Jackie D. Dillard v. Meharry Medical College ( 2002 )


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  •                  IN THE COURT OF APPEALS OF TENNESSEE
    AT NASHVILLE
    May 6, 2002 Session
    JACKIE D. DILLARD v. MEHARRY MEDICAL COLLEGE, ET AL.
    Appeal from the Circuit Court for Davidson County
    No. 95C-3712 Hamilton V. Gayden, Jr., Judge
    No. M2001-02038-COA-R3-CV - Filed July 9, 2002
    The jury returned a verdict for the defendant surgeon and hospital in this medical malpractice action.
    The plaintiff argues on appeal that the trial court committed reversible error at several stages of the
    trial, including jury selection, witness testimony and jury instructions. We affirm the trial court.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court
    Affirmed and Remanded
    BEN H. CANTRELL, P.J., M.S., delivered the opinion of the court, in which WILLIAM C. KOCH , JR.
    and D. MICHAEL SWINEY, JJ., joined.
    Ann Buntin Steiner, Nashville, Tennessee, for the appellant, Jackie D. Dillard.
    Bryan Essary, Nashville, Tennessee, for the appellee, Meharry Medical College.
    E. Reynolds Davies, Jr. and John T. Reese, Nashville, Tennessee, for the appellee, Reginald
    Coopwood, M.D.
    OPINION
    I. GALL BLADDER SURGERY AND A MALPRACTICE COMPLAINT
    On November 7, 1994, Jackie Dillard was admitted to Metropolitan General Hospital in
    Nashville with symptoms of abdominal pain. She was diagnosed with gallstones, and scheduled
    the same day for surgical removal of her gall bladder (cholecystectomy). Reginald Coopwood, M.D.,
    performed the surgery, using a laparoscopic procedure: that is, one involving small incisions in the
    abdomen into which the surgeon inserts and manipulates a miniature television camera and small
    surgical tools. Dr. Coopwood was assisted by William Garrett, M.D. During the operation, Ms.
    Dillard’s common bile duct was severed in two places, resulting in pain and suffering, additional
    surgery, and potential long-term damage to her liver.
    Ms. Dillard filed a malpractice complaint on November 2, 1995, which included a claim by
    her husband for loss of consortium. Drs. Coopwood and Garrett were named as defendants.
    Meharry Medical College and the Metropolitan Government of Nashville and Davidson County were
    also named, under the doctrine of respondeat superior. Ms. Dillard claimed that Dr. Coopwood had
    initially misidentified her common bile duct (which is supposed to be protected during this
    operation) believing it to be the cystic duct (which is normally ligated); that as a result, he ligated
    and cut the common bile duct; that he failed to perform a cholangiogram, an x-ray that would have
    enabled him to properly identify the anatomy of the surgical area; that because he failed to diagnose
    the injury he caused, he cut the common bile duct a second time; and that he failed to convert from
    a laparoscopic procedure to an open one, in order to repair the damage.
    The trial court dismissed Metro Government from the lawsuit on March 4, 1996. Mr. Dillard
    voluntarily non-suited his claim on November 18, 1997. Dr. Garrett was non-suited without
    prejudice on September 19, 2000. A five-day trial against the Dr. Coopwood and Meharry Medical
    College began on March 5, 2001.
    Both parties introduced expert testimony to support their respective positions. Dr. Kelly
    Wright, the liver transplant surgeon who repaired the damage to Ms. Dillard’s biliary system,
    appeared for the plaintiff. He testified that Dr. Coopwood had violated the standard of care by
    making a second cut on the common bile duct, despite uncertainty about the correct identification
    of the biliary structures visible on his laparoscope. Dr. Charles Herbst, a retired gastrointestinal
    surgeon from North Carolina, testified that under the circumstances of this case, the standard of care
    required the use of a cholangiogram.
    General Surgeon Dr. Robert Ikard appeared for the defendants. He testified that Dr.
    Coopwood had met the standard of care, and that inadvertent injury to the common bile duct was a
    recognized (although rare) complication of cholecystectomy, and that although it was slightly more
    common in laparoscopic procedures, open procedures carried other risks. He also testified that
    cutting the common bile duct a second time did not increase the risk or worsen the damage Ms.
    Dillard suffered, and that the standard of care in 1994 did not require intraoperative cholangiography
    prior to cutting duct structures.
    Following closing arguments, the jury returned a verdict for the defendants. The trial court
    entered a judgment in accordance with the verdict on March 15, dismissing the action. Ms. Dillard
    filed a Motion for New Trial on April 12, in which she argued that the trial court had erred in
    numerous ways, including not dismissing two jurors for cause who were acquaintances of the
    defense counsel, admitting misleading testimony offered by the defendant doctor, and giving
    erroneous jury instructions.
