WILLIAM HARLOW vs. DANNY CHIN & another.
Suffolk. September 14, 1988. - October 19, 1989.
Supreme Judicial Court of Massachusetts
405 Mass. 697
LIACOS, C.J., WILKINS, ABRAMS, NOLAN, LYNCH, O‘CONNOR, & GREANEY, JJ.
Nеgligence, Medical malpractice, Doctor, Proximate cause, Duty to warn, Comparative. Medical Malpractice, Expert opinion, Recovery from collateral source. Proximate Cause. Practice, Civil, Argument by counsel, Instructions to jury. Subrogation. Evidence, Expert opinion. Charity. Corporation, Charitable corporation.
At the trial of a medical malpractice action brought by a patient who had become a quadriplegic, the plaintiff‘s evidence was sufficient to present a jury question as to causation. [702-703] O‘CONNOR, J., with whom NOLAN and LYNCH, JJ., joined, dissenting.
Although, at the trial of a medical malpractice action, the argument by plaintiff‘s counsel concerning money damages improperly indulged in significant references to numerical amounts which had no basis in the record, the judge‘s curative instructions to the jury eliminated the need for a new trial. [703-706] LYNCH, J., with whom NOLAN, J., joined, dissenting.
At the trial of a medical malpractice action there was sufficient evidence to warrant the jury‘s determination that the patient was thirteen per cent at fault under the comparative negligence statute. [706-708]
At the trial of a medical malpractice aсtion, the judge did not err in his instructions to the jury with regard to a physician‘s negligence and warnings to his patient. [712-713]
At the trial of a medical malpractice action wherein it was alleged that the defendants’ negligence had caused the plaintiff to become a quadriplegic, there was sufficient evidence, including the plaintiff‘s expert‘s testimony based on mortality tables and the expert‘s admission on cross-examination that generally the life expectancy of a quadriplegic was shorter, to support the jury‘s finding of thirty-one and one-half years as the amount of time over which an award for future medical expense and future pain and suffering was meant to compensate the plaintiff. [713-714]
There was no merit to the contentions by the defendants in a medical malpractice action that the plaintiff‘s expert was outside his area of expertise in testifying about the plaintiff‘s future medical costs, and that the expert impermissibly commented about the testimony of another of the plaintiff‘s experts when he compared his figures with those of the other expert. [714-715]
Where, at the trial of a medical malpractice action, a hospital proved both that it wаs a charitable organization, and that the tort complained of “was committed in the course of any activity carried on to accomplish directly the charitable purposes of such corporation,” the judgment entered against the hospital should have been limited to twenty thousand dollars, pursuant to
CIVIL ACTION commenced in the Superior Court Department on December 28, 1982.
The case was tried before Ernest S. Hayeck, J., sitting under statutory authority.
The Supreme Judicial Court granted a request for direct appellate review.
Edward B. Hanify (Thomas H. Hannigan, Jr., & Lee C. Rubin with him) for the defendants.
Frederic N. Halstrom (Maureen A. Griffin & Peter A. Donovan with him) for the plaintiff.
James M. Shannon, Attorney General, & Lawrence P. Fletcher-Hill, Assistant Attorney General, for Department of Public Welfare, amicus curiae, submitted a brief.
