Lead Opinion
The opinion of the Court was delivered by
The issue raised in this medical malpractice case is whether a jury should receive an ultimate outcome instruction that, at the time of the alleged malpractice, the Charitable Immunity Act, N.J.SA. 2A:53A-8, limited a hospital’s liability to no more than $10,000. The trial court declined to give such an instruction. The Appellate Division in a published opinion concluded that the instruction should have been given. 295 N.J.Super. 212, 231-32,
We reverse and hold that an ultimate outcome instruction should not be given to a jury concerning the statutory limitations of a hospital’s liability.
I
On June 19,1989, Russell M. Wood was admitted to St. Joseph’s Medical Center (St. Joseph’s) in Paterson, New Jersey for treatment of heart disease and chronic renal failure. At the time, he
Upon Wood’s arrival at St. Michael’s, he was immediately admitted to the telemetry unit where he was connected to a cardiac monitor under continuous supervision. Wood missed his Friday, July 14, dialysis treatment, and his doctor arranged to have that treatment provided the next day. Wood was taken to the dialysis unit about noon that Saturday, July 15. He arrived unconnected to a cardiac monitor, notwithstanding that no order had been written in his chart discontinuing the monitor. Although the dialysis unit was equipped with a cardiac monitor, Wood was never connected to it.
During dialysis treatment on July 15, Wood’s vital signs remained normal from approximately 12:30 p.m. through 2:00 p.m. At 2:25 p.m., however, a nurse found Wood unresponsive with no blood pressure. Despite being successfully resuscitated, he sustained irreversible brain damage as a result of the loss of oxygen and remained in a coma until his death on August 28, 1989. Plaintiffs experts opined that had his heart been monitored during the dialysis treatment, the cardiac arrest could have been avoided altogether or counteracted in time to avoid brain damage.
Plaintiff instituted the present litigation against St. Michael’s, two dialysis nurses, two residents who had attended decedent in the telemetry unit, and all the attending doctors, Drs. Rubenstein, Goldfarb, Senft, Haddad, and Chenitz. Prior to trial, partial summary judgments were granted dismissing Dr. Chenitz and the
The jury returnеd a verdict finding no cause of action against the doctors, but finding the hospital negligent. The jury awarded total damages of $150,000. The trial court molded the verdict and entered judgment for $10,000 based on the Charitable Immunity Act. Plaintiffs subsequent motion for a new trial was denied. She appealed several court rulings, including the denial of her request to give an ultimate outcome charge to the jury.
The Appellate Division affirmed the partial summary judgments in favor of Drs. Chenitz and the two residents. 295 N.J.Super. at 220,
II
St. Michael’s argues that the Appellate Division’s decision impermissibly interferes with its legislatively created limited immu
St. Michael’s maintains that an ultimate outcome charge is distinguishable from similar charges given in comparative negligence cases and the lost-chance line of cases following Scafidi v. Seiler, 119 N.J. 93,
Plaintiff maintains that Johnson, supra, was wrongly decided and is contrary to the holding of Roman v. Mitchell, 82 N.J. 336,
Ill
-A-
The Charitable Immunity Act was enacted by the Legislature in response to Benton v. Y.M.C.A., 27 N.J. 67,
[A]ny nonprofit corporation, society or association organized exclusively for hospital purposes shall be liable to respond in damages to such beneficiary who shall suffer damage from the negligence of such corporation, society or association or of its agents or servants to an amount not exceeding $10,000.00, together with interest and costs of suit, as the result of any 1 accident and to the extent to which such damage, together with interest and costs of suit, shall exceed the sum of $10,000.00 such nonprofit corporation, society or association organized exclusively for hospital purposes shall not be liable therefor.
[N.J.S.A 2A:53A-8.1 ]
The constitutionality of the statute, which is not before us, was upheld in Edwards v. Our Lady of Lourdes Hospital, 217 N.J.Super. 448,
This act shall be deemed to be remedial and shall be liberally construed so as to afford immunity to the said corporations, societies and associations from liability as provided herein in furtherance of the public policy for the protection of nonprofit corporations, societies and associations organized for religious, charitable, educational or hospital purposes.
