the fact that the patient was unconscious, the health care professional reasonably believed that the procedure was emergently needed or there was insufficient time to fully inform the patient, or the patient was incapable of giving informed consent and there was insufficient time to obtain the informed consent of the person authorized to give such consent for the patient. This provision only applies to failure to obtain informed consent and not to claims for negligent treatment or the failure to render treatment. 427. Velazquez v. Jiminez. 172 N.J. 240, 259 (2002). 428. Velazquez v. Jiminez. 172 N.J. 240, 262 (2002). 429. Velazquez v. Jiminez. 172 N.J. 240, 262 (2002). 430. N.J.S.A. 2A:53A-37, et seq. 431. Velazquez v. Jiminez, 172 N.J. 240 (2002). Tort Claims Act and Public Entity Immunity A discussion of tort claim immunity is beyond the scope of this text. However, several issues relating to tort claims immunity are of special significance to the medical malpractice litigator. Perhaps the most important of these issues is whether physicians who enter into various contracts with the University of Medicine and Dentistry of New Jersey are public employees pursuant to N.J.S.A. 59:1-3, and therefore entitled to a notice of tort claim within 90 days of the malpractice. The Notice of Tort Claim The Tort Claims Act requires filing of the notice within 90 days of accrual of the claim.432 The time to file a claim may be extended to one year following the accrual if there are “extraordinary circumstances” for the failure to file a claim within 90 days.433 It should be noted that N.J.S.A. 59:8-10 dictates, “[s]ervice of the notice required by this chapter upon the public entity shall constitute constructive service upon any employee of that entity.” The accrual language in the Tort Claims Act has been given the same expansive definition found in the statute of limitation cases. In Torres v. Jersey City Medical Center,434 plaintiff sought leave to file a late notice of tort claim against a public entity pursuant to N.J.S.A. 59:8-9. Plaintiff had received radiation therapy at the Jersey City Medical Center in August 1973, and was advised in January 1975 that her ovaries had been damaged as a result of over-exposure to X-rays. Plaintiff sought an attorney, but was not able to retain one until November 1975, at which time the motion for leave to file a late notice of tort claim was filed. The court noted that the Tort Claims Act provides a trial judge with discretion to permit the filing of a late notice of tort claim within one year “after the accrual of the claim.”435 The court concluded that the definition 432. N.J.S.A. 59:8-8. 433. N.J.S.A. 59:8-9. 434. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323 (Law Div. 1976). 435. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323, 326 (Law Div. 1976) (citing N.J.S.A. 59:8-9). of the meaning of “accrual” within the Tort Claims Act was novel and looked to the meaning of accrual in the context of the statute of limitations, N.J.S.A. 2A:14-2.436 The court explained that the fact that the Legislature used the same term in the tort claims statute that it utilized in the statute of limitations meant “the Legislature intended that it should have the same meaning and be applied in the same fashion as in the Statute of Limitations.”437 The court then applied the holding of Lopez and Fernandi, and concluded that the plaintiff’s cause of action accrued when she was told that her ovaries had been damaged by radiation. After reaching this decision, the court engaged in the two-step analysis, the first being whether there was sufficient reason for plaintiff’s having failed to file within 90 days of the date of accrual and the second whether granting leave to file a late notice of claim would “substantially prejudice the public entity.”438 The court excused plaintiff’s delay noting that it was due to her inability to obtain an attorney. Within the limits of her own nonlegal abilities she exercised reasonable care and diligence. Delay in obtaining legal advice due solely to the understandable reluctance of attorneys to handle a complex and difficult case of questionable value is excusable and understandable. Inability to obtain representation can be as incapacitating as a physical disability. … It should not act to bar plaintiff’s claim.439 The court also determined that the public entity would not be prejudiced since it in fact had “within its possession a complete record of the treatment.”440 Therefore the court granted plaintiff’s leave to file a late notice of tort claim. However, Torres was decided prior to the 1994 amendments to the Tort Claims Act, which require “extraordinary circumstances” to permit the extension of time to file a notice of tort claim. 436. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323, 326 (Law Div. 1976) (citing Lopez v. Swyer, 62 N.J. Super. 267 (1973) and Fernandi v. Strully, 35 N.J. 434 (1961)). 437. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323, 326 (Law Div. 1976). 438. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323, 327 (Law Div. 1976). 439. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323, 327 (Law Div. 1976). 440. Torres v. Jersey City Med. Ctr., 140 N.J. Super. 323, 328 (Law Div. 1976). See also Maher v. County of Mercer,441 holding that a cause of action accrued for notice of tort claim purposes when the plaintiff possessed “the two pieces of information that are the key to the discovery rule, namely an injury and ‘facts’ suggesting that a third party may be responsible.”442 Requirement of Notice of Tort Claim for Public Employees In Wajner v. Newark Beth Israel Medical Center,443 plaintiff alleged that several residents at the Newark Beth Israel Medical Center were negligent. The residents were employees of the University of Medicine and Dentistry and assigned to a residency program at Newark Beth Israel pursuant to an affiliation agreement between the two institutions. The plaintiff did not serve a notice of tort claim on the residents, and the trial court granted summary judgment to the residents. The Appellate Division affirmed, holding that the residents were public employees for purposes of the Tort Claims Act and thus entitled to service of a notice of claim. See also Eagan v. Boyarsky and Lowe v. Zarghami discussed in § 8-8:4. Time to Serve Notice of Claim in Malpractice Cases Eagan and Lowe Opinions Eagan v. Boyarsky: Public Employee Status Unclear The Supreme Court re-examined the application of the notice provisions of the Tort Claims Act in medical malpractice cases in Eagan v. Boyarsky,444 and the companion case of Lowe v. Zarghami.445 In Eagan, the defendants were physicians employed by UMDNJ but practicing medicine at a private hospital, Robert Wood Johnson. The defendants operated on the plaintiff in October 1994, and plaintiff discovered the possibility of malpractice in December 1994. Plaintiff filed suit in September 1996, and both 441. Maher v. Cnty. of Mercer, 384 N.J. Super. 182 (App. Div. 2006). 442. Maher v. Cnty. of Mercer, 384 N.J. Super. 182, 188 (App. Div. 2006) (citing Ayers v. Jackson Twp., 106 N.J. 557, 582 (1987)). 443. Wajner v. Newark Beth Israel Med. Ctr., 298 N.J. Super. 116 (App. Div. 1997). 444. Eagan v. Boyarsky, 158 N.J. 632 (1999). 445. Lowe v. Zarghami, 158 N.J. 606 (1999). defendants filed answers asserting that they were public employees and that plaintiff failed to file a Notice of Tort Claim. Eagan never attempted to file a late Notice of Tort Claim because counsel for plaintiff believed that the trial court lacked jurisdiction to hear a motion for leave to file a late notice of claim after one year pursuant to N.J.S.A. 59:8-9. The trial court initially granted summary judgment to the defendants in October 1997, but then reconsidered and reversed itself after the Appellate Division issued its opinion in Lowe v. Zarghami.446 The Eagan Court first reiterated that UMDNJ is a public entity pursuant to the TCA, citing Fuchilla v. Layman.447 The Court noted that the TCA did not require that notice be given to public employees until 1994 when, in response to Chatman v. Hall,448 the TCA was amended to require that notice be given to public employees within 90 days of the accrual of the claim. The Court then held that the defendants were employees of UMDNJ, and not independent contractors, and therefore entitled to a Notice of Tort Claim.449 However, in Eagan the plaintiff never attempted to file a late Notice of Tort Claim, even after being advised of the public employee status of the defendants. Nevertheless, the Supreme Court held that this was not a bar to the pursuit of the claim: However, unlike Lowe, Eagan did not file a notice of a late claim nor did he file a complaint within one year of the accrual of his claim. However, within six months of his operation, plaintiff had contacted his original attorney, who apparently took no action, and within the normal two-year period for medical malpractice cases had filed medical malpractice complaints against defendants. Eagan did not receive information indicating that Dr. Boyarsky and Dr. Mackenzie were public employees until 17 months after the claim was filed. As a result, he undoubtedly believed that a late notice of claim 446. Lowe v. Zarghami, 305 N.J. Super. 90, 97 (App. Div. 1997), rev’d, 158 N.J. 606 (1999). 447. Fuchilla v. Layman, 109 N.J. 319 (1988). 448. Chatman v. Hall, 128 N.J. 394 (1992). 449. Eagan v. Boyarsky, 158 N.J. 632, 639-40 (1999). would be barred by the one-year time barrier of N.J.S.A. 59:8-9.450 The Court therefore permitted Eagan to pursue his claim, and in so doing held that the one-year time limit to file a late Notice of Tort Claim found in N.J.S.A. 59:8-9 is “tolled” until the plaintiff knows of the public employee status of the defendants.451 The Court explained its rationale: There is no evidence supporting the conclusion that plaintiff knew defendants were UMDNJ employees. Indeed, plaintiff had no reason to suspect that his doctors were even associated with a public entity. He followed the procedures necessary to claim medical malpractice against a physician in ordinary circumstances. Like plaintiffs in Feinberg v. State D.E.P., 137 N.J. 126 (1994); Zwirn v. County of Hudson, 137 N.J. Super. 99 (Law Div. 1975); and Dambo v. Union City Park Comm., 130 N.J. Super. 450 (Law Div. 1974), he diligently pursued his claim. Like those plaintiffs he was thwarted in his action because the employment status of his doctors was obscured. We do not think the Legislature contemplated that the one-year ban would be used to bar a plaintiff-patient from pursuing his medical malpractice claim against a physician whom he had no reason to believe was a public employee. In such unique circumstances, we find that the legislature intended the one-year ban provided under N.J.S.A. 59:8-9 to be tolled. Accordingly, plaintiff should be entitled to file a late notice of claim.452 The Court added that a late notice of claim would not cause prejudice “because the doctors are required to keep medical records in the ordinary course.”453 The Court did not specify the length of time that the one-year provision of N.J.S.A. 59:8-9 is tolled, but the only fair reading of the opinion is that the notice provision is 450. Eagan v. Boyarsky, 158 N.J. 632, 640-41 (1999). 451. Eagan v. Boyarsky, 158 N.J. 632, 643 (1999). 452. Eagan v. Boyarsky, 158 N.J. 632, 642-43 (1999). 453. Eagan v. Boyarsky, 158 N.J. 632, 643 (1999). tolled until the plaintiff knew, or at least should have known, of the public employee status of the doctor. The Court reiterated that “to avoid this problem in the future,” UMDNJ must require its employees to give written and oral notice that they are employees of UMDNJ, and the Court again suggested that identification badges be worn by the UMDNJ doctors.454 Lowe v. Zarghami: Extraordinary Circumstances The Court reached the same conclusion in Lowe v. Zarghami.455 In Lowe, the defendant was a physician employed by the University of Medicine and Dentistry of New Jersey but practicing medicine at a private hospital, Kennedy Memorial-Stratford. The defendant operated on the plaintiff in September 1994, and plaintiff discovered the possibility of malpractice in August 1995. Plaintiff filed suit in February 1996 and the defendant filed an answer asserting that he was a public employee and that plaintiff had failed to file a Notice of Tort Claim. In July 1996, Lowe filed a motion for leave to file a late Notice of Tort Claim. The trial court denied the plaintiff’s motion and granted summary judgment to the defendant. The Appellate Division reversed, holding that the defendant was not an employee of UMDNJ, but rather an independent contractor, and therefore a Notice of Tort Claim was not required.456 The Supreme Court reiterated that UMDNJ is a public entity pursuant to the Tort Claims Act, citing Fuchilla v. Layman.457 As in Eagan, the Court noted that the Tort Claims Act did not require that notice be given to public employees until 1994 when, in response to Chatman v. Hall,458 the TCA was amended to require that notice be given to public employees within 90 days of the accrual of the claim.459 The Lowe Court held that the defendant was an employee of UMDNJ, and not an independent contractor, and therefore entitled to a Notice of Tort Claim. 454. Eagan v. Boyarsky, 158 N.J. 632, 643 (1999). 455. Lowe v. Zarghami, 158 N.J. 606 (1999). 456. See Lowe v. Zarghami, 305 N.J. Super. 90, 97 (App. Div. 1997), rev’d, 158 N.J. 606 (1999). 457. Fuchilla v. Layman, 109 N.J. 319 (1988). 458. Chatman v. Hall, 128 N.J. 394 (1992). 459. Lowe v. Zarghami, 158 N.J. 606, 615 (1999) (citing N.J.S.A. 59:8-3 and 8). Because Dr. Zarghami was totally economically dependent on UMDNJ and his work constituted an integral part of UMDNJ’s business, both aspects of the relative nature of the work test are satisfied. Therefore, we conclude that UMDNJ faculty, like Dr. Zarghami, practicing in affiliated private hospitals are public employees.460 The Lowe Court then stated that the time to file a claim may be extended to one year following the accrual of the claim if there are “extraordinary circumstances” which justify the failure to file a claim within 90 days.461 The Court concluded that Lowe’s case presented extraordinary circumstances, and therefore plaintiff should have been permitted to file a late Notice of Tort Claim. Although the exact identity of the tortfeasor, Dr. Zarghami, was known, his status as a public employee was obscured by his apparent status as a private physician. Plaintiff’s failure to file a notice of claim arose not from any lack of diligence; to the contrary, plaintiff filed her claim within the twoyear limitation period applicable to malpractice claims against a private physician. What is unusual in this case and in Eagan v. Boyarsky, supra, 158 N.J. at 638, also decided today, is that unlike most cases involving public entities and public employees, the defendant-doctors were performing tasks associated generally with private practice and not public service.462 The Court concluded that since Lowe had complied with all of the requirements of a typical malpractice claim, and since plaintiff did not know that the defendant was employed by UMDNJ, “the circumstances in this case qualify as extraordinary” pursuant to the meaning of the Tort Claims Act.463 The Court explained that a late Notice of Tort Claim would not result in any prejudice to the defendant or UMDNJ, primarily due to the requirement 460. Lowe v. Zarghami, 158 N.J. 606, 623 (1999). 461. Lowe v. Zarghami, 158 N.J. 606, 624 (1999) (citing N.J.S.A. 59:8-9). 462. Lowe v. Zarghami, 158 N.J. 606, 629 (1999). 463. Lowe v. Zarghami, 158 N.J. 606, 629 (1999). that the defendants maintain medical records.464 The Lowe Court concluded by instructing UMDNJ to “require clinical professors employed by them to advise their patients, both orally and in writing, that they are employees of UMDNJ.”465 The Court added that it “would be helpful if clinical professors’ [sic] wore badges identifying themselves as UMDNJ employees.”466 Ventola and Confusion about Federal or State Status of Institution The Supreme Court applied the principles announced in Eagan and Lowe in Ventola v. N.J. Veteran’s Memorial Home,467 where the plaintiff was a resident of the New Jersey Veteran’s Memorial Home in Paramus. Plaintiff alleged that he had suffered an undiagnosed broken leg for approximately four weeks while at the defendant institution, and that as a result gangrene set in and the leg had to be amputated in November 1997. Plaintiff consulted an attorney in December 1997 and advised their attorney that the Veteran’s Memorial Home was a federal hospital. Plaintiff’s counsel filed a Federal Tort Claims Notice in April 1998. In May 1998 the Department of Veteran’s Affairs notified the plaintiff’s attorney that the facility was operated by the State of New Jersey. Plaintiff then moved for leave file a late notice of claim. The defendant argued that the plaintiff’s belief that the facility was a federal institution, as opposed to a state institution, was unreasonable. The defendant pointed to numerous documents which identified the State of New Jersey, Department of Military and Veteran’s Affairs, New Jersey Veteran’s Memorial Home at Paramus and other documents indicating the facility was run by the State of New Jersey. The trial court denied the plaintiff’s motion, holding that the plaintiffs failed to demonstrate extraordinary circumstances. The court specifically found the plaintiff’s belief that the facility was run by the federal government to be unreasonable because the 464. Lowe v. Zarghami, 158 N.J. 606, 631 (1999). 465. Lowe v. Zarghami, 158 N.J. 606, 631 (1999). 466. Lowe v. Zarghami, 158 N.J. 606, 631 (1999). 467. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74 (2000). plaintiffs were in possession of information clearly indicating that the facility was a state run institution.468 The Appellate Division affirmed, but the Supreme Court reversed, noting that “[t]he United States Veteran’s Health Administration is perhaps ‘the most visible of all veteran’s benefits and services.’ ”469 The Court noted that the Veteran’s Administration runs 173 medical centers, 391 outpatient community clinics, and 131 nursing clinics, and that the VA is currently associated with 105 medical schools, fifty-four dental schools, and more than 1,140 other schools across the United States. … In New Jersey, there are twelve facilities that provide health-care services to veterans of the armed forces of the United States. All of them fall under the Veterans’ Health Administration.470 The Court noted that the State of New Jersey, Department of Military and Veteran’s Affairs also runs three veteran homes in New Jersey and that the relationship between the federal and New Jersey institutions is “close.”471 The court concluded that the confusion between the federal and state institutions constituted extraordinary cause and therefore reversed, stating [t]he notice provisions of the Tort Claims Act are well-suited to a fall on the steps of a court house or on an obstruction on a public sidewalk … the problem lies in applying these simple concepts in more complex areas, such as medical malpractice or toxic tort causation.472 The Court held that the plaintiff’s “understandable confusion concerning the status of the veteran’s home operated by the State Department of Military and Veteran’s Affairs, should not bar the presentation of their claim.”473 The Court noted that as in Lowe, the plaintiffs “[d]id not sleep on their rights and their conduct did not prejudice VMH in its defense of the case. We can be certain, as in 468. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 79-80 (2000). 469. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 80 (2000). 470. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 80-81 (2000). 471. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 81 (2000). 472. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 82 (2000). 473. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 82 (2000). Lowe, that the circumstances of this incident are fully documented in the records of VMH.”474 The Court therefore concluded: Finally, we observe that, after Lowe, this should be the last such occasion to apply its principles. Presumably, if State health-care providers wish to rely on the notice provisions of the TCA, they will have made their status clear to patients. It is a paradox that health-care providers who have a duty to monitor the health of their patients should complain that they did not have notice that a patient’s health had been harmed. In light of the harsh consequences of noncompliance, perhaps the Legislature will wish to revisit the issue of late notice under the Tort Claims Act in this context of State medical services and other more complex areas of causation. There is something unsettling about encouraging physicians to tell their patients at first treatment: ‘I am your doctor. I am an employee of the State of New Jersey. If you have reason to believe that I have treated you improperly, you have ninety days within which to make a claim against me.’475 The Supreme Court therefore permitted plaintiff to pursue the case. D.D. v. UMDNJ and Emotional Distress as Extraordinary Circumstances In D.D. v. University of Medicine and Dentistry,476 the Supreme Court again considered extraordinary circumstances permitting the filing of a late notice of tort claim pursuant to N.J.S.A. 59:8-9.2. The plaintiff in the case alleged that she discovered on November 24, 2009 that her personal health information had been “‘widely disseminated via Rutgers’ and UMDNJ’s websites, various newspapers, and other media sources.’ ”477 474. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 82 (2000). 475. Ventola v. N.J. Veteran’s Mem’l Home, 164 N.J. 74, 83 (2000). 476. D.D. v. Univ. of Med. & Dentistry, 213 N.J. 130 (2013). 477. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *2 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). The plaintiff immediately sent a letter to Rutgers and UMDNJ demanding that they cease disseminating the information, and in December of 2009, met with representatives of UMDNJ and Rutgers and their attorneys. Plaintiff certified that she thought that “the parties wished to resolve the issue ‘informally’ ” based upon statements made at the meeting.478 However, the matter did not settle and on April 7, 2010, plaintiff retained an attorney who promptly filed a Notice of Tort Claims upon UMDNJ and Rutgers. UMDNJ deemed the notice out of time and the claim barred.479 The plaintiff therefore filed a motion for leave to file a late notice of tort claim. The trial court granted the application, noting that it was filed within one year as permitted provided by N.J.S.A. 59:8-9. The trial court based the decision upon the fact that the plaintiff had notified the public entities immediately upon discovery of the disclosure of the personal health information and had met with representatives of those entities within 90 days.480 Significantly, the trial court also found the impact of emotional distress caused by the unauthorized disclosure of her personal medical history provided “‘sufficient reasons to substantiate a finding of exceptional circumstances as required by section 59:8-9 of the Tort Claims Act.’ ”481 Finally, the trial court observed that the entities did not even contend that they had suffered any “‘substantial prejudice ... as a result of allowing a late filing of a notice of claim.’ ”482 In affirming, the Appellate Division concluded that the plaintiff did present extraordinary circumstances justifying the late notice of tort claim, and specifically held that a claimant’s emotional 478. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *3 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 479. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *4-5 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 480. D.D. v. Univ. of Med. & Dentistry, 213 N.J. 130, 137, 139-40 (2013). 481. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *8-9 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 482. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *9 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). distress does not have to be totally disabling to be relevant to the decision whether to grant leave to file a late notice of tort claim: At the outset, we disagree with the approach of both defendants in parsing out the grounds that provided sufficient reasons for satisfying the extraordinary circumstance standard. It is the totality of the circumstances against which plaintiffs situation must be measured. The trial court did not indicate that plaintiff was too incapacitated to proceed. However, her medical condition had her psychologically stymied and represented an inhibiting and distracting force in her pursuing a timely filing.483 The Appellate Division noted that the plaintiff had in fact provided all of the information that was required in a notice of tort claim, and was satisfied the reason for a notification requirement was served.484 In so doing, the court utilized the doctrine of substantial compliance to justify its decision.485 Here, plaintiff has substantially complied with the notice requirement and the public entities were both in an early position to adequately investigate the facts, have an opportunity to correct the practices that gave rise to the claim, and could determine what type of liability reserve might be required. All of this was well within the ninety day timeframe. Indeed, it had occurred in less than a month from when the damaging disclosure was brought to plaintiff’s attention on November 24, 2009.486 483. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *11-12 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 484. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *13-14 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 485. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *14-15 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 486. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *14-15 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). Finally, the court also observed that neither entity even claimed that it had suffered any prejudice.487 Given all of the factors, the court concluded that the trial judge exercised appropriate discretion and affirmed the granting of the motion to file a late notice of claim.488 However, the Supreme Court reversed the appellate division ruling, stating it was inappropriate to apply the substantial compliance doctrine for a failure to timely file the notice because the doctrine was only applicable to situations in which a notice was timely filed but had a technical deficiency.489 Further, the Court said that plaintiff’s evidence of her emotional distress and her first attorneys’ inattentiveness and failure to timely file notice didn’t satisfy the extraordinary circumstances threshold set by prior decisions.490 The Court concluded: We do not find in the statutory language an intention that the increased threshold of extraordinary circumstances can be satisfied by coupling an attorney’s inattentiveness with otherwise inadequate medical proofs. On the contrary, were we to conclude that inattention or even malpractice of an attorney can serve to vault the statutory threshold for relief, we would be replacing circumstances that rendered a plaintiff incapable of complying with the time frame with a standard more in the nature of inadvertence, negligence, inattentiveness or ignorance.491 Application of Tort Claim Act Immunity In Kemp by Wright v. New Jersey,492 the Court considered whether N.J.S.A. 59:6-4 immunized the defendants for damages arising out of the administration of a rubella vaccine to a pregnant 487. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *17 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 488. D.D. v. Univ. of Med. & Dentistry, No. A-5418-09T3, A-5676-09T3, 2011 N.J. Super. Unpub. LEXIS 1680, at *17 (N.J. Super. App. Div. June 27, 2011), rev’d, 213 N.J. 130, 135-36 (2013). 