TRACEY L. VIZZONI, ETC. VS. B.M.D. (L-0575-15, SOMERSET COUNTY AND STATEWIDE) , 459 N.J. Super. 554 ( 2019 )


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  •                 NOT FOR PUBLICATION WITHOUT THE
    APPROVAL OF THE APPELLATE DIVISION
    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NO. A-1255-18T3
    TRACEY L. VIZZONI, as
    Executrix For The Estate Of            APPROVED FOR PUBLICATION
    Judith A. Schrope,
    June 24, 2019
    Plaintiff-Appellant,                APPELLATE DIVISION
    v.
    B.M.D., J.D., and ATLOCK FARM,
    Defendants,
    and
    STEFAN LERNER,
    Defendant-Respondent.
    _________________________________
    Argued March 28, 2019 – Decided June 24, 2019
    Before Judges Simonelli, Whipple and Firko.
    On appeal from the Superior Court of New Jersey,
    Law Division, Somerset County, Docket No. L-0575-
    15.
    Justin Lee Klein argued the cause for appellant
    (Hobbie, Corrigan & DeCarlo, PC, attorneys;
    Jacqueline DeCarlo, of counsel; Justin Lee Klein, on
    the briefs).
    Sam Rosenberg argued the cause for respondent
    (Rosenberg Jacobs Heller & Fleming, PC, attorneys;
    Sam Rosenberg, of counsel; Matthew E. Blackman, on
    the brief).
    Shook, Hardy & Bacon LLP, attorneys for amici
    curiae American Medical Association and Medical
    Society of New Jersey (Philip S. Goldberg, on the
    brief).
    The opinion of the court was delivered by
    WHIPPLE, J.A.D.
    Plaintiff Tracey L. Vizzoni, as executrix for the estate of Judith A.
    Schrope, appeals from a May 11, 2018 Law Division order granting summary
    judgment and dismissing her negligence claims against defendant Stefan
    Lerner, M.D.1 Tragically, Lerner's patient, B.M.D., 2 struck and killed Judith
    Schrope while driving.      Plaintiff argues Lerner's negligent prescription of
    medication to B.M.D. was the proximate cause of the fatal crash. For the
    reasons that follow, we affirm the order of the trial court.
    1
    Stefan Lerner, M.D. was improperly pled as Stefan Lerner.
    2
    Due to the confidential medical information in the record, we use initials for
    B.M.D. and J.D. to protect their privacy.
    A-1255-18T3
    2
    I.
    We discern the following facts from the record and view them in the
    light most favorable to plaintiff. See Brill v. Guardian Life Ins. Co. of Am.,
    
    142 N.J. 520
    , 540 (1995). On June 17, 2014, at around 9:45 in the morning,
    B.M.D., driving her SUV, struck decedent Schrope as Schrope was riding her
    bicycle on the right-hand side of a residential road.         B.M.D. approached
    Schrope from behind and saw her in the distance. Visibility was clear and
    there were no cars approaching from the other direction. At the scene of the
    accident, B.M.D. gave a recorded statement to police. The officer conducting
    the interview asked B.M.D. if she was being treated for any medical
    conditions, and she responded "mild depression." She reported to the officer
    she had taken Paxil that day and had a glass of wine the prior evening. There
    is no evidence in the record that the police conducted a field sobriety check.
    The police did not request a blood draw or an Alcotest.           A police report
    concluded, "[B.M.D.] made no attempt to move over to the left and safely pass
    Mrs. Schrope.     [Even though] [t]he width of the roadway was measured
    [twenty] feet [nine] inches[,] which would have allowed ample space for
    [B.M.D.] to move over and safely pass Mrs. Schrope." Despite the fact that
    Schrope suffered fatal injuries, B.M.D. was only charged with and convicted
    of careless driving, N.J.S.A. 39:4-97, after a trial in municipal court.
    A-1255-18T3
    3
    On May 4, 2015, plaintiff filed a wrongful death and survivorship claim
    against B.M.D.3 Through discovery, plaintiff learned B.M.D. was under the
    care of psychiatrist Stefan Lerner, M.D, and plaintiff named him as a
    defendant in a first amended complaint. During B.M.D.'s deposition, she was
    asked about what medications she took. At the time of the crash, B.M.D. was
    prescribed at least six psychiatric medications, including: (1) duloxetine
    (Cymbalta); (2) lamotrigine (Lamictal); (3) lithium carbonate (Lithobid); (4)
    trazadone;   (5)   dexmethylphenidate       hydrochloride   (Focalin);     and     (6)
    methylphenidate    (Concerta).    B.M.D. admitted she took               duloxetine,
    lamotrigine and lithium carbonate on the morning of the crash. When asked if
    she took trazodone the night before the crash, she testified she did not know,
    and, when asked if it was possible, she answered "it's possible." She also
    consumed some wine the night before.          B.M.D. also testified she did not
    experience side effects from her medications except for Focalin.
    Focalin is a central nervous system stimulant used to treat Attention
    Deficit Disorder (ADD) and Attention Deficit Hyperactivity Disorder
    (ADHD). B.M.D. admitted Focalin made her "feel a little speedy" as if she
    was "on speed." She initially denied taking Focalin on the day of the crash
    3
    Plaintiff also named B.M.D.'s husband J.D., who owned the car, and Atlock
    Farm, B.M.D.'s employer. Both were dismissed in an order for summary
    judgment that is not before us.
    A-1255-18T3
    4
    because "[i]t had such bad ramifications, I didn't want to bring it up," but later
    admitted it was possible she "took half of the dose I should have."
    On June 8, 2014, Lerner mailed B.M.D. a prescription for Concerta
    without meeting with her in person. Concerta is also a central nervous system
    stimulant. B.M.D. testified she did not complain to Lerner of any adverse
    reaction to Focalin, and Lerner did not document why he wrote her a new
    prescription.   In her deposition, B.M.D. could not recall whether she took
    either one, neither or both Focalin and Concerta on the morning of the crash.
    Lerner began working with B.M.D. in 2001. Over the course of thirteen
    years, up and until the crash, he wrote her 160 initial prescriptions and over
    250 refill prescriptions.   Lerner diagnosed B.M.D. with Major Depressive
    Disorder, ADD and panic disorder but not bi-polar disorder, although he
    opined she exhibited bi-polar-like symptoms. During her testimony, B.M.D.
    exhibited limited knowledge about the purpose and effect of each drug she was
    prescribed and admitted she often altered dosages without consulting Lerner.
    She denied Lerner ever warned her against driving after ingesting her
    medication. However, Lerner testified he would have warned her, especially if
    she felt drowsy or light-headed.
