L.S. VS. JONATHAN FELLUS, M.D.(L-7684-10, ESSEX COUNTY AND STATEWIDE) ( 2017 )


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  •                         NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    This opinion shall not "constitute precedent or be binding upon any court."
    Although it is posted on the internet, this opinion is binding only on the
    parties in the case and its use in other cases is limited. R. 1:36-3.
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NO. A-5520-14T3
    L.S.,
    Plaintiff-Respondent,
    v.
    JONATHAN FELLUS, M.D.,
    Defendant-Appellant,
    and
    KESSLER INSTITUTE FOR
    REHABILITATION, INC. and
    KESSLER PROFESSIONAL SERVICES,
    LLC,
    Defendants.
    ___________________________________
    Argued September 13, 2016 – Decided November 3, 2017
    Before Judges Fisher, Ostrer and Vernoia.
    On appeal from the Superior Court of New
    Jersey, Law Division, Essex County, Docket No.
    L-7684-10.
    Evan L. Goldman argued the cause for appellant
    (Goldman, Davis & Gutfleish, PC, attorneys;
    Mr. Goldman, on the briefs).
    Dennis M. Donnelly argued the cause for
    respondent (The Donnelly Law Firm, LLC,
    attorneys; Mr. Donnelly, on the brief).
    The opinion of the court was delivered by
    OSTRER, J.A.D.
    Plaintiff    (whom    we     identify    by    initials    to    protect     her
    privacy) sued Jonathan Fellus, M.D., her former physician and
    neuro-rehabilitation specialist, for mental health injuries he
    caused when he engaged in a sexual relationship with her while
    treating her for a brain injury.               At trial, plaintiff claimed —
    in what defendant asserted was a delusion — that he began stalking
    and tormenting her three years after he terminated both the sexual
    and    professional    relationships.            To   challenge    the      truth    of
    plaintiff's      allegation,        defense     counsel    asked       plaintiff     to
    speculate about what prompted defendant to stalk her after so much
    time passed.      Plaintiff answered, "I refused an offer for $750,000
    . . . ."
    Defense counsel swiftly objected and sought a mistrial.                      The
    trial judge sustained the objection, but denied the mistrial
    request, concluding that his curative instructions prevented any
    prejudice.       After the jury returned a verdict of $1.5 million in
    compensatory      damages,    and     $1.7     million    in   punitive     damages,
    defendant again argued, this time in support of a new trial motion,
    that mentioning the alleged settlement offer deprived him of a
    fair    trial.      The     judge    disagreed,       concluding       he   delivered
    2                                        A-5520-14T3
    appropriate    curative      instructions,    which      the    jury     perforce
    followed.
    In deciding whether the trial court mistakenly exercised its
    discretion in denying a mistrial and new trial motion, we must
    consider the efficacy of a curative instruction when a jury hears
    evidence of an alleged settlement offer, which, as it happens,
    defendant     never   even    made.        Under   the    totality       of    the
    circumstances, we conclude the court's instruction sufficed, the
    court's determination to deny a mistrial or a new trial is worthy
    of our deference, and reversal is not required to avoid a manifest
    injustice.     We also reject defendant's other challenges to the
    judgment, except we are constrained to remand for further findings
    regarding the punitive damage award.
    I.
    Defendant admitted he engaged in a sexual relationship with
    plaintiff, then thirty-three years old, who sought his treatment
    following     an   automobile    accident.         He    also   admitted        the
    relationship violated his professional and legal duties.                      Thus,
    liability was not at issue in the bifurcated trial of compensatory
    and then punitive damages.
    The sexual relationship spanned several months.                   It started
    with petting in an examination room at the hospital where defendant
    was a department head; and progressed to sexual intercourse at his
    3                                        A-5520-14T3
    home and a Newark hotel.            Shortly after defendant told plaintiff
    he was breaking it off, she learned she was pregnant.                   Defendant
    successfully persuaded plaintiff to terminate her pregnancy.                     And
    he   paid    for     the    abortion.      Despondent    thereafter,    plaintiff
    evidenced suicidal ideation, leading to her brief commitment to a
    mental      health    hospital.         Upon   her   release,   she   returned   to
    defendant      as     her    treating     physician.        During    that    post-
    hospitalization visit, she performed oral sex on him.                    That was
    her last visit with defendant.
    In various ways, the jury could find that defendant made this
    obviously bad conduct worse.              There was sufficient evidence for
    the jury to conclude he exploited a susceptible patient; pushed
    aside impediments to the sexual relations; continued despite signs
    he was harming plaintiff; and took actions that served his own
    self-interest rather than his patient's.
    Plaintiff was no ordinary patient.               As defendant determined,
    she had an apparent mild traumatic brain injury, plus various
    related     ailments       and   conditions,    including    elements    of   post-
    traumatic stress disorder, and seizure-like activity.                   That made
    her vulnerable to abuse, and susceptible to harm.1                      Physicians
    1
    In an apparent effort to blunt plaintiff's damage claim, the
    defense elicited evidence of plaintiff's behavioral problems
    before she sought treatment from defendant. That was obviously a
    double-edged sword, as the jury may have concluded that plaintiff's
    4                              A-5520-14T3
    like    defendant,    who    provide     psychotherapeutic       treatment,      are
    subject to heightened restrictions on sexual relationships with
    patients, which are nonetheless banned for all physicians.                       See
    N.J.A.C. 13:35-6.3.         Despite all that, defendant engaged in sexual
    contacts with plaintiff.
    After    defendant's    physical       advances   at    the   first   office
    visit, plaintiff appeared with her mother at the next visit.                   Yet,
    defendant was able to exclude the mother from the examining room,
    enabling him to continue his inappropriate physical contacts.                     A
    couple days following that visit, plaintiff had a seizure-like
    episode.       Nonetheless, defendant persisted in his behavior at a
    third office visit, after which plaintiff had another seizure-like
    episode.   The hospital eventually terminated her treatment because
    she was a fall risk.
    Before    engaging    in   sexual   intercourse        with   plaintiff   at
    defendant's house, plaintiff said she felt he commanded her to
    drink   wine.      Defendant      knew   it    was    contraindicated    for     the
    prescription drugs she was taking.                   When she became pregnant,
    plaintiff said he insisted she have an abortion, stating it would
    ruin his career, and threatened that he would "not be there" for
    pre-existing condition made her more vulnerable, and defendant's
    actions more reprehensible, than they otherwise would have been.
    5                             A-5520-14T3
    her.    He did not accompany her to the termination.              Nor did he
    tell her to get counseling in its aftermath.
    Plaintiff was despondent and continued seeing a psychologist
    — in fact the one who referred her to defendant in the first place.
    The psychologist concluded plaintiff was not a danger to herself.
    However, he was unaware of the abortion.            During the days after
    it, the psychologist conferred with defendant, but he did not
    disclose it.       Thereafter, plaintiff locked herself in her room
    with her father's firearms.          Her hospital commitment followed.
    Plaintiff    believed   that     defendant   interfered     with   her
    treatment by physicians she saw after her last visit with him.
    Although defendant denied he contacted plaintiff's doctors after
    she stopped seeing him, he was confronted with emails he exchanged
    with a physician plaintiff saw at New York University soon after
    his treatment of plaintiff ended.          Plaintiff stopped seeing that
    physician because she believed defendant was interfering with her
    treatment.         Defendant   also    contacted    plaintiff's    referring
    psychologist after plaintiff's last visit, but never revealed to
    him that he had a sexual relationship with plaintiff.              Plaintiff
    testified that she was getting some help with her seizures from
    her current physician, but had not disclosed her relationship with
    defendant, out of fear that it would affect the physician's
    treatment.
    6                                   A-5520-14T3
    About a year-and-a-half after the end of their relationship,
    plaintiff sued defendant and the hospital where he treated her.
    Defendant      initially     denied      the    allegations     of    a     sexual
    relationship, and did so to the hospital as well.                     After the
    hospital fired him, he found a job at another hospital, without
    disclosing the details of his relationship with plaintiff.                     That
    second hospital ultimately terminated defendant.               About five-and-
    a-half years after his last sexual encounter with plaintiff, the
    New Jersey Board of Medical Examiners revoked his license to
    practice medicine.
    Thus, the jury could conclude that despite the apparent
    reverberations of his sexual relations with plaintiff, defendant
    made     silence   and     preserving     his    professional       and    marital
    relationships      more    important     than   disclosing    the    affair     and
    securing help for plaintiff.           Although defendant readily admitted
    at trial that he violated his professional responsibility, he
    denied he was a predator and claimed he "fell for" plaintiff. Yet,
    even the cold trial record of his testimony reflects an apparent
    effort    to    shift     some   blame    to    plaintiff     for    the    sexual
    relationship, and to minimize his responsibility for events that
