Ronald SANDERS, Appellant/Cross-Respondent, v. Iftekhar AHMED, M.D., Respondent/Cross-Appellant, and Iftekhar Ahmed, P.A., Respondent/Cross-Appellant.
No. SC 91492.
Supreme Court of Missouri, En Banc.
April 3, 2012.
364 S.W.3d 195
Timothy M. Aylward, Brent G. Wright, John B. McEntee Jr., Horn Aylward & Bandy LLC, Norman I. Reichel, Oliver & Reichel PA, Kansas City, for Ahmed.
I. Introduction
Ronald Sanders recovered judgments against Dr. Iftekhar Ahmed and Iftekhar Ahmed, P.A., (collectively, “Defendants“) for the wrongful death of his wife. After the jury returned a verdict awarding $9.2 million in non-economic damages, the trial court entered a judgment providing $1,265,207.64 in noneconomic damages, in accordance with
II. Factual and Procedural Background
On May 21, 2003, Paulette Sanders went to the emergency department of the Medical Center of Independence (“MCI“) with complaints of numbness in her legs and difficulty walking. Ms. Sanders had a long history of seizure disorders. Her primary care physician admitted Ms. Sanders to the hospital and requested a consultation by Dr. Ahmed, a neurologist. After reviewing her symptoms, Dr. Ahmed ordered a change in her medications from Dilantin and phenobarbitol to Depakote.
Ms. Sanders remained in the hospital, and by May 26, 2003, she had become lethargic. On May 27, 2003, Ms. Sanders suffered a focal seizure, which required emergency medical intervention. Dr. Ahmed ordered that Depakote be discontinued. Ms. Sanders suffered deterioration in both her mental and physical condition and became unresponsive to even painful stimuli. Ms. Sanders eventually was transferred to a long-term care facility, where she remained bedridden. She died in August 2005.
Ms. Sanders‘s husband, Ronald Sanders (hereinafter “Sanders“), filed a personal injury action on May 16, 2005. Sanders filed both on his own behalf for loss of consortium and as guardian ad litem on behalf of Ms. Sanders. After Ms. Sanders‘s death, her estate was substituted as a plaintiff in the first amended petition.
On May 28, 2008, Sanders filed a second amended petition. This petition added one new defendant, dropped the estate as a co-plaintiff and dropped Sanders‘s claim for loss of consortium prior to his wife‘s death. It also added, for the first time, a claim for the wrongful death of Ms. Sanders. On September 3, 2008, Sanders filed a third amended petition, adding another defendant. Dr. Ahmed and his employer, Dr. Iftekhar Ahmed, P.A., (collectively, “Defendants“) pleaded the affirmative defense of reduction,2 as allowed by
In October 2009, Sanders dismissed three individual defendants with prejudice; Sanders then settled with and dismissed all remaining defendants except those involved in this appeal. Defendants requested discovery into the terms of the settlements; this motion was held in abeyance until after trial, at which point the parties stipulated to the amount of the settlements. Defendants also filed a motion for setoff, citing
On September 14, 2010, Sanders was granted leave to file an amended reply to Defendants’ joint answer. This reply raised a number of constitutional objections to
During the September 2010 trial, Sanders submitted the case on the theory that Ms. Sanders had a defect that prevented her body from eliminating byproduct ammonia that was produced from the Depakote
The jury awarded damages as follows:
For past economic damages: $ 920,745.88
For past non-economic damages: $ 1,700,000.00
For future non-economic damages: $ 7,500,000.00
Total damages: $10,120,745.88
Following the verdict, Defendants made three motions: first, for the application of the cap on non-economic damages (
The trial court entered an amended judgment on October 22, 2010. At that time, the court found that the statutory cap on non-economic damages was $632,603.82 per each of the two defendants. The amended judgment reduced plaintiff‘s non-economic damages from $9.2 million to $1,265,207.64.
Sanders filed a motion to amend the amended judgment, alleging that the statutory caps were unconstitutional. The trial court overruled that motion and Defendants’ remaining motions.
