Sovde v. Scott, D.O , 410 P.3d 778 ( 2017 )


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  • COLORADO COURT OF APPEALS                                        2017COA90
    Court of Appeals No. 16CA0448
    Arapahoe County District Court No. 13CV30674
    Honorable Kurt A. Horton, Judge
    Shawn Sovde, a minor, by and through his mother and next friend, Katrina
    Kinney,
    Plaintiff-Appellant,
    v.
    Kevin Scott, D.O.; and Andrew Sarka, M.D.,
    Defendants-Appellees.
    JUDGMENT AFFIRMED
    Division II
    Opinion by JUDGE BERNARD
    Dailey and Fox, JJ., concur
    Announced June 29, 2017
    Andrew T. Brake, P.C., Andrew T. Brake, Englewood, Colorado, for Plaintiff-
    Appellant
    Hershey Decker, PLLC, C. Todd Drake, Lone Tree, Colorado, for Defendants-
    Appellees
    ¶1    Colorado’s Rules of Civil Procedure require parties to lawsuits
    to endorse expert witnesses and to inform each other of the
    substance of the expert witnesses’ testimony. But what happens if
    one party withdraws an endorsed “may call” expert witness shortly
    before trial or during trial, and the opposing party then announces
    that it wants to call the withdrawn witness to testify? We conclude
    that, to answer this question, a trial court should, in the exercise of
    its discretion, balance factors such as (1) whether the expert’s
    testimony would be cumulative; (2) whether excluding the expert’s
    testimony would result in unfair prejudice to the nonendorsing
    party; and (3) whether the nonendorsing party did not endorse its
    own expert on the subject, because the absence of such an
    endorsement would suggest an attempt to “piggyback” on the
    endorsing party’s preparation.
    ¶2    This question arose in the context of a medical malpractice
    case. Plaintiff, a child, Shawn Sovde, by and through his mother,
    Katrina Kinney, sued defendants, Dr. Andrew Sarka and Dr. Kevin
    Scott. The jury found in defendants’ favor. Plaintiff appeals. We
    affirm.
    1
    I.   Background
    ¶3      The child was born on June 25, 2006. Shortly after his birth,
    his mother noticed a “scrape” or a “lesion” on “the top of his head”
    and marks by his ears. She noticed “more lesions” on him the next
    day.
    ¶4      Dr. Sarka examined the child on the day after he was born,
    and Dr. Scott examined him the day after that. Dr. Scott told the
    mother that the lesions were “baby acne” and “cradle cap.” He
    repeated these observations when he examined the child three days
    later. Neither doctor took any action or ordered additional testing
    concerning the lesions during the week after the child was born.
    ¶5      The child’s behavior changed on July 4, or nine days after his
    birth. The mother later testified that he “was not eating as well” as
    he had earlier, and that he was “[m]uch sleepier.” The lesions on
    his head were “getting bigger,” and they were spreading.
    ¶6      The next day, based on a pediatrician’s advice, the mother and
    the child’s father, Raymond Sovde, rushed the child to the hospital.
    Once there, doctors determined that the child had been infected
    with the herpes simplex virus, which had manifested itself in two
    2
    ways: skin, eyes, and mucous membrane (SEM) disease, and
    central nervous system (CNS) disease.
    ¶7    The doctors at the hospital immediately began to treat the
    child with antibiotics, which they repeated over time. But the CNS
    disease had done serious damage, eventually inducing seizures and
    causing a sensory processing disorder. And some of the medicine
    that the doctors prescribed for the child caused other medical
    problems, such as pancreatitis.
    ¶8    The child’s lawsuit claimed that
     defendants had negligently misdiagnosed the child’s
    lesions as something benign instead of manifestations of
    the herpes simplex virus, even though, plaintiff alleged,
    the child had herpes-caused lesions on his head on the
    day that he was born; and
     if defendants had timely and properly diagnosed the
    lesions as products of less harmful SEM disease, they
    could have treated the child with antibiotics, which could
    have prevented the onset of the more harmful CNS
    disease.
