PHILLIPS et al. v. HARMON et al.
A14A0188
Court of Appeals of Georgia
July 15, 2014
Reconsideration denied July 31, 2014
760 SE2d 235
McMILLIAN, Judge.
Larry E. Stewart, for appellant. Magill Atkinson Dermer, David M. Atkinson, Marian L. Miller, for appellee.
For these reasons, I would affirm the trial court‘s order granting summary judgment to Travelers.
I am authorized to state that Presiding Judge Andrews and Judge Ray join in this dissent.
Decided July 15, 2014 —
Reconsideration denied July 31, 2014 —
Larry E. Stewart, for appellant.
Magill Atkinson Dermer, David M. Atkinson, Marian L. Miller, for appellee.
A14A0188. PHILLIPS et al. v. HARMON et al. (760 SE2d 235)
McMILLIAN, Judge.
Lee V. Phillips IV, by and through his mother Santhonia Hector, and Hector individually (collectively “Plaintiffs“), filed this medical malpractice action against Marcia R. Harmon, CNM,1 Deborah E. Haynes, M.D., Eagles Landing OB-GYN Associates, P.C., Eagles Landing OB-GYN Associates II, LLC, and Henry Medical Center, Inc. (collectively “Defendants“), alleging that, due to Defendants’ negligence, Phillips suffered oxygen deprivation shortly before birth, which resulted in severe, permanent neurological injuries, including spastic quadriplegia, blindness, and an inability to speak.
The case ultimately proceeded to a jury trial, which commenced on August 20, 2012 and, following approximately one-and-a-half days of deliberations, the jury returned a verdict for the Defendants on September 6, 2012. Plaintiffs filed a motion for new trial asserting, among other things, that the trial court erred by engaging in a communication with the jury when neither the parties nor their attorneys were present, and by refusing to give Plaintiffs’ requested charge on spoliation of evidence. The trial court denied their motion, and Plaintiffs filed this appeal, raising the additional claim that the
1. We first consider Plaintiffs’ contention that they are entitled to a new trial because the trial court responded to a note from the jury during the course of their deliberations without ever advising the parties or their counsel that the communication had taken place.
(a) As to this issue, the record shows that several weeks after the jury returned its verdict, two jurors contacted Plaintiffs’ counsel to express concerns about possible juror misconduct.2 During that conversation, Plaintiffs’ counsel learned for the first time that the trial judge had responded to a note from the jury without ever disclosing the contents of the note or his response to either the parties or their counsel. Thereafter, Plaintiffs’ counsel obtained affidavits from the two jurors, both of whom averred that, on the second day of deliberations, the jury sent a note to the trial judge “indicating that [they] were not able to reach a unanimous verdict.” According to the jurors, the judge sent a note back, which instructed the jury to “continue deliberating.”
After learning of the communication, Plaintiffs’ counsel sent a letter to the trial judge requesting that he “take steps to see that both the jurors’ note ... and [his] responsive note are filed with the Clerk.” After realizing that the court reporter did not have the note, the trial judge, without seeking input from counsel or holding a hearing, entered an order supplementing the record pursuant to
Plaintiffs subsequently filed a motion to recuse or disqualify the trial judge due to the perceived conflict between his order supplementing the record and the jurors’ affidavits. The trial judge granted the motion to recuse, and the case was re-assigned. Following a hearing on Plaintiffs’ motion for new trial, the assigned judge rejected Plaintiffs’ claim that the trial court‘s communication with the jury was per se reversible error, and concluded that the Plaintiffs were not entitled to a new trial because the note was not impermissibly misleading or coercive. Plaintiffs now challenge that ruling, arguing that, under the circumstances of this case, we should presume that the trial judge‘s communication with the jury was harmful, and that, in any event, the trial judge‘s response was coercive under the circumstances in which it was given.
(b) In Kesterson v. Jarrett, 291 Ga. 380 (728 SE2d 557) (2012), our Supreme Court reaffirmed and elucidated the fundamental right of a natural party to be present in the courtroom during the trial of his or her case. As the Court explained:
[The right to be present] has been treated as a component of the due process of law in both criminal and civil cases since the early decisions of this Court.... Tift v. Jones, 52 Ga. 538, 542 (1874) (explaining that a civil litigant has a “right to be present in the court during the whole trial of his case“).... The right to be present is also reflected textually in our State Constitution, in the provision guaranteeing to every person “the right to prosecute or defend, either in person or by an attorney, that person‘s own cause in any of the courts of this state.”
