Macosky, F. & S. v. Udoshi, M., Wilkes-Barre Hosp. ( 2019 )


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  • J-A16017-19
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
    FREDERICK MACOSKY AND SHARON               :    IN THE SUPERIOR COURT OF
    MACOSKY                                    :          PENNSYLVANIA
    :
    :
    v.                              :
    :
    :
    MALLIKARJUN UDOSHI, M.D.;                  :
    M.S.U.R. M.D. ASSOCIATES, P.C.,            :
    WILKES-BARRE HOSPITAL COMPANY,             :
    LLC D/B/A WILKES-BARRE GENERAL             :
    HOSPITAL, AND WILKES-BARRE                 :   No. 1682 MDA 2018
    GENERAL HOSPITAL HEART AND                 :
    VASCULAR INSTITUTE                         :
    :
    :
    APPEAL OF: WILKES-BARRE                    :
    HOSPITAL COMPANY, LLC D/B/A                :
    WILKES-BARRE GENERAL HOSPITAL              :
    Appeal from the Judgment Entered September 13, 2018
    In the Court of Common Pleas of Luzerne County Civil Division
    at No(s): 2016-1881
    BEFORE:      LAZARUS, J., MURRAY, J., and McLAUGHLIN, J.
    MEMORANDUM BY MURRAY, J.:                                  FILED JULY 19, 2019
    Wilkes-Barre Hospital Company, LLC, D/B/A Wilkes-Barre General
    Hospital (Appellant), appeals from the judgment1 entered in favor of Frederick
    Macosky and Sharon Macosky (collectively, Macosky) following a jury trial in
    this medical malpractice action. Upon review, we affirm.
    ____________________________________________
    1 Appellant purported to appeal from the September 13, 2018 order granting
    Macosky’s motion to mold the verdict. However, the appeal properly lies from
    the judgment that was entered that same day, and we have amended the
    caption accordingly.
    J-A16017-19
    Macosky filed a complaint on March 1, 2016, raising claims of
    negligence, vicarious liability, corporate negligence, and loss of consortium
    against, variously, four defendants:             Appellant; its employee cardiologist
    Mallikarjun Udoshi, M.D. (now deceased);2 Dr. Udoshi’s practice group,
    M.S.U.R. M.D. Associates, P.C.; and the Wilkes-Barre General Hospital Heart
    and Vascular Institute (HVI).
    Macosky averred that on January 9, 2014, Frederick Macosky, then age
    47, underwent a stress echocardiogram (EKG) at HVI “for screening due to a
    family history of coronary artery disease.” Macosky’s Amended Complaint,
    2/22/17, at ¶ 7. The EKG result was “abnormal” and showed a low ventricular
    ejection fraction of 45.6%. See id. at ¶ 14; Exercise Stress Echocardiogram
    Report, Macosky Trial Exhibit 2.               Nevertheless, Appellant or Dr. Udoshi
    reported to “Macosky’s primary care physician that the overall impression of
    the stress [EKG] was normal except for poor patient physical conditioning.”
    Macosky Amended Complaint, 2/22/17, at ¶ 10.
    Approximately two years later, in December 2015, Macosky presented
    to Appellant’s emergency room with shortness of breath and other symptoms.
    An EKG taken on December 29, 2015 showed “profound abnormalities
    including [worsened] left ventricular dysfunction with ejection fraction of 10-
    ____________________________________________
    2 Dr. Udoshi passed away after the commencement of the action, and his
    estate was substituted as a party. See Appellant’s Brief at 9 n.1.
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    15%.”       Id. at ¶ 13.           Macosky was diagnosed with non-ischemic
    cardiomyopathy, underwent cardiac catherization, and was “placed on a
    wearable defibrillator ‘Life Vest.’” Id. Macosky’s complaint alleged that the
    defendants’ negligence caused an increased risk of harm of progression and
    worsening of his cardiac condition.
    Prior to trial, Macosky settled his claims against Dr. Udoshi. Accordingly,
    the vicarious liability claims were removed. Trial Court Opinion, 12/11/18, at
    1. The case proceeded to a jury trial on February 26, 2018, on the sole claim
    of corporate negligence against Appellant, as well as the question of causal
    negligence. Id. at 2.
    At trial, Macosky called Leo Lunney, Appellant’s Director of Cardiology
    Services, to testify as if on cross-examination.        Lunney testified to the
    following: in December of 2014, Appellant had specific protocols for
    performing stress EKGs and evaluating “cardiac ability,” and when a protocol
    is not followed, the hospital must enforce it. N.T. Trial, 2/26/18-3/6/18, at
    73-74, 78.3 Consistent with protocol, a cardiologist must interpret the EKG
    images and create a report; the hospital must send the report to the patient’s
    “family physician or whoever ordered the study”; the report must be
    “complete”; and the hospital could not send a report that was not signed by a
    physician. Id. at 78-79. Pursuant to Appellant’s “internal policy,” if an EKG
    ____________________________________________
    3For ease of discussion, in future citations we cite the trial transcript with the
    February 26, 2018 date only.
