Affirmed by published opinion. Judge WILKINSON wrote the opinion, in which Judge DUNCAN and Judge AGEE joined.
OPINION
In this case, a physician brings multiple state law and federal due process claims against a hospital and its officials for suspending his staff privileges based on allegations that he had sexually abused his adopted daughter. While the scope of immunity under the Health Care Quality Improvement Act, 42 U.S.C. § 11101 et seq., certainly has limits, we think the immunity attaches to defendants under the circumstances here, and plaintiffs state law claims fail in any event. We also reject plaintiffs claims that the hospital’s suspension of his privileges violates the Due Process Clause, both because the decision to suspend plaintiffs privileges was not state action and because the procedures afforded plaintiff satisfied the Fourteenth Amendment. For these reasons, we affirm the district court’s grant of summary judgment to defendants.
I.
Plaintiff is a general surgеon who treats both children and adults in the course of his practice. He formerly held privileges at Williamsburg Regional Hospital
At some point after the alleged threats, South Carolina Department of Social Services (“DSS”) took plaintiffs three adopted children into emergency protective custody because of allegations that plaintiffs wife had physically abused the children. DSS filed a complaint against plaintiff and his wife in Family Court and placed the children in foster care. While in foster care, plaintiffs adopted daughter told her therapist that she had been sexually abused by plaintiff and his wife. In 2003, two DSS units each investigated the sexual abuse allegations, but found the evidence to be inconclusive and declined to investigate further. Then, in 2004, Clarendon County DSS conducted a third investigation and, after finding by a preponderance of evidence that plaintiff and his wife had sexually abused the child, filed a Family Court complaint seeking to terminate plaintiffs and his wife’s parental rights and place them on the Central Registry of Child Abuse and Neglect.
Soon after DSS filed the complaint, defendant Dr. Breton C. Juberg, the WRH Chief of Staff and Chairman of the Medical Executive Committee (“MEC”), became aware of the DSS sexual abuse allegations against plaintiff. He informed defendant John C. Hales, Jr., the Chief Executive Officer of WRH, of the allegations, and Hales obtained a copy of the complaint and other documents from the clerk of the Family Court. The complaint detailed statements the child made to her DSS caseworker, therapist, foster parents, and forensic interviewer about the sexual abuse, and also recounted the prior physical abuse case that had resulted in a finding of Abuse and Neglect against plaintiff and his wife. After reviewing these documents, Hales and Ju-berg agreed to summarily suspend plaintiffs hospital privileges until the DSS sexual abuse allegations were resolved.
In a letter dated September 13, 2004, Juberg notified plaintiff that his privileges were summarily suspended pursuant to the hospital’s Medical Staff Bylaws provisions for corrective action. Juberg explained that “[b]ased upon serious allegations of sexual misconduct of a minor child ... the Medical Staff and [WRH] believe that the best interest of patient care and welfare is served by an immediate summary suspension of your clinical staff privileges.” Juberg also notified plaintiff that the MEC would review his summary suspension that evening and invited him to present his case, although he would not be allowed to vote on the matter.
At the meeting, the MEC considered several documents from plaintiffs DSS file including the sexual abuse complaint, the DSS probable cause finding, the child’s forensic interview report, progress notes from her therapy sessions, drawings by the child, and a Family Court order which included information about the prior physical abuse case. Plaintiff attended the meeting and рresented argument, but the MEC ultimately voted to continue his suspension.
Plaintiff requested a review hearing which was held on November 22, 2004. Prior to the hearing, WRH provided plaintiff a list of witnesses expected to testify and a list of Hearing Panel members who were not his economic competitors. To accommodate plaintiffs objection, WRH removed one doctor from the panel who hаd previously treated plaintiffs children. Plaintiffs counsel was then notified of the final panel composition by letter and given an opportunity to object, but plaintiff did not object before the hearing.
At the hearing, Juberg and plaintiffs counsel presented argument. Both sides called witnesses, cross-examined witnesses, and presented documents for the panel to consider. Plaintiff and his wife testified that they did not sexually abuse their daughter and presented evidence including the result of a neuropsychiatric test indicating that plaintiff failed to meet the diagnostic criteria for pedophilia, a pri- or DSS notice that a sexual abuse investigation was unfounded, and a forensic examination that did not prove sexual abuse. But, during the two additional months the hearing was held open, plaintiff was not able to come forward with evidence the panel considered adequatе to dispel its concerns. Ultimately, the panel issued a report upholding the MEC’s decision to continue plaintiffs summary suspension.
