OPINION OF THE COURT
The issue for our consideration is whether a judgment in a prior malpractice action in which it was determined, inter alia, that the defendant attending physician was not guilty of malpractice with regard to the monitoring of the infant plaintiff and his mother during labor (Kret v Gergely, Supreme Ct, Kings County, June 23,1977, Adler, J., Index No. 1775/75), operates to bar the present action on behalf of the same plaintiff against the hospital and its resident physician on the ground that the issues determined or necessarily decided in the prior lawsuit are
This appeal by defendants from an order of Special Term denying their motion for summary judgment dismissing the complaint arises out of a second mеdical malpractice action predicated upon events preceding the birth of the infant plaintiff, Jordan Kret, on July 5, 1972. The initial litigation instituted on behalf of the infant plaintiff was commenced on or about September 27, 1974 against Dr. Klara Gergely, the mother’s attending physician, Dr. Robert Norton, a pediatrician, and Brookdale Hospital Medical Center (hereinafter Brookdale). It was urged that the malpractice included the defendants’ failure to properly monitor the mother’s .condition during labor when, inter alia, her blood loss was allegedly abnormal. While the bill of particulars in the prior action stated that the defendants failed to treat a maternal complication known as “placenta previa”, at trial it was plaintiff’s position and that of his medical expert, Dr. Bernard Nathanson, that the mother’s continuous moderate vaginal bleeding from the time of her admission until delivery aрproximately four hours later, was symptomatic of a condition known as “abruptio placentae” in which the placenta prematurely separates from the uterine wall
After the first action was set down for trial in April of 1977, the plaintiff voluntarily discontinued as against defendants Norton and Brookdale, and the trial proceeded solely against the attending physician Gergely on the theory that the alleged condition of the mother during labor warranted the institution of certain procedures, for example, rupture of the membranes and/or the performance of a cesarean section, which would have prevented brain damage to the infant.
In the trial of the prior action the court submitted six interrogatories to the jury. While inartfully drawn, those questions, answered in the negative by the jury, are relevant to our determination of the instant appeal. They read:
“Quеstion number one. Was the failure to properly monitor the fetal heart rate malpractice causing injury to the infant Jordan Kret?
“Question number two. Was the failure to properly monitor the blood pressure of the mother malpractice causing injury to the infant?
“Question number three. Was the failure to rupture the membrane in the presence of a separation of the placenta malpractice causing injury to the infant Jordan Krеt?
“Question number four. Was the failure to have a double set up for an immediate cesarean section if it became necessary malpractice causing injury to the infant Jordan Kret?
“Question number five. Was the failure to properly check the progress of labor malpractice causing injury to the infant Jordan Kret?
“Question number six. Was the failure to do a cesarean section when a drop in the fetal heart rate occurred mаlpractice causing injury to the infant?”
On April 25, 1977, three days after the jury rendered its verdict in favor of Dr. Gergely, this action was instituted on behalf of the infant plaintiff against Brookdale and Dr. Howard J. Novick, a resident in obstetrics and gynecology who assisted in the labor and delivery rooms on the day of Jordan Kret’s birth. This second suit was premised on a theory of malpractice substantially similar to that alleged in the first, namely, the improper monitoring of the mother and fetus during labor, resulting in the failure to diagnose and treat abnormal vaginal bleeding which occasioned the plaintiff’s injuries.
In December, 1977 Brookdale moved “inter alia, to amend thе trial transcript so as to indicate that plaintiffs’ discontinuance against [Brookdale] was ‘with prejudice’ ” (see Kret v Gergely,
Thereafter, in March of 1981, the defendants Brookdale and Novick, having properly raised the defenses of res judicata and collateral estoppel in their responsive pleading (see, e.g., Mayers v D’Agostino,
We cannot agree.
Special Term erroneously concluded that this court’s prior decision in Kret v Gergely (
As the Court of Appeals, this court and certain scholars have observed, the terms “res judicata” and “collateral estoppel” have been aсcorded various meanings in different contexts, a situation which has led to considerable confusion with respect to the definition of and the difference between the two concepts (see Matter of American Ins. Co. [Messinger — Aetna Cas. & Sur. Co.],
Thus, res judicata in the sense of claim preclusion “involves the question of whether a plaintiff’s present claim, as distinguished from discrete issues previously litigated, has been extinguished by a final adjudication in a prior proceeding” (Brown v Lockwood, supra, p 735; Matter of Reilly v Reid,
In contrast, issuе preclusion in the sense of collateral estoppel operates to preclude relitigation of discrete issues of law and fact determined, or necessarily determined, in a prior action or proceeding, and may arise “where the parties are the same and one is barred from relitigating an issue which was adjudicated in the prior action * * * or where the parties are not the same but nonetheless one of thе parties to the subsequent action * * * is foreclosed * * * from relitigating an issue which was determined in the first action” (Matter of American Ins. Co. [Messinger — Aetna Cas. & Sur. Co.], supra, p 189, n 2; see, also, Brown v Lockwood,
Defendants’ successful invocation of the doctrine of issue preclusion is dependent upon a finding that (1) there exists at bar an identity of issue, (2) which was necessarily determined in the prior action, and which is dispositive of the present case, and (3) the party against whom the estoppel is asserted has had a full and fair opportunity to litigate the issue sought to be precluded in this subsequent action (Capital Tel. Co. v Pattersonville Tel. Co., supra, pp 17-18; Schwartz v Public Administrator of County of Bronx,
In addressing the application of issue preclusion to this case, we are mindful that it constitutes a corollary to the broader doctrine of claim preclusion (res judicata), and is a “rule of reason and practical necessity” (Good Health Dairy Prods. Corp. of Rochester v Emery,
With respect to the requirement that plaintiff has had a full and fair opportunity to litigate the issue sought to be precluded in this action, those elements which comprise the “ ‘realities of litigation’ ” must be examined (Shanley v Callanan Inds.,
As former Justice Hopkins of this court observed in Read v Sacco (supra, p 474): “the presence of counsel in behalf of the losing party, the regularity of the procedures * * * the adequacy of those procedures in the particular case and the limits of the jurisdiction in the first court are all significant and helpful guides”.
