Opinion
In a previous opinion (Muller v. Daniel Freeman Hospitals, Inc. (Mar. 3, 2005, B169141) [nonpub. opn.]), we reversed a jury verdict in favor of University Medical Center in Fresno, which is now known as the Fresno Community Hospital and Medical Center (FCH), Dr. James Davis and Dr. Sanagaram Shantharam, who were defendants in that case. The case was tried again to a jury and again resulted in a jury verdict for FCH and Dr. Shantharam, Dr. Davis having been dismissed prior to the second trial. The trial court granted the motion for new trial made by plaintiffs Manfred Muller and Rose Shoshana. The trial court concluded that it had erred in not allowing plaintiffs to call Dr. James London as a rebuttal witness. FCH and Dr. Shantharam appeal from this order.
After the trial court granted the motion for a new trial, plaintiffs filed a motion for sanctions based on alleged discovery abuses on the part of defendants that were connected with plaintiffs’ failed attempt to call Dr. London as a rebuttal witness. The trial court denied the motion and plaintiffs appeal from that order.
We ordered the two appeals to be consolidated for purposes of record, oral argument and decision.
We affirm the orders granting the new trial and denying the motion for sanctions.
FACTS
1. Background
Mr. Muller, a German-bom sculptor living in Santa Monica, was severely injured on October 28, 1999, when the car he was driving to San Francisco
Mr. Muller and his wife, Rose Shoshana, filed an action wherein they sued FCH, Daniel Freeman Hospital, NRMG, and Drs. Davis, Shantharam, Bogosian and Chew. The core of the complaint was that defendants’ alleged medical negligence resulted in the amputation of Mr. Muller’s arm. Rose Shoshana sued for loss of consortium.
The case was tried to a jury. Evidence was presented from March 21, 2003, to April 14, 2003. The trial court granted directed verdicts to NRMG and Dr. Chew. The jury returned its special verdict on April 16, 2003, and found that FCH and Drs. Davis, Shantharam and Bogosian had not been negligent in their diagnosis, care and treatment of Mr. Muller. The case against Daniel Freeman Hospital was predicated on the theory that Dr. Bogosian was Daniel Freeman Hospital’s agent; the verdict for Dr. Bogosian exonerated the hospital.
Our previous opinion affirmed the judgment as to Daniel Freeman Hospital and Dr. Bogosian but reversed as to the remaining defendants, i.e., FCH and Drs. Davis and Shantharam. In substantial part, our previous opinion was based on our conclusion that the trial court erred in precluding plaintiffs from calling more than one expert per issue. We found that, under the facts of the case, plaintiffs should have been allowed to call experts retained by defendants Daniel Freeman Hospital, NRMG, and Drs. Chew and Bogosian who would have testified, in agreement with plaintiffs’ theory of the case, that Mr. Muller had sustained irreversible injury while hospitalized at FCH. According to plaintiffs’ theory of the case, the injury was caused by a “compartment syndrome,” a condition that we explained in our previous opinion. 1
Dr. London, who played a pivotal role in the second trial, was also the subject of our previous opinion. The aspect of Dr. London’s role in our previous opinion that is germane to this appeal is that it is clear that Dr. London was an expert who had been designated as such by Dr. Chew. 3
2. The Second Trial 4
All experts from both sides agreed that the failure to timely diagnose a compartment syndrome in a hospital setting with a conscious patient is below the standard of care. It was also generally agreed that a tight cast can cause or aggravate an existing compartment syndrome. The question therefore was whether Mr. Muller sustained such an undiagnosed injury while at FCH. According to plaintiffs’ experts, the answer was yes. The defense experts, on the other hand, opined that the injury to Mr. Muller’s left hand and arm occurred during the crash when he sustained a crush injury.
Dr. London, who had been Dr. Chew’s expert in the first trial, appeared as one of Mr. Muller’s experts in the second trial.