Plaintiff appealed the panel’s decision to WRH’s Board of Directors at a full-blown hearing on April 11, 2005. A week later, after receiving additional evidence, the four board members present voted unanimously to uphold the suspension. This marked the end of the review process.
A few months later, on July 7, 2005, DSS filed a motion for voluntary nonsuit with prejudice in the sexual abuse case against plaintiff on the grounds that it would not be in the child’s best interests to continue the case. DSS argued that it would be traumatic for the child to testify and the suit would not benefit the child because plaintiffs parental rights had already been terminated pursuant to an agreement of the parties in the physical abuse case. The Family Court entered an order granting DSS’s motion for nonsuit on July 11, 2005.
A month later, plaintiff sent a letter to WRH requesting that his clinical privileges be immediately reinstated because DSS had dismissed the sexual abuse suit and no one had ever filed criminal charges against him. WRH did not reinstate plaintiff, however, because he would not authorize the hospital where he had been practicing during his suspension to provide the necessary credentialing information that WRH needed to reinstate him in accordance with the bylaws. Plaintiff had also requested
On October 14, 2005, plaintiff filed this suit. He claims that WRH, Hales, Juberg, and other WRH staff members are liable in damages because WRH’s suspension of his privileges violated various state laws and 42 U.S.C. § 1983. After discovery, defendants filed a motion for summary judgment on all claims and plaintiff filed a cross-motion for summary judgment on his § 1983 claims. The district court granted defendants’ motion on all counts. The court held that defendants were entitled to immunity from plaintiffs state law claims under the Health Care Quality Improvement Act, 42 U.S.C. § 11101
et seq.,
and that plaintiffs § 1983 claims failed on the merits and because WRH was not a state actor. Plaintiff appeals, and we review the district court’s grant of summary judgment
de novo. See Holland v. Washington Homes, Inc.,
II.
Plaintiff alleges that defendants are liable for intentional infliction of emotional distress, tortious interference with existing and prospective contractual relationships, defamation, breach of contract, promissory estoppel, unfair trade practices, and civil conspiracy. The district court held that defendants were entitled to immunity from all these state law damages claims pursuant to the Health Care Quality Improvement Act (“HCQIA”), 42 U.S.C. § 11101 et seq.
A.
The HCQIA provides immunity from damages to particiрants in a “professional review action” if the action meets certain standards and follows certain procedures. 42 U.S.C. § 11111(a)(1). HCQIA provides this immunity as “incentive and protection for physicians engaging in effective professional peer review.”
Id.
at § 11101(5). Congress believed that effective peer review, including mandatory reporting to a nationwide database, could alleviate the national problem of “[t]he increasing occurrence of medical malpractice” by “restrict[ing] the ability of incompetent physicians to move from State to State without disclosure or discovery of the physician’s previous damaging or incompetent performance.”
Id.
at § 11101;
see also Freilich v. Upper Chesapeake Health, Inc.,
The issue here is whether WRH’s action constitutes a “professional review action” within the meaning of HCQIA and therefore falls within the scope of HCQIA immunity at all.
2
Plaintiff argues that
Even though many “professional review actions” are based on (1) medical conduct at a health care facility that (2) occurred at some point in the past,
see e.g., Gabaldoni v. Washington County Hosp. Ass’n,
Contrary to plaintiff’s position then, HCQIA immunity may protect review actions based on conduct that has occurred outside of the hospital, but could realistically occur or affect treatment in the hospital. At some point, a peer review committee could surely conclude that it was only a matter of time before erratic or destructive behavior outside the medical setting began to manifest itself in patient care. If plaintiffs view were accepted, however, peer review committees would never under any circumstances be permitted to conclude that even the most advanced cases of alcohol addiction, illegal substance abuse, incipient dementia, or, as here, sexual misconduct toward children on the part of someone with a pediatric practice could affect professional “competence.” 42 U.S.C. § 11151(9). Nor does the immunity depend, as plaintiff suggested at argument, upon whether the peer review decision required the application of medical expertise. The line between strictly medical and non-medical expertise would be a difficult one to draw (must the
At the other end, the hospital defendants urge us to adopt a broad interpretation of “professional review action” that encompasses almost any action based on conduct that might, in the peer review body’s opinion, one day affect patient care. Defendants argue that because the whole purpose of HCQIA was to encourage peer review, Congress meant to provide an expansive grant of immunity.