    B.M.D. sometimes missed her appointments with Lerner.                Lerner
    explained this was problematic because he did not want to alter B.M.D.'s
    A-1255-18T3
    5
    medication regimen and recognized the importance of meeting with her in
    person to determine how she was responding to the medication.             Lerner
    acknowledged he sometimes mailed prescriptions to B.M.D. without meeting
    with her in person and admitted to mailing her a prescription for Concerta on
    June 8, 2014. Prior to the crash, B.M.D.'s last meeting with Lerner was April
    3, 2014.
    Several years before the accident, B.M.D. told Lerner she had panic
    attacks that either occurred while she was driving or left her feeling like she
    could not drive. She reported experiencing one panic attack while driving so
    severe that she had to pull over. Lerner was aware B.M.D. experienced panic
    attacks while driving but was under the impression "she has [not] had much
    trouble in that area" because she continued to drive without incident.
    Although plaintiff's complaint names B.M.D.'s pharmacist as "John/Jane
    Doe Doctors/Pharmacists," the record lacks any mention of who filled
    B.M.D.'s prescriptions. Of particular significance is the absence of any record
    or testimony about whether B.M.D.'s pharmacist provided written or oral
    warnings of the potential side effects of the medications.        No pharmacy
    records are included in the appellate record.
    Lerner moved for summary judgment on March 27, 2018. Lerner argued
    he owed no duty of care to Schrope because she was not a readily identifiable
    A-1255-18T3
    6
    victim. Lerner argued a therapist has no duty to warn unless he or she knows
    or should know their patient intends to harm a readily identifiable victim.
    Plaintiff opposed Lerner's motion and submitted the report of two
    experts. Robert J. Pandina, Ph.D., opined B.M.D.'s ability to operate a motor
    vehicle was impaired when she struck Schrope. 4          Pandina explained the
    purpose and possible side effects of each of the medications B.M.D. was
    prescribed as follows:
    a. Duloxetine (Cymbalta) is an anti-depression
    medication prescribed for major depression; it has a
    half-life of [twelve] to [seventeen] hours, which is
    relatively long for such medications. To be effective
    the medication should be taken daily and requires a
    buildup period for efficacy. Given the long half-life
    the potential exists for a buildup of the drug that
    increases the risk of side effects hence careful
    monitoring of the medication is advisable as is close
    observation of the patient response to the medication.
    Side effects include: fatigue; drowsiness and sedation;
    double vision; crossed eyes; blurred vision; dizziness
    and lack of coordination; [i]nsomnia; impulsivity;
    anxiety; vivid dreams or nightmares; dry mouth,
    mouth ulcers; memory problems; mood changes;
    itchiness; runny nose; cough; and nausea. Use may
    also trigger panic attacks.       Some patients have
    reported experiencing a loss of concentration, even
    4
    In reviewing Pandina's opinion, we note the documents that formed the basis
    of his opinion included municipal court transcripts. Our record only included
    the portion of the transcript containing the municipal court judge's decision
    after a two day hearing. We asked for the complete transcripts, and they were
    provided.
    A-1255-18T3
    7
    with very small doses. Women are more likely than
    men to have side-effects.
    b. Lamotrigine (Lamictal) is prescribed for seizure
    disorders. On-set of effect ranges from 1.4 to 4.8
    hours. It has a half-life of [twenty-nine] hours, which
    is relatively long for such medications. As is the case
    with [duloxetine (Cymbalta)] [due to] the long half-
    life the potential exists for a buildup of the drug that
    increases the risk of side effects hence careful
    monitoring of the medication is advisable as is close
    observation of the patient response to the medication.
    Lamotrigine is also an indicated medication option for
    the treatment of bipolar disorders. However, many
    clinicians also use it in patients with a (unipolar)
    depressive disorder who have not responded
    adequately to conventional antidepressants. Such
    usage would be considered "off label." Side effects
    are similar to those of [d]uloxetine (Cymbalta) and
    include: tremors, dizziness; tired feeling; blurred
    vision, double vision; loss of coordination; sleep
    problems. Given the risk of side effects patients
    should be carefully monitored specifically when the
    medication is given along with other anti-depressants.
    c. Lithium carbonate (Lithobid) is prescribed
    principally for bi-polar depression. It may be used in
    cases where other forms of medications are not
    effective.    In some case[s] of apparent major
    depression with fewer manic than depressive
    symptoms the drug may be used as an adjunctive
    therapy. Side effects include loss of balance or
    coordination, drowsiness or muscle weakness; hand
    tremors; confusion; memory problems; lack of
    awareness; blurred vision.        Prescription of this
    medication requires frequent monitoring of blood to
    assure levels are within frequent therapeutic limits.
    d. Trazadone is a medication used in the treatment of
    major depression. It may also be prescribed as a sleep
    A-1255-18T3
    8
    aid. The medication has a bi-phasic half-life. The
    first phase ranges between [three] to [six] hours;
    subsequent phase range[s] between [five] and [nine]
    hours. Initial effectiveness occurs approximately one
    hour post ingestion. Side effects include: drowsiness
    and sedation; dizziness or loss of balance; confusion;
    blurred vision; impairment of vigilance. Alcohol use
    will increase risk of sedation and other side effects.
    e. [Dexmethylphenidate hydrochloride (Focalin)] is a
    central nervous system (CNS) stimulant employed in
    treatment of ADD and [ADHD]. Side effects include:
    blurred vision; dizziness; drowsiness; agitation; heart
    palpitations. Special care should be taken in using
    stimulants to treat ADD and ADHD in patients with
    comorbid bipolar disorder. The concern stems from
    the potential for possible induction of a mixed/manic
    episode in such patients. Before initiating treatment
    with a stimulant, patients with comorbid depressive
    symptoms should be adequately screened to determine
    if they are at risk for bipolar disorder. Prescription of
    these medications is contra-indicated for such
    individuals.
    f. [Methylphenidate (Concerta)5] is a [CNS] stimulant
    employed in treatment of ADD and [ADHD]. Side
    effects include: blurred vision; dizziness; drowsiness;
    agitation; heart palpitations. Special care should be
    taken in using stimulants to treat ADD and ADHD in
    patients with comorbid bipolar disorder. The concern
    stems from the potential for possible induction of a
    mixed/manic episode in such patients.           Before
    initiating treatment with a stimulant, patients with
    comorbid depressive symptoms should be adequately
    screened to determine if they are at risk for bipolar
    5
    Both Focalin and Concerta are designated as Schedule II controlled
    dangerous substances by the federal government. 
    21 C.F.R. § 1308.12
    (d).
    A-1255-18T3
    9
    disorder. Prescription of these medications is contra-
    indicated for such individuals.
