Lead Opinion
¶ 1. Plaintiff in this medical malpractice action appeals from a summary judgment of the Washington
¶ 2. As found by the trial court, the facts may be briefly summarized. Plaintiff is the administratrix of the estate of her son, Shaun Smith, who died at the age of eighteen while being treated at defendant Central Vermont Hospital. Shaun was injured in a bicycle accident on July 1,1999. Emergency medical personnel found him sitting on the side of the road, complaining of back and mouth pain. The EMS squad transported him to CVH, where he presented with facial trauma and appeared to be extremely combative. Dr. Goldberg, a specialist in emergency medicine, consulted with the emergency personnel and examined Shaun, but did not immediately call for the assistance of a surgeon or anesthesiologist. Shaun was placed in restraints and given anti-anxiety medication. One and a half hours later, he was sent to x-ray. Upon returning from x-ray, he appeared to have difficulty breathing. After several attempts, he was successfully intubated (a tube was inserted to help with his breathing). By then, however, he had aspirated enough blood into his lungs that he was unable to breathe despite the intubation. He died shortly thereafter.
¶ 3. Plaintiff filed a medical malpractice action against Dr. Goldberg and CVH. In February 2002, defendants moved for summary judgment, noting that plaintiff had failed to provide a timely disclosure of the expert opinions on which she planned to rely and therefore could not establish the elements of her claim. The court denied the motion, but established a new discovery schedule, requiring disclosure of all experts by June 6, 2002, after which plaintiff would be precluded from disclosing any experts. Plaintiff disclosed as her expert Dr. Andrew Sumner, a specialist like Dr. Goldberg in emergency medicine. Dr. Sumner was deposed in September. In his deposition testimony, Dr. Sumner opined that — in view of Shaun’s symptoms and medical history — Dr. Goldberg had been negligent in failing to call immediately for the assistance of a surgeon and anesthesiologist to consult on the need to intubate, but also indicated that the failure to intubate right away was negligent and a proximate cause of Shaun’s death. At one point, Dr. Sumner acknowledged that if a surgeon and anesthesiologist had counseled against immediate intubation, “then I wouldn’t be critical of [Dr. Goldberg].”
¶ 4.. In December 2002, defendants filed a second motion for summary judgment. In support of the motion, they filed the affidavits of the two surgeons and the anesthesiologist who had actually been called to intubate Shaun after several hours at the hospital. All three physicians stated that — if they had been called earlier — they would not have recommendedintubation. In her opposition to the motion, plaintiff adduced no affidavits or other expert testimony to directly refute the opinion of. the three specialists, but did note that Dr. Mason (the surgeon) had acknowledged in his deposition that he was not an expert in intubation, and that Dr. Sharp (the anesthesiologist) had admitted that it was difficult to assess what was required in the emergency room without having been there. Plaintiff also attached an affidavit from Dr. Sumner in which he stated that, in light of Shaun’s agitation, medical history, and facial injuries, a reasonable standard of medical care required a rapid sequence intubation (RSI) when Shaun arrived at the hospital, and that Dr. Goldberg’s failure to administer one was negligent and a proximate cause of Shaun’s death.
¶ 5. Defendants moved to strike Dr. Sumner’s affidavit as a “sham” under
¶6. We note initially that plaintiff’s pro se brief does not expressly challenge the trial court’s decision to exclude Dr. Sumner’s affidavit. Plaintiff does, however, claim that Dr. Sumner’s deposition testimony — fairly read — raised the same argument in abbreviated form that was contained in the affidavit. Accordingly, if plaintiff is correct, the trial court’s rationale for exclusion — that the affidavit raised a new, untimely theory of liability — would be untenable.
¶ 7. Upon careful review of the record evidence, we conclude that plaintiff is correct. Plaintiff’s expert-witness disclosure statement, submitted on June 6, 2002, indicated that Dr. Sumner was of the opinion that defendants had been negligent in failing to arrange for an
immediate consultation with a general surgeon to assist in the initial assessment and stabilization; consultation with an anesthesiologist to endotracheally intubate such patient and paralyze him to facilitate rapid completion of the head CT and other radiographic studies; and consultation with a neurosurgeon if there was one on the medical staff.
Had this been done in an ex-pedtious manner, Shaun Smith would have received early airway management and been diagnosed with a severe head injury-
(Emphasis added.)
¶ 8. Consistent with the expert disclosure, Dr. Sumner testified at his deposition that Dr. Goldberg should have called for the assistance of a surgeon and anesthesiologist, and also stated that a special intubation procedure, known as a rapid sequence intubation or RSI, was an immediate necessity. Dr. Sumner testified to this effect twice. His initial statement was as follows: “So what I’m saying the standard is, is you — here’s this kid, he hits a door, he’s wild, he’s agitated, he’s got a head injury, you call anesthesia in, surgery, you intubate this kid then and there" (Emphasis added.) A subsequent statement was to the same effect: “Well, that’s the gross idea where I’m going, is what I say the standard is. He’s got a moderate head injury, he should have had rapid sequence intubation.” (Emphasis added.)