[JV./.S.A 2A53A-10.]
In furtherance of that purpose, this Court has held that the Act must be liberally construed to provide immunity for the protection of nonprofit corporations organized for religious, charitable, educational, or hospital purposes. Schultz v. Roman Catholic Archdiocese of Newark, 95 N.J. 530, 537-38,
The two federal cases relied on by the dissent do not support an ultimate outcome instruction. Post at 490-91,
In In re Aircrash in Bali, Indonesia, 871 F.2d 812 (9th Cir. 1989), relatives of Pam Am Airline passengers sought to recover more than the $75,000 limitation imposed by the Warsaw Convention (Convention). Id. at 814. To achievе that goal, plaintiffs sought to persuade a jury that the airline engaged in willful misconduct or that it failed to notify its passengers of the $75,000 Convention limitation. Id. at 814 n. 1. The damage limitation was placed before the jury in order for it to perform its role as fact-finder. Id. at 815. Vinieris v. Byzantine Maritime Corp.,
-B-
Plaintiffs claims against the multiple defendants that each was negligent and that such negligence proximatеly contributed to the death of the decedent, required the jury to apportion the total negligence between all defendants found liable. Such apportionment implicates the comparative negligence statute, N.J.S.A. 2A:15-5.1 to -5.3. Plaintiffs request for an ultimate outcome instruction concerning the hospital’s limited liability was based on the ultimate outcome charge used in comparative negligence and lost-chance cases.
This Court first allowed an ultimate outcome instruction in a comparative negligence context in Roman v. Mitchell, supra, 82 N.J. at 345,
The Court reasoned that an ultimate outcome jury instruction was not a novelty in the jurisprudence of negligence. Prior to the adoption of our comparative negligence statute, a plaintiffs contributory negligence was a complete bar to recovery if it proximately contributed to the occurrence of an accident. Dziedzic v. St. John’s Cleaners & Shirt Launderers, Inc., 53 N.J. 157, 161, 164-65,
When the Court in Roman acknowledged that an ultimate outcome instruction prevents a jury from applying a mistaken notion of how a statute works, and when it agreed with plaintiff that the jury probably intended that plaintiff recover 25% even though it found plaintiff 75% negligent, the Court by implication based its decision to require an ultimate outcome instruction partly on the fact that New Jersey had adopted a modified rather than a pure comparative negligence statute. N.J.S.A. 2A:15-5.1; Van Horn v. William Blanchard Co., 88 N.J. 91, 94,
The Roman Court relied on decisional law of Idaho, a state that also has a modified comparative negligence statute. In Seppi v. Betty, 99 Idaho 186,
A jury uninformed about the precise working of the Idaho comparative negligence law, when presented with questions asking them to apportion the negligence between the parties and to fix the total amount of damages, is likely to assume that the plaintiffs recovery will be reduсed in proportion to his negligence. In such situation the Idaho comparative negligence rule, which bars recovery if the plaintiffs negligence is 50% or more, poses a trap for the uninformed jury____ In the case where it is clear that both parties were negligent to some extent, a 50-50 allocation of negligence is singularly attractive to a jury.... Thus, the uninformed jury could easily deceive itself into believing that it has decided that the defendantshould pay for half of the plaintiffs damages when in fact it has determined that the plaintiff will recover nothing at all.
{Id.579 P.2d at 690 .]
The Court in Roman used the Idaho Supreme Court decision as an interpretive aid for our comparative negligence statute because both states had adopted a modified version of comparative negligence that drove the ultimate outcome instruction decision. See Suter v. San Angelo Foundry & Mach. Co., 81 N.J. 150, 161,
The concern about an uninformed jury is not critical in a pure comparative negligence jurisdiction because the jury would be correct in assuming that a plaintiffs recovery simply would be reduced by the extent of that рlaintiffs negligence. Thus, the Roman decision was appropriate under New Jersey’s modified comparative negligence statute because in order to make an informed apportionment of fault, the jury needed to know that a plaintiff would not recover if that plaintiff was determined to be more negligent than a defendant from whom recovery was sought.