    followed.      That apparently did not sit well with the jury.
    In his opening statement in the compensatory damage phase,
    defense counsel conceded that defendant's actions caused plaintiff
    7                                        A-5520-14T3
    harm, and suggested that the issue at trial was how much. However,
    in closing, the defense seemed to argue that plaintiff had failed
    to prove she was entitled to any compensatory damages.
    Experts from the two sides disagreed about the behavioral
    health    consequences     of    defendant's           actions.    Peter    C.    Badgio,
    Ph.D., a psychologist, and Peter M. Crain, M.D., a neurologist,
    testified       for   plaintiff.          Three    years    after      treatment       with
    defendant ended, and four years after the auto accident, Dr. Badgio
    opined    that    plaintiff     suffered        from    a   "conversion      disorder,"
    meaning her psychological issues were converted into a physical
    complaint, specifically, seizures.                     Dr. Badgio testified that
    plaintiff had issues with judgment and impulsivity.                        He concurred
    in defendant's diagnosis, reported in his medical records, that
    plaintiff    suffered     from     brain        damage.      Dr.   Badgio        testified
    plaintiff was not able to act in her best interests, or handle the
    relationship with defendant.               He opined that defendant's actions
    had a "devastating" impact on plaintiff.
    Dr. Badgio found that plaintiff had major depression, which
    was concealed by her conversion disorder, but was a "direct result
    of   [plaintiff's]       experiences            with    [defendant]        and     [their]
    consequences."        Dr. Badgio concluded that plaintiff's conversion
    disorder started before she began seeing defendant, but persisted
    because    of    defendant;     and       the   chances     of    it   improving       were
    8                                            A-5520-14T3
    "guarded" because of plaintiff's mistrust of medical professionals
    due to defendant's actions.
    Dr. Badgio saw plaintiff a second time three years later, and
    found the emotional problems she suffered as a result of her
    interaction with defendant had worsened.         Plaintiff was no longer
    suppressing   her   depression     with    physical   symptoms,   and   her
    symptoms were manifesting into paranoia.         Dr. Badgio stated that
    the paranoia made it hard for plaintiff to seek help and get
    better.   Although anti-psychotic medication might assist her in
    entering a positive therapeutic relationship, Dr. Badgio thought
    the chances were "very slim."        Dr. Badgio also believed defendant
    contributed   to    the   severity   and   persistence   of   plaintiff's
    seizures, and was the cause of plaintiff's "downhill trajectory."
    Dr. Badgio concluded that plaintiff's delusions were a result of
    her post-traumatic experiences with defendant.
    Dr. Crain first examined plaintiff four years after the end
    of defendant's treatment.      He concluded in a report that "[a]s a
    result of a sexual affair with [defendant] while under his care,
    a resulting pregnancy, followed by an abortion — and the breakup
    of their complicated relationship," he diagnosed plaintiff with
    "exacerbation of emotional dysregulation of a traumatic brain
    injury" and "adjustment disorder with depressed mood."            Although
    9                                   A-5520-14T3
    Dr. Crain initially believed these conditions were "permanent in
    nature," he later testified he was wrong about that.
    When Dr. Crain examined plaintiff a second time two years
    later,   he   diagnosed   plaintiff    with   delusional      disorder        of   a
    persecutory or paranoid nature.        As a result, plaintiff would not
    "consider treatment with" medical professionals because of her
    delusion that defendant would influence any doctor she saw.                    Dr.
    Crain testified that plaintiff's delusions magnified after she
    filed a claim with the Board of Medical Examiners.                    Dr. Crain
    concluded that plaintiff no longer suffered from the seizures she
    experienced as a result of the car accident, but that she suffered
    from a delusional disorder, which was "psychosis."              He testified
    that     medication   could     "substantially       reduce"      plaintiff's
    delusions, but that she had not been prescribed any medication
    because she refused to see a psychiatrist due to her distrust of
    mental health professionals that was caused by defendant.                      Dr.
    Crain testified that this second diagnosed condition was permanent
    and caused solely by defendant.
    Defense   expert     Barry     Rosenfeld,     Ph.D.,       a    forensic
    psychologist,    examined     plaintiff   over     five   years       after    the
    relationship between plaintiff and defendant ended. Dr. Rosenfeld
    found that plaintiff did not exhibit any signs of deliberately
    fabricating her symptoms in an attempt to punish defendant or
    10                                       A-5520-14T3
    bolster her litigation.          Unlike plaintiff's experts, he found no
    evidence of a delusional disorder.             He concluded plaintiff had
    psychosomatic symptoms, suggesting conversion of psychological
    symptoms into medical symptoms.              He explained that plaintiff
    "genuinely believes she has a seizure disorder" that is "not
    physical   in    nature"   but    is    "psychological    in   nature."     Dr.
    Rosenfeld did not see any evidence to suggest that plaintiff's
    conversion      disorder   was     related    to   her    interactions    with
    defendant, because the symptoms began before she met defendant,
    and they did not noticeably worsen until years after plaintiff and
    defendant ended their relationship.
    As    noted,   the    jury    awarded    plaintiff    $1.5   million    in
    compensatory damages.        Defendant was the sole witness in the
    punitive damages phase, which resulted in a $1.7 million award.
    Defendant raises the following points on appeal:
    POINT I
    DURING CROSS EXAMINATION, PLAINTIFF STATED
    WHEN ASKED A QUESTION AS TO WHY SHE WAITED SO
    LONG TO REPORT CERTAIN BEHAVIOR TO THE POLICE,
    "I   REFUSED   AN  OFFER   FOR   $750,000.00."
    ALTHOUGH A CURATIVE INSTRUCTION WAS GIVEN,
    THIS WAS CAUSE FOR AN IMMEDIATE MISTRIAL WHICH
    WAS REQUESTED AND THE COMMENT MADE BY
    PLAINTIFF (INACCURATE AS IT WAS) HAD THE
    EFFECT OF TAINTING THE TRIAL, WHICH RESULTED
    IN A COMPENSATORY VERDICT IN THE AMOUNT OF
    $1,500,000.
    11                                 A-5520-14T3
    POINT II
    THE AWARDS OF $1,500,000 FOR COMPENSATORY
    DAMAGES AND $1,700,000 FOR PUNITIVE DAMAGES
    WERE SO EXCESSIVE AND NOT BASED UPON ANY
    REASONABLY RELIABLE EVIDENCE.       FOR THIS
    REASON,   THE   TOTAL  VERDICT   SHOCKS   THE
    CONSCIENCE AND A NEW TRIAL MUST BE ORDERED ON
    ALL ISSUES.
    A.   Under The Law Regarding Punitive Damages,
    It Is Clear That The Verdict Of
    $1,700,000 Was Excessive Based Upon The
    Factors That The Jury Should Consider
    When Determining The Amount Of The Award.
    POINT III
    PERMANENCY WAS NOT IN THE CASE.      NO DOCTOR
    TESTIFIED AS TO PERMANENCY, AND THE CLOSEST
    THAT ANY DOCTOR CAME WAS WHEN DR. CRAIN STATED
    THAT THE PLAINTIFF'S PROGNOSIS WAS POOR. NO
    FURTHER EXPLANATION WAS GIVEN.     PLAINTIFF'S
    COUNSEL DID NOT ARGUE PERMANENCY IN HIS
    SUMMATION.   YET THE COURT CHARGED THE JURY
    WITH A PERMANENCY CHARGE, ALLOWING THEM TO
    DECIDE HOW LONG INTO THE FUTURE THE INJURIES
    ARE REASONABLY LIKELY TO LAST.     EVEN THOUGH
    THIS WAS NOT OBJECTED TO BY COUNSEL AT THE
    TIME, THIS WAS PLAIN ERROR AND THEREFORE
    REVERSIBLE.
    POINT IV
    DURING HIS OPENING STATEMENT TO THE JURY IN
    THE PUNITIVE DAMAGE PHASE OF THE TRIAL,
    PLAINTIFF'S COUNSEL ARGUED THAT BY ITS VERDICT
    THE JURY SHOULD "SEND A MESSAGE TO DOCTORS"
    THAT THIS TYPE OF BEHAVIOR SHOULD NOT BE
    PERMITTED.    THIS STATEMENT WAS IMMEDIATELY
    OBJECTED TO BY COUNSEL AND AFTER IT WAS
    SUSTAINED PLAINTIFF'S COUNSEL MODIFIED HIS
    STATEMENT TO "SENDING A MESSAGE TO DR.
    FELLUS."   "SENDING A MESSAGE" IS CLEARLY AN
    IMPERMISSIBLE STATEMENT AND WARRANTS A NEW
    TRIAL.
    12                             A-5520-14T3
    POINT V
    PRIOR TO ENTERING A JUDGMENT ON THE ISSUE OF
    PUNITIVE DAMAGES, THE COURT WAS REQUIRED TO
    DETERMINE THE "REASONABLENESS" OF THE AWARD.
    AS THE COURT DID NOT DO THIS, DESPITE A REQUEST
    TO DO SO, THERE MUST BE A NEW TRIAL ON THE
    ISSUE OF PUNITIVE DAMAGES.
    II.
    A.
    The only issue worthy of extended discussion is defendant's
    argument that plaintiff's disclosure of an alleged settlement
    offer caused irremediable prejudice.     As noted above, plaintiff's
    experts testified that she had begun to suffer from paranoia and
    delusions.   They    also   testified   that   defendant   caused   this
    condition, by engaging in the sexual relationship, and ending it
    the way he did.     Plaintiff did not recognize her perceptions as
    delusions. She testified that she began to perceive that defendant
    was stalking her beginning in 2011 or 2012.        She claimed he was
    responsible for hacking her computer; stalking her; sending people
    to her gym to mock her, or intimidate her by striking poses that
    would remind her of defendant.
    During cross-examination, defense counsel asked a series of
    open-ended questions, culminating with:
    Q    Okay. So, do you know what prompted
    [the stalking] four years ago as opposed to
    why it didn't start six years ago?
    A.     I refused an offer for $750,000 –
    13                                A-5520-14T3
    [DEFENSE ATTORNEY]:   Objection, Your
    Honor, objection.  Can we approach sidebar,
    please?
    THE COURT:   Yes.    Excuse us.
    After an unrecorded sidebar, at which defense requested, and
    the   court     denied,     a   mistrial,   the     judge    gave    a    curative
    instruction. Although the court sustained defendant's objections,
    the   court    did    not   expressly    instruct   the     jury    to   disregard
    plaintiff's statement, nor limit its use in any way.                      Rather,
    apparently unintentionally, the judge instructed the jury that
    what plaintiff said from the witness stand was admissible, but the
    issue plaintiff raised would not be pursued further.                 He stated:
    THE COURT: All right, the objection is
    sustained. That's an area that will not be
