CORI L. NUSBAUM, Plaintiff, v. ENLIGHTEN FAMILY CHIROPRACTIC, LLC, ET AL., Defendants.
Case No. 19-cv-10223
UNITED STATES DISTRICT COURT EASTERN DISTRICT OF MICHIGAN SOUTHERN DIVISION
January 19, 2023
GERSHWIN A. DRAIN
ECF No. 103
OPINION AND ORDER GRANTING IN PART AND DENYING IN PART DEFENDANTS’ OMNIBUS MOTION IN LIMINE [ECF NO. 92]
I. Introduction
On January 23, 2019, Plaintiff Cori Nusbaum filed a complaint in Michigan State court against Defendants Enlighten Family Chiropractic, LLC (“Enlighten”), and Trisha Ann Ambroski (“Dr. Ambroski”), jointly and severally. Defendants properly removed the lawsuit to this Court. The complaint alleges five causes of action: vicarious liability for medical error (Count I), professional negligence (Count II), gross negligence (Count III), res ipsa loquitur (Count IV), and professional negligence/failure to timely refer for treatment (Count V). Plaintiff seeks damages in the amount of $10 million.
For the reasons mentioned below, Defendants’ motion is GRANTED IN PART and DENIED IN PART:
No. 1: Motion to Preclude Evidence of Claims for Lost Wages and/or Loss of Earning Capacity is DENIED IN PART AND GRANTED IN PART.
Nos. 3-5 and 9:
- Defendants’ Motion to Exclude Causation Testimony of Plaintiff’s Expert Robert E. Lee (“Dr. Lee”) is DENIED
- Defendants Motion to Exclude Causation testimony of Chitra Venkatasurbramanianm (“Dr. Venkat”) is DENIED
- Defendants’ motion to exclude causation opinion of Alan Bragman (“Dr. Bragman”) (5) is GRANTED.
- Defendants’ motion no. 9 to exclude Gerald Shiener (“Dr. Shiener”) is GRANTED IN PART AND DENIED IN PART.
Nos. 7-8, 10, and 12:
- Defendant Motion in limine No. 7 is GRANTED IN PART and DENIED IN PART;
- Defendants Motion in limine No. 8 is GRANTED;
- Defendant Motion in limine No. 10 is GRANTED
Defendant’s Motion in limine no. 12 is GRANTED.
II. Factual Background
This lawsuit arises out of the doctor-patient relationship between Ms. Nusbaum and Dr. Ambroski. Plaintiff received chiropractic care from Dr. Ambroski on two occassions. During the first visit, she presented with a headache and neckpain. Dr. Ambroski performed a chiropractic technique known as a “cervical manipulation,” after which Plaintiff says her symptoms improved. During the second visit, however, Plaintiff says Dr. Ambroski perform a second cervical manipulation with “violent force.”
Dr. Amborski provided medical care to Ms. Nusbaum at Enlighten Family Chiropractic in her capacity as a chiropractor and employee of Enlighten.
Plaintiff says Dr. Ambroski used a combination of chiropractic techniques involving spinal manipulation and head movements during her second visit that caused a blunt injury to her cervical spine and a traumatic vertebral artery dissection (“VAD”). [ECF No. 1, PageID.4]. Nusbaum claims she subsequently developed numbness in her face, right sided “paresthesias”, severe headaches and facial weakness, drooling from the right side of her mouth, numbness in the right side of her body, as well as right-sided weakness. [Id].
She was then transferred and admitted to ProMedica Flower Hospital Campus-Rehabilitation Unit. She stayed there from August 4, 2016, to August 20, 2016 for rehabilitation therapy.
III. Defendants’ Motions in Limine Nos. 2, 11, 13-15
Defendants say that, pursuant to the parties’ October 11, 2022 discussion, under L.R. 7.1 they stipulate to the following: (1) evidence of previous claims against Enlighten is excluded; (2) evidence relating to insurance coverage is excluded; (3) Plaintiff will only introduce medical expenses in the amount actually paid; (4) evidence of what healthcare personnel would have personally done in this
IV. Defendants Motions in Limine No. 1, and Nos. 3-5
A. Motion in Limine 1: Defendants’ Motion to Preclude Evidence of Claims for Lost Wages and/or Loss of Earning Capacity.
The first issue pertains to Plaintiff’s claims for lost wages and loss of earning capacity. Defendants seek to remove those claims from trial because Plaintiff failed to provide updated earning statements and wage related evidence to supplement the 2014 tax records she produced to Defendants in discovery. [ECF No. 92, PageID.4359]. Defendants further argue that no testimony from an economist or vocational rehabilitation expert showing Plaintiff’s inability to earn a living or that there has been any impact of her earnings. They assert that existing evidence does not show Plaintiff’s lost wages or earning capacity. [Id].