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    report was not signed by the physician or recorded within 72 hours of the test,
    the report would be “flagged,” and if a sonographer determined that the report
    was not signed, the sonographer’s department would request the cardiologist
    to “interpret the study so that we could send it out.”     Id. at 79.   Lunney
    testified that Appellant — not Dr. Udoshi — bore the responsibility of sending
    Macosky’s complete EKG report to his family physician. Id. at 78.
    Lunney further explained that there were three methods for reporting
    the results of an EKG: (1) the physician dictates his observations, which are
    later transcribed into the report; (2) the physician enters text directly into a
    “structured report that resides in the stress system”; or (3) the data is sent
    to a report “in the PACS system,” which a physician accesses to enter his
    interpretation. N.T. Trial, 2/26/18, at 80-81.
    Lunney testified that with respect to Macosky’s 2014 EKG, Dr. Udoshi
    reported under the first method; he “interpreted the images live on the echo
    machine in the room while [Macosky] was there . . . and wrote his findings on
    the stress machine.” N.T. Trial, 2/26/18, at 82-83. Macosky introduced the
    2-page report that was generated from this interpretation, “entitled the Bruce
    Stress Test Report”; the report did not indicate Macosky’s ejection fraction —
    a point which Lunney acknowledged. Id. at 85. The report instead stated Dr.
    Udoshi’s observation:    “Heart rate responses suggestive of poor physical
    conditioning. Normal wall thickening and wall motion with stress echo.” Bruce
    Stress Test Report, Macosky Trial Exhibit 1.          The report was signed
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    electronically by Dr. Udoshi on the same day the EKG was conducted. Lunney
    stated that it was “probably” faxed to Macosky’s primary care physician that
    day. Id. at 83.
    Lunney further testified that the third method of reporting was not
    necessary. Dr. Udoshi “didn’t need to go back to the PACS machine and look
    at stored images to do the interpretation” because he had already recorded
    his findings on the stress machine.            N.T. Trial, 2/26/18, at at 83.
    Nevertheless, the testing machine still sent the data to “the structured report
    in the PACS system.” Id. at 81. Lunney stated that this “structured report”
    was “moot” and “useless,” because Dr. Udoshi had already “interpreted the
    images live.”   Id. at 82-83.      Lunney explained that his department would
    receive an alert that “this [was] an outstanding report because it wasn’t
    signed,” and a staff member would access the record, confirm a full report
    already existed, and “sign off on this report so that it would be out of the
    queue and off of the list as outstanding.” Id. Macosky offered into evidence
    the 1-page report, entitled “Exercise Stress Echocardiogram Report” (Stress
    EKG Report). This document did report Macosky’s ejection fraction, which was
    45.6. Finally, this document was electronically signed by “Echocardiography
    Department” on January 16, 2014, seven days after the EKG.
    Macosky     called   Linda   Makowski,   Appellant’s   Director   of   Health
    Information Management, to testify about the “audit trail” for the Stress EKG
    Report. Makowski stated that the “audit trail” showed that the report was
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    accessed: (1) on January 9, 2014, the day of the EKG; (2) twice the following
    day, January 10th, including once for billing purposes; (3) on January 14th, five
    days after the EKG, by Colita Barber-Ramos, who would have checked whether
    the report was signed by a physician; (4) on January 16th, seven days after
    the EKG, at 1:56 p.m. and 1:59 p.m. by Margaret Rasmus; (5) two minutes
    later, at 2:01 p.m. by Margaret Wayman; and (6) finally, thirteen minutes
    later at 2:15 p.m. by Marcy Hanlon. N.T. Trial, 2/26/18, at 157-163. Nine
    minutes later, the report was signed electronically by the “Echocardiography
    Department.” Id. at 165. Makowski could not say who entered that signature.
    Id.
    Maocsky also read the deposition of Margaret Rasmus into the record.
    Rasmus, Appellant’s sonographer, conducted part of Macosky’s EKG, and at
    the deposition, stated that she measured the ejection fraction for Macosky’s
    left ventricle as 45.6%. N.T. Trial, 2/26/18, at 177. Rasmus stated that this
    figure was not in the “normal” range of 55 to 60%; Rasmus explained that
    aside from entering this figure into the report, she did not notify the physician.
    Id. at 178.