    further delved into. Keep in mind, ladies and
    gentlemen, and I'll tell you this — I told you
    this before and I'll tell you again.      What
    lawyers say and in the course of their asking
    a question, when they say something, merely
    because they say it doesn't make it so. They
    are not testifying. What they offer is not
    evidence. What is evidence is what comes from
    the witness stand as a result of any question
    that they might ask or as a result of any –
    any evidence.    Keep — documentary evidence
    that I may allow into evidence, okay.       If
    there's a question being asked of the witness
    and I don't overrule the question before the
    question is asked, because I don't know what
    the question is, or before the answer is made,
    then you'll get to hear the answer to the
    question. Please continue.
    [(Emphasis added).]
    14                                      A-5520-14T3
    The cross-examination continued briefly and the court recessed for
    the day.
    The next morning, defense counsel renewed his request for a
    mistrial, which the court denied.              Plaintiff's counsel expressed
    reservations about any curative instruction, because it would
    reinforce the prejudice of plaintiff's remark.             However, the judge
    expressed     his    confidence     in   the     jury's   ability   to    follow
    instructions.        The judge's curative instruction corrected his
    statement made the previous afternoon, and expressly directed the
    jury to disregard any and all testimony about settlement offers —
    apparently     referring     not    only    to    plaintiff's   most      recent
    allegation,    but    also   to    the   prior   testimony   from   defendant.
    Defendant had admitted he asked the Board of Medical Examiners to
    let him keep his license so he would be in a position to compensate
    plaintiff.     He also testified, without objection, that after he
    was sued, he was unsure how the case would be resolved, and whether
    he would have insurance.          He stated he thought the case might be
    susceptible to a cash settlement.
    The judge explained that courts encourage settlement, because
    it serves parties' interests and spares juries the burden of
    service.     Yet, settlement discussions should have no impact on
    determining a party's liability to pay damages to another.                      We
    quote the curative instruction at length:
    15                                    A-5520-14T3
    THE COURT: One thing I have to do before
    we resume testimony. During the course of the
    testimony, you heard, a couple of times, you
    — you may or — may or may not have heard a
    couple of times, I know I did more than once
    here, some testimony from witnesses with
    regard to the ability or lack thereof to
    resolve this case short of a jury verdict.
    Well, what we call settlement.
    Now, I'm sure you all recognize the fact
    that a settlement is a way of life in the
    litigation area. It's just to — it's in the
    parties' best interests and the courts
    encourage the ability of parties to be able
    to resolve a case without — by settlement
    without the necessity of having a trial and
    having — inconveniencing you all and — but,
    the ability to do that and the ability to have
    a trial is really the fundamental part of our
    system. When — while we encourage resolution
    short of a trial, we — we understand, as a
    matter of law, that that is — that that occurs
    and yet, at the same time, we also understand
    that the fact of it occurring has absolutely
    nothing to do with the determination as to
    whether or not there is a legitimate cause of
    action. In other words, a liability on the
    part of a defendant, any given defendant, to
    pay damages to any given plaintiff.
    The fact that there's — there is ever any
    discussion with regard to resolution is not
    something that we can properly take into
    consideration in determining the issues that
    a jury and a judge has to determine. It plays
    no part and it cannot and should not play any
    part in a jury's consideration or a judge's
    consideration, for that matter.
    So as a result, no one is permitted to
    talk about — I think I mentioned many times
    that — to keep in mind that — that what lawyers
    tell you is not evidence. What is evidence
    is what comes from the witness stand.       But
    what I probably failed to tell you, and I'm
    16                             A-5520-14T3
    telling you now, is that sometimes, you hear
    statements from the witness stand that has no
    business being considered as a matter of law
    by you or me.    Those kinds of things — an
    example of that that we have heard here is any
    comments with regard to settlement in — of
    this case. It obviously has not been settled.
    And so here we are. And we can't take
    into any consideration whether or not there
    has been any settlement discussions, any
    resolution or lack thereof, and what — what
    was the cause of it, what was the — the
    parameters in which it was — none of that is
    an — is our business.     Our business is to
    reach a conclusion based upon the evidence
    that's presented and my instructions as to the
    law and nothing short or — nothing short of
    that and nothing greater than that. Which is
    one of the reasons why I tell you not to
    discuss the case among yourselves, certainly
    not with anyone else, not to look up anything
    on the internet because it's only what you
    hear here in the courtroom.
    Now, sometimes you'll hear things in the
    courtroom that you're not supposed to take
    into consideration. And it's my job to tell
    you not to take that into consideration. And
    that's what I'm telling you now. To the degree
    to which you heard anything with regard to
    resolution of this case by anyone in any
    manner in any degree or anything about it, you
    may not consider that in the course of your
    deliberations.
    And what I even ask you to do — I'm going
    to go to the extent right now to ask you to —
    since in this case, you're allowed to take
    notes, to take a minute. You may remember and
    may not actually have to do it. But to the
    degree to you don't remember or just to be
    sure, take a minute now and review your notes
    and see — and make sure that if you did say
    anything in your notes or write anything in
    your notes with regard to any settlement
    17                             A-5520-14T3
    conversations that anybody had with regard to
    the testimony, cross it out. Okay? Take that
    time now. Nobody feels the need to do that?
    If you do, take a minute right now.
    In support of a new trial motion, defense counsel again argued
    that plaintiff's reference to an alleged settlement offer was
    prejudicial.    He contended that the jury must have relied on the
    alleged $750,000 offer, because it awarded precisely twice that
    amount in compensatory damages.        He also argued that the alleged
    offer tainted the punitive damage award by leading the jury to
    believe that defendant was able to pay at least a $750,000 award,
    even though his financial statement indicated a total net worth
    of slightly less than that amount.
    The court denied the new trial motion.           The judge found that
    "defendant's outrageous behavior" as presented "throughout the
    trial" "clearly justified" the award.           Thus, defendant failed to
    demonstrate, under Rule 4:49-1, "clearly and convincingly . . . a
    miscarriage of justice under the law."          The court found that the
    quantum of damage did not shock the conscience, citing He v.
    Miller, 
    207 N.J. 230
     (2011).
    With regard to plaintiff's reference to an alleged settlement
    offer,   the   judge   noted   that   "trials   are   messy   things,"   and
    plaintiff's statement "arose out of defense counsel's repeated use
    of open ended questions in cross examination."          The court surmised
    that none of the jurors even recorded plaintiff's remarks in their
    18                             A-5520-14T3
    notebooks, because he observed that they did not react when he
    directed the jury to cross out any notes of plaintiff's remarks.
    The judge found that its curative instruction sufficed to remediate
    any prejudice:
    The Court immediately and effectively
    addressed the comment directing the jury to
    disregard the improper reference and did so
    without unduly bringing attention to the
    content.    I'm satisfied the problem was
    adequately addressed.
    . . . .
    This jury paid careful attention to the
    Court's charge as well as its instructions
    throughout the trial, including any curative
    instructions.
    B.
    On appeal, defendant renews his argument that the judge's
    instruction   was   ineffective.        He   contends   that    plaintiff's
    disclosure was too prejudicial to be curable. Plaintiff disagrees,
    contending that we should defer to the trial judge's feel of the
    case, his assessment of the impact of the testimony, and the
    effectiveness of his instruction.
    1.
    We consider first our standard of review of a trial judge's
    denial of a mistrial and a motion for a new trial.             The Court in
    State v. Winter, 
    96 N.J. 640
    , 646-47 (1984) addressed the specific
    issue posed here — "[t]he decision on whether inadmissible evidence
    19                                     A-5520-14T3
    is of such a nature as to be susceptible of being cured by a
    cautionary or limiting instruction, or instead requires the more
    severe response of a mistrial . . . ."          The Court held the decision
    "is one that is peculiarly within the competence of the trial
    judge, who has the feel of the case and is best equipped to gauge
    the effect of a prejudicial comment on the jury in the overall
    setting."     
    Id. at 647
    .     Consequently, "[a] motion for a mistrial
    is addressed to the sound discretion of the [trial] court; and the
    denial   of   the   motion    is    reviewable    only   for   an   abuse    of
    discretion."     
    Ibid.
     (quoting State v. Witte, 
    13 N.J. 598
    , 611
    (1953)); see also State v. Harvey, 
    151 N.J. 117
    , 205 (1997)
    (stating an appellate court must find "an abuse of discretion that
    results in a manifest injustice" to overturn a trial court's
    mistrial ruling).     The same deferential standard that applies to
    the mistrial-or-no-mistrial decision, applies to review of the
    curative instruction itself.            Winter, 
    supra,
     