In a medical malpractice action, the trier of fact must divide an award of damages into past economic, past noneconomic, future economic, and future noneconomic losses. See
The general rule is that “remote, contingent, and speculative damages cannot be recovered in Michigan in a tort action.” Health Call of Detroit v Atrium Home & Health Care Servs., Inc., 268 Mich App 83, 96 (2005). Although the amount of damages calculated by the jury “may only be an approximation, it is sufficient if a reasonable basis for computation exists.” Health Call of Detroit v. Atrium Home & Health Care Servs., Inc., 268 Mich. App. 83, 96, 706 N.W.2d 843, 852 (2005). Jurors are permitted “to weigh the evidence in view of their common knowledge or experience.” Est. of Langell by Touma v. McLaren Port Huron, 2020 WL 4382791, at *5 (Mich. Ct. App. July 30, 2020) (citing People v. Bailey, 310 Mich. App. 703, 722; 873 N.W.2d 855 (2015)).
Plaintiff testified about her amount in present and future lost wages. Under
It is true that Plaintiff has no expert testimony on her lost wages. But that does not make her claims for lost wages and lost earning capacity speculative.
As the Michigan court of appeals has stated, a claim for loss of earning capacity damages is inherently speculative by its nature. Johnson v. Henry Ford Hosp., 2005 WL 658820, at *7 (Mich. Ct. App. Mar. 22, 2005). Every loss of earning capacity claim “is unique, as are the proofs required in each case.” Id. “For example, the evidence presented for an infant‘s loss of earning capacity claim is very different than what is presented for the claim of a middleaged practicing surgeon.” Id. Nevertheless, each plaintiff is entitled to recover if they can prove that their loss will occur to a reasonable degree of certainty as a result of the injury suffered.” Id. at *6. Age, gender, race, occupation, experience, education, locality, and level of impairment are just a few of the variables to be considered in determining loss of earning capacity. Id.
Plaintiff attended community college, and works as a server, manager, and bartender at a restaurant. She testified that in 2015, she made $20,714.81. That number dropped to $12,362.76 in 2016 – the year Plaintiff was treated by Dr.
Plaintiff also says her wages do not account for 90% of the tips, or the additional side jobs, that she worked nearly every Friday before she was injured. [ECF No. 94-2, PageID.5180]. Although Plaintiff’s tips vary greatly throughout the year, she testified that on a typical Friday night, she would make anywhere from about $100.00 to $300.00. [ECF No. 94-2, PageID.5181]. She has worked in various roles as a server, bartender, and manager. Plaintiff testified that her total income was $17,405.57 in 2017 and 17,818.10 in 2018. [ECF No. 94-2, PageID.5181]. Lastly, she asserts that she was never able to perform side jobs again because of her condition. [ECF No. 94, PageID.5123]. That seems to be true at least up until 2019 when Plaintiff made $21,856.38 and in 2020 she made $45,449.42. She is employed at KeyBank but did not produce documentation for 2021.
Defendants advance no argument for why documents or experts are necessary for the jury to determine her diminution in salary between 2015-2016 or the amount of money she will make in the future. See Lessard v. Whittemore, 2019 WL 4180170, at *5 (Mich. Ct. App. Sept. 3, 2019) (reversing the trial court‘s grant of summary disposition with respect to plaintiff‘s claim for lost wages and ruling that plaintiff “did not need documentary evidence [to prove lost wages], as his proffered
Further, Defendants can cite no authority showing that Plaintiff is required to have an expert to prove present and future economic damages and lost earning capacity. Plaintiff’s testimony about her income and her inability to do side jobs after her treatment with Dr. Ambroski is reasonably certain enough to support her claims. Plaintiff’s testimony is based on her rational perception, it is helpful to the jury in determining her economic damages, and it is based on her own observations and experience; it is not based on specialized knowledge.
It is true however, the record shows that any diminution in her income was cured by 2019 when her salary went back up to $21,856.38 and when it increased again in 2020 to $45,449.42. This clearly indicates that Plaintiff does not have lost wages beyond 2019.
Under Michigan’s “one recovery rule” “[g]enerally . . .only one recovery is allowed for an injury.” Grace v. Grace, 253 Mich. App. 357, 368, 655 N.W.2d 595, 602 (2002). That rule mandates that when “a recovery is obtained for any injury identical with another in nature, time, and place, that recovery must be deducted from the plaintiff‘s other award.” Id. at 369, 655 N.W.2d at 602. The “one recovery rule”—also known as the “setoff” rule—which generally governed the relationship of joint tortfeasors to a plaintiff but it also addresses a plaintiff‘s right to recover for a single injury from multiple sources, regardless of whether the defendants are jointly liable. K.S. v. Detroit Pub. Sch., 153 F. Supp. 3d 970, 979 (E.D. Mich. 2015).
The Court need not decide at this juncture whether the one recovery rule applies to preclude the jury from considering Plaintiff’s past lost wages.
Plaintiff cannot be precluded from asserting her economic damages before the jury because her testimony and other evidence in the record provides them with a reasonable basis to compute damages. However, Plaintiff’s claim for damages for lost tips will be limited to $100 a week for the 6 months she was unable to perform side jobs. Further, Plaintiff is precluded from claiming lost wages for 2019- present.
Defendants’ motion in limine no. 1 is DENIED IN PART AND GRANTED IN PART.
B. Motions in Limine Nos. 3-5 and 9: Defendants’ Motion to Exclude Causation Testimony of Plaintiff’s Experts Robert E. Lee, Chitra Venkatasurbramanianm, Alan Bragman, and Gerald Shiener.
