Ike J. White, III v. David A. Beeks, M.D. ( 2013 )


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  •                 IN THE COURT OF APPEALS OF TENNESSEE
    AT KNOXVILLE
    September 19, 2013 Session
    IKE J. WHITE, III v. DAVID A. BEEKS, M.D.
    Appeal from the Circuit Court for Bradley County
    No. V-07-554     J. Michael Sharp, Judge
    No. E2012-02443-COA-R3-CV-FILED-DECEMBER 9, 2013
    This appeal involves the question of whether the trial court properly limited a medical
    expert’s testimony at trial regarding the standard of care in an informed consent health care
    liability action. In the case at bar, the defendant filed a motion in limine seeking to limit the
    testimony of the plaintiff’s expert at trial regarding risks that should have been disclosed to
    the plaintiff to only those risks that actually resulted in injury. The trial court granted the
    motion. A jury trial was held, and the jury found in favor of the defendant. Plaintiff appeals,
    asserting that the trial court committed reversible error when it restricted the ability of the
    plaintiff’s medical expert to testify about other known risks. Discerning no error, we affirm.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court
    Affirmed; Case Remanded
    T HOMAS R. F RIERSON, II, J., delivered the opinion of the Court. C HARLES D. S USANO, J R.,
    P.J., filed a separate concurring opinion. D. M ICHAEL S WINEY, J., filed a separate dissenting
    opinion.
    H. Franklin Chancey, Cleveland, Tennessee, for the appellant, Ike J. White, III.
    Richard A. Smith and Stacy Lynn Archer, Chattanooga, Tennessee, for the appellee, David
    A. Beeks, M.D.
    OPINION
    I. Factual and Procedural Background
    Plaintiff, Ike J. White, III, filed a health care liability action against defendant, David
    Beeks, M.D., alleging that Dr. Beeks negligently treated a herniated disc in Mr. White’s
    back. Dr. Beeks performed spinal fusion surgery, utilizing a product called “InFuse.” InFuse
    is described as a bone morphogenic protein, which is designed to stimulate bone growth and
    promote fusion. Following the surgical procedure, Mr. White’s pain and physical
    impairment worsened. Testing revealed that he had developed excess bone growth in his
    spine, which irritated a nerve root.
    Mr. White’s expert, Dr. Melvin Law, testified during his deposition that the use of
    InFuse could result in (1) cystic lesions forming in the spinal canal; (2) postoperative fluid
    collection, requiring further surgery to “draw the fluid off”; (3) ectopic bone growth; or (4)
    postoperative radiculitis, which Dr. Law explained was “inflammation around the nerve
    roots.” Prior to trial, Dr. Beeks filed a motion in limine, asking the court to prohibit Dr. Law
    from discussing potential risks of InFuse other than those related to the injury Mr. White
    specifically suffered (excess bone growth and nerve irritation). The trial court granted this
    motion, and accordingly Dr. Law was not examined at trial about the other complications and
    risks associated with this product.
    A jury trial was conducted over the course of four days. The jury subsequently
    returned a verdict for Dr. Beeks. Mr. White filed a motion for new trial, which the trial court
    denied. Mr. White timely appeals.
    II. Issue Presented
    In this appeal, Mr. White presents the issue of whether the trial court committed
    reversible error by limiting a medical expert’s testimony at trial regarding the informed
    consent information, required by the standard of care, to disclosure of only those risks that
    actually resulted in injury.
    III. Standard of Review
    As this Court has previously stated:
    The admission or exclusion of evidence is within the trial court’s discretion.
    The discretionary nature of the decision does not shield it completely from
    appellate review but does result in subjecting it to less rigorous appellate
    scrutiny. Because, by their very nature, discretionary decisions involve a
    choice among acceptable alternatives, reviewing courts will not second-guess
    a trial court’s exercise of its discretion simply because the trial court chose an
    alternative that the appellate courts would not have chosen.
    Discretionary decisions require conscientious judgment. They must take the
    -2-
    applicable law into account and must also be consistent with the facts before
    the court. Appellate courts will set aside a discretionary decision only when
    the trial court has misconstrued or misapplied the controlling legal principles
    or has acted inconsistently with the substantial weight of the evidence. Thus,
    a trial court’s discretionary decision should be reviewed to determine: (1)
    whether the factual basis for the decision is supported by the evidence, (2)
    whether the trial court identified and applied the applicable legal principles,
    and (3) whether the trial court’s decision is within the range of acceptable
    alternatives. Appellate courts should permit a discretionary decision to stand
    if reasonable judicial minds can differ concerning its soundness.