489. D.D. v. Univ. of Med. & Dentistry, 213 N.J. 130, 159 (2013). 490. D.D. v. Univ. of Med. & Dentistry, 213 N.J. 130, 149-58 (2013). 491. D.D. v. Univ. of Med. & Dentistry, 213 N.J. 130, 157-58 (2013). 492. Kemp by Wright v. New Jersey, 147 N.J. 294 (1997). high school student. The statute provides immunity for a person performing an examination to determine whether a person “has a disease or physical or mental condition that would constitute a hazard to the health or safety of himself or others.”493 However, there is no immunity for “treatment.” The Supreme Court held that the administration of a vaccine is treatment, citing various medical textbooks and dictionaries and also Calabrese v. Trenton State College.494 The Court therefore held that the Tort Claims Act does not immunize this conduct. The loss of a fetus satisfies the tort threshold found in the New Jersey Tort Claims Act, N.J.S.A. 59:1-1, et seq. In Willis v. Ashby,495 the parents appealed from an order dismissing their complaint against the University of Medicine and Dentistry and physicians employed by the State of New Jersey arising out of a stillbirth. The trial court ruled that this claim did not satisfy the Tort Claims Act (TCA) threshold for damages for pain and suffering, i.e., “permanent loss of bodily function, permanent disfigurement or dismemberment.”496 The Appellate Division reversed, holding that the claim of the loss of a fetus caused by negligent medical care could satisfy the TCA’s threshold for pain and suffering damages. The court explained that emotional distress or psychological harm may qualify as a “permanent loss of a bodily function” if the psychological injury is “both permanent and substantial.”497 The Willis court recalled that the Supreme Court has permitted the parents of a stillborn to bring an action for damages, citing Giardina v. Bennett and Carey v. Lovett.498 The Willis court therefore reversed and directed that on remand the plaintiffs must prove “that they suffered a substantial and permanent loss of a bodily function” and that “permanent psychological harm in the form of post traumatic stress disorder which is substantial may 493. N.J.S.A. 59:6-4. 494. Calabrese v. Trenton State Coll., 162 N.J. Super. 145 (App. Div. 1978), aff’d, 82 N.J. 321 (1980). 495. Willis v. Ashby, 353 N.J. Super. 104 (App. Div. 2002). 496. N.J.S.A. 59:9-2(d). 497. Willis v. Ashby, 353 N.J. Super. 104, 110 (App. Div. 2002). 498. Willis v. Ashby, 353 N.J. Super. 104, 110-11 (App. Div. 2002) (citing Giardina v. Bennett, 111 N.J. 412, 420 (1988) and Carey v. Lovett, 132 N.J. 44, 45 (1993)). constitute a permanent loss of a bodily function within the meaning of N.J.S.A. 59:9-2(d).”499 Voir Dire in Medical Malpractice Cases Supreme Court Directive #4-07 The particular issues that arise in medical malpractice cases have led to the recognition that malpractice cases require special and specific voir dire. The Supreme Court has issued Directive #4-07, which created a substantially new process for voir dire. The new process requires the use of standard general and malpractice-related questions, and the innovation that potential jurors must be asked a minimum of three open-ended questions. This process takes more time, but results in the revelation of considerably more information about each potential juror. The revised voir dire process was the product of the Special Supreme Court Committee on Peremptory Challenges and Voir Dire, which was appointed by the Supreme Court in 2004, and chaired by the Hon. Joseph Lisa, J.A.D. The Court charged this committee to make recommendations to improve jury selection and peremptory challenges. The “Lisa Committee” issued its report in May 2005.590 Most of the recommendations of the Lisa Committee were adopted by the Supreme Court in Directive #21-06.591 In May 2007 the Court refined the procedure when it issued Directive #4-07.592 One of the key recommendations of the Lisa Committee was the mandatory use of standard questions for all personal injury cases, with additional standard questions for medical malpractice and other cases. Perhaps the most significant innovation of the Lisa Committee was the mandatory use of a standard biographical question, two omnibus qualifying questions, and a “minimum of three open-ended questions.” The open-ended questions were explicitly intended to engage the jurors in a conversation, and thereby give counsel the opportunity to observe each juror’s demeanor, candor, intelligence, wealth of knowledge, and views of the world and litigation process. The courts promptly held that compliance with the Directive is mandatory.593 More recently, the critical importance of a proper voir dire was explained in Pellicer v. St. Barnabas Hospital,594 where a verdict was reversed because of an improper voir dire, and the mandatory nature of Directive #4-07 was confirmed by Gonzales v. Silver.595 590. The report of the Special Supreme Court Committee on Peremptory Challenges and Voir Dire can be found at http://www.judiciary.state.nj.us/notices/reports/peremptory_ voirdire.pdf. 591. Directive #21-06 can be found at: www.judiciary.state.nj.us/directive/2006/dir_21_06.pdf. 592. Directive #4-07 can be found at www.judiciary.state.nj.us/directive/2007/dir_04_07.pdf. 593. See State v. Morales, 390 N.J. Super 470, 474-473 (App. Div. 2007). 594. Pellicer v. St. Barnabas Hosp., 200 N.J. 22 (2009). 595. Gonzales v. Silver, 407 N.J. Super. 576 (App. Div. 2009). In Pellicer v. St. Barnabas Hospital,596 the Supreme Court addressed the particular requirements of voir dire in a medical malpractice case. The Court first reiterated long-standing law that: As we have described it, ‘a trial court must see to it that the jury is as nearly impartial as the lot of humanity will admit.’ State v. Williams, 113 N.J. 393, 441 (1988) (internal quotations omitted). The right to a fair and impartial jury is a ‘fundamental . . . [one that is to be] jealously guarded by the courts.’ Wright v. Bernstein, 23 N.J. 284, 294 (1957).597 For this reason, the Court explained that: In civil litigation, the inquiries needed to uncover hidden bias of a potential juror may be wide-ranging and open-ended. Questions designed to determine whether a particular individual might have a prior experience that would interfere with the fair and unbiased performance of the role of juror often focuses on each juror’s views about the general subject matter of the trial, the specific parties, and the larger interest, trade, or professional groups to which the parties may belong. More to the point, particularly in matters like this one, involving personal injuries and medical procedures, the questions posed frequently delve into sensitive or personal matters. Those subjects are often ones that a prospective juror might be reluctant to discuss candidly if compelled to do so in open court, but as to which candor is essential. At the same time, there may be matters that evoke strong or harsh personal views that the parties are entitled to explore but that raise the specter of potential bias to which the others in the venire should not be exposed. In short, the process of selecting a fair, unbiased, and impartial jury in a 596. Pellicer v. St. Barnabas Hosp., 200 N.J. 22 (2009). 597. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 40 (2009). trial such as the one in this matter can never be perfunctory or routine. We do not expect jurors to come to our courtrooms without any life experiences, any more than we anticipate that only the illinformed or reclusive members of society will be permitted to decide disputes. Instead, our jury selection mechanisms are designed to create the opportunity in which any relevant, preconceived notions will be revealed and explored, and all pre-existing biases will be exposed. In this way, we ensure that the court and the litigants have the information that they need to decide whether a particular individual should not sit as a member of the panel.598 The Pellicer Court suggested that voir dire in such cases be performed primarily at sidebar. The court must be mindful that any lack of sensitivity in the voir dire process may result in the expression of a previously held belief or of a strong view based on a life experience that, simply by its expression in open court, will affect the thinking of the others in the venire. In such a case, the very real risk remains that a remark might infect the thinking of others who hear it and that exercising challenges for cause or peremptorily will not suffice to cure the defect. This is particularly true if the fact or opinion expressed is stated with force or emotion, if it evokes sympathy, or if it casts blame on any of the parties, those they represent, or the trade or professional groups to which they belong. Although a stray, unanticipated remark or two may be cured by a cautionary admonition to those who overhear it, the impact of repeated expressions likely cannot be undone.599 598. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 41-42 (2009). 599. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 42-43 (2009). The Court then explained that This trial, with its focus on significant injuries to a child, presented the trial court with precisely the sort of dispute in which heightened sensitivity in jury selection was necessary.600 The Supreme Court criticized the trial court, noting that apparent concern for expedience took the place of the care and sensitivity that the issues continued to demand. Rather than summoning potential jurors to sidebar for follow up on questions that should have alerted the court about potential bias, one after another they were allowed to voice deep feelings of resentment and bias in open court.601 The Court added: The few comments that were generally negative toward plaintiffs were vastly outnumbered by those potential jurors who described the quality of care given at St. Barnabas as poor, who expressed anger and resentment at health care providers, and who were critical of doctors, nurses, and others in the hospital’s employ. Prospective jurors were permitted to describe a wide variety of negative experiences within the hearing of the venire, including all of the following. One potential juror’s mother died while being treated for cancer at St. Barnabas, and he also expressed the view that the care his father received there was so improper that it required transfer to another hospital. Another potential juror said that his wife received poor care at St. Barnabas, leading to her transfer to Overlook Hospital. A third potential juror was ‘not at all’ satisfied with the ‘quality of care at St. Barnabas with respect to [his] grandmother.’ Another potential juror spoke openly about a medical malpractice suit he brought 600. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 42-43 (2009). 601. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 45 (2009). against St. Barnabas and about a billing error that caused that potential juror such ‘bitterness’ that he described the hospital as having ‘two strikes against them.’ Still another commented that she was unsure whether the care her family received at St. Barnabas would influence her as juror.602 Additionally, many potential jurors complained in open court about the medical profession in general. We assume that the trial court intended to impanel a jury that was both fair and impartial, but the repeated expressions of anger, resentment, bitterness, and dissatisfaction, much of it directed at the very facility where the tragic events that were about to be considered had taken place, could not have been ignored by the jurors who overheard them. Moreover, when compared with the selection process used in the first trial, the explanations given by the trial court do not suffice. Permitting potential jurors to give vent to deep feelings of bias as an educational technique for those who do not already have such biases is simply inappropriate. Although an unexpected expression of bias by a juror may be unavoidable, intentionally exposing jurors to expressions of such bitterness, anger, resentment, and bias serves no legitimate purpose.603 The Court declared that it had no confidence that the jury was not “tainted” by what they had heard during the voir dire process. The record here, however, gives us no comfort and provides no ground on which to conclude that the jury was the fair and unbiased, impartial decisionmaker that is fundamental to our system of justice. Because we can have no confidence that the selection process resulted in a jury panel that could fairly and dispassionately evaluate the difficult and emotionally-charged issues that were central 602. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 45-46 (2009). 603. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 47 (2009). to this litigation, we cannot permit its verdict to stand.604 The Court added, in footnotes: Through our Administrative Determinations, effectuated by Administrative Directive #21-06, and revised thereafter by Administrative Directive #4-07, we embraced Jury Selection Standards, along with Model Jury Selection Questions, to be used in both criminal and civil trials. The trial in this matter predated the effective dates of both of those directives.605 We are mindful of the fact that our recently revised jury voir dire procedures demand the use of open-ended questions. That tool is intended to give attorneys involved a better opportunity to hear and evaluate potential panel members for bias that would support a challenge for cause or, in the alternative, to assist them in using peremptory challenges. The open-ended questions, however, are relatively benign inquiries that will reveal useful information rather than questions that will compromise the objectivity of the others.606 Similarly, in Gonzales v. Silver,607 another malpractice case, the Appellate Division observed that the trial court’s voir dire did not “technically comply” with Directive #4-07.608 Specifically, the trial court “failed to ask three open ended questions of each prospective juror during voir dire, as required by Directive #04-07.”609 Since the case was being reversed on other grounds, the Appellate Division instructed that on retrial the voir dire must “conform to the dictates of the Directives, which are unquestionably binding on all trial courts.”610 However, the Court added that although 604. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 48 (2009). 605. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 41 n.9 (2009). 606. Pellicer v. St. Barnabas Hosp., 200 N.J. 22, 41 n.10 (2009). 607. Gonzales v. Silver, 407 N.J. Super. 576 (App. Div. 2009). 608. Gonzales v. Silver, 407 N.J. Super. 576, 595 (App. Div. 2009). 609. Gonzales v. Silver, 407 N.J. Super. 576, 596(App. Div. 2009). 610. Gonzales v. Silver, 407 N.J. Super. 576, 598 (App. Div. 2009). we consider it error not to have asked the requisite open ended questions. … We also recognize that a certain residual discretion resides in the trial judge to accommodate the individual circumstances of each case and the consensus views of counsel, even when doing so renders the voir dire procedure less than fully conforming to the Directives’ mandates.611 The Court explained that although the standard voir dire questions are mandatory, judges in their discretion may alter the sequence of the questions as they determine is appropriate, including whether to ask key challenge for cause questions early on, to incorporate questions suggested by counsel, or to integrate case type specific questions.612 The Court supported this conclusion by observing that the Report of the Lisa Committee explained that judges are not required to follow a “rigid script” in conducting voir dire.”613 This point is significant, in that the voir dire can be customized to fit the particular facts and circumstances of the case about to be tried. This concept is consistent with Jury Selection Standard 2, which provides that “with the consent of counsel and the approval of the judge, full use of the model questions in civil trials may be waived.” Nevertheless, Gonzales makes clear that compliance with Directive #4-07, is mandatory, absent such a waiver. Use of Standard and Open-Ended Voir Dire Questions When considering the use of voir dire in medical malpractice cases, two points must be emphasized. First, the attorney must insist on the full process, including the use of the standard basic voir dire questions, the standard medical malpractice questions, and the use of truly open-ended questions. The Gonzales Court observed 611. Gonzales v. Silver, 407 N.J. Super. 576, 597 (App. Div. 2009). 612. Gonzales v. Silver, 407 N.J. Super. 576, 597 (App. Div. 2009). 613. Gonzales v. Silver, 407 N.J. Super. 576, 597 (App. Div. 2009). although the judge admittedly failed to ask three open ended questions of each prospective juror during voir dire, as required by Directive #04-07, plaintiff was somewhat complicit in the procedure ultimately employed.614 Similarly, in the unpublished case of Molan v. McDivitt,615 the Court denied an appeal based upon an inadequate voir dire. The Court explained: “Considering this record on appeal, we are reluctant to overturn the verdict where counsel has acquiesced in the selection process.”616 Thus, the first lesson to be learned is that one may have to fight for the right to voir dire. One must make a clear and unambiguous record if not granted a proper voir dire. The failure to do so may preclude a successful appellate review of this issue. Second, and most importantly, one must use truly “open-ended” questions, i.e., questions that cannot be answered with a yes or no, and that permit insight into the potential juror’s thought process. Some examples of truly open-ended questions include: 1: Who are the two people outside of family and friends that you most admire, and two people that you least admire, and why do you feel that way? 2: What would you do to solve the problem of people who do not have medical insurance? 3: What would you do to solve the problems of the homeless? 4: What do you think are the biggest problems with our system of justice, and what would you do to change it? Peremptory Challenges The issue of the grant of increased peremptory challenges to a plaintiff in a multi-defendant malpractice case was discussed by the Supreme Court in Velazquez v. Portadin.617 The Court, after 614. Gonzales v. Silver, 407 N.J. Super. 576, 596 (App. Div. 2009). 615. Molan v. McDivitt, No: A-1600-08T3, 2009 N.J. Super. Unpub. LEXIS 2730 (App. Div. 2009), certif. denied, 201 N.J. 157 (2010). 616. Molan v. McDivitt, No: A-1600-08T3, 2009 N.J. Super. Unpub. LEXIS 2730, at *6 (App. Div. 2009), certif. denied, 201 N.J. 157 (2010). 617. Velazquez v. Portadin, 163 N.J. 677, 692 (2000). ruling that a new trial was warranted on other grounds, addressed the question to be raised on remand of a motion for an increase in peremptory challenges. Although the ordering of a new trial makes it unnecessary for us to grapple with plaintiffs’ complaints about the voir dire, we take this opportunity to make several observations. The first is in connection with plaintiffs’ application for additional peremptory challenges. Plaintiffs contend that under Rule 1:8-3(c) they were entitled to additional peremptory challenges beyond the six granted under normal circumstances because defendants had eighteen peremptory challenges between them and a substantial identity of interest in one or more issues.618 The Court first observed that: Rule 1:8-3(c) provides: In civil actions each party shall be entitled to 6 peremptory challenges. Parties represented by the same attorney shall be deemed 1 party for the purposes of this rule. Where, however, multiple parties having a substantial identity of interest in one or more issues are represented by different attorneys, the trial court in its discretion may, on application of counsel prior to the selection of the jury, accord the adverse party such additional number of peremptory challenges as it deems appropriate in order to avoid unfairness to the adverse party.619 The Court explained that any “substantial disproportion between the number of plaintiff’s peremptory challenges, and the collective peremptory challenges of the defendants” put the plaintiff at an ‘extreme disadvantage in the rejection of prospective jurors … [and the] right to have [the] case heard by an impartial panel is severely compromised. …’ 618. Velazquez v. Portadin, 163 N.J. 677, 691 (2000). 619. Velazquez v. Portadin, 163 N.J. 677, 691 (2000). George v. Bergen Pines Hospital, 217 N.J. Super. 548, 55l (Law Div. 1987).620 Indeed, in Velazquez the plaintiffs had exhausted all available challenges, and [t]hus, the fundamental requirement for seeking extra peremptory challenges was met. Russell v. Rutgers Community Health Plan, Inc., 280 N.J. Super. 445, 456 (App. Div. 1995), certif. denied, 142 N.J. 452 (1995).621 The Supreme Court criticized the trial court, which had “cursorily found that the defendants ‘had individual clients with individual theories presented against them,’ and denied the additional challenges.”622 The Court acknowledged that the “grant or denial of extra peremptory challenges under Rule 1:8-3(c) is a matter of discretion,” but added that this must not be an “arbitrary exercise:” On the contrary, the court is required to analyze the positions of the multiple parties for identity purposes to determine whether the adversary will be prejudiced unless more peremptory challenges are awarded.623 The Court added: Here, the trial court failed to address the substantial identity of interests of these defendants. All three defended the case on the basis of the exercise of judgment; the unknown etiology of cerebral palsy; the claim that Mrs. Velasquez constantly was monitored while on Pitocin; the claim that the monitor strips were readable; and the claim the information revealed by the strips gave defendants no reason to stop the Pitocin or otherwise intervene. What was required of the trial court was a focus on the specific facts and theories of the parties, 620. Velazquez v. Portadin, 163 N.J. 677, 691 (2000). 621. Velazquez v. Portadin, 163 N.J. 677, 691 (2000). 622. Velazquez v. Portadin, 163 N.J. 677, 691-92 (2000). 623. Velazquez v. Portadin, 163 N.J. 677, 692 (2000). followed by a reasoned judgment about the identity of their interests and the need for plaintiffs to be awarded additional peremptory challenges. Because the case must be retried, we need not pass on the effect of the denial of the extra challenges. This much is clear however: when a request is made for additional peremptory challenges under Rule 1:8-3(c), the lawyers and the court must parse out the theories of the parties in detail for the record so that an identity determination can be made. Merely concluding that there is or is not such an identity is inadequate; a statement of reasons for ruling is required.624 See also Cohen v. Community Medical Center,625 where the court addressed the “prophylactic measures a trial judge should employ when confronted with pretrial and mid-trial publicity.”626 On the day that jury selection began, the lead story on the front page of the local newspaper was an article entitled, “Insurance Issue Could Shut ER.” Under the headline was stated, “If Community Medical Center can’t secure insurance for its ER doctors, it could be forced to close.” Alongside the article was a photograph of the defendant. Under the photograph was a caption stating, “If Community Medical Center doesn’t secure insurance for its emergency department physicians by 11:59 p.m. Friday, the state’s busiest ER may be forced to close.” There were two more articles discussing the doctors’ strike; “Southern Ocean doctors will join statewide job action” and “Coalition: Doctors are targeting wrong enemy.” All three articles “discussed the rising cost of medical malpractice insurance, and stated that doctors attributed the rise to high jury verdict awards in medical malpractice lawsuits.” The trial judge nevertheless denied a request for an adjournment because of the age of the case and because of the belief that the medical malpractice insurance issues were not going to go away in the near future. The plaintiff appealed a verdict in favor 624. Velazquez v. Portadin, 163 N.J. 677, 692 (2000). 625. Cohen v. Cmty. Med. Ctr., 386 N.J. Super. 387 (App. Div. 2006). 626. Cohen v. Cmty. Med. Ctr., 386 N.J. Super. 387, 392 (App. Div. 2006). of the defendants, contending that the trial court failed to give appropriate cautionary instructions. In reversing, the Appellate Division instructed: Article 1, Paragraph 9 of the New Jersey Constitution ‘guarantees a civil litigant a right to an impartial jury.’ … Thus, jurors in all cases “must be ‘as nearly impartial as the lot of humanity will admit.’ ” … Therefore, when possible prejudice to a litigant’s right to a fair trial arises as a result of pre- or mid-trial publicity, the trial court has various means available to ensure juror impartiality, such as adjourning the trial to allow public attention to subside, searching and thorough questioning of prospective jurors to screen out those infected by pretrial publicity, and emphatic and clear cautionary instructions. We will address only the latter in light of our disposition. …. The court has an affirmative obligation to seek out and rectify outside influences that have the capacity to create a prejudicial impact upon a party. …. The threatened closure of CMC’s emergency room and impending doctor’s strike had the potential to significantly impact the community from which the jurors were drawn. Articles were published that detailed how the high cost of litigation could have dramatic consequences on the level and cost of medical care. The impact of litigation costs upon health care was of such significance, it found its way into the President’s State of the Union Address two days before the trial commenced. Under these specific facts, the judge had an affirmative obligation to take the necessary prophylactic measures to insulate the jury from the outside influences. … Very simply, the judge should have instructed the jury to avoid any publicity related to the strike or controversy. …. … In this case, the failure to appropriately instruct the jury had the clear capacity to deprive plaintiff of a fair trial and warrants reversal irrespective of whether the jurors were actually exposed to extraneous influences.627 ARBITRATION Contractual Limitations Upon and Compelled Arbitration of Malpractice Claims The courts in New Jersey recently have begun to address the issues raised by recent attempts to impose contractual limits upon and to compel the submission of malpractice claims to binding arbitration. In Moore v. Woman to Woman Obstetrics & Gynecology,628 the parents of a child with Down Syndrome sued multiple defendants seeking damages for the extraordinary medical expenses to be incurred raising their child. Some of the defendants moved to dismiss the case based upon an agreement signed by the mother to submit such claims to binding arbitration. The agreement to arbitrate was also stated to be binding upon the patient’s spouse or children, “born or unborn.”629 The patient also agreed to waive a trial by jury, and certain remedies. The trial court entered an order compelling arbitration of certain of the plaintiffs’ claims and dismissing the complaint without prejudice as to those defendants. In reversing, the appellate division first noted that pursuant to the New Jersey Arbitration Act, N.J.S.A. 2A:23B-1 to -32, the Legislature generally approved 627. Cohen v. Cmty. Med. Ctr., 386 N.J. Super. 387, 395-99 (App. Div. 2006). See also Mahoney v. Podolnick, 168 N.J. 202 (2001), regarding jury procedures, holding that fivesixths of the deliberating jurors must vote in favor of each question, but that a juror can vote differently on liability and apportionment questions. 628. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30 (App. Div. 2010). 629. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 42 (App. Div. 2010). the use of arbitration agreements, and generally “does not prohibit agreements to arbitrate based upon the nature of the disputed claim.”630 However, the Moore Court then advised that courts may decline to enforce when well-established principles addressing the absence of a consensual agreement and unfairness in contracting and the agreement warrant relief. Those principles include fraud, duress, mistake, illegality, imposition, undue influence and unconscionability.631 The Moore Court focused on the issue of unconscionability explaining that: For the most part, the unconscionability [involves] two factors: (1) unfairness in the formation of the contract, [procedural unconscionability] and (2) excessively disproportionate terms [substantive unconscionability]. … Factors relevant to unconscionability include characteristics of the party presented with a contract of adhesion, ‘such as age, literacy, lack of sophistication, hidden or unduly complex contract terms, bargaining tactics, and the particular setting existing during the contract formation process.’632 The Court found “no justification for judicial action imposing an absolute bar to enforcement of agreements to arbitrate such claims.”633 However, the Court remanded for a hearing to determine whether the enforcement of the arbitration agreement would be unconscionable. The Court explained: There are several factors of procedural and substantive unconscionability that combine to preclude entry of an order enforcing the agreement at this juncture. … 630. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 35 (App. Div. 2010). 631. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 37-38 (App. Div. 2010). 632. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 38-39 (App. Div. 2010). 633. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 40 (App. Div. 2010). The factors to which we refer are ‘the particular setting existing during the contract formation process’ and the waivers that involve others who are not parties to the agreement. In the context of a contract of adhesion, which this contract clearly is, the ‘subject matter’ and the ‘parties’ relative bargaining positions’ as well as public policies implicated are pertinent. … [The patient] sought medical services from a specialist for a high-risk pregnancy. In that circumstance, it was reasonable for [the patient] to assume that the physician was acting in her interest. She was presented, along with forms related to medical treatment and privacy rights and payment for the services, a copy of a contract of adhesion that is a pre-dispute arbitration agreement. Apart from the plain, prominent and unambiguous text of the agreement, she was not alerted to the fact that a contract waiving her rights and the rights of her husband and child was among those forms. The contract of adhesion [the patient] signed gave her notice of her right to seek the advice of counsel and a right to withdraw from the agreement within fifteen days. Nonetheless, [the patient] was not given a copy of the agreement, which was essential to the exercise of those contractual rights. Thus, while these provisions of the agreement suggest procedural fairness through an effort to ensure that the agreement is accepted with full understanding and after thoughtful consideration over a fifteen-day period, the failure to provide the patient with a copy of the contract, as a practical matter, renders them ineffective and gives rise to an inference of additional inequality in the parties’ respective bargaining positions.634 634. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 44-45 (App. Div. 2010) (citations omitted). The Court concluded that the agreement to arbitrate the claims of the patient’s spouse was invalid, stating we are not aware of any legal theory that would permit one spouse to bind another to an agreement waiving the right to trial on his or her claim without securing his consent to the agreement.635 The Appellate Division therefore reversed and remanded, concluding that: [u]nder the totality of the circumstances in this case, defendants were not entitled to summary judgment enforcing this agreement over plaintiffs’ claims that this contract of adhesion was procedurally and substantively unconscionable.636 The definition of unconscionability was further refined in a case involving an arbitration agreement signed by a resident of a nursing home in Estate of Ruszala v. Brookdale Living Communities.637 In Ruszala, the appellate division held that Sec. 2 of the Federal Arbitration Act (FAA), 9 U.S.C. 2, which declares arbitration provisions in contracts “valid, irrevocable, and enforceable,” preempts N.J.S.A. 30:13-8.1, of the New Jersey Nursing Home Responsibilities and Rights of Residents Act which voids any “provision or clause waiving or limiting the right to sue … between a patient and a nursing home.” However, the court also held that certain provisions of the residency agreements are unenforceable due to the doctrine of substantive unconscionability. The plaintiffs decedent in Ruszala had signed “residency agreements” with two New Jersey assisted living facilities. The contracts contained arbitration and limitation of liability clauses which compelled arbitration of negligence claims, significantly restricted discovery, limited compensatory damages, and prohibited punitive damages. The trial court denied the defendants’ motions to compel arbitration, finding that: (1) the arbitration provisions were void 635. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 45 (App. Div. 2010). 636. Moore v. Woman to Woman Obstetrics & Gynecology, 416 N.J. Super. 30, 46 (App. Div. 2010). 637. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272 (App. Div. 2010). as against public policy under N.J.S.A. 30:13-8.1; (2) the FAA was not applicable because the contracts did not involve interstate commerce; and (3) even if N.J.S.A. 30:13-8.1 was preempted by the FAA, the limitations and prohibitions of the residency agreement were unenforceable due to unconscionability. The appellate division reversed, holding that the FAA does preempt the anti-arbitration provision in N.J.S.A. 30:13-8.1, but affirmed the trial court’s conclusion that certain portions of the residency agreement were unenforceable based on the doctrine of substantive unconscionability. The residency agreements provided in relevant part that all claims other than for eviction “shall be submitted to binding arbitration,” that the parties waive the right to a trial by jury, that non-economic damages, such as pain and suffering, were limited to $350,000.00 and that punitive damages were prohibited.638 The Ruszala panel first dealt with the pre-emption issue. The panel noted that the Legislature amended N.J.S.A. 30:13-8.1 to prohibit a nursing home from limiting a resident’s right to sue, declaring such attempts to be “‘void as against public policy and wholly unenforceable.’ ”639 However, the court stated that [t]he FAA thus preempts any state law or regulation that seeks to preclude the enforceability of an arbitration provision on grounds other than those which ‘exist at law or in equity for the revocation of any contract’ 9 U.S.C.A. Sec. 2.640 The court added: Our State’s prohibition of arbitration agreements in nursing home contracts, designed to protect the elderly, is thus irreconcilable with our national policy favoring arbitration as a forum for dispute resolution. Under our federal system of government, national policy prevails. Therefore, the FAA’s clear authorization nullifies the specific prohibition of arbitration provisions in nursing home or assisted 638. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 283-85 (App. Div. 2010). 639. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 293 (App. Div. 2010). 640. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 293 (App. Div. 2010). living facilities’ contracts contained in N.J.S.A. 30:13-8.1.641 After affirming the trial court’s conclusion that “the residency agreements are contracts of adhesion,” the appellate division focused on the issue of unconscionability. The unconscionability issue in this matter centers on the limitations of discovery, the capping of compensatory damages to a seemingly arbitrary figure, and the outright prohibition of punitive damages. In determining whether these restrictions run counter to our State’s public policy, we need look no further than to the plain language in N.J.S.A. 30:13-8.1: Any provision or clause waiving or limiting the right to sue for negligence or malpractice in any admission agreement or contract between a patient and a nursing home or assisted living facility licensed by the Department of Health and Senior Services … whether executed prior to, on or after the effective date of this act, is hereby declared to be void as against public policy and wholly unenforceable, and shall not constitute a defense in any action, suit or proceeding. Although the FAA preempts the application of this statute to bar arbitration as a contractually provided means of dispute resolution, the statute otherwise continues to protect these consumers’ right to sue.642 The Appellate Division deemed the discovery restrictions palpably egregious because they are clearly intended to thwart plaintiffs’ ability to prosecute a case involving resident abuse. Under these restrictions, a plaintiff cannot depose any of the nursing 641. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 293 (App. Div. 2010). 642. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 297-98 (App. Div. 2010). home staff members who are directly responsible for the day-to-day care of the resident. Indeed, no depositions can be taken of any fact witness, including individuals without any particular affiliation to the nursing home who, nevertheless, may have witnessed an act of abuse or neglect or may have information material to the case. This limitation is thus clearly inconsistent with the protection provided in N.J.S.A. 30:13-8.1.643 Similarly, the court explained that permitting the limits on compensatory damages would have the insidious effect of permitting nursing home operators to budget potential liability as a mere cost of doing business, leaving seriously injured residents unable to obtain the full measure of relief warranted by the evidence. This section of the arbitration clause is likewise unenforceable under N.J.S.A. 30:13-8.1.644 Finally, the court explained that the preclusion of punitive damages touches upon the societal interest of expressing the community’s disapproval of outrageous conduct. In the context of nursing home abuse, punitive damages also serve an “admonitory” function.645 The appellate panel concluded: When considered together, the restrictions on discovery, limits on compensatory damages, and outright prohibition of punitive damages form an unconscionable wall of protection for nursing home operators seeking to escape the full measure of accountability for tortious conduct that imperils a discrete group of vulnerable consumers. This is 643. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 298 (App. Div. 2010). 644. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 298 (App. Div. 2010). 645. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 298 (App. Div. 2010). precisely the evil the Legislature sought to enjoin by passing N.J.S.A. 30:13-8.1. We thus hold that these provisions in the arbitration clause of the residency agreement are void and unenforceable under the doctrine of substantive unconscionability. We thus sever the restrictions on discovery and remand for the parties to present their case to an arbitrator governed by our civil rules of discovery as provided for in the arbitration agreement. We further invalidate the $350,000 limitation on compensatory damages and the bar against punitive damages. The arbitrator will determine the measure of damages based on the evidence presented, uninhibited by any per se limitations on compensatory damages; punitive damages may also be assessed if warranted.646 To what extent this rationale will be applied to medical malpractice cases that arise outside of a nursing home setting remains to be seen. 646. Estate of Ruszala v. Brookdale Living Cmtys., 415 N.J. Super. 272, 299-300 (App. Div. 2010). Pretrial Discovery in Medical Malpractice Cases Overview The exchange of pretrial discovery requires the good faith participation of the litigants. Unfortunately, far too much energy is consumed in the litigation of pretrial motions where the law is clear and there is no genuine dispute over whether the requested information is discoverable. This conduct is contrary to the spirit and letter of the law. In Young v. Latta,1 the New Jersey Supreme Court instructed: Our system of discovery is designed to make available information that is reasonably calculated to lead to relevant evidence concerning the respective positions of the parties. … A litigation strategy that features surprise to the adversary is no longer tolerated.2 However, another court was compelled to write: Discovery—the preparatory phase in the lawsuit— has as its primary objective, the exposure and unveiling of the relevant facts of that case. It is the probing for and revelation of the truth, nothing 1. Young v. Latta, 123 N.J. 584 (1991). 2. Young v. Latta, 123 N.J. 584, 597 (1991) (quoting Lang v. Morgan’s Home Equip. Corp., 6 N.J. 333, 338 (1951)). more and nothing less. To treat it as a checker game is to debase the process.3 A comprehensive discussion of the rules of pretrial discovery is beyond the scope of this text.4 However, medical malpractice cases involve recurring pretrial discovery issues which merit discussion. Priority of Discovery The timing of discovery, i.e., who goes first, is sometimes a problem in medical malpractice cases. Occasionally, a party will insist that another party submit to depositions or provide expert reports before the first party will do the same. The logical process of discovery would ordinarily require production of legible copies of all of the medical records, depositions of all of the parties and fact witnesses, production of expert reports, and depositions of the experts, in that order. Certainly, a party cannot insist on priority of discovery nor place conditions on the obligation to produce discovery. In Dick v. Atlantic City Medical Center,5 the defendant refused to appear for depositions until receipt of plaintiff’s expert report. In requiring the defendant to appear for the deposition, the court noted that New Jersey Court Rule 4:10-4 provides that “the fact that a party is conducting discovery, whether by deposition or otherwise, shall not, of itself, operate to delay any other party’s discovery.”6 The court observed that this language was inserted into the rule to remedy the common law rule of priority developed by case law … which allowed the party who first served notice of taking depositions to complete at least the noticed depositions before his opponent could take any depositions.7 3. Dick v. Atl. City Med. Ctr., 173 N.J. Super. 561, 565 (Law Div. 1980); see also Tynes v. St. Peter’s Univ. Med. Ctr., 408 N.J. Super. 159 (App. Div. 2009) (discussing the application of “Best Practices” and New Jersey Court Rule 4:24 to discovery in medical malpractice cases). 4. See Sylvia B. Pressler and Peter G. Verniero, 2012 N.J. Court Rules – Annotated (Gann 2012). 5. Dick v. Atl. City Med. Ctr., 173 N.J. Super. 561 (Law Div. 1980). 6. Dick v. Atl. City Med. Ctr., 173 N.J. Super. 561, 563 (Law Div. 1980). 7. Dick v. Atl. City Med. Ctr., 173 N.J. Super. 561, 563 (Law Div. 1980). In holding that defendant could not refuse to appear for his deposition pending receipt of plaintiff’s expert reports, the court stated, in language applicable to many discovery disputes: A witness either on deposition or on trial has but one obligation—to speak the truth. If the truth here exculpates defendant doctor, all well and good. He will prevail. If the truth turns out to be that he committed malpractice, so be it. ‘The truth is always the truth, telling the truth never hurt anyone except in so far as he ought to be hurt.’ In re Vince, 2 N.J. 443, 447 (1949). The contrary view turns an inquiry into truth and justice into a poker game and this practice died September 15, 1948.8 Obtaining Plaintiff’s Medical Records, Interviewing Plaintiff’s Treating Physicians The physician-patient privilege is found at N.J.S.A. 2A:84A-22.1 et seq., and protects disclosure of “information transmitted between physician and patient, including information obtained by an examination of the patient.” However, N.J.S.A. 2A:84A-22.4 provides that there is no privilege “in an action in which the condition of the patient is an element or factor of the claim or defense.” Thus, the assertion of a malpractice claim waives the physician-patient privilege. Prior to the enactment of this legislation, the New Jersey Supreme Court recognized the physician-patient privilege, as well as the exceptions to the privilege, in Hague v. Williams.9 In Hague, plaintiffs sued a physician for disclosing to their child’s life insurance company that the plaintiffs’ infant had heart trouble since birth. This disclosure resulted in the denial of a claim for life insurance benefits after the death of the baby. Plaintiffs contended that the pediatrician was under a duty not to reply to the inquiry 8. Dick v. Atl. City Med. Ctr., 173 N.J. Super. 561, 565 (Law Div. 1980). 9. Hague v. Williams, 37 N.J. 328 (1962). of the insurance company without their express authorization. The Supreme Court noted that there was no physician-patient privilege at common law, but nevertheless: [t]he benefits which inure to the relationship of physician-patient from the denial to a physician of any right to promiscuously disclose such information are self-evident. On the other hand, it is impossible to conceive of any countervailing benefits which would arise by according a physician the right to gossip about a patient’s health.10 The Court therefore concluded: A patient should be entitled to freely disclose his symptoms and condition to his doctor in order to receive proper treatment without fear that those facts may become public property. Only thus can the purpose of the relationship be fulfilled. So here, when the plaintiffs contracted with the defendant for services to be performed for their infant child, he was under a general duty not to disclose frivolously the information received from them, or from an examination of the patient. … We conclude, therefore, that ordinarily a physician receives information relating to a patient’s health in a confidential capacity and should not disclose such information without the patient’s consent, except where the public interest or the private interest of the patient so demands.11 However, the Court noted that the duty of confidentiality may be waived when the patient’s medical history is in issue, for example, in a personal injury or life insurance claim. One of these exceptions arises where, as here, the physical condition of the patient is made an element of a claim. While that claim had not yet been pressed to litigation, the same policy which during litigation permits, even demands, disclosure 10. Hague v. Williams, 37 N.J. 328, 335-36 (1962). 11. Hague v. Williams, 37 N.J. 328, 336 (1962). of information acquired during the course of the physician-patient relationship allows the disclosure thereof to the person against whom the claim is made, when recovery is sought prior to or without suit. At this point the public interest in an honest and just result assumes dominance over the individual’s right of nondisclosure. When the plaintiffs made a claim involving the health of the patient, they lost any right to nondisclosure they may have had and defendant was justified in conveying the relevant information to the insurer upon its request.12 Thus, it is clear that a defendant in a malpractice case is entitled to obtain the medical records of the plaintiff, who is deemed to have waived any privilege in same by filing suit. Furthermore, the defendant in a malpractice case is entitled to attempt to interview the plaintiff’s treating physicians without taking a formal deposition on the record. In Stempler v. Speidell,13 the Court analyzed the conflict between a physician’s obligation to keep the confidences of the patient and the defendant’s need to discover information about a patient’s medical history. In Stempler, the defendants wanted to compel the plaintiff to sign authorizations permitting the defense counsel to conduct ex parte interviews with plaintiff’s treating doctors. The Supreme Court began its analysis by noting that a doctor has a professional obligation to maintain the confidentiality of his patient’s communications. See American Medical Association, Principles of Medical Ethics, ¶ 9 (1957).14 After analyzing the competing interests, i.e., the plaintiff’s interest in protecting confidential information not relevant to the litigation and preventing the disclosure of harmful information, versus the defendant’s desire to interview the treating physicians and discover any beneficial information, the Supreme Court decided: 12. Hague v. Williams, 37 N.J. 328, 336-37 (1962). 13. Stempler v. Speidell, 100 N.J. 368 (1985). 14. Stempler v. Speidell, 100 N.J. 368, 375 (1985). In our view, these competing interests can be respected adequately without requiring the formality of depositions in every case. The Rules regulating pretrial discovery do not purport to set forth the only methods by which information pertinent to the litigation may be obtained. Personal interviews, although not expressly referred to in our rules, are an accepted, informal method of assembling facts and documents in preparation for trial. Their use should be encouraged as should other informal means of discovery that reduce the cost and time of trial preparation.15 The Stempler Court therefore held that plaintiffs must sign authorizations permitting the defense counsel to interview plaintiff’s treating physicians. However, the Court also held that defense counsel must provide plaintiff’s counsel with reasonable notice of the time and place of the interview. Finally, the Court instructed: Additionally, the authorizations or orders should require that defendant’s counsel provide the physician with a description of the anticipated scope of the interview, and communicate with unmistakable clarity the fact that the physician’s participation in an ex parte interview is voluntary. This procedure will afford plaintiff’s counsel the opportunity to communicate with the physician, if necessary, in order to express any appropriate concerns as to the proper scope of the interview, and the extent to which plaintiff continues to assert the patient-physician privilege with respect to that physician.16 The Court specifically held that plaintiff may seek a protective order: (1) seeking the supervision of the trial court, (2) granting plaintiff’s counsel the opportunity to be present during the interview or, (3) requiring that defense counsel proceed by deposition. 15. Stempler v. Speidell, 100 N.J. 368, 382 (1985). 16. Stempler v. Speidell, 100 N.J. 368 (1985). See also Smith v. American Home Products Corp.,17 where the plaintiffs filed suit against the defendants seeking damages arising out of the ingestion of a drug. The defendants sought to interview the plaintiffs’ physicians as provided by Stempler v. Speidell.18 The plaintiffs asserted that the Health Insurance Portability and Accountability Act (HIPAA), 42 U.S.C. 300gg-12, prohibited the defendants from interviewing the plaintiffs’ physicians. The Law Division held that the HIPAA statute did not conflict with the New Jersey Physician Patient Privilege found in N.J.S.A. 2A:84A-22.4, and did not preempt informal discovery in the form of ex parte interviews. In In re Diet Drug Litigation,19 where the defendant moved to conduct ex parte interviews of the plaintiffs’ treating physicians. The court held that HIPAA,20 did not preempt state case law that permitted ex parte interviews with the doctors.21 The trial court recalled that in Stempler v. Speidell,22 the Supreme Court held that such personal interviews are an “accepted, informal method of assembling facts and documents in preparation of trial.”23 In Il Grande v. Dibenedetto,24 where the court held that whether a defendant is entitled to compel a plaintiff to undergo an invasive procedure requires the motion judge to balance whether the probative value of the procedure outweighs any risk or discomfort to plaintiff. The court explained: the burden of coming forward to establish the probative value of such procedure rests with defendant; plaintiff then must produce evidence that the proposed procedure presents a risk to plaintiff’s health or is of such a nature that it will create substantial discomfort or distress; thereafter, 17. Smith v. Am. Home Prods. Corp., 372 N.J. Super. 105 (Law Div. 2003). 18. Stempler v. Speidell, 100 N.J. 368 (1985). 19. In re Diet Drug Litig., 384 N.J. Super. 546 (Law Div. 2005). 20. Pub. L. 104-191, 42 U.S.C. 300gg-12. 21. In re Diet Drug Litig., 384 N.J. Super. 546, 555 (Law Div. 2005). 22. Stempler v. Speidell, 100 N.J. 368 (1985). 23. In re Diet Drug Litig., 384 N.J. Super. 546, 555 (Law Div. 2005) (citing Stempler v. Speidell, 100 N.J. 368, 382 (1985)). 24. Il Grande v. Dibenedetto, 366 N.J. Super. 597 (App. Div. 2004). the burden shifts back to defendant to establish the safety and reasonableness of the procedure.25 The Appellate Division also held: [A] defendant’s remedy, where defendant has failed to meet his burden to compel such an examination, is to challenge plaintiff’s expert on crossexamination. Where a plaintiff fails to submit to an invasive procedure that a judge has determined to be warranted, possible remedies include, but are not limited to, questioning both parties’ experts as to the nature of the proposed procedure and commenting to the jury as to plaintiff’s refusal to submit to the procedure. Only in the exceptional case may a judge impose the sanction of barring plaintiff’s claim.26 Use of a Subpoena to Obtain Medical Records The penalty for the misuse of subpoena power was discussed in Crescenzo v. Crane.27 In Crescenzo, the plaintiff was in the process of divorcing her husband when her husband’s attorney served a subpoena duces tecum on the plaintiff’s personal physician, Dr. Crane, requiring production of the plaintiff’s medical records. The subpoena was accompanied by a letter stating that if the medical records were sent by mail there would be no need for Dr. Crane to appear on the return date of the subpoena. Counsel for the husband did not provide an authorization from the wife consenting to the release of her medical records. Furthermore, the 25. Il Grande v. Dibenedetto, 366 N.J. Super. 597, 603 (App. Div. 2004). 26. Il Grande v. Dibenedetto, 366 N.J. Super. 597, 604 (App. Div. 2004). See also the following statutes: N.J.S.A. 2A:82-41 Person against whom claim is asserted; right of examination, which permits a defendant to examine a plaintiff’s hospital records. N.J.S.A. 2A:82-42 Injured person or claimant; right of examination, which permits a plaintiff or plaintiff’s attorney to examine the plaintiff’s hospital records. N.J.S.A. 2A:82-43 which makes the provisions of N.J.S.A. 2A:82-41 and N.J.S.A. 2A:82-42 applicable to attorneys and duly authorized agents subject “to reasonable rules and regulations promulgated by any such hospital.” See also §§ 9-11 and 9-12 regarding depositions of treating physicians, psychiatrists and health care professionals. 27. Crescenzo v. Crane, 350 N.J. Super. 