Ga. Const. of 1983, Art. I, Sec. I, Par. XII .
Kesterson, 291 Ga. at 384 (2) (a).
Although a party‘s right to be present is firmly established in both our civil and criminal jurisprudence, there appears to be a dearth of authority addressing the right of a civil litigant to be present when the trial judge engages in communications with the jury. However, our appellate courts have addressed this issue numerous times in criminal cases and, as have the parties, we turn to those cases for guidance.5
As our Supreme Court explained in Hanifa v. State, 269 Ga. 797, 807 (6) (505 SE2d 731) (1998),
[w]ithin the Georgia constitutional right to the courts is a criminal defendant‘s “right to be present, and see and hear, all the proceedings which are had against him on the trial before the Court.” A colloquy between the trial judge and the jury is a part of the proceedings to which the defendant and counsel are entitled to be present.
Unquestionably the trial judge should not in any manner communicate with the jury about the case, in the absence of the accused and his counsel, pending the trial; and the better practice is for the judge to have no communication with the jury on any subject except through the medium of the sworn bailiff in charge of the jury; and the communication should be restricted, in the absence of the accused and his counsel, to matters relating to the comfort and convenience of the jury. There should be no communication which would tend in any manner to prejudice the accused ...; and unless the character of the communication clearly shows that it could not have been prejudicial to the accused, the presumption of law would be that it was prejudicial.
Hanifa, 269 Ga. at 807 (6). Lowery v. State, 282 Ga. 68, 73 (4) (b) (i) (646 SE2d 67) (2007) (“[a] trial court‘s communication with a jury on substantive matters is a part of the proceedings to which the defendant and counsel are entitled to be present“).
Further, and pertinent to this case, our appellate courts have specifically considered judge/jury communications concerning a jury‘s ability, or inability, to reach a verdict, and routinely held that it is error for a trial judge to respond to such an inquiry in the absence of the defendant and/or his counsel. E.g., Lowery, 282 Ga. at 74 (4) (b) (i); Wells v. State, 297 Ga. App. 153, 159-160 (2) (676 SE2d 821) (2009); Barnett v. State, 276 Ga. App. 238, 241-242 (2) (623 SE2d 136) (2005). But see Stewart v. State, 165 Ga. App. 428, 429-430 (2) (300 SE2d 331) (1983) (trial court‘s response of “keep on trying” to deadlocked jurors “not so material to appellant‘s case as to require her presence and that of her counsel“).
Defendants, while certainly not suggesting that ex parte communications between a trial judge and a jury are permissible even in a civil trial, urge that the stringent requirements applicable to criminal cases should be reserved for those civil cases such as Kesterson where a fundamental right has been totally or substantially denied. But we find that the right to be present has been totally denied here. Although certainly the duration of the exclusion was not as long as Kesterson, the violation here was in at least one way more absolute — unlike in Kesterson, where the plaintiff had her attorneys representing her during trial, Plaintiffs here were wholly without
(c) The question then, and the one presented squarely by this case, is whether the absolute failure to have counsel or the parties present for this type of communication with the jury requires reversal or whether we should further consider whether the error harmed the party seeking relief.6
The harmless error rule applicable to civil cases is codified in
No error in either the admission or the exclusion of evidence and no error or defect in any ruling or order or in anything done or omitted by the court or by any of the parties is ground for granting a new trial or for setting aside a verdict or for vacating, modifying, or otherwise disturbing a judgment or order, unless refusal to take such action appears to the court inconsistent with substantial justice. The court at every stage of the proceeding must disregard any error or defect in the proceeding which does not affect the substantial rights of the parties.
Under this Code section, Plaintiffs normally would not be entitled to a new trial unless they could show “material harm” from the trial court‘s actions. Ford Motor Co. v. Conley, 294 Ga. 530 (757 SE2d 20) (2014). However, as also stated in Conley, harm may nevertheless be presumed under certain circumstances, such as when a fundamental right has been denied and the error cannot be cured after the verdict.7 We see no reason why denial of a fundamental and constitutional right such as the right to be present — in person or by counsel — should not also be one of those rare circumstances where prejudice might be presumed. See
In short, we glean nothing from Kesterson that requires us to apply a harmless error analysis to a right to be present violation such as the one that occurred in this case.