We conclude that the record contains sufficient evidence to support the jury award, and that the plaintiff‘s closing arguments, although improper, do not necessitate a new trial. We remand to the Superior Court, however, to enter a judgment against Massachusetts General Hospital limited by the statutory cap of $20,000, pursuant to
After speaking to a receptionist and a triage nurse, the plaintiff was examined by Dr. Chin. The plaintiff told Dr. Chin that he had hit the back of his neck, and that he was experiencing pain down his neck and upper back, and down his arm and into his hand, and that he felt tingling in the fingertips of his right hand. Dr. Chin spent from two to five minutes examining the plaintiff. Dr. Chin felt the back of the plaintiff‘s neck and tapped his elbows and kneecaps. The medical history Dr. Chin recorded during the examination consisted of “[c]omplaints of pain, left trapezius, increased by turning head or lifting, exam.” His examination was recorded as “[l]eft trapezius tender and in spasm, left shoulder full range of motion, no tenderness, deep tendon reflexes, bi[c]eps equal to two plus bilaterally.” Dr. Chin diagnosed the plaintiff as having a muscle spasm. Dr. Chin recommended no heavy lifting. He told the plaintiff to apply heat and take aspirin and Flexeril, a muscle relaxant that he prescribed. Dr. Chin failed to tell the plaintiff to return if the pain stayed the same or got worse.
The plaintiff took the Flexeril for the next ten days. He stayed home from work for eighteen days because of the pain. On March 5, 1982, the pain became worse and entered the plaintiff‘s right leg for the first time. The plaintiff returned to the hospital and collapsed while getting onto an examination table. He was rushed to Massachusetts General Hospital, where it was determined that he had a herniated cervical disc at the C-4, C-5 level. The plaintiff underwent surgery, which was unsuccessful. The plaintiff is now quadriplegic and will be so for life.
The test for determining whether the jury could have found that the defendants were negligent is whether thе evidence, construed most favorably to the plaintiff, could not support a verdict for the plaintiff. Poirier v. Plymouth, 374 Mass. 206, 212 (1978). We must determine whether anywhere in the evidence, from whatever source derived, can be found any combination of circumstances in favor of the plaintiff. Raunela v. Hertz Corp., 361 Mass. 341, 343 (1972).
The jury could have believed from the expert testimony that Dr. Chin, during his meeting with the plaintiff, deviated from good medical practice in the following ways. When faced with a patient complaining of the plaintiff‘s symptoms, Dr. Chin should have taken a more detailed medical history, inquiring about visual problems, sensory motor deficits, numbness, tingling, and whether the pain radiated. Dr. Chin should have conducted a more extensive neurological examination, beyond the rudimentary examination that he performed. Most importantly, Dr. Chin should have told the plaintiff to return in two to three days if the pain continued.3 Thus, the record supports
2. Causation. A plaintiff in a medical malpractice action has the burden of proving that the physician‘s negligence was the proximate cause of the plaintiff‘s injuries. Murphy v. Conway, 360 Mass. 746, 749 (1972). Semerjian v. Stetson, 284 Mass. 510, 512 (1933). This causal link generally must be established by expert testimony that the injury was more probably than not a result of the physician‘s negligence. See Berardi v. Menicks, 340 Mass. 396, 402 (1960). The question of causation is generally a question of fact for the jury. Mullins v. Pine Manor College, 389 Mass. 47, 58 (1983). Zezuski v. Jenny Mfg. Co., 363 Mass. 324, 327 (1973). “To withstand a motion for a directed verdict on the issue of proximate causation, the plaintiff need only demonstrate that there was a greater likelihood that the harm of which the plaintiff complains was due to causes for which the defendant was responsible.” Colter v. Barber-Greene Co., 403 Mass. 50, 54-55 (1988).
The plaintiff argues that if Dr. Chin had not acted negligently, but instead had told the plaintiff about other possible diagnoses and had told the plaintiff to return if the pain continued, the plaintiff would have had an excellent chance of avoiding his quadriplegia. The defendants assert that the evidence on causation was insufficient and the plaintiff‘s case therefore should not have gone to the jury. We conclude that there was sufficient evidence on the issue of causation.