531 (App. Div. 2002). husband’s attorney did not even provide notice of the subpoena to either the plaintiff or her attorney. In response to the subpoena, the plaintiff’s physician released her medical records to the husband’s attorney, who provided the medical records to third parties. The wife filed suit against her doctor, alleging a breach of the duty of confidentiality. The trial court dismissed the complaint against the doctor, concluding that even if the wrong procedures were utilized the records inevitably would have been discoverable. When reversing, the Appellate Division first explained that the purpose of the rule of court which grants subpoena power, New Jersey Court Rule 4:14-7(c), is to permit discovery from non-parties while providing notice and the opportunity for parties to challenge the propriety of the subpoena. The court then observed that New Jersey Court Rule 4:14-7(c) has five essential requirements: (1) the subpoena must be served with a deposition notice; (2) the subpoena must state that the records shall not be released until the date of the deposition; (3) the subpoena must notify the deponent that if a motion to quash the subpoena is filed the deponent shall not release the records; (4) the subpoena must be served on all parties; and (5) if evidence is produced by a deponent who does not attend the deposition, the party issuing the subpoena must provide notice and make the evidence available to all parties.28 The court observed that the husband’s attorney had actually managed to violate each of these five requirements. The Appellate Division then explained that the wife had a viable claim against the doctor for breach of the physicianpatient privilege, relying on Runyon v. Smith.29 The Crescenzo panel explicitly rejected the contention that since the records were ultimately discoverable, this was a case of “no harm, no foul,” as stated by the trial judge.30 The court therefore reversed and 28. Crescenzo v. Crane, 350 N.J. Super. 531, 538 (App. Div. 2002). 29. Crescenzo v. Crane, 350 N.J. Super. 531, 539-43 (App. Div. 2002) (citing Runyon v. Smith, 322 N.J. Super. 236 (App. Div. 1999), aff’d, 163 N.J. 439 (2000)). 30. Crescenzo v. Crane, 350 N.J. Super. 531, 538, 543 (App. Div. 2002). remanded, adding that it would not address the issue of the scope of the plaintiff’s damages. The improper use of a subpoena resulted in disqualification of defense counsel in Cavallaro v. Jamco Property Management.31 In Cavallaro, the defendant’s attorney served subpoenas on numerous medical providers with a cover letter stating that if the medical records were provided prior to the date of the deposition the appearance of the medical providers at the deposition would not be required. Although counsel for the plaintiff was provided with a copy of the subpoena, the defense counsel did not provide a copy of the cover letter to the plaintiff ’s attorney. When counsel for the plaintiff contacted one of the plaintiff ’s medical providers, a psychologist, in connection with a motion to quash the subpoena, the plaintiff ’s attorney was advised that the records had already been sent to defense counsel. The plaintiff moved for a protective order and the trial court ruled that the plaintiff ’s mental health treatment records were privileged pursuant to New Jersey Rules of Evidence 505 and N.J.S.A. 45:14B-28. The court also ruled that counsel for the defendant had failed to satisfy the requirements of Kinsella v. Kinsella,32 regarding waiver of the privilege for mental health records. The trial court also found that the subpoena violated the Rules of Civil Procedure and the Code of Professional Responsibility. The trial court therefore ordered the return of the mental health records and disqualified defense counsel.33 The Appellate Division affirmed the holding that the mental health records were privileged pursuant to N.J.S.A. 45:14B-28 and New Jersey Rules of Evidence 505, and also affirmed the trial court’s disqualification of defense counsel. INTERROGATORIES Form Interrogatories Interrogatories in medical malpractice suits serve two functions: to discover information, and to limit and prevent the opponent 31. Cavallaro v. Jamco Prop. Mgmt., 334 N.J. Super. 557 (App. Div. 2000). 32. Kinsella v. Kinsella, 150 N.J. 276 (1997). 33. Cavallaro v. Jamco Prop. Mgmt., 334 N.J. Super. 557, 564-65 (App. Div. 2000). from utilizing information that is not supplied in discovery. The so-called “evidence exclusion” function of interrogatories should not be overlooked or underutilized. The use of interrogatories in malpractice litigation requires certain comments. In 1996, the Supreme Court promulgated Form Interrogatories to be answered by both plaintiff and defendants in medical malpractice cases. The Form Interrogatories apply only to “defendant physicians,” and do not apply to other health care providers such as hospitals.34 Certainly the Form Interrogatories were not designed to elicit the discovery generally needed from hospitals. A party is only permitted to propound ten single-part supplemental interrogatories.35 However, the rule contemplates that trial courts will grant motions to serve additional interrogatories in appropriate cases.36 The defendant must provide transcribed copies of any handwritten records regarding plaintiff.37 Furthermore, the defendant must provide his or her opinion regarding causation.38 The Scope of Inquiry by Interrogatories Interrogatories in malpractice cases are often answered by reference to the medical records. However, reference to the medical records may be improper since a party cannot read such an answer into evidence at the time of trial as contemplated by New Jersey Court Rule 4:17-8(a). Additionally, reference to the medical record requires the party to interpret the defendant’s answer. This is also improper in many circumstances. See, for example, Seiden v. Allen,39 in which a court persuasively explained: The purpose of discovery is not only to elicit information but to obtain a precise factual statement from a party which may be used at the trial as affirmative evidence, or for the purpose of impeaching or contradicting the party if he appears 34. See N.J. Ct. R. Appendix II, Interrogatory Forms, Form C(3). 35. N.J. Ct. R. 4:17-1(b)(1). 36. N.J. Ct. R. 4:17-1(b)(1). 37. See N.J. Ct. R. Appendix II, Interrogatory Forms, Form C(3), ¶ 7. 38. See N.J. Ct. R. Appendix II, Interrogatory Forms, Form C(3), ¶ 16. 39. Seiden v. Allen, 135 N.J. Super. 253, 256 (Ch. Div. 1975). as a witness. See R. 4:17-8(a); R. 4:16-1(a) and (b). The party propounding the interrogatories is entitled to have answers furnished in a form which will permit their use at the trial in the manner envisioned by the rules of court. … R. 4:17-4(a) requires that answers be furnished ‘separately, fully and responsively.’ Neither the letter nor the spirit of the rule allows a party to supply answers which cast upon his adversary the impossible burden of ferreting out of a deposition transcript that which the answeror intends as his answer. If the called-for information is contained in the transcripts of the deposition, it is the answeror’s obligation to collect it and supply it in the form required by the rule.40 The seminal case regarding the scope of the inquiry permitted by interrogatories in a medical malpractice case is Myers v. St. Francis Hospital.41 In Myers, plaintiff sought damages for personal injuries sustained by an infant as a result of a blood transfusion. The defendant appealed from an order of Law Division directing the defendant to answer 108 of the 109 interrogatories served upon him. The court held that the defendant must answer the following interrogatories: 6 through 8, regarding his profession and license. 9 through 12, regarding his education and internship. 13 through 18, regarding his specialization and training and experience therein. 19 through 23, regarding his certification by boards. 24 regarding his hospital connections. 25 through 28, regarding teaching in medical institutions. 29 regarding membership in medical societies. 30 and 31, regarding his writings in the field of pediatrics. 40. Seiden v. Allen, 135 N.J. Super. 253, 255-56 (Ch. Div. 1975). See also Sylvia B. Pressler and Peter G. Verniero, 2012 N.J. Court Rules – Annotated, cmt to N.J. Ct. R. 4:17-4(a) (Gann 2012). 41. Myers v. St. Francis Hosp., 91 N.J. Super. 377 (App. Div. 1966). 32, 33 and 72, regarding the number of occasions he treated conditions similar to the plaintiff’s, and the name, address, date and factual account of every patient for whom he performed a similar procedure in the preceding two years. 83 regarding the particular condition or conditions for which the baby was then being treated, and by whom. 92 and 93, regarding whether the infant is still his patient, and his present treatment of her.42 The requirement that defendant answer interrogatories 32, 33, and 72 is of special significance in any case where a common condition or a repeatedly performed procedure is in issue. It allows the plaintiff to obtain the operative reports, for example, of similar operations performed on other patients, obviously with the names redacted, in order to search for variations in technique. Presumably, should such variations exist, the plaintiff would be able to explore the reasons for those variations. Obviously, issues of confidentiality may preclude disclosure of the names and addresses of the patients.43 However, any privileged material can be redacted without compromising the value of the discovery. The Myers court also required the defendant to answer the following interrogatories, despite his objection that the interrogatories called for disclosure of his conclusions, opinions or contentions: 41, regarding defendant’s reasons for preparing the baby for the procedure; “59 through 61, inquiring as to what caused the burns; could they have been avoided, and if so, how”; “68, whether the scars will be permanent”; 70 and 71, whether the scars are “the result of burns sustained during the exchange transfusion, and a normal result of such a transfusion”; “87, whether the infant suffered pain from the burns”; 42. Myers v. St. Francis Hosp., 91 N.J. Super. 377, 386 (App. Div. 1966). 43. See N.J. R. Evid. 506. “90, whether plastic surgery is necessary to remove the scars.”44 The Myers court explained: There can be no objection if the answers call for an expression of opinion, for we are dealing within the area of defendant’s specialty and, in particular, with his operative procedures and treatment of the infant.45 Other cases that have considered these issues have reached similar expansive conclusions. In Osterman v. Ehrenworth,46 plaintiff alleged that the defendant negligently prescribed prednisone, a steroid, for treatment of arthritis. Plaintiff served the following interrogatories which defendant refused to answer based upon the attorney-client privilege: ‘14. Has defendant ever previously utilized prednisone in the treatment of arthritis or any other illness, disease or symptom? If yes, state (a) the names and addresses of all those so treated, (b) the illness, symptom or disease for which they were treated, (c) defendant’s reasons for utilizing prednisone in such treatment, (d) the length of time for which prednisone was prescribed, (e) whether such persons are still under defendant’s care. 15. If the answer to question 14(e) is no with regard to any person, state the name and address of each such person or persons, together with the date and reason that treatment was discontinued. 16. If the answer to question 14(e) is yes with regard to any person but prednisone is no longer used in the treatment of such person or persons, state the name and address of each of such patients, together with the date and reasons that the use of prednisone was discontinued. 44. Myers v. St. Francis Hosp., 91 N.J. Super. 377, 389 (App. Div. 1966). 45. Myers v. St. Francis Hosp., 91 N.J. Super. 377, 389 (App. Div. 1966). 46. Osterman v. Ehrenworth, 106 N.J. Super. 515 (Law Div. 1969). 19. If question 17 (inquiring as to whether it was defendant’s practice to treat all patients exhibiting the same symptoms as the plaintiff with prednisone) is answered in the negative, state the names and addresses of at least three patients exhibiting symptoms similar to plaintiff Annie Osterman’s, for whom defendant did not prescribe prednisone, and state why said drug was not used. (Parentheses added). 20. Has defendant ever prescribed prednisone for any person other than plaintiff Annie Osterman, where such prescriptions were renewed continuously for three years or longer? 21. If question 20 is answered in the affirmative, state (a) the names and addresses of all those so treated, and (b) the length of such treatment. 22. If the answer to question 20 is no, state (a) the longest length of time for which defendant continuously prescribed prednisone, (b) the name and address of each such patient or patients, and (c) the length of such treatment. 50. Has defendant ever prescribed prednisone for any patient other than plaintiff Annie Osterman, to be taken more than 7 tablets per day? If so, state the names and addresses of each such patient and length of time such treatment was continued. 51. Had defendant knowledge, during the course of his treatment or thereafter, of any other physician who has prescribed prednisone in dosages exceeding 7 tablets per day? If so, state the names and addresses of each such physician, the dosage defendant understood them to prescribe, and the length of time such treatment was continued.’47 The court upheld the use of interrogatories that inquired as to how many times the defendant had treated similar conditions and 47. Osterman v. Ehrenworth, 106 N.J. Super. 515, 516-17 (Law Div. 1969). the names of the patients upon whom the defendant had performed similar procedures.48 Applying the foregoing conclusions of law to the interrogatories here involved, it is obvious that those numbered 20 and 51 would not violate any patient-physician privilege and must be answered. However, to require the physician to reveal the names and addresses of other patients conjoined with the nature of their illnesses and treatment provided for each would amount to a judicial disregard of the legislatively expressed public policy; it would disclose that which the legislature has specifically acted to protect.49 Therefore, the court concluded: If the sub-sections of interrogatories numbered 14, 15, 16, 19, 21, 22 and 50, calling for the names and addresses of past and present patients of the defendant, are deleted, ‘no violence is done to the privilege. …’ Any violation of the privilege is thus obviated and the plaintiff would obtain the remaining information requested for such use as may be indicated in the cross-examination of the defendant on his ‘qualifications and experience.’50 Similarly, in Unick v. Kessler Memorial Hospital,51 plaintiffs alleged that their infant daughter died as a result of the negligent administration of anesthesia. Plaintiff served two interrogatories which the defendant refused to answer: 74. Have you ever been a party to any lawsuit other than the present one? ANSWER: Refused to answer without order of court. 48. Osterman v. Ehrenworth, 106 N.J. Super. 515, 519 (Law Div. 1969) (citing Myers v. St. Francis Hosp., 91 N.J. Super. 377, 389 (App. Div. 1966)). 49. Osterman v. Ehrenworth, 106 N.J. Super. 515, 525 (Law Div. 1969). 50. Osterman v. Ehrenworth, 106 N.J. Super. 515, 526 (Law Div. 1969). 51. Unick v. Kessler Mem’l Hosp., 107 N.J. Super. 121 (Law Div. 1969). 75. If the answer to the preceding Interrogatory is in the affirmative, state: (a) the name of the parties to such suit, (b) your status therein, (c) the court in which it was filed. ANSWER: [left blank].52 The court held that disclosing the names of persons who have previously brought malpractice suits against the defendant would not violate the patient-physician privilege and therefore the names were discoverable. Discovery of Communications Between Plaintiff, Counsel and Experts In Hannan v. St. Joseph’s Hospital & Medical Center,53 the Appellate Division held that notes prepared by the plaintiff at the instruction of his attorney are privileged, and the privilege is not waived by referring to the notes in preparing answers to interrogatories. The trial court had compelled disclosure of the notes, relying on Coyle v. Estate of Simon,54 having concluded that once the notes were utilized to answer interrogatories or to refresh one’s recollection in a deposition, the attorney-client privilege is waived. The Appellate Division reversed, stating that the notes were communications between attorney and client and are protected pursuant to the attorney-client privilege found at N.J.S.A. 2A:84A-20 (New Jersey Rules of Evidence 504). The court also held that the notes were protected by the work product privilege found in New Jersey Court Rule 4:10-2(c). The Appellate Division also held that there was no waiver of either the attorneyclient privilege or the work product privilege. The Hannan court distinguished Coyle, explaining, Unlike in Coyle, plaintiff here did not disclose the notes to an expert for the purpose of having an expert rely on the notes in rendering an opinion. The notes were disclosed to no one except 52. Unick v. Kessler Mem’l Hosp., 107 N.J. Super. 121, 122 (Law Div. 1969). 53. Hannan v. St. Joseph’s Hosp. & Med. Ctr., 318 N.J. Super. 22 (App. Div. 1999). 54. Coyle v. Estate of Simon, 247 N.J. Super. 277 (App. Div. 1991). plaintiff’s attorney, and were utilized solely to answer interrogatories.55 Finally, the court rejected the defendant’s argument that there was a substantial need for the notes, noting that the hospital record was at least the equivalent. The court therefore reversed the order granting the defendant access to the plaintiff’s notes. See also, generally, New Jersey Court Rule 4:10-2(d) (trial preparation and experts) and New Jersey Court Rule 4:17-4(e) (names and reports of experts or treating physicians), regarding work product privileges between counsel and experts. Note also that New Jersey Court Rule 4:10-2(e) addressing privilege claims and protection of trial preparation materials, states: When a party withholds information otherwise discoverable under these rules by claiming that it is privileged or subject to protection as trial preparation material, the party shall make the claim expressly and shall describe the nature of the documents, communications, or things not produced or disclosed in a manner that, without reviewing information that is self-privileged or protected, will enable other parties to assess the applicability of the privilege or protection. Penalty for Failure to Answer Interrogatories The penalty for the failure to provide responsive answers to interrogatories was demonstrated in Nowacki v. Community Medical Center,56 where plaintiff alleged that she fell while attempting to lift herself onto a treatment table and fractured her humerus and femur. The defendants stated in answers to interrogatories that they may call any person identified in the medical records. The defendants attempted to call certain physicians who had treated plaintiff in the hospital as witnesses at trial. The trial court barred the testimony of these witnesses, holding that the interrogatory 55. Hannan v. St. Joseph’s Hosp. & Med. Ctr., 318 N.J. Super. 22, 30 (App. Div. 1999). 56. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276 (App. Div. 1995). responses, merely listing “all persons named in the medical records” as potential witnesses, was not specific enough to satisfy the defendant’s duty to identify potential witnesses. The trial court supported this decision by noting that the defendant had not listed these physicians as potential witnesses for purposes of informing the jury. The Appellate Division decided that it need not decide whether the trial court abused its discretion in prohibiting the testimony of the witnesses since it concluded that any exercise in discretion was not “clearly capable in producing an unjust result.”57 However, the lesson to be learned is that anything less than complete disclosure in good faith subjects the party to the sanction of the exclusion of evidence. Production of Expert Reports The Uniform Interrogatories require the production of expert reports,58 and the Rules of Court provide for entry of an order requiring production of expert reports by a “day certain.”59 There is a substantial amount of case law resulting in evolving rules regarding the late service of expert reports. The issue is also impacted by revisions to the court rules generally known as “best practices.” Generally, the courts will not deny parties their day in court because of the untimely service of expert reports. In Westphal v. Guarino,60 the trial court excluded two of plaintiff’s three experts because their reports had not been supplied within 20 days of the first trial date, as required by New Jersey Court Rule 4:17-7. The Appellate Division first noted that it is within the sound discretion of a trial judge to exclude an expert witness: The factors which would ‘strongly urge’ the trial judge, in the exercise of his discretion, to suspend the imposition of sanctions, are (1) the absence of a design to mislead, (2) absence of the element of surprise if the evidence is admitted, and (3) absence 57. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276 (App. Div. 1995). 58. See N.J. Ct. R., Appendix II, Interrogatory Forms, Form C(10). 59. N.J. Ct. R. 4:17-4(e). 60. Westphal v. Guarino, 163 N.J. Super. 139 (App. Div. 1978), aff’d, 78 N.J. 308 (1978). of prejudice which would result from the admission of the evidence.61 In reversing the trial court for abusing its discretion, the appellate court took note of the fact that “the discovery process continued long after the passing of the first trial date.”62 The Appellate Division concluded that the fact that the defendants were prepared enough to move to suppress the experts’ testimony indicated that they were not surprised, and the fact that they had retained an expert witness to counter the newly named experts demonstrated that they were not prejudiced. The court therefore concluded: [T]he trial judge abused his discretion in disallowing the testimony of the witnesses without taking into account the aforementioned factors which, if considered, might have lead him to suspend the imposition of the sanction. This error, we are convinced, was of such nature as to have been clearly capable of producing an unjust result.63 A contrary position is found in Dunn v. Praiss,64 where the Appellate Division upheld the refusal of the trial court to allow defense counsel to name an expert oncologist shortly before trial. The Appellate Division noted that defense counsel did not produce the report of this new proposed expert oncologist and that based upon the evidence it appeared that the defendant’s new theory “had no reasonable basis in fact.”65 Similarly, in Gittleman v. Central Jersey Bank and Trust Company,66 plaintiffs amended answers to interrogatories six days before trial to name a new expert witness. The trial court refused to allow the newly named expert to testify. The court denied plaintiff’s motion 61. Westphal v. Guarino, 163 N.J. Super. 139, 146 (App. Div. 1978) (citing Brown v. Mortimer, 100 N.J. Super. 395, 401 (App. Div. 1968)), aff’d, 78 N.J. 308 (1978). 62. Westphal v. Guarino, 163 N.J. Super. 139, 147 (App. Div. 1978), aff’d, 78 N.J. 308 (1978). 63. Westphal v. Guarino, 163 N.J. Super. 139, 148 (App. Div. 1978), aff’d, 78 N.J. 308 (1978). 64. Dunn v. Praiss, 256 N.J. Super. 180 (App. Div. 1992), rev’d on other grounds, 139 N.J. 564 (1995). 65. Dunn v. Praiss, 256 N.J. Super. 180, 193 (App. Div. 1992), rev’d on other grounds, 139 N.J. 564 (1995). 66. Gittleman v. Central Jersey Bank & Trust Co., 103 N.J. Super. 175 (App. Div. 1968). for a mistrial and granted defendant’s motion for an involuntary dismissal at the end of plaintiff’s proofs. In upholding the judgment of the trial court, the Appellate Division found that there was no abuse in discretion in preventing the newly named expert from testifying or in denying the motion for a new trial. The court held that the defendant was not obligated to notify counsel for plaintiff that he objected to the late amendment to the answers to interrogatories, but rather was entitled to rely on the Rules of Court. The Supreme Court discussed the application of what is commonly known as “best practices” to medical malpractice cases in Bender v. Adelson.67 In affirming the trial court’s refusal to allow defendants to serve late expert reports, the Supreme Court applied an abuse of discretion standard and required that the late discovery be allowed only upon a showing of “due diligence,” pursuant to New Jersey Court Rule 4:17-7, or “exceptional circumstances,” pursuant to New Jersey Court Rule 4:24-1(c). The Court further held that a precise explanation that details the cause of the delay and what actions were taken during the elapsed time is a necessary part of proving due diligence as required by Rule 4:14-7 for untimely amendments to interrogatory answers and exceptional circumstances as required by Rule 4:24-1(c).68 The Court emphasized that “best practices” has a two-prong approach, with some liberality before the trial date is set, but hardening significantly after a trial date is set. The Court also explicitly precluded the adverse party from commenting to the jury about the other side’s inability to obtain an expert if that expert was procedurally barred on a timeliness of discovery basis. In affirming an order granting a new trial based partially on plaintiff’s counsel’s comments during summation in which he questioned why defendant did produce expert testimony, the Supreme Court held the summation was misleading and 67. Bender v. Adelson, 187 N.J. 411 (2006). 68. Bender v. Adelson, 187 N.J. 411 (2006). improper because plaintiff had successfully moved to preclude such testimony.69 See also Tucci v. Tropicana Casino,70 regarding “best practices,” holding that the “best practices” rules were ‘designed to improve the efficiency and expedition of the civil litigation process and to restore statewide uniformity in implementing and enforcing discovery and trial practices.’ … They were not designed to do away with substantial justice on the merits or to preclude rule relaxation when necessary to ‘secure a just determination.’ R. 1:1-2. While we agree that the best practices rules were intended to counteract an unfortunate and increasingly dilatory, casual and desultory approach by some members of the bar to their litigation responsibilities, the fulfillment of that function does not mandate dismissal of this action with prejudice.71 See also generally New Jersey Court Rule 4:10-2(d) and New Jersey Court Rule 4:17-4(e) regarding trial preparation and experts’ and treating physicians’ names and reports. A discussion of the requirements of the expert report can be found in Chapter 7, §§ 7-2 and 7-2:2 of this text. However, one should be aware of the comments of the Appellate Division in Congiusti v. Ingersoll-Rand Co.,72 where the court held: Plaintiffs raise three points on this appeal. They first contend that the testimony of defendant’s experts went far beyond the experts’ reports supplied to plaintiffs prior to trial. Thus, they conclude, the trial court erred in ‘permitting defendant’s experts to testify and to offer opinions never disclosed during discovery.’ This claim is only partially accurate because the broad subject 69. Bender v. Adelson, 187 N.J. 411, 416 (2006). 70. Tucci v. Tropicana Casino, 364 N.J. Super. 48 (App. Div. 2003). 71. Tucci v. Tropicana Casino, 364 N.J. Super. 48, 52 (App. Div. 2003); see also Zadigan v. Cole, 369 N.J. Super. 123, 134 (Law Div. 2004) (discussing “best practices,” and refusing to permit a party to serve an expert report out of time, relying upon Tucci); see also Ponden v. Ponden, 374 N.J. Super. 1 (App. Div. 2004) (regarding “best practices”). 72. Congiusti v. Ingersoll-Rand Co., 306 N.J. Super. 126 (App. Div. 1997). areas were covered. While the experts had not fully disclosed their theories in their reports, had they been deposed by plaintiffs, their depositions might have fully revealed the bases for their eventual testimony. … While a trial judge may in his or her discretion preclude expert testimony on a subject not covered in the written reports furnished by an adversary, in Ratner v. General Motors Corp., 241 N.J. Super. 