    96 N.J. at 647
    .
    Although we apply the same standard to a new trial motion
    that the trial court does — whether it "clearly and convincingly
    appears that there was a miscarriage of justice under the law,"
    R. 4:49-1(a) — we do not write on a clean slate.               Here, too, we
    "must afford 'due deference' to the trial court's 'feel of the
    case,' with regard to the assessment of intangibles, such as
    witness credibility."        Jastram v. Kruse, 
    197 N.J. 216
    , 230 (2008)
    20                                 A-5520-14T3
    (quoting Feldman v. Lederle Labs., 
    97 N.J. 429
    , 463 (1984)). "[I]t
    is the trial judge who sees and hears the witnesses and attorneys,
    and who has a first-hand opportunity to assess their believability
    and their effect on the jury."             
    Ibid.
    In particular, a trial court is in the best position to assess
    the impact of an evidentiary ruling.               In Crawn v. Campo, 
    136 N.J. 494
    , 512 (1994), the trial court held, in the midst of trial, that
    the plaintiff's counsel's improper comment did not warrant a
    mistrial, but, at the end of trial, the trial court concluded that
    its ruling, in conjunction with other erroneous rulings, warranted
    a new trial.         Based on the trial court's ability to assess the
    witnesses' credibility, the Supreme Court held, "Deference should
    be    accorded   to    the   trial     court's     conclusion    concerning     the
    prejudice attributable to the" trial court's rulings and "the
    extent to which that prejudice contributed to an unjust result."
    Ibid.
    2.
    We recognize the tension in our case law governing curative
    and limiting instructions.             The authority is legion that courts
    presume juries follow instructions.                See e.g., State v. Loftin,
    