The plaintiff has met the burden of proving that the defendants’ negligence caused the harm he actually suffered. As we concluded above, the plaintiff met his burden of proving negligence by showing that the defendants failed to exercise due care in rendering medical care, a service which was necessary for the plaintiff‘s protection. See Mullins v. Pine Manor College, supra at 53. The plaintiff‘s expert stated at trial that Dr. Chin should have told the plaintiff to return within three days if the pain continued. The law permits an inference that a warning, once given, would have been followed. Wolfe v. Ford Motor Co., 6 Mass. App. Ct. 346, 352 (1978). Thus,
One of the plaintiff‘s experts further stated that once the plaintiff returned to the emergency room, proper medical procedure would have required that medical practitioners treat the plaintiff with the following care.4 The medical practitioners would have the plaintiff undergo X-rays, which they would then read immediately. No fracture, dislocation or tumor having been found, they would have the plaintiff undergo a CAT scan. In light of the plaintiff‘s symptoms at the time, the CAT scan would have been positive, showing a bulge or herniated disc. They would have immobilized and observed the plaintiff, and barring any change, would have operated on him earlier. Early surgical intervention would probably have been successful in preventing quadriрlegia.
3. Closing arguments. Both the plaintiff and defendants raise numerous objections to the closing arguments of the opposing side. The defendants argue that the improprieties in plaintiff‘s counsel‘s argument make a new trial necessary. We agree that the argument by plaintiff‘s counsel was egregious and “improper under long established, and well understood, principles.” Leone v. Doran, 363 Mass. 1, 18 (1973). We conclude, however, that the strong, corrective action taken by the judge in response to counsel‘s improper argument eliminates the need for a new trial.5
In response to the objections, the judge extensively discussed with counsel for both sides the substance of a proper curative instruction.6 The judge informed counsel that he thought an
We again comment that if a judge fails to cure an alleged error, the judge is “entitled at the end of the charge to have errors and omissions claimed to exist therein brought to his attention, and if an exception was desired because of such omission or error to have the exception taken for such reason or reasons.” Commonwealth v. Cabot, 241 Mass. 131, 151 (1922). See Commonwealth v. Gouveia, 371 Mass. 566, 572 (1976);
4. Comparative negligence. The plaintiff asserts that defense counsel‘s improper remarks are the basis for the jury‘s determination of thirteen per cent negligence by the plaintiff. He therefore asks that we reinstate the thirteen per cent to the verdict. For the reasons stated below, we decline to do so.
In the light most favorable to the defendants, the jury could have found that Dr. Chin informed the plaintiff to return to the emergency room if the pain got worse.11 The plaintiff claims
On cross-examination, the following colloquy took place between the plaintiff and defense counsel:
Q.: “It‘s your testimony today that [the pain] never went away, and got worse and worse until you finally went back on March 5th? Is that correct?”
A.: “That‘s right. The pain never left.”
Because the jury could have found that Dr. Chin warned the plaintiff to return to the emergency room if his pain got worse, and the plaintiff did not return even though his pain intensified, the verdict of thirteen per cent comparative negligence is based on sufficient evidence.
5. Reductions pursuant to the medical malpractice statute. The defendants call upon us to interpret a new provision of the medical malpractice statute,
On January 16, 1987, the judge ruled that the new provisions of the statute do “not require the reduction of the verdict by the amount Mr. Harlow has received from the state and federal governments.” The judge erred and failed to apply the statute properly. Because the defendants may be entitled under
To ensure proper application of the statute, we must examine separately each benefit enumerated by the plaintiff in his answer to the defendant‘s interrogatories. We must determine whether the benefits are governed by
The statute applies to the amount of prejudgment damages which were “replaced, compensated, or indemnified pursuant to the United States Social Security Act, any state or federal income disability or worker‘s compensation act . . . or any other collateral source of benefits whatsoever, except for gratuitous payments or gifts.”
The provision is designed to prevent double recovery by a plaintiff through litigation. It also protects the plaintiff from double loss of benefits by cancelling the rights of subrogation and perfections of lien previously held by the entities which provided these collateral benefits.
There is an exception, however, for benefits provided by an entity “whose right of subrogation is based in any federal law.” In those cases, the right of subrogation survives, and the court may not deduct those amounts from the damage award. Id.
