DAVID HARRIER, Appellant, v. JOSEPH GENDEL, M.D., and THE TOPEKA MEDICAL CENTER, Appellees.
No. 59,959
Supreme Court of Kansas
March 25, 1988
242 Kan. 798 | 751 P.2d 1038
Thomas L. Theis, of Sloan, Listrom, Eisenbarth, Sloan & Glassman, of Topeka, argued the cause, and Jeffrey W. Jones, of the same firm, was with him on the brief for appellees.
The opinion of the court was delivered by
ALLEGRUCCI, J.: This appeal arises out of a medical malpractice suit. A jury returned a verdict in favor of the defendants, and plaintiff Harrier appeals.
Only the procedural facts in the present case are germane to the issues raised on appeal. On July 6, 1981, the plaintiff, David W. Harrier, filed the present personal injury action. Plaintiff‘s petition alleged that he had received substantial personal injuries as a result of the negligence of medical services by defendants Joseph Gendel, M.D., and The Topeka Medical Center. During the trial of the action before a jury, the Shawnee County District Court ruled that
Upon trial of the matter, the jury returned a special verdict finding no malpractice on the part of the defendants. The plain
The primary issue on appeal is whether the district court erred in permitting the introduction of evidence relating to collateral source benefits received by the plaintiff. The trial court ruled that
The Court of Appeals proceeded to summarily affirm the decision of the district court pursuant to Supreme Court Rule 7.041. Rule 7.041 provides for the summary disposition of appellate opinions under limited circumstances. The rule provides, in part:
“In any case in which it appears that a prior controlling appellate decision is dispositive of the appeal, the court may summarily affirm or reverse, citing in its order of summary disposition this rule and the controlling decision.” (1987 Kan. Ct. R. Annot. 33.)
The case cited by the Court of Appeals in its summary opinion, Farley v. Engelken, is not a prior controlling appellate decision which is “dispositive of the appeal.” In Farley, we held that
We turn to the substantive issue in the present appeal which revolves around the effect of the district court‘s error in permitting the introduction of evidence concerning collateral source benefits received by the plaintiff.
Prior to the legislature enacting
“The primary question presented on appeal is whether 60-3403 violates the equal protection clauses of the Kansas and United States Constitutions and Section 18 of the Kansas Bill of Rights. The statute was enacted in 1985 and abrogates the common-law collateral source rule in ‘any medical malpractice liability action.’ The collateral source rule is a common-law rule preventing the introduction of certain evidence, summarized in the Restatement (Second) of Torts § 920A (1977), as ‘[p]ayments made to or benefits conferred on the injured party from other sources [which] are not credited against the tortfeasor‘s liability although they cover all or a part of the harm for which the tortfeasor is liable.’ In Allman v. Holleman, 233 Kan. 781, Syl. ¶ 8, 667 P.2d 296 (1983), we stated the rule as:
” ‘The collateral source rule provides that benefits received by the plaintiff from a source wholly independent of and collateral to the wrongdoer will not diminish the damages otherwise recoverable from the wrongdoer.’ ” 241 Kan. at 665-66.
We proceeded to hold
Defendant Dr. Gendel contends that the evidence relating to plaintiff‘s collateral source benefits related solely to the issue of
Plaintiff relies in particular upon Ayers v. Christiansen, 222 Kan. 225, 564 P.2d 458 (1977). In Ayers, we held the introduction of evidence relating to the defendant‘s insurance status in regard to the issue of fault was irrelevant and prejudicial. We stated that “knowledge of the presence or absence of liability insurance may very well induce juries to decide cases on improper grounds.” 222 Kan. at 228. In Caylor v. Atchison, T. & S. F. Rly. Co., 189 Kan. 210, 368 P.2d 281 (1962), this court said:
“This court has repeatedly stressed the impropriety of injecting the question of insurance into damage actions in which insurance companies are not parties, when it is obvious that the purpose is to produce prejudice in the minds of the jurors. Where the offending party secures a verdict and the opposing party makes timely objection, and otherwise has adequately protected the right of review, the offense is regarded as so inherently prejudicial as to require reversal unless unusual circumstances are shown which justify affirmance.” 189 Kan. at 214.
The defendant, Dr. Gendel, correctly points out that Ayers dealt with the prejudice stemming from the introduction of evidence relating to the insurance status of the defendant. In the present case, the issue involves the prejudicial impact of evidence relating to collateral source benefits received by the plaintiff. The distinction is one without a difference. In Rexroad v. Kansas Power & Light Co., 192 Kan. 343, 388 P.2d 832 (1964), this court held:
“It has been repeatedly held that a plaintiff cannot deliberately inject into a damage suit the fact that the defendant has liability insurance. (See, Caylor v. Atchison, T. & S. F. Rly. Co., 189 Kan. 210, 368 P.2d 281; and cases cited in both the court and dissenting opinions.)
“It is apparent the reason for the rule—that knowledge of the insurance of a defendant will incline the jury toward the case of the plaintiff—has application in reverse. Once it has been established that the plaintiff is a real party in interest, the trial court should exclude evidence of insurance from the case.” 192 Kan. at 355.
Defendant argues the error was harmless, since the “collateral source” evidence admitted at trial related only to the issue of damages, and plaintiff failed to show he was prejudiced as to the
The judgments of the Court of Appeals and the district court are reversed and the case is remanded to the district court for a new trial.
LOCKETT, J., dissenting: I agree with the majority‘s statement that evidence that a party received collateral source benefits is not admissible in a trial. Farley v. Engelken, 241 Kan. 663, 740 P.2d 1058 (1987). Under the instructions, however, the jury was not required to determine the collateral source issue. First, the jury was instructed to determine whether the defendant, Dr. Gendel, was negligent in his treatment of the plaintiff. If the jury found that the defendant was negligent, only then could it consider the fact that the plaintiff received collateral benefits while determining the compensation due the plaintiff.
The burden is upon the plaintiff to show that jurors disregarded their oath, not as a matter of speculation, but as a demonstrable reality. There must be more than speculation that it was reasonably certain defendant did not receive a fair trial. State v. Ruebke, 240 Kan 493, 498-99, 731 P.2d 842 (1987). Where a party claims error in the admission of certain evidence, there is no presumption of prejudice from the introduction of evidence alone; in addition, the party claiming error must also prove that the error prejudiced the party. Walters v. Hitchcock, 237 Kan. 31, 35, 697 P.2d 847 (1985).
Unlike the majority, I cannot find that as a matter of law the improper introduction of evidence of collateral source benefits into the trial was so inherently prejudicial that it caused the jurors to disregard their oath and the judge‘s instructions and to decide the case on an improper ground. It is true the plaintiff did not receive a perfect trial, but he did receive a fair trial. I would affirm the judgment.
MCFARLAND, J., joins in the foregoing dissent.