    White v. Vanderbilt Univ., 
    21 S.W.3d 215
    , 222-23 (Tenn. Ct. App. 1999) (internal citations
    omitted).
    IV. Testimony Regarding the Standard of Care
    Dr. Beeks’s motion in limine asked the trial court to limit Dr. Law’s testimony at trial
    regarding the information Dr. Beeks was required to disclose concerning InFuse in order to
    comply with the requisite standard of care for informed consent. Dr. Beeks’s motion asserts:
    It would be shown that in Dr. Law’s testimony, he gave an opinion as to a
    number of risks associated with the use of the product InFUSE to help
    facilitate a fusion of the vertebrae in the surgery performed on Mr. White. In
    this case, the plaintiff is claiming that the use of the product InFUSE caused
    unwanted bone growth (ectopic) into the spinal canal, which he claims
    impinged upon Mr. White’s S1 nerve root on the right side. Dr. Law
    mentioned other risks which he believed the standard of care required to be
    disclosed to Mr. White to obtain his informed consent, but none of these risks
    occurred. To make out a claim for lack of informed consent, it must be shown
    that the defendant physician failed to disclose information which a reasonable
    physician in the same community and under the same circumstances would
    have disclosed and the risk not disclosed occurred and caused injury to the
    patient. Since none of the risks cited by Dr. Law occurred, except for ectopic
    bone growth, the patient suffered no injury as a result of those undisclosed
    risks. The risks are, therefore, not relevant under Tenn. R. Evid. 401 and
    would be potentially prejudicial to Dr. Beeks under Tenn. R. Evid. 403.
    The trial court granted the motion, stating:
    Defendant’s Motion in Limine #14 requesting an Order limiting the testimony
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    of Plaintiff’s expert, Dr. Law, with respect to the information required by the
    standard of care to be given by Dr. Beeks to Mr. White to obtain his informed
    consent for the surgical procedure on May 2, 2006, as to additional risks he
    believed the standard of care required to be disclosed to Mr. White, but for
    which there is no allegation that said risks occurred and no allegation that the
    Plaintiff has suffered any injury from the unspoken risks was taken under
    advisement and the Court GRANTED the motion as noticed by letter on June
    8, 2012.
    Mr. White contends that the trial court’s ruling in this regard was reversible error, as
    Dr. Beeks was required to disclose “all significant perils” associated with the use of InFuse
    to Mr. White in order to obtain effective informed consent. See Ashe v. Radiation Oncology
    Assocs., 
    9 S.W.3d 119
    , 124 (Tenn. 1999). Dr. Beeks asserts that the trial court’s limitation
    of testimony was correct, as risks which did not materialize are legally without consequence.
    See Bryant v. Bauguss, No. 03A01-9603-CV-00105, 
    1996 WL 465539
    at *6 (Tenn. Ct. App.
    Aug. 16, 1996). We agree with Dr. Beeks.
    The statute regarding informed consent provides:
    In a health care liability action, the plaintiff shall prove by evidence as required
    by § 29-26-115(b) that the defendant did not supply appropriate information
    to the patient in obtaining informed consent (to the procedure out of which
    plaintiff’s claim allegedly arose) in accordance with the recognized standard
    of acceptable professional practice in the profession and in the specialty, if
    any, that the defendant practices in the community in which the defendant
    practices and in similar communities.
    Tenn. Code Ann. § 29-26-118 (Supp. 2013). Tennessee Code Annotated § 29-26-115(b)
    states in pertinent part:
    No person in a health care profession requiring licensure under the laws of this
    state shall be competent to testify in any court of law to establish the facts
    required to be established by subsection (a), unless the person was licensed to
    practice in the state or a contiguous bordering state a profession or specialty
    which would make the person’s expert testimony relevant to the issues in the
    case and had practiced this profession or specialty in one (1) of these states
    during the year preceding the date that the alleged injury or wrongful act
    occurred.
    Tenn. Code Ann. § 29-26-115(b) (Supp. 2013).