    146 N.J. 295
    ,    390    (1996)    ("That      the   jury   will   follow   the
    instructions given is presumed.").              The presumption is founded in
    part on necessity.           "[T]he courts must rely upon the jurors'
    21                                   A-5520-14T3
    ability and willingness to follow the limiting instruction without
    cavil or question."        State v. Manley, 
    54 N.J. 259
    , 270 (1969).
    The presumption is "[o]ne of the foundations of our jury system
    . . . ."    State v. Burns, 
    192 N.J. 312
    , 335 (2007).
    Yet,    some   view   the    presumption   as   a     myth.     "The   naïve
    assumption    that    prejudicial       effects      can    be     overcome     by
    instructions to the jury . . . all practicing lawyers know to be
    unmitigated fiction."        State v. Boone, 
    66 N.J. 38
    , 48 (1974)
    (quoting Krulewitch v. United States, 
    336 U.S. 440
    , 453, 
    69 S. Ct. 716
    , 723, 
    93 L. Ed. 790
    , 799 (1949) (Jackson, J., concurring)).
    Noting, if not adopting that skeptical view, our Supreme Court has
    found, "There are undoubtedly situations in which notwithstanding
    the most exemplary charge, a juror will find it impossible to
    disregard such a prejudicial statement."              
    Ibid.
            In Boone, for
    example, the Court found that the admission of the defendant's
    prior but withdrawn guilty plea presented such a situation.                     
    66 N.J. at 50
    .
    The United States Supreme Court reached the same conclusion
    regarding the admission of a co-conspirator's confession that
    implicates a defendant.          "[T]here are some contexts in which the
    risk that the jury will not, or cannot, follow instructions is so
    great, and the consequences of failure so vital to the defendant,
    that the practical and human limitations of the jury system cannot
    22                                    A-5520-14T3
    be ignored."   Bruton v. United States, 
    391 U.S. 123
    , 135, 
    88 S. Ct. 1620
    , 1627, 
    20 L. Ed. 2d 476
    , 485 (1968).
    Without delving into the numerous empirical studies on jury
    behavior, we are satisfied that jury compliance is neither truth
    nor fiction.   It is somewhere in between.       As one scholar has
    noted, "The reality is . . . that evidentiary instructions probably
    do work, but imperfectly, and better under some conditions than
    others . . . ."   David A. Sklansky, Evidentiary Instructions and
    the Jury as Other, 
    65 Stan. L. Rev. 407
    , 409 (2013) (Evidentiary
    Instructions) (reviewing jury behavior research); see also id. at
    423-39 (analyzing various empirical studies).
    The decision to opt for a curative or limiting instruction,
    instead of a mistrial or new trial, depends on at least three
    factors.   First, a court considers the nature of the evidence and
    how toxic it really is.    "The adequacy of a curative instruction
    necessarily focuses on the capacity of the offending evidence to
    lead to a verdict that could not otherwise be justly reached."
    Winter, supra, 
    96 N.J. at 647
    .      Evidence that bears directly on
    the ultimate issue before the jury may be less susceptible to
    curative or limiting instructions than evidence that is indirect,
    and requires additional linkages.
    For   example,   distinguishing   between   a   co-conspirator's
    confession that directly implicates a defendant, and a confession
    23                               A-5520-14T3
    that only inferentially does so, the United States Supreme Court
    noted that "[s]pecific testimony that 'the defendant helped me
    commit the crime' is more vivid than inferential incrimination,
    and hence more difficult to thrust out of mind."               Richardson v.
    Marsh, 
    481 U.S. 200
    , 208, 
    107 S. Ct. 1702
    , 1708, 
    95 L. Ed. 2d 176
    ,
    186     (1987).         Consequently,    "with   regard   to     inferential
    incrimination, the judge's instruction may well be successful in
    dissuading the jury from entering onto the path of inference in
    the first place, so that there is no incrimination to forget."
    