The breadth of defendants’ argument ignores the limiting language of the statute. It can be argued, of course, that almost any form of private misconduct may have some conceivable impact on a physician’s performance, but no fair reading of the statute (with its emphasis upon competence and professional conduct) would indicate Congress intended to go nearly so far. Human beings are not smooth and rounded pebbles, but often contradictory in their habits and traits. A surgeon whose personal life might not bear close scrutiny may nonetheless save lives with his talents in the operating room.
Giving peer review bodies the discretion to suspend staff privileges and report physicians for largely private defalcations is thus to arm those reviewers with a club that Congress did not provide. Defendants’ view poses the risk that driving infractions, messy divorces or custody battles, tax or financial difficulties only tenuously or speculatively related to medical competence might fall within the purview of peer review. But this view is untenable. In no sense did Congress mean to encourage fishing expeditions into private behavior. A “professional review action” requires that the record reflect a clear nexus between the basis for an “action” or “recommendation” and a physician’s medical practice. 42 U.S.C. § 11151(9). For the statute, notwithstanding its generous protections for peer review, imposes limits on the definition of “professional review action.” The statute uses the word “professional” — a term that connotes the opposite of “personal” — аnd further emphasizes that there are limits on “professional review actions” by explicitly listing bases for actions which are outside of the definition, see 42 U.S.C. § 11151(9)(A)-(E), including “any other matter that does not relate to the competence or professional conduct of a physician.” Id. at § 11151(9)(E). Defendants’ all-encompassing interpretation of the immunity would, like plaintiffs narrow restriction of it, upset the balance Congress struck.
B.
Both sides therefore advance interpretations that are too rigid- — they treat this as an all-or-nothing matter. But we decline to adopt the absolute rule of either side in resolving the matter before us. In this
Juberg, Hales, and members of the Medical Executive Committee each testified that they were concerned that plaintiff was a threat to patients, most notably children, at the hospital. Even a member of the MEC who did not think plaintiffs suspension was warranted stated that the suspension was not unreasonable because people “were genuinely concerned about the safety and welfare of the children in the community.” JA 432. According to Juberg, the hospital considered limiting рlaintiffs privileges to adult patients and prohibiting him from treating children, but ultimately didn’t adopt this solution because it believed that “with his history of violating hospital policy, and because [WRH is] such a small institution and had really no way of policing or monitoring his goings on,” simply limiting plaintiffs privileges “would still not protect the patients at the hospital.” JA 707. He emphasized that “[w]e couldn’t be sure that he would not have contact with children.” Id. The same conclusion was reflected in Hales’ comment that “[m]y main concern was for children.” JA 720. A member of the Board of Directors declared that the “Board felt that upholding the suspension was the only reasonable and prudent option we had to ensure the safety of the patients at the Hospital.” JA 838. And at oral argument, plaintiffs counsel confirmed a crucial point: that plaintiff treated children at the hospital.
Certainly the hospital could have сonsidered the relationship between the sexual abuse allegations and plaintiffs pediatric practice with more particularity, but there is ample evidence that those involved in plaintiffs peer review action recognized the potential for plaintiff to harm patients. The hospital feared that child abuse could occur on its watch and therefore was steering between two forms of potential civil liability: liability for child sexual abuse and liability for suspending a physician.
To be sure, there will be close cases surrounding the scope of HCQIA immunity. But that should hardly be surprising. The statutory test that a professional review action must be “based on the competence or professional conduct of an individual physician (which conduct affects or
It may not help therefore to posit future close hypothetical cases in the abstract, for matters come before decisionmakers in a far more concrete and factually variegated form. No single peer review proceeding precisely replicates another. Moreover, peer reviewers will not as a practical matter be preoccupied with whеther something arose in a medical or nonmedical setting, but whether it is - of a sufficient dimension to plainly affect a doctor’s “competence” to practice medicine. In other words, it would prove problematic to chop the statutory standard into judicially fashioned boxes or categories. Rather, we should let the statutory test of “competence” stand simpliciter. In this case, the hospital conducted lengthy proceedings and saw the matter through three levels of review in what was manifestly an effort to determine plaintiffs “competence” to practice medicine. Whether or not we would have made the same decision ourselves is not the point. Any statutory standard inescapably involves some difficult exercises in judgment and to deny decisionmak-ers the right to exercise judgment in close cases is to defeat the purpose оf immunity.