Following the decision in Roman, the Court in Fischer v. Canario, 143 N.J. 235,
In a Scq/wii-type case, as with comparative negligence, “ ‘a tortfeasor should be charged only with the value of the interest he [or she] destroyed.’ ” Scafidi, supra, 119 N.J. at 112, 574 A.2d 398 (quoting Joseph H. King, Jr., Causation, Valuation, and Chance in Personal Injury Torts Involving Preexisting Conditions and Future Consequences, 90 Yale L.J. 1353, 1356 (1981)).
[Anderson, supra, 144 N.J. at 207,676 A.2d 127 .]
Fischer required an ultimate outcome instruction so that the jury would know the legal effect of the apportionment of causation. Fischer, supra, 143 N.J. at 254,
Johnson v. Mountainside Hospital, supra, 239 N.J.Super. 312,
The purpose of that requested jury instruction in Johnson and the present ease was the same: to counteract defendant’s per
In rejecting the request for an ultimate outcome instruction, the court in Johnson stated:
If the requested instruction was to have any effect upon a jury’s verdict, it could only be to persuade the jury to shift to the other defendants some amount for which it had concluded the hospital, and not the other defendants, was justly responsible. By the enactment of N.J.S.A. 2A:53A-8, the legislature determined that, as a matter of social policy, an injured beneficiary of the hospital’s works, can shift only a limited share of the consequences of the hospital’s negligence to the hospital itself. But there is no reason to believe that a purpose of the statute was to shift any part of those consequences to other parties merely because they happen to be caught up in the same law suit as the hospital. We agree with the trial judge that a charge leading to that result would be unfair and inappropriate. In that respect, we think that the situation presented by this ease is different from situations in which an ultimate outcome charge has been held to be required. See Roman v. Mitchell, 82 N.J. 336, 345-347,413 A.2d 322 (1980); Dimogerondakis v. Dimogerondakis, 197 N.J.Super. 518,485 A.2d 338 (Law Div.1984).
[Id. at 325-26,571 A.2d 318 .]
IV
We agree with the holding in Johnson and its reasoning. Neither Roman nor Fischer supports an ultimate outcome charge that informs a jury that a defendant hospital hаs statutorily limited monetary liability. Both Roman and Fischer were limited to comparative fault situations.
In a comparative fault situation, the jury is required to express the relative culpability of the defendants in terms of percentages. Because New Jersey does not have a “pure” comparative fault system, the ultimate outcome instruction was required so that the jury would not deliberate on the percentages of fault under some mistaken notion of how the statute that controlled its deliberations worked. Without such a charge, the jury could mistakenly assume that a finding that plaintiff was sixty percent negligent and defendant was forty percent negligent would allow plaintiff to recover forty percent.
Furthermore, for more than three-quarters of this century our courts have held that in negligence cases, it is improper to inform the jury whether the defendant is insured or uninsured. Sutton v. Bell, 79 N.J.L. 507, 510,
Consistent with the principle that juries in negligence cases not be informed regarding the insured status of a defendant, our public policy has prohibited counsel in negligence cases from requesting a jury to return a damage award in a specific amount.
