{1} In this medical malpractice action, we determine that Plaintiffs complaint was not barred by the limitation period set out by the Medical Malpractice Act (Act), NMSA 1978, Sections 41-5-1 to -29 (1976 as amended through 2008) (statute of repose) and that the three-year limitation period found in NMSA 1978, Section 37-1-8 (1976) (general statute of limitations) stopped running at the time Plaintiff filed her original complaint in April 2006. Accordingly, we affirm the district court.
I. BACKGROUND
{2} Defendant performed eye surgery on Plaintiff on April 28, 2003. On November 23, 2003, a different doctor undertook additional eye surgery and, at that time, according to Plaintiff, the second doctor discovered that the first surgery had been performed incorrectly by Defendant. On April 27, 2006, Plaintiff filed a complaint for personal injuries and medical malpractice, in which she alleged that Defendant’s actions during the first surgery caused her injuries.
{3} On the same date, April 27, Plaintiff applied to the Medical Review Commission (Commission) for review of her case. Under the Act, a plaintiff pursuing a malpractice action against a qualified healthcare provider must apply to the Commission for review and receive a decision before litigation may be pursued in district court. See § 41-5-15. At the time the complaint was filed in district court, Plaintiff believed that Defendant was not a qualified healthcare provider because it appeared that his insurance had lapsed, and the Commission confirmed this belief by letter on May 9, 2006. As a result, Defendant could receive none of the benefits of the Act — including the statute of repose. See § 41-5-5(C); Cummings v. X-Ray Assocs. of N.M., P.C.,
{4} During the proceeding in district court, however, Defendant’s insurance company acknowledged that his coverage had been improperly cancelled. Defendant’s coverage was reinstated for the period encompassing Plaintiffs injury. Due to the reinstatement, Defendant was a qualified healthcare provider at the time of the injury. See 41-5-5(A)(l). Based on Defendant’s status as a qualified healthcare provider, on September 25, 2006, the parties entered into a stipulated order of dismissal. The district court dismissed the case without prejudice so that Plaintiff could pursue review with the Commission, pursuant to the Act. On March 22, 2007, the Commission issued a letter decision in favor of Defendant.
{5} On June 8, 2007, Plaintiff filed a second complaint in district court against Defendant. Plaintiff voluntarily dismissed that complaint, and on June 29, 2007, she filed a motion to reinstate the original April 2006 complaint. The district court entered an order reinstating the complaint on March 20, 2008. This Court granted Defendant’s application for interlocutory appeal.
II. DISCUSSION
{6} Defendant raises two issues on interlocutory appeal: (1) whether the Act’s statute of repose or the general statute of limitations applies to this proceeding where
A. Standard of Review
{7} Plaintiff contends that because Defendant’s appeal requires us only to evaluate the district court’s interpretation of the September 2006 stipulated order of dismissal, we should review the March 2008 order of reinstatement for abuse of discretion. Defendant argues that because the parties do not dispute the factual development of the ease, we should conduct a de novo review of the district court’s application of the law to the facts.
{8} Defendant’s arguments are based on a legal question: does the general statute of limitations apply under these circumstances or the statute of repose? The general statute of limitations for personal injury actions states that “[ajctions must be brought ... for an injury to the person or reputation of any person, within three years.” Section 37-1-8. Under this statute, the time period does not begin to run until a plaintiff “discovers, or reasonably should discover, the essential facts of his or her cause of action.” Cummings,
{9} Section 37-1-8 operates as a statute of limitations because it “begins to run when the cause of action accrues, the accrual date usually being the date of discovery.” Cummings,
{10} The district court’s March 2008 order is based on alternative findings. First, the district court found that Defendant was a non-qualified healthcare provider at the time of the filing of the complaint and, as a result, Defendant could not benefit from the Act’s statute of repose; and the general statute of limitations in Section 37-1-8 applied to the proceeding. Second, the district court interpreted the September 2006 order of dismissal to secure Plaintiffs ability to proceed on her complaint outside of the Act. Because we conclude that the district court was within its discretion to so interpret the September 2006 order of dismissal, we need not reach Defendant’s question regarding the applicable limitation period. Because we do not reach the statutory questions, we agree with Plaintiff that the appropriate standard for our review is whether the district court’s March 2008 interpretation of the September 2006 order constituted an abuse of discretion. See Rhinehart v. Nowlin,
B. The District Court’s Orders
{11} Plaintiff maintains that the district court reasonably interpreted the September 2006 order of dismissal (1) to solely permit Plaintiff to pursue a hearing before the Commission, and (2) to maintain the validity of
1. September 2006 and March 2008 Orders
{12} The September 2006 stipulated order of dismissal stated that “[t]he claims against [Defendant] are dismissed without prejudice and solely for the purposes of permitting [Plaintiff] to exhaust her administrative remedies pursuant to the [Act].” In March 2008, the district court made findings regarding the September 2006 order of dismissal. Those findings include, in relevant part, the following:
6. [Plaintiff] filed her complaint within [Section 37-1-8] and also sought reinstatement of that complaint within the time prescribed by [Section 41-5-22] on the tolling of the applicable statute of limitations upon submission of a cla[i]m for consideration by the ... Commission.