There are of course distinct limits on the scope of HCQIA immunity, but where as here the record reflects a clear nexus between the basis for plaintiffs suspension (evidence of child sexual abuse) and his medical practice (involving children) such that the hospital legitimately feared that plaintiff might harm child patients, it can be said that the review action was based on plaintiffs “competence” to treat children. 42 U.S.C. § 11151(9). And conversely, it cannot be said that the review action was based on a “matter that does not relate to the competence or professional conduct of a physician.” Id. at § 11151(9)(E). The hospital’s action therefore falls within the scope of HCQIA immunity.
C.
Having concluded that WRH’s action is a “professional review action,” we turn to the remaining requirements for HCQIA immunity. There is a statutory presumption that a professional review action meets the requirements for immunity unless the presumption is rebutted by a preponderance of the evidence. 42 U.S.C. § 11112(a).
Under § 11112(a)(1), the review action must be taken “in the reasonable belief that the action was in the furtherance of quality health care.” There is ample evidence that WRH took the professional review action to protect child patients from sexual abuse.
Under § 11112(a)(2), the review action must be taken “after a reasonable effort to obtain the facts of the matter.” The hospital engaged in a three-tier review of the initial summary suspension (the Medical Executive Committee, the Hearing Panel, and the Board of Directors). At every level, the members reviewed the evidence collected by DSS, heard witnesses, and gave plaintiff an opportunity to present evidence and cross-examine adverse witnesses. In fact, the Hearing Panеl held
Under § 11112(a)(3), the hospital must provide plaintiff “adequate notice and hearing procedures” that are further specified in § 11112(b). WRH satisfied these requirements. Plaintiff contends that WRH did not provide an adequate hearing because members of the Hearing Panel had previously participated in the MEC vote. We reject this argument because it is not based on the statutory requirement, which was satisfied, that the Hearing Panel consist of “individuals who are appointed by the entity and are not in direct economic competition with the physician involved.” § 11112(b)(3)(A)(iii). Moreover, plaintiff waived any right to object in this appeal because he did not object to the final composition of the Hearing Panel when it was convened. Plaintiff had previously objected to the initial composition of the Hearing Panel, had been notified of the final panel composition prior to the hearing, and knew firsthand who had participated in the MEC meeting which he had attended. Although he claims to have objected to the Hearing Panel composition at the Board of Director’s review of his suspension, he had already waived any right to object by that point.
Under § 11112(a)(4), the review action must be taken “in the reasonable belief that the action was warranted by the facts known.” There is evidence that defendants considered the facts and concluded that a suspension was necessary to protect patients due to plaintiffs pediatric practice and the difficulties of limiting his practice to adults. Plaintiff asserts that WRH should have proceeded by administrative suspension and not filed a detrimental report to the NPDB. However, plaintiff does not point to any requirement in HCQIA that a hospital must proceed in such a fashion. Absent such a requirement, where the action is reasonably warranted by the facts and otherwise meets HCQIA standards, it is valid. Administrative suspension simply represents another option for corrective action.
In sum, plaintiff has not met his burden of showing that the requirements in § 11112(a)(l)-(4) were not met. Therefore HCQIA immunity applies and insulates defendants from plaintiffs state law damages claims.
III.
We also note as an alternative basis for affirming the judgment that plaintiffs state law claims would fail in any event.
First, plaintiff claims that the hospital’s conduct constitutes intentional inflictiоn of emotional distress. This claim fails because the hospital’s actions were hardly “so ‘extreme and outrageous’ so as to exceed ‘all possible bounds of decency’ ” as required to state a claim for IIED.