5
Dr. London, a board-certified orthopedic surgeon, testified that Mr. Muller sustained a compartment syndrome at FCH and that if this condition is not treated within six to 12 hours,
Drs. Stuart Kushner and Clark Davis, who had been experts for Daniel Freeman Hospital and NRMG in the first trial, both testified in the second trial that Mr. Muller sustained a compartment syndrome while at FCH. They were joined in this opinion by Dr. Luther Cobb, a board-certified general surgeon, and Dr. Bogosian. 6 Not all of these experts found that Dr. Shantharam fell below the standard of care; as an example, Dr. Clark Davis, an orthopedic surgeon specializing in hand surgery, had no opinion on this subject.
Four physicians at UCLA Medical Center, including Dr. Roy Meals, the treating orthopedist at UCLA Medical Center, were of the opinion that Mr. Muller sustained a compartment syndrome.
The first witness called by plaintiffs testified on August 18, 2006. Thereafter, plaintiffs’ witnesses testified on three successive trial days, i.e., on August 24, August 25 and August 28, 2006. On the fifth trial day, August 29, the defense called its first witness out of order. On the next day, August 30, plaintiffs called one witness and the defense called two witnesses, including Dr. Michael Botte, whose testimony we summarize below.
The testimony that is central to both appeals took place on the next to the last day of testimony, i.e., on September 1, 2006. After that day, only Mr. Muller’s spouse testified on September 5, 2006. All parties rested after she concluded her short testimony on September 5, 2006.
According to Dr. Botte’s testimony given on August 30, Mr. Muller never sustained a compartment syndrome but rather a crush injury due to severe trauma to the left arm and wrist. Dr. Botte also thought that Mr. Muller had developed a secondary infection at Daniel Freeman Hospital. Dr. Botte concluded that both Dr. Shantharam and Dr. James Davis (Dr. Davis), 7 the chief of surgical critical care at FCH, complied with the standard of care and that they could have done nothing to alter the sad course of events for Mr. Muller.
The testimony on September 1, 2006, began with the defense calling Dr. Davis. Dr. Davis testified on direct examination that Mr. Muller never had
Counsel didn’t really allow him to explain what he meant by this. So, on redirect, counsel for FCH asked Dr. Davis to “expand on why you think the natural physiology of the injury Mr. Muller sustained in the car accident evolved the way it did.” After a lengthy preface, Dr. Davis came to the point: “[0]ne of the features of compartment syndrome is it kills what’s in the compartment from the origin of the muscle all the way down to where the muscle inserts on—on the other bony structure. . . . [T]he muscle in that whole compartment is in the same sheath so it’s exposed to all the same pressure. [(f[] So, when you get a compartment syndrome, the muscle in the whole compartment dies. So you don’t save the leg below the knee,[ 9 ] you have to take it off at the knee or do an above knee amputation, and the kid’s don’t [sic] pitch high school ball. If you get it in the upper extremity, then you lose the arm at the elbow or even above the elbow. You don’t have viable muscle below the elbow to close over the bony stump. That’s what I meant by the natural history of the disease. And it can take several weeks to slowly progress.”
Neither counsel nor Dr. Davis was finished with this topic. After Dr. Davis noted that Mr. Muller had a below the elbow amputation, which meant that there was viable muscle below the elbow joint, counsel asked: “Explain that. Why does the fact that he has a below elbow amputation rule out a compartment syndrome?” Dr. Davis answered at some length that in a compartment syndrome, all the muscle in the compartment dies but that if Mr. Muller “had living muscle to close over the bone, that wasn’t dead from a compartment syndrome.” Counsel asked: “Mr. Muller had quite a bit of muscle below the elbow joint that survived, didn’t he? [f] A [Dr. Davis:] I don’t know. I haven’t seen his operative note. I’ve noticed that he does, in fact, have an elbow joint. He does seem to have some below the elbow. So I would say he had enough muscle to close over the bone, [f ] Q And have you ruled out a compartment syndrome in his case? QQ A Yes, sir, I believe so. [f] Q And how strongly do you believe that? [][] A That’s what I believe.”
