christy-leann-smith-v-leona-m-pratt-of-the-estate-of-stephen-m-pratt ( 2009 )


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  •                     IN THE COURT OF APPEALS OF TENNESSEE
    AT NASHVILLE
    February 17, 2009 Session
    CHRISTY LEANN SMITH v. LEONA M. PRATT, EXECUTRIX OF THE
    ESTATE OF STEPHEN M. PRATT, M.D., DECEASED, AND HCA
    HEALTH SERVICES OF TENNESSEE, INC. D/B/A CENTENNIAL
    MEDICAL CENTER
    Appeal from the Circuit Court for Davidson County
    No. 04C-2961     Barbara Haynes, Judge
    No. M2008-01540-COA-R9-CV - Filed April 22, 2009
    Patient sued her surgeon for malpractice and the hospital for allowing the surgeon to practice in its
    facilities. The trial court ruled that the hospital was not eligible for the qualified immunity provided
    in Tenn. Code Ann. § 63-6-219(d)(1). We reverse.
    Tenn. R. App. P. 9 Interlocutory Appeal; Judgment of the Circuit Court Reversed
    ANDY D. BENNETT , J., delivered the opinion of the court, in which RICHARD H. DINKINS, J., joined.
    FRANK G. CLEMENT , JR. filed a concurring opinion.
    Frank Grace, Jr., Brian D. Cummings, Clarence James Gideon, and Brian P. Manookian, Nashville,
    Tennessee, for the appellants, Leona M. Pratt, Executrix of the Estate of Stephen M. Pratt, M.D.,
    Deceased, and HCA Health Services of TN, Inc. d/b/a Centennial Medical Center.
    George H. Nolan and Eric W. Smith, Nashville, Tennessee, for the appellee, Christy Leann Smith.
    OPINION
    The plaintiff, Christy Leann Smith, went to see Dr. Stephen Pratt, a plastic surgeon,
    concerning excess skin on various parts of her body due to weight loss. On November 20, 2003, Dr.
    Pratt performed several surgical procedures on Ms. Smith.1 She was discharged from Centennial
    Medical Center on November 22, 2003. About ten days later, Ms. Smith developed open wounds
    on her back and thigh. Dr. Pratt sutured them. Several days later, she complained to Dr. Pratt of
    1
    These procedures were designed to remove excess skin from her body and to lift and tighten her buttocks, arms
    and legs. According to the complaint, these procedures are sometimes referred to as a whole body lift.
    pain in her lower left calf and in the wounds in her back and thigh. He gave her a prescription for
    Avelox.
    By December 10, Ms. Smith had developed shortness of breath along with increased pain in
    her left leg. She went to the Saint Thomas Hospital emergency room where a test showed deep vein
    thrombosis (a blood clot). She was transferred to Centennial, where Dr. Pratt ordered a pulmonary
    consult. She was found to have a pulmonary embolism and prescribed Coumadin, a blood-thinning
    medicine. After her discharge from Centennial, Ms. Smith saw Dr. Pratt, who again closed the
    wound on her back.
    On December 24, 2003, Ms. Smith went to Centennial’s emergency room with complaints
    of chest pain and shortness of breath. Her blood had become too thin and she was bleeding into her
    lungs. Blood was drained from her lungs. After her discharge from Centennial, she continued to
    visit Dr. Pratt through March 2004 to address the open wounds on her thigh and lower back.
    Ms. Smith filed a malpractice action against Dr. Pratt’s estate.2 She also sued Centennial
    Medical Center, alleging that Centennial should not have granted surgical privileges to Dr. Pratt and
    should have revoked his privileges because Dr. Pratt was incompetent and dangerous. Centennial
    filed a motion for summary judgment claiming Tenn. Code Ann. § 63-6-219 provides qualified
    immunity for credentialing decisions and that it was not negligent in renewing Dr. Pratt’s privileges
    in 2002. On May 7, 2007, the trial court denied Centennial’s motion for summary judgment. The
    application of Tenn. Code Ann. § 63-6-219 was raised again in Centennial’s motion to dismiss and
    during a pre-trial conference. The trial court issued an order on June 23, 2008, stating, “[u]nder the
    facts of this case, immunity for Centennial would be contrary to the central purpose of the statute,
    which is to encourage the medical profession to police its members without fear of being sued by
    physicians who are disciplined by their peers.” Centennial moved for and the trial court granted
    permission to seek an interlocutory appeal. This court granted the application for the interlocutory
    appeal.