197, 202, 574 A.2d 541 (App.Div.1990), we strongly urged the trial judge in the exercise of his discretion to ‘suspend the imposition of [the] sanction [of exclusion]’ when certain factors were present. These were ‘(1) the absence of a design to mislead, (2) absence of the element of surprise if the evidence is admitted, and (3) absence of prejudice which would result from the admission of the evidence.’ … In this case, we have read the testimony of defendant’s experts, and we have examined their reports. It does not appear that plaintiff’s attorneys should have been surprised, except as they had failed to depose the experts, and thus were unaware of the details of the experts’ opinions. .… The deviation from these reports at trial was sufficiently minimal that we see a lack of prejudice to plaintiffs, especially as plaintiffs chose not to depose the witnesses to flesh out any questions they may have had concerning the bases for or the scope of the opinions expressed in the reports. We see no design to mislead, no significant surprise to plaintiffs, and therefore no prejudice as a result of this testimony. The testimony is logically related to the information contained in the reports.73 73. Congiusti v. Ingersoll-Rand Co., 306 N.J. Super. 126, 131-33 (App. Div. 1997). Obviously, however, where an expert becomes unavailable, the court should provide a reasonable amount of time for the party to replace the expert. In Nadel v. Bergamo,74 plaintiff’s expert died in January 1977, and the defendant immediately moved to compel production of new expert reports. The court entered an Order compelling plaintiff to supply any additional expert reports by February 15, 1977, and when that date passed, defendant immediately moved and obtained summary judgment. The Appellate Division reversed, holding that it was an abuse of discretion to provide the plaintiff with only 18 days to replace the deceased expert. The court noted: “In our view, the trial judge should not grant the summary judgment ‘simply’ because Orders have to mean something, or they mean nothing.”75 USE OF ADVERSARY’S EXPERT Use of an Adversary ’s Expert Generally Prohibited An attorney is generally prohibited from contacting an expert first consulted by another party to the litigation. In Graham v. Gielchinsky,76 plaintiff’s first attorney consulted an expert, Dr. Primich, who concluded that the defendant was not negligent. The plaintiff’s second attorney consulted a second expert who concluded that the defendant was negligent. However, as the Court noted, “in some undisclosed manner, the defense obtained Dr. Primich’s report.”77 Approximately one week before trial, defense counsel advised plaintiff that he intended to call Dr. Primich as an expert, and the trial court permitted Dr. Primich to testify as an expert for the defendant.78 The Supreme Court confronted the issue of whether a party can use an expert first consulted by another party. The Court initially observed that due to the “work product rule” and attorney-client privilege, a party was not entitled to consult with or discover the facts known or opinions held by an 74. Nadel v. Bergamo, 160 N.J. Super. 213 (App. Div. 1978). 75. Nadel v. Bergamo, 160 N.J. Super. 213 (App. Div. 1978). 76. Graham v. Gielchinsky, 126 N.J. 361 (1991). 77. Graham v. Gielchinsky, 126 N.J. 361, 364 (1991). 78. Graham v. Gielchinsky, 126 N.J. 361, 364 (1991). expert initially consulted by one’s adversary.79 The Court traced the evolution of the rules of court which initially did not permit the discovery of the opinions of an adversary’s expert, but were amended to allow discovery of the opinions of experts “who are intended to be called as witnesses at trial.”80 The Court noted that the Rules of Court still do not even allow discovery of the identity of experts who are not anticipated to testify at trial, except in cases of “exceptional circumstances,” citing New Jersey Court Rule 4:102(d)(3). The Court recognized the conflict between the search for truth and what it called the “unavoidable element of unfairness” resulting from permitting an adversary to call an expert first retained by another party. Furthermore, the Court explained: An air of unreality pervaded the trial. Obviously, the witness had a underlying motivation for testifying. Was there a continuing relationship with either the defendant or some member of the defense team? That factor would remain unexplored if a lawyer could not effectively cross-examine the expert without, at the same time, disclosing the client’s initial relationship. One may say that it hinders the search for truth not to permit such a witness to testify. One may say, with equal persuasiveness, that it hinders the search for truth to limit the effective cross-examination of such a witness. It is not a matter of letting lawyers shop for a hired gun. It is simply a matter of placing the lawyer who sought the opinion of such an expert in an impossible situation. Countless claims of malpractice would be leveled against attorneys who put unfavorable expert evidence in as part of their clients’ case-inchief. Certainly there are experts who are wrong, and no unfair advantage should be taken of a lawyer’s attempt to evaluate a client’s case.81 79. Graham v. Gielchinsky, 126 N.J. 361, 365-66 (1991). 80. Graham v. Gielchinsky, 126 N.J. 361, 367 (1991). 81. Graham v. Gielchinsky, 126 N.J. 361, 372-73 (1991). The Court therefore concluded: [T]ruth has a better chance to emerge if the use of an adversary’s expert is the exception, not the rule. Hence, we hold that in the absence of exceptional circumstances, as defined under R. 4:10-2(d)(3), Courts should not allow the opinion testimony of an expert originally consulted by an adversary.82 However, in Fitzgerald v. Stanley Roberts, Inc.,83 a Law against Discrimination (LAD) case, the Supreme Court held that an expert named by one party can be called as a witness by other parties to the litigation if the expert is willing to so testify. Indeed, no party to litigation has ‘anything resembling a proprietary right’ to any witness’ evidence. … Absent a privilege no party is entitled to restrict an opponent’s access to a witness, however partial or important to him, by insisting upon some notion of allegiance. … Even an expert whose knowledge has been purchased cannot be silenced by the party who is paying him on that ground alone. Unless impeded by privilege an adversary may inquire, in advance of trial, by any lawful manner to learn what any witness knows if other appropriate conditions the witness alone may impose are satisfied, e.g., compensation for his time and expertise or payment of reasonable expenses involved. . . . By declaring that an expert witness will be produced at trial and providing the expert’s identity and opinion to another party, as required by Rule 4:10-2(d)(1), the original proponent has waived his claim that the information is privileged. Thus, we hold that access to the testifying witness is allowed and the adversary may produce a willing expert at trial. To the extent that Deffer v. Shop-Rite Supermkts, 332 N.J. Super. 540 (App. Div. 2000), suggests otherwise, it is disapproved.84 82. Graham v. Gielchinsky, 126 N.J. 361, 373 (1991). 83. Fitzgerald v. Stanley Roberts, Inc., 186 N.J. 286 (2006). 84. Fitzgerald v. Stanley Roberts, Inc., 186 N.J. 286, 301-02 (2006). The Court acknowledged but did not discuss the conflict with New Jersey Court Rule 4:10-2(d)(1), which states: All other communications between counsel and the expert constituting the collaborative process in preparation of the report, including all preliminary or draft reports produced during this process, shall be deemed trial preparation materials discoverable only as provided in paragraph (c) of this rule. Nevertheless, the long-established law that an expert cannot be compelled to testify has not been changed.85 A rare case where use of the adversary’s expert was permitted is Moore v. Kantha.86 In Moore, the plaintiff was examined by the defendant, who diagnosed post-herpetic neuralgia. The defendant gave plaintiff a prescription for a solution of acetylsalicylic acid (ASA). Plaintiff applied the solution and sustained a third-degree burn. The defendant took a pretrial de bene esse deposition of the defendant’s expert, Dr. King. After the deposition, the defendant withdrew this expert as a witness. However, plaintiff moved to utilize portions of the withdrawn expert’s deposition, and the trial court granted that motion. The defendant argued it was error to allow plaintiff to read portions of the defendant’s expert’s videotaped deposition into evidence. The Appellate Division concluded that this case presented an exception to Graham, and thus it was proper to use the defendant’s expert’s de bene esse deposition.87 The Appellate Division based its holding on the fact that the expert was the only doctor who had ever studied or written about this treatment. The Appellate Division explained: It is undisputed that King was the leading proponent of the use of ASA or aspirin in chloroform to treat postherapeutic neuralgia. It is also undisputed that King’s 1988 clinical note was the only medical reference in existence regarding the treatment. … …. … this case presents the unusual circumstance where defendant’s expert was not only the leading 85. See, e.g., Stanton v. Rushmore, 112 N.J.L. 115 (E. & A. 1934); see also James v. City of E. Orange, 246 N.J. Super. 554 (App. Div. 1991). 86. Moore v. Kantha, 312 N.J. Super. 365 (App. Div. 1998). 87. Moore v. Kantha, 312 N.J. Super. 365, 367 (App. Div. 1998). proponent of a rare treatment, but also the only physician to study the effects, and other than defendant, the only physician according to this record to have actually used the treatment. … Thus, King was not one of the ‘cottage industry’ experts referred to in Graham, supra.88 The court concluded that these facts distinguished Graham, and Genovese v. New Jersey Transit Rail Operations, Inc.,89 holding that the use of an adversary’s expert or the deposition of an adversary’s expert should not be permitted over that party’s objection.90 The Moore court approved of the procedure whereby the transcript of the expert’s testimony was read to the jury without being told who had originally retained the expert or which attorney had asked any particular question during the deposition. See also Rocco v. N.J. Transit Rail Operations, Inc.,91 where the court held that an expert may not be compelled to provide expert testimony but may be compelled to provide fact testimony.92 The court also held that a trial court should not permit one party to use another party’s videotaped deposition of an expert witness, citing Genovese. The court also noted that a party should not be allowed to use the opinion testimony of an expert originally retained by an adversary, citing Graham. In Corcoran v. Sears Roebuck & Co.,93 the court held that a party was not entitled either to read the report of an expert retained by an adversary but not called as a witness at trial, or utilize that report in cross-examination of the expert that the adversary did call at trial.94 88. Moore v. Kantha, 312 N.J. Super. 365, 377 (App. Div. 1998). 89. Genovese v. N.J. Transit Rail Operations, Inc., 234 N.J. Super. 375 (App. Div. 1989). 90. See also § 9-12 regarding depositions of experts. 91. Rocco v. N.J. Transit Rail Operations, Inc., 330 N.J. Super. 320 (App. Div. 2000). 92. Rocco v. N.J. Transit Rail Operations, Inc., 330 N.J. Super. 320, 342-43 (App. Div. 2000) (citing Stanton v. Rushmore, 112 N.J.L. 115 (E. & A. 1934) and Braverman v. Braverman, 21 N.J. Super. 367 (Ch. Div. 1952)). 93. Corcoran v. Sears Roebuck & Co., 312 N.J. Super. 117 (App. Div. 1998). 94. Corcoran v. Sears Roebuck & Co., 312 N.J. Super. 117 (App. Div. 1998) (citing Skibinski v. Smith, 206 N.J. Super. 349, 353 (App. Div. 1985) and Mehalik v. Schwartz, 223 N.J. Super. 259, 262 (Law Div. 1987)); see also Sallo v. Sabatino, 146 N.J. Super. 416 (App. Div. 1976) (holding that an expert report attached to answers to interrogatories is an adoptive admission). See also In re Pelvic Mesh/Gynecare Litigation,95 in which the court permitted the use of treating physicians in a class action.96 DEPOSITIONS Depositions of Parties Raising Objections During Depositions Depositions are often the most valuable method of obtaining discovery in medical malpractice cases. The Rules of Court regarding depositions were amended, effective September 1, 1996, in order to stop certain “deposition abuses resulting in an unnecessarily protracted deposition process and harassment of witnesses.”97 Several provisions of New Jersey Court Rule 4:14-3 are very significant. New Jersey Court Rule 4:14-3(c) states that: No objection shall be made during the taking of a deposition except those addressed to the form of a question or to assert a privilege, a right to confidentiality or a limitation pursuant to a previously entered court order.98 Furthermore, [a]n objection to the form of a question shall include a statement by the objector as to why the form is objectionable so as to allow the interrogator to amend the question.99 Significantly, testimonial and prompting objections are prohibited. “No objection shall be expressed in language that suggests an answer to the deponent.”100 Furthermore, an attorney may not interrupt the deposition for a consultation with the witness. 95. In re Pelvic Mesh/Gynecare Litig., 426 N.J. Super. 167 (App. Div. 2012). 96. See also Carchidi v. Iavicoli, 412 N.J. Super. 374 (App. Div. 2010). 97. Sylvia B. Pressler and Peter G. Verniero, 2012 N.J. Court Rules— Annotated, cmt. to N. J. Ct. R. 4:14-3(c) at 1518 (Gann 2012). 98. Sylvia B. Pressler and Peter G. Verniero, 2012 N.J. Court Rules— Annotated at 1513 (Gann 2012). 99. N.J. Ct. R. 4:14-3(c). 100. N.J. Ct. R. 4:14-3(c). Once the deponent has been sworn, there shall be no communication between the deponent and counsel during the course of the deposition while testimony is being taken except with regard to the assertion of a claim of privilege, a right to confidentiality or a limitation pursuant to a previously entered court order.101 Finally, New Jersey Court Rule 4:14-3 makes clear that an attorney may no longer direct a witness not to answer a question except in strictly defined circumstances. The rule provides in relevant part: Subject to R. 4:14-4, an attorney shall not instruct a witness not to answer a question unless the basis of the objection is privilege, a right to confidentiality or a limitation pursuant to a previously entered court order.102 Scope of Deposition Questions There is not much dispute over what information can be elicited from a plaintiff during depositions, and thus not much discussion of this issue in the malpractice case law. However, several cases discuss the proper scope of the deposition of a defendant in a medical malpractice case. The early cases strictly limited the scope of discovery available from a defendant physician. In Hull v. Plume,103 the Court limited the interrogation of the defendant to issues of “pure fact, i.e., what the physician actually saw and did.”104 As will be seen, Hull is no longer the law. A review of the cases analyzing the scope of discovery presently available from a physician during a deposition begins with Rogotzki v. Schept,105 decided in the same year, but by a different appellate panel than Myers, the seminal case regarding the scope of interrogatories in medical malpractice cases. In Rogotzki, the plaintiffs alleged 101. N.J. Ct. R. 4:14-3(f). 102. N.J. Ct. R. 4:14-3(c). 103. Hull v. Plume, 131 N.J.L. 511 (E. & A. 1944). 104. Hull v. Plume, 131 N.J.L. 511, 516 (E. & A. 1944). 105. Rogotzki v. Schept, 91 N.J. Super. 135 (App. Div. 1966). that the physicians were negligent in the treatment of their child’s appendicitis. The defendants refused to answer a number of deposition questions, objecting that the questions required the defendants to render expert opinions. The court disagreed, holding that there should be a “full explanation” of defendants’ findings, diagnoses, actions and “opinions as to the proper course of treatment” for plaintiff’s child.106 The court therefore ordered one defendant to answer all questions regarding the facts he took into consideration, his observations, the objectives of treatment, and the opinions or conclusions formed at the time of treatment. These questions included: 2. ‘Q. There were no other physicians in attendance, were there? . . . Q. They would have been the only ones that could properly remove a specimen. Isn’t that correct?’ .… 6. ‘Q. Did you observe any pus coming out of the pelvis prior to the operation?’ …. 8. ‘Q. Well, what additional facts were taken into account in reaching that conclusion [the existence of a fistula of the small bowels]?’ 14/15. ‘Q. What was the purpose of these X-rays (taken before the second operation)?’ .… 18. ‘Q. What were your surgical objectives in removing four inches of the ileum?’ .… 31. ‘Q. Do you recall during the appendectomy operation *** on May 25, 1953, if there was any surgical incident that might possibly or probably, rather, be medically related to the 106. Rogotzki v. Schept, 91 N.J. Super. 135, 154 (App. Div. 1966). peritonitis and the intestinal obstruction that you subsequently diagnosed?’ 32 & 33. ‘ Q. During the appendectomy operation of May 25, 1953, did you observe any inadvertent cutting [or tearing, No. 33] of tissue?’ 34. ‘Q. During the appendectomy operation of May 25, 1953, did you observe any hemorrhaging from poorly tied blood vessels?’ 35. ‘Q. During the treatment *** in the North Hudson Hospital, to your knowledge, was there any diagnostic error by you or by any other person?’ 36. ‘Q. Did you agree with the diagnosis arrived at by Dr. Schept after the appendectomy?’107 In so holding, the court laid bare all of the opinions or conclusions formed by the defendants at the time of treatment. The court reasoned: Only questions 2, 7, 8, 14 and 15, 18, 34 and 35 are even debatable, but it should be remembered that discovery is to be liberally applied. It is only proper that defendants be required to come forward with a full explanation of their actions. No. 2 asks for a conclusion, but it is a conclusion that on its face appears to be one that any qualified doctor can answer. It relates to his knowledge of what was actually happening or not happening. … No. 8 asks how a diagnosis was arrived at. However, it does not ask for any mental process; rather, it asks for the facts used in arriving at the diagnosis. It thus calls for no more than a recital of observed facts, and is proper. Nos. 14 and 15 ask why something was done, and were proper under Russo v. Merck & Co., 21 F. R. D. 237 (D.R.I. 1957) and the other cited cases. No. 18 is similar. Essentially, these three questions seek out the facts. No. 34 107. Rogotzki v. Schept, 91 N.J. Super. 135, 154-55 (App. Div. 1966). would appear to call for a conclusion, but it is one which a qualified surgeon could make by mere observation. Of course, it takes an expert to know if blood vessels are ‘poorly tied,’ but the expert (here a defendant) cannot hide behind his expert knowledge when he actually observes something. No. 35 is similar.108 The court ordered the second defendant to answer all questions regarding his observations, the reasons for his actions and his knowledge of medicine. These questions included: 1. ‘Q. Well, *** aren’t some of these findings which you have testified to also diagnostically significant of other diseases other than appendicitis?’ .… 9. ‘Q. Would any of those three findings alone have justified your conclusion of the existence of an infection or all three, if necessary?’ .… 13. ‘Q. *** Would you explain what you mean by negative [urine test]?’ 14. ‘Q. By negative do you mean that there was no indication of an infection in the urinalysis?’ 15. ‘Q. And what did that mean to you, the rise in white blood count [a result of blood test]?’ .… 31. ‘Q. An indicated finding, Dr. Schept, of acute ileus is not the same as a diagnosis of peritonitis and intestinal obstruction, is it?’ 32 & 33. ‘Q. What is an acute ileus?’ 35. ‘Q. What were some of those other diseases that had overlapping symptoms [with acute appendicitis]?’109 108. Rogotzki v. Schept, 91 N.J. Super. 135, 156 (App. Div. 1966). 109. Rogotzki v. Schept, 91 N.J. Super. 135, 157 (App. Div. 1966). The court held that these questions were proper, stating: With the exception of questions 1, 9, 13 to 15, 31 to 33, and 35, the questions relate to what was done and why it was done, and are proper under Russo, above. Nos. 13 to 15, 32 and 33 ask for an explanation of terms used by Dr. Schept. Surely it was proper to ask him to explain so that a lay mind could readily understand. Nos. 1, 9, 31 and 35 are questions which normally would be asked on crossexamination. However, McDermott v. Manhattan Eye, Ear & Throat Hospital, [15 N.Y.2d 20, 255 N.Y.S.2d 65, 203 N.E.2d 469 (Ct. App. 1964)] above, considered in light of the much broader reach of pretrial discovery, would clearly allow them, and the difficulty of proving malpractice would seem to require that they be answered.110 See also Rabinowitz v. Wahrenberger,111 in which the Appellate Division held: Counsel must be free at a deposition to explore and probe the claims that have been asserted against his or her client. To expose the attorney to the risk of litigation on the basis of such questioning would subvert the underlying policy of the litigation privilege and would be antithetical to the views repeatedly expressed by our Supreme Court.112 Therefore, it would appear that any inquiry which may lead to the discovery of relevant information is discoverable during a deposition. Deposition Questions Concerning Opinions It is now settled that a party may not refuse to answer deposition questions which call for opinion testimony. In Hutchinson v. Atlantic City Medical Center-Mainland,113 one defendant ordered certain tests after the birth of plaintiff’s child, including a complete blood 110. Rogotzki v. Schept, 91 N.J. Super. 135, 158 (App. Div. 1966). 111. Rabinowitz v. Wahrenberger, 406 N.J. Super. 126 (App. Div. 2009). 112. Rabinowitz v. Wahrenberger, 406 N.J. Super. 126 (App. Div. 2009). 113. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468 (App. Div. 1998). count (CBC). The infant was discharged from the hospital by another pediatrician who did not have the results of the CBC. The plaintiff was diagnosed with meningitis five days after his birth, and was left with permanent disabilities, including total bilateral deafness. On appeal, the defendant contended that the trial court erroneously allowed plaintiff to use his deposition to establish the standard of care. Plaintiff read the deposition testimony of this defendant including questions such as the following: ‘Q. … Am I correct that in accordance with the standard practice at the hospital a C.B.C. was ordered for Matthew Hutchinson as it was for every newborn at that time? A. That is correct. Q. And what is the purpose of the white blood cell count in the analysis of the subsets with differential? What’s the purpose if a pediatrician orders that test? A. To assess the level of white blood cells. Q. What’s the purpose of assessing the white blood cells? A. To look for possible signs of infection. Q. Did you consider these particular orders, the ten orders that appear here, to be the standard of care in standing orders for newborns as of August of 1991? A. Yes. Q. In August of 1991, Dr. Dearden, did the standard of care for pediatrics in discharging a newborn infant from the hospital require that the discharging physician ascertain the laboratory values of all studies that had been conducted on the infant during his stay in the hospital? A. It would require proper follow up on that. Q. I think my question was, did the standard of care require that the discharging physician obtain the results of all studies that had been conducted on the child during his admission? A. I can answer the question. Yes, it behooves the Doctor to follow up on the lab values.’114 In affirming the trial court’s decision to allow plaintiff to utilize this testimony, the Appellate Division explained that Hull “no longer represents the law of this State.”115 The court relied on Rogotzki v. Schept,116 for its holding that a plaintiff may question a defendant physician regarding “expert opinions relevant to the diagnosis and treatment of the plaintiff.”117 The Hutchinson court noted that Rogotzki involved a deposition as opposed to the trial testimony barred in Hull. However, the Hutchinson court observed that in Rogotzki the Appellate Division had stated: Were we called upon to pass on the question considered in Hull, and were the Hull opinion that of a court other than our former Court of Errors and Appeals, we would deem its result somewhat less than an enlightened one. In our view, it runs counter to the trend of liberal decisions where the aim is to reach at the truth of the matter, rather than indulge in the niceties which have so often characterized evidence law in the past.118 The Hutchinson court also cited Lanzet v. Greenberg,119 for the Supreme Court’s approval of Rogotzki’s conclusion that “proof of deviation elicited from the defendants themselves, because they are competent professionals, could be relied on by the jury.” 120 The Hutchinson court explained: By referring to ‘[p]roof of deviation elicited from the defendants . . . because they are competent 114. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 475-76 (App. Div. 1998). 115. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 477 (App. Div. 1998). 116. Rogotzki v. Schept, 91 N.J. Super. 135 (App. Div. 1966). 117. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 477 (App. Div. 1998). 118. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 477 (App. Div. 1998) (citing Rogotzki v. Schept, 91 N.J. Super. 135, 147-48 (App. Div. 1966)). 119. Lanzet v. Greenberg, 126 N.J. 168, 191 (1991). 120. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 478 (App. Div. 1998) (citing Lanzet v. Greenberg, 126 N.J. 168, 191 (1991) and Rogotzki v. Schept, 91 N.J. Super. 135, 148-49 (App. Div. 1966)). professionals’ and citing Rogotzki, the [Lanzet] Court must have had in mind the expert opinions of the defendant doctor relating to the alleged malpractice.121 The Hutchinson court also noted that in Stigliano v. Connaught Laboratories, Inc.,122 the New Jersey Supreme Court “adopted an expansive view of the scope of questions which may be asked of any treating physician, including a non-party.” 123 The Hutchinson court adopted Stigliano’s conclusion that “the characterization of the treating doctor’s testimony as ‘fact’ or ‘opinion’ creates an artificial distinction.” 124 The Hutchinson court concluded that a defendant’s testimony should not be considered expert opinion but [r]ather, it was testimony explaining what he did, and why, when treating the infant plaintiff. His further testimony that the hospital’s standing orders constitute the applicable standard of care did not add materially to his prior testimony regarding his examination of Matthew.125 The Appellate Division observed that pursuant to New Jersey Rules of Evidence 402, all relevant evidence is admissible, and since the testimony of the defendant was relevant it was also admissible. The court added: Furthermore, Hull’s prohibition against asking a defendant doctor in a malpractice action for an expert opinion relevant to the plaintiff’s claim cannot be reconciled with the rules of evidence adopted by our present Supreme Court. N.J.R.Evid. 402 provides that ‘[e]xcept as otherwise provided in these rules or by law, all relevant evidence is admissible.’ Because the opinion of a defendant 121. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 478 (App. Div. 1998). 122. Stigliano v. Connaught Labs., Inc., 140 N.J. 305 (1995). 123. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 479 (App. Div. 1998). 124. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 479 (App. Div. 1998) (citing Stigliano v. Connaught Labs., Inc., 140 N.J. 305, 314 (1995)). 125. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 479 (App. Div. 1998). doctor in a malpractice action concerning the standard of care which governed plaintiff’s care is clearly relevant, that opinion is admissible unless made inadmissible by law. . . . Therefore, we perceive no basis under N.J.R.Evid. 402 for the exclusion of a defendant doctor’s trial or deposition testimony relating to the applicable standard of care.126 The court concluded: In sum, we conclude that the authority of Hull has been so thoroughly undermined by Lanzet, Stigliano and the current evidence rules that it no longer represents the controlling law in this State. Therefore, the trial court properly allowed plaintiffs to use Dr. Dearden’s deposition testimony as evidence of the applicable standard of care.127 Deposition Testimony Supporting Learned Treatises In an opinion important in informed consent cases, the Appellate Division expanded the scope of discovery obtainable from a defendant in a malpractice case in Adamski v. Moss.128 In Adamski, the court noted that learned treatises became conditionally admissible as substantive evidence as a result of the Court’s decision in Jacober v. St. Peter’s Medical Center.129 The Court noted that a prerequisite for use of learned treatises is that the “particular treatise must be established as a reliable authority by testimony or by judicial notice.”130 The Adamski court concluded that a plaintiff could compel a defendant doctor in a deposition to provide the opinion which is the foundational prerequisite to use of the learned treatise.131 Adamski is particularly significant in informed consent cases, because as the Adamski court noted while 126. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 479-80 (App. Div. 1998). 127. Hutchinson v. Atl. City Med. Ctr.-Mainland, 314 N.J. Super. 468, 481 (App. Div. 1998). 128. Adamski v. Moss, 271 N.J. Super. 513 (App. Div. 1994). 129. Jacober v. St. Peter’s Med. Ctr., 128 N.J. 475 (1992). 130. Adamski v. Moss, 271 N.J. Super. 513, 520 (App. Div. 1994). 131. Adamski v. Moss, 271 N.J. Super. 513, 520 (App. Div. 1994). no medical expert is required to prove that an undisclosed risk would have been material to the patient’s consent, it must first be shown that the risk … was recognized within the medical community.132 Adamski permits the plaintiff to compel the defendant to establish the reliability of a publication which demonstrates knowledge in the medical community of the risk which occurred. Thus when a defendant concedes that the risk is recognized by a reliable publication, the need for an expert may be eliminated in many informed consent cases. The safe practice will be to file a pretrial motion for partial summary judgment regarding the knowledge in the medical community of the particular risk involved in the case.133 Depositions of Experts There are almost no limits on what can be asked of an expert during a deposition. The vast scope of the deposition of an expert was set forth in Gewecke v. Wolarsky,134 where plaintiff’s expert alleged that a defendant was negligent in failing to obtain adequate information from another doctor prior to performing surgery. During the deposition of plaintiff’s expert, the following hypothetical question was posed: Now, I am asking you in this case to assume that Dr. Schwartz was aware of the status of this man’s cardio-pulmonary and abdominal injuries, if any, from Dr. Wolarsky in the emergency room. Wouldn’t it be appropriate, and given that information, for him to concentrate on the man’s ENT complaints?135 Plaintiff’s counsel objected, arguing that the hypothetical question was based on facts contradicted by the record, and directed plaintiff’s expert not to answer the question. In resolving the dispute the court first acknowledged the distinction between inquiries made at trial from information sought at a deposition. 132. Adamski v. Moss, 271 N.J. Super. 513, 519 (App. Div. 1994) (citing Febus v. Barot, 260 N.J. Super. 322, 327 (App. Div. 1992)). 133. See discussion Chapter 4, §§ 7-12 and 7-14. 134. Gewecke v. Wolarsky, 186 N.J. Super. 166 (Law Div. 1982). 135. Gewecke v. Wolarsky, 186 N.J. Super. 166, 168 (Law Div. 1982). At trial, opinion testimony must be based on “facts or data received by or made known to him at or before the hearing,” while for discovery purposes, the information sought need only appear “reasonably calculated to lead to the discovery of admissible evidence.”136 The court distinguished Rogotzki v. Schept,137 because although that case prohibited the asking of hypothetical questions of a defendant, “an expert witness can be asked purely hypothetical questions.”138 Nevertheless, the court concluded that it would be improper to require the expert to respond to a hypothetical question not based on the evidence, explaining: It is entirely clear that some hypothetical questions are beyond the pale. For example, suppose the question here had been: ‘Doctor, if your patient had been a horse and not a man, would your opinion be different?’ No one would contend this question was permissible. The information sought would not be ‘reasonably calculated to lead to the discovery of admissible evidence.’ Or take the question proposed to Dr. Ciell paraphrased for convenience: ‘Doctor, if Dr. Schwartz had known facts which he did not know, namely, the status of decedent’s cardio-pulmonary and abdominal injuries, would your opinion be different?’ Can it be said that the answer (‘the information sought’) is ‘reasonably calculated to lead to the discovery of admissible evidence?’ I conclude that it is not, that an expert’s opinion based on unknown facts is not likely, except in an unacceptably tenuous way, to lead to the discovery of any admissible evidence. Furthermore, it offers the opportunity for endless hypothetical questions: it would permit exploration of a witness’s opinion without 136. Gewecke v. Wolarsky, 186 N.J. Super. 166, 169 (Law Div. 1982) (citing New Jersey Court Rule 4:10-2(a)). 137. Rogotzki v. Schept, 91 N.J. Super. 135, 152 (App. Div. 1966). 138. Gewecke v. Wolarsky, 186 N.J. Super. 166, 170 (Law Div. 1982). limitation and without profit. This would constitute oppression.139 The Gewecke court therefore held that the facts contained in a hypothetical question put to an expert witness must be in the record or known by counsel to be available. On request, counsel conducting the examination must represent that the facts do exist and must identify their source.140 However, the court acknowledged that in certain cases the deposition may take place before “counsel knows with any reasonable degree of certainty whether the fact in question is available.”141 In such cases, it is unfair to apply the basic rule and limit discovery, thereby excluding access to information or duplicating and extending discovery procedures. It is enough, in these situations, to represent that in counsel’s presently held, honest belief, the fact is likely to be available, that due diligence will be exercised to make it available, and, if discovered, that opposing counsel will be so advised and will be supplied with an identification of source. In making this representation, counsel must state the reason that the limited representation is required to be made, e.g., that an absent witness, familiar with the circumstances surrounding the fact in question, is yet to be interrogated, or that an expert witness has not completed her analysis and report.142 Nevertheless, directions to an expert not to answer a question posed at a deposition should be used sparingly, if at all, given the 1996 amendments to the rules regarding depositions. The penalty for directing an expert not to answer a question may 139. Gewecke v. Wolarsky, 186 N.J. Super. 166, 171-72 (Law Div. 1982). 140. Gewecke v. Wolarsky, 186 N.J. Super. 166, 172 (Law Div. 1982). 141. Gewecke v. Wolarsky, 186 N.J. Super. 166, 172 (Law Div. 1982). 142. Gewecke v. Wolarsky, 186 N.J. Super. 166, 172-73 (Law Div. 1982). be severe. For example, in Nguyen v. Tama,143 plaintiff alleged that the defendant, an obstetrician, improperly managed her labor and delivery and specifically failed to treat preeclampsia. After the jury rendered a substantial verdict for the plaintiff, the defendant appealed, arguing that the plaintiff should not have been able to comment on the defendant’s failure to produce expert testimony regarding defendant’s conduct in the recovery room. However, the court noted that defendant’s expert had been instructed by defendant’s attorney at depositions not to answer questions regarding the recovery room conduct. The court therefore decided: Having been so instructed, plaintiff at trial demanded that the witness not be permitted to testify in this subject. Since defendant had produced no other witness on this subject, he had no testimony to rebut plaintiff’s claims concerning what the recovery room conduct should have been. Plaintiff’s comment on summation that the defense expert had not testified in this area was proper. Defendant cannot complain about a problem he created.144 However, experts may not be compelled to disclose the work product of the attorney that has retained the expert, unless the expert’s opinion is based on the information received from the attorney. In Coyle v. Estate of Simon,145 plaintiffs submitted a statement to their attorney, and the attorney gave copies of the statement to plaintiff’s experts. The experts admitted they read the statements but stated they could not recall whether they relied on any portion of the statements in forming their opinions. The defendants filed a motion to compel disclosure of the statements and the trial court ruled that the attorney-client privilege was waived by disclosure of the statements to the experts. The Appellate Division reversed, noting that communications between a lawyer and a client are privileged and that the privilege is not lost by 143. Nguyen v. Tama, 298 N.J. Super. 41 (App. Div. 1997). 144. Nguyen v. Tama, 298 N.J. Super. 41, 53 (App. Div. 1997). 145. Coyle v. Estate of Simon, 247 N.J. Super. 277 (App. Div. 1991). sharing the statement with an expert.146 However, the court noted that even a document protected by the attorney-client privilege becomes discoverable when utilized by an expert witness to form the expert opinion.147 The court advised: Care must be taken, however, to maintain the protection of the privilege with respect to attorneyclient communications that the client’s expert will not use at trial and which therefore remain confidential. We suspect that at most only portions of plaintiffs’ statements to their attorney were used by the expert witnesses to arrive at the opinions they are expected to give at trial. Only those portions are free of the attorney-client privilege. The trial judge therefore erred in ordering that the entire contents of the statements be disclosed without first examining them in camera.148 Finally, the court noted that since the experts testified that they could not recall what portions of the statements they relied on in forming their opinions: Instead of trying to discern what portions of the statements the experts chose to rely upon, the waiver must encompass those portions that are relevant to an evaluation of their opinions. A party’s statements given to his or her expert witness are not shielded by the attorney-client privilege if they could reasonably aid a fact finder in evaluating the opinions the expert is expected to give at trial. Upon request of the other party, the trial judge shall determine by an in camera review of the statements which portions are relevant in that respect and must therefore be disclosed in discovery.149 146. Coyle v. Estate of Simon, 247 N.J. Super. 277, 281-82 (App. Div. 1991). 147. Coyle v. Estate of Simon, 247 N.J. Super. 277, 282 (App. Div. 1991) (citing N.J. Ct. R. 4:10-2(d)(1)). 148. Coyle v. Estate of Simon, 247 N.J. Super. 277, 283 (App. Div. 1991). 149. Coyle v. Estate of Simon, 247 N.J. Super. 277, 284 (App. Div. 1991). See also Bendar v. Rosen,150 where plaintiff’s attorney questioned the defendant about his affiliation with Princeton Insurance Company. The Appellate Division concluded: It does not appear to us that a mention of insurance, and here not even the defendant’s own insurance, warrants a mistrial. … The trial judge ruled that the mere mention of insurance was not fatal and permitted the continued inquiry, limited to the issue of the doctor’s credibility. We find the judge’s handling of this problem to be a reasonable exercise of his discretion and the line of questioning a proper attempt to induce [defendant] to admit that he was biased towards the defense in malpractice cases.151 In Gensollen v. Pareja,152 the Appellate Division discussed the limits of an inquiry into an expert’s finances and litigation history to demonstrate the expert’s “positional bias.”153 For discussion of discovery of prior testimony or transcripts of an expert, see the Appellate Division’s recent decision in Collado v. Roman.154 Finally, see also Haynes v. Ethicon,155 where the court granted plaintiff leave to produce its expert witnesses, who were located in Massachusetts, for depositions by live video conference. Material Change in Testimony by a Witness The obligation to advise an adversary that the testimony of a witness has materially changed between deposition and trial, and the remedies available to a party when advised of such changed testimony, were discussed in McKenney v. Jersey City Medical Center.156 In McKenney, the plaintiffs brought an action seeking 150. Bendar v. Rosen, 247 N.J. Super. 219 (App. Div. 1991). 151. Bendar v. Rosen, 247 N.J. Super. 219, 236 (App. Div. 1991). 152. Gensollen v. Pareja, 416 N.J. Super. 585 (App. Div. 2010). 153. Gensollen v. Pareja, 416 N.J. Super. 585, 590-92 (App. Div. 2010). See also § 9-19 for discussion of the cross-examination of expert witnesses. 154. Collado v. Roman, No. A-0482-10T1, 2011 N.J. Super. Unpub. LEXIS 2324 (N.J. Super. App. Div. Aug. 30, 2011). 155. Haynes v. Ethicon, 315 N.J. Super. 338 (Law Div. 1998). 156. McKenney v. Jersey City Med. Ctr., 167 N.J. 359 (2001). damages for the wrongful birth of their son. The plaintiffs alleged that an ultrasound taken in August 1990 demonstrated evidence of spina bifida. The plaintiffs contended that if they had been advised of the possibility of a birth defect they would have terminated the pregnancy. The plaintiffs brought suit against several doctors and a certified ultrasound technician, Ms. Sipra De. Prior to trial, the court granted summary judgment to Ms. De based upon her pretrial deposition testimony that she did not make a notation which stated “follow-up study suggested” on the ultrasound report. At trial, Ms. De was called as a witness by a defendant and she testified that she had in fact made the notation “follow-up study suggested” on the report of the ultrasound. At the end of Ms. De’s direct testimony, the plaintiffs’ attorney informed the court that Ms. De had contradicted her sworn testimony given during her deposition and that the plaintiffs therefore moved for a mistrial or for leave to bring Ms. De back into the case. Counsel for the plaintiffs also moved for the opportunity to interview Ms. De out of the presence of the jury and for additional time to prepare for cross-examination. The trial court denied all of these motions.157 The jury found that certain defendants were not negligent and that the negligence of the remaining defendants was not a proximate cause of any injury to the plaintiff. The Appellate Division affirmed, but the Supreme Court granted certification limited to the issue of whether defense counsel were obligated to advise the plaintiffs of the material changes in the anticipated testimony of Ms. De.158 At oral argument, counsel for the one of the defendants conceded that he had in fact learned prior to trial that Ms. De would change her testimony but did not advise plaintiffs’ counsel of this fact. The Supreme Court held: [D]efense counsel had a continuing obligation to disclose to the trial court and counsel for plaintiffs any anticipated material changes in a defendant’s or material witness’s deposition testimony. Lawyers have an obligation of candor to each other and 157. McKenney v. Jersey City Med. Ctr., 167 N.J. 359, 368 (2001). 158. McKenney v. Jersey City Med. Ctr., 167 N.J. 359, 369 (2001). to the judicial system, which includes a duty of disclosure to the court and opposing counsel.159 The issue, then, became what was the appropriate remedy for “non-disclosure of the surprise testimony.”160 The McKenney Court observed that the surprise testimony was severely prejudicial in that it was not discovered until after plaintiffs had prepared the case for trial and in fact concluded their presentation of the evidence. Furthermore, the defendant, Ms. De, had been granted summary judgment. The Supreme Court, emphasizing that “concealment and surprise are not to be tolerated,” therefore reversed and remanded for a new trial and granted the plaintiff leave to file a motion to vacate the judgment dismissing the case against Ms. De. The issue of a change in testimony also arose in Liguori v. Elmann,161 where the plaintiff’s mother underwent quadruple coronary artery bypass surgery performed by the defendant Dr. Elmann, a cardiovascular and thoracic surgeon. During the operation Dr. Elmann was assisted by the defendant Dr. Hunter, a cardiac surgery fellow. After the operation, the plaintiff’s mother developed a pneumothorax, or a collapsed lung, which results in increased air pressure in the chest. Dr. Hunter decided to insert a chest tube to relieve the air pressure in his patient’s chest. Soon thereafter, the patient was noted to have substantial bleeding. Another doctor, Dr. Praeger, “discovered a hole in the left ventricle of her heart, which he repaired. He also noted that the hole in the heart was ‘related to the insertion of the chest tube.’”162 Subsequently, “Mrs. Liguori suffered from a series of ‘cascading complications,’ resulting in her death from septic shock in February of 2000.”163 The jury ruled for the defendants on all claims. The Appellate Division affirmed the dismissal, and the Supreme Court rejected the plaintiffs’ claim “that they were deprived of a fair trial because they were not alerted in advance of trial to a change in the 159. McKenney v. Jersey City Med. Ctr., 167 N.J. 359, 371 (2001). 160. McKenney v. Jersey City Med. Ctr., 167 N.J. 359, 372 (2001). 161. Liguori v. Elmann, 191 N.J. 527 (2007). 162. Liguori v. Elmann, 191 N.J. 527, 535 (2007). 163. Liguori v. Elmann, 191 N.J. 527, 539 (2007). causation opinion that would be offered by defendants’ expert.”164 The defendants’ expert, Dr. Richard Kline, testified during his deposition that the injury to Mrs. Liguori’s heart could have been caused because her heart had shifted inside of the chest cavity due to increased pressure, and during the procedure her heart could “have suddenly shifted back, causing her heart to strike the clamp and be damaged.”165 Alternatively, Dr. Kline testified that “the insertion of the clamp during the procedure to insert the chest tube could have directly damaged the heart.”166 Shortly before trial, Dr. Kline concluded that the injury was caused by the clamp. In effect, this change in his testimony brought his view about causation directly into alignment with the views of plaintiffs’ expert.167 As a result, the defendants conceded that their actions were the cause of the patient’s death, and the trial court entered a directed verdict on that issue. The plaintiffs nevertheless contended that this change in testimony entitled them to a new trial. The Court began the analysis of this issue by recalling that “[l]awyers have an obligation of candor to each other and to the judicial system, which includes a duty of disclosure to the court and opposing counsel.”168 The Court emphasized that defense counsel has an ‘obligation to disclose to the trial court and counsel for plaintiffs any anticipated material changes in a defendant’s or a material witness’s deposition testimony.’169 However, in rejecting the appeal, the Court explained that: We do not retreat from the views we have previously expressed about the significance of a failure to abide by the requirements of our discovery rules. 164. Liguori v. Elmann, 191 N.J. 527, 550 (2007). 165. Liguori v. Elmann, 191 N.J. 527, 550 (2007). 166. Liguori v. Elmann, 191 N.J. 527, 550 (2007). 167. Liguori v. Elmann, 191 N.J. 527, 550 (2007). 168. Liguori v. Elmann, 191 N.J. 527, 551 (2007) (citing McKenney v. Jersey City Med. Ctr., 167 N.J. 359, 371 (2001)). 169. Liguori v. Elmann, 191 N.J. 527, 550 (2007). In this case, however, the record discloses that the change in the expert’s opinion, although significant, was one which brought his opinion into alignment with plaintiffs’ expert. That is to say, although the opinion he offered was a change from the view he expressed in his deposition, it was, in the end, an acknowledgment that plaintiffs’ expert’s opinion on how the injury to Mrs. Liguori’s heart was caused was correct. We do not perceive, in these circumstances, any prejudice to plaintiffs.170 See also Cohen v. Community Medical Center,171 where the plaintiff contended that the trial court erred by refusing to give an adverse inference charge due to the failure of defendants to produce the triage nurse who evaluated plaintiff when he first presented to the emergency room. The plaintiff had served a notice in lieu of subpoena to compel production of this nurse at trial. The defendant did not respond to the notice until the day of trial, at which time the defendant’s counsel advised that the nurse “would not be produced because she no longer worked for CMC and was no longer in the state.”172 Plaintiff’s counsel sought an adverse inference charge, which the court declined to give based upon its determination that CMC no longer had any control over the nurse. The Appellate Division observed: ‘Generally, failure of a party to produce before a trial tribunal proof which, it appears, would serve to elucidate the facts in issue, raises a natural inference that the party so failing fears exposure of those facts would be unfavorable to him.’ … .… The condition of plaintiff’s left foot at the time he arrived at the emergency room on March 11, 2003, was a contentious issue during the trial. Nurse Gleason’s entries in the hospital record indicate that plaintiff presented with ‘purulent drainage’ in the left foot, a fact that defendant Chung denied. He 170. Liguori v. Elmann, 191 N.J. 527, 550 (2007). 171. Cohen v. Cmty. Med. Ctr., 386 N.J. Super. 387 (App. Div. 2006). 172. Cohen v. Cmty. Med. Ctr., 386 N.J. Super. 387, 402 (App. Div. 2006). testified that had plaintiff presented with ‘purulent discharge,’ he would have contacted plaintiff’s doctor to admit plaintiff or to come to the hospital to examine plaintiff. … In advance of retrial, plaintiff is entitled to receive from defendant CMC the last known address and any other information CMC may possess relative to Nurse Gleason’s whereabouts. McKenney v. Jersey City Med. Ctr., 167 N.J. 359, 371-72 (2001) (‘Lawyers have an obligation of candor to each other and to the judicial system, which includes a duty of disclosure to the court and opposing counsel’). … If plaintiff is unable to locate and depose the witness, the court should conduct proceedings pursuant to R. 1:2-4 to determine whether any sanctions should be imposed for CMC’s failure to provide a timely response to the notice in lieu of subpoena.173 TREATING PHYSICIANS’ OPINIONS, REPORTS AND TESTIMONY Use of Treating Physicians’ Opinions Value of Treating Physicians’ Testimony In Stigliano v. Connaught Laboratories,174 Justice Pollock observed that the testimony of a treating physician is of special value to the proponent of the opinion. Without impugning the expert witnesses who may testify for either plaintiffs or defendants, the treating doctors may be the only medical witnesses who have not been retained in anticipation of trial. A jury could find the treating doctors’ testimony 173. Cohen v. Cmty. Med. Ctr., 386 N.J. Super. 387, 401-03 (App. Div. 2006) 174. Stigliano v. Connaught Labs., 140 N.J. 305 (1995). to be more impartial and credible than that of the retained experts.175 See also Bober v. Independent Plating Corp.,176 where the Supreme Court acknowledged that: In the process of evaluation, a criterion of recognized significance is the greater opportunity of a treating physician, as compared with a doctor who conducts a single examination in order to become an expert medical witness, to know, understand and decide upon the producing cause of the patient’s condition.177 Another reason the opinions of treating doctors are often given extra consideration is that a subsequent treating physician is often a specialist who possesses a detailed knowledge of the patient’s history and medical condition, as well as specialized expertise in the illness or disease involved in the case. However, physicians are required by the Principles of Medical Ethics to maintain the confidentiality of a patient’s medical condition and records. Patients have argued that it is improper for a treating physician to serve as an expert against the patient. The courts have struggled to reconcile the conflict between the patient’s right to confidentiality and the policy against the exclusion of relevant and probative evidence. Discovery of Treating Physician’s Opinion Whether and to what extent a defendant is entitled to discover the opinions of the plaintiff’s treating doctor was discussed in Di Donna v. Zigarelli.178 In Di Donna, the defendant was permitted to take the deposition of plaintiff’s subsequent treating physician, but the scope of the inquiry was limited. 175. Stigliano v. Connaught Labs., 140 N.J. 305, 317 (1995); see also Jarrell v. Kaul, No. A-3492-11T1, 2013 N.J. Super. Unpub. LEXIS 469 (N.J. Super. App. Div. Mar. 1, 2013) (approving use of a treating doctor as a fact witness, not an expert witness, who “may discuss his diagnosis and treatment, including his opinion as to the cause of the patient’s disorder. Stigliano v. Connaught Laboratories, 140 N.J. 305, 314 (1995).”). 176. Bober v. Indep. Plating Corp., 28 N.J. 160 (1958). 177. Bober v. Indep. Plating Corp., 28 N.J. 160, 167 (1958); accord Mewes v. Union Bldg. & Constr. Co., 45 N.J. Super. 89 (App. Div. 1957); Celeste v. Progressive Silk Finishing Co., 72 N.J. Super. 125 (App. Div. 1962); Abelit v. Gen. Motors Corp., 46 N.J. Super. 475 (App. Div. 1957). 178. Di Donna v. Zigarelli, 61 N.J. Super. 302 (App. Div. 1960). There can be no doubt that in this case defendant is entitled to inquire of the physician, who treated the minor plaintiff subsequent to the time that he was under defendant’s care, as to the dates and places of his treatment, his observations, results of tests conducted and relevant statements or admissions made by the adult plaintiff, as well as the ‘history’ which he may have received from the parents of the infant. Also, specifically limiting our ruling to the situation existing in the case at bar, we hold that the defendant herein is entitled by deposition to inquire into the findings and diagnoses made in the opinion of the treating physician and to require the production of records incident to his activity as a treating physician.179 The discovery permitted by the court in Di Donna was the same discovery that a plaintiff could compel a defendant to divulge under Rogotzki and Myers.180 Use of Subsequent Treating Physician as Witness Subsequent Treating Physician as Witness Concerning Liability Issues The use of a subsequent treating doctor was then the subject of a series of four appellate cases, Piller v. Kovarsky,181 Lazorick v. Brown,182 Serrano v. Levitsky183 and Kurdek v. West Orange.184 In Piller, plaintiff alleged that the defendants negligently treated a fractured arm, permitting development of a Volkman’s ischemic contracture. Upon diagnosing the condition, the defendant referred plaintiff to Dr. Harold Dick, who was described as a prominent orthopedist at Columbia Presbyterian Hospital who specialized in pediatric reconstructive 179. Di Donna v. Zigarelli, 61 N.J. Super. 