    Next, Macosky called Michael Remetz, M.D., to testify as an expert in
    internal medicine and cardiology. Dr. Remetz testified that the left ventricular
    ejection fraction is “the percentage of blood that is ejected from the heart with
    each beat” and is “considered the most important aspect of cardiac
    performance.” N.T. Trial, 2/26/18, at 125. Dr. Remetz opined that a “normal”
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    ejection fraction is 60-65%, and that the lack of follow-up care for Macosky
    could have allowed his condition to worsen. Id. at 135-36. With respect to
    Macosky’s 2016 EKG showing a 10% ejection fraction, Dr. Remetz stated:
    “[T]he heart with each ejection is barely moving. . . . [T]hat’s as low as
    you could see essentially without being — passing on. This is an imminently
    life-threatening number.” Id. at 137. Finally, Dr. Remetz opined, within a
    reasonable degree of medical certainty, that a physician’s failure to evaluate
    ejection fraction, a cardiologist’s failure to communicate an EKG report to a
    “patient or the ordering physician,” and a cardiologist’s failure to sign an EKG
    report all fall below the standard of care. Id. at 127-128, 134.
    Following Macosky’s presentation of his case, Appellant moved for a
    directed verdict or compulsory nonsuit, arguing that Macosky failed to present
    expert testimony that Appellant deviated from the standard of care or that the
    deviation was a substantial factor in causing harm.4 N.T., 2/26/18, at 477-
    478. The trial court denied the motion.
    Relevant to Appellant’s issues, we note that over Appellant’s objection,
    the trial court allowed Macosky to introduce evidence of his future medical
    expenses, including the cost of a left ventricular assistive device (LVAD) and
    a heart transplant. Conversely, the court did not allow Appellant to introduce
    evidence of Macosky’s history of alcohol consumption. Further, the court gave
    ____________________________________________
    4Appellant had previously advanced the same argument in a motion for partial
    summary judgment, which the trial court denied. See Order, 2/9/18.
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    the following jury instruction, over Appellant’s objection: “It is well settled
    that a hospital staff member or employee has a duty to recognize and report
    abnormalities in the treatment and condition of its patients.”      N.T. Trial,
    2/26/18, at 605, 636.
    On March 6, 2018, the jury announced its verdict, finding that both
    Appellant’s and Dr. Udoshi’s conduct fell below the applicable standard of
    medical care, and their negligence was a factual cause of harm to Macosky.
    N.T. Trial, 2/26/18, at 729. The jury attributed 80% of the causal negligence
    to Dr. Udoshi and 20% to Appellant, and awarded total judgment of
    $3,364,017.40.5 Id. at 730-731.
    Appellant filed a timely motion for a new trial and for judgment
    notwithstanding the verdict (JNOV), again arguing, inter alia, that Macosky
    failed to produce any expert opinion relevant to corporate liability, or even
    critical of Appellant. The trial court denied the motion on September 5, 2018.
    On September 13th, the court granted Macosky’s motion to mold the verdict
    to add pre-judgment interest, and judgment was entered that same day in
    ____________________________________________
    5 This sum consists of $2,432,052 for future medical and related expenses for
    the year 2018; $85,776 future medical and related expenses for the year 2026
    (the jury awarded $0 for the years 2019 through 2025, and 2027 through
    2046); $80,000 for past loss of earnings; $41,111 for past physical pain,
    mental anguish, discomfort and distress; $88,806.40 for past medical
    expenses; $429,000 for future loss of earnings; and $207,272 for future
    physical pain, mental anguish, discomfort and distress. The jury awarded $0
    to Sharon Macosky for loss of consortium.
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    the amount of $3,530,536.26.6
    Appellant filed a timely notice of appeal. The trial court did not order
    Appellant to file a Pa.R.A.P. 1925(b) statement, but issued an opinion on
    December 11, 2018.
    Appellant presents four issues for review:
    1. Whether the Trial Court erred in failing to grant Judgment
    Notwithstanding the Verdict on [Macosky’s] corporate negligence
    claim, where [Macosky] failed to present competent expert
    testimony required to support this claim, and therefore, as a
    result, the corporate negligence claim failed as a matter of law?
    2. Whether the Trial Court committed an error of law in improperly
    instructing the jury concerning the doctrine of hospital corporate
    liability, which directly impacted the outcome of the case?
    3. Whether the Trial Court abused its discretion in permitting the
    jury to hear evidence of future medical expenses, including LVAD
    (left ventricular assistive device) and heart transplant, costing in
    excess of $2 million, in the absence of any expert medical
    testimony, to any degree of certainty, that such treatment would
    be required and necessary for [Macosky] in the future?
    4. Whether the Trial Court abused its discretion in not allowing the
    jury to hear relevant evidence concerning [Macosky’s] alcohol
    consumption, where the medical records demonstrated that
    alcohol consumption caused [Macosky’s] condition, thereby
    preventing [Appellant] from establishing [Macosky’s] comparative
    negligence?
    Appellant’s Brief at 6-7.
    In its first issue, Appellant avers that “[i]n all but the rarest” corporate
    negligence cases, a plaintiff must present an expert witness to establish that
    ____________________________________________
    6Of this amount, $85,776.00 is “a future periodic payment that is not payable
    until January 1, 2026.” Order, 9/13/18, at 1.