Moreover, as stated above, in our criminal law jurisprudence, our appellate courts have
consistently ruled that the denial of the right to be present guaranteed by the Georgia Constitution is not subject to harmless error review on direct appeal. Instead, a violation is presumed to be prejudicial. Thus, absent a valid waiver, violation of the right to be present triggers reversal and remand for a new trial whenever the issue is properly raised on direct appeal.
(Citation omitted.) Ward v. State, 288 Ga. 641, 646-647 (4) (706 SE2d 430) (2011). As we have explained,
[t]he accused and his counsel have the right to be present at every stage of the proceedings and personally see and know what is being done in the case. To say that no injury results when it appears that what occurred in their absence was regular and legal would, in effect, practically do away with this great and important right, one element of which is to see to it that what does take place is in accord with law and good practice.
(d) Defendants argue that, in any event, the error that occurred here would not be reversible even against a criminal defendant because the character of the communication shows that it could not have been prejudicial to Plaintiffs, and that our appellate courts have in fact applied the harmless error rule even in criminal cases involving a violation of the right to be present. E.g., Barnett, 276 Ga. App. at 241 (2).
But a critical difference exists between many of the cases in which our appellate courts have deemed a right to be present violation harmless or waived and the case at hand, which is that those communications were in fact disclosed to the defendant and/or his attorney prior to the time the jury returned its verdict. Depending on the time of this disclosure, this afforded the defendant or his counsel the opportunity to have input concerning the court‘s response, request that the court query the jury about the potential deadlock, object, move for a mistrial, or at a minimum, and importantly here, preserve a record of the communication. And if the defendant or his attorney was told of the communication prior to the return of the verdict and they failed to act, a waiver of the right to be present violation would
(e) Perhaps partly in response to the frequency with which right to be present claims stemming from ex parte communications between trial judges and juries arise in criminal cases, our Supreme Court in Lowery set out a procedure
to require trial courts to have jurors’ communications submitted to the court in writing; to mark the written communication as a court exhibit in the presence of counsel; to afford counsel a full opportunity to suggest an appropriate response; and to make counsel aware of the substance of the trial court‘s intended response in order that counsel may seek whatever modifications counsel deems appropriate before the jury is exposed to the instruction.
Lowery, 282 Ga. at 76 (4) (b) (ii). Although the Supreme Court in Lowery did not specifically state that this procedure applies to civil as well as criminal trials, it also did not specifically limit its application to criminal cases.10 And if the trial judge had followed the procedure
These differences are not unimportant to any analysis which we might undertake to decide whether the communication at issue was coercive or misleading. As the Supreme Court explained in Hanifa, “[t]he contents of the communication are necessary to determine
A similar circumstance was presented in Lindsey, and although not controlling,13 we find our opinion in that case to be instructive. In that case, the judge, acting through the bailiff, responded to a question from the jury sent out during their deliberations concerning whether their verdict had to be unanimous. Although trial counsel was informed of the communication after it occurred, counsel did not request, and the trial court did not of its own accord, make a record of the communication. Thus, we explained,
[t]he communication involved in this case was not restricted to matters concerning the jury‘s “comfort and convenience.” Instead, the information concerning the unanimity requirement could well be considered a supplemental charge, which should have been given in open court in [appellant‘s] presence. If trial counsel had objected to the procedure used to answer the jury‘s question, or if some record had been made of the jury‘s question and the trial court‘s response had been made in open court with all parties present, vague recollections recorded weeks after trial would not be an issue. Given the legal nature of the question posed by the jury, the responsibility of trial judges and bailiffs to avoid improper communication with juries, and the state of the record in this case, we are unable to conclude that the communication here “could not have been prejudicial to” [the appellant].
(Citations omitted.) 277 Ga. App. at 21-22.
In the case at hand, Plaintiffs’ counsel did attempt to perfect the record by taking immediate steps to have the communication made a part of the record as soon as he learned of it, but was unable to secure the actual communication despite his diligent efforts. Thus, this case presents one of those rare circumstances where the party who asserts they have been aggrieved has been effectively precluded from dem-
(f) Similarly, and as was the situation in Conley, there is yet an additional reason why we believe that error must be presumed here, involving yet “another longstanding Georgia rule — the prohibition against jurors impeaching their verdict....” Conley, 294 Ga. at 550 (3) (b). See also
Moreover, as the trial court noted in denying the motion for new trial, the evidence in this case was “close” and would have supported a verdict for either the Plaintiffs or the Defendants. Thus, this is not a situation where we can say that even a misleading or coercive communication could not have affected the outcome of the proceedings because a verdict was only authorized for the Defendants.