III. Sanders‘s Constitutional Claims
Constitutional challenges to a statute are reviewed de novo. Rentschler v. Nixon, 311 S.W.3d 783, 786 (Mo. banc 2010). A statute is presumed to be constitutional and will not be held unconstitutional unless it clearly and undoubtedly contravenes the constitution. Lester v. Sayles, 850 S.W.2d 858, 872 (Mo. banc 1993). The courts will enforce a statute unless it plainly and palpably affronts fundamental law embodied in the constitution. Id. The party claiming that the statute is unconstitutional bears the burden of proof. Id.
A. Right of Trial by Jury
This Court has already considered whether the legislature could limit non-economic damages in a common-law personal injury claim relative to article I,
We need not decide whether Sanders is correct that Adams incorrectly stated the law as to common law causes of action.6 Missouri does not recognize a common-law claim for wrongful death. This Court has reaffirmed time and time again that “a claim for damages for wrongful death is statutory; it has no common-law antecedent.” State ex rel. Diehl v. O‘Malley, 95 S.W.3d 82, 88 (Mo. banc 2003). In its present form, the action for wrongful death is provided by
[T]he legislature has the authority to choose what remedies will be permitted under a statutorily created cause of action....
The legislature in so doing, at least in regard to a statutorily created cause of action ... limited “the substance of the claims themselves,” as it has a right to do in setting out the parameters of a statutory cause of action.
Estate of Overbey v. Chad Franklin Nat‘l Auto Sales N., LLC, 361 S.W.3d 364, 376 (Mo. banc 2012) (quoting Scott v. Blue Springs Ford Sales, Inc., 176 S.W.3d 140, 141-42 (Mo. banc 2005)).
This Court has already rejected the dictum argument related to Lord Ellenborough‘s pronouncement in Baker v. Bolton, (1808) 1 Camp. 493; 170 Eng. Rep. 1033, which stated that one could not recover in court for the death of another. See Glick v. Ballentine Produce, Inc., 396 S.W.2d 609, 614 (Mo. 1965), overruled on other grounds by Bennett v. Owens-Corning Fiberglas Corp., 896 S.W.2d 464 (Mo. banc 1995); see also Osborn v. Gillett, L.R. 8 Ex. 88 (1873) (reaffirming Baker). This Court has also rejected Sanders‘s second argument. Glick, 396 S.W.2d at 614. 396 S.W.2d at 614 (emphasis in original), overruled on other grounds by Bennett, 896 S.W.2d 464 (Mo. banc 1995).
Sanders asserts, in the alternative, that his claim arises out of the underlying tort of medical negligence and, therefore, existed at common law. This incorrectly states the law. Wrongful death was, and is, a new statutory cause of action independent of the predicate tort. Sullivan v. Carlisle, 851 S.W.2d 510, 515 (Mo. banc 1993) (“[A] wrongful death claim ... is neither a transmitted right nor a survival right, but is created and vests in the survivors at the moment of death.“) (citations omitted); see also Lawrence v. Beverly Manor, 273 S.W.3d 525, 528-29 (Mo. banc 2009) (“Wrongful death ... is a cause of action separate from the underlying torts, although it is treated differently for the purposes of venue“).
Here, the General Assembly merely placed limits on the amount of non-economic damages recoverable under a statutorily created cause of action.8 The provisions within
B. Separation of Powers
Sanders next contends that the damages limitation interferes with the judiciary‘s performance of its constitutionally assigned power to render judgments in conformity with the jury‘s verdict and to enforce judgments upon the verdict because it prevents the collection of the amount of damages that the jury found to be fair and appropriate.9
The powers of government shall be divided into three distinct departments—the legislative, executive and judicial—each of which shall be confided to a separate magistracy, and no person, or collection of persons, charged with the exercise of powers properly belonging to one of those departments, shall exercise any power properly belonging to either of the others, except in the instances in this constitution expressly directed or permitted.
“It is difficult to point out the precise boundary which separates legislative from
In adopting this statute, the General Assembly created the law through which the wrongful death cause of action operates. The fact-finder—whether judge or jury—makes a factual determination when returning its verdict. The judge then enters judgment by applying the law to the fact-finder‘s determination. The limit on damages within
IV. Defendants’ Points on Cross-Appeal
A. Periodic Payments
1. Constitutionality for wrongful death
Defendants argue that the trial court erred in refusing to order that future damages be made in periodic payments pursuant to
As discussed in Part III, the legislature may define remedies for statutory causes of action.