    Ibid.
    Second,    the    instruction's   effectiveness    depends    on   the
    instruction itself — its timing and its substance.             Our Court has
    held that a swift and firm instruction is better than a delayed
    one.    Winter, 
    supra,
     
    96 N.J. at 648
     (noting the importance of an
    immediate and firm instruction to disregard an offending remark);
    see also State v. Vallejo, 
    198 N.J. 122
    , 134-35 (2009) (citing
    cases finding effective curative instructions).           Delay may allow
    prejudicial evidence to become cemented into a storyline the jurors
    create in the course of the trial.         See Evidentiary Instructions,
    supra, at 422 n.52.         That is why our Supreme Court has stated —
    in the context of admitting other crimes evidence under N.J.R.E.
    404(b) — it is the "better practice" to give limiting instructions
    at the time the evidence is presented and again in the final jury
    24                                 A-5520-14T3
    charge.    State v. Blakney, 
    189 N.J. 88
    , 93 (2006).                It is thought
    the    repetition     of   the   instruction      prevents    the    jurors      from
    "indelibly brand[ing] the defendant as a bad person" and blinding
    them    from   careful     consideration     of    all   of   the    evidence      in
    deliberations.        
    Ibid.
    Furthermore, a specific and explanatory instruction is more
    effective      than   a    general,    conclusory    one.      "The      Court    has
    consistently stressed the importance of immediacy and specificity
    when   trial    judges     provide    curative    instructions      to   alleviate
    potential prejudice to a defendant from inadmissible evidence that
    has seeped into a trial."             Vallejo, supra, 
    198 N.J. at 135
    .             In
    the case of limiting instructions, the court must tell the jury
    precisely what the evidence may be used for, as well as what it
    may not be used for.          State v. Cofield, 
    127 N.J. 328
    , 341 (1992)
    (pertaining to N.J.R.E. 404(b) evidence).
    An instruction is also more effective when it explains itself.
    "Because I said so," is likely to be even less effective with a
    jury than it is when a parent says it to an eight-year-old.                       See
    Evidentiary Instructions, supra, at 439 (stating, based on a review
    of empirical research, that instructions "work better when the
    judge gives the jury a reason to follow them"); Id. at 452 (noting,
    subject to exception, that "[o]n the whole, mock jury studies do
    25                                    A-5520-14T3
    suggest that evidentiary instructions are more apt to be followed
    if the judge explains the reason for the underlying rule").2
    Third, a court must ultimately consider its tolerance for the
    risk of imperfect compliance.     See Bruton, 
    supra,
     
    391 U.S. at 135
    ,
    
    88 S. Ct. at 1627
    , 
    20 L. Ed. 2d at 485
     (referring to "consequences
    of failure so vital" to a criminal defendant).           Yet, even in
    criminal cases involving errors of constitutional dimension, "not
    'any' possibility [of an unjust result] can be enough for a rerun
    of the trial."    Winter, 
    supra,
     
    96 N.J. at 647
    .      "The possibility
    must be real, one sufficient to raise a reasonable doubt as to
    whether the error led the jury to a result it otherwise might not
    have reached."    
    Ibid.
     (quoting State v. Macon, 
    57 N.J. 325
    , 336
    (1971)).    By   contrast,   a   non-constitutional   error   "shall   be
    disregarded by the appellate court 'unless it is of a nature as
    to have been clearly capable of producing an unjust result . . . ."
    2
    Some of our evidence rules, such as those pertaining to hearsay,
    are designed to exclude inherently unreliable evidence. Others,
    such as privileges, exclude probative evidence in service of other
    policy goals.     This difference may affect compliance with a
    curative instruction. For example, a judge could explain in detail
    why our system excludes an incriminatory patient-to-physician
    statement — to encourage candor and protect privacy in the health
    care relationship.    But, since that does not pertain to the
    evidence's probative value, the explanation may be less successful
    in persuading a jury to disregard it, than, say, an explanation
    as to why a hearsay statement is inherently unreliable, and should
    be disregarded.
    26                            A-5520-14T3
    Winter, supra, 
    96 N.J. at 648
     (quoting State v. LaPorte, 
    62 N.J. 312
    , 318-19 (1973)).
    Finally, based on our deferential standard of review, an
    appellate    court    shall   not     lightly    disturb   a   trial    judge's
    determination that the jury will obey a curative instruction.                The
    trial judge has the benefit of his or her feel of the case,
    including observations of the jury throughout the trial.               Notably,
    the United States Supreme Court has required an "overwhelming
    probability" that the jury cannot comply, before concluding a
    curative instruction was inadequate.            Richardson, 
    supra,
     
    481 U.S. at 208
    , 
    107 S. Ct. at 1708
    , 
    95 L. Ed. 2d at 186
    ; see also Greer
    v. Miller, 
    483 U.S. 756
    , 766 n.8, 
    107 S. Ct. 3102
    , 3109 n.8, 
    97 L. Ed. 2d 618
    , 630 n.8 (1987) ("We normally presume that a jury
    will follow an instruction to disregard inadmissible evidence
    inadvertently presented to it, unless there is an 'overwhelming
    probability' that the jury will be unable to follow the court's
    instructions, and a strong likelihood that the effect of the
    evidence    would    be   'devastating'    to    the   defendant[]"     (citing
    Richardson, 
    supra,
     