    -4-
    In a seminal opinion rendered by our Supreme Court regarding informed consent,
    Shadrick v. Coker, the Court elucidated:
    A cause of action based on the lack of informed consent stems from the
    premise that a competent patient should be allowed to formulate an intelligent,
    informed decision about surgical or other treatment procedures the patient
    undertakes. Housh v. Morris, 
    818 S.W.2d 39
    , 41 (Tenn. App. 1991). The
    basic policy consideration which supports the recognition of the cause of
    action for lack of informed consent has been explained as follows:
    The root premise is the concept fundamental in American
    jurisprudence that ‘every human being of adult years and sound
    mind has a right to determine what shall be done with his own
    body. . . .’ True consent to what happens to one’s self is the
    informed exercise of a choice, and that entails an opportunity to
    evaluate knowledgeably the options available and the risks
    dependant upon each. The average patient has little or no
    understanding of the medical arts, and ordinarily has only his
    physician to whom he can look for enlightenment with which to
    reach an intelligent decision. From these almost axiomatic
    considerations springs the need, and in turn the requirement, of
    a reasonable divulgence by [the] physician to [the] patient to
    make such a decision possible.
    Canterbury v. Spence, 
    464 F.2d 772
    , 780 (D.C. Cir.1972).
    Accordingly, the law recognizes that a health care provider, such as a
    physician or surgeon, who proposes a treatment or surgical procedure has a
    duty to provide the patient with enough information about the nature of the
    treatment or procedure involved to enable the patient to make an intelligent
    decision and thereby give an informed consent to the treatment or procedure.
    See Cardwell v. Bechtol, 
    724 S.W.2d 739
    , 750 (Tenn. 1987). Depending on
    the usual and customary advice given to patients to procure consent in similar
    situations, the health care provider must typically inform the patient of the
    diagnosis or nature of the patient’s ailment, the nature of and the reasons for
    the proposed treatment or procedure, the risks or dangers involved, and the
    prospects for success. See 70 C.J.S. Physicians and Surgeons § 93 (1987).
    The patient must also be informed of alternative methods of treatment, the
    risks and benefits of such treatment and, if applicable, that the proposed
    treatment or procedure is experimental. 
    Id. Whether the
    information given to
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    the patient is sufficient “depends on the nature of the treatment, the extent of
    the risks involved, and the standard of care [applicable to the defendant health
    care provider].” 
    Cardwell, 724 S.W.2d at 749
    .
    
    963 S.W.2d 726
    , 731-32 (Tenn. 1998).
    The Supreme Court further explained that in informed consent cases:
    The burden of proof on the standard of care element is controlled by Tenn.
    Code Ann. § 29-26-118, which requires that in a lack of informed consent
    action the plaintiff prove, by expert testimony, “that the defendant did not
    supply appropriate information to the patient in obtaining his informed consent
    to the procedure out of which plaintiff’s claim allegedly arose in accordance
    with the recognized standard of acceptable professional practice in the
    profession and in the speciality, if any, that the defendant practices in the
    community in which he practices or in similar communities.” See also
    German v. Nichopoulos, 
    577 S.W.2d 197
    , 204 (Tenn. App. 1978) (“[I]n
    matters of informed consent the plaintiff has the burden of proving by expert
    medical evidence, (a) what a reasonable medical practitioner of the same or
    similar communities under the same or similar circumstances would have
    disclosed to the patient about the attendant risks incident to a proposed
    diagnosis or treatment and (b) that the defendant departed from the norm.”).
    
    Shadrick, 963 S.W.2d at 732
    n.6 (emphasis added). See also Blanchard v. Kellum, 
    975 S.W.2d 522
    , 524 (Tenn. 1998).
    The following year, our Supreme Court released its opinion in Ashe, determining the
    proper standard to be employed when assessing causation in informed consent cases, finding
    this issue to be “one of first impression in 
    Tennessee.” 9 S.W.3d at 121
    . The Supreme Court
    found that the “majority” approach, the objective standard, emanated from the Canterbury
    decision, wherein the D.C. Circuit Court of Appeals held that “causation in informed consent
    cases is better resolved on an objective basis ‘in terms of what a prudent person in the
    patient’s position would have decided if suitably informed of all perils bearing
    significance.’” 
    Ashe, 9 S.W.3d at 122
    (quoting Canterbury v. Spence, 
    464 F.2d 772
    , 791
    (D.C. Cir.1972)). The Court found this approach to be a favored one over the subjective
    standard, as it “provides a realistic framework for rational resolution of the issue of
    causation.” 
    Id. at 123.