    On April 16, defendant Meharry Medical College filed a Motion for Discretionary Costs,
    asking the court to charge the plaintiff with $5,000 of such costs. An itemized and verified bill of
    costs listed $4,229 in fees charged by Dr. Ikard for trial preparation and trial testimony. The
    plaintiff’s attorney subsequently filed an Amended Motion for New Trial. She argued that the fee
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    Dr. Ikard received for testifying constituted newly discovered evidence, justifying a new trial. On
    August 13, 2001, the trial court denied the plaintiff’s Motion for New Trial and the defendant’s
    Motion for Discretionary Costs. This appeal followed.
    II. JURY SELECTION
    Ms. Dillard’s attorney argued on appeal that errors by the trial judge forced her to waste her
    peremptory challenges, resulting in a jury that was skewed against her client’s interest. The factual
    predicate for this claim arose when the members of the jury venire were asked if they knew any of
    the parties or their attorneys. Two potential jurors answered that they did.
    Both knew defense attorney Reynolds Davies, and one knew defense attorney Jack Reese as
    well. Further, one juror testified that he considered Mr. Davies to be his friend, and that he and his
    family saw the Davies family socially three or four times a year. The other testified that he and Mr.
    Davies had been in school together at Montgomery Bell Academy, but that he didn’t see the attorney
    very often.
    Ann Buntin Steiner, the plaintiff’s attorney, asked both potential jurors if they would feel
    strange if they had to rule on a case where Mr. Davies represented one of the parties, and they said
    they would not. The trial judge also asked them if they could be fair to both sides despite their
    acquaintanceship with Mr. Davies, and they both indicated that they could. At the conclusion of voir
    dire, the plaintiff’s attorney moved the court to dismiss the two jurors for cause, but the judge
    refused. Ms. Steiner then used two of her peremptory challenges to remove them from the jury.
    It is a basic principle of the jury system that a litigant is entitled to a jury composed of
    persons free from bias or prejudice. Wolf v. Sundquist, 
    955 S.W.2d 626
    , 629 (Tenn. Ct. App. 1997);
    Durham v. State, 
    188 S.W.2d 555
    (Tenn. 1945). Upon learning of friendship or personal
    acquaintanceship between a prospective juror and one of the parties or attorneys in a case, further
    questioning of the juror is a necessary step to determine whether he or she can deliberate on the case
    without bias. The judge in this case questioned the two prospective jurors on the possibility of bias,
    and determined that they need not be excluded for cause.
    The plaintiff’s attorney correctly points out that challenges for cause should be granted in all
    circumstances where bias exists, not only those where the juror recognizes and acknowledges his
    bias. See State v. Morris, 
    24 S.W.3d 788
    (Tenn. 2000). She argues that both prospective jurors gave
    equivocal answers to questions about possible bias. Specifically, when asked whether his
    acquaintance with attorney Reynolds Davies would affect his ability to be fair to both sides, one juror
    answered, “I don’t believe so.” The other, when asked if he thought he could be fair to both sides,
    said, “I think so.”
    The ultimate determination on the question of juror bias remains within the sound discretion
    of the trial court. Mallard v. Tompkins, 
    44 S.W.3d 73
    (Tenn. Ct. App. 2000); Carney v. Coca-Cola
    Bottling Works of Tullahoma, 
    856 S.W.2d 147
    (Tenn. Ct. App. 1993). One reason the trial judge
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    is afforded such discretion is that he or she is able to observe the demeanor of the potential juror as
    he answers questions about possible bias, and is thus in a better position than the reviewing court
    to evaluate the answers. Carney v. Coca-Cola Bottling Works of 
    Tullahoma, supra
    . While the two
    challenged jurors did not answer as firmly as the plaintiff’s attorney thought was required, we believe
    that the trial court did not abuse its discretion when it declined to dismiss them for cause.
    Further, one important distinction between this case and other cases in which the alleged bias
    of jurors was an issue on appeal is that the two challenged jurors in this case did not actually serve
    on the jury. As we stated above, Ms. Steiner was able to eliminate them by using two of her
    peremptory challenges.
    At a later point in the jury selection process, the court recessed, and when the jury venire
    returned, two of its members had changed seats. The plaintiff’s attorney claims that as a result she
    used her last remaining peremptory challenge against the wrong juror, and that although she brought
    her error to the attention of the trial judge in a timely way, he refused to grant her an additional
    peremptory challenge. She was thus unable to eliminate one juror that she found objectionable.1
    During oral argument, Ms. Steiner was asked what evidence she had that the jury that was
    finally selected was biased against her client. She could only say that she felt that her initial instinct
    was correct, and that the one juror she was unable to eliminate on peremptory challenge turned out
    to be against her client. We have no way of evaluating her statement, but we do not believe that she
    has established a sufficient basis to overturn the jury verdict.
