UNITED STATES ex rel. Lonnie PAULOS, MD, Plaintiff-Appellant v. STRYKER CORPORATION; I-Flow Corporation, Defendants-Appellees Orthofix International, as Successor to Breg, Inc., Defendant United States ex rel. Lonnie Paulos, MD, Plaintiff-Appellee v. Stryker Corporation; I-Flow Corporation, Defendants-Appellants Orthofix International, as Successor to Breg, Inc., Defendant.
Nos. 13-2509, 13-2647.
United States Court of Appeals, Eighth Circuit.
Submitted: April 17, 2014. Filed: Aug. 7, 2014.
762 F.3d 688
If you find this evidence has been proved, then you may consider it to help you decide Defendant Ray Anthony‘s---Anthony Bassett‘s motive, opportunity, intent, plan, knowledge and modus operandi. You should not give it the weight and value or you should give it the weight and value you believe it is entitled to receive. If you find that this evidence has not been proved, you must disregard it. Remember, even if you find that the Defendant may have committed similar acts in the past, this is not evidence that he committed such an act in this case. You may not convict a person simply because you believe he may have committed similar acts in the past.
“[A] proper limiting instruction serves as a protection against unfair prejudice.” Cockerham, 417 F.3d at 921.
The district court did not abuse its discretion in admitting evidence of Ray Bassett‘s confession to a 2000 armed bank robbery.
III. Conclusion
The judgment is affirmed.
The judge who heard the case in the district court was Honorable Stephen N. Limbaugh, Jr. The judgment of the district court was entered on July 12, 2013.
Joshua S. Levy, Ropes & Gray LLP, Boston, MA, argued (Brien T. O‘Connor, Boston, MA, Douglas H. Hallward-Driemeier, Washington, DC, Amanda N. Raad, New York City, NY, Ropes & Gray LLP, George E. Wolf, Kelly Bieri, Shook, Hardy & Bacon L.L.P., Kansas City, MO, on the brief), for appellee/cross-appellant Stryker Corp.
Constantine L. Trela, Jr., Sidley Austin LLP, Chicago, IL, argued (Stephen L. Hill, Jr., Dentons US LLP, Kansas City, MO, Andrew G. Klevorn, Katten Muchin Rosenman LLP, Chicago, IL, on the brief), for appellee/cross-appellant I-Flow, LLC.
Before RILEY, Chief Judge, BENTON and KELLY, Circuit Judges.
RILEY, Chief Judge.
In the early 2000s, doctors saw a spike in the number of patients developing chondrolysis---a rare and “painful medical condition whereby an individual loses articular cartilage in a joint,” Mack v. Stryker Corp., 748 F.3d 845, 848 (8th Cir.2014). Concern then surfaced that this spike was related to the use of medical devices known as “pain pumps” to deliver anesthetics via catheter into patients’ joint spaces (the area surrounding a joint).1 See, e.g., id. at 848, n. 3; Huggins v. Stryker Corp., 932 F.Supp.2d 972, 978 (D.Minn.2013). This concern triggered several studies on the effects of placing pain pumps in patients’ joint spaces and also bred numerous product liability lawsuits against pain pump manufacturers like Stryker Corporation (Stryker) and I-Flow Corporation (I-Flow). See, e.g., Mack, 748 F.3d at 847-48; Rodriguez v. Stryker Corp., 680 F.3d 568, 570 (6th Cir.2012); Meharg v. I-Flow Corp., No. 1:08-CV-184-WTL-TAB, 2010 WL 711317 (S.D.Ind. Mar. 1, 2010) (unpublished).
I. BACKGROUND
The parties agree the Food and Drug Administration (FDA) has given “§ 510(k)” clearance4 to market pain pumps generally for “intraoperative” use. Dr. Paulos claims the FDA has consistently refused to approve marketing pain pumps specifically for orthopedic placement in joint spaces.5 Dr. Paulos filed this suit on January 10, 2011, and according to his amended complaint, Stryker and I-Flow marketed pain pumps for placement specifically in joint spaces while knowingly (1) “[f]ail[ing] to disclose material information” about the dangers of using pain pumps in joint spaces or to disclose the lack of safety testing for joint space use; (2) providing “[f]alse[] indicati[ons] that the pain pumps were approved [by the FDA] for use” in joint spaces; and (3) providing “[f]alse labeling and promotion materials” suggesting such use. Dr. Paulos alleges these marketing efforts constituted intentional fraud and induced many healthcare providers to use pain pumps in their patients’ joint spaces. He claims that because many of these healthcare providers sought reimbursement for the pain pumps through federal programs like Medicaid or Tricare, Stryker and I-Flow thereby caused the submission of “false or fraudulent claim[s] for payment” in violation of
Dr. Paulos also asserts he and a colleague, Dr. Charles Beck, were among the first to suspect and investigate the placement of pain pumps as a cause for chondrolysis after Dr. Beck approached Dr. Paulos with this theory. Dr. Paulos claims Stryker knew of the increased risk of chondrolysis early on and alleges he warned Stryker of his and Dr. Beck‘s concern that the uptick in chondrolysis could be related to the use of pain pumps.
