A jury found Dr. Lynne Schoonover liable in the amount of $3,050,000 for medical
Dr. Schoonover no longer asks for a new trial, but she seeks to reduce the amount of the judgment against her. The doctor asserts that the Superior Court should have allowed her to withdraw her cross-claim for contribution against GWU. Absent the court’s finding on the cross-claim that GWU was a joint tortfeasor, Dr. Schoonover would have been entitled to pro tanto credit for the full amount of GWU’s settlement ($2.1 million), thus reducing her liability by $575,000. 1 Finding no abuse of discretion by the trial court, wе affirm.
I. The Factual Background
In January 2000, Sherri Maybin and her son Alante Maybin were participants in the GWU Health Plan (“Health Plan”) and Alante Maybin was a patient of GWU Pediatrics, which provided a call service for patients to speak with nurses and doctors outside clinic hours. Dr. Schoonover was not employed by GWU, but she and the physicians in GWU’s Pediatric Division had entered into an agreement whereby they took turns answering after-hours calls for each other. During the early morning hours of January 18, 2000, Dr. Schoonover was on call.
On the evening of January 17, Alante Maybin, who was six years old at the time, had been ill for several days; he was acting sleepy and had a headache, a sore throat, and stomach pains. Ms. Maybin called the GWU Pediatrics advice line and spoke with Bernadette Deely, a nurse at GWU, who said Alante probably had a virus and advised Ms. Maybin to make sure her son drank plenty of fluids. Ms. Maybin called the advice line again the next morning because her son was getting worse. When Dr. Schoonover returned the call, Ms. Maybin explained that Alante had diarrhea, red eyes, a fever of 103 to 104 degrees, white spots on his tongue, and stomach pains. He was vomiting and sleepy, and he was not urinating. Dr. Schoonover told Ms. Maybin to call the pediatric practice clinic and tell them to give her a morning appointment to see the first available doctor. When Ms. Maybin placed that call, she spoke with Emily Campbell, a nurse at GWU Pediatrics, who also told Ms. Maybin to take Alante to the clinic.
While Ms. Maybin was making arrangements for transportation, Alante collapsed. Ms. Maybin called 911 and an ambulance rushed her son to Children’s Hospital. Alante was diagnosed with an invasive Group A strep infection and toxic shock. His blood circulation was compromised when many of his orgаn systems shut
Plaintiffs presented expert testimony to support their theory that the standard of care required the nurses and the doctor to follow up with Ms. Maybin and advise her to take her son directly to the nearest emergency room. Dr. Schoonover, Nurse Deely, and Nurse Campbell had all spoken with Ms. Maybin about Alante’s condition, but none of them told Ms. Maybin that the situation was an emergency or advised her to immediately take her son to the nearest emergency room. According to expert testimony presented at trial, in cases of sepsis “minutes can make a significant difference,” and if Alante had been taken to the emergency room immediately after any of the three phone calls Ms. Maybin made to the after hours line, the emergency treatment would have prevented most of the сomplications Alante experienced.
II. The Procedural Background
As amended, the complaint filed by Sherri Maybin, individually and on behalf of her minor son, Alante Maybin, alleged that both GWU and Dr. Schoonover were liable for medical malpractice. (In an order dated July 6, 2005, Beverly Bass Cha-vous was appointed Guardian Ad Litem and was added as plaintiff.) On December 17, 2004, the plaintiffs agreed to settle their claims against GWU; that agreement was memorialized on August 4, 2005, and the court approved it.
In the meantime, Dr. Schoonover requested leave to file a cross-claim against GWU. Both the plaintiffs and GWU opposed, but the court granted leave on March 10, 2005. In her cross-claim, Dr. Schoonover alleged that GWU “is or may be liable to [her] by reason of indemnity and/or contribution.... ”
The claims against Dr. Schoonover proceeded to trial before a jury on November 7, 2005. During that trial (on November 10 and 16), Dr. Schoonover presented evidence to the court, outside the presence of the jury, regarding GWU’s negligence and the causal link between that negligence and Alante Maybin’s injuries. On November 16, the court took the cross-claim under advisement. The jury returned its verdict on November 17, 2005. A few days later, the court entered partial judgment against Dr. Schoonover in the amount of $3,050,000, with interest, “subject to amendment once the cross-claim of Defendant, Lynne Schoonover, M.D., against the settling Defendant, The George Washington University[,] is resolved by the Court.”