Defendants move to exclude causation testimony from three of Plaintiff’s expert witnesses: Drs. Robert E. Lee, Chitra Venkatasurbramanianm, and Alan Bragman. They claim the expert opinions are not reliable or helpful to the fact finder
(1) Standard of Review
A witness who is qualified as an expert by knowledge, skill, experience, training, or education may testify in the form of an opinion or otherwise if:
- the expert’s scientific, technical, or other specialized knowledge will help the trier of fact to understand the evidence or to determine a fact in issue;
- the testimony is based on sufficient facts or data;
- the testimony is the product of reliable principles and methods, and;
the expert has reliably applied the principles and methods to the facts of the case.
The district court must also determine whether the expert’s testimony meets three requirements: (1) the expert witness must be qualified by “knowledge, skill, experience, training or education,” (2) the proffered testimony is relevant and “will assist the trier of fact to understand the evidence or to determine a fact in issue,” and (3) the testimony is reliable in that it is based on scientific, technical or other specialized knowledge.
In Daubert, the U.S. Supreme Court held that
The standard to exclude an expert’s testimony under Daubert is high, and “rejection of expert testimony is the exception, rather than the rule.” Keyes v. Ocwen Loan Servicing, LLC, 335 F. Supp. 3d 951, 956 (E.D. Mich. 2018); Innovation Ventures, L.L.C. v. Custom Nutrition Labs., L.L.C., 520 F. Supp.3d 872, 877 (E.D.
Additionally, it is important to distinguish between genuine questions of reliability and questions of credibility and accuracy. In re Scrap Metal, 527 F.3d at 529–30. Any issue regarding the credibility or accuracy of admitted expert testimony goes not to the admissibility of the evidence, but to the weight of the evidence, and can be addressed via cross-examination and “presentation of contrary evidence” by opposing counsel. Id. at 532 (quoting Daubert v. Merrell Dow Pharms., 509 U.S. 570, 596 (1993)).
Daubert listed four non exhaustive factors for the Court to consider in its reliability determination, no one factor is individually binding. Davison, 31 Fed.Appx. at 448. These factors include:
(1) Rate of error: known or potential rate of error of the technique or theory when applied.
(2) Existence and maintenance of standards and controls concerning the operation of the technique or theory.
(4) Technique or theory subject to peer review: whether the technique or theory has been subject to peer review and publication.
The Daubert factors are not meant to be requirements in every case; instead, they should be applied only where they are reasonable measures of the reliability of expert testimony. Dixon v. Grand Trunk W. R.R. Co., 259 F. Supp. 3d 702 (E.D. Mich. 2016). Since all the expert opinions used a methodology that required them to “rule out” potential causes of Plaintiff’s VAD other than cervical manipulation, the Court believes a discussion regarding whether this particular methodology is reliable in the medical profession is more helpful than an exhaustive factor-by-factor analysis of the Daubert factors.
(2) Motions in Limine No. 3 to Exclude Dr. Lee’s Expert Causation Opinions
Defendants claim Dr. Lee is unqualified, because he has not treated a patient since December 2014, less than a year before Plaintiff’s injury. He has never trained as a chiropractor or performed a chiropractic adjustment, he never researched or published on the relationship between chiropractic adjustments and dissection, and any outside articles he could use to establish his foundational knowledge in this area are missing. [ECF No. 92, PageID.4362].
A close look at Dr. Lee’s background reveals that he is qualified as a medical expert. He has been a medical doctor for more than 15 years, focusing his scholarly work, teaching, and professional practice almost exclusively in the realm of vascular health, arterial function, medical imaging/testing, comprehensive care, diagnosis, and treatment of vascular injuries. He wrote a book chapter on vertebral artery reconstruction, which is a treatment that many patients pursue after vertebral artery dissection and stroke. [ECF No. 94-5, PageID.5263]. Dr. Lee is clearly qualified by “knowledge, skill, experience, training [and] education.” his proffered testimony on causation is relevant and will assist the trier of fact to understand the evidence and determine liability with respect to causation.
The first article Dr. Lee relied on is entitled, Cervical Arterial Dissections and the Association with Cervical Manipulative Therapy, Jose Biller et al., (Oct. 2014). Defendants say it is unreliable because the article suggests only a “possible association” between chiropractic adjustments and VAD because “causation is difficult to determine” and the probability of VAD occurring due to chiropractic adjustments is “low”. [ECF No. 94-8, PageID.5318].
Defendants make the same argument about the second article entitled, Current Understanding of the Relationship between Cervical Manipulation and Stroke: What does it Mean for the Chiropractic Profession, Donald Murphy, (2010). Defendants add that it forcefully refutes Dr. Lee’s opinion. [ECF No. 92, PageID.4364]. That article concludes that there is “no strong foundation for a causal relationship” between chiropractic adjustments and VAD but that patients “often have initial symptoms which cause them to seek care from a chiropractic physician and have a stroke sometime after, independent of the chiropractic visit.” [ECF No. 92, PageID.4364]. The third article Dr. Lee relied on concludes: “there is no convincing
As Dr. Lee testified, scientific literature establishes that VAD can be caused by any minor trauma, health issues affecting the cervical spine, or even mundane daily activities. [ECF No. 94-6, PageID.5289]. He also stated that:
spontaneous dissections that occur without apparent cause, and if somebody coughs and has a spontaneous dissection, you can make the case that the cough caused it, but there‘s not the strong type of relationship that some epidemiologic studies have shown between chiropractic manipulation and vertebral dissections.