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    a hospital deviated from the standard of care and that the deviation was a
    substantial factor in causing harm. Appellant’s Brief at 23. Appellant argues
    that although Macosky’s expert witnesses criticized Dr. Udoshi’s conduct,
    there was no expert opinion that Appellant was liable for the incomplete or
    incorrect interpretation of Macosky’s EKG results. Appellant distinguishes this
    case from Cangemi v. Cone, 
    774 A.2d 1262
     (Pa. Super. 2001), in which this
    Court held that expert testimony was not necessary where a hospital failed to
    send an x-ray report to the attending physician. Id. at 34. Appellant points
    out that here, the Bruce Stress Test Report was sent to Macosky’s family
    physician, and “[t]he interplay between [a physician’s] discretion . . . in
    deciding what information to include in his interpretation versus [Appellant’s]
    duty to have policies and procedures to mandate what information is included
    . . . is a concept requiring expert analysis and opinion, and is beyond the
    experience of a lay jury.” Id. at 35. On this basis, Appellant concludes that
    the trial court erred in denying its motion for JNOV.7 We disagree.
    It is well settled that:
    Our standard of review of an order denying judgment n.o.v. is
    ____________________________________________
    7 Appellant also argues that the trial court erred in denying its motion for
    nonsuit. Appellant’s Brief at 24. However, because Appellant presented
    evidence, the court’s ruling is moot, and we thus consider only Appellant’s
    JNOV claim. See F. W. Wise Gas Co. v. Beech C. R. Co., 
    263 A.2d 313
    ,
    315 (Pa. 1970) (“[T]he refusal of a motion for nonsuit is not a valid reason for
    a new trial in this or any case where the defendant offers testimony. A
    defendant’s right to request a nonsuit is based on his offering no evidence,
    and the court cannot grant a nonsuit after the introduction of evidence by the
    defendant.”).
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    whether, reading the record in the light most favorable to the
    verdict winner and granting the benefit of every favorable
    inference, there is sufficient competent evidence to support the
    verdict. Any conflict in the evidence must be resolved in the
    verdict winners’ favor. Judgment n.o.v. may be granted only in
    clear cases where the facts are such that no two reasonable minds
    could fail to agree that the verdict was improper.
    James v. Albert Einstein Med. Ctr., 
    170 A.3d 1156
    , 1165 (Pa. Super. 2017)
    (citation omitted).
    The Pennsylvania Supreme Court has “adopt[ed] as a theory of hospital
    liability the doctrine of corporate negligence or corporate liability under which
    the hospital is liable if it fails to uphold the proper standard of care owed its
    patient.” Thompson v. Nason Hosp., 
    591 A.2d 703
    , 708 (Pa. 1991). The
    Court explained:
    Corporate negligence is a doctrine under which the hospital is
    liable if it fails to uphold the proper standard of care owed the
    patient, which is to ensure the patient’s safety and well-being
    while at the hospital.         This theory of liability creates a
    nondelegable duty which the hospital owes directly to a patient.
    Therefore, an injured party does not have to rely on and establish
    the negligence of a third party.
    The hospital’s duties have been classified into four general areas:
    (1) a duty to use reasonable care in the maintenance of safe and
    adequate facilities and equipment; (2) a duty to select and retain
    only competent physicians; (3) a duty to oversee all persons who
    practice medicine within its walls as to patient care; and (4) a duty
    to formulate, adopt and enforce adequate rules and policies to
    ensure quality care for the patients[.]
    Id. at 707 (citations omitted).
    [I]t is necessary to show that the hospital had actual or
    constructive knowledge of the defect or procedures which created
    the harm. Furthermore, the hospital’s negligence must have been
    a substantial factor in bringing about the harm to the injured
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    party.
    Id. at 708 (citations omitted).
    Further, our Supreme Court has addressed the evidence necessary to
    prove corporate liability:
    In a traditional medical malpractice action, where the defendant’s
    negligence is not obvious, a plaintiff must present expert
    testimony to establish to a reasonable degree of medical certainty
    that the defendant’s acts deviated from an accepted medical
    standard, and that such deviation was the proximate cause of the
    harm suffered. . . . [W]e hold that, unless a hospital’s negligence
    is obvious, a plaintiff must produce expert testimony to establish
    that the hospital deviated from an accepted standard of care and
    that the deviation was a substantial factor in causing the harm to
    the plaintiff.
    Welsh v. Bulger, 
    698 A.2d 581
    , 585 (Pa. 1997) (citations omitted).
    Instantly, the trial court applied the decision in Cangemi, 
    774 A.2d 1262
    , which, as stated above, Appellant argues is distinguishable.          In
    Cangemi, the patient was admitted to the hospital, and x-rays were taken.