The last to testify on September 1 was Dr. Shantharam. He had been previously called by plaintiffs under Evidence Code section 776 but the subject that we have covered above did not come up in his prior testimony. At the end of his direct examination by his counsel, the following transpired: “Q [Dr. Shantharam’s counsel:] Now, we’ve heard testimony earlier today that, if there had been a compartment syndrome, you would expect the entire muscle throughout the compartment to have died? [f] A [Dr. Shantharam:] Correct, [f] Q And you understand now that the entire muscle in Mr. Muller’s compartment did not die? [f] A It did not die. And one would be going through an amputation above the elbow if it is a compartment syndrome, [f] MR. WEISS [Dr. Shantharam’s counsel]: That’s all I have, Your Honor. Thank you.”
Plaintiffs’ counsel did not cross-examine these three witnesses on the topic of the below the elbow amputation nor did counsel object to any of this testimony. After testimony was concluded on September 1, plaintiffs’ counsel stated that plaintiffs’ counsel had been in touch over the lunch hour with Dr. London, “who’s going to be here first thing in the morning to rebut some of the new evidence that we heard today.” Dr. Shantharam’s lawyer immediately objected “to the extent he’s [Dr. London] going to be expressing opinions, because that’s improper rebuttal.” When the trial court asked for an offer of proof, plaintiff’s counsel stated: “Your Honor, today for the first time, despite all of the experts who have testified in three weeks, today was the first day that the defendants put on experts who said that, whether or not the amputation was below elbow or above, was somehow indicative of whether this was a compartment syndrome. This was new. They didn’t ask Dr. [Botte]. They didn’t ask any of the other experts about this. We intend to call Dr. [London] back to simply say that, whether or not it’s a below elbow or an above elbow amputation, is not indicative of whether or not this was a compartment syndrome. Plain and simple.” The court requested authorities on the subject by the next Tuesday morning, when the trial would reconvene.
On Tuesday, September 5, Dr. Shantharam’s counsel filed a written memorandum, which stated that defense expert Dr. Kulick had testified that in a compartment syndrome all of the muscle in the compartment dies and that
During the hearing on this matter held on Tuesday morning, 11 FCH’s counsel stated that Dr. Kulick had testified in his deposition that in a compartment syndrome all of the muscle in the compartment dies. Counsel read the following question and answer from Dr. Kulick’s deposition: “ ‘Question: And what was inconsistent with a compartment syndrome at the time of amputation? [][] Answer: Most of the compartment syndromes I have been involved with, the entire compartment is involved. Reading the reports from, I believe, Dr. Meals [from UCLA Medical Center], he had the proximal[ 12 ] portion of his forearm completely spared which for me is more consistent with what I think happened with a crushed component.’ ”
After listening to argument by both sides, the trial court concluded, clearly referring to Code of Civil Procedure section 2034.310, subdivision (b) (see fn. 10, ante), that “What I think you’re [plaintiffs] offering here is rebuttal evidence. Under the law what you’re allowed to do is add foundational fact, not contrary evidence. I’m not going to allow you to call Dr. London at this time.”
In its verdict, the jury specifically found that Mr. Muller did not have a compartment syndrome while at FCH.
3. The Order Granting a New Trial
The trial court granted the motion for new trial on the ground that an error of law had been committed. (Code Civ. Proc., § 657.) We set forth the court’s minute order: “Dr. London’s rebuttal testimony was improperly excluded. He should have been permitted to testify on the issue of whether the below the
DISCUSSION
THE APPEALS FROM THE ORDER GRANTING A NEW TRIAL *
THE APPEAL FROM THE ORDER DENYING THE MOTION FOR SANCTIONS
The motion for a new trial was granted on December 13, 2006. On January 31, 2007, plaintiffs filed a motion for sanctions against Dr. Shantharam and FCH. The motion was predicated on defendants’ failure to disclose in a timely fashion the theory that the location of the amputation below the elbow ruled out a compartment syndrome.
The trial court denied the motion for sanctions on March 3, 2007. The court found that there was no evidence that defendants were “sandbagging” and no evidence that defendants “knowingly and intentionally concealed Dr. Kulick’s opinion.” The court also found that defendants’ conduct in this case did “not come close” to the misconduct in
Sherman v. Kinetic Concepts, Inc.
(1998)
Relying principally on
Wells Properties v. Popkin
(1992)
The question whether the denial of a motion for sanctions is appealable is far from settled.