Accordingly, we must view these unique circumstances together — (1) that the communication was not disclosed to the Plaintiffs or their counsel until after the verdict; (2) the note and response were not made a part of the record at the time it was made or thereafter; (3) the differing recollections about the nature and timing of the
2. Plaintiffs also argue that the trial court erred in refusing to give its requested charge on spoliation of evidence. Because this issue will likely occur upon re-trial, we will also consider the trial court‘s ruling on spoliation.
The record shows that Plaintiffs requested that the following charge be given to the jury:
Defendant Henry Medical Center destroyed the printed paper copy of the fetal heart rate tracing sometime after the delivery of Lee V. Phillips, IV. At the time Defendant Henry Medical Center destroyed the printed paper copy of the fetal heart rate tracing, Defendant Henry Medical Center was aware of the potential for litigation. The Plaintiffs are entitled to a presumption that the printed paper copy of the fetal heart rate tracing, which contained the handwritten notes that [nurse] Kim Jones made during the labor at issue in this case,15 would have been prejudicial to Defendant Henry Medical Center. The presumption may be rebutted by Defendant Henry Medical Center.
The trial court declined to give the charge, finding that Defendants had “no knowledge or notice of potential litigation,”16 but allowed the parties to present evidence and argument concerning the notes made on the fetal monitor paper strip, the use of the strip in creating the official medical record, and the destruction of the strip.
“[S]poliation refers to the destruction or failure to preserve evidence that is necessary to contemplated or pending litigation.” (Citation and punctuation omitted.) Silman v. Assocs. Bellemeade,
The trial court has wide discretion in resolving spoliation issues, and we will not disturb its ruling absent abuse. A spoliation claim cannot be pursued unless the spoliating party was under a duty to preserve evidence. And our appellate courts have time and time again emphasized that to meet the standard for proving spoliation, the injured party must show that the alleged tortfeasor was put on notice that the party was contemplating litigation. The simple fact that someone is injured ..., without more, is not notice that the injured party is contemplating litigation sufficient to automatically trigger the rules of spoliation. In other words, notice of potential liability is not the same as notice of potential litigation.
(Citations and punctuation omitted; emphasis in original.) Whitfield v. Tequila Mexican Restaurant No. 1, Inc., 323 Ga. App. 801, 807 (6) (748 SE2d 281) (2013). See also Clayton County v. Austin-Powell, 321 Ga. App. 12, 17 (740 SE2d 831) (2013).
The following facts are relevant to the spoliation issue. At the time Phillips was delivered, the official medical records at Henry Medical were maintained in electronic form. Although the fetal monitor strips were not considered part of the official record, the nurses often took notes on the strips during the labor and delivery and would then refer back to the strips to complete the official record. Henry Medical maintained the strips for 30 days after a delivery, and then they were routinely destroyed. It is undisputed that the strips in this case were destroyed pursuant to this procedure.
It is likewise undisputed that at the time the paper tracings were destroyed, Henry Medical had not received any letters, calls, pleadings, or inquiries of any nature from the Plaintiffs that might have alerted Henry Medical that Plaintiffs were contemplating litigation. Accordingly, the trial court refused to give Plaintiffs’ spoliation charge in this case because Defendants did not have notice of pending or contemplated litigation at the time the paper copy of the fetal heart rate tracing was destroyed.
This Court has previously held that launching an internal investigation and taking certain steps pursuant to company policies do not, without more, equate to notice that litigation is contemplated or pending. Powers v. Southern Family Markets of Eastman, LLC, 320 Ga. App. 478, 479-480 (1) (740 SE2d 214) (2013). That is because “contemplation of potential liability is not notice of potential litigation.” Kitchens v. Brusman, 303 Ga. App. 703, 707 (1) (a) (694 SE2d 667) (2010) (notice of contemplated litigation when plaintiffs’ attorney had contacted defendants about viewing slides). See Austin-Powell, 321 Ga. App. at 17 (2); Watts & Colwell Builders, Inc. v. Martin, 313 Ga. App. 1, 5 (1) (720 SE2d 329) (2011) (completion of accident report does not demonstrate contemplated litigation); cf. The Kroger Co. v. Walters, 319 Ga. App. 52 (735 SE2d 99) (2012) (manager aware of potential litigation after potential plaintiff came back to the store and informed the manager he was going to the doctor); Wal-Mart Stores v. Lee, 290 Ga. App. 541, 544 (1) (659 SE2d 905) (2008) (notice provided by letter from plaintiff‘s attorney attempting to settle and avoid litigation).