    Id. at 1264. The x-ray results showed the patient had an abdominal aortic
    aneurysm, but the results were not conveyed to the treating physician (who
    was also the patient’s family physician), and the patient’s aneurysm was not
    diagnosed.     Id. at 1264.       Two months later, the patient died from
    complications associated with the aneurysm.      Id. at 1265.    The patient’s
    estate sued the physicians and hospital for corporate liability for failure to
    diagnose the aneurysm. Id. at 1264.
    On appeal, this Court held that the plaintiff was not required to present
    expert testimony regarding the hospital’s negligence:
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    “[T]he duty to formulate and adopt adequate rules and policies
    surrounding the delivery of x-rays and radiologist’s reports are not
    beyond that of the average lay person.” . . . We conclude expert
    testimony is not necessary in this case because the issue is simple
    and the want of care is so obvious; when the hospital’s radiologist
    has a report that suggests [the patient] has an abdominal
    aneurysm and the attending physician does not get the report, it
    is either because of the negligence of the hospital or the
    negligence of the physician. [The patient’s] expert opined that
    had [his family physician] received this report, he would have
    made a proper timely diagnosis and realized [the patient] was
    suffering from a leaking aneurysm. By alleging that he never
    received the report, [the family physician] in effect is pointing the
    finger at the hospital for failing to make the report available.
    Accordingly, it is a factual dispute appropriately left for the jury to
    resolve. [The patient’s] expert established a causal connection
    between the missing report and the failure to diagnose. The
    question left for the jury should have been whether [the family
    physician] did not get the report because of the hospital’s
    negligence in failing to follow its policies and procedures or
    whether it was his fault he did not get the report due to his own
    negligence in not seeking it out.
    Cangemi, 774 A.2d at 1266-1267 (citation omitted).
    Here, the trial court found the facts to be analogous to Cangemi. The
    court reasoned:
    A review of the record in this matter, and in particular the Trial
    Transcript . . . , convinces this Court that this is a case which fits
    squarely into the exception to the general rule requiring expert
    testimony to establish a prima facie case of corporate negligence
    against a hospital. This was not a case where [Macosky] needed
    an expert to testify that the hospital should have had some
    specific policies and/or protocols in place with respect to the
    interpreting, signing and transmission of echocardiogram studies
    like those performed on . . . Macosky. Rather, the testimony of
    [Appellant’s] own Director of Cardiology Services, Leo Lunney,
    established that the hospital already had such policies and
    protocols in place, and there was ample testimony upon which a
    lay jury could conclude that the hospital obviously failed “to
    oversee all persons who practice within its walls as to patient care”
    and/or failed to enforce its own “rules and policies to ensure
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    quality care for patients.” [N.T., 2/26/18, at 71-114.] In fact,
    the Court is of the opinion that this is an even clearer case where
    expert testimony was not required than Cangemi[,] because,
    unlike the situation in Cangemi where it was unclear who was
    responsible for transmitting the x-ray report involved in that case,
    Mr. Lunney acknowledged on the stand that “distribution of the
    [echocardiogram] report [to the ordering physician] is the
    responsibility of the hospital.” [N.T., 2/26/18, at 77.] Similarly,
    the testimony of Linda Makowski, [Appellant’s] Director of Health
    Information Management, provided a basis upon which the jury
    could have easily concluded that not only did the hospital fail to
    follow its own policies and protocols, it had constructive notice of
    its failure by virtue of the audit trail of the study done on
    [Macosky,] which was never signed by Dr. Udoshi as per hospital
    protocol, but instead was ultimately signed as the
    “Echocardiography Department,” presumably to keep it from
    continuing to pop up in the hospital’s system as an unsigned
    report. [Id. at 153-169.] The testimony of Margaret Rasmus,
    who was the cardiac sonographer at [the hospital] who performed
    the echocardiogram on Mr. Macosky, was likewise unhelpful to the
    hospital in terms of failing to follow its own policies and being on
    notice of that fact. [Id. at 170-184.]
    Trial Court Opinion, 12/11/18, at 3-4.
    We are not persuaded by Appellant’s insistence that this case presents
    the complex issue of “[t]he interplay” between a physician’s discretion “in
    deciding what information to include in” a report and a hospital’s duty to
    regulate what information is included in a report. See Appellant’s Brief at 34-
    35. Appellant overlooks the trial testimony, given by its own employee, that
    Appellant had procedures for ensuring that the appropriate physician timely
    completed an EKG report; Appellant, and not a cardiologist, was responsible
    for sending an EKG report to the appropriate physician; and if these
    procedures were not followed, it was Appellant’s responsibility to enforce
    them. See N.T., 2/26/18, at 73-74, 78-79 (testimony of Lunney). We agree
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    with the trial court that this case falls within the purview of Cangemi. See
    Cangemi, 774 A.2d at 1266; Welsh, 698 A.2d at 585. Thus, we thus do not
    disturb the trial court’s denial of JNOV on this issue.