    Plaintiff's second expert, Alberto M. Goldwaser, M.D., opined Lerner's
    treatment of B.M.D. "fell outside the acceptable professional standards of care
    as they apply to the practice of neuropsychiatry/psychiatry, and such deviation
    was a significant contributing factor in causing the motor vehicle collision . . .
    [that] resulted in the death of Ms. Judith Schrope."        Goldwaser criticized
    Lerner for prescribing medication without an accompanying diagnosis and then
    prescribing additional medication to counteract negative side effects. Instead,
    Goldwaser opined Lerner should have treated B.M.D.'s underlying mental
    health issues rather than only treat her symptoms.
    On May 11, 2018, after oral argument, the trial judge agreed with Lerner
    that because there was no connection between Lerner and Schrope, Lerner did
    not owe her a duty of care. The trial judge noted that many substances could
    render a driver sleepy and "all of them are clearly marked with those kin ds of
    warning[s]."   The judge also stated the record did not establish "that []
    [B.M.D.] was drunk or intoxicated." Thus, the trial judge granted Lerner's
    motion for summary judgment.
    Plaintiff moved for leave to appeal, which we denied. The Supreme
    Court granted plaintiff's motion for leave to appeal and summarily remanded
    the case to us to review the May 11, 2018 order on the merits. On January 16,
    A-1255-18T3
    10
    2019, the American Medical Association and the Medical Society of New
    Jersey moved for leave to appear as amici curiae. Pursuant to Rule 1:13-9(a),
    we granted amici leave to file a brief.
    On appeal, plaintiff argues New Jersey law is ripe for an extension of a
    prescribing practitioner's duty of care and urges us to adopt the reasoning from
    other jurisdictions that a prescribing practitioner owes a duty to warn their
    patient of adverse side effects of medications for the benefit of third parties.
    For the reasons that follow, we decline to do so.
    II.
    "[W]e review the trial court's grant of summary judgment de novo under
    the same standard as the trial court." Templo Fuente De Vida Corp. v. Nat'l
    Union Fire Ins. Co. of Pittsburgh, 
    224 N.J. 189
    , 199 (2016). A motion for
    summary judgment should be granted "if the pleadings, depositions, answers to
    interrogatories and admissions on file, together with the affidavits, if any,
    show that there is no genuine issue as to any material fact challenged and that
    the moving party is entitled to a judgment or order as a matter of law." R.
    4:46-2(c). The evidence must be viewed "in the light most favorable to the
    non-moving party." Mem'l Props., LLC v. Zurich Am. Ins. Co., 
    210 N.J. 512
    ,
    524 (2012).
    A-1255-18T3
    11
    However, "Rule 4:46-2(c)'s 'genuine issue [of] material fact' standard
    mandates that the opposing party do more than 'point[] to any fact in dispute'
    in order to defeat summary judgment." Globe Motor Co. v. Igdalev, 
    225 N.J. 469
    , 479 (2016) (alterations in original) (quoting Brill, 
    142 N.J. at 529
    ).
    "[W]hether there exists a 'genuine issue' of material fact that precludes
    summary judgment requires the motion judge to consider whether the
    competent evidential materials presented . . . are sufficient to permit a rational
    factfinder to resolve the alleged disputed issue in favor of the non-moving
    party." Brill, 
    142 N.J. at 540
    . "To defeat a motion for summary judgment, the
    opponent must 'come forward with evidence that creates a genuine issue of
    material fact.'" Cortez v. Gindhart, 
    435 N.J. Super. 589
    , 605 (App. Div. 2014)
    (quoting Horizon Blue Cross Blue Shield of N.J. v. State, 
    425 N.J. Super. 1
    , 32
    (App. Div. 2012)). "[C]onclusory and self-serving assertions by one of the
    parties are insufficient to overcome the motion . . . ." Puder v. Buechel, 
    183 N.J. 428
    , 440-41 (2005).
    "The motion court must analyze the record in light of the substantive
    standard and burden of proof that a factfinder would apply in the event that the
    case were tried." Globe Motor Co, 225 N.J. at 480. "Thus, 'neither the motion
    court nor an appellate court can ignore the elements of the cause of action or
    the evidential standard governing the cause of action.'" Id. at 480-81 (quoting
    A-1255-18T3
    12
    Bhagat v. Bhagat, 
    217 N.J. 22
    , 38 (2014)). We consider, as the trial judge did,
    "whether the evidence presents a sufficient disagreement to require submission
    to a jury or whether it is so one-sided that one party must prevail as a matter of
    law." Liberty Surplus Ins. Corp. v. Nowell Amoroso, P.A., 
    189 N.J. 436
    , 445-
    46 (2007) (quoting Brill, 
    142 N.J. at 536
    ).
    "If there is no genuine issue of material fact, we must then 'decide
    whether the trial court correctly interpreted the law.'"        DepoLink Court
    Reporting & Litig. Support Servs. v. Rochman, 
    430 N.J. Super. 325
    , 333 (App.
    Div. 2013) (quoting Massachi v. AHL Servs., Inc., 
    396 N.J. Super. 486
    , 494
    (App. Div. 2007)). We review issues of law de novo and accord no deference
    to the trial judge's legal conclusions. Nicholas v. Mynster, 
    213 N.J. 463
    , 478
    (2013).
    To sustain a cause of action for negligence, a plaintiff must establish
    four elements: "(1) [a] duty of care, (2) [a] breach of [that] duty, (3) proximate
    cause, and (4) actual damages[.]" Polzo v. Cty. of Essex, 
    196 N.J. 569
    , 584
    (2008) (alterations in original) (quoting Weinberg v. Dinger, 
    106 N.J. 469
    , 484
    (1987)). A "plaintiff bears the burden of establishing those elements 'by some
    competent proof[.]'" Davis v. Brickman Landscaping, Ltd., 
    219 N.J. 395
    , 406
    (2014) (citation omitted) (quoting Overby v. Union Laundry Co., 
    28 N.J. Super. 100
    , 104 (App. Div. 1953)). Proximate cause consists of "any cause
    A-1255-18T3
    13
    which in the natural and continuous sequence, unbroken by an efficient
    intervening cause, produces the result complained of and without which the
    result would not have occurred." Conklin v. Hannoch Weisman, 
    145 N.J. 395
    ,
    418 (1996) (quoting Fernandez v. Baruch, 
    96 N.J. Super. 125
    , 140 (App. Div.
    1967), rev'd on other grounds, 
    52 N.J. 127
     (1968)); Dawson v. Bunker Hill
    Plaza Assocs., 
    289 N.J. Super. 309
    , 322 (App. Div. 1996).