    ¶9    Defendants countered that
    3
     the child had developed the two forms of herpes-related
    disease simultaneously on July 4 or 5, and that the
    lesions that the mother had seen on him on the day of
    his birth had not been herpes-related; so
     they were not negligent because they could not have
    diagnosed any herpes-related disease before July 4 or 5.
    ¶ 10   The case proceeded to trial. The jury found that defendants
    had not been negligent.
    ¶ 11   Plaintiff raises two contentions on appeal.
    ¶ 12   First, he asserts that the trial court erred when it denied
    related requests concerning two of defendants’ previously endorsed
    expert witnesses whom defendants had withdrawn. Plaintiff wanted
    to call them to testify, or to use their depositions to cross-examine
    defendants’ other experts.
    ¶ 13   Second, he contends that the trial court erred when it
    excluded certain testimony because it was hearsay.
    II.        Withdrawn Expert Witnesses
    A.     Additional Background
    ¶ 14   Defendants endorsed several expert witnesses more than three
    months before trial. One of them, Dr. Thomas Reiley, was a
    4
    neurologist. Another, Dr. Richard Molteni, was a pediatrician and a
    neonatologist. The endorsement described them as “Specially
    Retained Expert Witnesses Who May be Called to Testify During the
    Hearing in this Matter.”
    ¶ 15   Plaintiff did not endorse Dr. Reiley or Dr. Molteni. But he
    reserved the right “to call any witnesses listed by . . . [d]efendants
    and any rebuttal or impeachment witnesses as may be deemed
    necessary, at the conclusion of [d]efendants’ case.”
    ¶ 16   About six weeks before trial, defendants designated the two
    expert witnesses as “may call” witnesses on their witness list.
    (C.R.C.P. 16(f)(3)(VI)(A) distinguishes between “may call” and “will
    call” witnesses. “If a party lists a witness as a ‘will call’ witness,
    that party ‘must ensure’ that the witness will be available to testify
    at trial if called by any party without the necessity of another party
    serving a subpoena on the witness.” 6 David R. DeMuro, Colorado
    Practice Series: Civil Trial Practice § 9.4, Westlaw (database updated
    Aug. 2016). As we explain in more detail below, there is no such
    requirement for “may call” witnesses.)
    ¶ 17   Eleven days before trial, defendants filed a motion stating that
    they would not call Dr. Reiley at trial. They asked the trial court to
    5
    exclude all of his “[d]eposition testimony, handwritten notes, and
    literature” from the trial.
    ¶ 18   The next day, plaintiff updated his witness list to include Dr.
    Reiley, and he served him with a subpoena.
    ¶ 19   After a hearing, the trial court ruled that plaintiff could not
    call Dr. Reiley as his witness and that plaintiff could not refer to his
    deposition or expert report. The court observed that defendants
    had listed him as a “may call” witness and that they were “entitled
    to withdraw [him] as an expert witness. They have done so
    somewhat belatedly but have done so.”
    ¶ 20   The court did not anticipate that plaintiff would be prejudiced
    if he could not call Dr. Reiley to the stand. “Among other things,
    [he has his] own expert in pediatric neurology endorsed to testify in
    this case as well as a number of other witnesses.”
    ¶ 21   Near the end of defendants’ case-in-chief, they said that they
    would not call Dr. Molteni to testify. Plaintiff asked the court to
    allow him to call Dr. Molteni as his own rebuttal witness or to allow
    him to read Dr. Molteni’s deposition to the jury. Plaintiff claimed
    that his opinions “very much rebut[ted]” other defense expert
    opinions.
    6
    ¶ 22   Citing its previous ruling about Dr. Reiley, the court denied
    plaintiff’s request. Although it acknowledged that it was “somewhat
    sensitive to the fact that [defendants were] doing this late,” the
    court explained that plaintiff should have endorsed Dr. Molteni as
    his own witness if he had planned to rely on his opinions in
    rebuttal.
    ¶ 23   The court did, however, allow plaintiff to use Dr. Reiley’s and
    Dr. Molteni’s opinions in hypothetical questions for cross-examining
    some of defendants’ other expert witnesses. But the court, citing
    “strong public policy reasons,” added that plaintiff could not name
    these experts or suggest that the hypotheticals had come from the
    opinions of defendants’ formerly endorsed expert witnesses.