302, 311-12 (App. Div. 1960). 180. See discussion, §§ 9-6, 9-11:2 and 9-11:3. 181. Piller v. Kovarsky, 194 N.J. Super. 392 (Law Div. 1983). 182. Lazorick v. Brown, 195 N.J. Super. 444 (App. Div. 1984). 183. Serrano v. Levitsky, 215 N.J. Super. 454 (Law Div. 1986). 184. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218 (Law Div. 1987). surgery, and under whom defendant, Dr. Levine, had once trained. Dr. Dick has performed numerous operations on the infant plaintiff and she still remains under his care.185 After plaintiff filed suit against the defendant, counsel for the defendant retained Dr. Dick as an expert on liability, and Dr. Dick was prepared to testify that the defendant did not commit malpractice. The court noted that plaintiffs intended to call Dr. Dick at trial to testify solely as to damages.186 The court concluded that the patientphysician privilege N.J.S.A. 2A:84A-22.1 does not bar the physician’s testimony since the patient had put her physical condition in issue.187 However, the court held that the plaintiff’s treating physician could not testify as an expert against her as to liability: [I]t could not help but have a detrimental effect on the quality of the relationship, and who can say that this would not thereby affect the well-being of the patient. Furthermore, volunteering to be an adversary exploits the relationship because the physician’s opinions as to liability may rest partially on information gained indirectly by him only because of his position of trust, whereas precluding his opinion testimony on liability will no way hinder the jury’s quest for the true facts. I conclude the fiduciary nature of the relationship should preclude a physician from testifying against his patient as a liability expert, at least in a medical malpractice action involving the very condition for which the defendant has treated a patient.188 The Piller court also held that the probative value of the subsequent treating doctor’s opinion testimony on liability is substantially outweighed by the unduly prejudicial manner of its presentation, as well as the substantial danger that the jury will be misled. The prejudice arises from the fact that the plaintiff was referred by 185. Piller v. Kovarsky, 194 N.J. Super. 392, 395 (Law Div. 1983). 186. Piller v. Kovarsky, 194 N.J. Super. 392, 395 (Law Div. 1983). 187. Piller v. Kovarsky, 194 N.J. Super. 392, 396 (Law Div. 1983). 188. Piller v. Kovarsky, 194 N.J. Super. 392, 398-99 (Law Div. 1983). defendants to Dr. Dick for treatment because of his outstanding ability to treat the particular condition involved, that they will have to call him as a witness on the damage phase of their case and present him as a highly qualified expert in his field, and that they then will have to answer an argument that ‘their own doctor says there is no malpractice.’ The defendants have an unfair advantage when they present Dr. Dick because the plaintiffs have already necessarily vouched for his credibility and the value of his opinions. While this may be a clever defense strategy, its inherent prejudice substantially outweighs the probative value of Dr. Dick’s opinion on liability. A trial judge has discretion to prevent unfair innuendo which might arise as a result of trial strategy. Surely the defense can find another specialist of Dr. Dick’s caliber to testify as their expert; indeed, they have named another orthopedist who is presumably qualified to state the same opinions.189 The Court therefore barred Dr. Dick from testifying on behalf of the defendants as an expert on liability.190 A similar holding, prohibiting the rendering of an opinion on liability is found in Serrano v. Levitsky.191 In Serrano, plaintiff sustained injuries during surgery performed by the defendant. Plaintiff’s attorney obtained the report from a subsequent treating doctor which contained, in addition to a description of the diagnosis, treatment and prognosis, the opinion that the defendant was not negligent during the surgery. The opinion regarding negligence was not requested by plaintiff’s attorney. Plaintiff served the report, but disclaimed that portion of the report regarding negligence. During the trial, defendants attempted to elicit the opinion of the subsequent treating doctor regarding the absence of negligence by the defendant doctor. The trial court held: The mere fact that an expert report is furnished to the opposing party in accordance with the rules 189. Piller v. Kovarsky, 194 N.J. Super. 392, 399-400 (Law Div. 1983). 190. Piller v. Kovarsky, 194 N.J. Super. 392, 400 (Law Div. 1983). 191. Serrano v. Levitsky, 215 N.J. Super. 454 (Law Div. 1986). does not thereby constitute an adoption of the report by the person forwarding it. An expression that the party does not adopt the report is a sufficient disclaimer of the report.192 The court held that as to liability, the subsequent treating physician was an expert who was not expected to be called at trial. Therefore, the defendant could not utilize the opinion of this physician at trial as to liability unless there were “exceptional circumstances“ under New Jersey Court Rule 4:10-2(d)(2), -2(d)(3). Since defendant already had an expert on liability, no exceptional circumstances existed and the court prohibited the defendant from calling plaintiff’s subsequent treating doctor as an expert as to liability.193 The court concluded: It would be unfair in this case to permit plaintiff’s own physician to undermine plaintiff’s case. Plaintiff had no choice but to use the report furnished to him by his treating physician, who apparently felt that his professional loyalty to another physician outweighed his loyalty to his patient. The doctor’s professional fealty must not be allowed to harm his patient to whom he owes the greater duty. To allow this evidence to be admitted against plaintiff would, in effect, rob plaintiff of his case. It would simply be outrageous and totally unjust to permit the opinion of plaintiff’s own treating physician and expert to be used against him.194 Similarly, in Cogdell v. Brown,195 the court noted: A defendant cannot cross-examine plaintiff’s treating doctor as to whether defendant doctor was negligent in his treatment of plaintiff. Serrano v. Levitsky, 215 N.J. Super. 454 (Law Div. 1986).196 192. Serrano v. Levitsky, 215 N.J. Super. 454, 458 (Law Div. 1986). 193. Serrano v. Levitsky, 215 N.J. Super. 454, 459 (Law Div. 1986). 194. Serrano v. Levitsky, 215 N.J. Super. 454, 460 (Law Div. 1986). 195. Cogdell v. Brown, 220 N.J. Super. 330 (Law Div. 1987). 196. Cogdell v. Brown, 220 N.J. Super. 330, 333-34 (Law Div. 1987). Subsequent Treating Physician as Witness Regarding Causation However, in Lazorick v. Brown,197 the issue was whether subsequent treating doctors could serve as experts as to causation. In Lazorick, plaintiff contended that she developed severe systemic vasculitis as a result of the defendants improperly prescribing an antibiotic. Counsel for the defendant intended to call plaintiff’s subsequent treating doctors who were of the opinion that the amoxicillin was “not the cause of the disease.”198 Thus, defendant proffered the witnesses not as to the standard of care or deviation therefrom, but solely as to causation.199 The trial court nevertheless barred the subsequent treating doctors from testifying against plaintiff. The Appellate Division granted leave to appeal and reversed. In allowing the testimony of the subsequent treating doctors as to causation, the court stated: The policy of law is to allow all competent, relevant evidence to be produced, subject only to a limited number of privileges. See Evid. R. 7. As stated in Hague v. Williams, 37 N.J. at 335, ‘society has a right to testimony and . . . all privileges of exemption from this duty are exceptional.’ . . . It would be a mistake to say that all testimony of a treating doctor is so tainted because he conversed with his patient’s adversary that his testimony must be excluded. Such a rule would inevitably impede the search for truth. Nor can we say that the justice system should pay this price so that the doctorpatient relationship will not be bruised. Defendants ought to have the same right of access as plaintiffs have to potential witnesses, even if they are treating physicians. Accordingly, we hold that plaintiffs cannot prevent defendants and their attorneys from speaking privately with plaintiff ’s other 197. Lazorick v. Brown, 195 N.J. Super. 444 (App. Div. 1984). 198. Lazorick v. Brown, 195 N.J. Super. 444, 449 (App. Div. 1984). 199. Lazorick v. Brown, 195 N.J. Super. 444, 449 (App. Div. 1984). treating physicians about any matter that is not privileged. To allay the concerns of a doctor who may be interviewed by defense counsel, a plaintiff should be required to sign a document which authorizes a release of such unprivileged information. As stated above, the authority to release information to a patient’s adversary does not place any obligation upon treating doctors to cooperate with that adversary. A doctor need not serve voluntarily as an expert for his patient’s adversary in litigation. Except for obligations to their patients, doctors may refuse to divulge any information or give any opinion unless compelled to do so by judicial process.200 The issue was re-examined in Kurdek v. West Orange Board of Education,201 an automobile negligence case, where defendant called plaintiff’s treating physician for the opinion that there was no permanent injury. At a preliminary hearing, the court advised the doctor that he had no obligation to testify for the defendant.202 The doctor stated: ‘I have an obligation for truth. I consider myself to be a highly ethical person. I will state the facts of my opinion as I see them without influence one way or the other.’203 When asked by plaintiff’s attorney whether the doctor had a “duty of loyalty to his patient,” the doctor disclosed a significant bias when he questioned whether such a duty was owed “[t]o a patient who hasn’t paid my bill.”204 The plaintiff’s primary objection to testimony from this doctor regarding the absence of a permanent injury was that counsel for the defendant did not submit a report from plaintiff’s treating physician. The court rejected this argument stating, 200. Lazorick v. Brown, 195 N.J. Super. 444, 456-57 (App. Div. 1984). 201. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218 (Law Div. 1987). 202. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218, 221 (Law Div. 1987) (citing Lazorick v. Brown, 195 N.J. Super. 444, 457 (App. Div. 1984)). 203. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218, 221 (Law Div. 1987). 204. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218, 222 (Law Div. 1987). It was the attorney for plaintiff who sent plaintiff to Dr. Coblentz for a final examination and it was plaintiff’s attorney who ‘failed’ to obtain an expert’s report.205 The court also held that the physician-patient privilege did not bar the testimony because by bringing a civil action the physicianpatient privilege is waived.206 The Kurdek court noted that such testimony is permissible where the physical condition of the patient is made an element of the claim. Finally, the court noted that: A statutory privilege, such as that between a patient and physician, is to be construed restrictively, since its ‘allowance obstructs the search for the truth. … .… Truth is the ultimate quest’ of all judicial proceedings. … The fundamental principle is that a trial is essentially a search for the truth. … …. No party has anything resembling any proprietary right to a witnesses’ evidence. ... The policy of the law is to allow all competent, relevant evidence to be produced, subject only to a limited number of privileges.207 The Supreme Court analyzed whether a defendant could discover and utilize the opinions of the subsequent treating physician in Stigliano v. Connaught Laboratories.208 In Stigliano, plaintiffs brought a medical malpractice and product liability action on behalf of their daughter, alleging that the child’s seizure disorder was caused by the administration of a DPT vaccine. The child suffered a series of convulsive disorders about six and one half hours after the pediatrician administered a DPT shot. Plaintiffs alleged that defendant deviated from accepted standards by administering the vaccine while the child had a fever. Plaintiffs 205. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218, 222 (Law Div. 1987). 206. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218, 224 (Law Div. 1987). 207. Kurdek v. W. Orange Bd. of Educ., 222 N.J. Super. 218, 225-26 (Law Div. 1987). 208. Stigliano v. Connaught Labs., 140 N.J. 305 (1995). retained two experts who found a causal relationship between the DPT immunization and the seizure disorder. The defendants retained three experts who rendered opinions that the DPT vaccine did not cause the seizures. Additionally, the defendant deposed the three pediatric neurologists who had actually treated the child for the seizure disorder. These physicians testified that the child’s condition was not caused by the DPT shot. Two of the treating physicians testified that the child’s condition “was not consistent with a pertussis encephalopathy.”209 The third treating physician testified that the child probably had a “congenital and possibly genetic epilepsy.” The defendants gave notice that they intended to call the child’s subsequent treating physicians as experts at trial. Plaintiffs moved to preclude defendants from making any reference at trial to the opinions of the treating doctors regarding the causation of the seizure disorder. Plaintiffs argued that (1) the asserted “unsolicited opinions … are protected from disclosure by the physicians’ fiduciary duties” to the plaintiffs, (2) the treating physicians could not be called to testify because the defendants already had experts regarding causation and thus could not demonstrate an “exceptional need,” and (3) the causation testimony of the treating physicians would be “unduly prejudicial and should be excluded under Evid.R. 4 [now N.J.R.E. 403].”210 The trial court granted the plaintiffs’ motion and barred the defendants from utilizing the opinions of the treating doctors as to causation. The Appellate Division reversed, stating: We therefore see no reason to distinguish the doctors’ testimony as to causation and their testimony as to diagnoses and prognoses. All arise out of and are inextricably linked to [plaintiff’s] treatment. Defendants are entitled to elicit that relevant and material evidence from the treating physicians.211 209. Stigliano v. Connaught Labs., 140 N.J. 305, 308 (1995). 210. Stigliano v. Connaught Labs., 270 N.J. Super. 373, 376-77 (App. Div. 1994), aff’d, 140 N.J. 305 (1995). 211. Stigliano v. Connaught Labs., 270 N.J. Super. 373, 379 (App. Div. 1994), aff’d, 140 N.J. 305 (1995). The Supreme Court, in a unanimous decision, affirmed the use of the opinions of the subsequent treating physicians. The Court started its analysis by noting that the exercise of any privilege results in the withholding of probative evidence and thus is contrary to the goal of seeking the truth.212 The Court reiterated that the filing of a personal injury claim “extinguishes” the physicianpatient privilege.213 In response to the plaintiffs’ arguments that the treating physicians should only be permitted to testify as fact witnesses regarding their examination and diagnosis of the child, the Court noted that once a patient waives the physician-patient privilege, “it is a waiver of the privilege in regard to all of his knowledge.”214 Therefore, the Court held that the treating doctors may “testify about their diagnosis and treatment . . . including their determination of that disorder’s cause. Their testimony about the likely and unlikely causes of [plaintiff’s] seizure disorder is factual information, albeit in the form of opinion.”215 The Stigliano Court distinguished Graham v. Gielchinsky,216 where defendant wanted to utilize an expert that plaintiff had already consulted but did not intend to call at trial.217 In Graham, the Court discussed several public policies which mandate the prohibition of the use of an expert witness who was initially consulted by the other side. The Stigliano Court noted that such policy issues were not implicated in this case, and that allowing the treating doctors to testify “will not effect either [plaintiff’s] medical treatment or counsel’s search for experts.”218 However, Stigliano does not resolve whether treating physicians who have also been consulted by counsel in anticipation of litigation may be barred from rendering harmful opinions as a result of the consultation. The plaintiffs in Stigliano had relied on Spedick v. Murphy,219 wherein the Appellate Division set limits on the use of opinions of treating doctors. In Spedick, an automobile negligence action, 212. Stigliano v. Connaught Labs., 140 N.J. 305, 310 (1995). 213. Stigliano v. Connaught Labs., 140 N.J. 305, 311 (1995). 214. Stigliano v. Connaught Labs., 140 N.J. 305, 312 (1995). 215. Stigliano v. Connaught Labs., 140 N.J. 305, 314 (1995). 216. Graham v. Gielchinsky, 126 N.J. 361 (1991). 217. Stigliano v. Connaught Labs., 140 N.J. 305, 313 (1995). 218. Stigliano v. Connaught Labs., 140 N.J. 305, 313 (1995). 219. Spedick v. Murphy, 266 N.J. Super. 573 (App. Div. 1993). defendant wished to present the testimony of doctors who had treated plaintiff, but who plaintiff did not call as witnesses. The trial court ruled that these doctors would only be allowed to testify as to plaintiff’s complaints, medical history, and their physical examinations and diagnosis, but not their prognosis, stating: Defendant, therefore, was properly permitted to call these witnesses, not to obtain opinions about plaintiff’s disabilities, but to testify concerning their physical examinations and diagnosis of plaintiff shortly after the injury. This testimony was clearly relevant and material. To bar such testimony of the initial treating physicians would only serve to hinder the search for truth.220 The Stigliano Court did not clearly distinguish Spedick, merely stating, In sum, plaintiffs misplace their reliance on Graham and Spedick. The treating doctors did not examine [plaintiff] in anticipation of litigation or in preparation for trial, but for purpose of treatment.221 However, the Court acknowledged that in Spedick, the plaintiff had also only consulted the doctors for treatment and had not intended to call the doctors as witnesses. The Supreme Court simply disregarded Spedick’s limitation on the scope of the treating doctors’ testimony, stating: Unlike an expert retained to testify at trial, the treating doctors gained no confidential information about plaintiffs’ trial strategy. Although the treating doctors are doubtless ‘experts,’ in this case they are more accurately fact witnesses. Their testimony relates to their diagnosis and treatment of the infant plaintiff. In this context, moreover, the characterization of the treating doctors’ testimony as ‘fact’ or ‘opinion’ creates an artificial distinction. A determination of causation partakes of both fact 220. Spedick v. Murphy, 266 N.J. Super. 573, 592 (App. Div. 1993). 221. Stigliano v. Connaught Labs., 140 N.J. 305, 313 (1995). and opinion. The critical point is that the treating doctors to treat their patients must determine the cause of the disease, whether that determination is characterized as fact or opinion.222 Stigliano permits attorneys for both plaintiffs and defendants to affirmatively utilize the opinions of treating physicians which are favorable to their position. Initially, it becomes more important than ever for the plaintiff ’s attorney to instruct treating physicians that they may not disclose any records or discuss the plaintiff, even informally, with any representative of the defendant without strict compliance with the notice requirements of Stempler v. Speidell.223 Additionally, plaintiffs must be certain to move to prohibit treating doctors from rendering the opinion that, for example, the defendant physician did not commit malpractice. Obviously, defendants must take advantage of all subsequent treating physicians who harbor opinions favorable to the defendant as to causation. Furthermore, since parties may now use opinions of treating doctors, both parties must serve interrogatories to discover whether any party intends to elicit from treating physicians what Stigliano described as “factual information, albeit in the form of opinions.”224 Admissibility of Subsequent Treating Physician’s Reports It is important to note, however, that the report of the subsequent treating doctor is not admissible into evidence. In Day v. Lorenc,225 plaintiff alleged that the defendant negligently performed septum surgery, causing her to lose her sense of smell. Plaintiff ’s expert had asked one of the doctors who treated plaintiff after the malpractice to send a report regarding plaintiff ’s condition. The subsequent treating physician sent a report which stated that although there was a temporal relationship between the surgery and the loss of smell, the subsequent treating physician believed that the loss of smell was due to nasal polyposis. Plaintiff ’s expert 222. Stigliano v. Connaught Labs., 140 N.J. 305, 313-14 (1995). 223. Stempler v. Speidell, 100 N.J. 368 (1985). 224. Stigliano v. Connaught Labs., 140 N.J. 305, 314 (1995). 225. Day v. Lorenc, 296 N.J. Super. 262 (App. Div. 1996). conceded at the time of trial that he read and relied upon the report of the subsequent treating doctor. Counsel for the defendant then offered the subsequent treating physician’s report into evidence based upon the fact that plaintiff ’s expert relied on it. The trial judge admitted the report into evidence over plaintiff ’s objection. The Appellate Division held that admission of the report was reversible error. The court noted that although New Jersey Rules of Evidence 703 allows an expert to rely on the report, and although New Jersey Rules of Evidence 705 permitted defense counsel to cross-examine the expert with the report, “neither of these rules provides a basis for the admission of [treating physician’s] report into evidence.”226 The Appellate Division also held that New Jersey Rules of Evidence 803(b)(2) and (3) do not permit the admission of the reports since plaintiff “not only did not adopt [the treating physician’s] unsolicited opinion but, in fact, necessarily rejected it” since it was contradictory to the testimony of plaintiff ’s expert.227 The court therefore held that even though the report dealt with proximate causation, the trial was tainted and the verdict must be reversed. In significant language, the Appellate Division noted: As in most malpractice cases, this case boiled down to a pitched battle between plaintiff’s expert and defendant’s expert. Anything which could have tipped the scales, ever so slightly, in favor of one or the other had the capacity to change the outcome. We simply cannot know whether the jury was swayed by the fact that defendant effectively had two experts on his ‘side’ while plaintiff had only one, or by the fact one of plaintiff’s ‘own’ treating doctor’s did not agree with her or her expert. Because we believe that this state of affairs had the capacity to produce an unjust result, we reverse and remand the case for a new trial.228 226. Day v. Lorenc, 296 N.J. Super. 262, 267 (App. Div. 1996). 227. Day v. Lorenc, 296 N.J. Super. 262, 268 (App. Div. 1996). 228. Day v. Lorenc, 296 N.J. Super. 262, 269 (App. Div. 1996). Other Issues Concerning Treating Physician’s Testimony Case law has addressed a myriad of other issues raised when parties have sought to introduce testimony of a treating physician. See, for example, Nowacki v. Community Medical Center,229 where the Appellate Division affirmed the decision of the trial court to prohibit the defendants from utilizing portions of the hospital record which recorded that various physicians diagnosed the plaintiff as having pathological fractures. In Macaluso v. Pleskin,230 the Appellate Division held that a treating doctor may testify about the opinions of a non-testifying doctor if the treating doctor relied on those opinions. See also Mahoney v. Podolnick,231 holding that generally a treating doctor should not be permitted to testify as to the standard of care. See for example, Glowacki v. Underwood Mem’l Hosp.,232 where a physician was permitted to testify that her diagnosis was based in part on a conversation with a radiologist. However, the court noted that the witness was an orthopedic surgeon who had herself reviewed the MRI.233 In Brun v. Cardoso,234 the court held that an MRI must be interpreted by a physician qualified to read such films, and that the MRI report could not be “bootstrapped into evidence” through the testimony of another doctor.235 Additionally, the Appellate Division in Alves v. Rosenberg,236 held that New Jersey Court Rule 4:16-1(d) prohibits the use of a defendant’s own deposition when the defendant was available to testify. In Carchidi v. Iavicolli,237 the court held that a defendant may not use the partner of the plaintiff’s treating physician on the issue of causation. 229. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276 (App. Div. 1995). 230. Macaluso v. Pleskin, 329 N.J. Super. 346, 355-358 (App. Div. 2000). 231. Mahoney v. Podolnick, 168 N.J. 202, 228-229 (2001). 232. Glowacki v. Underwood Mem’l Hosp., 270 N.J. Super. 1 (App. Div. 1994). 233. Glowacki v. Underwood Mem’l Hosp., 270 N.J. Super. 1 (App. Div. 1994). 234. Brun v. Cardoso, 390 N.J. Super. 409 (App. Div. 2006). 235. Brun v. Cardoso, 390 N.J. Super. 409, 421 (App. Div. 2006). 236. Alves v. Rosenberg, 400 N.J. Super. 553 (App. Div. 2008). 237. Carchidi v. Iavicolli, 412 N.J. Super. 374 (App. Div. 2010). Finally, in Kalola v. Eisenberg,238 a court held that evidence of a defendant’s threatening phone calls to an expert witness/ subsequent treating doctor was admissible pursuant to New Jersey Rules of Evidence 403.239 Opinions of Psychiatrists or Mental Health Care Professionals The medical records of mental health care professionals are entitled to an extra measure of protection from disclosure. In contrast to the physician-patient privilege provided by N.J.S.A. 2A:84A-22.1,240 the psychotherapist’s privilege is based on the attorney-client privilege. See N.J.S.A. 45:14B-28 and New Jersey Rules of Evidence 505, which provide that communications between and among a licensed practicing psychologist and individuals, couples, families or groups in the course of the practice of psychology are placed on the same basis as those provided between attorney and client. The caselaw instructs that the conflict between the right to privacy regarding psychiatric records and the need to know by a defendant in a personal injury claim is best reconciled by the court during an in camera review of the records. In Rosegay v. Canter,241 plaintiff alleged “mental anguish, severe depression, severe anxiety attacks, insomnia, nervousness, irritability, personality change … and misery.”242 During her deposition, plaintiff revealed that she had been treated by a psychologist and a psychiatrist. Defendant moved to depose the psychologist and the psychiatrist and plaintiff objected, claiming that any discussion with her psychotherapists is privileged. The court held that the defendants were permitted to take the deposition of the psychotherapists. The court first noted that the information is relevant, and even if not admissible, can reasonably be expected to lead to the discovery of admissible 238. Kalola v. Eisenberg, 344 N.J. Super. 198 (Law Div. 2001). 239. Kalola v. Eisenberg, 344 N.J. Super. 198, 210 (Law Div. 2001). 240. See discussions in Chapter 1, § 1-8, and §§ 9-6 and 9-7. 241. Rosegay v. Canter, 187 N.J. Super. 652 (Law Div. 1982). 242. Rosegay v. Canter, 187 N.J. Super. 