Nor does
The other points Sanders raises—the taking of private property for public use without just compensation (article I,
2. No error in denying periodic payments
The Court next determines whether the trial court abused its discretion in refusing to grant periodic payments of future damages. “The provisions of
The jury‘s verdict designated $7.5 million in future non-economic damages and $1.7 million in past non-economic damages. The application of
B. Directed Verdict
Defendants made a motion for directed verdict “on the issue of vicarious liability” at the close of Sanders‘s evidence. At the close of all evidence, Defendants made a motion for directed verdict on the issue of causation as well as vicarious liability. After trial, Defendants moved for judgment notwithstanding the verdict (“JNOV“) on the issue of causation. Sanders believes that a proper motion for directed verdict following plaintiff‘s evidence is required to preserve the availability of JNOV—regardless of whether a motion for directed verdict is filed at the close of all evidence. Defendants claim that to preserve for JNOV, a motion for directed verdict need only be made at close of all evidence.
1. Timing of directed verdict motion
(a) Motion for Directed Verdict: When Made: Effect.
A party may move for a directed verdict at the close of the evidence offered by an opponent. The filing of such motion does not constitute a waiver of movant‘s right to offer evidence to the same extent as if the motion had not been made. A motion which is not granted is not a waiver of trial by jury even though all parties to the action have moved for directed verdicts. A motion for a directed verdict shall state the specific grounds therefor ....
(b) Motion for Judgment Notwithstanding the Verdict.
A party may move for a directed verdict at the close of all the evidence.... Not later than thirty days after entry of judgment, a party who has moved for a directed verdict may move to have the verdict and any judgment entered thereon set aside and to have judgment entered in accordance with the motion for a directed verdict.... A motion for a new trial may be joined with this motion,
Conflict exists as to whether a party must move for directed verdict both at the close of the opposing party‘s evidence and again at close of all evidence, or whether a sole motion at close of all evidence suffices to preserve the issue. The court of appeals has stated that “[t]o preserve the question of submissibility for appellate review in a jury-tried case, a motion for directed verdict must be filed at the close of the plaintiff‘s case and again at the close of all evidence.” Goede v. Aerojet Gen. Corp., 143 S.W.3d 14, 18 (Mo.App.2004) (citations omitted). This conflicts with an earlier statement by that court:
If [a] moving party presented no evidence, then the required motion is made at the close of plaintiff‘s evidence. If, however, the moving party presents evidence, the moving party waives any trial court error in denying the motion filed at the close of plaintiff‘s case.
If the moving party, as here, presented evidence, the required motion for a directed verdict must be made at the close of all the evidence. Failure to file such a motion waives a contention that plaintiff failed to make a submissible case.
Schnatzmeyer v. Nat‘l Life Ins. Co., 791 S.W.2d 815, 819 (Mo.App.1990).
When applying this rationale to motions for directed verdict, consideration must be given to the decisions made at different stages during the trial: at the close of plaintiff‘s evidence and at the close of all evidence. At the close of plaintiff‘s evidence,
In terms of preservation, a motion for directed verdict at the close of plaintiff‘s case is necessary only if defendant seeks to have the case determined at that point without introduction of additional evidence. Alternatively, if defendant chooses to put on evidence, the state of the record changes. The case then is decided on all of the evidence. A motion for directed verdict at the close of all evidence becomes the meaningful motion to preserve the issue as it presented itself to the trial court at that time, prior to submission to the jury. After verdict, of course, a motion for JNOV also is required to preserve
2. Specificity of Defendants’ motion
Sanders next claims that Defendants failed to make their motion for directed verdict with requisite specificity. Defendants’ oral motion stated, “We think plaintiff failed to make a submissible case on issues of negligent causation....”