The defendants admit that the plaintiff‘s Medicare benefits are not subject to
A more difficult issue is presented with regard to Medicaid benefits. The Federal government reimburses the Commonwealth a percentage of the cost оf the Medicaid program. A Federal statute requires that States receiving Federal funds must pursue recovery of the funds from legally liable, third parties.
The defendants argue with regard to Medicaid benefits that there is no right of subrogation “based in any federal law” within the meaning of
The choice of language contained in
The defendants further argue that if Medicaid payments are excepted from the rule of
The benefits received from Social Security, however, may be subject to the provisions of
6. Other issues. The defendants make a number of other arguments on appeal.
a. Jury instructions. The defendants complain that the trial judge committed reversible error when he gave his jury instruction on warnings and negligence.18 They complain that the
There was no error. The judge simply informed the jury that, in establishing the causal chain, the plaintiff is entitled to the presumption that, had he been given a warning, he would have returned. That is a correct statement of the law. Glicklich v. Spievack, 16 Mass. App. Ct. 488, 493 (1983). Wolfe v. Ford Motor Co., 6 Mass. App. Ct. 346, 352 (1978). The language of the judge‘s instruction in no way mandates a finding that Dr. Chin needed to issue a warning to the plaintiff. In any event, prior to the instruction at issue, the judge instructed the jury that the question whether any warning should have been given was for them to decide.19
b. Life expectancy. The medical malpractice statute,
The defendants argue that there was insufficient evidence to support a finding of thirty-one and one-half years, because the plaintiff‘s expert admitted that generally the life expectancy
that if the warning were given it would have alerted the plaintiff to the danger of his present medical condition and he would have returned for medical care if his symptoms continued.” In response to a question from the jury, the judge gave this instruction a second time, changing the word “could” in the second sentence to “would.” In the context of the charge reаd as a whole, we do not regard this change as significant.
Expert testimony based on mortality tables is admissible to prove the probable duration of a person‘s life. Turcotte v. DeWitt, 332 Mass. 160, 162-164 (1955). Mortality tables, though not conclusive proof of life expectancy, help furnish a basis for the jury‘s estimation. The tables themselves are admissible regardless of the poor health or extra-hazardous occupation of the person whose life expectancy is being estimated. Levar v. Elkins, 604 P.2d 602, 604 (Alaska 1980). Bell Aerospace Corp. v. Anderson, 478 S.W.2d 191 (Tex. Civ. App. 1972). When the opposing side believes that the person in question, because of poor health, has a lower life expectancy than that reflected in the mortality tables, the usual remedy is to offer evidence to that effect and argue the point to the jury. Nolop v. Skemp, 7 Wis. 2d 462, 465 (1959).
The jury had the full benefit of the defendants’ cross-examination of the plaintiff‘s expert concerning the shorter life expectancy of quadriplegics. The jury was able to consider not only the expert testimony based on the mortality tables, but all the evidence in this case, including testimony concerning the plaintiff‘s excellent physical condition before the accident. The jurors themselves were able to observe the plaintiff when he testified. We cannot say that the jury‘s award was based on insufficient evidence.
c. Expert testimony. The defendants argue that the judge erred in allowing Dr. Harold Goldstein, the plaintiff‘s expert on medical economics, to testify as to future medical expenses. “[E]xpert testimony on matters within the witness‘s field of expertise is admissible whenever it will aid the jury in reaching a decision.” Simon v. Solomon, 385 Mass. 91, 105 (1982). Dr. Goldstein was qualified at trial without objection as an expert in the field of medical economics, which concerns costs of medical care and efficient allocation of medical resources. Dr. Goldstein has prepared “perhaps a hundred” reports dealing with medical economics issues concerning patients with quadriplegia and paraplegia. He has prepared a computerized program to determine costs necessitated by those conditions. There
There is similarly no merit to the contention that Dr. Goldstein impеrmissibly commented about the testimony of another of the plaintiff‘s experts, Dr. Murray Freed, when he compared his figures with Dr. Freed‘s. Dr. Goldstein was merely testifying in his area of expertise, and not invading the province of the jury with respect to Dr. Freed‘s testimony. Cf. Simon v. Solomon, supra.