    B.   Standard of Review
    ¶ 24   Trial courts have broad discretion to admit or to exclude
    expert testimony, Estate of Ford v. Eicher, 
    220 P.3d 939
    , 942 (Colo.
    App. 2008), aff’d, 
    250 P.3d 262
    (Colo. 2011), and to permit “late
    identified witnesses to testify,” Dare v. Sobule, 
    648 P.2d 169
    , 171
    (Colo. App. 1982), rev’d on other grounds, 
    674 P.2d 960
    (Colo.
    1984). A trial court abuses its discretion if its ruling is manifestly
    7
    arbitrary, unreasonable, or unfair, or if it applies an incorrect legal
    standard. Estate of 
    Ford, 220 P.3d at 942
    .
    C.    Applicable Rules
    ¶ 25   Colorado’s civil rules require each party to disclose to the
    opposing party the identity and expertise of any person who may
    present evidence at trial. C.R.C.P. 26(a)(2)(A); see also C.R.C.P.
    26(a)(2)(B) (requiring parties to disclose retained experts via a
    written and signed report).
    ¶ 26   A different rule requires each party to file a “proposed trial
    management order” at least twenty-eight days before trial,
    identifying the witnesses whom it “will call” and the witnesses
    whom it “may call.” C.R.C.P. 16(f)(3)(VI)(A).
    When a party lists a witness as a “will call”
    witness, the party does not have to call the
    witness to testify, but must ensure that the
    witness will be available to testify at trial if
    called by any party without the necessity for
    any other party to subpoena the witness for
    the trial.
    
    Id. The rule
    does not contain similar requirements for “may call”
    witnesses. See 
    id. ¶ 27
      This lack of a parallel requirement has meaning because we
    cannot “add words” to a court rule. See Boulder Cty. Bd. of
    8
    Comm’rs v. HealthSouth Corp., 
    246 P.3d 948
    , 951 (Colo. 2011)(“We
    do not add words to a statute.”); see also Leaffer v. Zarlengo, 
    44 P.3d 1072
    , 1078 (Colo. 2002)(noting that standard principles of
    statutory construction apply to the interpretation of court rules).
    Applying de novo review, see Gleason v. Judicial Watch, Inc., 
    2012 COA 76
    , ¶ 14 (interpreting court rules is a question of law that
    appellate courts review de novo), we conclude that the presence of
    the requirement for “will call” witnesses in C.R.C.P. 16(f)(3)(VI)(A),
    and the absence of the requirement for “may call” witnesses in that
    rule, indicates that the supreme court, in promulgating the rule,
    made a deliberate choice, see BSLNI, Inc. v. Russ T. Diamonds, Inc.,
    
    2012 COA 214
    , ¶ 9 (using standard statutory construction
    principles in evaluating the Colorado Rules of Civil Procedure); cf.
    People v. Seacrist, 
    874 P.2d 438
    , 440 (Colo. App. 1993)(Appellate
    courts apply “the presumption that the General Assembly was
    aware that qualifying language could be added to limit application
    of the statute . . . and that it would have done so if such had been
    its intent.”). We conclude that the deliberate choice of the supreme
    court was to eschew placing a responsibility on parties to make
    9
    their “may call” witnesses available at trial if they decide that they
    do not want to call those witnesses to testify.
    ¶ 28        C.R.C.P. 16 also requires parties to, at least twenty-eight days
    before trial, identify the depositions of any witness that they may
    use at trial. C.R.C.P. 16(f)(3)(VI)(D) (“If the preserved testimony of
    any witness is to be presented the proponent of the testimony shall
    provide the other parties with its designations of such testimony at
    least 28 days before the trial date.”).
    D.    Application
    ¶ 29        Plaintiff’s contention is multifaceted. First, he appears to
    assert that the trial court should not have allowed defendants to
    withdraw Dr. Reiley and Dr. Molteni past the trial management
    deadline. Second, he submits the court should have permitted him
    to call the doctors to testify after defendants had withdrawn them or
    permitted him to use their depositions to cross-examine other
    expert witnesses. We disagree with both facets of this contention.
