Manuel Arons et al., Appellants-Respondents, v Robert Jutkowitz et al., Respondents-Appellants, et al., Defendant.
Supreme Court, Appellate Division, Second Department, New York
December 5, 2006
825 N.Y.S.2d 738
Second Department, December 5, 2006
APPEARANCES OF COUNSEL
Philip J. Dinhofer, LLC, New York City, for appellants-respondents.
Vaslas Lepowsky Hauss & Danke, LLP, Great Neck (Mauro, Goldberg & Lilling, LLP [Kenneth Mauro, Barbara D. Goldberg and Matthew W. Naparty] of counsel), for Robert Fulop, respondent-appellant.
Amabile & Erman, P.C., Staten Island (Flutra Limani of counsel), for Robert Jutkowitz, respondent-appellant.
Wilson, Elser, Moskowitz, Edelman & Dicker, LLP, New York City (Michael J. Gudzy of counsel), for Staten Island University Hospital and others, respondent-appellants.
OPINION OF THE COURT
Adams, J.P.
The appeal in this action to recover damages for medical malpractice and wrongful death, etc., presents an issue of first impression regarding the interplay of the federal Health Insurance Portability and Accountability Act of 1996 (
The plaintiffs commenced this action in December of 1998. They allege, inter alia, that the defendants Dr. Robert Jutkowitz and Dr. Robert Fulop failed to timely diagnose and inform the plaintiffs’ decedent, Phyllis Arons, that she suffered from hydrocephalus. An amended verified complaint was served in or about January of 1999, which added claims against, among others, the defendants Staten Island University Hospital (hereinafter the Hospital), William Gael, “John Doe” Mitnick, and “Richard Roe” Carlstrom. Discovery ensued and a note of issue was filed on or about February 6, 2003.
After the note of issue was filed, the plaintiffs declined to execute authorizations which would, pursuant to HIPAA, permit defense counsel to informally and privately interview nonparty treating physicians who rendered care to the decedent related to this action. Following the plaintiffs’ refusal to execute such authorizations, Fulop moved to compel their production, and the defendants Jutkowitz, Gael, the Hospital, Mitnick, and Carlstrom joined in the motion. The Supreme Court granted the motion and directed the plaintiffs to provide HIPAA-compliant authorizations permitting such interviews.
It is well settled that a plaintiff who commences a medical malpractice action waives the physician-patient privilege with respect to those physical or mental conditions which he or she affirmatively places in issue in the lawsuit (see Koump v Smith, 25 NY2d 287, 294 [1969]; Dillenbeck v Hess, 73 NY2d 278, 287 [1989]). As a result of the waiver, a defendant in such an action is entitled to disclosure regarding the relevant physical or mental condition at issue. In order to obtain this information, a defendant may therefore resort to the discovery devices provided by
The rule prohibiting private meetings between defense counsel and plaintiffs’ treating physicians was first articulated in Anker v Brodnitz (supra). Subsequent cases addressed the issue of whether a treating physician‘s testimony at trial should be precluded on the ground that defense counsel had private discussions with him or her after the note of issue was filed. This Court has held that the treating physician‘s testimony should not be precluded on such basis (see Levande v Dines, 153 AD2d 671 [1989]; Zimmerman v Jamaica Hosp., 143 AD2d 86 [1988]; see also Luce v State of New York, 266 AD2d 877 [1999]; Fraylich v Maimonides Hosp., 251 AD2d 251 [1998]; Tiborsky v Martorella, 188 AD2d 795 [1992]), and since those rulings, it appears that the defense bar has adopted the practice of regularly conducting such post-note of issue ex parte meetings (see Thomas A. Moore and Matthew Gaier, Medical Malpractice: Ex-Parte Interviews With Treating Physicians, NYLJ, July 6, 2004, at 3, col 1).
However, we did not declare that defense counsel have a right to such informal, post-note of issue interviews, nor did we require plaintiffs to consent to them. Rather, we merely held, under the circumstances, that the treating physician‘s unique and highly relevant testimony would not be precluded (see Levande v Dines, supra; Zimmerman v Jamaica Hosp., supra). “This is in keeping with the general rule that no party has a
In 1996, Congress enacted HIPAA in order to further the federal goals of increased access to health care and to improve the efficiency and effectiveness of the health care system (see
Pursuant to this congressional mandate, the DHHS implemented its privacy rule in 2003 (see
The privacy rule authorizes a covered entity to disclose protected health information under an enumerated set of circumstances (see
In light of these provisions of the privacy rule, defense counsel have faced a practical dilemma in attempting to privately speak with plaintiffs’ nonparty treating physicians after a note of issue has been filed. “Specifically, it appears that treating physicians are requiring either written authorizations signed by the plaintiff which comply with HIPAA and which permit oral communications, or a court order authorizing such oral communications which likewise comply with HIPAA” (Holzle v Healthcare Servs. Group, Inc., 7 Misc 3d 1027[A], 2005 NY Slip Op 50770[U], *5 [2005]). In other words, since the enactment of HIPAA, defense counsel‘s attempts to privately speak with nonparty treating physicians have been hindered when plaintiffs will not execute HIPAA-compliant authorizations specifically permitting such communications. Under these circumstances, defendants have moved, as in this case, to compel plaintiffs’ execution of such authorizations.