[Id].
According to the literature cited by Dr. Lee, many patients develop symptoms of VAD prior to visiting a chiropractor and then more severe VAD symptoms emerge after chiropractic care, such as a stroke. In these situations, the articles discussed above conclude that it is unclear whether the escalating VAD symptoms that occur after chiropractic manipulation are due to preexisting VAD in these patients or due to trauma caused by chiropractic manipulation. [ECF No. 94-8, PageID.5314]. None of the articles purport to establish as a matter of scientific consensus, that VAD cannot be caused by chiropractic adjustments.
Dr. Lee’s observations of Plaintiff’s circumstances, medical history, CT scans, symptoms before and after chiropractic care, and other tests, formulate the
Dr. Lee concluded that Dr. Ambroski caused the trauma that resulted in Plaintiff’s VAD. [ECF No.]. He ruled out other potential causes of Plaintiff’s VAD based on her good medical history, lack of intervening traumatic events, and his evaluation of her symptoms and tests after she treated with Dr. Ambroski.
Dr. Lee’s “rule out” methodology is reliable. It is based on this case’s facts and data. This methodology is similar to “differential diagnosis,” which assists doctors in forming expert opinions on medical causation. Best v. Lowe‘s Home Centers, Inc., 563 F.3d 171, 178 (6th Cir. 2009). “[I]t is the method by which a physician determines what disease process caused a patient‘s symptoms; the
A medical-causation opinion in the form of a doctor‘s differential diagnosis is reliable and admissible where the doctor: (1) objectively ascertains, to the extent possible, the nature of the patient‘s injury, (2) “rules in” one or more causes of the injury using a valid methodology, and (3) engages in “standard diagnostic techniques by which doctors normally rule out alternative causes” to reach a conclusion as to which cause is most likely. Id. at 179.
In connection with the third “rules out” prong, if the doctor “engage [s] in very few standard diagnostic techniques by which doctors normally rule out alternative causes,” the doctor must offer a “good explanation as to why his or her conclusion remain[s] reliable.” Id. Similarly, the doctor must provide a reasonable explanation as to why “he or she has concluded that [any alternative cause suggested by the defense] was not the sole cause.” Best, 563 F.3d at 180.
In Dr. Lee’s view of Plaintiff’s condition and the CT scans showing a VAD, Plaintiff had only one VAD risk factor: the history of cervical spine manipulation by a chiropractor, Dr. Amborski. [ECF No. 94-6, PageID.5303]. And while the
Believing that other potential triggers for Plaintiff‘s VAD were absent, Dr. Lee concluded: “I believe the dissection occurred at the time of the forceful manipulation, and then by the time she was admitted to the hospital, she had clear-cut evidence of a fixed neurologic deficit.” [Id. at PageID.5303]. His methods and expert opinion are reasonable, if the VAD did not occur until the time of the forceful manipulation, then a jury could reasonably conclude that the forceful manipulation caused the VAD.
Defendants’ argument goes mostly to the credibility and accuracy of Dr. Lee‘s opinion. When an expert opines that the cause of an injury lies with a particular source, “[t]he fact that several possible causes might remain uneliminated only goes to the accuracy of the conclusion, not to the soundness of the methodology.” In re: E. I. Du Pont De Nemours & Co. C-8 Pers. Inj. Litig., 337 F. Supp. 3d 728 (S.D. Ohio 2015). As stated by the Sixth Circuit, any issue regarding the credibility or accuracy of expert testimony goes not to the admissibility of the evidence, but to the weight of the evidence, and can be addressed via cross-examination and
Motion in Limine No. 3 is DENIED.
(3) Motion In Limine No. 4: Dr. Venkat‘s Expert Opinion
Defendants’ arguments for excluding the expert Dr. Venkat‘s expert opinion pertain to the credibility of her opinions concluding there can be a causal link between VAD and chiropractic manipulations. The Court will discuss whether it is admissible.
Dr. Venkat is a clinical professor of Neurology and Neurosurgery at Stanford University Medical Center. She holds a medical degree in Internal Medicine, among others. She is a licensed medical doctor. [ECF No. 94-9, PageID.5353]. As a board-certified vascular neurologist, she has cared for patients who have suffered stroke due to chiropractic care and has lectured on the topic of vertebral artery dissection and its association with chiropractic care. [ECF No. 94, PageID.5162]. She testified that the majority of the patients she treats are those “who have vertebral artery dissections and have had strokes.” [ECF No. 98-2, PageID.5871]. Dr. Venkat has practiced in this field of medical expertise for over two decades. She has experience in diagnosis and treatment of VAD and strokes. [Id. at PageID.5873]. Dr. Venkat is
Dr. Venkat relied on her training, education, experience, and knowledge of the scientific literature, medical records, and Plaintiff‘s imaging studies, to conclude that Plaintiff‘s VAD and subsequent stroke were caused by Dr. Amborski‘s chiropractic care.