    Therefore, in employing this standard for establishing causation, the
    Court instructed in pertinent part:
    The finder of fact may consider and give weight to the patient’s testimony as
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    to whether the patient would have consented to the procedure upon full
    disclosure of the risks. When applying the objective standard, the finder of
    fact may also take into account the characteristics of the plaintiff including the
    plaintiff’s idiosyncrasies, fears, age, medical condition, and religious beliefs.
    Accordingly, the objective standard affords the ease of applying a uniform
    standard and yet maintains the flexibility of allowing the finder of fact to make
    appropriate adjustments to accommodate the individual characteristics and
    idiosyncrasies of an individual patient. We, therefore, hold that the standard
    to be applied in informed consent cases is whether a reasonable person in the
    patient’s position would have consented to the procedure or treatment in
    question if adequately informed of all significant perils.1
    
    Id. at 123-124
    (internal citations omitted).
    Dr. Beeks asserts that the Supreme Court’s references to causation in Ashe relate only
    to cause in fact and not proximate cause. Regarding the distinction between these elements
    of negligence, our Supreme Court has explained that:
    Causation and proximate cause are distinct elements of negligence, and both
    must be proven by the plaintiff by a preponderance of the evidence.
    
    Bradshaw, 854 S.W.2d at 869
    ; McClenahan v. Cooley, 
    806 S.W.2d 767
    , 774
    (Tenn. 1991); Smith v. Gore, 
    728 S.W.2d 738
    , 749 (Tenn. 1987). “Causation
    (or cause in fact) is a very different concept from that of proximate cause.
    Causation refers to the cause and effect relationship between the tortious
    conduct and the injury. The doctrine of proximate cause encompasses the
    whole panoply of rules that may deny liability for otherwise actionable causes
    of harm.” King, Causation, Valuation, and Chance in Personal Injury Torts
    Involving Preexisting Injuries and Future Consequences, 90 Yale L.J. 1353,
    1355 n. 7 (1981). Thus, proximate cause, or legal cause, concerns a
    determination of whether legal liability should be imposed where cause in fact
    has been established. McKellips v. Saint Francis Hosp., 
    741 P.2d 467
    (Okl.
    1987). “Cause in fact, on the other hand, deals with the ‘but for’ consequences
    of an act. ‘The defendant’s conduct is a cause of the event if the event would
    not have occurred but for that conduct.’” 
    Id. at 470
    (quoting Prosser and
    Keeton, The Law of Torts 266 (5th ed. 1984)).
    Kilpatrick v. Bryant, 
    868 S.W.2d 594
    , 598 (Tenn. 1993).
    1
    There is no dispute regarding the fact that Mr. White has maintained that he would not have
    consented to the use of InFuse if he had been adequately informed of its risks.
    -7-
    In Ashe, our Supreme Court discussed “causation” in informed consent cases without
    specifically addressing the distinction between cause in fact and proximate 
    cause. 9 S.W.3d at 123-124
    . Based upon the language quoted above from Kilpatrick, our Supreme Court has
    utilized the terms “causation” and “cause in fact” 
    interchangeably. 868 S.W.2d at 598
    . We
    decline to speculate regarding the Court’s intent when discussing “causation” in Ashe.
    We do, however, take notice of the fact that Kilpatrick was a health care liability
    action based on Tennessee Code Annotated § 29-26-115(b), and as our Supreme Court
    pointed out, the statute simply “codifies the common law elements of negligence—duty,
    breach of duty, causation, proximate cause, and 
    damages.” 868 S.W.2d at 598
    (emphasis
    added). As the Court stated, a claim cannot “succeed in the absence of any one of these
    elements.” 
    Id. Many of
    the cases involving informed consent litigation, both from this jurisdiction
    and other jurisdictions, stem from the D.C. Circuit Court of Appeals’s seminal Canterbury
    v. Spence decision, 
    464 F.2d 772
    (D.C. Cir. 1972), cert. denied, 
    409 U.S. 1064
    (1972). See
    
    Ashe, 9 S.W.3d at 122
    ; 
    Shadrick, 963 S.W.2d at 732
    . See, e.g., Fain v. Smith, 
    479 So. 2d 1150
    , 1153 (Ala. 1985); Woolley v. Henderson, 
    418 A.2d 1123
    , 1132 (Me. 1980); Canesi v.