Wells Properties v. Popkin
is authority for the negative while
Shelton v. Rancho Mortgage & Investment Corp.
(2002)
In the context of this case, the only theory under which the order of denial would be appealable is the collateral order doctrine. Because there is no judgment in this case, the order granting a new trial having been entered, which we affirm, the denial order cannot be appealable under Code of Civil Procedure section 904.1, subdivision (a)(2) (appeal may be taken from an order made after a judgment appealable under subd. (a)(1) of § 904.1). This eliminates Shelton v. Rancho Mortgage & Investment Corp., a case in which the denial of a motion for sanctions occurred after the entry of a judgment and when the appellate court, after close analysis of what constitutes an appealable postjudgment order, concluded that the denial of sanctions was appealable as such a postjudgment order. (Shelton v. Rancho Mortgage & Investment Corp., supra, 94 Cal.App.4th at pp. 1343-1345.)
“‘A necessary exception to the one final judgment rule is recognized where there is a final determination of some collateral matter distinct and severable from the general subject of the litigation. If, e.g., this determination requires the aggrieved party immediately to pay money or perform some other act, he is entitled to appeal even though litigation of the main issues continues. The determination is substantially the same as a final judgment in an independent proceeding.’ ”
(Yeboah v. Progeny Ventures, Inc.
(2005)
Relying on the cases that require the collateral order to direct the payment of money or the performance of an act, Dr. Shantharam contends that because the order denying the motion for sanctions required neither act, the order is not appealable. We agree that the order in question did not require the payment of money or the performance of an act. Thus, we must address the question whether these limitations actually apply to the collateral order doctrine.
One reason for the disagreement among the Courts of Appeal is that the Supreme Court has at different times endorsed these limitations and at other times has disregarded them. Thus, in the frequently cited opinion in
Sjoberg v. Hastorf
(1948)
Seven years later, in
Meehan
v.
Hopps
(1955)
In
Southern Pacific Co. v. Oppenheimer
(1960)
In
In re Marriage of Skelley
(1976)
The apparent inconsistency in the Supreme Court’s treatment of the limitations on the collateral order doctrine has caused some appellate courts to declare themselves firmly in the
pre-Meehan,
i.e., the
Sjoberg v. Hastorf,
camp. Thus, in
Efron v. Kalmanovitz
(1960)
We find that it is somewhat misleading to state that Meehan was “only” concerned with “collaterality and finality”—the question in the case was whether the order denying disqualification was a final order on a collateral matter and therefore appealable, and the answer was yes. Thus, the fact remains that Meehan held the order to be a collateral, appealable order without reference to any limitations.
Conservatorship of Rich
(1996)
As we have noted, we do not think that Meehan can be dismissed, as the court did in Efron v. Kalmanovitz, because it was “only” concerned with “collaterality and finality.” Whether the order was final and collateral and therefore appealable was in fact the issue that was decided in that case. But Meehan is not only authoritative, this decision also answers, albeit indirectly, the question what role the limitations of a payment of money or the performance of an act play in the collateral order doctrine.
The apparent inconsistency in the Supreme Court’s opinions evaporates when the focus is on the nature of the order, i.e., on whether the order itself does or does not require a payment of money or the performance of an act. When the order does not require a payment of money or the performance of an act, the Supreme Court will find the order appealable without reference to these limitations,
as long as the court is satisfied that the order is truly collateral.
(See
Meehan, supra,
This suggests that the supposed limitations of a payment of money and the performance of an act are in actuality indications that the order in question is collateral to the main action. In other words, when the order directs the payment of money or the performance of an act, it is likely that the matter addressed in the order is collateral to the main action. Viewed from this perspective, it is logical that orders awarding pendente lite attorney fees
(In re Marriage of Skelley, supra,
18 Cal.3d at pp. 368-369), orders directing the parties to share in the payment of discovery costs
(San Diego Unified Port Dist. v. Douglas E. Barnhart, Inc.