Dr. Venkat stated in her deposition that, in her experience, she has seen VAD cases with a wide range of causes, including chiropractic manipulation, activities where you have to frequently turn your neck, sports, motor vehicle accidents, attempted suicide by hanging, and autoerotic asphyxiation. [ECF No. 98-2, PageID.5881].
Dr. Venkat admitted in her deposition that, “as an academic physician, I‘m very well aware of all the literature that‘s out there pertaining to this topic. So I didn‘t do any specific research for this.” [ECF No. 98-2, PageID.5880].
According to Dr. Venkat, Plaintiff did not have prior mechanical triggers, prior cervical trauma, or prior cervical triggers before she received chiropractic care from Dr. Ambroski and Plaintiff reported “a very violent manipulation of her neck” by Dr. Amroski during the second chiropractic adjustment. [Id]. Dr. Venkat ruled out other possible causes of Plaintiff‘s VAD and concluded that cervical
Plaintiff appeared for two chiropractic manipulations with Dr. Ambroski. Dr. Venkat considered the fact the Plaintiff presented to Dr. Ambroski for the first chiropractic adjustment with headaches and neck pain, she worked multiple jobs, and a variety of things could have caused her to have a VAD. Dr. Venkat observed that after the first chiropractic adjustment, Plaintiff‘s symptoms improved. [ECF No. 98-2, PageID.5887]. After the second adjustment, Plaintiff had a VAD and stroke. [Id].
This led Dr. Venkat to conclude that Plaintiff did not have VAD before the first adjustment stating that:
if the neck pain is because of a dissection, there is no way that a chiropractic manipulation is going to relieve it because it‘s not a mechanical problem. It‘s an actual tear in the artery‘s wall, and you don‘t expect that pain to be resolved by a chiropractic manipulation. So I would absolutely disagree that Ms. Nusbaum presented to the chiropractor with a dissection.
[ECF No. 98-2, PageID.5887].
It is true that Plaintiff‘s radiologist raised a question about facet arthritis being the cause of Plaintiff‘s edema. However, according to Dr. Venkat, Ms. Nusbaum had an X-ray of her spine done before she started the chiropractic manipulations. In looking at that X-ray and the testimony of Dr. Amborski, Dr. Venkat opined that both of them agree that there was no evidence of arthritis on that X-ray. [Id]. Similarly, if there was any concern for arthritis, Dr. Venkat testified that “she would expect it to be equally distributed on both sides [of her body] and not just a unilateral one.” [Id]. Dr. Venkat stated, “[s]o for all of those reasons I would be highly concerned that the presence of the soft tissue edema on the right side at the level of manipulation due to chiropractic manipulation.” [Id]. She concluded that chiropractic manipulation caused Plaintiff‘s VAD, and she rules out other potential causes.
Pursuant to Best v. Lowe‘s Home Centers, Inc., 563 F.3d 171, 178-179 (6th Cir. 2009), Dr. Venkat‘s technique: (1) objectively ascertained the nature of the
Defendants argue that Dr. Venkat‘s expert opinion is unreliable because she did not rely on peer-reviewed scientific literature. Her opinion is not unreliable just because she relied on her internal knowledge, experience, and scientific test results rather than outside scholarly research. See Envt‘l Dev. Ltd. P‘ship v. Envirotest Sys. Corp., 478 F.Supp.2d 963, 976 (N.D. Ohio 2007) (“[A]n expert‘s testimony may be formulated by the use of the facts, data, and conclusions of other experts.“); and Monsanto Co. v. David, 516 F.3d 1009, 1015 (Fed.Cir.2008) (“[N]umerous courts have held that reliance on scientific test results prepared by others may constitute the type of evidence that is reasonably relied upon by experts.“); see also Huskey v. Ethicon, Inc., 29 F. Supp. 3d 691, 722 (S.D.W. Va. 2014) (holding urologist‘s opinions were not “unreliable simply because he relied on internal Ethicon
“Experts are permitted wide latitude in formulating their opinions.” Daubert, 509 U.S. at 592. Courts frequently have pointed to an expert‘s reliance on the reports of others as an indication that their testimony is reliable. Walker v. Soo Line R. Co., 208 F.3d 581, 588 (7th Cir. 2000) (collecting cases). “[W]hen an expert relies on the opinion of another, such reliance goes to the weight, not to the admissibility of the expert‘s opinion.” Ferrara & DiMercurio v. St. Paul Mercury Ins. Co., 240 F.3d 1, 9 (1st Cir.2001)
Dr. Venkat‘s opinion is reliable, based on sufficient facts and data applied to reliable scientific principles and methods. Her methodology satisfies
For these reasons, Defendants’ motion in limine no. 4 is DENIED.
(4) Defendants’ Motion in Limine No. 5 to Dr. Bragman‘s Expert Opinion as to Causation
Dr. Bragman‘s opinion is similar to those of Dr. Lee and Dr. Venkat; he concludes that Dr. Ambroski‘s cervical manipulation caused Plaintiff‘s VAD.