    Wilson, 
    730 A.2d 805
    (N.J. 1999); Cochran v. Wyeth, Inc., 
    3 A.3d 673
    (Pa. Super. Ct. 2010),
    appeal denied, 
    20 A.3d 1209
    (Pa. 2011). In Canterbury, the Court discussed the
    requirements of a claim based on lack of informed consent, stating:
    No more than breach of any other legal duty does nonfulfillment of the
    physician’s obligation to disclose alone establish liability to the patient. An
    unrevealed risk that should have been made known must materialize, for
    otherwise the omission, however unpardonable, is legally without
    consequence. Occurrence of the risk must be harmful to the patient, for
    negligence unrelated to injury is nonactionable. And, as in malpractice actions
    generally, there must be a causal relationship between the physician’s failure
    to adequately divulge and damage to the patient.
    A causal connection exists when, but only when, disclosure of significant risks
    incidental to treatment would have resulted in a decision against it.
    
    Canterbury, 464 F.2d at 790
    (emphasis added). Thus, Canterbury suggests two distinct
    elements of causation: 1) that disclosure of significant risks would have resulted in a decision
    to forego the treatment (for which the court adopted the above-discussed objective standard,
    as followed by Ashe), and 2) that the undisclosed risk materialized and caused injury.
    Other jurisdictions have followed this rule regarding causation in informed consent
    -8-
    cases, holding that an undisclosed risk is only material if it actually results in injury to the
    plaintiff. See Jones v. Howard University, Inc., 
    589 A.2d 419
    (D.C. App. 1991); 
    Canesi, 730 A.2d at 812-813
    ; 
    Cochran, 3 A.3d at 679
    . In Cochran, the Superior Court of Pennsylvania
    explained:
    [W]e are persuaded by the jurisdictions that have concluded a plaintiff cannot
    establish proximate causation where the non-disclosed risk never materialized
    into an injury.
    ...
    In Downer v. Veilleux, 
    322 A.2d 82
    , 92 (Me. 1974), the Supreme Court of
    Maine formulated the proximate cause inquiry in informed consent cases as
    follows:
    [A breach of] the physician’s obligation to disclose the material
    risks incidental to a particular treatment . . . does not per se
    establish liability to the patient. As in the case of any breach of
    a legal duty, the plaintiff must . . . prove a proximate causal
    relationship between the physician’s failure to adequately
    inform and injury to the patient.
    Proof of proximate cause in such cases requires, initially, a
    showing that the unrevealed risk which should have been made
    known has materialized. Absent occurrence of the undisclosed
    risk, the doctor’s omission is legally inconsequential.
    
    Id. The view
    espoused by the courts in Canterbury and Downer has been
    uniformly accepted by the high courts of numerous other jurisdictions. See,
    e.g., Funke v. Fieldman, 
    212 Kan. 524
    , 
    512 P.2d 539
    , 548 (1973); Scott v.
    Bradford, 
    606 P.2d 554
    , 559 (Ok. 1979); Hales v. Pittman, 
    118 Ariz. 305
    , 
    576 P.2d 493
    , 499 (1978); Harnish v. Children’s Hospital Medical Center, 
    387 Mass. 152
    , 
    439 N.E.2d 240
    , 244 (1982); Reinhardt v. Colton, 
    337 N.W.2d 88
    ,
    95-96 (Minn. 1983); LaCaze v. Collier, 
    434 So. 2d 1039
    , 1048 (La. 1983);
    Nickell v. Gonzalez, 
    17 Ohio St. 3d 136
    , 
    477 N.E.2d 1145
    , 1148 (1985); Smith
    v. Cotter, 
    107 Nev. 267
    , 
    810 P.2d 1204
    , 1209 (1991); Howard v. Univ. of Med.
    & Dentistry of N.J., 
    172 N.J. 537
    , 
    800 A.2d 73
    , 79-80 (2002); see also Doe v.
    Noe, 
    293 Ill. App. 3d 1099
    , 
    228 Ill. Dec. 937
    , 
    690 N.E.2d 1012
    , 1021 (1997);
    Wachter v. U.S., 
    689 F. Supp. 1420
    , 1422 (D. Md. 1988) (applying Maryland
    -9-
    law); Hook v. Rothstein, 
    281 S.C. 541
    , 
    316 S.E.2d 690
    , 704 (1984). Indeed,
    this Court is unable to locate any authority that has refused to adopt the
    proximate cause principle enunciated in Canterbury and Downer. In informed
    consent cases, it appears to be well-settled and without debate that the
    non-disclosed risk must manifest itself into actual injury in order for a plaintiff
    to establish proximate causation.