After the district court unsealed Dr. Paulos‘s qui tam complaint, Stryker and I-Flow filed a joint motion to dismiss pursuant to
II. DISCUSSION
In the FCA, Congress included what is nicknamed a “public disclosure bar” which prevents qui tam relators from suing for fraud against the government when that fraud is already publicly known. In principle, the FCA‘s qui tam provision “is designed to promote private citizen involvement in exposing fraud against the government, while at the same time,” the public disclosure bar works to “prevent parasitic suits by opportunistic late-comers who add nothing to the exposure of the fraud.” Costner v. URS Consultants, Inc., 153 F.3d 667, 675-76 (8th Cir.1998) (quoting United States ex rel. Rabushka v. Crane Co., 40 F.3d 1509, 1511 (8th Cir.1994)). The FCA provides:
(A) The court shall dismiss an action or claim under this section, unless opposed by the Government, if substantially the same allegations or transactions as alleged in the action or claim were publicly disclosed---
(i) in a Federal criminal, civil, or administrative hearing in which the Government or its agent is a party;
(ii) in a congressional, Government Accountability Office, or other Federal report, hearing, audit, or investigation; or
(iii) from the news media.
A. Public Disclosure
Dr. Paulos‘s claims were publicly disclosed “if substantially the same allegations or transactions” as he alleges were “publicly disclosed” in
First, Dr. Paulos seems to maintain the public reports did not disclose his allegations that (1) “surgeons were not being told that the devices could cause joint damage,” (2) “surgeons were told the devices were approved for use,” and (3) “the devices were being marketed off label.” As the district court discussed in detail, the public documents laid out precisely these points. These independent sources show the following allegations and transactions: (1) various pain pump manufacturers attempted numerous times to obtain FDA approval to market pain pumps for placement in joint spaces, and in every instance the FDA refused approval; (2) Stryker and I-Flow nevertheless encouraged healthcare providers to use pain pumps in joint spaces; (3) neither company disclosed the lack of FDA approval for this use; (4) both companies knew the pumps had never been safety-tested for such use; and (5) both companies continued to market pain pumps for such use even after learning of a possible connection to chondrolysis.8
Attempting to distinguish his fraud claims from these public disclosures, Dr. Paulos contends the public disclosures “do not establish the key part of this False Claims case: specifically, [Stryker‘s and I-Flow‘s] scienter.” Dr. Paulos maintains the disclosures do not allege “any physician (specifically, Dr. Paulos and/or Dr. Beck) told the manufacturers that their course of conduct was directly causing” physicians to use pain pumps in a way that injured patients. On the contrary, one report expressly discloses that Dr. Beck suggested the causal connection to the pain pump manufacturers as early as 2005, and another report alleges I-Flow admittedly knew of a 2006 study linking chondrolysis to joint space use of pain pumps. Many of the cited documents clearly implicate the companies’ knowledge of the pain pumps’ connection to chondrolysis and the lack of FDA approval.
Dr. Paulos finally proposes that, unlike his claims, the public disclosures fail to allege that the companies misled healthcare providers about the absence of FDA approval. The record contradicts this proposition, revealing several public allegations that the FDA had not approved the joint space use of pain pumps and that Stryker‘s and I-Flow‘s marketing practices hid this lack of approval while promoting joint space use.
Finding no meaningful distinction between the public disclosures and Dr. Paulos‘s claims, we conclude the district court did not err in finding a public disclosure sufficient to meet
B. Original Source Exception
Dr. Paulos qualifies as an “original source” if (1) before the public disclosures, he “voluntarily disclosed to the Government the information on which” his claims’ “allegations or transactions... are based,” or (2) he “has knowledge that is independent of and materially adds to the publicly disclosed allegations or transactions, and... has voluntarily provided the information to the Government before filing [this] action.”