    In its second issue, Appellant challenges the trial court’s instruction to
    the jury: “[I]t is well settled that a hospital staff member or employee has a
    duty to recognize and report abnormalities in the treatment and condition of
    its patients.”8     Appellant’s Brief at 37, quoting N.T., 2/26/18, at 636.
    Appellant states, “[h]ere, an outpatient stress [EKG] happened to take place
    at [Appellant hospital] and was interpreted by a single physician.” Id. at 38.
    Thus, Appellant asserts that the instruction was “materially incorrect and
    misleading by taking a case that, at most, sounds in vicarious liability for the
    alleged negligence of a physician, i.e., Dr. Udoshi, and elevates it to the level
    of systemic negligence contemplated by case law interpreting the doctrine of
    hospital corporate negligence.” Id. We are not persuaded.
    Preliminarily, we note:
    We review the trial court’s jury instructions for an abuse of
    discretion or legal error controlling the outcome of the case. A
    jury charge will be found to be adequate unless, when read in its
    entirety, the charge confused the jury, misled the jury, or
    contained an omission tantamount to fundamental error. “[I] t
    must appear that the erroneous instruction may have affected the
    jury’s verdict.” Consequently, the trial court has great discretion
    in forming jury instructions.
    ____________________________________________
    8 Appellant objected to this instruction, and the trial court overruled. N.T.,
    2/26/18, at 605. Accordingly, Appellant has preserved this issue for appeal.
    See Meyer v. Union R.R. Co., 
    865 A.2d 857
    , 861 (Pa. Super. 2004).
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    Meyer, 865 A.2d at 862 (citations omitted).
    Here, the trial court’s jury instruction was identical to the instruction in
    Rauch v. Mike-Mayer, 
    783 A.2d 815
     (Pa. Super. 2001), where the plaintiff
    likewise presented a claim of corporate liability against a hospital, and the trial
    court instructed: “It is well settled that a hospital staff member or employee
    has a duty to recognize and report abnormalities in the treatment and
    condition of its patients.” See id. at 820, 828; N.T., 2/26/18, at 636. This
    Court explained:
    If the attending physician fails to act in accordance with standard
    medical practice, it is incumbent upon the hospital staff to so
    advise hospital authorities in order that appropriate action might
    be taken. A hospital is properly charged with constructive notice
    when it “should have known” of the patient’s condition.
    Furthermore, constructive notice must be imposed when the
    failure to receive actual notice is caused by the absence of
    supervision. We interpret “failure to enforce adequate rules and
    policies” as an analog to “failure to provide adequate supervision.”
    Rauch, 783 A.2d at 828 (citation omitted).
    Appellant’s argument — that “at most, [this case] sounds in vicarious
    liability for the alleged negligence of” Dr. Udoshi — ignores Macosky’s theory
    of the case, as well as the supporting evidence, that Appellant failed to enforce
    its own procedures for the proper completion and reporting of EKG results.
    The trial court agreed to give the above instruction on the basis of Margaret
    Rasmus’ testimony. See N.T., 2/26/18, at 609. As discussed above, Rasmus
    testified that she measured Macosky’s left ventricle ejection fraction as 45.6%,
    which she believed was less than the normal range of 55 to 60%, but she did
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    not notify the physician aside from entering the information into the Stress
    EKG Report.      Id. at 177.     In light of this evidence, and incorporating our
    discussion of Appellant’s first issue, we conclude the trial court did not abuse
    its discretion in instructing the jury that under Pennsylvania law, a hospital
    has a duty to report abnormalities in a patient’s condition. See Meyer, 865
    A.2d at 862; Rauch, 783 A.2d at 828. Furthermore, where the court’s entire
    jury charge spanned 24 pages and approximately 50 minutes in duration,9 we
    disagree with Appellant’s claim that this particular instruction confused or
    misled the jury. See Meyer, 865 A.2d at 862; N.T. Trial, 2/26/18, at 619-
    642. Accordingly, no relief is due.
    In its third issue, Appellant avers that the trial court erred in admitting
    Macosky’s evidence of future medical expenses, including expenses for an
    LVAD and heart transplant. Macosky presented evidence that the average
    cost of an LVAD was $732,302 and the average cost of a heart transplant was
    $1,834,034. N.T., 2/26/18, at 335. Appellant contends that there was no
    “expert medical testimony to any degree of certainty that such treatment
    would be required.”10 Appellant’s Brief at 40. In support, Appellant cites the
    testimony of Macosky’s expert, Allan Gass, M.D., who responded affirmatively
    ____________________________________________
    9 The trial transcript indicates that the jury entered the courtroom for jury
    instructions at 11:50 a.m., and the jury left the courtroom to deliberate at
    12:40 p.m. N.T., 2/26/18, at 619, 642.
    10Appellant filed a pre-trial motion in limine to preclude this evidence, and
    thus has preserved this issue for appeal.