Complementary to our decisional law and court rules precluding arguments for or against a specific sum in negligence cases, the Legislature has also addressed the issue. As part of its 1995 tort reform, L.1995, c. 142, § 9, the Legislature directed that “[t]he jury shall not be informed of the cap on punitive damages established by section 6 of this act.” N.J.S.A. 2A:15-5.16. The cap was fixed at “five times the liability of that defendant for compensatory damages or $350,000, whichever is greater.” L.1995, c. 142, § 6, codified at N.J.S.A. 2A:15-5.14b. Because a hospital can be subject to a potential claim for punitive damages, Perna v. Pirozzi, 92 N.J. 446, 461,
In view of the foregoing legal principles, an ultimate outcome charge, based on the Charitable Immunity Act, in a negligence suit against a hospital is not only irrelevant but has the clear potential of being highly prejudicial. We are convinced that the prejudicial effect of such an instruction could be to shift to other defendants some percentage of negligence that the jury thought should rightfully be assessed against the hospital. We find persuasive the hospital’s argument that informing a jury about a hospital’s limited liability is akin to telling a jury whether a defendant is insured and the amount of coverage and is at least as prejudicial as telling it about insurance coverage. Such a prejudicial effect would be the antithesis of what Roman and Fischer anticipated. Informing a jury of the liability cap also violates the legislative policy expressed in the Charitable Immunity Act of protecting nonprofit hospitals and the Legislature’s desire to
Finally, we find unpersuasive plaintiffs assertion that an ultimate outcome charge is especially needed when the same defense attorney represents the hospital and its employees. A hospital can only act through its agents, servants and employees. Schultz, supra, 95 N.J. at 538,
That portion of the judgment of the Appellate Division requiring an ultimate outcome jury instruction is reversed. As modified, the matter is remanded to the Law Division for retrial as ordered by the Appellate Division.
Notes
The statute was amended effective July 31, 1991, to raise the outer limit of a hospital's liаbility to $250,000. L.1991, c. 187, § 48.
Dissenting Opinion
dissenting.
In this medical malpractice case tried to a jury, the jury determined that St. Michael’s Hospital’s negligence was a proximate cause of the death of plaintiffs decedent, and returned a damages verdict against the Hospital in the amount of $150,000. The jury also returned a verdict of no cause of action in favor of Doctors Rubenstein, Senft, and Haddad. On appeal, the Appellate Division ruled that the trial court erred in dismissing plaintiffs claims against Nurse Forshage at the close of plaintiffs case, and that because of trial error the verdict in favor of Dr. Haddad must be set aside and a new trial ordered. 295 N.J.Super. 212, 222,
We granted certification, 150 N.J. 26,
I
Both the Court’s and the Appellate Division’s opinions agree that the most influential New Jersey precedents bearing on the ultimate outcome charge issue are Roman v. Mitchell, 82 N.J. 336,
In Roman, supra, damages were sought on behalf of a twelve-year-old plaintiff who, while standing with his bicycle on the shoulder of the New Jersey Turnpike after being stopped by a state trooper, was seriously injured when a dump truck being driven on the Turnpike lost its two left rear wheels, one of which careened across the roadway onto the shoulder causing serious injuries to the plaintiff. 82 N.J. at 340,
Prior to the jury verdict, the plaintiffs counsel requested that' the jury be instructed essentially that “for the infant plaintiff to recover, the jury would have to find that the defendant’s percentage of negligence was greater than that of the plaintiff, and that the damages awardable to the infant must be diminished in proportion to the amount of negligence attributable to him.” Id. at 342-43,
On the ultimate outcome charge issue, the Court acknowledged the plaintiffs contention that
unless the jury is made aware of the legal effect of its findings as to percentages of negligence, such findings may be premised on an erroneous concept of the law and can result in a molded judgment far different from that intended by the jury. In this very ease it has been suggested that the jury may well have concluded that its findings of the infant plaintiffs negligence quota of 75% and defendant Mitchell’s 25% would result in a monetary verdict for plaintiff for 25% of the damages found.
[Id. at 345.]
This Court concluded that in comparative negligence cases a jury should be given an ultimate outcome charge “so that its deliberations on percentages of negligence will not be had in a vacuum, or possibly based on a mistaken notion of how the statute operates.”