    III. A MOTION TO STRIKE
    The defense counsel asked Dr. Coopwood on direct testimony how many laparoscopic
    cholecystectomies he had performed prior to operating on Ms. Dillard. He answered that it was
    somewhere between 80 and 120. The attorney then asked the doctor whether he had ever cut the
    common bile duct during any of these operations. Dr. Coopwood answered in the negative.
    Ms. Steiner stated on appeal that she had wanted to object to the testimony as being in
    violation of the Tennessee Rules of Evidence, but withheld her objection because of the lateness of
    the hour. The following day, she attempted to introduce into evidence seven malpractice complaints
    that had been filed against Dr. Coopwood. After a jury-out hearing, the judge declined to allow her
    to introduce the allegations in those complaints. Ms. Steiner then moved that Dr. Coopwood’s
    1
    The defendant argues that there is no proof in the record that Ms. Steiner had used up all her peremptory
    challenges. After oral argument in this case, the plaintiff’s attorney filed a M otion to Sup plement the R ecord with the
    trial judge’s jury seating list and peremptory challenge list, two documents which on their face indicate that she used all
    the peremptory challenges she was permitted. The defendant responded by arguing that the motion should be denied
    because the do cuments lacked proper authenticatio n. W e reserved our ruling, pending this opinion. Since we do not
    believe that the plaintiff is entitled to reversal of the jury verdict, regardless of whether her attorney used up all her
    perempto ry challenges, we find it unnecessary to rule on her mo tion.
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    response to his attorney’s question the day before be stricken. The trial court again declined to grant
    her motion.
    Ms. Steiner argues that the trial judge’s refusal to strike Dr. Coopwood’s answer constituted
    reversible error because Rule 404 of the Tennessee Rules of Evidence declares that “evidence of a
    person’s character or a trait of character is not admissible for the purpose of proving action in
    conformity with the character or trait on a particular occasion.” Rule 404 goes on to say, however,
    that such evidence may be admissible for other purposes, so long as its probative value is not
    outweighed by the danger of unfair prejudice.
    While it may be something of a stretch to characterize a doctor’s prior surgical results as
    character evidence, there is some validity to the argument that the evidence was presented for the
    inadmissible purpose of proving that Dr. Coopwood was a careful surgeon. Defense counsel
    contends, however, that Dr. Coopwood’s testimony was admissible under Rule 404, because it was
    presented to prove the validity and efficacy of the doctor’s surgical method for identifying the
    anatomy of the biliary area, a method which had been earlier criticized as deficient by the plaintiff’s
    expert witnesses.
    We note that decisions as to the admissibility of evidence (like decisions on jury selection)
    are within the sound discretion of the trial judge. Overstreet v. Shoney’s, 
    4 S.W.3d 694
    (Tenn. Ct.
    App. 1999). We also agree with defendant’s argument that the plaintiff waived any possible
    objection to Dr. Coopwood’s statement by failing to state her objection in a timely way. Rule
    103(a)(1) of the Tennessee Rules of Evidence declares that error may not be predicated upon a ruling
    which admits evidence, unless a timely objection or motion to strike is made. See Wright v. United
    Services Automobile Association, 
    789 S.W.2d 911
    , 914 (Tenn. Ct. App. 1990). Before raising her
    motion to strike, the plaintiff’s attorney waited until the following day, and until after the trial court
    declined to allow her to introduce allegations of malpractice made in other cases.
    It is well-established that a party must complain and seek relief immediately after the
    occurrence of a prejudicial event, and may not save an infirmity in the proceedings as an "ace in the
    hole" to be used in the event of a later unfavorable decision. Harwell v. Walton 
    820 S.W.2d 116
    (Tenn. Ct. App. 1991); Gotwald v. Gotwald, 
    768 S.W.2d 689
    (Tenn. Ct. App. 1988). We therefore
    do not believe that the trial court abused its discretion by declining to grant the plaintiff’s Motion
    to Strike Dr. Coopwood’s testimony.
    IV. JURY INSTRUCTIONS
    The plaintiff’s attorney argues that several portions of the instructions that the trial judge
    delivered to the jury are contrary to the controlling law. Before we discuss her arguments, we must
    note that a particular instruction must be considered in the context of the entire jury charge, Johnson
    City v. Outdoor West, 
    947 S.W.2d 855
    (Tenn. Ct. App. 1996), and that the charge will not be
    invalidated if it fairly defines the legal issues involved in the case, and does not mislead the jury.