3. Merits of Defendants’ motion
The standard for reviewing a denied motion for JNOV is essentially the same as for reviewing the denial of a motion for directed verdict. Dhyne v. State Farm Fire & Cas. Co., 188 S.W.3d 454, 456 (Mo. banc 2006). A case may not be submitted unless legal and substantial evidence supports each fact essential to liability. Id. at 456-57. The court views the evidence in the light most favorable to the jury‘s verdict, giving the plaintiff the benefit of all reasonable inferences and disregarding evidence and inferences that conflict with that verdict. Giddens v. Kansas City S. Ry. Co., 29 S.W.3d 813, 818 (Mo. banc 2000). A court may reverse the jury‘s verdict for insufficient evidence only when there is a complete absence of probative fact to support the jury‘s conclusion. Investors Title Co., Inc. v. Hammonds, 217 S.W.3d 288, 296 (Mo. banc 2007).
To make a submissible case in a wrongful death suit, a plaintiff must show that the negligence of the defendant “directly caused” or “directly contributed to cause” the patient‘s death.11 Kivland v. Columbia Orthopaedic Group, LLP, 331 S.W.3d 299, 306 (Mo. banc 2011). Missouri requires a showing of two types of causation: “but-for” causation and “proximate” causation. Callahan v. Cardinal Glennon Hosp., 863 S.W.2d 852, 863, 865 (Mo. banc 1993). “In a medical malpractice case, where proof of causation requires a certain degree of expertise, the plaintiff must present expert testimony to establish causation.” Sundermeyer v. SSM Reg‘l Health Servs., 271 S.W.3d 552, 554 (Mo. banc 2008).
Sanders relied on his expert, Dr. Richard Bonfiglio, to establish causation. Dr. Bonfiglio testified that, although there were other contributing factors, including seizures and the temporary loss of oxygen to Ms. Sanders‘s brain, “[i]t‘s quite clear from the record that [Ms. Sanders‘s] brain injury was caused by the elevated ammonia level.” Defendants cite to those contributing factors, as well as facts that Ms. Sanders was in a coma and that she did not die until two years later, for the proposition that Dr. Bonfiglio‘s expert opinion was speculative and not supported by the evidence in the record. Defendants’ argument fails, because it confuses the admissibility of Dr. Bonfiglio‘s opinion testimony with the issue of submissibility of a plaintiff‘s case.
In Washington v. Barnes Hosp., 897 S.W.2d 611, 616 (Mo. banc 1995), this Court discussed the distinction between admissibility of expert opinion testimony and the submissibility of a plaintiff‘s case in reliance thereon. “If a question
Defendants in this case did not challenge the scientific or factual foundation of Dr. Bonfiglio‘s opinion or otherwise object during Dr. Bonfiglio‘s testimony. “[A]n objection or motion to strike is untimely if it comes ‘too late to give opposing counsel an opportunity to correct any deficiencies in the questions or lay an appropriate foundation for the witness‘s opinion.‘” Id. (quoting Seabaugh v. Milde Farms, Inc., 816 S.W.2d 202, 209 (Mo. banc 1991)). By failing to both timely object and move to strike, Defendants waived any issue regarding the admissibility of Dr. Bonfiglio‘s opinion testimony.
In wrongful death actions, a plaintiff must establish that “but for” the defendant‘s actions or inactions, the patient would not have died. Sundermeyer, 271 S.W.3d at 554. But-for causation is also known as “causation in fact.” Washington, 897 S.W.2d at 617 n. 2. This Court has explained:
The general rule is that if a defendant is negligent and his [or her] negligence combines with that of another, or with any other independent, intervening cause, he [or she] is liable, although his [or her] negligence was not the sole negligence or the sole proximate cause, and although his [or her] negligence, without such other independent intervening cause, would not have produced the injury.
Id. at 554-55 (alterations in original) (quoting Harvey v. Washington, 95 S.W.3d 93, 96 (Mo. banc 2003)). “Two causes that combine can constitute ‘but for’ causation.” Harvey, 95 S.W.3d 93, 96 (citation omitted).