7. This [c]ourt ... had dismissed this action in an interlocutory [stipulated [o]rder of [dismissal [p]ursuant to Rule 1-041(A)(2) [NMRA] on September 25, 2006, ‘without prejudice and solely for the purposes of permitting [Plaintiff]’ to go before the ... Commission and obtain a decision of the ... Commission.... The order in no way voided [Plaintiffs] complaint, nor did it modify the applicable statute of limitations .... In stipulating to the order, [Plaintiff] did not waive her rights to have her complaint remain effective for statute of limitations purposes pursuant to Rupp v. Hurley,2002-NMCA-023 ,131 N.M. 646 , [41 P.3d 914 (filed 2001)]. The order existed, as it said, ‘solely’ to permit a hearing before a ... Commission panel and a decision from that panel.
Plaintiff argues that the March 2008 interpretation of the September 2006 order was not an abuse of discretion, and we agree.
2. Exercise of Discretion
{13} “An abuse of discretion will be found when the [district] court’s decision is clearly untenable or contrary to logic and reason.” Jolley v. Energen Res. Corp.,
{14} In addition, it is well established that stipulations by the parties do not control the district court’s management of its own docket. Belser v. O’Cleireachain,
{15} Defendant also argues that another section of the September 2006 order demonstrates that Plaintiff was aware that the voluntary dismissal “would raise issues regarding the limitation period.” The September 2006 order states that “[f]or purposes of the tolling of the limitations period under the [Act], [Plaintiffs] complaint filed with the [Commission] is deemed to have been timely filed regardless of whether that body revives the original complaint or requires [Plaintiff] to file a new complaint.” This language, Defendant argues, demonstrates that the parties contemplated that the Act’s limitations period would apply to the present litigation. We are unpersuaded.
{16} The district court could have reasonably interpreted the reference to the Act’s tolling provision as something other than a condition of dismissal — the September 2006 order did not require Plaintiff to take action within the Act’s statute of repose or even the tolling provision in order to reinstate her claim. See Universal Constructors, Inc. v. Fielder,
{17} The conflicting reasonable interpretations of the language of the September 2006 order — Defendant’s and the district court’s — demonstrate that the order is ambiguous. See Wolcott v. Wolcott,
{18} This reading of the ambiguous September 2006 order of dismissal is in keeping with the policy of the New Mexico appellate courts: In some cases, our courts are “flexible in allowing the plaintiffs’ claims to proceed despite procedural irregularities for fear that plaintiffs’ procedural bind would unconstitutionally deny them their day in court.” Chisholm v. Rueckhaus,
{19} In the present case, we similarly see no justice in construing the September 2006 order to bar Plaintiffs complaint at this late date. Such an interpretation would disregard the circumstances of dismissal as articulated by the district court in the March 2008 order-that the order was conditioned solely on Plaintiffs pursuit of Commission review. The March 2008 order reinstating Plaintiffs complaint interpreted the September 2006 order in a manner that achieved the paramount intent of the Act: Plaintiff was permitted to obtain Commission review in order to prevent filing of non-meritorious malpractice lawsuits and to secure the opinion of experts. Id. at 486,
{20} Under other circumstances, this Court considered whether obtaining Commission review is a jurisdictional prerequisite to filing a medical malpractice claim in district court. Id. ¶ 1. Although the Rupp Court concluded that Commission review is a “mandatory procedural threshold,” the Court continued and observed that “failure to comply with this requirement should not result in evisceration of the plaintiffs cause of action.” Id. ¶21. Rupp recommended other, less drastic remedies, such as dismissal without prejudice. Id.
{21} We observe that in the present ease, the September 2006 order followed the suggestion in Rupp and dismissed the case without prejudice so that Plaintiff could obtain Commission review. In March 2008, the district court interpreted any ambiguity in that September 2006 order to have facilitated the mandatory threshold requirement and to prevent the “evisceration” of Plaintiffs district court case. Id. The March 2008 order adheres to the policies set forth in cases like Otero and Rupp and, as a result, the district court did not abuse its discretion. Jiron v. Mahlab,
{22} Because we conclude that the district court did not abuse its discretion by interpreting the March 2008 order to allow Plaintiffs claim, we do not further consider which limitation period would have applied to the circumstances of the present case absent the district court’s March 2008 interpretation of the September 2006 order.
III. CONCLUSION
{23} We affirm the district court.
{24} IT IS SO ORDERED.