    Otis v. Cambridge Mutual Fire Insurance Company, 
    850 S.W.2d 439
    (Tenn. 1992).
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    The trial court instructed the jury that “[t]he duty of a physician is to exercise his best
    judgment regarding treatment, and he is not guilty of medical malpractice if he chooses a course of
    treatment supported by other physicians in good standing.” Ms. Steiner notes that the Tennessee
    Medical Malpractice Act requires physicians to act with ordinary and reasonable care in accordance
    with the recognized standard of acceptable professional practice in their profession and specialty.
    See Tenn.Code.Ann. § 29-26-115. She argues that it is erroneous to imply that a doctor cannot be
    found guilty of malpractice if he simply proves that other doctors may have chosen the same course
    of treatment that he did.
    Ms. Steiner’s statement of the law is correct, but her discussion of the jury instructions is
    incomplete. The trial transcript reveals that the trial judge fully explained the elements of a
    malpractice claim in accordance with Tenn. Code. Ann. § 29-26-115, and the plaintiff’s burden of
    proving each of those elements by a preponderance of the evidence. While the challenged
    instruction standing alone would be misleading, it is not so within the context of the entire
    instruction given by the court.
    The plaintiff’s attorney also objects to the judge’s instruction that “foresight, not hindsight
    is the standard by which one’s duty of care is to be judged.” This instruction is consistent with
    Tennessee negligence law in general, see Doe v. Linder Construction Co., 
    845 S.W.2d 173
    (Tenn.
    1992), as well as with the form of negligence called malpractice. Alessio v. Crook, 
    633 S.W.2d 770
    ,
    775 (Tenn. Ct. App. 1982). In malpractice cases, the standard of care against which the actions of
    a defendant doctor are measured is, “[t]he recognized standard of acceptable professional practice
    in the profession and the specialty thereof, if any, that the defendant practices in the community in
    which the defendant practices or in a similar community at the time the alleged injury or wrongful
    action occurred.” Tenn. Code. Ann. § 29-26-115(a)(1) (emphasis added).
    Finally, the plaintiff’s attorney objects to the trial court’s use of the expression “honest
    mistake” in the following instructions:
    A physician does not guarantee the cure of his patients, but after a careful
    diagnosis, a physician is not liable for damages to his patient from an honest mistake
    in determining the character of treatment to be administered or in determining the
    necessity of an operation.
    A physician will not be held liable for honest mistakes in judgment but only
    for negligence, negligent failure to meet the standard required by the profession in
    the community.
    A physician does not guarantee the cure of his patients. Presuming careful
    diagnosis, a physician is not liable for damages resulting from an honest mistake in
    determining the character of treatment to be administered.
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    Plaintiff’s attorney directs our attention to a case from another jurisdiction, McKinnis v.
    Women and Infants Hospital of Rhode Island, 
    749 A.2d 574
    (Rhode Island 2000), which criticizes
    the use of terms such as “honest mistake” and “bona fide error” in jury instructions dealing with
    medical malpractice, because they defy rational definition. Although this court has previously
    upheld jury instructions almost identical to the above quotation, Patton v. Rose, 
    892 S.W.2d 410
    ,
    415 (Tenn. Ct. App. 1994), we agree that “honest mistake” has the potential for being misleading,
    because in the context of the law of medical malpractice, a doctor can be negligent without being
    dishonest.
    In the McKinnis case, the Rhode Island Supreme Court found the entire jury instruction to
    be inadequate and misleading, not merely the “honest mistake” language. The court reversed the
    verdict for the defendant primarily because the trial judge never gave the jury an adequate
    explanation of negligence, but only described various factual and legal scenarios in which negligence
    was found not to lie against medical defendants. During its deliberations, the jury asked for
    clarification on the definition of negligence for doctors and nurses, but were rebuffed by the judge.
    In contrast, the judge in the case before us gave the jury a full explanation of the elements of
    negligence under the medical malpractice statute. Thus, even if the judge’s use of the challenged
    term was in error, in the context of the entire jury charge, it has to be considered harmless.
    V. THE AMENDED MOTION FOR NEW TRIAL
    Ms. Steiner asked Dr. Ikard at the beginning of his testimony whether he was charging a fee
    for reviewing the records and serving as an expert in this case. Dr. Ikard answered that he was. The
    plaintiff’s attorney then asked him his rate of compensation and how much he had charged to date.