(2002)
A good illustration of the unnecessary strain that the payment of money or performance of an act limitation places on the collateral order doctrine is
Machado v. Superior Court
(2007)
The artificiality of these supposed limitations is also made apparent by the holding that “[w]here, as here, the notice order[
21
] is neither final nor collateral, the fact that it directs payment of money or the performance of an act is immaterial.”
(Steen
v.
Fremont Cemetery Corp.
(1992)
It is surely of some significance that the rather considerable body of federal law on the collateral order doctrine that begins with
Cohen v. Beneficial Loan Corp.
(1949)
The fact is that these supposed limitations on the collateral order doctrine do not really speak to the fundamental concepts behind this doctrine. “The reason for the one judgment rule is that ‘piecemeal disposition and multiple appeals in a single action would be oppressive and costly, and ... a review of intermediate rulings should await the final disposition of the case.’ ”
(Knodel v. Knodel
(1975)
But this is not all there is. An aspect of the collateral order doctrine that has received relatively little attention in California cases is the reasons for the doctrine. As the United States Supreme Court has put it, the collateral order doctrine in federal courts must involve a claim of right “too important to be denied review and too independent of the cause itself to require that appellate consideration be deferred until the whole case is adjudicated.”
(Cohen
v.
Beneficial Loan Corp., supra,
This case illustrates both of the principal reasons for the invocation of the collateral order doctrine.
First. The matter of sanctions to be awarded for defendants’ alleged misconduct during and prior to the second trial of this case is of no relevance to the proceedings that will take place upon the remand of this case. If the order denying sanctions is to be reviewed on appeal, there is no reason to defer that review to the appeal from the eventual judgment, even assuming that review can in fact be deferred to that point in the future (see text,
post).
The sanctions are “too independent of the cause itself to require that appellate consideration be deferred until the whole case is adjudicated.”
(Cohen v. Beneficial Loan Corp., supra,
Second. There is also the very real question whether the order denying sanctions would be reviewable from a judgment following a third trial in this case, assuming that there is a third trial.
22
The order denying sanctions will not be a part of the trial proceedings of the third trial and there is therefore a question whether an eventual judgment following the third trial could properly incorporate the order denying the motion for sanction entered on March
We do not hold that generally all orders denying motions for sanctions are appealable as collateral orders. In this case, there is no judgment and there may never be a judgment. Under these circumstances, the order denying the motion for sanctions is appealable as a collateral order.
2. The Order Denying the Motion for Sanctions Is Affirmed
Plaintiffs’ motion for sanctions relied on a mix of statutory and case law for authority that sanctions could be imposed on defendants for their failure to disclose in a timely fashion their theory that the location of the amputation ruled out a compartment syndrome. The authorities that the motion cited were Code of Civil Procedure section 128.7 and former section 2023
23
and
Sherman
v.
Kinetic Concepts, Inc., supra,
We begin with the observation that we have already made (in the unpublished portion of this opinion) that, under the interpretation of Code of Civil Procedure former section 2034 set forth in
Bonds v. Roy
(1999)
In
Sherman v. Kinetic Concepts, Inc., supra,
The disclosure of expert witness information and testimony is specifically regulated in Code of Civil Procedure sections 2034.010 through and including 2034.730, i.e., in part 4, title 4, chapter 18, of the Code of Civil Procedure. Specifically, Code of Civil Procedure section 2034.300, subdivision (b) provides for the exclusion of testimony as a sanction for the failure to submit a witness declaration, which
Bonds v. Roy
tells us includes an inaccurate declaration. “It is well settled, also, that a general provision is controlled by one that is special, the latter being treated as an exception to the former. A specific provision relating to a particular subject will govern in respect to that subject, as against a general provision, although the latter, standing alone, would be broad enough to include the subject to which the more particular provision relates.”
(Rose v. State
(1942)
Finally, Code of Civil Procedure section 128.7 does not apply, when it comes to the memorandum filed by Dr. Shantharam on September 5, 2006, which contended that under Code of Civil Procedure section 2034.310 Dr. London could not be called as a rebuttal witness. Section 128.7 provides for the imposition of sanctions when a pleading, memorandum or motion advances a frivolous contention; a motion under section 128.7 must be served 21 days before it is filed. (§ 128.7, subd. (c)(1).) That was not done in this case. Nor, of course, can FCH be held liable under section 128.7 for Dr. Shantharam’s memorandum.