    1.    The Trial Court Properly Permitted Defendants to Withdraw
    Dr. Reiley and Dr. Molteni as Witnesses
    ¶ 30        To begin, defendants designated both Dr. Reiley and Dr.
    Molteni as “may call” experts at least twenty-eight days before trial
    10
    to comport with C.R.C.P. 16(f)(3)(VI)(A). Defendants also complied
    with C.R.C.P. 26 because they disclosed the two doctors as experts
    that they “may” call. See C.R.C.P. 26(a)(2)(A).
    ¶ 31   We are not aware of any Colorado rule or holding — and
    plaintiff does not cite any — that requires a party to call each
    witness on its witness list. Some cases have expressly rejected
    such a rule. See Warren v. People, 
    121 Colo. 118
    , 123, 
    213 P.2d 381
    , 384 (1949)(“[T]he district attorney is under no obligation to call
    all witnesses whose names are endorsed on the information.”); see
    also United States v. Bond, 
    552 F.3d 1092
    , 1097 (9th Cir. 2009)(“[I]t
    is elementary that litigants are not required to call every witness
    identified on their witness lists. The witness list simply provides
    notice to the court and to opposing counsel of the witnesses who
    may be presented at trial.”).
    ¶ 32   In the absence of any authority holding otherwise, we
    conclude that the trial court did not abuse its discretion when it
    permitted defendants to withdraw Dr. Reiley and Dr. Molteni. We
    also conclude, for the reasons that we explained above, that
    defendants did not have an obligation to make them available at
    11
    trial to testify because defendants had designated them as “may
    call” witnesses, not “will call” witnesses.
    2.    The Trial Court Did Not Abuse Its Discretion When It Denied
    Plaintiff’s Request to Call Dr. Reiley and Dr. Molteni to Testify or to
    Use Their Depositions
    ¶ 33   Plaintiff did not comply with C.R.C.P. 26 because he did not
    timely endorse Dr. Reiley or Dr. Molteni. He also did not inform the
    court and defendants that he would use their depositions at trial
    under C.R.C.P. 16(f)(3)(VI)(D).
    ¶ 34   In exercising its broad discretion to reject plaintiff’s request “to
    endorse witnesses after the date permitted by rule,” Brown v.
    Hollywood Bar & Cafe, 
    942 P.2d 1363
    , 1365 (Colo. App. 1997), the
    trial court pointed out that plaintiff had not informed the court he
    would rely on the expert opinions of Dr. Reiley and Dr. Molteni. The
    court also observed that plaintiff had endorsed several of his own
    experts with similar expertise. See, e.g., People v. Carmichael, 
    179 P.3d 47
    , 55 (Colo. App. 2007)(“Because Carmichael’s late
    endorsement violated the discovery rules, and he failed to articulate
    a reason why it was so late, we perceive no abuse of discretion by
    the court in imposing a sanction and disallowing the testimony of
    the defense witness.”), rev’d on other grounds, 
    206 P.3d 800
    (Colo.
    12
    2009); Brown, 942 P.2d at 1365)(concluding that the trial court did
    not abuse its discretion when it barred witnesses from testifying
    who had not been timely endorsed).
    ¶ 35   Notwithstanding plaintiff’s untimely endorsements of the
    doctors and requests to use their depositions, he asserts that, “once
    a party endorses an expert, the expert has been deposed, and the
    parties are engaged in final trial preparation,” “it is too late to
    prohibit an opposing party from calling the expert.” Even if we
    assume that plaintiff’s untimely endorsements were insufficient to
    support the trial court’s decision to bar Dr. Reiley and Dr. Molteni
    from testifying, we still conclude that the trial court did not abuse
    its discretion.
    ¶ 36   C.R.C.P. 26 and its federal counterpart are silent about
    whether a party may call an opposing party’s expert witness once
    the opposing party has withdrawn the expert. See Ferguson v.
    Michael Foods, Inc., 
    189 F.R.D. 408
    , 409 (D. Minn. 1999);
    McClendon v. Collins, 
    372 P.3d 492
    , 494 (Nev. 2016)(“[T]he rules of
    civil procedure are silent as to whether an opposing party may
    depose or call as a witness an expert who had been designated as
    13
    one who will testify at trial but was then later de-designated.”).
    Colorado appellate courts have not addressed this question.