¶ 10. Whether the two theories of liability are inconsistent is a different question, however, from whether Dr. Sumner’s affidavit sets forth a virtually new theory of liability. In this regard, the record evidence does not, in our view, support the trial court’s conclusion that Dr. Sumner’s affidavit stated a new and untimely theory of liability that had not been stated at the deposition or disclosed in a timely supplemental response under V.R.C.P. 26(e). Rule 26(e) imposes a continuing duty upon a party “to supplement or correct” previously disclosed discovery responses “to include information thereafter acquired... if the party learns that the [earlier] response is in some material respect incomplete or incorrect and if the additional or corrective information has not otherwise been made known to the other parties during the discovery process or in writing.” Although Dr. Sumner’s affidavit may have emphasized one previously stated theory of liability over another, it did not contain newly acquired information or state a new theory that had not previously been disclosed at the deposition. Accordingly, we are persuaded that the affidavit contained no genuinely new material within the meaning of Rule 26(e).
¶ 11. Even if the affidavit’s emphasis on one theory over another could be construed as falling within the scope of the rule, however, we would have difficulty upholding the court’s sanction as reasonably commensurate with the purported violation and within the court’s otherwise broad discretion. See David v. Caterpillar, Inc.,
¶ 13. We have repeatedly observed that the purpose of liberal discovery rules is “the prevention of surprise to one’s opponents,” and have not hesitated to affirm the ultimate discovery sanction of exclusion when to do otherwise would frustrate this objective. White Current Corp. v. Vt. Elec. Coop.,
¶ 14. Furthermore, as noted, defendants submitted three supplemental affidavits’ by their own experts that directly rebutted Dr. Sumner’s affidavit. Accordingly, there is no basis to conclude that defendants were unable to effectively respond to the new affidavit. Additionally, the trial court was fully empowered to require that Dr. Sumner submit to additional discovery, at plaintiff’s expense if the court deemed fit, to “cure” any possible prejudice to defendants. Nothing in the record suggests that the additional time entailed would have disrupted any trial schedule, nor is there any record evidence of bad faith or of a willful nondisclosure on plaintiff’s part.
¶ 15. While we recognize fully the importance of affording the trial courts ample leeway to control their dockets through management of the discovery process, we also believe that courts must consider the actual consequences that may arise from perceived discovery violations and consider less drastic responses to the exclusion sanction in the absence of any bad faith, prejudice to the parties, or unwarranted delay in the trial process. See Outley,
Reversed and remanded.
Notes
Defendants claimed that the affidavit was a “sham” fabricated to create a new theory of liability, but the trial court did not address the issue, and our review of the record reveals no evidence to support the claim.
Dissenting Opinion
¶ 16. dissenting. After carefully reviewing the facts in the record, I cannot agree that the trial court abused its broad discretion by excluding plaintiff’s untimely affidavit in this close case.
¶ 17. Although plaintiff has only appealed from the entry of summary judgment, the majority concludes that the superior court abused its discretion by excluding an untimely affidavit containing new discovery material. The Court reaches this conclusion on either of two alternative grounds. First, it assigns error to the trial court’s finding that Dr. Sumner’s later affidavit contained new and untimely discovery material. Second, assuming arguendo that the affidavit did contain new material, the majority concludes that the court abused its discretion by excluding the material as Rule 37 suggests. V.R.C.P. 37(e)(1). The appropriate standard of review requires us to defer to the trial court’s judgment in close cases such as this, see Schmitt v. Lalancette,
¶ 18. The majority first disagrees with the superior court’s finding that Dr. Sumner’s affidavit contains new discovery material. Although that determination involved factual findings, which we generally review for clear error, e.g., Hoover v. Hoover,
A party that without substantial justification fails to,supplement responses as required by Rule 26(e) is not, unless such failure is harmless, permitted to use as evidence at a trial, at a hearing, or on a motion any witness or information not so disclosed. In addition to or in lieu of this sanction, the court, on motion and after affording an opportunity to be heard, may impose other appropriate sanctions.
Thus, the rule automatically excludes undisclosed discovery material unless the court affirmatively finds the failure to disclose was harmless. The majority relies on an analogous federal decision, David v. Caterpillar, Inc.,
¶ 20. In David, the Seventh Circuit reviewed a case in which the trial court had chosen not to exclude expert testimony after concluding that the plaintiff’s failure to disclose was harmless. The court began its discussion of discovery sanctions by stating that Rule 37 exclusion ‘“is automatic and mandatory unless the sanctioned party can show that its violation ... was either justified or harmless.’ ”
¶ 21. Moreover, in addressing the David factors, the Court narrowly construes the meaning of “prejudice and surprise” and “bad faith,” and apparently concludes that plaintiff’s discovery violation was “harmless.” In a circumstance like this, however, where plaintiff’s entire case hinges upon the introduction of untimely discovery material, it is dif
¶ 22. Because I cannot agree that exclusion of the untimely affidavit amounts to an abuse of discretion, I respectfully dissent.
Motion for reargument denied January 20,2005.
Note: Chief Justice Amestoy sat for oral argument but did not participate in this decision.
For many years there was a dispute among the federal courts over the appropriate standard of review when a trial court makes findings based on documentary evidence, but the 1985 amendment to the federal rule made it clear that the clearly erroneous standard applies to findings made on both testimonial and nontestimonial evidence. 9A C. Wright & A. Miller, Federal Practice and Procedure § 2587, at 585 (2d ed. 1995). The Reporter’s Notes to the Vermont rule indicate that this has always been the law in Vermont. Reporter’s Notes, V.R.C.P. 52.
The majority appears to treat the trial court’s decision on this issue as though it were part of its later ruling on the motion