Based upon the record before this court, it can fairly be concluded thаt neither the quality of plaintiff’s representation in the prior Supreme Court action,
In Schuylkill Fuel Corp. v Nieberg Realty Corp. (
Based upon, inter alia, a comparison of the pleadings and their amplifications in the prior and instant actions, which are essentially identical, and other materials,of record in the prior action, it is our opinion that the essential prerequisites of identity of issue have been met.
While plaintiff argues that a verdict in his favor in the instant suit could be reconciled with the unfavorable verdict in the earlier action, and while he is correct in his assertion that it is feasible that in a multiparty action, several defendants could be found liable, while others not, such is not possible in the case at bar, because the essential facts upon which ultimate liability is premised were necessarily found not to exist. Since the jury in thе first action necessarily determined that the alleged abruptio placentae maternal condition was not present, a verdict in the instant action in favor of plaintiff would certainly be inconsistent with the earlier determination against him. Al
In essence, plaintiff seeks to retry his case based upon the exact facts upon which he previously relied. The only difference is the cast of defendants. He obscures this similarity by urging that the inconsistency between the testimony of Dr. Gergely at her examination before trial and her later testimony at the first trial regarding the exact time when she arrived at the hospital and began monitoring the mother, is centrаl to the issue of malpractice on the part of each defendant named herein. However, if, as the plaintiff currently alleges and his counsel most strenuously urged upon trial of the prior action, the placental separation existed between 7:30 p.m. and 8:15 p.m. prior to Dr. Gergely’s arrival, then as Dr. Mandelman, defendant’s expert at the first trial testified, and as accepted medical authorities agree, such pathological process had to continue because an abruptio placentae, once detached, does not reattach itself (see Williams, Obstetrics [14th ed, 3d printing], p 627). Moreover, had its existence been established at trial, a presumption of continuity would have been raised (Richardson, Evidence [Prince, 10th ed], § 193). Indeed, as plaintiff by his brief concedes, if in fact, inter alia, it was necessarily determined in the prior action that there was no abnormal maternal bleeding and the fetus was not in distress prior to delivery, issue preclusion would apply. His assertion that the failure to properly monitor the mother, which occurred some time between her admission to the hospital at 7:30 p.m. and the deceleration in the
Accordingly, the order of Special Term should be reversed and defendants’motion for summary judgment dismissing the complaint granted.
Thompson, J. P., Weinstein and Bracken, JJ., concur.
Order reversed, on the law, with costs, motion granted, and complaint dismissed.
Notes
. More specifically, abruptio placentae refers to a condition in which a “normally located placenta undergoes separation from its uterine attachment between the twentieth week of pregnancy and the birth of the infant” due to hemorrhage under the placenta (Williams, Obstetrics [14th ed, 3d printing], p 623). Such pathology, which occurs in varying degrees, “leads to separation, compression, and ultimate destruction of function of [that] portion” of the placental tissue adjacent to the hematoma which develops as a result of the hemorrhage (Williams, Obstetrics [14th ed, 3d printing], p 627). Such premature separation is distinguishable from placenta previa, a condition which also causes maternal hemorrhage. In the latter abnormality, the placenta “instеad of being located high up in the uterus, is located low in the uterus, either overlying or reaching to the vicinity of the internal [cervical opening]” (Williams, Obstetrics [14th ed, 3d printing], p 609; see, also Greenhill and Friedman, Biological Principles and Modern Practice of Obstetrics, chs 37, 38).
. As former Chief Judge Brietel stated in Matter of Reilly v Reid (
. The general rule relating to issue preclusion, as formulated in section 27 of the Restatement of Judgments, Second, states: “When an issue of fact or law is aсtually litigated and determined by a valid and final judgment, and the determination is essential to the judgment, the determination is conclusive in a subsequent action between the parties, whether on the same or on a different claim”.
With respect to issue preclusion in subsequent litigation with others, section 29 of the Restatement of Judgments, Second, provides in relevant part: “A party precluded from relitigating an issue with an opposing party * * * is also precluded from doing so with another person unless the fact that he lacked full and fair opportunity to litigate the issue in the first action or other circumstances justify affording him an opportunity to relitigate the issue”.
. Plaintiff has retained the same counsel in this second action, venue in both this action and the prior one having been laid in Supreme Court, Kings County.
. This test is not without problems in its application. As it has been observed, the “test is circular. It makes sameness of the present and former causes of action hinge on whether ‘rights or interests’ established by the former judgment would be ‘destroyed or impaired’ in the present proceeding. But that depends in many cases on what the court now decides is the effect of the earlier judgment so far as creating rights or interests. The * * * test gives the court no help at all in deciding whether a disputed right did or did not flow from the former judgment” (Rosenberg, Collateral Estoppel in New York, 44 St. John’s L Rev 165, 169; see, also Brown v Lockwood,