    481 U.S. at 208
    , 107 S. Ct. at 1708, 
    95 L. Ed. 2d at 186
    , and Bruton, 
    supra,
     
    391 U.S. at 136
    , 
    88 S. Ct. at 1628
    ,
    
    20 L. Ed. 2d at 485
    )).
    27                                     A-5520-14T3
    3.
    Applying these principles, we shall not disturb the trial
    court's denial of defendant's requests for a mistrial and a new
    trial.
    Regarding the nature of the evidence, we decline to find that
    plaintiff's   disclosure   of   an   alleged    settlement    offer    caused
    irremediable prejudice.        Evidence of settlement discussions is
    inadmissible "to prove liability for . . . or amount of the
    disputed claim," but not "when offered for another purpose . . . ."
    N.J.R.E. 408.   Plaintiff's statement was clearly not offered to
    establish liability, which was conceded, nor the amount of her
    damages. It was offered to explain why plaintiff thought defendant
    had decided to stalk her.      She believed he was retaliating because
    she refused his offer.
    The appropriate frame of reference for deeming the statement
    inadmissible is N.J.R.E. 403, which permits the judge to exclude
    relevant   evidence    whose    probative      value   is    "substantially
    outweighed by the risk of . . . undue prejudice, confusion of
    issues, or misleading the jury . . . ."           See Shankman v. State,
    
    184 N.J. 187
    , 208 (2005) (applying N.J.R.E. 403 analysis to whether
    to admit settlement-related evidence for a purpose permissible
    under N.J.R.E. 408).     Defendant contends the jury could conclude
    (1) the offer was in fact made, which defense counsel denied, but
    28                                    A-5520-14T3
    was   hamstrung      to   refute   at   trial   without   exacerbating   the
    prejudice; and (2) defendant in fact must have had that much money
    for him to offer it.       There obviously are additional inferences a
    jury conceivably could draw: that defendant believed he caused
    $750,000 in harm, and plaintiff believed he caused greater harm
    than that.
    The potential prejudice of plaintiff's comment was apparent
    to the trial judge who sustained the objection to it.              However,
    the prejudice was not irremediable.             It was a fleeting comment.
    Plaintiff did not even finish the statement that defendant made
    the offer.    See Jackowitz v. Lang, 
    408 N.J. Super. 495
    , 505 (App.
    Div. 2009) ("Fleeting comments, even if improper, may not warrant
    a new trial, particularly when the verdict is fair.").
    Furthermore, plaintiff's statement was not direct evidence
    of    the   amount   of   plaintiff's     damages,   or   even   defendant's
    assessment of plaintiff's damages.          Thus, it is not equivalent to
    evidence of an admission. Cf. Boone, 
    supra,
     
    66 N.J. at 50
     (holding
    evidence of a withdrawn guilty plea is highly prejudicial and
    therefore, inadmissible for any purpose at trial).               Nor was it
    proof, even if true, defendant himself had $750,000 in hand to
    settle the case.3
    3
    Evidence of insurance — which demonstrates the capacity to pay
    a judgment — is inadmissible "on the issue of . . . negligence or
    other wrongful conduct."   N.J.R.E. 411.   Yet, the mere passing
    29                            A-5520-14T3
    Rather, the testimony was prejudicial only if the jury made
    various inferences.    See Richardson, 
    supra,
     
    481 U.S. at 206-08
    ,
    107 S. Ct. at 1706-08, 
    95 L. Ed. 2d at 184-86
    .      Here, the trial
    court surmised that the jurors did not take particular notice of
    the comment because none of the jurors crossed out notes about the
    comment when instructed.   Even if a juror made such an inference,
    the judge could explain those leaps were questionable because
    litigants are encouraged to settle cases, they may try to do so
    for various reasons, and their efforts do not prove they are liable
    for certain damages.   Some jurors may have already understood that
    about settlement discussions.   The others could be educated.
    In sum, while it may be unrealistic to expect a jury to comply
    with an instruction to disregard evidence that directly proves the
    ultimate issue in the case, solely because the jury should not
    have heard it, the evidence here did not directly prove the quantum
    of damages, and the judge could — and did — provide reasons why
    jurors should ignore it.
    Turning next to the timing and substance of the instruction,
    we recognize that the judge's initial effort, while swift, was
    misdirected.   However, the jurors were released for the day soon
    thereafter.    Upon their return the following morning, the judge
    mention of insurance does not compel a mistrial.     Runnacles v.
    Doddrell, 
    59 N.J. Super. 363
    , 368-69 (App. Div. 1960).
    30                            A-5520-14T3
    promptly delivered an extensive instruction.       As noted above, the
    judge did not simply direct the jurors to disregard plaintiff's
    statement, although he did so in clear and emphatic terms.              He
    explained why they should do so, in substance, instructing them
    that settlement discussions should be disregarded for good reasons
    that were apt to be followed.
    Third, the risk of imperfect compliance is not intolerable.
    Jury   reliance   on   plaintiff's   statement   would   not   offend    a
    constitutional right.     Furthermore, it is far from clear that —
    even if some jurors considered plaintiff's statement in their
    deliberations — the testimony was "clearly capable of producing
    an unjust result . . . ."    Winter, supra, 
    96 N.J. at 648
     (quoting
    LaPorte, supra, 
    62 N.J. at 318-19
    ).        Defendant readily admitted
    that he sought to retain his medical license so he could compensate
    plaintiff in some measure. He also said he contemplated a possible
    cash settlement with plaintiff.      Thus, the jury knew defendant was
    willing to settle with plaintiff, for some unknown amount, before
    hearing plaintiff's reference to a $750,000 offer.
    We reject defendant's argument that the jury necessarily
    relied upon plaintiff's statement because its award was precisely
    twice the amount plaintiff mentioned.      Defendant's argument rests
    on speculation. Plaintiff did not quantify the damages she sought.
    At most, the jury could surmise that plaintiff wanted more than
    31                                 A-5520-14T3
    $750,000.   Even absent the court's curative instruction, it is
    highly questionable that the jury credited plaintiff's statement.
    The plaintiff's case itself was grounded in the theory that she
    suffered from paranoia and delusions.
    In sum, none of the three factors leads us to conclude that
    plaintiff's disclosure caused irremediable prejudice, or that the
    judge's curative instruction was so ineffectual that a mistrial
    or new trial was mandated.   Even from our vantage point, confined
    to a cold record, and far removed from the human emotion of the
    courtroom, the substantial damages caused by defendant's conduct
    were manifest.
    Defendant's liability was never in question.     Nor, was the
    fact he inflicted some genuine harm upon his already brain-injured
    patient.    The questions at the compensatory damage trial were:
    what kind of emotional, psychological, or neurological harm did
    defendant cause; how long did it, or would it last; and what amount
    of money would fairly compensate plaintiff for that harm.       The
    jury evidently credited plaintiff's experts more than defendant's.
    We can only speculate how much plaintiff's own presence, throughout
    the trial and in testimony, contributed to the jury's verdict.
    However, the trial judge had a front row seat.        He was best
    situated to draw conclusions about the impact of plaintiff's
    fleeting statement in the face of his curative instruction, and
    32                            A-5520-14T3
    the balance of evidence in the case.            We shall not disturb his
    decision to deny defendant's requests for a mistrial and a new
    trial.4
    4.
    Defendant's remaining arguments challenging the compensatory
    damage award lack sufficient merit to warrant discussion in a
    written opinion.     R. 2:11-3(e)(1)(E).
    III.
    We   next    consider   defendant's     challenges   to   the   punitive
    damage award.      Plaintiff's counsel's stray reference to general
    deterrence in his opening statement was followed by a prompt
    objection, which the court sustained, and a specific instruction
    that the jury was to consider only deterrence of the wrongdoer,
    which was consistent with the current law. The judge then repeated
    the instruction at the end of the trial.          We need not engage in a
    detailed analysis as we did regarding plaintiff's remark about
    settlement.      We are satisfied the jury complied with the court's
    instruction,     which   remediated    any    prejudice   counsel's    stray
    comment may otherwise have caused.
    4
    In light of the foregoing conclusion, we need not address
    plaintiff's argument that any prejudice defendant suffered from
    the reference to the alleged settlement offer originated with
    defense counsel's open-ended question, and therefore cannot serve
    as a vehicle for reversal.
    33                            A-5520-14T3
    Defendant   also     contends     the    punitive    damage    award   was
    excessive, and the trial court failed to make explicit findings
    under the Punitive Damages Act (PDA), N.J.S.A. 2A:15-5.14(a),
    before entering judgment.        As we agree with the latter point, we
    remand for appropriate findings, and do not reach the excessiveness
    point.
    The PDA states, "Before entering judgment for an award of
    punitive damages, the trial judge shall ascertain that the award
    is reasonable in its amount and justified in the circumstances of
    the case, in light of the purpose to punish the defendant and to
    deter that defendant from repeating such conduct." 
    Ibid.
     (emphasis
    added).     In   making    its     "justified     in     the    circumstances"
    determination,   the    court    must    review    the    factors    the    jury
    considered under N.J.S.A. 2A:15-5.12(b).          And, in deciding whether
    the award was "reasonable in its amount," the court must look at
    the same factors the jury considered under N.J.S.A. 2A:15-5.12(c)
    in setting the quantum of such damages.           "If necessary to satisfy
    the requirements of this section, the judge may reduce the amount
    or eliminate the award of punitive damages."                   N.J.S.A. 2A:15-
    5.14(a).
    The   court's     authority      under   N.J.S.A.     2A:15-5.14(a)      is
    distinct from, and supplementary to, its power that pre-existed
    the PDA, to set aside an award because it is "so excessive as
    34                                    A-5520-14T3
    irresistibly to give rise to the inference of mistake, passion,
    prejudice or partiality."     Leimgruber v. Claridge Assoc., Ltd.,
    