This Court’s insistence on an ultimate outcome charge in Fischer v. Canario, supra, 143 N.J. 235,
On appeal, we held that the Scafidi rule should apply to all cases tried after the date of that decision, 143 N.J. at 251,
Plaintiff contends that an ultimate outcome charge was necessary because throughout the trial the jury heard testimony that, as of the date of the alleged malpractice, Mrs. Fischer had a fifty percent chance of cure. Plaintiffs counsel was concerned that the jury would likely infer from this testimony that plaintiffs total damages equalled half of what the total damages actually were. Because the court refused to give the ultimate outcome charge, plaintiff contends that the jury itself compromised its award to reflect the value of the lost chance.
[Id. at 253,670 A.2d 516 .]
In concluding that the trial court’s failure to provide the jury with an ultimate outcome charge constituted reversible error mandating a retrial on damages, we observed:
The value of an ultimate outcome charge in lost-chance cases is that it informs the jurors of the effect of then- causation apportionment. The charge makes clear to jurors that they are to award full damages, and the trial court will make any necessary adjustments in light of their findings. Without the charge, there is the risk that the jurors will reduce their damage award in light of the apportionment of fault they find as part of their verdict. Then, once the trial court makes the same reduction, the plaintiff would receive an inadequate recovery. When a Scafididamage-apportionment rule is applicable, an ultimate outcome charge generally should be given.
The trial court, in the exercise of its discretion, did not give an ultimate outcome charge because it concluded that such a charge would “tend to mislead or confuse the jury,” because “[tjhey don’t have to reach a conclusion of what percent the chance of survival was in this case.” However, even though the jury did not decide the percentage of lost chance of recovery, an ultimate outcome charge would have clarified matters. It would have explicitly separated in the jury’s mind the fifty percent stipulation from the damages award. Accordingly, we find that the trial court erred by declining to provide an ultimate outcome charge.
[Id. at 254,670 A.2d 516 .]
II
This Court’s opinion in Roman, supra, adverted to the growing trend in favor of providing ultimate outcome instructions to juries in comparative negligence cases. 82 N.J. at 346,
The majority rule, however, was subjected to sharp criticism. Professor Leon Green, an early critic, expressed strong disagreement with the Texas rule prohibiting ultimate outcome instructions:
No one would contend that the purpose of instructions should be to prejudice a case in favor of one party or the other. Nor would it be contended that the purpose of an explanatory instruction should be the direction of the jury to proceed to find for one party or the other without respect to the merits of the issue as supported by the law and the evidence. The purpose is to explain the issue so that its significance can be understood, intelligently considered and fairly determined. If so knowing the significance of issues, juries also know how to answer them for one party or the other, that is not only their right and a matter for their conscience, but it is likewise a right of the parties under the law. Admittedly jurors do understand the significance of most issues and are trusted to answer them honestly. What reason is there for not trusting them on complex issues if their significance is explained?
It does not seem that the blindfold is a proper remedy for this evil, for there is no blindfold known that will prevent a jury from thinking they know the legal effect of their answers. The better remedy seems to be to inform a jury of the legal effect of the issue so that the evidence can be weighed with respect to that issue and its consequences. If they mistakenly think they know the significance of their answers, this false assumption results in a verdict they do not want and one out of line with the facts as the jury conceive[s] them to be. But if they know the legal effect of the issue, its effect and the evidence to support it are open for debate both by counsel and by the jurors themselves without emphasis on the end to be reached.
[Leon Green, Blindfolding the Jury, 33 Texas Law Rev. 273, 281-83 (1955).]
Professor Charles Alan Wright also took issue with the majority rule:
It hardly seems logical to restrict the discretion of the trial judge. Since he is free to choose either a general verdict with a general charge, or special verdicts with no charge, he should be permitted the intermediate device of special verdicts accompanied by a charge on the law. Judges who think that the jury is intended to reflect the voice of the man in the street may well prefer to follow this course.