    Standard of Review
    This appeal is solely concerned with the interpretation of Tenn. Code Ann. § 63-6-219, which
    is an issue of law, so we review the issue de novo with no presumption of correctness. See Daron
    v. Dep’t of Corr., 
    44 S.W.3d 478
    , 480 (Tenn. 2001).
    Analysis
    The basis of this action against Centennial is the decision of its peer review committee to
    recommend renewal of Dr. Pratt’s surgical privileges. The qualified immunity sought by Centennial
    is found in Tenn. Code Ann. § 63-6-219(d)(1), which states:
    2
    By the time the lawsuit was filed on October 13, 2004, Dr. Pratt had died.
    2
    All state and local professional associations and societies and other organizations,
    institutions, foundations, entities and associated committees as identified in
    subsection (c), physicians, surgeons, registered nurses, hospital administrators and
    employees, members of boards of directors or trustees of any publicly supported or
    privately supported hospital or other such provider of health care, any person acting
    as a staff member of a medical review committee, any person under a contract or
    other formal agreement with a medical review committee, any person who
    participates with or assists a medical review committee with respect to its functions,
    or any other individual appointed to any committee, as such term is described in
    subsection (c), is immune from liability to any patient, individual or organization for
    furnishing information, data, reports or records to any such committee or for damages
    resulting from any decision, opinions, actions and proceedings rendered, entered or
    acted upon by such committees undertaken or performed within the scope or function
    of the duties of such committees, if made or taken in good faith and without malice
    and on the basis of facts reasonably known or reasonably believed to exist. Such
    immunity also shall extend to any such entity, committee, or individual listed in this
    subsection (d) when that entity, committee, or individual provides, or attempts to
    provide, assistance directly related to and including alcohol or drug counseling and
    intervention through an impaired professional program, or if none, through a
    requesting professional society, to any title 63 licensee, or applicant for license.
    Physicians health programs and physicians health peer review committees shall be
    immune from liability for providing intervention, referral, and other support services
    to the minor children or spouse or both of physicians.
    When interpreting a statute, the court is to ascertain the intent of the legislature from the
    natural and ordinary meaning of the language used and in the context of the entire statute. Cohen v.
    Cohen, 
    937 S.W.2d 823
    , 827 (Tenn. 1996). We are to give effect to every word and assume that the
    legislature deliberately chose to use these words. Id. at 827-28; Tenn. Manufactured Hous. Ass'n v.
    Metro. Gov't of Nashville & Davidson County, 
    798 S.W.2d 254
    , 257 (Tenn. Ct. App.1990); see also
    Tidwell v. Collins, 
    522 S.W.2d 674
    , 676-77 (Tenn. 1975). When the language of the statute is
    ambiguous, courts may consult the legislative history for additional guidance. Lawrence County
    Educ. Ass’n v. Lawrence County Bd. of Ed., 
    244 S.W.3d 302
    , 309 (Tenn. 2007).
    Although it is not a shining example of legislative drafting, the plain language of Tenn. Code
    Ann. § 63-6-219(d)(1) indicates that: (1) any of the entities or individuals mentioned (2) are immune
    from liability (3) to any patient, individual or organization (4) for damages (5) resulting from any
    decisions or proceedings (6) by peer review committees (7) within their scope of duties (8) made in
    good faith without malice (9) on the basis of facts reasonably known or reasonably believed to exist.
    These are the factors courts must examine to determine the applicability of the statutory qualified
    immunity.
    3
    Tenn. Code Ann. § 63-6-219(d)(1) states that “institutions” may be found immune. The
    Tennessee Supreme Court has already determined that hospitals are “institutions” under Tenn. Code
    Ann. § 63-6-219(d)(1). Eyring v. Fort Sanders Parkwest Med. Ctr., 
    991 S.W.2d 230
    , 235 (Tenn.
    1999) (concluding that “institution” as used in the statute must be interpreted to include hospitals
    in order to give proper effect to the stated legislative intent and purpose.).