Although the reason that the trial court gave for denying the motion for sanctions is not the one that we have concluded applies to this motion, we affirm the ruling denying the motion. It is the ruling, and not the reason for
DISPOSITION
The orders granting the new trial and denying the motion for sanctions are both affirmed. Manfred Muller and Rose Shoshana are to recover their costs in B196684. Dr. Sanagaram Shantharam and Fresno Community Hospital and Medical Center are to recover their costs in B199316.
Rubin, Acting P. J., and Bigelow, J., concurred.
Notes
“There are compartments in the forearm, hand, lower leg and feet through which the nerves and muscles run. These compartments are encased in a tough tissue which has very little elasticity. A compartment syndrome occurs when trauma to an area of the body contained [in] the compartment in question causes blood to flow to that area. The injured tissue in the compartment begins to swell and soon fills the inelastic compartment. The inability of the tissue to swell further and the increased blood flow causes the pressure in the compartment to escalate. The pressure squeezes the capillaries and blood vessels shut, with the result that
Another reason we reversed the judgment in our previous opinion was that the trial court erroneously precluded Dr. Johnson from testifying that Dr. Shantharam’s treatment of Mr. Muller fell below the standard of care. (Muller v. Daniel Freeman Hospitals, Inc., supra, B169141.)
Erroneous limitations on Dr. London’s testimony were yet another reason for our previous reversal. (Muller v. Daniel Freeman Hospitals, Inc., supra, B169141.)
Opening statements commenced on August 18, 2006, and the jury returned its verdict on September 14, 2006.
Mr. Muller’s expert at the first trial, Dr. Johnson, did not testify at the second trial.
Dr. Bogosian was a treating physician at Daniel Freeman Hospital.
Dr. Clark Davis was a plaintiffs’ expert. (Text, at p. 893, ante.)
Dr. Davis’s answers tended to be discursive and roundabout.
Dr. Davis was referring to the case of another patient that he had discussed in his testimony.
“A party may call as a witness at trial an expert not previously designated by that party if either of the following conditions is satisfied: H] . . . [H] (b) That expert is called as a witness to impeach the testimony of an expert witness offered by any other party at the trial. This impeachment may include testimony to the falsity or nonexistence of any fact used as the foundation for any opinion by any other party’s expert witness, but may not include testimony that contradicts the opinion.” (Code Civ. Proc., § 2034.310, subd. (b).)
It is not disputed that Dr. London was outside the courtroom and ready to testify on Tuesday, September 5.
In this context, “proximal” refers to above the elbow and “distal” to below the elbow.
See footnote, ante, page 887.
“When a court renders an interlocutory order collateral to the main issue, dispositive of the rights of the parties in relation to the collateral matter, and directing payment of money or performance of an act, direct appeal may be taken.”
(In re Marriage of Skelley, supra,
“It is true that the
Meehan
case, which postdates
Sjoberg
[v.
Hastorf
], contains language appearing to find an attorney disqualification order appealable as a final order on a collateral matter without considering whether it meets the payment-of-money/performance-of-an-act requirement. (45 Cal.2d at pp. 216-217.) However, as explained in
Efron
v.
Kalmanovitz[, supra,]
“An order granting or denying a disqualification motion is an appealable order. [Citing, inter alia,
Meehan, supra,
The order was directing service of notice of a class action on the members of the class.
An important aspect of the federal collateral order doctrine is that it preserves appellate review in situations when, absent an appeal from the order, the matter will evade appellate review entirely. (15A Wright et al., Federal Practice and Procedure, supra, Jurisdiction, § 3911.3, pp. 396-19.)
Code of Civil Procedure former section 2023 was repealed effective July 1, 2005, and reenacted without substantive changes as sections 2023.010, 2023.020, 2023.030, and 2023.040.
The reference is to the limitations in medical malpractice actions on noneconomic damages and attorney fees.
The opinion of the court in
Sherman v. Kinetic Concepts, Inc., supra,