Dr. Bonfiglio testified that Ms. Sanders experienced seizures while in a coma on May 27; Ms. Sanders also aspirated vomit into her lungs, which caused oxygen deprivation to her brain. Dr. Bonfiglio testified that Dr. Ahmed prescribed Depakote, which increases the amount of ammonia present in the body. Dr. Bonfiglio opined that Dr. Ahmed was negligent in not ordering a test to determine the amount of ammonia present in Ms. Sanders‘s body, in continuing to prescribe Depakote, and in failing to prescribe Lactulose (an ammonia-flushing laxative). Dr. Bonfiglio testified about the effects of Depakote and its byproduct ammonia on Ms. Sanders:
[A]dding more Depakote to somebody who already is having seizures, is in a coma already, has an elevated ammonia level, it‘s like trying to put out a fire with gasoline. It‘s just the worst possible thing you can do is to give more Depakote, further raising the ammonia level and prolonging how long the brain is going to be exposed to ammonia.
[Ammonia] causes the brain to swell. It interferes with brain function. If the brain is exposed to ammonia long enough, it actually causes the brain cells to die and it can cause a severe brain injury as it did in this case.
Dr. Bonfiglio concluded:
It‘s quite clear from the record that her brain injury was caused by the elevated ammonia level. It stayed elevated for
days. There were other contributing factors.... [These] increased the risk of insult to her brain. Bottom line, its most serious effect on her was the elevated ammonia level from Depakote that caused her very profound brain injury....
... [U]nfortunately, she had a number of medical complications that are known in individuals that suffer brain injury. She had ... aspiration pneumonia. There was also an infected hip ... [which], when you have a brain injury like this, [is] one of the things that can happen.... She also had blood clots that developed, including a clot that went to her lung. The medical term for that is pulmonary embolism. She has had quite a number of complications of this severe brain injury and ... she ended up dying as a consequence of her brain injury.
...
My opinion is that the ... substandard care provided by Dr. Ahmed did directly contribute to the patient subsequently developing complications that led to her death. It took some time, but it was a direct consequence of the care he provided.
Dr. Bonfiglio testified that Dr. Ahmed should have stopped prescribing Depakote and should have prescribed Lactulose to bring down Ms. Sanders‘s ammonia level. Dr. Bonfiglio stated unequivocally that, in his expert opinion, Dr. Ahmed‘s substandard care directly contributed to Ms. Sanders‘s death. Reviewing this evidence in the light most favorable to the jury‘s verdict, there was legal and substantial evidence of “but for” causation.
Proximate causation “requires something in addition to a ‘but for’ causation test because the ‘but for’ causation test serves only to exclude items that are not causal in fact.” Callahan, 863 S.W.2d at 865. Missouri courts “have generally said that the injury must be a reasonable and probable consequence of the act or omission of the defendant.” Id. “This is generally a ‘look back’ test but, to the extent it requires that the injury be ‘natural and probable,’ it probably includes a sprinkling of foreseeability.” Id. “To the extent the damages are surprising, unexpected, or freakish, they may not be the natural and probable consequences of a defendant‘s actions.” State ex rel. Missouri Highway & Transp. Comm‘n v. Dierker, 961 S.W.2d 58, 61 (Mo. banc 1998) (citation omitted). When a physician or nurse acts negligently in the treatment of a patient, later harm arising from that injury is naturally foreseeable. Callahan, 863 S.W.2d at 865-66.
Defendants argue that there is an absence of probative fact from which a jury could find for Sanders. Defendants believe they have found persuasive precedent in Delisi v. St. Luke‘s Episcopal-Presbyterian Hosp., Inc., 701 S.W.2d 170 (Mo.App.1985). In Delisi, the defendant doctor‘s treatment of the plaintiff‘s hand wound did not include prophylactic antibiotics; the wound later became infected. Id. at 172. The plaintiff adduced no expert testimony that antibiotics would have prevented the ensuing infection. Id. Instead, the plaintiff relied on the circumstantial evidence that 1) he had not received antibiotics initially and 2) antibiotics later cured the infection. Id. at 176. The court held that, because the therapeutic properties of antibiotics are beyond the realm of knowledge for an average juror, submitting to the jury on circumstantial evidence alone “would inevitably lead the jurors into the forbidden realm of conjecture and surmise.” Id.
It cannot be said that there is a complete absence of probative fact regarding the element of causation. See Edgerton v. Morrison, 280 S.W.3d 62, 69-70 (Mo. banc 2009). Sanders made a submissible case for the jury.