Finally, it must be evident that in most cases the jury will in fact know which party is favored by a particular answer. If plaintiff’s counsel argues eloquently that there is no evidence of contributory negligence, even a juror who has never heard of the doctrine is likely to deduce that it will be in the plaintiffs interest for him to answer "No” to the question about contributory negligence. Interestingly the Minnesota court, in order to preserve its rule against letting the jury know theeffect of the answers, has found it necessary to hold that it is error for counsel expressly or by necessary implication to inform the jury which side will benefit from a particular answer. I find it difficult to imagine any argument counsel can make which will not have such an effect, at least by implication. Thus the attempt to keep the jury in the dark as to the effect of its answers is likely to be unavailing. Indeed the rule barring instructions on this point gives rise to the danger that the jury will guess wrong about the law, and may shape its answers to the sрecial verdicts, contrary to its actual beliefs, in a mistaken attempt to ensure the result it thinks proper.
[Charles Alan Wright, The Use of Special Verdicts in Federal Court, 38 F.R.D. 199, 205-06 (1965)(footnotes omitted).]
Beginning in the mid 1970s, a number of cases were decided that permitted the use of ultimate outcome instructions in eases submitted on special verdicts, primarily in comparative negligence litigation. In Porche v. Gulf Mississippi Marine Corp., 390 F.Supp. 624 (E.D.La.1975), involving the comparative negligence principles of admiralty law, the jury inquired whether the plaintiff would receive all damages awarded by the jury. The district court informed the jury that the damages would be reduced by the percentage of the plaintiffs contributory negligence, rejecting the contention that the jury should not be informed of the legal consequences of their answers:
There is some authority that, when a judge requires a jury to return a special verdict, under F.R.Civ.P. 49(a), the jury should not be informed of the legal consequences of [its] answers. But the better view is that a jury is entitled to know what effect its decision will have. The jury is not to be set loose in a maze of factual questions, to be answered without intelligent awareness of the consequences. One of the purposes of the jury system is to temper the strict application of law to facts, and thus bring to the administration of justice a common sense lay approach, a purpose ill-served by relegating the jury to a role of determining facts in vacuo, ignorant of the significance of [its] findings.
[Id. at 632 (citations omitted).]
In Seppi v. Betty, 99 Idaho 186,
In addition to this Court’s decision in Roman, supra, 82 N.J. at 346-47,
A relatively recent opinion of the Ninth Circuit Court of Appeals presents thе issue in a context most analogous to the case before us. In In re Aircrash in Bali, Indonesia,
In sustaining the propriety of the district court’s instruction, the Court of Appeals observed:
Since the jury was charged with deciding whether Pan Am gave the passengers adequate notice of the damages limitation of the Warsaw Convention, the jury obviously had to be informed about that limitation____ If the jury had not been informed of the connection between the plaintiffs’ arguments that Pan Am committed willful misconduct and the damages limitation, the jury would have deduced a connection on its own and it might have been erroneous. The district judge did not abuse his discretion when he decided to eliminate the risk that the jury would deduce an inaccurate connection between a finding of willful misconduct and the damages limitation. See 9 Wright & Miller, Federal Practice and Procedure § 2509, at 513 (1971) (“an attempt to keep the jury in the dark as to the effect of its answers is likely to be unavailing, and there is always the danger that the jury will guess wrong about the law, and may shape its answers to the special verdicts, contrary to its actual beliefs, in a mistaken attempt to ensure the result it deems desirable”).
[In re Aircrash, supra, 871 F.2d at 815. ]
Another federal court ruling reversing a jury verdict because the trial court failed to inform the jury concerning plaintiffs actual financial stake in the outcome demonstrates thаt ultimate outcome charges need not be avoided merely because they require specific reference to amounts of money. In Vinieris v. Byzantine Maritime Corp.,
Even those who advocate nondisclosure could hardly quarrel with the proposition that, when a party’s intention is at issue, the jury should make its determination only after considering all the circumstances connected with the act charged____
... Equally important was the issue of credibility. The district judge denied appellant’s motion for a new trial despite the fact that he “did not believe the plaintiff” and would have reached a different result. Had the jurors known, as did the judge, how large a financial stake plaintiff had in the outcome of the case, their reaction might have been the same as that of the-judge. A jury should not be asked to weigh credibility with only half the facts on the scale.