    The major issue of statutory interpretation between the parties is whether the qualified
    immunity applies when a patient sues the hospital. Previous appellate decisions have dealt only with
    physicians suing for loss or denial of practice privileges. See, e.g., Eyring, 991 S.W.2d at 232;
    Logan v. Everett, No. M2005-00012-COA-R3-CV, 
    2006 WL 223708
     (Tenn. Ct. App. Jan. 27, 2006).
    The plain language of the statute supports the interpretation that the qualified immunity applies when
    a patient sues a hospital for a peer review committee’s credentialing decision. The statute provides
    for immunity “from liability to any patient, individual or organization,” for decisions made by the
    committee. Tenn. Code Ann. § 63-6-219(d)(1). We must assume the General Assembly deliberately
    chose to use the word “patient.” Tenn. Manufactured Hous. Ass'n, 798 S.W.2d at 257.
    Ms. Smith argues that granting immunity when a patient sues over a credentialing decision
    is inconsistent with the Peer Review Law, which was designed to encourage medical professionals
    “to candidly, conscientiously, and objectively evaluate and review their peers’ professional conduct,
    competence and ability to practice medicine.” Tenn. Code Ann. § 63-6-219(b)(1). We disagree with
    this argument. The qualified immunity policy is intended to encourage frank and thorough review
    of a doctor’s fitness to practice medicine. The fact that an incorrect credentialing decision may have
    been made does not undercut this policy.3
    Contrary to Ms. Smith’s contention, the legislative history does not support her interpretation
    either. Representative Stanley Rogers, the sponsor of the 1975 legislation that enacted this section,
    stated that doctors “are reluctant to say another doctor is not practicing good medicine for fear of
    being sued by that particular physician. This bill will encourage doctors to police themselves to
    expose the bad practitioners who are causing the malpractice problem.” Remarks of Rep. Rogers,
    tape No. H-139 (May 2, 1975). This statement is true, as far as it goes. It does not purport to be the
    only effect of the bill. Indeed, the inclusion of the word “patients” in the list of those who may sue
    indicates that the bill encourages honesty by immunizing individuals who report that another doctor
    is competent when that report ultimately proves to be in error.4 The bill encourages truthfulness no
    matter what the informants say about the doctor seeking credentials.
    3
    Of course, the decision must be made in good faith, without malice, on the basis of facts reasonably known
    or reasonably believed to exist. If a committee made a decision without a good faith review, with malice, or on
    negligently assembled facts, the immunity would not apply. Tenn. Code Ann. § 63-6-219(d)(1) .
    4
    The mere fact that Dr. Pratt may have committed malpractice does not mean that the hospital or the peer review
    committee was negligent in granting him privileges. See Crumley v. Mem’l Hosp., Inc., 
    509 F. Supp. 531
    , 535 (E.D.
    Tenn. 1978); see also Edmonds v. Chamberlain Mem’l Hosp., 629 S.W .2d 28, 30 (Tenn. Ct. App. 1981) (“No
    presumption of negligence in selection arises merely because the physician may have committed a negligent act after
    having been admitted to practice at a hospital.”)
    4
    Ms. Smith’s arguments on this issue fail in light of the inclusion of the word “patients” in
    Tenn. Code Ann. § 63-6-219(d)(1).
    Ms. Smith also maintains that this interpretation of Tenn. Code Ann. § 63-6-219(d)(1) is
    inconsistent with Tennessee case law holding that hospitals owe patients a duty of reasonable care
    in selecting and retaining competent physicians. This appears to be the law in Tennessee before the
    passage of the 1975 act amending the Peer Review Law. Quinn v. Kansas City, M. & B. R. Co., 
    30 S.W. 1036
    , 1037 (Tenn. 1895) (“[H]aving selected surgeons skilled and competent in their
    profession, the corporation discharged every duty that humanity or sound morals impose, and that
    it is to no extent liable for the mistakes they may subsequently commit.”).
    Ms. Smith relies on three cases for the proposition that hospitals owe patients a duty of
    reasonable care in selecting and retaining competent physicians. An examination of these cases
    reveals that their facts render them inapplicable to the matter at hand. In Crumley,, the court stated
    that, under Tennessee law, “if a health-provider does not use due care in the selection of a physician
    to treat those for whom health care is provided, the health-provider is liable for the subsequent
    negligence or malpractice of the physician selected.” Crumley, 509 F. Supp. at 535. That case arose,
    however, from the administration of anesthesia on April 2, 1974, a year before the 1975 amendment
    to the Peer Review Law. The 1975 law did not apply to the action and, therefore, was not discussed.
