Jewish Hospital, an Assumed Name of Jewish Hospital & St. Mary's Healthcare, Inc. v. Honorable Mitch Perry, Judge Jefferson Circuit Court, Div. Three ( 2021 )


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  •                                                     RENDERED: JUNE 17, 2021
    TO BE PUBLISHED
    Supreme Court of Kentucky
    2020-SC-0011-MR
    JEWISH HOSPITAL, AN ASSUMED NAME                                        APPELLANTS
    OF JEWISH HOSPITAL & ST. MARY’S
    HEALTHCARE, INC.; AND KENTUCKYONE
    HEALTH, INC.
    ON REVIEW FROM COURT OF APPEALS
    V.                     CASE NO. 2019-CA-1306-MR
    JEFFERSON CIRCUIT COURT NO. 17-CI-00253
    HONORABLE MITCH PERRY                                               APPELLEE
    JEFFERSON CIRCUIT COURT JUDGE
    AND
    REAL PARTIES IN INTEREST
    KAREN L. REDDINGTON, PARTY IN
    INTEREST, INDIVIDUALLY, AND AS
    EXECUTRIX OF THE ESTATE OF
    DONALD PATRICK REDDINGTON SR.
    OPINION OF THE COURT BY JUSTICE LAMBERT
    REVERSING AND VACATING
    Appellant, Jewish Hospital (“Hospital”), petitioned the Court of Appeals
    for a writ prohibiting the Jefferson Circuit Court from enforcing its order
    allowing the use of a root-cause analysis report (“RCA”) at trial for
    impeachment purposes. The Court of Appeals denied the petition, and Jewish
    Hospital appeals from that denial. The issue before us is whether KRS1
    311.377, as amended, protects the RCA from admission at trial. We now hold
    that the document is privileged, vacate the Circuit Court’s order, and remand
    the case for further proceedings.
    I. BACKGROUND
    Donald Patrick Reddington Sr. underwent surgery for a torn labrum in
    May 2016. Though surgery was successful, Mr. Reddington suffered post-
    surgical complications upon being extubated. As a result of his difficulty
    breathing, Mr. Reddington was admitted to the ICU. Over the next several
    days, he showed improvement and was transferred from the ICU to less
    intensive care. Shortly after his transfer, Mr. Reddington pulled out his
    tracheostomy tube and arrested. Despite CPR being administered, Mr.
    Reddington passed away eight days later.
    His wife, Karen Reddington, individually and on behalf his estate
    (“Estate”), sued the Hospital alleging medical negligence. During discovery, the
    Estate sought production of any “incident report, sentinel event report, root
    cause analysis, or peer review” prepared in the aftermath of Mr. Reddington’s
    death. The Hospital produced multiple documents, including the RCA, subject
    to the terms of an agreed protective order.2
    1   Kentucky Revised Statutes.
    2 The Agreed Protective Order required that all parties treat the RCA
    confidentially. Pursuant to the order, the RCA must only be used for the litigation
    and, within 60 days of the conclusion of the litigation, the RCA must be destroyed or
    returned to Jewish Hospital.
    2
    Subsequent to the RCA’s production, the General Assembly amended
    KRS 311.377. As is relevant here, the amendment clarified that the evidentiary
    privilege created by the statute applied in “any civil action . . . including but
    not limited to medical malpractice actions[.]”3 The Hospital filed a motion in
    limine to exclude the RCA from admission at trial, arguing that KRS 311.377(2)
    rendered the RCA privileged. The trial court denied the motion in limine,
    ordering that the RCA could be used at trial “for the purpose of impeachment.”
    The Hospital then filed an original action in the Court of Appeals seeking
    a writ of prohibition. The Court of Appeals denied the Hospital’s petition.
    While the appellate court agreed with the Hospital that a writ would be
    warranted if the privilege applied, it disagreed that the statute protected the
    RCA. It held that the Hospital was not “performing a designated professional
    review function when it prepared the RCA.”4 The court focused on the impetus
    of the review process. It reasoned that the Hospital prepared the document for
    a business purpose, namely internal risk management, because the review
    process began after it became clear that litigation was imminent.5 And it held
    that the business purpose of the RCA precluded the report from being
    privileged because internal risk management was not a professional review
    function.6
    3   KRS 311.377(2).
    4   Jewish Hosp. v. Reddington, No. 2019-CA-001306 (Ky. App. Dec. 2, 2019).
    5   Id. at *9-10.
    6   Id. at *16.
    3
    The Hospital now appeals the Court of Appeals’ denial of its petition. The
    Hospital asks us to consider, first, whether KRS 311.377(2) applies
    retroactively to cases pending when the amendment was passed and, then, if it
    does, whether the RCA is privileged under the statute.