This motion practice has generated a number of lower court decisions regarding whether, and under what circumstances, defense counsel may gain access to nonparty treating physicians for private interviews after a note of issue has been filed (see Beano v Post, Sup Ct, Queens County, Mar. 12, 2004, Dollard, J., Index No. 5694/01; Keshecki v St. Vincent‘s Med. Ctr., 5 Misc 3d 539 [2004]; O‘Neil v Klass, Sup Ct, Kings County, Oct. 29, 2004, Rosenberg, J., Index No. 3808/02; Browne v Horbar, 6 Misc 3d 780 [2004]; Steele v Clifton Springs Hosp. & Clinic, 6 Misc 3d 953 [2005]; Smith v Rafalin, 6 Misc 3d 1041[A], 2005 NY Slip Op 50385[U] [2005]; Valli v Viviani, 7 Misc 3d 1002[A], 2005 NY Slip Op 50409[U] [2005]; Hitchcock v Suddaby, 7 Misc 3d 1026[A], 2005 NY Slip Op 50762[U] [2005]; Holzle v Healthcare Servs. Group, Inc., supra; Ottinger v Mausner, 11 Misc 3d 1070[A], 2006 NY Slip Op 50460[U] [2006]; Constantino v Cooper, 12 Misc 3d 1174[A], 2006 NY Slip Op 51215[U] [2006]). These decisions have resolved defendants’ motions in a variety of inconsistent ways.
In some cases, the Supreme Court granted the defendants’ motions to compel plaintiffs to execute the pertinent authorizations (see Beano v Post, supra; O‘Neil v Klass, supra; Steele v Clifton Springs Hosp. & Clinic, supra; Smith v Rafalin, supra; Hitchcock v Suddaby, supra; Constantino v Cooper, supra). Each of these cases attempted to harmonize HIPAA‘s procedural protections with existing state law by devising specific language for the authorizations and, in some instances, required the disclosure by defense counsel of statements, notes, memoranda, documents, and recordings from the private interviews. In at least one case (O‘Neil v Klass, supra), the court included a provision which resembled a qualified protective order regarding the information disclosed at any such interview. With these procedural safeguards in place, these courts held that the private, post-note of issue meetings are compliant with HIPAA (see Beano v Post, supra; O‘Neil v Klass, supra; Steele v Clifton Springs Hosp. & Clinic, supra; Smith v Rafalin, supra; Hitchcock v Suddaby, supra; Constantino v Cooper, supra).
Alternatively, other courts have denied comparable motions by defendants seeking to compel plaintiffs’ execution of HIPAA-compliant authorizations (see Browne v Horbar, supra; Holzle v Healthcare Servs. Group, Inc., supra; Ottinger v Mausner, supra). Although the specific reasoning of each of these courts varies, they share the general notion that our precedent “militates against granting the relief sought by the defendants on these applications, because they call for a direction outside the scope of the discovery authorized by the CPLR or the Uniform Rules” (see Ottinger v Mausner, 2006 NY Slip Op 50460[U], *3). We agree.
While courts are empowered to supervise disclosure (see
Indeed, after the filing of a note of issue, a court‘s authority to allow additional pretrial disclosure is limited to a party‘s demonstration of “unusual or unanticipated circumstances” (
Simply stated, Fulop moved, with the support of the other defendants, to compel the plaintiffs to consent to a form of disclosure which is beyond the scope of
In light of the foregoing, we need not address the defendants’ contentions concerning the language of the authorizations and the court‘s related directive to turn over certain post-interview materials and documents.
Finally, the Supreme Court providently exercised its discretion in denying the plaintiffs’ cross motion to strike Fulop‘s answer due to his alleged spoliation of evidence. As the plaintiffs, in effect, concede, Fulop‘s loss of the decedent‘s medical records has not deprived them of the means of establishing a prima facie case against him since they have been able to reconstruct the decedent‘s chart from alternate sources. The plaintiffs therefore failed to sustain their burden of demonstrating that they would be severely prejudiced by reason of the missing evidence and the Supreme Court providently exercised its discretion in denying their cross motion (see Riley v ISS Intl. Serv. Sys., 304 AD2d 637, 638 [2003]; Klein v Ford Motor Co., 303 AD2d 376, 377-378 [2003]; Favish v Tepler, 294 AD2d 396, 397 [2002]; Chiu Ping Chung v Caravan Coach Co., 285 AD2d 621 [2001]). Therefore, the order is modified, on the law, by
Rivera, Skelos and Lifson, JJ., concur.
Ordered that the order is modified, on the law, by deleting the provisions thereof granting the motion of the defendant Robert Fulop, as joined in by the defendants Robert Jutkowitz, William Gael, Staten Island University Hospital, “John Doe” Mitnick, and “Richard Roe” Carlstrom, directing the plaintiffs to execute authorizations pursuant to the Health Insurance Portability and Accountability Act of 1996 permitting defense counsel to speak with certain physicians who rendered care to the plaintiffs’ decedent relating to claims being made in this action, and substituting therefor a provision denying the motion, with leave to move pursuant to