    Determining the scope of tort liability presents a question of law. Kelly
    v. Gwinnell, 
    96 N.J. 538
    , 552 (1984). "The question of whether a duty to
    exercise reasonable care to avoid the risk of harm to another exists is one of
    fairness and policy that implicates many factors." Carvalho v. Toll Bros. &
    Developers, 
    143 N.J. 565
    , 572 (1996). The inquiry "turns on whether the
    imposition of such a duty satisfies an abiding sense of basic fairness under all
    of the circumstances in light of considerations of public policy." Hopkins v.
    Fox & Lazo Realtors, 
    132 N.J. 426
    , 439 (1993). "The analysis is both very
    fact-specific and principled; it must lead to solutions that properly and fairly
    resolve the specific case and generate intelligible and sensible rules to govern
    future conduct." 
    Ibid.
    "Foreseeability of the risk of harm is the foundational element in the
    determination of whether a duty exists." J.S. v. R.T.H., 
    155 N.J. 330
    , 337
    (1998). "Foreseeability is significant in the assessment of a duty of care to
    A-1255-18T3
    14
    another; moreover, it has a dual role in the analysis of tort responsibility."
    Olivo v. Owens-Ill., Inc., 
    186 N.J. 394
    , 402 (2006).        In the duty of care
    analysis, foreseeability "is based on the defendant's knowledge of the risk of
    injury and is susceptible to objective analysis." J.S., 
    155 N.J. at 338
    . That
    knowledge may arise from actual awareness, Carvalho, 
    143 N.J. at 576
    , or
    knowledge may be constructive when the defendant "was in a position to
    foresee and discover the risk of harm[.]" 
    Id. at 578
    . "In some cases where the
    nature of the risk or the extent of harm is difficult to ascertain, foreseeability
    may require that the defendant" know a certain class of reasonably foreseeable
    persons would likely suffer injury. J.S., 
    155 N.J. at 338
    ; see also C.W. v.
    Cooper Health Sys., 
    388 N.J. Super. 42
    , 62 (App. Div. 2006); Safer v. Estate
    of Pack, 
    291 N.J. Super. 619
    , 626-27 (App. Div. 1996). "Also included in the
    analysis is 'an assessment of the defendant's "responsibility for conditions
    creating the risk of harm" and an analysis of whether the defendant had
    sufficient control, opportunity, and ability to have avoided the risk of harm.'"
    Podias v. Mairs, 
    394 N.J. Super. 338
    , 350 (App. Div. 2007) (quoting J.S., 
    155 N.J. at 339
    ).
    "Once the foreseeability of an injured party is established, . . .
    considerations of fairness and policy govern whether the imposition of a duty
    is warranted."   Carvalho, 
    143 N.J. at 573
     (alteration in original) (quoting
    A-1255-18T3
    15
    Carter Lincoln-Mercury, Inc. v. EMAR Grp., Inc., Leasing Div., 
    135 N.J. 182
    ,
    194-95 (1994)). The assessment of fairness and policy "involves identifying,
    weighing, and balancing several factors—the relationship of the parties, the
    nature of the attendant risk, the opportunity and ability to exercise care, and
    the public interest in the proposed solution." Hopkins, 
    132 N.J. at 439
    .
    Although in many cases a duty of care can arise
    simply from the determination of the foreseeability of
    harm, usually "more is needed" to find such a duty,
    that "'more' being the value judgment, based on an
    analysis of public policy, that the actor owed the
    injured party a duty of reasonable care."
    [Carvalho, 
    143 N.J. at 573
     (quoting Kelly, 
    96 N.J. at 544
    ).]
    "Public policy must be determined in the context of contemporary
    circumstances and considerations." J.S., 
    155 N.J. at 339
    . "Thus, '"[d]uty" is
    not a rigid formalism' that remains static through time, but rather is a
    malleable concept that 'must of necessity adjust to the changing social
    relations and exigencies and man's relations to his fellows.'" 
    Ibid.
     (alteration
    in original) (quoting Wytupeck v. Camden, 
    25 N.J. 450
    , 462 (1957)).
    New Jersey courts have recognized a mental-health professional owes a
    duty to take reasonable steps to protect a readily identifiable victim put at risk
    by their patient. In McIntosh v. Milano, 
    168 N.J. Super. 466
    , 489 (Law. Div.
    1979), the Superior Court held a therapist had a duty to protect a readily
    A-1255-18T3
    16
    identifiable victim who was murdered by his patient, because the therapist had
    reason to know his patient presented a danger to the victim. McIntosh was
    decided in light of Tarasoff v. Regents of University of California, 
    551 P.2d 334
    , 353 (Cal. 1976), where the Supreme Court of California held a
    psychiatrist had a duty to protect a readily identifiable victim of his patient
    when the patient informed the psychiatrist of his intent to murder the victim.
    Tarasoff recognized that while one has no duty to control the actions of
    another, a mental-health professional is often in the best position to determine
    "whether a patient presents a serious danger of violence." 
    Id. at 345
    . It was
    not necessary for the psychiatrist in Tarasoff to have prevented the harm, but
    rather, the psychiatrist should have exercised "that reasonable degree o f skill,
    knowledge, and care ordinarily possessed and exercised by members of [that
    professional specialty] under similar circumstances."       
    Ibid.
     (alteration in
    original) (quoting Bardessono v. Michels, 
    478 P.2d 480
    , 484 (Cal. 1970)). In
    McIntosh, the Law Division observed that the therapist's duty arises from the
    special relationship between therapist and patient, and the duty is solidified
    when the therapist knows or should know the patient intends harm or as an
    extension of the healthcare professional's broad-based duty to protect the
    welfare of the community. 
    168 N.J. Super. at 489-90
    ; see also Restatement
    (Second) of Torts § 315 (Am. Law Inst. 1965) ("There is no duty so to control
    A-1255-18T3
    17
    the conduct of a third person as to prevent him from causing physical h arm to
    another unless (a) a special relation exists between the actor and the third
    person which imposes a duty upon the actor to control the third person's
    conduct, or (b) a special relation exists between the actor and the other which
    gives to the other a right to protection."). Prior to and since McIntosh, both
    New Jersey courts and our Legislature expanded the special relationship rule
    to include the duty to warn potential victims of contagious or genetic diseases. 6
    McIntosh led to the enactment of N.J.S.A. 2A:62A-16, which immunized
    licensed medical professionals "from any civil liability for a patient's violent
    act against another person or against himself unless the practitioner has
    incurred a duty to warn and protect the potential victim[.]" N.J.S.A. 2A:62A-
    16(b) explains a duty to warn and protect arises if "[t]he patient has
    6
    For example, in Safer, the defendant-doctor knew his patient had a
    genetically transmissible form of cancer but failed to warn the patient's family
    members. 