    II. ANALYSIS
    A. Standard of Review
    The issuance of a writ of prohibition is “disfavored by our jurisprudence”
    due to the extraordinary nature of the relief it provides.7 Thus, this Court
    employs a “cautious and conservative [approach] both in entertaining petitions
    for and in granting such relief.”8 We review any factual findings or legal
    conclusions of the Court of Appeals under the traditional standards (clear error
    and de novo review respectively).9 The ultimate decision, however, of whether
    to issue a writ is discretionary.10 We therefore review this decision for an
    abuse of that discretion, considering whether it was “arbitrary, unreasonable,
    unfair, or unsupported by sound legal principles.”11
    Prior to considering any issue raised on the merits, we must determine if
    the case before us belongs to the narrow class of cases to which a writ is
    7 Henderson Cnty. Health Care Corp. v. Wilson, 
    612 S.W.3d 811
    , 817 (Ky. 2020)
    (quoting Caldwell v. Chauvin, 
    464 S.W.3d 139
    , 144-45 (Ky. 2015) (internal quotation
    marks omitted)).
    8   
    Id.
    9   Appalachian Racing, LLC v. Commonwealth, 
    504 S.W.3d 1
    , 3 (Ky. 2016).
    10   
    Id.
    11   
    Id.
    4
    available.12 Those cases generally divide into two categories. The former
    category concerns cases in which the lower court has acted beyond the scope of
    its jurisdiction.13 The latter category requires the petitioning party to show
    that the lower court erred and no adequate remedy may be had through
    appeal.14 Ordinarily, the petitioning party need demonstrate that allowing the
    error to stand will result in irreparable injury.15 Yet, in certain special cases—
    such as the “breaching of a tightly guarded privilege”—a showing of immediate
    and irreparable harm may be set aside.16
    Here, the Hospital claims that the trial court’s order violates a statutory
    privilege to which it is entitled. The Court of Appeals held, and we agree, that
    the Hospital’s petition meets the requirements of the certain special cases
    exception. As such, we review the merits of the Hospital’s claims.
    B. Retroactivity
    At the threshold, we consider whether the amended KRS 311.377 applies
    to this dispute. The events giving rise to this litigation occurred in 2016, as did
    the Hospital’s internal review of those events. The Estate filed suit in 2016 and
    the Hospital produced the RCA in discovery the following year. With the
    exception of trial, nearly every event concerning the creation and disclosure of
    12   See Collins v. Braden, 
    384 S.W.3d 154
    , 158 (Ky. 2012).
    13See Wilson, 612 S.W.3d at 816 (citing Hoskins v. Maricle, 
    150 S.W.3d 1
    , 10
    (Ky. 2004)).
    14   
    Id.
    15   See Grange Mut. Ins. Co. v. Trude, 
    151 S.W.3d 803
    , 808 (Ky. 2004).
    16   
    Id.
    5
    the RCA occurred prior to the passage of the 2018 amendment to KRS
    311.377. For this reason, the Estate argues that the application of the
    privilege in this litigation impermissibly grants the statute retroactive effect.
    Kentucky law recognizes a strong presumption that statutes operate
    prospectively.17 The General Assembly recognized this presumption in KRS
    446.080(3), which provides that “[n]o statute shall be construed to be
    retroactive unless expressly so declared.” Thus, “when the General Assembly
    clearly states legislation is to have retroactive effect or otherwise prescribes its
    temporal scope or reach, we give effect to the intent of the General Assembly . .
    . unless to do so would impair some vested right or violate some constitutional
    guarantee.”18
    KRS 311.377 contains no express statement regarding retroactivity. Nor
    does the statute clearly express an intent that its provisions be applied
    retroactively through its temporal scope. Nevertheless, the absence of such
    express intent does not end our inquiry. Amendments to statutes governing
    “in-court procedures and remedies which are used in handling pending
    litigation, even if the litigation results from events which occurred prior to the
    effective date of the amendment, do not come within the rule prohibiting
    retroactive application.”19 Accordingly, we examine whether the extension of
    the privilege set out in KRS 311.377 is procedural or remedial in nature.