    Dr. Ikard answered that he did not know. Under cross-examination, he was asked if he charged $525
    per hour for giving his deposition, and he again answered that he didn’t know, explaining that he
    doesn’t do the billing. Under close questioning, he admitted that he was a personal friend of Ed
    Davies, one of the defense attorneys, and that he had testified several times in cases where Mr.
    Davies was the attorney.
    During his closing argument, Mr. Davies referred to the fees Dr. Wright and Dr. Herbst
    received for their court appearances, and used the expressions “hired witnesses” and “paid
    witnesses,” and “big fees for testifying,” thus implying that their testimony should not be given
    credence. In speaking of his own witness, Mr. Davies said that “Dr. Ikard doesn’t have to come here
    to defend Dr. Reginald Coopwood, Dr. Ikard doesn’t need the money.” Ms. Steiner argues that
    these statements misled the court and the jury, and that the newly discovered evidence as to Dr.
    Ikard’s $4,429 fee constitutes grounds for a new trial.
    We note that the plaintiff’s attorney had the opportunity to impeach the testimony of Dr.
    Ikard in regard to his fee, and that she managed to do that to some extent. Further, she began her
    closing argument by addressing the question of Dr. Ikard’s fees and his relationship to Mr. Davies.
    She told the jury that Dr. Ikard charged $525 per hour for giving his deposition, and reminded them
    of Dr. Herbst’s testimony that he was donating his considerable fee to charity. Nonetheless, Ms.
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    Steiner contends that the discovery of the total amount of Dr. Ikard’s fee constitutes newly
    discovered evidence, justifying the grant of her Motion of New Trial.
    There are several problems with this argument. First, a new trial is not warranted on the basis
    of newly discovered evidence that goes to a collateral matter only. Crain v. Brown, 
    823 S.W.2d 187
    (Tenn. Ct. App. 1991). Clearly, Dr. Ikard’s fee is a collateral matter, which has very little to do with
    the primary issues in this case.
    Second, it must be shown that the new evidence that is offered was not known to the moving
    party prior to trial, and could not have been known to her through the exercise of reasonable
    diligence. Seay v. City of Knoxville, 
    654 S.W.2d 397
    (Tenn. Ct. App. 1983). It appears to us that
    the plaintiff could have discovered the amount of Dr. Ikard’s fee prior to trial if she felt this fact to
    be of sufficient importance.
    Third, a new trial can be granted on the basis of newly discovered evidence only when the
    introduction of such evidence at a subsequent trial would most likely result in a different outcome.
    Wright v. Quillen, 
    909 S.W.2d 804
    (Tenn. Ct. App. 1995); S.M.R. Enterprises v. Southern
    Haircutters, 
    662 S.W.2d 944
    (Tenn. Ct. App. 1983). In light of Ms. Steiner’s opportunity to
    impeach Dr. Ikard, and to argue that like Dr. Wright and Dr. Herbst, he was also paid for his
    testimony, it seems highly unlikely that a jury’s knowledge of the exact amount of his fee would lead
    to a different result.
    Finally, when considering the matter of granting a new trial, the trial judge is vested with
    broad discretion. Esstman v. Boyd, 
    605 S.W.2d 237
    (Tenn. Ct. App. 1979). Our courts do not favor
    the grant of a such a trial on the basis of newly discovered evidence, and look upon such motions
    with suspicion. Brown v. University Nursing Home, Inc., 
    496 S.W.2d 503
    (Tenn. Ct. App. 1972).
    The trial judge clearly did not abuse his discretion in declining to order a new trial.
    VI. THE MATERIAL EVIDENCE RULE
    The appellant argues that we should grant her a new trial because the verdict was against the
    weight of the evidence. We needn’t spend much time on this argument, because she is invoking the
    wrong standard of review. A jury verdict that has been approved by the trial court will not be
    reversed on appeal so long as there is material evidence in the record to support that verdict. Tenn.
    R. App. P. 13(d); Washington v. 822 Corp., 43 S.W.3d 491(Tenn. Ct. App. 2000); Poole v. Kroger
    Co., 
    604 S.W.2d 52
    (Tenn. 1980). In the present case, the record contains competent expert
    testimony that the plaintiff’s injury was not the result of malpractice. The jury was not obligated to
    believe this testimony, but it was entitled to do so. The plaintiff’s argument is without merit.
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    VII.
    The judgment of the trial court is affirmed. Remand this cause to the Circuit Court of
    Davidson County for further proceedings consistent with this opinion. Tax the costs on appeal to
    the appellant, Jackie D. Dillard.
    _________________________________________
    BEN H. CANTRELL, PRESIDING JUDGE, M.S.
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