Dr. Bragman is a Doctor of Chiropractic who was licensed in or around 1982. He splits his time between testifying as an expert witness in civil litigation, and his chiropractic practice. He is not a medical doctor. He has no experience in neurology. His practice does not include the treatment or diagnosis of vascular injuries, he would refer those things to a specialist. [ECF No. 94-12, PageID.5445]. He admits to having done no independent research or testing regarding the theory that cervical manipulative therapy causes vertebral artery dissection. [Id. at PageID.5444]. Dr. Bragman is “not a specialist in any field that specializes in the diagnosis and treatment of vertebral artery dissection.” [ECF No. 94-12, PageID.5445]. He did not treat or examine Plaintiff. And he does not interpret MRI‘s or vascular studies. [Id]. [ECF No. 94-12, PageID.5440]. However, Dr. Bragman has testified in over 100 cases involving vascular injury.
Dr. Bragman has interacted with patients with vascular injuries, he has testified in cases with causes of action pertaining to vascular injuries, and he has reviewed articles about the association between vascular injuries and chiropractic care. But he has not diagnosed or treated patients with vascular injuries. He is not an expert in vascular injuries.
Cases in the Sixth Circuit applying
Similarly, in Elswick v. Nichols, 144 F.Supp.2d 758 (E.D.Ky.2001), the court excluded the testimony of an expert in the field of nursing. The plaintiff in that medical malpractice case developed a post-operative infection during his recovery at a hospital. Id. At trial, plaintiff offered the testimony of an expert in the field of nursing care, which included testimony about a nurse‘s standard of care for post-operative patients, as well as “her opinion [that] the index of suspicion is very high that this breach led to this man developing the nosocomial [i.e., hospital acquired] infection.” Id. at 766 (internal quotation marks omitted).
The court held that the testimony about the standard of care was admissible because the expert witness was sufficiently qualified to testify about nurses’ responsibilities to care for patients. Id. However, the testimony concerning causation was excluded because the expert witness was unqualified since “causation is outside her knowledge as an expert witness and such testimony.” Id. at 767 (citing Berry, 25 F.3d at 1350).
Lastly, in Sigler v. Am. Honda Motor Co., 532 F.3d 469 (6th Cir.2008), a motorist sued his vehicle‘s manufacturer under a product liability statute. The Sigler court affirmed the district court‘s grant of a motion in limine
A mechanic—who routinely deals with cars involved in accidents—is not an expert in accident reconstruction, manufacturing or engineering. And Dr. Bragman is not an expert in the treatment, diagnosis, or causation of vascular injuries—even though he routinely sees patients with vascular injures. Similar to the expert witness in Elksworth, Dr. Bragman is likely qualified to testify as to what a chiropractor in compliance with the standard of care would do under the circumstances of this case, the general risks of arterial dissection and stroke associated with cervical manipulation. However, he is not qualified to testify about the causal link between chiropractic care and VAD.
“A proffered witness is qualified to give expert testimony if the witness’ qualifications provide a foundation for the witness to answer a specific question.” Berry v. City of Detroit, 25 F.3d 1342, 1350 (6th Cir.1994). Dr. Bragman shows no
Because Dr. Bragman is not qualified to testify on causation those opinions will be excluded from trial. However, Dr. Bragman may testify about the standard of care in chiropractic.
Motion in limine no. 5 is GRANTED.
(5) Motion in Limine No. 9 to Limit the Opinion Testimony of Plaintiff‘s Expert, Dr. Gerald Shiener
Defendants move to limit Dr. Shiener‘s testimony and exclude his opinions regarding the “mechanics of chiropractic induced injury,” and Plaintiff‘s physical condition. They say he is unqualified to render such opinions and that his opinions in these areas are unreliable.
Dr. Shiener will proffer testimony as to damages. He produced an expert report detailing Plaintiff‘s psycho-social and physical issues he observed post-injury He will also offer testimony about mechanics of Plaintiff‘s injury and Plaintiff‘s physical condition.
Defendants say Dr. Shiener should be precluded from testifying on the mechanics of the stroke and Plaintiff‘s physical condition because he has not reviewed any of Plaintiff‘s medical records nor performed a physical examination on her.
Specifically, Dr. Shiener‘s opinion is that “it doesn‘t matter how much force” Dr. Ambroski used in her manipulations of Plaintiff‘s neck in her vertebral artery, it was “sufficient to cause a tear.” [ECF No. 94-21, PageID.5550]. However, he admits
Plaintiff described to Dr. Shiener the following physical symptoms that onset after the chiropractic manipulation: numbness and tingling in her face; paralysis in her face; drooling; weakness on the right side of her body; severe pain in her occipital area of her scalp; problems walking; no temperature sensation in the right side of her face; left sided numbness; headaches; and fatigue. [Id. at PageID.5552]. She did not describe how frequent these symptoms were. [Id].