    17   Commonwealth Dept. of Agric. v. Vinson, 
    30 S.W.3d 162
    , 168 (Ky. 2000).
    18   Martin v. Warrior Coal LLC, 
    617 S.W.3d 391
    , 396 (Ky. 2021).
    19 Vinson, 30 S.W.3d at 168-69 (citing Peabody Coal Co. v. Gossett, 
    819 S.W.2d 33
     (Ky. 1991)).
    6
    The Estate correctly points out that this Court has previously held that
    an evidentiary privilege falls on the substantive end of the
    substance/procedure spectrum.20 In Chauvin, we considered whether the
    General Assembly’s creation of a novel statutory privilege violated the
    separation of powers provisions of the Kentucky Constitution.21 Crucially, our
    analysis focused on the source of the General Assembly’s authority to create
    privilege law. A majority of the Court determined that this authority derived
    from the legislature’s inherent power to enact substantive law, which we
    defined as “those [laws] that ‘predominately foster other objectives’ and have an
    out-of-court effect.”22 We determined that the evidentiary privilege fostered
    out-of-court objectives (e.g. protecting privacy and combatting drug abuse and
    addiction) and; consequently, we held that the creation of the privilege was a
    valid exercise of legislative authority.
    In considering retroactivity, however, the focal point of our analysis
    shifts. Here, we concentrate on the effect of the amendment on the pending
    litigation.23 In Peabody Coal Co. v. Gossett, we explained the distinction
    between substantive and procedural laws in the retroactivity context:
    A retrospective law, in a legal sense, is one which takes away or
    impairs vested rights acquired under existing laws, or which creates
    a new obligation and imposes a new duty, or attaches a new
    20 Commonwealth Cabinet for Health & Fam. Servs. v. Chauvin, 
    316 S.W.3d 279
    ,
    284 (Ky. 2010).
    21   
    Id.
    22Id. at 286-87 (quoting Robert G. Lawson, Modifying the Kentucky Rules of
    Evidence – A Separation of Powers Issue, 
    88 Ky. L.J. 525
    , 580 (2000)).
    23   See Vinson, 30 S.W.3d at 168-169.
    7
    disability, in respect to transactions or considerations already past.
    Therefore, despite the existence of some contrary authority, remedial
    statutes, or statutes relating to remedies or modes of procedure,
    which do not create new or take away vested rights, but only operate
    in furtherance of the remedy or confirmation of such rights, do not
    normally come within the legal conception of a retrospective law, or
    the general rule against the operation of statutes.24
    Vinson illustrates this approach. There, we considered whether
    amendments to Kentucky’s Whistleblower Statute that altered the causation,
    weight of evidence, and burden of proof elements under the statute were
    substantive or procedural in nature.25 The principal effect of the amendment
    was to make it easier for an aggrieved employee to prove their case and shifted
    the burden of proof to the employer to rebut certain aspects of the claim.26 We
    held that the amendments were substantive because they transformed
    previously unactionable conduct into conduct which was consequential to the
    determination of the dispute.27
    The amendment in KRS 311.377, on the contrary, does not impair the
    substantive right of the Estate to bring its cause of action. Nor does it bring
    about a substantive change in the law of medical negligence. The amendment
    clarifies that the statutory privilege applies in a broader range of cases than
    this Court had previously held.28 In the context of this litigation, the statute
    24   819 S.W.2d at 36 (emphasis added).
    25   Vinson, 30 S.W.3d at 168-69.
    26   Id.
    27   Id.
    28 In Sisters of Charity Health Sys. v. Raikes, this Court held that “the peer
    review privilege created by KRS 311.377(2) [was] limited to suits against peer review
    8
    works to keep otherwise relevant and admissible evidence from the trier of fact.