d. Charitable immunity. The hospital argues that any judgment entered against it should be limited to twenty thousand dollars, pursuant to the charitable organization statute,
Thus, the hospital is clearly a charitable organization. Further, there was ample evidence from which the judge should have concluded that, in treating the plaintiff, the hospital‘s clinic was acting to accomplish directly the charitable purpose
Although the hospital should have brought the matter to the judge‘s attention, we conclude that the plaintiff‘s counsel brought the issue before the judge.22 This, in addition to the pleadings, and the evidence concerning the clinic, should have put the judge on notice.
The hospital met its burden of showing that the tort was committed in the course of its charitable purpose. The plaintiff produced no other evidence tending to show that the hospital was acting outside of its charitable purpose, except the fact that he was charged a fee of $26. The fact that a fee was charged, however, is not sufficient to take the hospital out of the protection of
We affirm the Superior Court judge‘s denial of the defendants’ motion for a directed verdict, judgment notwithstanding the verdict, and for a new trial. We also affirm the judge‘s denial of the plaintiff‘s motions to reinstate thirteen per cent to the jury‘s award. We remand the case to the Superior Court
So ordered.
LYNCH, J. (dissenting, with whom Nolan, J., joins). Apart from the dissenting opinion of Justice O‘Connоr, with which I agree, I would remand the case to the Superior Court for a new trial because of the improper argument of the plaintiff‘s counsel. At the outset, I point out that the plaintiff‘s improper remarks were not limited to the issue of damages. In addition to alluding to numerous significant monetary amounts without any basis in the record, the plaintiff‘s counsel made the following remarks: “[M]uch of the evidence that [defendants’ counsel] said was in this case is not, and I think he knows it.” He then accused defendants’ counsel of intentionally making arguments to “stink the case up” because the defendants “don‘t have a defense.” He went on to characterize the defendants’ arguments as “ridiculous,” “incredible,” and “a bunch of baloney.” He accused the defendants of “filling in memories that didn‘t exist” and “winging it” with respect to their defense. He announced that Chin‘s predictable prevarication required a trial strategy of laying “a few traps” for him and “swinging them.”
The plaintiff‘s counsel then portrayed himself as the plaintiff‘s hardworking advocate who had been “working on this case for four years” and “put a lot of work into this case.” He also asserted that he had refrained from introducing evidence that might embarrass the plaintiff; he made representations to the contents of a trial transcript, not in evidence, and asserted that defense counsel had misrepresented the testimony contained therein; he described a trust fund not in evidence as the repository of any damages to be awarded to his client; he made assertions as to the plaintiff‘s potential marriageability; and he suggested that a finding of liability would vindicate the rights of
During the course of the argument the defendants made two objections and received rather innocuous responses from the judge. That is, the judge gave the jury an instruction but did not warn or admonish counsel or otherwise direct that the improper remarks should cease. At the close of the argument defense counsel registered an additional twenty-six specific objections. During the course of these objections, the judge‘s comments were more or less favorable or, again, innocuous. The defendants’ counsel requested curative action. The judge responded: “I think that the instructions the Court has already given and will also give to the jury about the nature and status of closing arguments and summations will be sufficient to take care of the problem, I hope. I‘ll say no more than that.” This falls far short of “strong corrective action” that the court concedes was required in the face of egregious and improper argument of the plaintiff‘s counsel. Ante at 703. Defense counsel then asked that the jury be told that any first-person comments by opposing counsel not only should be disregarded, but also were improper. The judge responded by saying that he would tell the jury that closing arguments are not evidence. Defense counsel then pressed the judge further for an instruction that the argument was improper. That request was again refused. Finally defense counsel requested that opposing counsel be admonished for making personal, first-person opinions and observations and for reading from a transcript, not in evidence, and saying that there was nothing in it. The ensuing discussion and the abrupt adjournment for lunch fairly demonstrate the judge‘s refusal to grant the request to admonish the plaintiff‘s counsel and to inform the jury that the argument was improper. While the judge informed defense counsel that — “even if you do object” — he would instruct the jury that first-persоn comments in argument are not “proper comment on the evidence,” he expressly and repeatedly refused either to instruct that it was improper for counsel so to argue, or to admonish the plaintiff‘s counsel on the record and before the jury.