    ¶ 37   Courts outside of Colorado have used a “discretionary” or
    “balancing” approach to determine whether one party may call the
    opposing party’s withdrawn expert. See House v. Combined Ins. Co.
    of Am., 
    168 F.R.D. 236
    , 242-47 (N.D. Iowa 1996)(describing the
    discretionary or balancing approach and applying it in that case);
    see also Peterson v. Willie, 
    81 F.3d 1033
    , 1037-38, 1038 n.4 (11th
    Cir. 1996)(explaining that once an expert is withdrawn by one
    party, the court has discretion to permit the opposing party to call
    the expert); 
    McClendon, 372 P.3d at 494
    (noting that the
    discretionary standard is the “proper standard” to determine
    whether a “de-designated” expert may testify for the opposing
    party)(citation omitted).
    ¶ 38   A court applying this balancing test weighs factors such as
    whether the expert’s testimony would be cumulative, thus limiting
    the testimony’s probative value; whether excluding the expert’s
    testimony would result in unfair prejudice; and whether the
    opposing party failed to endorse its own expert, thereby
    14
    demonstrating an attempt to “piggyback” on the other party’s
    preparation. 
    McClendon, 372 P.3d at 495
    .
    ¶ 39   Courts adopting the balancing test also recognize that the
    party that originally endorsed the expert witness can suffer
    prejudice if the opposing party calls the withdrawn expert to testify.
    For example, “[j]urors unfamiliar with the role of counsel in
    adversary proceedings might well assume that [a party’s] counsel
    had suppressed evidence which he had an obligation to offer [when
    the party withdrew an expert witness.] Such a reaction could
    destroy counsel’s credibility in the eyes of the jury.” 
    Peterson, 81 F.3d at 1037
    (quoting Granger v. Wisner, 
    656 P.2d 1238
    , 1242 (Ariz.
    1982)). Another court described this sort of prejudice as
    “explosive.” Rubel v. Eli Lilly & Co., 
    160 F.R.D. 458
    , 460 (S.D.N.Y.
    1995)(consulting expert witness context; the expert at issue was not
    designated by the hiring party to testify); see also Damian D.
    Capozzola, Expert Witnesses in Civil Trials § 8:27, Westlaw
    (database updated Sept. 2016)(“[T]here should be a presumption
    against a party being able to call at trial an expert originally
    retained by the other party, a presumption that can only be
    overcome by a showing of exceptional circumstances, or by
    15
    prophylactic measures taken by the [c]ourt to ensure that the other
    party is not unduly prejudiced. Indeed, a number of courts have
    held that a party may not use the deposition of an opponent’s
    withdrawn expert.”).
    ¶ 40   Our review of the record indicates to us that the trial court
    applied the balancing test described in cases such as House and
    Peterson. Indeed, in its order denying plaintiff’s motion for a new
    trial, the court cited those two cases.
    ¶ 41   As well, during the trial, the court explained that
     “there has been no reliance by [plaintiff] on the
    endorsement of Dr. Reiley. There’s no specific cross
    endorsement for Dr. Reiley or otherwise an indication
    sufficient to the [c]ourt that [plaintiff was] relying upon
    Dr. Reiley being present”;
     “there should be no prejudice to [plaintiff if the court
    does not allow him to call Dr. Reiley to testify]. Among
    other things, [he has his] own expert in pediatric
    neurology endorsed to testify in this case as well as a
    number of other witnesses”; and
     Dr. Reiley’s testimony would be “duplicative.”
    16
    ¶ 42   The court relied on the same reasoning to deny plaintiff’s
    request to call Dr. Molteni to testify or to use his deposition. And
    the court reiterated these same reasons when it denied plaintiff’s
    motion for a new trial.
    ¶ 43   The record does not include trial transcripts of the testimony
    of the expert witnesses whom plaintiff called to testify at trial. So
    we must presume that the missing transcripts supported the trial
    court’s decision. See In re Marriage of Cardona, 
    321 P.3d 518
    , 526
    (Colo. App. 2010), aff’d on other grounds, 
    2014 CO 3
    .