    It acts as a rule that predominately affects what happens inside the courtroom
    (i.e. the manner and means by which a party proves its case). In this sense,
    the amendment is procedural.29
    Other jurisdictions have reached similar conclusions. For instance, in
    Huntsman v. Aultman Hospital, the Court of Appeals of Ohio analyzed
    amendments to Ohio’s peer review privilege statute.30 Ohio courts had
    interpreted the prior version of the statute to permit the trial court to conduct
    an in-camera review of a peer review committee’s records to determine which
    documents were privileged.31 The Ohio legislature amended the statute to
    clarify that no documents could be obtained from a peer review committee’s
    records; only documents obtainable from their origin source were
    discoverable.32 The appellate court held that this amendment was procedural
    because it only altered the manner in which discoverable material was obtained
    rather than the substantive components of the underlying claim.33 Ohio’s
    approach corresponds with numerous jurisdictions in finding amendments to
    evidentiary privileges to be procedural in nature.34
    entities[.]” 
    984 S.W.2d 464
    , 470 (Ky. 1998). The 2018 Amendment to KRS 311.377(2)
    clearly expands the scope of the statute’s applicability.
    29   See Chauvin, 316 S.W.3d at 286-87.
    30   
    826 N.E.2d 384
     (Ohio Ct. App. 2005).
    31   
    Id. at 388
    .
    32   
    Id.
    33   
    Id.
    State v. Carver, 
    258 P.3d 256
    , 263 (Ariz. Ct. App. 2011) (holding that an
    34
    amended marital communications privilege governs in proceedings arising before but
    9
    After considering our own case law in the context of this trend, we
    determine that the 2018 amendment to KRS 311.377 is procedural. Being
    procedural in nature, the statute is exempted from the prohibition against
    retroactive application. We accordingly conclude that KRS 311.377 applies in
    this case.
    C. Application of KRS 311.377
    The principal issue in this case concerns the scope of the peer review
    privilege. The resolution of this issue hinges on the interpretation of the term
    “designated professional review function.”35 The parties agree that only the
    materials of an entity engaged in such a function qualify for protection under
    subsection (2) of the statute. But the parties differ as to whether the RCA was
    produced by a committee engaged in that process.
    Statutes creating evidentiary privileges necessitate strict construction
    because they violate the fundamental principle that “the public . . . has a right
    to every man’s evidence.”36 We accordingly consider broad claims of privilege
    with careful scrutiny.37 This critical approach, however, does not force us to
    tried after its enactment because the amendment was procedural); People v. Dolph-
    Hostetter, 
    664 N.W.2d 254
    , 261 (Mich. Ct. App. 2003) (holding that the application of
    the amended marital communications privilege did not violate the ex post facto clause
    because it was procedural); State v. Bragan, 
    902 S.W.2d 227
    , 241 (Tenn. Ct. App.
    1995) (amendment to marital communications privilege was procedural); Ne. Cmty
    Hosp. v. Gregg, 
    815 S.W.2d 320
     (Texas App. 1991) (amendment to peer review privilege
    statute was procedural).
    35   KRS 311.377(2).
    36Trammel v. United States, 
    445 U.S. 40
    , 45 (1980) (quoting United States v.
    Bryan, 
    339 U.S. 323
    , 331 (1950)).
    37   Raikes, 984 S.W.2d at 468-69.
    10
    abandon our bedrock rules of statutory interpretation. Our goal—if the
    General Assembly exercised its authority properly—remains to effectuate
    legislative intent.38 And when the language of the statute is clear and
    unambiguous, we must not “add or subtract from the legislative enactment or
    discover meanings not reasonably ascertainable from the language used.”39
    We begin with the text of the statute. Subsection (1) provides that any
    person who applies for, or is granted, staff privileges by certain licensed health
    services organizations, such as a hospital, presumptively waives any claim for
    damages against the Hospital or its designees for good faith actions undertaken
    during “the designated review function of review of credentials or retrospective
    review and evaluation of the competency of professional acts or conduct of other
    health care personnel.”40 Subsection (2), in turn, states that the “proceedings,
    records, opinions, conclusions, and recommendations” of any entity performing
    this review function “shall be confidential and privileged and shall not be
    subject to discovery…in any civil action in any court, including but not limited
    to medical malpractice actions.” The protection of the privilege is limited to “a
    person or entity that attests to participating in a patient safety and quality
    improvement initiative.” Put simply, the statute renders privileged any
    documents created by an entity engaged in the retrospective review of the
    professional conduct of health care providers.