In Reece v. Astrazeneca Pharms., LP, 500 F. Supp. 2d 736, 745 (S.D. Ohio 2007) the Court ruled that an expert opinion concluding that an individual with fibromyalgia or chronic pain cannot distinguish such pain from statin-induced pain or that periodic testing could have somehow prevented plaintiff from developing kidney failure. Id. The Court reasoned that the doctor does not seek to testify to matters that grow naturally and directly out of research she has conducted
Upon review of the symptoms and chiropractic manipulation described by Plaintiff, a mental assessment, and his own medical knowledge and research he does on a regular basis, Dr. Shiener concluded that the chiropractic manipulation contained enough force to tear Plaintiff‘s vertebral artery. Similar to Reece, neither Dr. Shiener‘s testimony nor his expert opinion contain a discussion of his considerations of other activities Plaintiff participated in that could have traumatized her vertebral artery. And he reviewed no medical testing or other evidence to support his opinion. To the extent that Dr. Shiener offers an opinion on the amount of force used and whether it was sufficient to cause Plaintiff‘s VAD or traumatize her spine, such opinions are unreliable and not based on sufficient data. See Pluck v. BP Oil Pipeline Co., 640 F.3d 671, 678 (6th Cir.2011) (rejecting medical-causation testimony where expert failed to “rule out” alternative causes).
However, he may testify about how chiropractic manipulation could cause the symptoms Plaintiff described if a particular amount of force or trauma was applied to Plaintiff neck. And he may testify about the physical symptoms Plaintiff
To be clear, Dr. Shiener is not permitted to give his expert opinion that Dr. Amrboski used enough force during chiropractic manipulation to tear Plaintiff‘s vertebral artery or that she caused Plaintiff‘s symptoms.
Defendants motion in limine no. 9 is GRANT IN PART and DENIED IN PART.
V. Motions in Limine Nos. 6-8 and 10
A. Motion Limine No. 6 to Exclude Hearsay Testimony
Plaintiff was deposed on June 8, 2020, she testified that her treating physicians told her the chiropractic treatment caused her VAD and stroke. [ECF No. 98-6, PageID.5965]. Defendants seek to exclude that testimony as inadmissible hearsay under
Hearsay is any statement that (i) a declarant “does not make while testifying at the current trial” and (ii) is offered into evidence “to prove the truth of the matter asserted in the statement.”
There is no dispute that Plaintiff‘s statement is hearsay because it is being used to prove that Dr. Ambroski‘s chiropractic care caused Plaintiff‘s VAD and stroke. Further the parties agree that there is only one hearsay exception at issue: statements made for the purposes of medical treatment or diagnosis.
Under
In Field v. Trigg Cnty. Hosp., Inc., 386 F.3d 729, 736 (6th Cir. 2004), the Sixth Circuit held that “the hearsay exception set forth in
Plaintiff testified about a statement her physician made to her about the cause of her injuries. Plaintiff argues that Field is distinguishable. In that medical malpractice case, a defendant physician sought to testify that two experts from an esteemed medical institution told him while he was treating a patient that his treatment was appropriate. Field, 386 F.3d at 736. The court ruled that the statements were not admissible pursuant to the
Field‘s holding applies with full force here because the statements Plaintiff seeks to introduce are hearsay and were made by her physician, not by her or any other individual seeking treatment. Plaintiff says that the statements should be admitted because the circumstances indicate that it is trustworthy. Even Plaintiff‘s statements pertaining to what her doctor told her about the cause of her injuries were trustworthy, that does not permit the Court to disregard Sixth Circuit precedent. And Plaintiff cites to authority for such an argument.
Defendants’ motion in limine No. 6 is GRANTED.
B. Motion in Limine No. 7 to Bar Reference or Argument to Gross Negligence and/or Intentional Willful, and Wanton Misconduct
Count III of Plaintiff‘s complaint alleges Gross Negligence/Intentional—Willful—Wanton conduct. Defendants seek to bar reference and argument to the claims made in this count because: (1) gross negligence is not an independent cause of action in Michigan; and (2) there is no factual support for the jury to draw a reasonable conclusion regarding Dr. Ambroski‘s liability for intentional and wanton misconduct.
Plaintiffs bringing a tort claim must still plead the common law elements of ordinary or professional negligence. Rakowski v. Sarb, 269 Mich. App. 619, 627 (2006). See In re Flint Water Cases, 384 F. Supp. 3d 802, 872 (E.D. Mich. 2019), aff‘d and remanded on other grounds, 960 F.3d 303 (6th Cir. 2020) (Applying Michigan law and concluding: “although plaintiffs style their proposed claim as one of gross negligence, the Court must treat it as one of ordinary negligence.“). For these reasons, Plaintiff‘s gross negligence claim cannot proceed to trial because there is no such thing as a “gross negligence claim” outside the context of governmental immunity under Michigan law.
The summary judgment stage of this litigation is long gone. Defendants stipulate to a dispositive motion cut off date that expired on November 1, 2019. Three years have passed since that date and Defendants filed no such motion. [ECF No. 18]. Now they impermissibly invite the Court to determine whether Plaintiff‘s
Whether Plaintiff‘s claim is supported by evidence is a summary judgment question, not a motion in limine question. In the Sixth Circuit, if a “motion in limine is no more than a rephrased summary-judgment motion, the motion should not be considered.” Louzon v. Ford Motor Co., 718 F.3d 556, 563 (6th Cir. 2013). The U.S. Supreme Court has recognized “[i]n a civil action, the question whether a particular affirmative defense is sufficiently supported by testimony to go to the jury may often be resolved on a motion for summary judgment.” United States v. Bailey, 444 U.S. 394, 412 n. 9 (1980).