Moreover, we do not believe that Baxley v. Hakiel Indus., Inc., 282 Ga. 312 (647 SE2d 29) (2007), mandates a finding of spoliation here. In Baxley, our Supreme Court found proof of spoliation, after the bar manager questioned the bar staff about what they served a customer who had been involved in an accident when she left the bar, and then failed to preserve a recording that might have provided critical evidence concerning the manner in which the customer left the bar. Although defendant‘s knowledge of potential or contemplated litigation was not directly spelled out in Baxley, our Supreme
Further, even if Henry Medical‘s Sentinel Events Policies required it to preserve the official medical records, it is undisputed here that the paper monitoring strips were not considered part of the official electronic medical records at the time Phillips was born. And even if there had been directives issued to preserve the paper strips in prior incidents, there is absolutely no evidence that such a request had been made in this case.
Accordingly, Henry Medical did not have notice of pending or contemplated litigation at the time the paper monitor strips were destroyed, and the trial court did not abuse its discretion in refusing to give Plaintiffs’ requested charge on spoliation of evidence.
3. It is unnecessary, however, for us to consider Plaintiffs’ contention that Defendants improperly admitted evidence of collateral source benefits in violation of a motion in limine. The alleged benefits at issue are certain educational services and resources that must be provided under federal law to children with disabilities, and evidence of these benefits was elicited by Defendants during cross-examination of Phillips’ life care planner. Plaintiffs did not object to this evidence at the time it was introduced, and argue for the first time on appeal that it was not required to object to this testimony at trial because these services and resources were “benefits” from a collateral source that already had been ruled inadmissible pursuant to the grant of its motion in limine.18
The issue of whether the services and resources at issue here constitute “benefits” from a collateral source as that term is used in this state is one of first impression, and the issue of the admissibility of this specific evidence was not raised or ruled upon below. Clearly, however, neither Plaintiffs nor Defendants will allow this case to be retried without bringing this issue to the attention of the trial court, who will then have the opportunity to rule on this evidentiary issue in the first instance.
Judgment reversed. Ellington, P. J., concurs. Phipps, C. J., concurs fully in Divisions 1 and 3 and in judgment only as to Division 2.
Reconsideration denied July 31, 2014 —
Wayne Grant, Kimberly W. Grant, Jonathan A. Parrish, for appellants.
Huff, Powell & Bailey, M. Scott Bailey, Anna Burdeshaw Fretwell, Hall Booth Smith, John E. Hall, Jr., Mark W. Wortham, Heather L. Saum, for appellees.
Notes
Where a trial in any civil or criminal case is reported by a court reporter, all motions, colloquies, objections, rulings, evidence, whether admitted or stricken on objection or otherwise, copies or summaries of all documentary evidence, the charge of the court, and all other proceedings which may be called in question on appeal or other posttrial procedure shall be reported; and, where the report is transcribed, all such matters shall be included in the written transcript, it being the intention of this article that all matters appear in the record. Where matters occur which were not reported, such as objections to oral argument, misconduct of the jury, or other like instances, the court, upon motion of either party, shall require that a transcript of these matters be made and included as a part of the record. The transcript of proceedings shall not be reduced to narrative form unless by agreement of counsel; but, where the trial is not reported or the transcript of the proceedings for any other reason is not available and the evidence is prepared from recollection, it may be prepared in narrative form.
Upon an inquiry into the validity of a verdict or indictment, a juror shall not testify by affidavit or otherwise nor shall a juror‘s statements be received in evidence as to any matter or statement occurring during the course of the jury‘s deliberations or to the effect of anything upon the jury deliberations or any other juror‘s mind or emotions as influencing the juror to assent to or dissent from the verdict or indictment or concerning the juror‘s mental processes in connection therewith; provided, however, that a juror may testify on the question of whether extraneous prejudicial information was improperly brought to the juror‘s attention, whether any outside influence was improperly brought to bear upon any juror, or whether there was a mistake in entering the verdict onto the verdict form.