    38   See Abel v. Austin, 
    411 S.W.2d 728
    , 738 (Ky. 2013).
    39   Commonwealth v. Harrelson, 
    14 S.W.3d 541
    , 546 (Ky. 2000).
    40   (Emphasis added.)
    11
    The RCA appears to meet the facial requirements for protection under
    the statute. Several weeks after Mr. Reddington’s death, Melanie Woodring,
    then-interim risk manager for the Hospital, initiated the RCA process.
    Woodring testified by deposition that she began her investigation after it
    became clear that the Estate intended to file a lawsuit against the Hospital.
    Woodring met with Dr. Jeffrey Goldberg, Chief Medical Officer; Deanna Parker,
    Director of Nursing; and Robert Wheat, Assistant Nurse Manager. The goal of
    this group (designated the “Code E team”) was to review the cause of Mr.
    Reddington’s death, evaluate the care provided by members of the nursing
    team, and ascertain whether changes in care needed to be implemented. The
    RCA contains the ultimate findings and opinions of the team. The document
    discusses the quality of care Mr. Reddington received and outlines
    considerations for preventative measures that the Hospital could implement.
    The document explicitly reviews the professional competency of hospital staff.
    The Estate’s primary argument to the contrary concerns the impetus for
    the RCA’s creation rather than its contents. Because Woodring only initiated
    the process after litigation was imminent, the Estate explains, the RCA was
    created with the primary purpose of internal risk management rather than
    improving patient safety. Under the Estate’s theory, the document’s “business
    purpose” takes it outside of the protection of KRS 311.377(2).
    Though KRS 311.377 itself contains no express indication that its
    coverage is limited to documents created without consideration of litigation, the
    Estate cites the statute’s attestation requirement as evidence of the limitation.
    12
    Subsection (2) provides that the “confidentiality and privilege protections of this
    subsection shall only be available to a person or entity that attests to
    participating in a patient safety and quality improvement initiative, including
    the program established by the Patient Safety and Quality Improvement Act of
    2005[.]” The Estate argues that this language requires the Hospital to
    demonstrate that the RCA was generated as patient safety work product
    pursuant to a patient safety and quality improvement initiative.
    But this argument elides the fact that the General Assembly clearly did
    not intend for the privilege provision of KRS 311.377 to be coextensive with
    federal protections. “Patient Safety Work Product” is a term of art defined by
    federal statute. The Patient Safety and Quality Improvement Act of 2005
    (PSQIA) provides a privilege for patient safety work product conveyed by a
    covered entity to a patient safety organization.41 The PSQIA defines patient
    safety work product as “any data, reports, records, memoranda, analyses, or
    written or oral statements…assembled or developed by a provider for reporting
    to a patient safety organization … and which could result in improved patient
    safety, health care quality, or health care outcomes[.]”42
    A textual comparison of the foregoing provision with KRS 311.377
    demonstrates that the latter is intended to offer broader protections. First, the
    attestation provision of KRS 311.377(2) does not require the entity to
    41 See 42 U.S.C § 299b-22(a); Univ. of Ky. v. Bunnell, 
    532 S.W.3d 658
    , 665-66
    (Ky. App. 2017).
    42   42 U.S.C § 299b-21(7)(A)(i).
    13
    participate in the program established by the “PSQIA”. The statute provides
    that the entity must participate in a patient safety initiative “including” the
    “PSQIA” program. The participle “including,” in a legal sense, typically
    demonstrates the presence of a partial or non-exhaustive list.43 An entity
    claiming the privilege, therefore, may but is not required to participate in the
    patient safety program under the “PSQIA”. This indicates that the General
    Assembly did not intend to incorporate the peer review provisions of the
    “PSQIA” wholesale.