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    J-A16017-19
    to the questions, “[I]s it fair to say that at this stage you cannot say with any
    type of reasonable certainty whether [Macosky] will definitely need the heart
    transplant[?,]” and “[W]ithout [a] crystal ball, we don’t know where Mr.
    Macosky is going?” Appellant’s Brief at 41, quoting N.T., 2/26/18, at 244.
    Appellant concludes that the admission of the future expenses evidence was
    an abuse of discretion and fundamentally impacted the outcome of the case,
    and therefore a new trial is warranted.
    It is well settled that decisions regarding admission of expert testimony,
    like other evidentiary decisions, are within the sound discretion of the trial
    court, and this Court may reverse only if we find an abuse of discretion or
    error of law. Smith v. Paoli Mem’l Hosp., 
    885 A.2d 1012
    , 1016 (Pa. Super.
    2005) (citations omitted). Here, the trial court allowed Macosky’s evidence
    under the “relaxed standard” for increased-risk-of-harm, citing, inter alia, our
    Supreme Court’s decision in Mitzelfelt v. Kamrin, 
    584 A.2d 888
     (Pa. 1990).
    Trial Court Opinion, 12/11/18, at 6. We consider that decision in detail.
    Mitzelfelt presented a question of whether the plaintiff presented
    evidence that the acts of the defendant hospital increased the plaintiff’s risk
    of harm.11 Mitzelfelt, 584 A.2d at 892. At trial, the plaintiff’s expert witness
    ____________________________________________
    11The plaintiff in Mitzelfelt alleged that during surgery, her blood pressure
    dropped, the surgeons and anesthesiologist failed to treat it, and their
    negligence caused her subsequent paralysis. Mitzelfelt, 584 A.2d at 890.
    The case proceeded to trial on the plaintiff’s claims of liability against the
    hospital.
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    J-A16017-19
    testified:
    [Plaintiff’s counsel:] The bottom line is, do you know within a
    reasonable degree of medical certainty . . . that this drop in [blood
    pressure during surgery to] between 85 and 90 millimeters of
    mercury caused the problem that [the plaintiff suffered?]
    [Expert witness:] No. It is my opinion that it could have, but I
    wouldn’t put it as a reasonable degree of medical certainty.
    Id. at 891.    The hospital claimed that a directed verdict was warranted
    because the plaintiff’s expert “was unable to state, with a reasonable degree
    of medical certainty, that the plaintiff’s injuries were caused by the negligence
    of the [hospital’s] anesthesiologist.” Id. at 892.
    On review, the Mitzelfelt Court disagreed. It reasoned that generally:
    A plaintiff is . . . required to present an expert witness who will
    testify, to a reasonable degree of medical certainty, that the acts
    of the physician deviated from good and acceptable medical
    standards, and that such deviation was the proximate cause of the
    harm suffered. In many cases, this is not a problem for a plaintiff.
    However, certain cases make this an impossible standard. These
    are the cases in which, irrespective of the quality of the medical
    treatment, a certain percentage of patients will suffer harm.
    An example of this type of case is a failure of a physician to
    timely diagnose breast cancer. Although timely detection of
    breast cancer may well reduce the likelihood that the patient will
    have a terminal result, even with timely detection and optimal
    treatment, a certain percentage of patients unfortunately will
    succumb to the disease. This statistical factor, however, does not
    preclude a plaintiff from prevailing in a lawsuit. Rather, once there
    is testimony that there was a failure to detect the cancer in a
    timely fashion, and such failure increased the risk that the woman
    would have either a shortened life expectancy or suffered harm,
    then it is a question for the jury whether they believe, by a
    preponderance of the evidence, that the acts or omissions of the
    physician were a substantial factor in bringing about the harm.
    Mitzelfelt, 584 A.2d at 892.
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    J-A16017-19
    The Supreme Court thus applied the “relaxed standard” for a plaintiff’s
    burden of proof in an increased-risk-of-harm case:
    [W]e employ a two part test. The first step is to determine
    whether the expert witness for the [plaintiff] could testify to a
    reasonable degree of medical certainty that the acts or omissions
    complained of could cause the type of harm that the [plaintiff]
    suffered. . . .
    The second step is to determine whether the acts complained of
    caused the actual harm suffered by the appellant. This is where
    we apply the relaxed standard. As the experts all testified, twenty
    percent of patients do poorly after [the surgery that the plaintiff
    underwent]. As such, it would have been impossible for any
    physician to state with a reasonable degree of medical certainty
    that the negligence actually caused the condition from which [the
    plaintiff] suffered. The most any physician could say was that he
    believed, to a reasonable degree of medical certainty that it could
    have caused the harm. Once [the plaintiff’s expert] rendered this
    opinion, it then became a question for the jury whether they
    believed it caused the harm in this case.
    Mitzelfelt, 584 A.2d at 894.
    In this case, Macosky’s expert, Dr. Gass, testified that there are four
    recognized stages of heart failure: A, B, C, and D. N.T., 2/26/18, at 219.