    Bryant v. McCord, No. 01A01-9801-CV-00046, 
    1999 WL 10085
     (Tenn. Ct. App. Jan. 12,
    1999), does not assist Ms. Smith either. While Bryant does say that “hospitals have a duty to use
    reasonable care . . . to select and retain only competent physicians,” it relies on Crumley for that
    proposition. Bryant, 
    1999 WL 10085
    , at *11. We have already noted that Crumley does not apply.
    In addition, the issue in Bryant was the hospital’s control over the use of investigational devices, not
    the selection or recommendation of a physician by a peer review committee. Bryant provides no
    assistance in resolving this case.
    Similarly, Wicks v. Vanderbilt Univ., No. M2006-00613-COA-R3-CV, 
    2007 WL 858780
    (Tenn. Ct. App. Mar. 21, 2007), offers no guidance. While Vanderbilt tried to characterize the claim
    as a negligent credentialing claim in the trial court, Wicks disavowed that theory. Wicks, 
    2007 WL 858780
    , at *13. Instead the claim was viewed by the appellate court as one for negligent
    supervision. Wicks indicates that a component of negligent supervision can be a breach of the duty
    to hire competent employees, but that aspect of negligent supervision was never a focus of the case.
    Id. Rather, Wicks focused on failure to adhere to Vanderbilt policies.
    Another case deserves mention. In Edmonds v. Chamberlain Mem’l Hosp., 
    629 S.W.2d 28
    ,
    29-30 (Tenn. Ct. App. 1981), this court held that “a hospital is not liable for the negligence of the
    physician selected by the hospital unless at the time the physician was chosen or subsequently as he
    performed at the hospital it was known, or should have been known, that the physician was
    incompetent of perform the duties he was reasonably expected to undertake.” In Edmonds, the
    doctor was not subjected to review by a peer review committee, so the qualified immunity of Tenn.
    Code Ann. § 63-6-219(d)(1) was not available and was not discussed. The court reiterated that “[n]o
    5
    presumption of negligence in selection arises merely because the physician may have committed a
    negligent act after having been admitted to practice at the hospital.” Id. at 30.
    We hold that the qualified immunity defense under Tenn. Code Ann. § 63-6-219(d)(1) is
    available when a patient sues a hospital for credentialing decisions made by a peer review
    committee.
    The final issue raised by Ms. Smith is that Centennial’s interpretation of the statute is
    unconstitutional under the open courts provision of Article I, Section 17 of the Tennessee
    Constitution, which states: “That all courts shall be open: and every man, for an injury done him in
    his lands, goods, person or reputation, shall have remedy by due course of law, and right and justice
    administered without sale, denial, or delay.” She maintains “that Centennial’s interpretation of the
    Peer Review Law would effectively eliminate any patient’s claim against a hospital for negligently
    providing credentials to a bad physician.” In support of her argument that eliminating the claim
    would violate the open courts provision, Ms. Smith relies on the following analysis from a scholarly
    article: “[t]he General Assembly may vary the nature and extent of remedies for existing rights and
    causes of action as long as some substantive remedy remains.” William C. Koch, Jr., Reopening
    Tennessee’s Open Courts Clause: A Historical Reconsideration of Article I, Section 17 of the
    Tennessee Constitution, 27 U. Mem. L. Rev. 333, 425-26 (1997).
    The case law on the open courts clause does not support her argument. In 1978, the
    Tennessee Supreme Court stated: “This Section of our constitution has been interpreted by this Court
    as a mandate to the judiciary and not as a limitation upon the legislature.” Harrison v. Schrader, 
    569 S.W.2d 822
    , 827 (Tenn. 1978). In Barnes v. Kyle, the Court quoted with approval the following
    principles:
    The constitutional guaranty providing for open courts and insuring a remedy for
    injuries does not guaranty a remedy for every species of injury, but applies only to
    such injuries as constitute violations of established law of which the courts can
    properly take cognizance.
    
    306 S.W.2d 1
    , 4 (Tenn. 1957) (quoting 16A C.J.S. Constitutional Law § 709c); see also Harmon v.