    ¶ 44   Plaintiff next asserts that Dr. Reiley and Dr. Molteni held
    opinions that were inconsistent with the opinion of a third expert
    witness whom defendants called to testify at trial. (This witness,
    Dr. Michael Radetsky, was a pediatrician who had expertise in
    pediatric infectious diseases.) The trial court’s order barring Dr.
    Reiley and Dr. Molteni from testifying was, plaintiff continues,
    therefore unjust.
    ¶ 45   The record contains Dr. Reiley’s and Dr. Molteni’s depositions
    and reports and the testimony of Dr. Radetsky. Contrary to
    plaintiff’s assertion, our review of the record shows only small
    differences among these various sources of expert opinion. For
    17
    example, Dr. Reiley offered the opinion that babies who contract
    SEM disease will eventually develop CNS disease in about seventy
    percent of cases; Dr. Radetsky did not “know the derivation” of this
    statistic. Dr. Reiley thought that the incubation period for the
    herpes simplex virus was two to twelve days after birth; Dr.
    Radetsky said the timeframe could vary if babies were inoculated
    against the virus at birth.
    ¶ 46   Pointing out these differences would not have furthered
    plaintiff’s case very much. For example, Dr. Reiley’s opinion about
    the timeframe when herpes-related lesions could appear — two to
    twelve days after birth — was consistent with defendants’ position
    at trial that the child’s herpes-related lesions appeared nine or ten
    days after he was born.
    ¶ 47   True enough, Dr. Molteni thought that herpes-related lesions
    would “crust over” in five to seven days, while Dr. Radetsky said
    that the crusting process moved more quickly. Medical charts in
    the record show that, when the child was admitted to the hospital
    on July 5, he had crusted lesions on his nose, his neck, and his
    chest. So Dr. Molteni’s opinion that lesions take several days to
    18
    crust would have supported plaintiff’s theory that the child had
    SEM disease before July 4 or 5.
    ¶ 48   But plaintiff had also endorsed a second neurologist, Dr.
    Dinesh Talwar, who expressed substantially the same opinion as
    Dr. Molteni. (Recall that the record does not contain any of the
    testimony of plaintiff’s experts. But it includes Dr. Talwar’s expert
    disclosure.) Dr. Talwar indicated that “[s]kin lesions of herpes
    develop and evolve over a period of time.” The child’s lesions “likely
    developed over a period of 5 to 10 days, and it would be highly
    unlikely that they developed over only 2 days.” So the record shows
    that Dr. Talwar could have made the same point as Dr. Molteni.
    ¶ 49   Given all of this, we conclude that the record supports the trial
    court’s implicit decision that Dr. Reiley’s and Dr. Molteni’s
    testimony and the depositions would have been cumulative or
    would have had little probative value. See 
    House, 168 F.R.D. at 246
    ; 
    McClendon, 372 P.3d at 495
    (“In applying [the House]
    balancing test, courts have considered such factors as whether the
    testimony would be duplicative or cumulative of other witnesses’
    testimony, thus limiting the probative value of that testimony.”); cf.
    
    Rubel, 160 F.R.D. at 460-61
    (“[I]t appears to us that the substance
    19
    of Dr. Hembree’s proposed testimony, even giving the plaintiff the
    benefit of the doubt, would overlap very substantially [with] the
    testimony of plaintiff’s other witnesses. In consequence, the
    evidence in question appears to be cumulative save, of course, for
    the fact that Dr. Hembree was retained in the first instance by
    Lilly.”)(footnote omitted).
    ¶ 50   We further conclude that plaintiff was not unfairly prejudiced
    by the trial court’s decision to exclude this testimony. He did not
    endorse Dr. Reiley and Dr. Molteni in a timely fashion, even though
    he had deposed them and he had learned of the substance of their
    expert opinions well in advance of trial. We therefore reject
    plaintiff’s assertions that he had reasonably relied on the prospect
    that defendants would call Dr. Reiley and Dr. Molteni to testify —
    even though they were designated as “may call witnesses” — and
    that these witnesses’ expert opinions were critical to his case. Cf.
    
    Rubel, 160 F.R.D. at 462
    (“Nor can plaintiff fairly be heard to argue
    that she relied upon the ability to obtain the evidence from Dr.
