Opinion
Introduction
Plaintiff Gregg Photias appeals from a summary judgment entered in favor of defendant Warren T. Doerfler, M.D., after the trial court found that plaintiff’s cause of action was barred by the statute of limitations.
Procedural and Factual Background
In 1971, when plaintiff was approximately six months old, defendant noted that plaintiff’s right testicle was “high” and his left testicle was “not palpable.” The condition continued through 1975, during which period defendant provided plaintiff’s general medical care and treatment. Defendant saw plaintiff only once after 1975 or 1976; he treated him for a skin rash on July 10, 1984.
Plaintiff applied for part-time employment at Antelope Valley Hospital Medical Center in December 1988. A preemployment physical examination revealed that plaintiff’s testicles had not descended. As a consequence, plaintiff had a bilateral orchiopexy on March 13, 1989, to place the testicles within the scrotum. Following the surgery, plaintiff’s semen was tested. He learned he was sterile.
Plaintiff notified defendant of his intent to sue on February 2, 1990. The instant complaint was filed on May 1, 1990. It alleges that defendant was negligent in failing to treat or remedy his undescended testicles.
Contention
Plaintiff contends the trial court erred in granting summary judgment, in that considering plaintiff’s cause of action to have accrued under
Discussion
The Fourteenth Amendment to the United States Constitution and article I, section 7 of the California Constitution guarantee all persons equal protection of the law. The guarantee “require[s] that, at a minimum, ‘persons similarly situated with respect to the legitimate purpose of the law receive like treatment.’ [Citations.]”
(Brown
v.
Merlo
(1973)
As amended in 1975, Code of Civil Procedure section 340.5 is part of the Medical Injury Compensation Reform Act (MICRA) (Stats. 1975, Second Ex. Sess., 1975-1976, ch. 2, § 12.5, p. 4007). The amended statute reduces the maximum limitations period for medical malpractice actions from four years to three years after the date of
injury,
this period is tolled only for fraud, intentional concealment, or the presence of nontherapeutic and non-diagnostic foreign bodies. (Code Civ. Proc., § 340.5;
Young
v.
Haines, supra,
Code of Civil Procedure section 340.5 “was adopted as a response to a perceived ‘major health care crisis in the State of California attributable to skyrocketing malpractice premium costs and resulting in a potential breakdown of the health delivery system . . . .’ [Citation.]”
(Young
v.
Haines, supra,
In Young, the California Supreme Court recognized that equal protection problems arise if Code of Civil Procedure section 340.5 is construed as treating minors more restrictively and harshly than adults. (Young v. Haines, supra, 41 Cal.3d at pp. 898-901.) Although not deciding the issue, the court noted that “. . . it is difficult to see how discrimination against minor malpractice plaintiffs vis-á-vis adults is rationally related to this or any other ascertainable legislative goal. The fact that such discrimination against minors would bar some meritorious claims and thereby reduce total malpractice liability is not enough to justify it. If claims are reduced in an arbitrary manner, the classification scheme denies equal protection of the law.” (Id. at pp. 900-901.)
It is true that the Supreme Court has rejected equal protection challenges to other provisions of MICRA. In
American Bank & Trust Co.
v.
Community Hospital
(1984)
In each instance, the Supreme Court found it “entirely rational for the Legislature to limit the application of the enacted measures to the medical malpractice field, since it was the ‘crisis’ in that particular area which the
In
Barme
v.
Wood, supra,
the court similarly found the reimbursement prohibition of Civil Code section 3333.1 to be rationally related to the cost reduction objective. “By prohibiting ‘collateral sources’ from obtaining reimbursement from medical malpractice defendants or their insurers, the section obviously reduces the potential liability of such defendants.” (
Finally, in Roa v. Lodi Medical Group, Inc., supra, the court reached the same conclusion with respect to the contingency fee limitations of Business and Professions Code section 6146. The court noted, “it is unrealistic to suggest that such limits will not reduce the costs to malpractice defendants and their insurers in the large number of malpractice cases that are resolved through settlement. . . . [B]ecause section 6146 permits an attorney to take only a smaller bite of a settlement, a plaintiff will be more likely to agree to a lower settlement since he will obtain the same net recovery from the lower settlement. Accordingly, the Legislature could reasonably have determined that the provision would serve to reduce malpractice insurance costs. [¶] Second, the Legislature may also have imposed limits on contingency fees in this area as a means of deterring attorneys from either instituting frivolous suits or encouraging their clients to hold out for unrealistically high settlements. . . . [T]he Legislature could rationally have believed that unregulated contingency fee contracts ... play at least some part in leading so many plaintiffs to pursue malpractice claims that ultimately prove unsuccessful. . . . [B]y reducing plaintiffs’ attorneys’ incentive to encourage their clients to pursue marginal claims, section 6146 . . . bears a rational relation to the legislative objective of reducing insurance costs.” (37 Cal.3d at pp. 931-932, fn. omitted.)
As noted
ante,
in contrast to the three statutes considered in these cases, Code
of
Civil Procedure section 340.5 has a more specific objective situated within the larger MICRA objective. The Legislature’s objective was to reduce the number of “long tail” claims attributable to the tolling provisions
The equal protection challenges made in American Bank & Trust Co., Barme and Roa simply are not comparable to the challenge made in this case. To be comparable, the statues at issue in those cases must have discriminated among adult and minor plaintiffs. If, for example, Business and Professions Code section 6146 restricted the percentage amount of medical malpractice plaintiffs’ attorneys’ contingency fees generally, but then treated minors more harshly by further limiting the fee available to their attorneys, both the issue and the probable result in that case would have been similar to the instant matter. The limitation of contingency fee percentages generally would be rationally related to the overall goal of reducing malpractice insurance premiums, but there would be no rational basis for treating minors more harshly. So, too, under Code of Civil Procedure section 340.5, the general elimination of tolling provisions serves the overall goal, but there is no rational basis for treating minors more harshly.
Allowing adult causes of action to accrue on the date of injury or the date upon which the injury reasonably should have been discovered, but requiring minors’ causes of action to accrue on the date of the wrongful act does treat minors more harshly in some circumstances.
(Torres
v.
County of Los Angeles
(1989)
In
Torres,
this court stated, “We perceive no rational basis for placing persons into different classes on the basis of criteria wholly
The question remains whether plaintiff timely brought his action after the date of his injury. In this case, the alleged injury is permanent sterility as a result of prolonged undiagnosed and untreated undescended testicles. An injury manifests itself “when it has become evidenced in some significant fashion, whether or not the patient/plaintiff actually becomes aware of the injury.”
(Marriage & Family Center
v.
Superior Court
(1991)
Plaintiff’s argument is superficially attractive, but medical science might suggest otherwise. Without some degree of medical expertise, it is doubtful that this court can be certain whether sterility might have “become evidenced in some significant fashion” before plaintiff’s semen was tested.
(Marriage & Family Center
v.
Superior Court, supra,
Vogel (Miriam A.), J., and Masterson, J., concurred.
Notes
It is immaterial that Torres dealt with the government claims filing statute. Application of that statute required the interpretation of Code of Civil Procedure section 340.5.