    291 N.J. Super. at 623
    . The doctor's failure to warn was a breach of
    his duty to the family members because they were a readily identifiable class
    of persons put at risk by the doctor's failure to act. 
    Id. at 625
     ("We see no
    impediment, legal or otherwise, to recognizing a physician's duty to warn those
    known to be at risk of avoidable harm from a genetically transmissible
    condition. In terms of foreseeability especially, there is no essential difference
    between the type of genetic threat at issue here and the menace of infection,
    contagion or a threat of physical harm."). In C.W., the court applied a similar
    principle and held a physician who failed to warn his patient of a positive HIV
    test owed a duty to third parties threatened by his patient's health status. 
    388 N.J. Super. at 62
    .
    A-1255-18T3
    18
    communicated to that practitioner a threat of imminent, serious physical
    violence against a readily identifiable individual" or if "[t]he circumstances are
    such that a reasonable professional . . . would believe the patient intended to
    carry out an act of imminent, serious physical violence against a readily
    identifiable individual[.]" In one instance, N.J.S.A. 2A:62A-16 was applied to
    immunize a psychiatrist who reasonably did not know his patient intended to
    commit suicide. Marshall v. Klebanov, 
    188 N.J. 23
    , 40 (2006). 7
    Here, the trial court relied on McIntosh and the principle that unless the
    victim of a therapist's patient is readily identifiable, there is no duty to act for
    the victim's benefit. The trial court concluded that because Lerner did not
    know Schrope and had no indication B.M.D. was going to harm her, Lerner did
    not owe Schrope a duty of care. Although we affirm the trial court's dismissal
    of plaintiff's claims as a matter of law, we think reliance on McIntosh, and the
    principles therein, was misplaced.
    7
    Health care professionals are subject to other statutory duties, such as: a duty
    to warn a patient about the addictive risks of opioids before prescribing them
    for pain management, N.J.S.A. 24:21-15.2(d); the duty to report a patient's
    diagnosis of certain communicable diseases to the Department of Health,
    N.J.S.A. 26:4-15; the duty to report a patient's history of convulsive seizures
    or periods of unconsciousness to the Division of Motor Vehicles, N.J.S.A.
    39:3-10.4; and, in the case of a pharmacy permit holder, the duty to report
    information about each prescription for a controlled dangerous substance
    dispensed by the pharmacy, N.J.S.A. 45:1-45.
    A-1255-18T3
    19
    In cases analyzing the duty of care owed within the context of a special
    relationship, the principal question is whether the defendant had a duty to act
    for the benefit of another but failed to do so. See Podias, 
    394 N.J. Super. at 346
     ("Traditional tort theory emphasizes individual liability, which is to say
    that each particular defendant who is to be charged with responsibility must be
    proceeding negligently. Ordinarily, then, mere presence at the commission of
    the wrong, or failure to object to it, is not enough to charge one with
    responsibility inasmuch as there is no duty to take affirmative steps to
    interfere."); McIntosh, 
    168 N.J. Super. at 483
     (explaining that generally a
    person has no duty to control the actions of another except within the context
    of a special relationship). But here, Lerner acted affirmatively by prescribing
    medication to B.M.D.     Thus, we must examine the legal consequences of
    Lerner's action.
    The Restatement (Third) of Torts: Liability for Physical and Emotional
    Harm makes this same distinction. Restatement (Third) of Torts: Liability for
    Physical and Emotional Harm § 41 cmt. h (Am. Law Inst. 2005) (Restatement
    (Third) of Torts). Section 41 of the Restatement (Third) of Torts revised and
    replaced Restatement (Second) of Torts § 315, which provided the basis for the
    special relationship exception. See McIntosh, 
    168 N.J. Super. at
    483 (citing
    Restatement (Second) of Torts § 315 for the proposition that generally a
    A-1255-18T3
    20
    person has no duty to control another's conduct unless a special relationship
    exists between the two); Restatement (Third) of Torts § 41 cmt. a ("This
    Section replaces §[] 315(a) . . . and includes an additional relationship creating
    an affirmative duty, that of mental health professional and patient."). Section
    41 adopts a categorical approach and provides:
    (a) An actor in a special relationship with another
    owes a duty of reasonable care to third parties with
    regard to risks posed by the other that arise within the
    scope of the relationship. (b) Special relationships
    giving rise to the duty . . . include: . . . (4) a mental-
    health professional with patients.
    [Restatement (Third) of Torts § 41.]
    However, the comments to section 41 distinguish between scenarios where the
    practitioner is under an affirmative duty to act versus when the practitioner's
    conduct creates a foreseeable risk of harm. Id. cmt. h. When a practitioner
    prescribes either appropriate or inappropriate medication that impairs the
    patient, who in turn puts others at risk, the practitioner was under a duty to
    exercise reasonable care in making that decision. Ibid. ("In some cases, care
    provided to a patient may create risks to others. This may occur because of
    negligent treatment, such a prescribing an inappropriate medication that
    impairs the patient.   It can also occur because of appropriate care of the
    patient, such as properly prescribing medication that impairs the patient.").
    Thus, the question is not whether the practitioner had a duty to act, but rather
    A-1255-18T3
    21
    were the consequences of the act of prescribing medication foreseeable to the
    practitioner. See ibid. ("In these instances, the physician's duty to third parties
    is governed by [Restatement (Third) of Torts] § 7, not by this Chapter."); see
    also Restatement (Third) of Torts § 7(a) ("An actor ordinarily has a duty to
    exercise reasonable care when the actor's conduct creates a risk of physical
    harm.").
    Here, the parties do not dispute Lerner had a duty to exercise reasonable
    care in his treatment of B.M.D. See, e.g., Komlodi v. Picciano, 
    217 N.J. 387
    ,
    410 (2014) ("A physician must exercise a duty of care to a patient that,
    generally, any similarly credentialed member of the profession would exercise
    in a like scenario."). Accordingly, the parties agree that B.M.D. may have a
    cause of action against Lerner premised on the patient-practitioner
    relationship. See, e.g., Verdicchio v. Ricca, 
    179 N.J. 1
    , 23 (2004) ("A medical
    malpractice case is a kind of tort action in which the traditional negligence
    elements are refined to reflect the professional setting of a physician-patient
    relationship."). It would defy logic to suggest that the duty of care Lerner
    owes B.M.D., within the patient-practitioner relationship, is somehow
    diminished because B.M.D. is not seeking to hold Lerner directly liable. Here,
    Lerner did have a duty to warn and educate B.M.D. about the side effects of
    the medications he prescribed. See In re Accutane Litig., 
    235 N.J. 229
    , 265-66
    A-1255-18T3
    22
    (2018) (describing the learned intermediary doctrine, which acknowledges the
    prescribing practitioner must deliver pharmaceutical warnings to patients as
    the intermediary between pharmaceutical manufacturers and consumers). As a
    result, Lerner can only be held liable for the foreseeable consequences of his
    actions.