    Hembree. She did not list Dr. Hembree as a trial witness in the
    pretrial order.”). And the prospect that plaintiff was prejudiced is
    further undercut by the trial court’s decision to allow him to cross-
    20
    examine Dr. Radetsky about Dr. Reiley’s and Dr. Molteni’s opinions
    in the form of hypotheticals.
    ¶ 51   In summary, we conclude that the trial court properly applied
    the balancing approach described in House, Peterson, and
    McClendon. We further conclude that the court did not abuse its
    discretion when it denied plaintiff’s requests to call Dr. Reiley and
    Dr. Molteni at trial or to use their depositions. We last conclude,
    for these same reasons, that the court properly rejected plaintiff’s
    motion for a new trial. See, e.g., Acierno v. Garyfallou, 
    2016 COA 91
    , ¶ 40 (concluding that the trial court did not abuse its discretion
    in denying a motion for a mistrial, and for the same reasons, it did
    not abuse its discretion in denying a request for a new trial on the
    same grounds).
    III.    Hearsay Testimony
    A.      Additional Background
    ¶ 52   Concerned about the child’s changing behavior on July 4, the
    father telephoned a friend who was a licensed medical assistant in a
    pediatrician’s office.
    ¶ 53   At trial, plaintiff sought to offer the medical assistant’s
    testimony repeating what the child’s father had said during the
    21
    telephone call. He argued that this testimony was admissible under
    CRE 803(4) because the father’s statements were made for purposes
    of medical diagnosis or treatment. As plaintiff’s counsel explained,
    [the medical assistant] was – if you will, an
    extension of [the pediatrician’s] office. The call
    was made to make an appointment to see a
    physician. And if I – my recollection is correct
    – I believe it is – it was also to get her advice as
    to what they should do from a medical
    standpoint for [the child], knowing she’s in the
    medical field.
    ¶ 54   The medical assistant said during an offer of proof that she
    knew that the child’s father had called her for “[m]edical help.”
    A.    [The father] had told me that . . . they
    were having to wake [the child] up to feed him,
    that he was having a difficult time feeding. He
    had the blisters on his head, that [he] and [the
    child’s mother] didn’t believe the doctor was
    correct in his assessment, and they wanted a
    second opinion. And they were really worried
    about him.
    And I told him that, you know, to continue to
    wake up [the child] in the middle of the night.
    And I would give him a call first thing in the
    morning after I talked to [the pediatrician for
    whom she worked], and I would get an
    appointment to come in and see us.
    Q. So did you, in fact, give them medical
    advice yourself in terms of what to do and
    when to come in?
    A.    Correct.
    22
    Q. And did you then understand this was, in
    effect, their reaching out to you as someone in
    the medical community that they knew who
    might try to help them because what they were
    being told by their doctor simply wasn’t
    satisfying?
    A.   Correct.
    ¶ 55   Plaintiff also wanted to introduce the medical assistant’s
    statements to the pediatrician for whom she worked, repeating what
    the child’s father had said during the telephone call. And he
    wanted to present this same testimony through the child’s mother,
    who had been in the room when the father had called the medical
    assistant.
    ¶ 56   The trial court excluded this testimony during the trial, ruling
    that it was inadmissible hearsay. The court stood by this decision
    in its order denying plaintiff’s motion for a new trial.
    B.   Standard of Review
    ¶ 57   We review a trial court’s decision to admit or exclude evidence
    for an abuse of discretion. See Mullins v. Med. Lien Mgmt., Inc.,
    
    2013 COA 134
    , ¶ 35. A trial court abuses its discretion if its ruling
    is manifestly arbitrary, unreasonable, or unfair, or if the court
    23
    misapplies the law. Freedom Colo. Info., Inc. v. El Paso Cty. Sheriff’s
    Dep’t, 
    196 P.3d 892
    , 899 (Colo. 2008).
    ¶ 58   But, even if the trial court abused its discretion when it
    excluded the evidence in this case, we will only reverse the
    judgment if we can say “with fair assurance” that the error
    “substantially influenced the outcome of the case or impaired the
    basic fairness of the trial itself.” Core-Mark Midcontinent, Inc. v.