I do not accept the court‘s view that the judge adopted the suggestions of defense counsel regarding curative instructions. In the context of the colloquy discussed above, defense counsel‘s comments cannot be regarded as assent or agreement. This is so for two reasons: First because the only “strong corrective action” open to the judge, admonishment of the plaintiff‘s counsel in the presence of the jury, whiсh was clearly requested by the defendants’ attorney, was just as clearly refused by the judge. Second, I suggest that sufficient precedent exists in cases where this court was dealing with the problem of improper argument to send the case back even where the judge‘s instructions were accepted without objection. See Goldstein v. Gontarz, 364 Mass. 800, 811-812 (1974) (“[n]or do we think the defendants were required to apply for a corrective instruction after the judge had twice ruled flatly against them“), and cases cited. Here we have a situation where it is opposing counsel‘s conduct which is the subject of the objection, conduct that occurs in front of the jury, in a context where it is difficult to object, and where limited opportunities for corrective action exist. I would submit in such situations, where the only feasible corrective action has been plainly and persistently requested and denied by the trial judge, there has been no acquiescence by defense counsel and no further objection is required.
Failure to object at the close of the charge is not fatal in these circumstances. London v. Bay State St. Ry., 231 Mass. 480, 486 (1919). In Leone v. Doran, 363 Mass. 1 (1973), the court commented on trial tactics intended to impress on the jury facts that were not warranted by the evidence. A new trial
I therefore believe that, to require counsel in this case to do more is contrary to precedent and unfair, rewards egregious behavior, and does a disservice to the court, the public, and litigants.
O‘CONNOR, J. (dissenting, with whom Nolan and Lynch, JJ., join). I agree that the jury would have been warranted in finding that Dr. Chin failed to advise Harlow to return to Chelsea Memorial Health Care Center in seventy-two hours if his pain persisted and that that failure constituted negligence. I do not agree, however, despite the sympathetic appeal of the plaintiff‘s situation, that the jury were warranted in finding that negligence caused Harlow‘s quadriplegia.
Harlow had the burden of proving causation. The jury reasonably could have found that, had Harlow been properly advised, he would have returned to the health care center in seventy-two hours. The critical question on appeal bearing on causation is whether there was evidence to support a finding within the realm of probability that, had Harlow returned in seventy-two hours, his condition would have been diagnosed and treated and quadriplegia prevented.
The court says, ante at 703, that “[o]ne of the plaintiff‘s experts . . . stated that once the plaintiff returned to the emer-
The relevant questions put to Dr. Korenman and his answers are as follows:
Q.: “Doctor, do you have an opinion based on reasonable medical certainty as to what medical care would have been required for Mr. Harlow if he had returned within seventy-two hours of having been discharged from Chelsea Memorial Health Care Clinic consistent with the Door Sheet, Plaintiff‘s Exhibit No. 1, on 2-15-82?”
A.: “Yes, I do.”
Q.: “What is that opinion, Doctor?”