    Thus, the issue in this case is properly framed as one of proximate cause,
    not the duty of care.    "[A] plaintiff must show that a defendant's conduct
    constituted a cause-in-fact of his injuries." Dawson, 289 N.J. Super. at 322.
    "In the routine tort case, 'the law requires proof that the result complained of
    probably would not have occurred "but for" the negligent conduct of the
    defendant.'" Conklin, 
    145 N.J. at 417
     (quoting Vuocolo v. Diamond Shamrock
    Chems. Co., 
    240 N.J. Super. 289
    , 295 (App. Div. 1990)).              "[A]n act or
    omission is not regarded as a cause-in-fact of an event if the event would have
    occurred without such act or omission." Thorn v. Travel Care, Inc., 
    296 N.J. Super. 341
    , 346 (App. Div. 1997). "[T]here may be multiple causes of an
    injury, [though] these causes 'need not, of themselves, be capable of producing
    the injury; it is enough if they are "a substantial factor" in bringing it about.'"
    
    Id. at 347
     (quoting Conklin, 
    145 N.J. at 419
    ).
    "Proximate cause has been described as a standard for limiting liability
    for the consequences of an act based 'upon mixed considerations of logic,
    A-1255-18T3
    23
    common sense, justice, policy and precedent.'" Fleuhr v. City of Cape May,
    
    159 N.J. 532
    , 543 (1999) (quoting Caputzal v. Lindsay Co., 
    48 N.J. 69
    , 77-78
    (1966)). "Proximate cause is a limitation the common law has placed on an
    actor's responsibility for the consequences of the actor's conduct." Camp v.
    Jiffy Lube No. 114, 
    309 N.J. Super. 305
    , 309 (App. Div. 1998).             "As a
    practical matter, legal responsibility must be limited to those causes which are
    so closely connected with the result and of such significance that the law is
    justified in imposing liability." Brown v. U.S. Stove Co., 
    98 N.J. 155
    , 173
    (1984) (quoting Caputzal, 
    48 N.J. at 78
    ).
    "Ordinarily, the issue of proximate cause should be determined by the
    factfinder." Fleuhr, 
    159 N.J. at 543
    . "Proximate cause as an issue, however,
    may be removed from the factfinder in the highly extraordinary case in wh ich
    reasonable minds could not differ on whether that issue has been established."
    
    Ibid.
     "[O]ur courts have, as a matter of law, rejected the imposition of liability
    for highly extraordinary consequences." J.S., 
    155 N.J. at 352
    . Our Supreme
    Court has explained
    to prove the element of causation, plaintiffs bear the
    burden to "introduce evidence which affords a
    reasonable basis for the conclusion that it is more
    likely than not that the conduct of the defendant was a
    cause in fact of the result. A mere possibility of such
    causation is not enough; and when the matter remains
    one of pure speculation or conjecture, or the
    probabilities are at best evenly balanced, it becomes
    A-1255-18T3
    24
    the duty of the court to direct a verdict for the
    defendant."
    [Townsend v. Pierre, 
    221 N.J. 36
    , 60-61 (2015)
    (quoting Davidson v. Slater, 
    189 N.J. 166
    , 185
    (2007)).]
    See also Thorn, 296 N.J. Super. at 347 ("[A]lthough plaintiffs bear the burden
    of proving causation, 'they are not obliged to establish it by direct, indisputable
    evidence.' Instead, '[t]he matter may rest upon legitimate inference, so long as
    the proof will justify a reasonable and logical inference as distinguished from
    mere speculation.'" (quoting Kulas v. Pub. Serv. Elec. & Gas Co., 
    41 N.J. 311
    ,
    319 (1964))).
    In Townsend, the Supreme Court held summary judgment was properly
    granted when the non-moving party failed to put forward any competent
    evidence to prove proximate cause. 221 N.J. at 61. Similarly, in Fleuhr, the
    Supreme Court reinstated a grant of summary judgment because dangerous
    ocean conditions and a surfer's negligence, not a lifeguard's conduct, caused
    the injury. 
    159 N.J. at 543-45
    . Proximate cause may also be removed from
    the jury's determination if causation depends on the validity of an expert's
    report. See Townsend, 221 N.J. at 57-58 (rejecting an expert's opinion on
    causation because it diverged from the evidence); Dawson, 289 N.J. Super. at
    324 (holding that summary judgment was proper when an expert offered a net
    opinion of causation and the non-moving party could not make "a prima facie
    A-1255-18T3
    25
    showing of a causal relationship between [the injury] and [the] alleged
    negligent conduct"). "Thus, in the unusual setting in which no reasonable
    factfinder could find that the plaintiff has proven causation by a preponderance
    of the evidence, summary judgment may be granted dismissing the plaintiff's
    claim." Townsend, 221 N.J. at 60.
    III.
    We liken this case to instances of social host liability and dram shop
    cases. In such scenarios there are really two actions that cause the injury: "A"
    provides alcoholic beverages to visibility intoxicated "B," and B injures "C,"
    an innocent third party. Although A and B have no special relationship, A's
    negligent provision of alcohol to B was a proximate cause of C's injury. The
    thread connecting A to C is that A was, in part, responsible for B's
    intoxication, and B's intoxication caused C's injury. However, in our case, the
    common thread connecting Lerner to Schrope is missing: the record contains
    no evidence B.M.D. was impaired at the time she caused Schrope's fatal
    injuries.
    Social host or tavern owner liability is tempered by the "visibly
    intoxicated" requirement. For example, in Kelly, social hosts provided a guest
    with "two or three drinks of scotch on the rocks" "an hour or two" before the
    guest was involved in a head-on collision.       
    96 N.J. at 541
    .     An expert
    A-1255-18T3
    26
    concluded that, at the time of the car crash, the guest had consumed "the
    equivalent of thirteen drinks" and "must have been showing unmistakable
    signs of intoxication" at the social hosts' home. 
    Ibid.
     As a result, the social
    hosts had knowledge of the risk of harm the guest presented to other drivers
    and it was fair to hold the social hosts liable for providing the alcohol that
    caused the collision. 
    Id. at 543-44
     ("[O]ne could reasonably conclude that the
    [social hosts] must have known that their provision of liquor was causing [the
    guest] to become drunk, yet they continued to serve him even after he was
    visibly intoxicated. By the time [the guest] left, [he] was in fact severely
    intoxicated. A reasonable person in [the social hosts'] position could foresee
    quite clearly that this continued provision of alcohol to [the guest] was making
    it more and more likely that [the guest] would not be able to operate his car
    carefully.").