    Angus R. Jessup Assocs., Inc., 
    619 S.W.2d 522
    , 524 (Tenn. 1981). In other words, “the remedy
    clause5 tells courts they must provide remedies for legally defined injuries, but does not limit a
    legislature's power to define what is and is not an ‘injury.’” David Schuman, The Right to a Remedy,
    65 Temp. L. Rev. 1197, 1206 (1992).
    Even the authority cited by Ms. Smith does not necessarily support her cause. The law
    review article on which she relies further states:
    5
    The term “remedy clause” is often used to refer to state constitutional provisions such as Tennessee’s open
    courts clause. David Shuman, The Right to a Remedy, 65 Temp. L. Rev. 1197, 1201-02 (1992).
    6
    If, however, the General Assembly sets out to alter traditional legal rights or to limit
    or curtail existing procedural remedies, it must either provide a reasonable substitute
    for the old remedy, or it must demonstrate that the alteration or abolition of the
    existing remedy is a reasonable response to an important societal need.
    Koch, supra at 450. Tennessee courts have already upheld the statute of limitations for medical
    malpractice actions, finding a reasonable basis for the law:
    At the time the legislature passed the statute of limitations eventually codified as Sec.
    23-3415(a), T.C.A., this state and the nation were in the throes of what was popularly
    described as a “medical malpractice insurance crisis.” Because of alleged increasing
    numbers of claims, insurance companies had grown reluctant to write medical
    malpractice policies. Where policies were available, premiums had risen
    astronomically.
    The legislature could have seen in this situation a threat not only to the medical
    profession and its insurers, but also to the general welfare of the citizens of this state.
    As liability costs skyrocketed, so would the cost of health care. Physicians would be
    encouraged to cease practice or contemplate early retirement, and the number of
    available physicians would decrease. The practice of “defensive medicine,” spawned
    by fear of costly legal actions, would lead to a lower quality of health care in general.
    These considerations may or may not have been valid; however, it is apparent that
    they were accepted by the legislature and formed the predicate for its action.
    In addition, it could be argued that to the extent that safe estimates required by
    actuarial uncertainty, aggravated by the extended period during which a physician
    could be subject to potential liability, contributed to the increase in malpractice
    insurance costs, “it is understandable that a legislature intent upon halting such
    phenomenal increases would seek some method to increase the certainty of such
    estimates,” i. e., an absolute three-year limit on the time within which actions could
    be brought.
    Harrison, 569 S.W.2d at 826 (footnotes and citations omitted); see also Newton v. Cox, 
    878 S.W.2d 105
     (Tenn. 1994)(upholding the contingency fee cap on medical malpractice claims).6 It would seem
    that a limitation on a patient’s ability to recover damages against a hospital for credentialing a
    physician who later committed malpractice would also be a reasonable response to the need to
    control medical costs.
    6
    “It is conceivable that the General Assembly concluded that the contingency fee cap of Tenn. Code Ann. §
    29-26-120 would further the purposes of the Medical Malpractice Act by reducing malpractice insurance costs and,
    therefore, reduce the cost of health care to the public.” Newton, 878 S.W .2d at 110.
    7
    Conclusion
    We hold that the qualified immunity defense under Tenn. Code Ann. § 63-6-219(d)(1) is
    constitutional under the open courts clause of the Tennessee Constitution and available to a hospital
    when a patient sues the hospital for credentialing decisions made by a peer review committee. As
    important as this holding is, just as important is what we do not hold. We do not reach the issue of
    Centennial’s qualified immunity in this case. That issue will require more proof from the hospital
    and is, therefore, remanded to the trial court for a determination of whether Centennial’s
    credentialing decision was made in good faith, without malice, on the basis of facts reasonably
    known or reasonably believed to exist. Tenn. Code Ann. § 63-6-219(d)(1). We do not hold that the
    qualified immunity is available in situations other than those enumerated in Tenn. Code Ann. § 63-6-
    219(d)(1). In situations outside the scope of the statute, the law is well settled that “hospitals are
    liable for the negligent acts of their agents and employees even though they are selected with due
    care.” Edmonds, 629 S.W.2d at 30.
    Costs of appeal are assessed against the appellee, Christy Leann Smith, for which execution
    may issue if necessary.
    ___________________________________
    ANDY D. BENNETT, JUDGE
    8