    When Macosky underwent the first EKG in January of 2014, he had Stage B
    heart failure; a Stage B patient would generally have a weakened heart muscle
    but would not have symptoms. Id. at 232-233. At the time of Macosky’s
    second EKG in 2016, and at the time of trial, Macosky’s condition had
    worsened to Stage C, and he would take heart medication for life. Id. at 233,
    235. Dr. Gass opined within a reasonable degree of medical certainty that
    had Macosky started appropriate medication therapy in 2014, there was a
    “chance” that he would not need his current medicine and that he could have
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    J-A16017-19
    returned to his normal employment. Id. at 235-236. However, “[t]he lack of
    treatment for two years” eliminated these chances for Macosky. Id. at 237.
    This testimony tended to show, consistent with Mitzelfelt, that within a
    reasonable degree of medical certainty, Appellant’s acts or omissions could
    have caused the type of harm suffered by Macosky — worsened heart failure.
    See Mitzelfelt, 584 A.2d at 894.
    Next, Dr. Gass explained that there were no further medications
    available to a Stage C patient, that only “time” separated Stages C and D, and
    a Stage D patient would be “on maximum therapy” and need a heart
    transplant or heart pump. Id. at 218, 227, 234. If Macosky experienced
    more heart failure symptoms, “he would need to be evaluated for a heart
    transplant or heart pump.” Id. at 227. Dr. Gass testified — immediately prior
    to the testimony cited by Appellant on appeal — about an exhibit showing “the
    trajectory of a classic heart failure patient”:
    [W]hen patients present, they present with symptoms and that’s
    the first decline, and then with medical therapy and lifestyle
    changes they get better, and then they plateau, and then they get
    worse, and then they plateau, and then they get worse; but
    overall the trajectory is down and most heart failure patients
    eventually will deteriorate but the plateaus or the stable time
    periods is unpredictable, but usually this is the trajectory of a
    classic heart failure patient.
    N.T., 2/26/18, at 244. It was following this statement that Dr. Gass responded
    that he could not, with “reasonable certainty,” say whether Macosky would
    “definitely need [a] heart transplant.” Id. at 243.
    In light of Dr. Gass’s extensive testimony and the discussion in
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    J-A16017-19
    Mitzelfelt, we conclude that the trial court did not abuse its discretion in
    allowing evidence about the average costs of an LVAD and a heart transplant.
    Dr. Gass’s testimony is analogous to that of the expert in Mitzelfelt — where
    the expert testified that he could not say for certain that a drop in blood
    pressure precipitated the plaintiff’s injury. See Mitzelfelt, 584 A.2d at 891.
    Nevertheless, under the relaxed standard, because there was testimony about
    Appellant’s failure to timely detect Macosky’s lower ejection fraction, and such
    failure increased the risk that Macosky would suffer harm, it was a question
    for the jury whether, by a preponderance of the evidence, Appellant’s acts or
    omissions were a substantial factor in bringing about the harm. See id. at
    892.   Accordingly, the trial court properly allowed the evidence of future
    medical expenses.
    In its final issue, Appellant avers that the trial court erred in excluding
    evidence of Macosky’s history of alcohol consumption. Appellant maintains
    that Macosky’s non-party physician, Susan Brozena, M.D., noted that Macosky
    had “heavy alcohol intake” for years, and this long-term alcohol use should be
    considered when addressing his health issues.           Appellant’s Brief at 46.
    Appellant adds that “Dr. Brozena strongly favored an alcohol-related etiology
    for [his] cardiomyopathy.”     Id. at 46.      Appellant contends that Macosky’s
    alcohol consumption was thus “invariably intertwined with and referenced
    throughout Mr. Macosky’s underlying medical treatment record.” Id at 46-
    47.
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    The trial court excluded this evidence, reasoning that where Macosky’s
    claims were predicated on misdiagnosis and an increased risk of harm, the
    cause of Macosky’s underlying heart condition was not relevant. Trial Court
    Opinion, 12/11/18, at 5. The court further “determined that any probative
    value of such evidence would be greatly outweighed by its prejudicial effect.”
    Id. at 5-6. We agree.
    It is undisputed that in 2014, Macosky’s first EKG results already showed
    a low ejection fraction, indicating heart failure. Macosky’s claims of negligence
    went to the defendants’ misinterpreting or misreporting this condition. The
    question of why or how Macosky came to have heart issues was not relevant
    to whether Appellant had a duty of care to properly report the EKG results,
    breached this duty, or had actual or constructive knowledge of the defect or
    procedures which created Macosky’s harm. See Thompson, 591 A.2d at 707-
    708. Accordingly, we do not disturb the trial court’s evidentiary ruling.
    For the foregoing reasons, we affirm the judgment entered in favor of
    Macosky.
    Judgment affirmed.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 7/19/2019
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