    Under the New Jersey Licensed Alcoholic Beverage Server Fair Liability
    Act, N.J.S.A. 2A:22A-1 to -7, and a comparable social host statute, N.J.S.A.
    2A:15-5.6, a person injured by a patron or social guest may only recover from
    the server or social host if the patron or social guest was "visibly intoxicated."
    "'Visibly intoxicated' means a state of intoxication accompanied by a
    perceptible act or series of acts which present clear signs of intoxication."
    N.J.S.A. 2A:22A-3. Once a patron becomes visibly intoxicated, the social host
    A-1255-18T3
    27
    or server is imputed with the knowledge that the patron presents a risk of harm
    to others, and, as a result, it is fair to impose on the server or social host the
    consequences that reasonably flow from the decision to over-serve the patron.
    See Steele v. Kerrigan, 
    148 N.J. 1
    , 25-26 (1997) (explaining that social hosts
    know their visibly intoxicated guests cannot safely operate a motor vehicle and
    tavern owners are charged with "the more complete knowledge" of the harm an
    intoxicated patron could cause, such as fighting or motor vehicle accidents).
    Of course, the injured party must affirmatively prove the patron or social
    guest was intoxicated when the injury was caused. In Halvorsen v. Villamil,
    
    429 N.J. Super. 568
    , 573 (App. Div. 2013), no eyewitness was available to
    testify a tavern served alcohol to a visibly intoxicated patron. However, that
    was not fatal to the injured party's claim; rather, intoxication "may be proved
    by both direct evidence and circumstantial evidence." 
    Id. at 575
    . The plaintiff
    presented evidence the patron had just left a restaurant, was driving erratically,
    struck a slowing vehicle hard enough to cause it to flip, a police office r
    smelled alcohol on his breath and he had a substantial blood-alcohol content.
    
    Id. at 576-77
    . The plaintiff's expert used this information to opine that it was
    likely the patron was visibly intoxicated while at the tavern. 
    Id. at 577
    . We
    explained that the expert report alone was insufficient to create a genuine issue
    of material fact on the visible intoxication issue. 
    Id. at 579
    . Instead, it was all
    A-1255-18T3
    28
    the evidence of the patron's behavior before and after the crash that allowed a
    reasonable jury to infer the tavern served the patron while he was visibly
    intoxicated. 
    Ibid.
    Similarly, here, plaintiff must make a prima facie showing that the crash
    was caused by B.M.D.'s impairment. Based on our review of the record, we
    agree with the trial court's finding that B.M.D. was not impaired or intoxicated
    at the time of the crash. Plaintiff's expert reports to the contrary are based on
    conclusory statements untethered to the observations of the police officers who
    interviewed B.M.D. at the scene. In our view, plaintiff's proofs of prox imate
    cause amount to "pure speculation or conjecture" and would force the jury to
    hypothesize on whether B.M.D. was impaired.
    Goldwaser and Pandina opined that the medication B.M.D. took on the
    day of the crash compromised her ability to drive. Both experts based their
    opinion on: court records, B.M.D.'s and Lerner's deposition testimony, Lerner's
    treatment records, pharmacy and laboratory records, a police report, B.M.D.'s
    statement to police and a crash reconstruction report.         Pandina concluded
    B.M.D. ingested "four (and possibly five) medications on the date of the
    collision   including:   [d]uloxetine    (Cymbalta),    [lamotrigine]   (Lamictal),
    [l]ithium   carbonate    (Lithobid)     and    [dexmethylphenidate   hydrochloride
    (Focalin)]." Each of these medications carry side effects that, if experienced,
    A-1255-18T3
    29
    may impair a person's ability to drive, including dizziness, sleepiness, blurred
    vision and loss of coordination.           However, the record lacks any evidence
    B.M.D. was experiencing one or several of these side effects before, during or
    after the fatal crash.
    B.M.D. provided a statement to police and acknowledged she took some,
    but not all, of her medications. In her deposition testimony, she admitted to
    ingesting Focalin on the morning of the crash and that it had, in the past, made
    her feel "speedy." Yet, police at the scene declined to question her further on
    whether she was impaired by her medications. The police report does not
    describe her as exhibiting behaviors that might be consistent with the side
    effects of her medication, such as slurred words, squinting, lack of
    coordination or other observable symptoms.                Moreover, B.M.D. was only
    charged with careless driving, not driving while intoxicated. Neither expert
    applied    their   expertise      in     neuropsychology,     psychiatry    or     clinical
    psychopharmacology to prove how they knew B.M.D. was impaired even
    though no officer at the scene observed she was exhibiting symptoms
    consistent with the side effects of the medication.
    Pandina      opined   his        conclusion   was    supported   by    the     crash
    reconstruction.     Prior to the crash, visibility was clear, no cars were
    approaching from the other direction and B.M.D. had room to safely pass
    A-1255-18T3
    30
    Schrope.   However, Pandina does not explain how B.M.D.'s actions were
    caused by the side effects of her medication.        In part, Pandina based his
    conclusion on an assertion that B.M.D.'s description of the crash given at the
    scene was inconsistent with the reconstruction report. Yet, Pandina failed to
    offer any explanation as to why he believed B.M.D.'s inconsistent recollection
    was indicative of her impairment.
    Instead, both expert reports conclude that if B.M.D. ingested all the
    medication she was prescribed on the date of the crash, she could have
    experienced all of the debilitating side effects. However, this conclusi on was
    not based on B.M.D.'s observable behavior at the time of the crash. As a
    result, the expert reports offer little more than conclusory assertions.
    Considering the record's lack of direct or circumstantial evidence indicating
    B.M.D. was impaired, the expert reports alone are insufficient to generate a
    genuine issue of material fact on the issue of B.M.D.'s impaired driving. See
    Townsend, 221 N.J. at 55 ("A party's burden of proof on an element of a claim
    may not be satisfied by an expert opinion that is unsupported by the factual
    record or by an expert's speculation that contradicts that record."); Dawson,
    289 N.J. Super. at 324-25 (if an expert's report is without factual support, the
    plaintiff must sustain a prima facie showing of proximate cause through other
    reliable evidence). Therefore, we affirm the trial court's dismissal of plaintiff's
    A-1255-18T3
    31
    claim as a matter of law, because no reasonable jury could find, based on the
    proofs submitted, the medication Lerner prescribed caused B.M.D. to strike
    Schrope with her car.
    IV.
    Cases from other jurisdictions confirm our conclusion that a prescribing
    practitioner cannot be held liable for an injury caused by their patient unless
    the injury was caused by the medication prescribed or narcotic administered.