Following the verdict, Dr. Schoonover sought credit against the judgment. We describe her motion in more detail below, but it included a request that her cross-claim for contribution be dismissed and that she be given a pro tanto credit of $2.1 million (the amount of GWU’s settlement). 2 Such credit would have reduced the judgment against her to $950,000.
On January 24, 2006, the trial court denied Dr. Schoonover’s motion to dismiss her cross-claim for contribution (and her request for a pro tanto credit). That same day, the court issued findings of fact and conclusions of law, ruling that GWU was a joint tortfeasor responsible for the negligence of Nurses Deely and Campbell. Accordingly, the court entered a final judgment against Dr. Schoonover in the amount of $1,525,000, reflecting a pro rata credit for GWU’s liability as a joint tort-feasor.
III. Rule 41 and Our Standard of Review
Civil Rule 41(a) governs the voluntary dismissal of actions and applies as well “to
Although this portion of Rule 41 is awkwardly worded, the trial court has discretion “not only as to the terms and conditions imposable upon the grant of the motion, but also upon the question whether the dismissal shall be permitted.”
Raney v. District of Columbia Transit System, Inc.,
“The requirement of judicial approval and the provision for court-imposed conditions [in Rule 41(a)(2) ] were intеnded to curb the abuses at common law (and in federal practice) of automatically granting voluntary dismissals anytime before verdict was rendered.”
Conafay v. Wyeth Laboratories,
253 U.S.App. D.C. 279, 280 n. 1,
“The trial court’s decision to permit [or deny] a voluntary dismissal pursuant to Rule 41(a)(2) is discretionary, and we must uphold its decision unless we find an abuse of discretion.”
Thoubboron v. Ford Motor Co.,
Nevertheless, the court’s “discretion must ... bе exercised in conformity with correct legal principles,”
Thoubboron v. Ford Motor Co.,
IV. Legal Analysis
We first consider the nature of appellant’s motion, and the circumstances in which it was filed. After all the evidence had been presented on the issue of contribution, and after the trial court had taken her cross-claim against GWU under advisement, Dr. Schoonover filed a “Motion for Application of Credit Resulting From Settlement Between Plaintiff and Co-Defendant.” In this motion, appellant presented alternative requests, seeming to acknowledge that there were valid options from which the trial court could choose. “[W]ithout relinquishing her crossclaim against GWU for indemnity, Dr. Schoon-over respectfully requested] that [the trial court] modify and reduce the judgment on the verdict against her to $950,000 ($3.05 million less a $2.1 million credit) and dismiss her crossclaim for contribution only.” (underlining in original). (This would have been a pro tanto credit and clearly was her prеference.) “[I]n the alternative (and without relinquishing her crossclaim against GWU for indemnity), Dr. Schoon-over ... requested] that [the trial court] find in favor of her on her crossclaim for contribution and modify and reduce the judgment against her to the amount of $1,525,000 ($3.05 million less a $1,525,000 [pro rata\ credit).” (underlining in original). Thus, Dr. Schoonover wished to proceed with her cross-claim for indemnification, but not her claim for contribution. In her motion, Dr. Schoonover acknowledged that neithеr plaintiffs nor GWU had opposed or contested her cross-claim for contribution. In other words, the evidence of GWU’s negligence was “uncontroverted.”
The trial court carefully articulated its reasons for denying the motion, noting that the parties did not dispute the law governing awards of pro rata and pro tan-to credit. Application of this law depended on whether the settling defendant had been found to be (or had been stipulated to be) a joint tortfeasor. 4 The court recognized that it was called upon to exercise discretion: “[T]he central and determinative issue is whether dismissing Dr. Schoonover’s cross-claim is appropriate under the given circumstances.” (emphasis added).
A. Did the Plaintiffs Have Standing to Object?
The court first determined that the plaintiffs had standing to oppose the motion. Because the plaintiffs were bound by their settlement agreement “to defend, indemnify and hold harmless GWU from and against Dr. Schoonover’s cross-claims for contribution and indemnity,” they effectively stood in GWU’s shoes with respect to thаt cross-claim. Moreover, the plaintiffs were not asserting a generalized grievance, but were opposing a threatened financial injury particular to them. “[I]f Dr. Schoonover’s Motion is granted and a pro tanto credit is applied, the Plaintiffs final judgment will be $575,000 less than a judgment after a pro rata credit is applied.”