    73 N.J. 450
    , 459 (1977).    The PDA was designed to expand the trial
    court's authority to control punitive damage awards.       See Pavlova
    v. Mint Mgmt. Corp., 
    375 N.J. Super. 397
    , 403 (App. Div.) ("The
    Legislature's purpose in enacting the Act was to establish more
    restrictive standards with regard to the awarding of punitive
    damages."), certif. denied, 
    184 N.J. 211
     (2005); Dong v. Alape,
    
    361 N.J. Super. 106
    , 118 (App. Div. 2003) ("The legislation evinces
    a pervasive legislative intent to curb, rather than expand, the
    availability of punitive damages.").
    A trial court's exercise of authority under N.J.S.A. 2A:15-
    5.14(a) is reviewed for an abuse of discretion.          See Saffos v.
    Avaya Inc., 
    419 N.J. Super. 244
    , 264 (App. Div. 2011) (affirming
    a judge's decision to reduce, but not eliminate, a punitive damages
    award under N.J.S.A. 2A:15-5.14); Tarr v. Bob Ciasulli's Mack Auto
    Mall, Inc., 
    390 N.J. Super. 557
    , 565 (App. Div. 2007) (applying
    abuse-of-discretion   standard   of   review   in   affirming   a   trial
    court's decision not to reduce an award under N.J.S.A. 2A:15-
    5.14), aff'd 
    194 N.J. 212
     (2008).5     This deferential standard of
    5
    In contending that we need not remand because we may review the
    award's reasonableness de novo, plaintiff misplaces reliance on
    Baker v. Nat'l State Bank, 
    353 N.J. Super. 145
     (App. Div. 2002).
    Based on considerations of institutional competence, we held that
    a de novo standard of review applies to a trial court's
    35                            A-5520-14T3
    review of a trial judge's reduction or elimination of a punitive
    damage award is in keeping with the purpose of this provision to
    empower trial judges to review the record and determine if an
    award     is   reasonable    in   amount,   and   justified     under   the
    circumstances.
    We remand so the judge, who had a feel of the case, may
    discharge that authority.
    IV.
    In sum, we affirm the award of compensatory damages; remand
    for   a   determination     whether   the   punitive   damage   award   was
    reasonable and justified pursuant to the PDA.           We do not retain
    jurisdiction.
    determination that a punitive damages award violated a defendant's
    substantive due process rights. Baker, supra, 
    353 N.J. Super. at 152-53
    ; see also BMW of N. Am., Inc. v. Gore, 
    517 U.S. 559
    , 574-
    75, 
    116 S. Ct. 1589
    , 1598-99, 
    134 L. Ed. 2d 809
    , 826 (1996)
    (setting forth the factors for deciding substantive due process
    challenge). However, a due process challenge is distinct from a
    PDA analysis. See Baker v. Nat'l State Bank, 
    161 N.J. 220
    , 231
    (1999) (distinguishing between review of a punitive damages award
    under PDA and under substantive due process standard of BMW v.
    Gore); see also Cooper Indus., Inc. v. Leatherman Tool Group,
    Inc., 
    532 U.S., 424
    , 433, 
    121 S. Ct. 1678
    , 1683-84, 
    149 L. Ed. 2d 674
    , 684-85 (2001) (noting that in absence of a constitutional
    issue, federal appellate court applies abuse-of-discretion
    standard when reviewing a trial court's scrutiny of jury award of
    punitive damages).
    36                             A-5520-14T3