    Sonitrol Corp., 
    2012 COA 120
    , ¶ 29 (citations omitted); see In re
    Estate of Fritzler, 
    2017 COA 4
    , ¶ 7 (noting that an appellate court
    will not reverse a judgment if the trial court’s decision to exclude
    the evidence was harmless).
    C.    Law
    ¶ 59   Hearsay “is a statement other than one made by the declarant
    while testifying at the trial or hearing, offered in evidence to prove
    the truth of the matter asserted.” CRE 801(c). As a general rule,
    hearsay is not admissible. But there are exceptions in rules and
    statutes. See CRE 802.
    ¶ 60   Statements made for the purpose of medical diagnosis or
    treatment are exempted from the rule prohibiting hearsay. See CRE
    803(4). For this type of evidence to be admissible, it must (1) be
    24
    made for purposes of medical diagnosis or treatment; (2) describe
    medical history, symptoms, or the inception or cause of symptoms;
    and (3) be reasonably pertinent to diagnosis or treatment. Kelly v.
    Haralampopoulos, 
    2014 CO 46
    , ¶ 20. But statements ascribing
    fault are generally not admissible under CRE 803(4), unless the
    statements of fault are “necessary for diagnosis and treatment.”
    People v. Allee, 
    77 P.3d 831
    , 834 (Colo. App. 2003).
    D.     Application
    ¶ 61   The father’s statements to the medical assistant fall into two
    broad categories: (1) statements describing the child’s symptoms;
    and (2) statements expressing dissatisfaction with the care that
    defendants had given him.
    ¶ 62   The latter category of statements clearly does not fall under
    CRE 803(4). These statements ascribed fault to defendants, and
    they were not necessary to assist in the diagnosis and treatment of
    the child’s condition. See 
    id. ¶ 63
      But we conclude that the former set of statements fell within
    the ambit of CRE 803(4) because the father provided them to the
    medical assistant to obtain a diagnosis of and treatment for the
    child’s condition; they described his symptoms and his medical
    25
    history; and they were obviously pertinent to the diagnosis and
    treatment of his condition. See Kelly, ¶ 20.
    ¶ 64   Even so, we cannot say with fair assurance that excluding this
    testimony substantially influenced the basic fairness of the trial,
    see Estate of Fritzler, ¶ 7; Core-Mark Midcontinent, Inc., ¶ 29,
    because other witnesses testified about the child’s symptoms and
    conditions on July 4.
     The child’s mother testified that, on that day, he did not
    eat “as well” and that he was “much sleepier,” even
    “lethargic.” The mother and the father had to wake him
    to feed him through the “afternoon, evening, and . . .
    night.” “He was not eating much, and he was not waking
    up on his own to eat.”
     The mother said that the lesions on the child’s head
    “were certainly getting bigger” on July 4, and that other
    lesions were spreading to his nose and chest.
     A defense expert repeated the mother’s observations that
    the child had been lethargic and that he had not eaten
    normally on July 4.
    26
    ¶ 65   “If evidence that is excluded was also presented through other
    testimony or admitted evidence, any error in excluding the
    cumulative evidence is harmless and does not constitute reversible
    error.” Fritzler, ¶ 12. Because the substance of the statements that
    the father made to the medical assistant was admitted through
    other witnesses, we conclude that plaintiff was not harmed by the
    trial court’s decision to exclude the medical assistant’s testimony.
    ¶ 66   In reaching this conclusion, we note that defendants did not
    contest the testimony about the child’s July 4 symptoms. Their
    position was, instead, that the child had developed the
    herpes-related lesions on July 4 or 5 after they had examined him.
    ¶ 67   Since this error was harmless, then, by a parity of reasoning,
    any error that the trial court may have made in preventing the
    medical assistant from testifying about her statements to the
    pediatrician repeating what the father had said during the
    telephone call or in preventing the mother from testifying about the
    father’s statements was also harmless.
    ¶ 68   And, based on these conclusions, we further conclude that the
    trial court did not abuse its discretion when it denied plaintiff’s
    motion for a new trial on these grounds. See Acierno, ¶ 40.
    27
    ¶ 69   The judgment is affirmed.
    JUDGE DAILEY and JUDGE FOX concur.
    28