A motion in limine is “any motion, whether made before or during trial, to exclude anticipated prejudicial evidence before the evidence is actually offered.” Luce v. United States, 469 U.S. 38, 40 n. 2 (1984). “Unlike a summary judgment motion, which is designed to eliminate a trial in cases where there are no genuine issues of material fact, a motion in limine is designed to narrow the evidentiary issues for trial and to eliminate unnecessary trial interruptions.” Bradley v. Pittsburgh Bd. of Educ., 913 F.2d 1064, 1069 (3d Cir.1990). Allowing a party to litigate matters that have been or should have been resolved at an earlier stage deprives their opponents of the procedural protections that attach at summary judgment. Louzon, 718 F.3d at 561.
C. Motion in Limine No. 8 to Bar All Claims Not Causally Linked to Harm
Defendants again attempt to raise summary judgment issues at this late stage in litigation as part of a motion in limine. They say, “there is no evidentiary support for the theory that any aspect of Dr. Ambroski‘s care of Plaintiff on July 20, 2016 proximately caused harm and any argument that it did must be barred.” [ECF No. 92, PageID.4350]. Plaintiff testified that about the temporal link between the chiropractic manipulation, her VAD and stroke, the amount of force used, and several experts opined that Dr. Ambroski caused Plaintiff‘s VAD. However, even if the record was absent of evidence pertaining to causation, it is too late for Defendants to move for summary judgment.
For the reasons stated above with respect to Defendants second argument in motion in limine no. 7, motion in limine no. 8 is DENIED.
D. Motion in Limine No. 10 To Bar Argument or Reliance On the Doctrine of Res Ipsa Loquitur
Defendants move to bar Plaintiff‘s res ipsa loquitur claim because she presents evidence that the amount of force used by Dr. Ambroski in her manipulation of Plaintiff‘s spine caused her injury.
In order to avail herself of the doctrine of res ipsa loquitur, Plaintiff must meet the following conditions: (1) the event must be of a kind which ordinarily does not occur in the absence of someone‘s negligence; (2) it must be caused by an agency or instrumentality within the exclusive control of the defendant; (3) it must not have been due to any voluntary action or contribution on the part of the plaintiff; and (4) evidence of the true explanation of the event must be more readily accessible to the defendant than to the plaintiff. Woodard v. Custer, 473 Mich. 1, 8 (2005).
This is not a res ipsa loquitur case because the specific negligent act is known to Plaintiff. Plaintiff alleges that Dr. Ambroski caused her injury by using excessive force in her chiropractic manipulations.
Defendants’ motion in limine no. 10 is GRANTED.
E. Motion in Limine no. 12 to Preclude Vouching for Plaintiff‘s Credibility.
Defendants seek to preclude Plaintiff‘s counsel from making statements during argument that vouch for the credibility of Plaintiff. Plaintiff‘s counsel argues that they can address Plaintiff‘s credibility via argument. They rely on the comment to M CIV JI 4.10, which allows certain factors pertaining to an expert witness‘s testimony to be addressed on argument of counsel. These factors include: the length and diversity of the witness‘s experience; the professional attainments of the
Clearly, this jury instruction has nothing to do with a plaintiff‘s credibility and Plaintiff counsel cites no authority that permits them to admit testimony in during argument that vouches for Plaintiff‘s credibility.
Defendant‘s motion in limine no. 12 is GRANTED.
VI. Conclusion
For the reasons below, Defendants’ motion is GRANTED IN PART and DENIED IN PART:
No. 1: Motion to Preclude Evidence of Claims for Lost Wages and/or Loss of Earning Capacity is DENIED IN PART AND GRANTED IN PART.
Nos. 3-5 and 9:
- Defendants’ Motion to Exclude Causation Testimony of Plaintiff‘s Expert Robert E. Lee (“Dr. Lee“) is DENIED
- Defendants Motion to Exclude Causation testimony of Chitra Venkatasurbramanianm (“Dr. Venkat“) is DENIED
- Defendants’ motion to exclude causation opinion of Alan Bragman (“Dr. Bragman“) (5) is GRANTED.
Defendants’ motion no. 9 to exclude Gerald Shiener (“Dr. Shiener“) is GRANTED IN PART AND DENIED IN PART.
Nos. 7-8, 10, and 12:
- Defendant Motion in limine No. 7 is GRANTED IN PART and DENIED IN PART;
- Defendants Motion in limine No. 8 is GRANTED;
- Defendant Motion in limine No. 10 is GRANTED
- Defendant‘s Motion in limine no. 12 is GRANTED.
IT IS SO ORDERED.
Dated: January 19, 2023
/s/ Gershwin A. Drain
GERSHWIN A. DRAIN
UNITED STATES DISTRICT JUDGE
CERTIFICATE OF SERVICE
Copies of this Order were served upon attorneys of record on January 19, 2023, by electronic and/or ordinary mail.
/s/ Teresa McGovern
Case Manager