    In Coombes v. Florio, 
    877 N.E.2d 567
    , 572 (Mass. 2007) (Ireland, J.,
    concurring), the Supreme Judicial Court of Massachusetts held, in a plurality
    opinion, that "a physician owes a duty of reasonable care to everyone
    foreseeably put at risk by his failure to warn of the side effects of his treatment
    of a patient." The patient in Coombes was prescribed a variety of medications,
    some of which caused drowsiness, but received no warning against driving.
    
    Id. at 568-69
    . The patient lost consciousness while driving and struck the
    plaintiff. 
    Id. at 569
    .8
    8
    The Coombes decision was, in part, based on Cottam v. CVS Pharmacy, 
    764 N.E.2d 814
     (Mass. 2002). There, the Massachusetts court held, as a general
    matter, a pharmacist owes no duty to warn a customer of the potential adverse
    side effects of a prescription. 
    Id. at 819-20
    . Rather, the court applied the
    learned intermediary doctrine and determined the physician was in a better
    position to provide warnings in the context of the physician-patient
    relationship. 
    Id. at 820
    . The Coombes court applied Cottam and explained
    "that a doctor's duty of reasonable care, owed to a patient, includes the duty to
    (continued)
    A-1255-18T3
    32
    McKenzie v. Hawaiʻi Permanente Medical Group, Inc., 
    47 P.3d 1209
    ,
    1211 (Haw. 2002), presented a similar factual scenario to Coombes, where a
    patient, who was not informed of a side effect of medication, fainted whil e
    driving and struck the plaintiff. The defendant-doctor argued, absent a special
    relationship between him and his patient, he owed no duty to warn his patient
    for the benefit of the plaintiff. 
    Id. at 1210-11
    . The Supreme Court of Hawaiʻi
    disagreed and cited to Restatement (Second) of Torts § 302 for the proposition
    that "[a] negligent act or omission may be one which involves an unreasonable
    risk of harm to another through . . . (b) the foreseeable action of the other[]
    [or] a third person[.]" Id. 1213 (quoting Restatement (Second) of Torts § 302).
    To be sure, "Restatement (Second) [of Torts] § 302 by itself does not create or
    establish a legal duty; it merely describes a type of negligent act." Ibid. The
    court then considered the cost of imposing a duty to warn and observed
    "imposing a duty would create little additional burden upon physicians because
    physicians already owe their own patients the same duty[.]"       Id. at 1220.
    Accordingly, the court held "[a] physician owes a duty to non -patient third
    (continued)
    provide appropriate warnings about side effects when prescribing drugs." 877
    N.E.2d at 570. As a result, "[t]he occurrence of known side effects, and the
    impact of such side effects on the patient's ability to drive, are foreseeable
    results of that prescription." Id. at 573.
    A-1255-18T3
    33
    parties injured in an automobile accident caused by an adverse reaction to . . .
    medication" but qualified the holding by noting it applies "where the
    circumstances are such that the reasonable patient could not have been
    expected to be aware of the risk without the physician's warning." Id. at 1221-
    22.
    Courts in New Mexico and New York have explicitly distinguished
    between cases where a medication is prescribed versus where it was
    administered intravenously. In Davis v. South Nassau Communities Hospital,
    
    46 N.E.3d 614
    , 616 (N.Y. 2015), the patient was administered an intravenous
    pain killer; however, no hospital employee told the patient she should not
    drive. Nineteen minutes after she left the hospital, the patient caused a car
    accident.   
    Ibid.
       The Davis court imposed a duty to warn on the hospital
    because it was in the best position to do so and, under New York law,
    prescribing practitioners were already required to explain the side effects of
    medications to their patients.    
    Id. at 618, 624
    .    However, the Davis court
    limited its holding to situations where a drug is administered intravenously.
    
    Id.
     at 622 n.4 ("[W]e have recognized a duty of care running from a physician
    to third parties where the physician fails to warn his or her patient of potential
    physical impairments caused by a drug the physician has administered, rather
    than merely prescribed, to the patient.").
    A-1255-18T3
    34
    New Mexico courts have made a similar distinction. In a prescription
    drug case, the Supreme Court of New Mexico focused on the amount of time
    that had passed between when the prescription was written and when the injury
    occurred. Lester v. Hall, 
    970 P.2d 590
    , 592 (N.M. 1998) ("[W]e determine
    that the likelihood of injury to [the plaintiff] is not foreseeable to the degree
    required in order to warrant a duty.        The likelihood that a patient using
    prescription lithium will cause a car accident five days after contact with the
    doctor is considerably more remote in comparison to a patient who, injected
    with a narcotic, will cause an accident while driving away from the doctors'
    office."). But when a drug is administered intravenously, the practitioner does
    owe a duty to warn against driving because the risk of harm is more
    immediate. Wilschinsky v. Medina, 
    775 P.2d 713
    , 717 (N.M. 1989).
    In Coombes, Davis, McKenzie and Wilschinsky, the patients either
    became unconscious or received intravenous medication, leaving little doubt as
    to the cause of the motor vehicle accident. Several of the cases Lerner relies
    upon also involve a patient falling unconscious at the wheel. 9 The facts of
    9
    For example, the Supreme Court of Kansas dealt with a case where a patient
    with a sleeping disorder was never warned not to drive and caused a car
    accident. Calwell v. Hassan, 
    925 P.2d 422
    , 424-25 (Kan. 1996). In Calwell,
    the patient experienced chronic daytime sleepiness and her physician
    prescribed a sleep aid to encourage nighttime sleep. 
    Id. at 425
    . The patient
    never experienced sleepiness while driving, and her physician never felt it was
    (continued)
    A-1255-18T3
    35
    those cases eliminated the need to consider whether the patient's impairment
    was the cause of the injury. But here, because B.M.D. was not demonstrably
    impaired by her medication at the time she caused the fatal crash, Lerner
    cannot be held liable for an injury unrelated to his conduct.
    Affirmed.
    (continued)
    necessary to dissuade her from driving. 
    Ibid.
     The Supreme Court of Kansas
    focused on the relationship between practitioner and patient and held there was
    no duty to warn. 
    Id. at 433
    .
    In Gilhuly v. Dockery, 
    615 S.E.2d 237
    , 238 (Ga. Ct. App. 2005), the
    patient received intravenous medication that caused drowsiness, was never
    warned against driving and subsequently caused a car accident. The Gilhuly
    court concluded there was no duty to warn the patient because the doctor had
    no special relationship with the "motoring public" and expanding a
    practitioner's duty in this instance would expose the doctor to liability from the
    public at large. 
    Id. at 239
    . We do not consider Gilhuly persuasive because it
    is more foreseeable that a patient who receives an intravenous narcotic would
    experience immediate side effects than a patient who takes a prescription
    outside the prescriber's care.
    A-1255-18T3
    36