652, 654 (Law Div. 1982). evidence.243 The court also held that any privilege was waived when plaintiff made her mental condition and status an element in the case.244 However, in Arena v. Saphier,245 the court demonstrated an increased sensitivity to the psychiatric records of a plaintiff. In Arena, plaintiff alleged that the defendant negligently failed to diagnose and treat “ectopic pregnancies resulting in the loss of her fallopian tubes and consequent inability to conceive.”246 Plaintiff sought damages for emotional distress and acute depression, and defendant moved to compel production of the notes of plaintiff’s treating psychologist. The trial court barred production of the notes, but the Appellate Division reversed. The Appellate panel first acknowledged that communications between a patient and a psychologist are privileged despite the waiver of the physicianpatient privilege found in N.J.S.A. 2A:84A-22.4. The court explained that the psychologist-patient privilege, found at N.J.S.A. 45:14B-28, was created separately as part of a comprehensive statutory scheme designed to license and regulate practicing psychologists. This legislation and the subsequent enactment pertaining to the physician-patient privilege are wholly distinct and cannot clearly be read in pari materia.247 The court described the psychotherapist privilege as “coterminous with that provided under the attorney-client privilege.”248 The court also noted that there is a reasonable distinction between a physician treating a disease and a psychologist treating a mental problem: The nature of psychotherapy might well justify a greater degree of confidentiality and protection than is generally afforded medical treatment of a physical condition. The nature of the psychotherapeutic 243. Rosegay v. Canter, 187 N.J. Super. 652, 652 (Law Div. 1982). 244. Rosegay v. Canter, 187 N.J. Super. 652, 652 (Law Div. 1982). 245. Arena v. Saphier, 201 N.J. Super. 79 (App. Div. 1985). 246. Arena v. Saphier, 201 N.J. Super. 79, 81 (App. Div. 1985). 247. Arena v. Saphier, 201 N.J. Super. 79, 85 (App. Div. 1985). 248. Arena v. Saphier, 201 N.J. Super. 79, 87 (App. Div. 1985). process is such that full disclosure to the therapist of the patient’s most intimate emotions, fears, and fantasies is required. The patient rightfully expects that his personal revelations will not generally be subject to public scrutiny or exposure.249 The Arena court concluded that a sensible accommodation of these mutually competing values requires pretrial disclosure of the communications between plaintiff and her treating psychologist to the extent that they are relevant to her present mental and emotional condition and its cause.250 Further, plaintiff should not be permitted merely to invoke the privilege and make a conclusive evaluation of the notes and records. The court therefore ordered the production of the records for an in camera review, reasoning: We hold that a psychologist may be compelled to reveal relevant confidences of treatment when the patient tenders her mental or emotional condition in issue during the course of litigation. Under such circumstances, the patient’s communications to her psychotherapist should not be enshrouded in the veil of absolute privilege. Rather, important public policy considerations favoring liberal pretrial discovery compel disclosure of all relevant information. Nevertheless, we are not insensitive to the countervailing necessity of protecting the patient from needless humiliation, harassment and exposure. In our view, these antithetical interests can best be accommodated by the trial court’s thorough in camera inspection of the consultation notes to determine their relevance.251 249. Arena v. Saphier, 201 N.J. Super. 79, 86 (App. Div. 1985). 250. Arena v. Saphier, 201 N.J. Super. 79, 90 (App. Div. 1985). 251. Arena v. Saphier, 201 N.J. Super. 79, 81 (App. Div. 1985). This analysis was expanded in Kinsella v. Kinsella,252 where the Supreme Court held that New Jersey’s psychologist-patient privilege requires that three factors be met prior to release of psychiatric records: (1) there must be a legitimate need for the evidence; (2) the evidence must be relevant and material to the issue before the court; and (3) by a fair preponderance of the evidence, the party must show that the information cannot be secured from any less intrusive source.253 In enforcing the psychologist privilege in all but the most exceptional circumstances, the Supreme Court held: Courts should be mindful that, although New Jersey’s psychologist-patient privilege is modeled on the attorney-client privilege, the public policy behind the psychologist-patient privilege is in some respects even more compelling. Like the attorney-client privilege, the psychologist-patient privilege serves the functional purpose of enabling a relationship that ultimately redounds to the good of all parties and the public. The psychologistpatient privilege further serves to protect an individual’s privacy interest in communications that will frequently be even more personal, potentially embarrassing, and more often readily misconstrued than those between attorney and client. Made public and taken out of context, the disclosure of notes from therapy sessions could have devastating personal consequences for the patient and his or her family, and the threat of such disclosure could be wielded to unfairly influence settlement negotiations or the course of litigation. Especially in the context of matrimonial litigation, the value of the therapist-patient relationship and of the patient’s privacy is intertwined with one of the 252. Kinsella v. Kinsella, 150 N.J. 276 (1997). 253. Kinsella v. Kinsella, 150 N.J. 276, 306-07 (1997). most important concerns of the courts—the safety and well-being of children and families. Therefore, only in the most compelling circumstances should the courts permit the privilege to be pierced.254 See also Correia v. Sherry,255 where the plaintiffs’ son died in a motor vehicle accident and the plaintiffs provided the defendant with the decedent’s academic records but would not authorize release of the decedent’s Child Study Team records. The trial court held that the psychologist-patient privileges set forth in N.J.S.A. 45:14B-28 and New Jersey Rules of Evidence 505 survive the death of a person. The trial court therefore conducted an in camera review of the Child Study Team records and concluded that the need for confidentiality outweighed the need for disclosure. Opinions in Medical Records Medical experts will often rely not only on the facts recorded in the medical records, but also on the opinions of other medical professionals contained in those records. The extent that reliance can be placed on such hearsay opinions depends on the nature and the complexity of the opinion contained in the medical record. In Lazorick v. Brown,256 the court noted: Notwithstanding the business record exception to the hearsay rule, Evid. R. 63(13), expert opinions recorded in business records by a declarant who is not available for cross-examination may be excluded as substantive proof if the opinions relate to diagnosis of complex medical conditions difficult to determine or substantiate.257 The contrary view was expressed in Baldyga v. Oldman,258 where plaintiff brought a claim alleging that the defendant negligently prescribed tetracycline resulting in discoloration of his permanent 254. Kinsella v. Kinsella, 150 N.J. 276, 329-30 (1997). 255. Correia v. Sherry, 335 N.J. Super. 60 (Law Div. 2000). 256. Lazorick v. Brown, 195 N.J. Super. 444 (App. Div. 1984). 257. Lazorick v. Brown, 195 N.J. Super. 444, 451 (App. Div. 1984). 258. Baldyga v. Oldman, 261 N.J. Super. 259 (App. Div. 1993). teeth. Defendant moved for summary judgment, asserting that there was no proof that the defendant had prescribed tetracycline to the plaintiff. In response to the motion, plaintiff supplied the report of an expert which stated that with a reasonable degree of dental certainty plaintiff had been prescribed tetracycline between the ages of three and six, which was during the time period that plaintiff was under the defendant’s care. The court noted that an expert may rely upon hearsay evidence to confirm an opinion which he reached by independent means.259 A more extensive analysis of the issue is found in Nowacki v. Community Medical Center,260 where plaintiff alleged that she broke her leg in several places when she fell while attempting to lift herself onto a treatment table. Plaintiff’s expert, an orthopedist, testified that the fall caused plaintiff to sustain the fractures. The defendants contended that the fractures were pathological and unrelated to the trauma. The trial court prohibited the defendants from utilizing portions of the hospital record which recorded that various physicians diagnosed the plaintiff as having pathological fractures. The trial court also precluded the defendants’ experts from testifying about those portions of the records. In affirming this decision, the Appellate Division stated: [T]he trial judge did not abuse her discretion by excluding portions of the hospital records in which non-testifying physicians concluded that the fractures suffered by plaintiff from her fall were ‘pathologic’ or ‘non-traumatic’. These records involved a complex diagnosis involving the critical issue in dispute as opposed to an uncontested diagnosis or insignificant issue.261 The Nowacki court distinguished Blanks v. Murphy,262 where “the included hearsay to which plaintiff objected was a straightforward observation of a treating physician.”263 The court also held that even though an expert can rely on hearsay, it was appropriate for 259. Baldyga v. Oldman, 261 N.J. Super. 259, 266 (App. Div. 1993). 260. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276 (App. Div. 1995). 261. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276, 284 (App. Div. 1995). 262. Blanks v. Murphy, 268 N.J. Super. 152 (App. Div. 1993). 263. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276, 284 (App. Div. 1995). the trial judge to “exclude hearsay of a complex medical condition under N.J.R.E. 808 and prior case law.”264 The court also noted that since defendant’s expert testified that he was able to make his diagnosis by reviewing the X-rays, the additional value of these hearsay statements by non-testifying physicians was marginal. In Blanks v. Murphy,265 the court allowed the use of the opinions found in medical records, and in Palmisano v. Pear,266 the trial court held that certain statements of the plaintiff found in the medical records of subsequent treating doctors were “self-serving and unnecessary for the purpose of medical diagnosis and treatment” and excluded the statements from evidence, and the Appellate Division affirmed.267 In Konop v. Rosen,268 the court ruled admissible a consulting physician’s report, distinguishing Nowacki, and observing that the “notation at issue in this case is a factual statement, not an opinion or complex diagnosis of a medical condition subject to exclusion under N.J.R.E. 808.”269 In Konop, the plaintiff suffered a perforated colon during a colonoscopy performed by defendant. The plaintiff’s expert concluded that the patient had not been adequately sedated. The expert’s opinion was based “exclusively upon a notation that appeared in a consultation report prepared by Dr. Victor S. Flores” which stated that the plaintiff’s colon was “accidentally perforated” and that “Pt. has tics and was moving too much at time of procedure.”270 Dr. Flores testified that he did not recall where he obtained the information contained in his note.271 The defendant moved to bar use of the note, asserting that it was inadmissible hearsay. The trial court granted the motion, and granted summary judgment to defendant.272 The appellate division reversed, relying upon New Jersey Rules of Evidence 803(c)(6), holding that the consultation report was admissible as a business 264. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276, 285 (App. Div. 1995). 265. Blanks v. Murphy, 268 N.J. Super. 152 (App. Div. 1993). 266. Palmisano v. Pear, 306 N.J. Super. 395 (App. Div. 1997). 267. Palmisano v. Pear, 306 N.J. Super. 395, 399 (App. Div. 1997). 268. Konop v. Rosen, 425 N.J. Super. 391 (App. Div. 2012). 269. Konop v. Rosen, 425 N.J. Super. 391, 405 (App. Div. 2012). 270. Konop v. Rosen, 425 N.J. Super. 391, 400 (App. Div. 2012). 271. Konop v. Rosen, 425 N.J. Super. 391, 399 (App. Div. 2012). 272. Konop v. Rosen, 425 N.J. Super. 391, 397-98 (App. Div. 2012). record.273 The court then noted, however, that Jersey Rule of Evidence 803(c)(6) is subject to New Jersey Rule of Evidence 808, which provides: Expert opinion which is included in an admissible hearsay statement shall be excluded if the declarant has not been produced as a witness unless the trial judge finds that the circumstances involved in rendering the opinion ... tend to establish its trustworthiness.274 However, the Konop court also held that since the notation was hearsay, and since the plaintiff offered the notation “to prove the truth of the matter asserted,” the notation should have been redacted from the report unless it fell within an exception to the hearsay rule. The court rejected claims that the note was admissible pursuant to New Jersey Rules of Evidence 803(c)(5), or New Jersey Rules of Evidence 703.275 In this case, the only condition to admissibility of Flores’ notation was that defendant made the statement. There was significant circumstantial evidence that she did. Other than plaintiff, defendant was the only person who was present both during the colonoscopy and at the hospital emergency room. The information contained in the notation regarding plaintiff’s physical condition, that she suffered from diverticulosis, immediately preceded the contested statement that plaintiff was ‘moving too much’ during the procedure. That plaintiff suffered from diverticulosis reflects information peculiarly within defendant’s knowledge, since she had just performed the procedure. It can be inferred further from McLean’s testimony–‘we always ask what ... the colonoscopy [was] done for, what did they see’—that defendant was the source of that information.276 273. Konop v. Rosen, 425 N.J. Super. 391, 404 (App. Div. 2012). 274. Konop v. Rosen, 425 N.J. Super. 391, 405 (App. Div. 2012) (quoting New Jersey Rules of Evidence 808). 275. Konop v. Rosen, 425 N.J. Super. 391, 405-07 (App. Div. 2012). 276. Konop v. Rosen, 425 N.J. Super. 391, 421 (App. Div. 2012). Therefore, in reversing, the court instructed: If the case proceeds to trial, the judge must provide a limiting instruction that the disputed notation may only be considered if the jury finds by a preponderance of the evidence that defendant made the statement. See Mays, supra, 321 N.J. Super. at 629; Kalola, supra, 344 N.J. Super. at 209. The parties are free to address with the judge whether a preliminary interrogatory should be submitted to the jury since the notation provides the only support for Solny’s opinion that defendant deviated from accepted medical standards.277 See also Macaluso v. Pleskin,278 which held that a treating doctor may testify about the opinions of a non-testifying doctor if the treating doctor relied on those opinions. See also Brun v. Cardoso,279 where the court held that an MRI may be interpreted by a physician qualified to read such films, and that the MRI report could not be “bootstrapped into evidence” through the testimony of another doctor. We have held that before introducing complex medical reports pursuant to N.J.R.E. 803(c)(6), the ability of the opposing side to cross-examine the author of such a report must be assured. Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276, 282-83 (App. Div.), certif. denied, 141 N.J. 95 (1995). In Nowacki, we held that it is ‘clearly established that medical opinions in hospital records should not be admitted under the business records exception where the opponent will be deprived of an opportunity to cross-examine the declarant on a critical issue 277. Konop v. Rosen, 425 N.J. Super. 391, 422 (App. Div. 2012); see also McLean v. Liberty Health Sys., 430 N.J. Super. 156 (App. Div. 2013) (holding that the trial court correctly granted an application for redaction of portions of medical records) (citing Nowacki v. Cmty. Med. Ctr., 279 N.J. Super. 276 (App. Div. 1995); Agha v. Feiner, 198 N.J. 50, 63 (2009)). 278. Macaluso v. Pleskin, 329 N.J. Super. 346, 355-358 (App. Div. 2000). 279. Brun v. Cardoso, 390 N.J. Super. 409 (App. Div. 2006). such as the basis for the diagnosis or cause of the condition in question.’ Ibid.280 Medical Examiner’s/Autopsy Reports The report of a medical examiner is admissible as evidence pursuant to N.J.S.A. 52:17B-92, which provides in relevant part that the records of the office of the State Medical Examiner shall be received as competent evidence of the matters and facts therein contained in any court in this State. This statute was relied upon in Pearson v. St. Paul,281 where the court held that the opinions contained in the medical examiners report are admissible in evidence. In Pearson, plaintiff’s 16-year-old daughter died after undergoing arthroscopic knee surgery. The procedure had been performed under general anesthesia administered by a nurse anesthetist. After the procedure, the child was brought to the recovery room where she went into cardiac arrest. The child suffered severe brain damage and died after being in a coma for five days. Because the medical examiner was not satisfied regarding the cause of death, he hired a board-certified anesthesiologist to review all of the records and information. The anesthesiologist stated “it appears that in the 10 or 15 minutes that the patient was in the recovery room, the watchful eye was not focused on the patient as much as it should have been, and therefore, allowed the arrest to have been longer than it appears on paper to have caused this kind of damage in a well 16 year old female.”282 The medical examiner’s expert also concluded that the patient received a considerable amount of respiratory depressant which was not properly neutralized, plus a muscle relaxant which also was not properly neutralized.283 The trial court excluded from evidence the report of the anesthesiologist retained by the medical examiner, Dr. Shapiro. The Appellate Division reversed, holding that “any defect in the prima facie case would have been cured by the report of an 280. Brun v. Cardoso, 390 N.J. Super. 409, 421-22 (App. Div. 2006); see also Agha v. Feiner, 198 N.J. 50 (2009); Brun v. Cardoso, 390 N.J. Super. 409 (App. Div. 2006). 281. Pearson v. St. Paul, 220 N.J. Super. 110 (App. Div. 1987). 282. Pearson v. St. Paul, 220 N.J. Super. 110, 117 (App. Div. 1987). 283. Pearson v. St. Paul, 220 N.J. Super. 110, 118 (App. Div. 1987). anesthesiologist hired by the medical examiner.”284 The court explained that the report of the anesthesiologist retained by the medical examiner was admissible pursuant to N.J.S.A. 52:17B92, which provides that the records of the medical examiner shall be admissible as evidence in any court of the state. The court reasoned: Dr. Shapiro’s report was not prepared for litigation. It was solicited by the medical examiner’s office and relied upon by that office in certifying to the cause of death. Dr. Shapiro’s opinions respecting the cause of death were medical rather than nonmedical, opinions based on medical facts. We are satisfied that it was therefore as much a part of the admissible record under that statute as any other part of the medical examiner’s file.285 A similar issue was addressed in Gaido v. Weiser,286 where plaintiff alleged that the defendant negligently failed to prevent her husband from committing suicide. Plaintiff ’s husband had a history of depression and attempted suicide, and therefore had been hospitalized. After discharge, plaintiff ’s husband came under the care of the defendant. Plaintiff ’s husband experienced severe anxiety attacks and depression after his discharge from the hospital, and he and his wife called the defendant on several occasions but was not seen by the defendant. The body of plaintiff ’s husband was found six days after his discharge from the hospital. The decedent, despite not being a drinker, was found to have a blood alcohol level of .23. The medical examiner concluded that the plaintiff ’s husband had drowned in an “accident,” as opposed to committing suicide. The jury found that the defendant was negligent but that his negligence was not a proximate cause of the decedent’s death. On appeal, plaintiff contended that the medical examiner was only a fact witness and that it was improper to allow the medical examiner’s opinions to be elicited by counsel for the defendant. 284. Pearson v. St. Paul, 220 N.J. Super. 110, 117 (App. Div. 1987). 285. Pearson v. St. Paul, 220 N.J. Super. 110, 118-19 (App. Div. 1987). 286. Gaido v. Weiser, 227 N.J. Super. 175 (App. Div. 1988), aff’d, 115 N.J. 310 (1989). The Gaido court noted that under Biro v. Prudential Insurance Co. of America,287 the defendant would not have been able to introduce the death certificate with the opinion.288 This was in conformance with N.J.S.A. 2A:82-12 (repealed January 6, 2000), which permitted the introduction into evidence of the death certificate for the “facts therein stated.” However, the Gaido court held that plaintiff opened the door to this testimony, and the trial court exercised appropriate discretion in admitting the death certificate into evidence.289 See also, Ausley v. County of Middlesex,290 where the plaintiff sought the release of laboratory specimens taken in connection with the autopsy of her sister. The husband of the decedent objected. Although the autopsy performed by the county medical examiner revealed no evidence of any improper treatment or misconduct, plaintiff retained a pathologist and sought access to the specimens taken during the autopsy. The county medical examiner refused to produce the specimens. The court observed that, medical specimens taken from a body during an autopsy are not included in the definition of ‘government records’ under OPRA, N.J.S.A. 47:1A-1.1, except, among other situations, ‘for the use as a court of this State permits, by order after good cause has been shown’ upon application made on notice to the county prosecutor.291 The court reviewed the relevant statute and regulations and held that the regulations plainly confer standing upon a member of the deceased’s immediate family. Hence plaintiff, as the decedent’s sister, had standing to apply for permission to examine the specimens.292 287. Biro v. Prudential Ins. Co. of Am., 57 N.J. 204 (1970), rev’g on dissent 110 N.J. Super. 391, 402 (App. Div. 1970). 288. Gaido v. Weiser, 227 N.J. Super. 175, 188 (App. Div. 1988), aff’d, 115 N.J. 310 (1989). 289. Gaido v. Weiser, 227 N.J. Super. 175, 189 (App. Div. 1988), aff’d, 115 N.J. 310 (1989). 290. Ausley v. Cnty. of Middlesex, 396 N.J. Super. 45 (App. Div. 2007). 291. Ausley v. Cnty. of Middlesex, 396 N.J. Super. 45, 49-50 (App. Div. 2007). 292. Ausley v. Cnty. of Middlesex, 396 N.J. Super. 45, 50 (App. Div. 2007). See also N.J.S.A. 52:17B-86, which requires an investigation of certain types of deaths, including Violent deaths, … Deaths not caused by readily recognizable disease, disability or infirmity … Deaths under suspicious or unusual circumstances … Deaths within 24 hours after admission to a hospital or institution. See also, N.J.S.A. 52:17B-87, Notification of county medical examiner and prosecutor, and N.J.S.A. 52:17B-88, Findings; report; autopsy; conclusions; copy to closest surviving relative; transportation of body. See also, N.J.A.C. 8:43G-25.3, Post Mortem Patient Services, which provides that “[t]he medical staff shall attempt to secure autopsies in cases of unusual deaths, deaths from unknown causes, and cases of medicolegal and educational interest, unless otherwise provided for by law.” That section also states that “[t]he hospital shall notify the county medical examiner or prosecutor immediately upon a patient’s death when the circumstances of the death fall within the criteria specified in N.J.S.A. 52:17B-86 of the State Medical Examiners Act, N.J.S.A. 52:17B-78 et seq.” See also, N.J.S.A. 47:1A-1.1 which permits disclosure of autopsy photographs “[f]or the use as a Court of this State permits, by order after good cause has been shown.” Records and Reports of Board of Health , Board of Medical Examiners The New Jersey Department of Health, P.O. Box 367, Trenton, New Jersey 08625, investigates complaints against health care facilities. The Department of Health maintains a complaint hotline at 1-800-792-9770. The New Jersey Board of Medical Examiners, Box 183, Trenton, NJ 08625-0183, investigates complaints against physicians. Complaints can be filed at http://www.state.nj.us/lps/ ca/bme/. These agencies will issue reports and sometimes order that corrective action be taken where appropriate. In certain circumstances portions of the reports of these agencies may be evidential in cases against the health care provider. In Delgaudio v. Rodriguera,293 plaintiff alleged that the defendant prescribed a medication which had the side effect of destruction of red blood cells. Plaintiff claimed that he told the doctor during an office visit that he saw blood in his urine, which would have been a symptom of this side effect. Defendant, noting the absence of such a complaint in his office chart, denied being advised of this complaint. All of the experts agreed that if plaintiff complained of blood in his urine then the defendant was obligated to discontinue the medication. Plaintiff obtained certain portions of the records of the Board of Medical Examiners, which had held license suspension and revocation proceedings against defendant. The trial court precluded plaintiff from utilizing this information and the jury returned a verdict for the defendant. The Appellate Division reversed, stating that the information was admissible for impeachment of the defendant’s credibility. The court concluded: Here, the Board expressly opined that defendant was not truthful and, more to the point, not truthful within the context of his record-keeping. We think that opinion is expressed in the portions of its two decisions which we have isolated. Those portions may be used to impeach defendant, albeit the underlying incidents that form the basis therefor may not be. Again, we caution that this is not bad conduct, habit or custom, or skill or care evidence and we reject plaintiff’s contentions in connection therewith. The underlying instances of misconduct or the fact of a suspension and revocation are likewise not admissible.294 However, the court warned: We emphasize, however, that our ruling is quite narrow in scope. It is limited to very specific portions of the Board’s decisions and limited to the use of those portions only as extrinsic evidence 293. Delgaudio v. Rodriguera, 280 N.J. Super. 135 (App. Div. 1995). 294. Delgaudio v. Rodriguera, 280 N.J. Super. 135, 144 (App. Div. 1995). of impeachment pursuant to N.J.R.E. 607 and 608 and not as substantive evidence. As such, its use requires an accompanying jury instruction as to its limited consideration which, we would think, should be given by the trial judge, at the least, upon its initial use and again in the jury charge at the end of the case. Moreover, because there are only small portions of the Board’s decisions that can be used by counsel in examining the witnesses, the Board’s decisions, or any other part of the administrative record, which should of course be marked for identification, should not be independently admitted into evidence. Rather, counsel should incorporate the critical portions in appropriate questions. We leave it to trial counsel to formulate such questions, but any reference to the Board’s decisions must be limited to what we herein set forth. We hasten, however, to add that our ruling is based upon the record as it has been presented to us and limited to our consideration of plaintiff’s examination of defendant and defendant’s liability experts. Our ruling should not be read to limit further use of the Board’s decisions or the relevant underlying findings in the event defense counsel, through his or her own questions, opens the proverbial door.295