At scattered points throughout his opening brief, Dr. Paulos appears to claim independent knowledge of (1) the connection between pain pumps and chondrolysis after assisting Dr. Beck‘s initial research in the area, and (2) Stryker‘s scienter by way of having informed a Stryker executive of the suspected connection between its pain pumps and chondrolysis. Even assuming Dr. Paulos‘s knowledge is independent, his information on these points does not “materially add[] to the publicly disclosed allegations or transactions.”
First, Dr. Paulos bases much of his “original source” argument on his claim that he was among the first to suspect and investigate a causal connection between pain pumps and chondrolysis. Dr. Paulos‘s complaint shows that from an early point, he was involved in discussions with colleagues on the chondrolysis issue and that during this time he treated at least one patient suffering from chondrolysis (and was referred several others). Dr. Paulos also claims to have spoken with Dr. Beck about Dr. Beck‘s early research investigating the connection. A relator is not an original source of information under the statute simply because he discovered or suspected it first. See
The connection between device and disease (and details of the science and studies supporting it) can be found in numerous news media and FDA reports. Other than the causal connection itself, Dr. Paulos has not clarified what information his own conversations or research revealed, what these details add to the public knowledge base, or how any such additions are material to his FCA claims. With the key facts to Dr. Paulos‘s FCA claims---i.e., the lack of safety testing and causal connection between device and disease---already thoroughly revealed and without any clear sense about what new information Dr. Paulos brings to the table, we cannot say his knowledge (even if gained early and independently) materially contributes anything of import to the public knowledge about the alleged fraud. See Kraxberger, 756 F.3d at 1080 (concluding relator‘s knowledge did not “materially add to what
The focus of FCA liability is on knowing fraud in seeking federal funds, see
Second, Dr. Paulos asserts he has independent knowledge relating to Stryker‘s scienter in that he warned Stryker executives of a connection between the pain pumps and chondrolysis. Dr. Paulos‘s complaint focuses on one communication in particular---a 2005 fax and e-mail he sent to a Stryker executive in which Dr. Paulos claimed to know of several cases in which patients unexpectedly developed chondrolysis and explained “[t]he only common link [wa]s the pain-dripping devices [pain pumps] with Marcaine or Lidocaine and Epinephrine.” He also shows that a Stryker executive passed along Dr. Paulos‘s warning and noted the concern “that Marcaine w[ith] epi[nephrine]” may be “rotting the cartilage in shoulders.” Dr. Paulos seems to assume his communications alerted Stryker about the danger of placing pain pumps in joint spaces, but “there was no mention whatsoever in these... communications regarding pain pump placement” as relevant to Dr. Paulos‘s chondrolysis concerns. See Phillippi v. Stryker Corp., No. 2:08-CV-02445-JAMKJN, 2010 WL 2650596, at *2 (E.D.Cal. July 1, 2010) (unpublished) (emphasis added) (examining Dr. Paulos‘s same communications in a pain pump product liability case), aff‘d, 471 Fed.Appx. 663 (9th Cir.2012) (mem.op.) (reviewing the district court‘s grant of summary judgment de novo and concluding, “as the district court found, [plaintiff] provided insufficient evidence to raise a known or knowable risk of chondrolysis at the time of [plaintiff‘s] surgery“). Instead, Dr. Paulos singled out the use of certain drug combinations with the pain pump, specifying this was the “only common link” between Dr. Paulos‘s chondrolysis patients. (Emphasis added). See id. Although scienter in presenting false or fraudulent claims is certainly a necessary and important element in any FCA claim, see
To the extent Dr. Paulos‘s independent warning can be said to have put Stryker on notice of the chondrolysis issue generally, the public reports discussed above indicate Stryker already had reason to know of the pain pumps’ connection to chondrolysis after orthopedic uses while also disclosing allegations that (1) Dr. Beck supplied the results of his study to the pain pump manufacturers, and (2) Stryker knowingly misrepresented the dangers of pain pump placement. Given the limited
Because Dr. Paulos‘s proposed independent knowledge cannot be said to “materially add[] to the publicly disclosed allegations or transactions,” he is not an “original source” under
C. Procedural Issues
Finally, Dr. Paulos faults the district court for looking to materials outside the pleadings in resolving Stryker and I-Flow‘s motion to dismiss. Even though Dr. Paulos opposed the motion by submitting his own additional materials outside the pleadings, he complains the district court should not have looked to the public disclosure documents. He contends the motion essentially “amount[ed] to a [Federal Rule of Civil Procedure] 12(b)(6) motion” so that the district court should have converted the motion to one for summary judgment pursuant to
Assuming the motion is best viewed as one made under
III. CONCLUSION
We affirm.