To be sure, the plaintiffs would recover the full amount of the verdict even if a
pro tanto
credit were applied. Nevertheless, as we discuss below, this court has allowed plaintiffs, in comparable circumstances, to recover more than the full amount award
Relying on two cases from Maryland, Dr. Schoonover asserts that the triаl court should not have considered the plaintiffs’ opposition to dismissal because they were not parties to the cross-claim. Given the difference in circumstances, we do not find the broad language in those decisions to be persuasive, and they are not binding upon us in any event. 5
In
Murphy v. Board of County Commissioners,
In
Garlock, Inc. v. Gallagher,
Our case does not involve a stipulation of dismissal, nor did the trial court require Dr. Schoonover to undertake any future prosecution. Although GWU did not file an opposition to Dr. Schoonover’s motion, neither did it sign a stipulation of dismissal. And such a stipulation might not have bеen effective in these circumstances. Given the terms of the settlement agreement, the plaintiffs stood in GWU’s shoes. We do not find Murphy and Garlock sufficiently compelling that we should overturn the trial court’s decision to consider the interests of the plaintiffs. 6
The trial court suggested at the outset that Dr. Schoonover was acting in bad faith, but we cannot agree with this portion of its reasoning. This court has obliged defendants to file cross-claims for contribution at an early stage of litigation, often when it is not clear whether
pro tanto
or
pro rata
credit will be more advantageous to the client.
See generally George Washington University v. Bier,
Neverthelеss, the court articulated independent grounds for denying the motion (“even if such a tactical move constitutes good faith”), and the fact that it had become more advantageous for her to drop the cross-claim does not mean that Dr. Schoonover was entitled to do so. A party is not necessarily allowed to revisit this decision after she has collected the optimal amount of information. At this point in the litigation, as wе have demonstrated, Rule 41(a)(2) placed the decision to dismiss beyond counsel’s control and within the discretion of the trial court.
In ruling on a motion for voluntary dismissal, the trial court examines “whether the defendant will be subjected to legal prejudice if the court grants the motion.”
Washington Metropolitan Area Transit Authority v. Reid,
When assessing prejudice in this case, the court relied particularly on factors outlined in
County of Santa Fe v. Public Service Co. of New Mexico,
We have said that “the cоurt must exercise its broad equitable discretion under Rule 41(a)(2) to weigh the relevant equities and do justice between the parties in each case.... ”
Thoubboron III,
At the end of the day, well-established and undisputed legal rules were applied to a fully litigated assessment of all the circumstances. There was no abuse of discretion here, and the judgment of the Superior Court is hereby
Affirmed.
Notes
.
See Washington v. Washington Hospital Center,
. Dr. Schoonover pursued her claim for indemnification, which the court denied in an order issued on January 17, 2006. She does not contest that ruling on appeal.
. "Superior Court Rule 41 is 'substantially identical' to the corresponding federal rule and is 'to be construed in light оf the meaning of that federal rule.’ "
Dorchester House
Associates
Limited Partnership v. District of Columbia Rental Housing Commission,
. See note 1, supra.
. Although "[w]e ordinarily turn to the common law of Maryland for guidance when there is no District of Columbia precedent on an issue,”
George Washington University v. Scott,
. Counsel for appellees has suggested that the persuasive value of
Murphy
and
Garlock
may also be affected by differences between our case law governing contribution and the Maryland Uniform Contribution Among Joint Tort-feasors Act, Md Code Ann., Cts. & Jud. Proc.
. The mere prospect of facing a second lawsuit does not meet that test.
See Thoubboron I,
. In
County of Sante Fe,
the Tenth Circuit stated that among the factors to be considered by a trial court in determining whether to grant a motion for voluntary dismissal are: "the opposing party's effort and expense in preparing for trial; excessive delay and lack of diligence on the part of the movant; insufficient explanation of the need for a dismissal; and the present stage of litigation.”
.
See Berg v. Footer,
. We need not opine as to whether it would have been appropriate for the trial court to have granted Dr. Schoonover’s motion to dismiss if her cross-claim had not already been fully tried and taken under advisement.