See Hansson v. Scalise Builders of S.C.,
Second, plaintiff claims that the hospital’s peer review action amounts to tortious interference with plaintiffs existing and prospective contracts with the hospital, patients, and managed care plans. These claims fail because, even if plaintiff established the other elements of the torts, plaintiff has not presented evidence sufficient to establish that defendants’ actions
Third, plaintiff claims that defendants are liable for defamation. He argues that they knowingly filed a false report with the NPDB because they filed the report under the heading of “sexual misconduct” even though the hospital’s action was based on mere allegations. Plaintiff is сorrect that the “basis for action” was listed as “Sexual Misconduct (Dl),” but he fails to mention that this label came from the NPDB list of Basis for Action Codes and was used by the hospital to conform to NPDB formatting requirements. He also takes the phrase out of context. The report provides:
Description of Act(s) or Omission(s) or Other Reasons for Action Taken: SERIOUS ALLEGATIONS OF SEXUAL MISCONDUCT OF A MINOR CHILD. Basis for Action: SEXUAL MISCONDUCT (Dl)
When read in full, the report accurately states what happened: that the hospital suspended plaintiffs privileges due to serious allegations of sexual misconduct. The label “sexual misconduct” is not false; it is simply the most relevant general reporting category provided by the NPDB. Furthermore, we doubt South Carolina law would deny these defendants a defense of privilege when they could reasonably have believed that they were required by federal law to report plaintiffs suspension. See 42 U.S.C. § 11133 (health carе entity is required to report “a professional review action that adversely affects the clinical privileges of a physician for a period longer than 30 days”); see also 42 U.S.C. § 11137(c) (providing immunity for HCQIA mandated reports made “without knowledge of the falsity of the information contained in the report”).
Fourth, plaintiff claims that WRH is liable for violating the hospital bylaws under the theory of breach of contract. Plaintiff, however, points us to no South Carolina decision indicating that hospital bylaws create such a contractual relationship. In any event, plaintiffs claimed violation of Article VIII, § 4(a) of the bylaws (that members of the Hearing Panel had already voted on his suspension as members of the MEC) fails because, as discussed, plaintiff waived any rights to contest the composition of the Hearing Panel when he failed to object at the time the Panel was convened.
See Pruitt v. South Cаrolina Medical Malpractice Liability Joint Underwriting Ass’n,
Plaintiff also alleges that WRH breached Article VII, § 2 of the bylaws by suspending him when it was not immediately necessary. Section 2 gives the Chairman of the MEC authority to summarily suspend privileges “whenever action must be taken immediately in the best interest of patient care.” This claim fails because, given what Juberg knew at the time of his
Fifth, plaintiff claims that WRH’s “negligent sham peer review” violates the South Carolina Unfair Trade Practices Act’s prohibition on “[u]nfair methods of competition and unfair or deceptive acts or practices in the conduct of any trade or commerce.” S.C.Code § 39-5-20(a). This claim fails for several reasons. First, plaintiff has not shown that the peer review was either “an unfair method of competition” or a “deceptive act or practice.” The claim also fails because WRH’s peer review action was not taken “in the conduct of any trade or commerce” as defined by S.C.Code § 39 — 5—10(b) since it did not occur in the conduct of “advertising, offering for sale, sale or distribution of any services and any property ... and any other ... thing of value.” Instead, the peer review action was an internal hospital review taken to protect patients.
See Foggie v. CSX Transportation, Inc.,
Sixth, plaintiff claims that defendants are liable for civil conspiracy. This claim fails because a civil conspiracy must involve two or more legal entities,
Lawson v. South Carolina Dep’t of Corr.,
IV.
Plaintiff also alleges that WRH is liable for damages under 42 U.S.C. § 1983 for depriving him of his medical practice in violation of the Due Process Clause of the Fourteenth Amendment. HCQIA does not provide immunity from damages for claims made under the Civil Rights Acts. See 42 U.S.C. § 11111(a)(1). This claim nonetheless fails for two reasons: (1) plaintiff failed to state a § 1983 claim because WRH’s action was not state action, 3 and (2) plaintiffs substantive and procedural due process claims falter on the merits.
A.
Plaintiff claims that WRH’s suspension of his privileges is state action because the hospital’s Board of Directors is nominated by the county delegates to the state legislature and ratified by the Governor; two county representatives are ex-officio members of the Board; the hospital receives state and county funds; and the hospital receives funds through Medicaid and the South Carolina State Plan under Title XIX of the Social Security Act as a public hospital. These facts do not make WRH’s suspension of plaintiffs staff privileges state action.