C. Improper Argument
Defendants’ next assignment of error concerns the trial court‘s refusal to grant a mistrial upon allegedly improper comments made by Sanders‘s counsel during closing argument. Specifically, Defendants argue that counsel‘s statements were designed to ask the jury to send a message to Dr. Ahmed and to deter other doctors from like conduct by arguing for punitive damages.
At the beginning of his closing, Sanders‘s counsel stated, without drawing objection: “I told you this case could have significance beyond this courtroom, actually beyond this city. It could affect this whole region. It could affect this whole country.” Twenty-two pages later in the transcript, counsel said, “As I said, I think the range is anywhere from $5 to $26 million is fair in this case. I think that‘s what you‘ve got to do, because a doctor like this isn‘t going to get the word. He isn‘t going to understand.” Defendants’ counsel objected, citing improper argument, and the court sustained the objection. Defendants’ counsel made no further request for relief.
It “has repeatedly been held that when the trial court sustains an objection to improper argument, and no further remedial action is requested, no error is preserved for appellate review.” Olsten v. Susman, 391 S.W.2d 328, 330 (Mo. 1965). Defendants’ point is denied.
D. Reduction under 537.060
Defendants finally allege the trial court erred in denying Defendants’ motion for reduction.
When an agreement by release, covenant not to sue or not to enforce a judgment is given in good faith to one of two or more persons liable in tort for the same injury or wrongful death, such agreement shall not discharge any of the other tort-feasors for the damage unless the terms of the agreement so provide; however, such agreement shall reduce the claim by the stipulated amount of the agreement, or in the amount of consideration paid, whichever is greater.
“A reduction under
Joint and several liability occurs “where the concurrent or successive negligent acts or omissions of two or more persons, although acting independently of each other, are, in combination, the direct and proximate cause of a single injury to a third person, and it is impossible to determine in what proportion each contributed to the injury.” Glick, 396 S.W.2d at 613, overruled on other grounds by Bennett, 896 S.W.2d 464. This situation can be distinguished from one in which an injury occurs and the negligence of a third party aggravates the initial injury. In such a situation, the third party would be liable only for the damage attributable to the aggravation and not for the initial injury. See State ex rel. Baldwin v. Gaertner, 613 S.W.2d 638, 640 (Mo. banc 1981).
Sanders argues that for Defendants to receive reduction, they must plead and prove a medical malpractice action against each settling defendant for whose payment they claim a reduction. The cases Sanders cites for this proposition do not support his reading of the statute.
In Stevenson v. Aquila Foreign Qualifications Corp., 326 S.W.3d 920, 928 (Mo. App. 2010), the court stated that “a non-settling tortfeasor who claims a settlement affords a right to reduction under
In Walihan v. St. Louis-Clayton Orthopedic Group, Inc., 849 S.W.2d 177, 180 (Mo.App.1993), the court held that the defendants had failed to plead facts sufficient for summary judgment on
The burden of proof is on the party seeking reduction. For the purposes of statutory reduction, a rebuttable presumption of joint liability for the same injury or wrongful death can arise from the plaintiff‘s pleadings and ensuing settlement. Once that presumption arises, it falls to the plaintiff to show that the injuries are divisible. This interpretation fits with the purpose of
Here, Sanders sued settling defendants Kansas City University of Medicine and Biosciences, Carol E. Kirila and Midwest Division M.C.I., LLC. Sanders also sued non-settling defendants Dr. Ahmed and Dr. Iftekhar Ahmed P.A., among others. In his third amended pleading, Sanders alleged:
As a direct and proximate consequence of the acts, omissions and conduct of the defendants set out herein, Paulette Sanders developed an elevation in her serum ammonia level, ... which in turn caused her to become bedridden, physically disabled and mentally incapacitated, the complications of which ultimately directly caused or directly contributed to cause her death on August 24, 2005.
In this pleading, Sanders alleges joint and several liability. When combined with the later settlement between some of these defendants and Sanders, such a pleading suffices to raise a rebuttable presumption that the settlement and suit pertained to the same injury or wrongful death for the purposes of
Given the existence of that presumption, the burden still falls to Defendants to plead and prove the existence and applicability of the settlement and the amount paid thereunder. The trial court held Defendants’ motion for discovery of the settlement terms in abeyance until the close of the trial. Although Defendants pleaded that Sanders had settled, the trial court‘s denial of discovery frustrated their ability to do anything further.