    
    Cochran, 3 A.3d at 679
    -80. This Court likewise has been unable to locate any authority that
    has refused to adopt the proximate cause principle elucidated in Canterbury. We have found,
    however, additional jurisdictions that have adopted Canterbury’s proximate cause rule. See
    Culbertson v. Mernitz, 
    591 N.E.2d 1040
    , 1043 (Ind. Ct. App. 1992), vacated on other
    grounds, 
    602 N.E.2d 98
    (Ind. 1992); Greene v. Thiet, 
    846 S.W.2d 26
    , 31 (Tex. App. 1992).
    Significantly, this Court has previously recognized this rule as well. In Bryant v.
    Bauguss, 
    1996 WL 465539
    at *1, the plaintiff alleged that the defendant peridontist utilized
    an improper surgical instrument when performing oral surgery on the plaintiff, which
    resulted in permanent facial numbness. The plaintiff also claimed that the defendant failed
    to fully inform him of the risks attendant to the surgery. 
    Id. The defendant
    filed a motion
    for summary judgment and attached his own affidavit in support thereof. 
    Id. When discussing
    the plaintiff’s lack of informed consent claim in Bryant, this Court
    pointed out that the defendant had stated in his affidavit that the “rare potential for nerve
    injury in this procedure does not require description of this complication in obtaining
    informed consent.” 
    Id. at *5.
    The plaintiff failed to provide any countervailing medical
    proof on this point. 
    Id. This Court
    then stated:
    Bryant points out that Dr. Bauguss’ affidavit fails to state that he advised
    Bryant of any risks associated with the surgery. He seems to argue that this
    failure in some way renders the defendant’s motion as to the informed consent
    issue inadequate. The answer to this contention is that failure to inform a
    patient of a risk that does not ripen into a condition as a result of the
    surgery is immaterial as to whether informed consent was given. In such
    a situation, no injury equals no cause of action. The critical question is
    what, if anything, was required to be said, and what was said, about the
    condition that did result from the surgery.
    
    Id. at *6
    (emphasis added).
    As stated above, a health care liability action requires proof of duty, breach of duty,
    causation, proximate cause, and damages – a claim cannot “succeed in the absence of any
    -10-
    one of these elements.” 
    Kilpatrick, 868 S.W.2d at 598
    . Where the risk about which a patient
    was not warned does not materialize, proximate cause is lacking. See, e.g., Bryant, 
    1996 WL 465539
    at *6; 
    Canterbury, 464 F.2d at 790
    ; 
    Canesi, 730 A.2d at 812-813
    ; 
    Cochran, 3 A.3d at 679
    . Contrary to Mr. White’s assertions, our Supreme Court did not address this question
    in Ashe, because in that case the undisclosed risk actually materialized. This Court has been
    unable to locate any decision from our Supreme Court specifically addressing the element
    of proximate cause relative to an informed consent action.
    Our Supreme Court did, however, announce the following policy considerations
    regarding informed consent in Shadrick:
    This is not to suggest . . . that a health care provider is required to enumerate
    in detail every aspect of the proposed treatment or procedure or discuss every
    possible thing that might go wrong in an effort to obtain the patient’s informed
    consent. “In the first place, to do so is humanly impossible. In the second
    place, if all the gory details of a proposed surgery were graphically explained
    to every patient and all possible medical maladies that might result were
    enumerated we doubt that a lay person would have the stomach to listen to it
    all; and if the patient did, would probably be in such a fearful state that no
    rational decision could be made.” Longmire v. Hoey, 
    512 S.W.2d 307
    , 310
    (Tenn. App. 
    1974). 963 S.W.2d at 733
    .
    Based on the precedent discussed above, we determine that Tennessee law recognizes
    the rule as stated in Canterbury and its progeny that a plaintiff in an informed consent case
    must show both cause in fact and proximate cause to succeed. Therefore, we conclude that
    the trial court did not abuse its discretion in limiting Dr. Law’s testimony in this case to only
    those risks that did actually materialize, as any risks which did not ripen into an injury are
    legally without consequence.
    V. Conclusion
    The trial court’s judgment is affirmed. Costs on appeal are taxed to appellant, Ike J.
    White, III. This case is remanded to the trial court, pursuant to applicable law, for
    enforcement of the trial court’s judgment and collection of costs assessed below.
    _________________________________
    THOMAS R. FRIERSON, II, JUDGE
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