Under
Modaber v. Culpeper Mem’l Hosp., Inc.,
In this case, most of plaintiffs arguments relate to WRH’s receipt of government funds through various state and federal programs and therefore do not make WRH’s suspension of plaintiff state action under Modaber. As noted previously, “the mere fact that the hospitals implement a governmental program does not establish the nexus which Jackson requires.” Id. at 1026.
Plaintiff contends, however, that this case is distinguishable from Modaber because government funding is not the only factor that establishes a nexus between WRH’s action and the state. Here, in addition, the Board of Directors is nominated by the county delegates to the state legislature and approved by the Governor, and two gоvernment officials (the county supervisor and a county representative) serve as ex-officio members of the Board.
These additional facts, however, do not make the state responsible for WRH’s privileging decisions. The Governor’s involvement with the Board ends after he approves the members, and plaintiff has not presented any evidence that the Governor has used his authority to influence privileging decisions. The county representatives may attend the board meetings, but they do not have voting rights and were not present for the consideration of plaintiffs suspension. In fact, the members of the Board who voted were three
B.
Plaintiffs substantive and procedural due process claims also fail on the merits. Plaintiff claims that WRH violated his substantive due process rights when it suspended his privileges based on “unproven allegations” and therefore is liable for damages resulting from, among other things, his lost practice, loss of reputation and dignity, loss of contracts, and emotional distress. Given the sheer number of tort-like claims plaintiff raises, it is easy to see through his attempt to make an end run around HCQIA immunity by turning § 1983 and the Due Process Clause into the “font of tort law” that the Supreme Court has consistently rejected.
See Paul v. Davis,
Plaintiff also alleges that WRH did not provide him adequate procedures when it deprived him of his property right in his medical practice. Plaintiffs claim fails because the procedures WRH afforded him exceed the constitutional threshold established by
Mathews v. Eldridge,
V.
The loss of clinical privileges is no small matter for a physician, but we do not believe the hospital treated it as such. The proceedings here were lengthy and the procedures were fair. Peer review can be a thankless and time-consuming task for those involved, but also one that is necessary to uphold the profession’s ultimate obligations not only to its members but to the patients that it serves. To put the parties in this case through further litigation runs the risk of working an injustice of its own, not simply on the individuals involved but on prospective peer reviewers who would henceforth avoid such service at all costs. Such a development would, of course, defeat the entire purpose of the Health Care Quality Improvement Act.
For the foregoing reasons, the judgment of the district court is
AFFIRMED.
Notes
. “Each health care entity which — (A) takes a professional review action that adversely affects the clinical privileges of a physician for a period longer than 30 days ... shall report to the Board of Medical Examiners.” 42 U.S.C. § 11133. However, as the NPDB Guidebook emphasizes, a suspension is not reportable when it is due to "administrative reasons not related to professional competence or professional conduct.” See NPDB Guidebook, at E-21 (September 2001).
.
Section 11151(9) of HCQIA defines "professional review action” as "an action or recommendation of a professional review body ... which is based on the competence or professional conduct of an individual physician (which conduct affects or could affect adversely the health or welfare of a patient or patients), and which affects (or may аffect) adversely the clinical privileges ... of the physician.” 42 U.S.C. § 11151(9). It provides further that "an action is not considered to be based on the competence or professional
. The same analysis applies to whether an action was taken "under color of state law” as required by § 1983 and whether the action was state action.
See Lugar v. Edmondson Oil Co., Inc.,
. For this reason, plaintiff's arguments based on statements made prior to October 2001 and those premised on the notion that WRH is a Regional Health Services District are without merit. Plaintiff argues that the reincorporation does not change the status of the District under S.C.Code § 44-7-2130 which provides: "The reincorporation under Article 16, Chapter 7, Title 44 of the 1976 Code of any public hospital corporation that heretofore has been designated as the agency of a county ... in no way impairs or invalidates this designation and the reincorporated public hospital corporation shall continue as such just as if it had not been so reincorporated.” This argument fails because the provision only applies when a District is reincorporated as a “public hospital corporation,” see id. at § 44-7-2150, and because it only applies to determine whether a District continues to receive special tax revenues from the local government. Id. at § 44-7-2130.