A.: “The appropriаte medical care at that point, seventy-two hours subsequent to 2-15-82, with the persistence of symptoms, would have been a re-taking of the history, a thorough neurologic and general physical examination, and ordering cervical spine X-rays, with a wet reading — that is, wet reading means that the X-rays are read immediately, or as an emergent procedure. Depending upon what the results of those X-rays were at that point, assuming that there was no fracture, no dislocation, no tumor, that the X-rays were within normal limits
There was no evidence that, in the circumstances of this case, it was routine procedure at Chelsea Memorial Health Care Center to order or perform a CAT scan. I would agree, though, that had evidence been introduced that physicians of average competence would have ordered a CAT scan in the circumstances of this case, such evidence would have been adequate to support a finding that a CAT scan would have been ordered upon Harlow‘s prompt return to the center. See Brune v. Belinkoff, 354 Mass. 102, 109 (1968). But, no such evidence was introduced.
Harlow‘s counsel asked Dr. Korenman his opinion “as to what mediсal care would have been required for Mr. Harlow if he had returned within seventy-two hours of having been discharged from Chelsea Memorial Health Care Clinic?” The witness answered that “appropriate medical care” would have involved certain specified procedures following which he, Dr. Korenman, would have ordered a CAT scan. The court asserts, ante at 703 n.4, that, when the witness said, “I would have ordered a CAT scan,” he was really saying that appropriate medical care required a CAT scan. I do not agree that the court can now know, or that the jury could have known, that that is what the witness meant. Nevertheless, for purposes of discussion, let us assume that the jury properly could have understood Dr. Korenman‘s testimony about what he would have done as meaning that “appropriate medical care” would have required a CAT scan. Even so, that testimony was not enough to permit a finding of causation unless the jury also would have been warranted in concluding that the term, “appropriate medical care,” as used by the witness, referred to the care to be expected of physicians of average competence.
Nowhere in the evidence is there any indication that Dr. Korenman understood and used the expression “appropriate medical care,” to mean the care or treatment that averagely competent physicians would render in the circumstances. For all that appears, Dr. Korenman‘s concept of “appropriate medical care,” undefined throughout his testimony, and his concept
Because I conclude that the defendants are entitled to a judgment in their favor, I need not reach the “egregious argument” issue discussed by Justice Lynch in his dissenting opinion. Were I to do so, I would agree with Justice Lynch, for the reasons he gives, that a new trial should be rеquired.
Notes
Q.: “Was [your condition] getting worse day by day up until [March 5, 1982,] or had you had some improvement?”
A.: “No. It was worse.”
Q.: “Worse on that day?”
A.: “It wasn‘t improving at all.”
Q.: “It was staying the same. It improved to the degree that when you came off the Flexeril you had worsened?”
A.: “That‘s right. I still had the pain.”
Q.: “You didn‘t get worse?”
A.: “Yes.”
Q.: “The day it got worse was the day you had the problem with your leg, pain in your leg?”
A.: “Yes.”
Q.: “That‘s the day you went back to Chelsea?”
A.: “Yes.”
In any event, the exchange during cross-examination which we discuss infra provides sufficient evidence to support the finding.“(b) If the court finds that any such cost or expense was replaced, compensated, or indemnified from any collateral source, it shall reduce the amount of the award by such finding, minus an amount equal to the premiums or other amounts paid by the plaintiff for such benefits for the one-year period immediately preceding the accrual of such action.
“(c) Notwithstanding the provisions of section seventy A of chapter one hundred and eleven, no entity which is the source of the collateral benefits by which the court has reduced the award to the plaintiff hereunder shall recover any amount against the plaintiff, nor shall it be subrogated to the rights of the plaintiff against the defendant, nor shall it have a lien against the plaintiff‘s judgment, on account of its payment of the benefits by which the court has reduced the amount of the plaintiff‘s judgment; provided that, if the plaintiff has received compensation or indemnification from any collateral source whose right of subrogation is based in any federal law, the court shall not reduce the award by the amounts received prior to judgment from such collateral source and such amounts may be recovered in accordance with such federal law. . . .”
“The Commonwealth shall be subrogated to a claimant‘s entire cause of action or right to proceed against any third party. . . .”