Trial courts have broad discretion in administering rules of discovery, which this Court will not disturb absent an abuse of discretion. State ex rel. Delmar Gardens N. Operating, LLC v. Gaertner, 239 S.W.3d 608, 610 (Mo.2007) (citing State ex rel. Plank v. Koehr, 831 S.W.2d 926, 927 (Mo. banc 1992)). However, “a trial court has no discretion to deny discovery of matters that are relevant to a lawsuit and are reasonably calculated to lead to the discovery of admissible evidence when the matters are neither work product nor privileged.” State ex rel. BNSF Ry. Co. v. Neill, 356 S.W.3d 169, 172 (Mo. banc 2011) (internal quotation marks and punctuation omitted). Here, the discovery of the settlement terms was crucial to Defendants’ affirmative defense of reduction, and the discovery denial prejudiced their ability to plead and prove that defense. Within this context, it would be an injustice to hold that Defendants are precluded from a reduction because of their failure to plead and prove what the trial court withheld from them.13
Sanders‘s pleading of joint and several liability along with the existence of a settlement with named defendants raises
V. Conclusion
The judgment is affirmed in all respects except as to reduction under
RUSSELL, BRECKENRIDGE, FISCHER and STITH, JJ., concur.
DRAPER, J., dissents in separate opinion filed.
TEITELMAN, C.J., concurs in opinion of DRAPER, J.
GEORGE W. DRAPER III, Judge, dissenting.
The principal opinion recognizes that the state constitutional right to a trial by jury applies to Sanders’ claim for wrongful death. The principal opinion then holds that the statutory cap on non-economic damages does not violate Sanders’ right to a jury trial because the legislature could have precluded recovery of non-economic damages completely. When the constitutional right to a jury trial attaches, it is beyond the reach of hostile legislation. Therefore, I respectfully dissent from the principal opinion‘s holding that the statutory cap on non-economic damages does not violate the “inviolate” constitutional right to a trial by jury.
The Missouri Constitution plainly states, “That the right of trial by jury as heretofore enjoyed shall remain inviolate....”
The special constitutional significance of the jury‘s role in determining damages is reflected in the analytical basis for determining whether the right to trial by jury attaches. The principal opinion finds that the constitutional right to a trial by jury only attaches to common law actions that existed before the constitution‘s adoption in 1820, citing Adams v. Children‘s Mercy Hosp., 832 S.W.2d 898, 907 (Mo. banc 1992). However, the reasoning set forth in Adams and followed by the principal opinion is flawed. Adams allows the legislature to modify or abolish causes of action by statute. See Klotz v. St. Anthony‘s Med. Ctr., 311 S.W.3d 752, 773 (Mo. banc 2010) (J. Wolff, concurring). If this maxim is absolute, then the legislature could abolish common law actions and then reenact them as statutory actions with dramatic limitations on damages.
Obviously, this is not the law. If the action is a civil action for damages, then
Because the constitutional right to a civil jury trial attaches in this case, statutory limits imposed on the jury‘s determination of damages directly curtails one of the most significant constitutional roles performed by the jury.
Further, the cap on non-economic damages also violates the separation of powers. The statutory cap on non-economic damages encroaches on the judicial prerogative of remittitur in determining whether the jury‘s assessment of damages is appropriate on a case-by-case basis.1 As an institutional body, the legislature is not in a position of being able to make this particularized determination, and this violates the separation of powers. See Sofie, 771 P.2d at 721; Best v. Taylor Mach. Works, 179 Ill.2d 367, 228 Ill.Dec. 636, 689 N.E.2d 1057, 1081 (1997); Lebron v. Gottlieb Mem‘l Hosp., 237 Ill.2d 217, 341 Ill.Dec. 381, 930 N.E.2d 895, 914 (2010).
Our constitution “deals with substance, not shadows.... If the inhibition can be evaded by the form of the enactment, its insertion in the fundamental law was a vain and futile proceeding.” Cummings v. Missouri, 71 U.S. 277, 325, 4 Wall. 277, 18 L.Ed. 356 (1866). Therefore, I would hold that the cap on non-economic damages as enunciated in