    Second, the “PSQIA” itself expressly limits the application of its privilege
    to documents that (1) are reported to a patient safety organization and (2) could
    result in improved patient safety.44 KRS 311.377, on the other hand, privileges
    the materials of an entity “performing a designated review function,” which is
    defined to include “the retrospective review and evaluation of the competency of
    professional acts or conduct of other health care personnel.” The latter
    contains no express requirement of submission to another body. Nor does it
    expressly require the court to evaluate whether the document at issue “could”
    result in better health care outcomes. The federal privilege had been in force
    for over a decade as of 2018, the year in which the General Assembly amended
    KRS 311.377. Numerous decisions of Kentucky courts had interpreted the
    scope of the federal privilege, including its application to documents resembling
    43   BLACK’S LAW DICTIONARY 777 (8th ed. 2004).
    44   See 42 U.S.C § 299b-21(7)(A)(i).
    14
    the RCA.45 The General Assembly was presumably aware of this
    jurisprudential context when it amended our own peer-review statute. The
    absence of equivalent language of limitation in our statute suggests an intent
    for Kentucky’s peer review privilege to offer broader protection than its federal
    counterpart.
    In fact, this broader protection fits within the context of the larger
    regulatory apparatus applicable to peer review documents. Under the “PSQIA”,
    both (1) documents mandated to be created and maintained by state regulation
    or (2) reports voluntarily disclosed are not covered by the federal privilege.46
    Moreover, under Kentucky case law, a report like the RCA would only be
    covered if it was “created for the sole purpose of submission to [the hospital’s]
    PSO in accordance with the Act and for no other use whatsoever.”47 KRS
    311.377(2)’s broad language extends coverage to a class of documents
    generated by peer review committee that would not otherwise be protected
    under the federal statute.
    Here, the Hospital attested to participating in the Kentucky Institute for
    Patient Safety & Quality (KIPSQ), a federally certified PSO48. The report was
    produced by the “Code E” team assembled by Woodring and set out the
    findings of a retrospective review of nursing care intended to assess the cause
    45See e.g., Baptist Health Richmond v. Clouse, 
    497 S.W.3d 759
     (Ky. 2016); Tibbs
    v. Bunnell, 
    448 S.W.3d 796
     (Ky. 2014); Bunnell, 
    532 S.W.3d 658
    .
    46   See Bunnell, 532 S.W.3d at, 672-73.
    47   
    Id. at 690
    .
    48   Patient Safety Organization.
    15
    of Mr. Reddington’s death and improve hospital procedures to increase patient
    safety.
    Both the text of the KRS 311.377 and the statute’s place in the broader
    regulatory context indicate that the General Assembly intended to offer broader
    protection to peer review documentation than the privilege offered by the
    “PSQIA”. The Estate’s proffered business purpose test (which also underlies
    the Court of Appeals’ opinion) relies on case law interpreting a federal statute
    that expressly provides narrower protection than the state statute. For the
    foregoing reasons, we hold that the RCA meets the statutory requirements of
    KRS 311.377 and was privileged.49
    III. CONCLUSION
    The Hospital successfully demonstrates that it is entitled to a writ of
    prohibition. Because this case concerns the potential violation of an applicable
    privilege, the certain special cases exception is met. On the merits, the
    Hospital demonstrates that the RCA was a report generated during the
    retrospective review of the professional conduct of its nursing staff. Therefore,
    we reverse the Court of Appeals’ opinion and grant the petition for a writ
    prohibiting the Circuit Court from enforcing its order permitting the admission
    of the privileged material for impeachment purposes.
    49  The Estate argues that the Hospital waived any claim to privilege protection
    through its voluntary disclosure of the RCA prior to the passage of amendment to KRS
    311.377. The argument fails. Kentucky Rule of Evidence (KRE) 510 states that “A
    claim of privilege is not defeated by a disclosure which was . . . (2) made without
    opportunity to claim this privilege.” Here, any disclosures occurred prior to the
    passage of the 2018 amendment so the Hospital lacked the opportunity to assert the
    privilege.
    16
    All sitting. All concur.
    COUNSEL FOR JEWISH HOSPITAL, AN ASSUMED NAME OF JEWISH
    HOSPITAL & ST. MARY’S HEALTHCARE, INC. & KENTUCKYONE HEALTH,
    INC.:
    Eleanor M.B. Davis
    Bryan Todd Thompson
    Joseph Andrew Wright
    Louisville, Kentucky
    COUNSEL FOR KAREN L. REDDINGTON PARTY IN INTEREST INDIVIDUALLY,
    AND AS EXECUTRIX OF THE ESTATE OF DONALD PARTRCK REDDINGTON,
    SR.:
    Francis T. Conway
    John William Conway
    Louisville, Kentucky
    APPELLEE:
    Hon. Mitch Perry, Judge
    17