[Id at 1065 (citations omitted).]
Ill
In applying our decisions in Roman and Fischer, supra, to the issue posed by this appeal, it may be helpful to restate the analytical bases for those rulings. In Roman, the jury was asked to apportion fault between the twelve-year-old plaintiff who negligently rode his bicycle on the shoulder of the Turnpike and the owner of the dump truck who negligently failed to cheek the rear wheel lugs. The jury apportioned fault seventy-five percent to the plaintiff and twenty-five percent to Mitchell, a task that the jury obviously was capable of performing without being informed of the statutory provision that barred the plaintiff from any recovery if his negligence was greater than the negligence of Mitchell. As the Court noted, uninformed of the rule of law that barred the plaintiffs recovery, the jury may well have assumed that the plaintiff would be entitled to recover twenty-five percent of the damages awarded. 82 N.J. at 345,
A similar analysis dictated the result in Fischer. Surely, the jury in Fischer, instructed as it was to award the total amount of damages resulting from Mrs. Fischer’s death, could perform that deliberative function without knowing the Scafidi rule. As in Roman, there was a concern that the jury might have incorrectly assumed, contrary to law, that the plaintiff would be entitled to recover the full amount of damages awarded, a result that would be unjust in view of the decedent’s fifty-percent chance of survival, and that in response to that assumption the jury reduced the damages award by fifty percent. Fischer, supra, 143 N.J. at 253,
The rаtionale for requiring an ultimate outcome charge on the retrial of this case is virtually identical to the rationale underlying our decisions in Roman and Fischer. The jury on retrial obviously would be capable of apportioning fault among St. Michael’s Hospital, Nurse Forshage and Dr. Haddad without being informed of the statutory limitation on the Hospital’s liability. However, as the Appellate Division observed, a jury uninformed of that limitation might
conclude that plaintiffs full recovery can be had against the corporate party, which it may well assume to have the deeper pocket, and it may therefore believe that it can more certainly make the plaintiff whole without having to assign fault to individual doctors, nurses, and other staff members, who, although negligent, clearly intended no harm and who are hardworking and dedicated professionals doing difficult jobs under difficult circumstances.
[Weiss, supra, 295 N.J.Super. at 229-30,684 A.2d 994 .]
In short, in each case the ultimate outcome charge is intended to avoid a jury verdict that, because of a legal principle unknown to the jury, would result in an outcome that the jury would find to be unjust; and in each case, providing the ultimate outcome charge to the jury carries with it the risk that the jury will distort its fact-finding function in order to achieve an outcome it believes to be fair to the parties. The Appellate Division’s opinion thoughtfully and persuasively addresses the concern that a jury instructed with an ultimate outcome charge will subvert its fact-finding responsibilities:
With respect to the “sympathy” factor that defendants fear, we say only this. Our entire system for the administration of justice is built upon our trust in the jury system and our abiding confidence that juries act conscientiously and diligently in following the instructions given them by the judge. We trust juries to find all lands of facts — in life and death issues as well as the full range of less consequential ones. Our jurisprudence is committed to the proposition that juries can and will follow the judge’s charge and will do so best if they understand the legal consequences of their findings. A jury’s potential passion and prejudice that may favor one or the other of the parties can most effectively be averted by cautionary instructions accompanying a charge that tells it fully and correctly how the law will affect its findings of fact.
[295 N.J.Super. at 232,684 A.2d 994 .]
The Court’s opinion argues that an instruction informing the jury about the dollar limitation on the Hospital’s liability is an instruction that “focuses on money and not percentages of fault,” and is highly prejudicial because it is analogous to informing the jury about whether a defendant’s liability is covered by insurance. Ante at 479-81,
As for the proposed instruction’s focus on money, that focus is simply the result of the statutory language. The principle at stake would be no different if the statute limited the Hospital’s liability to ten percent of the damage award. In that instance, I assume the Court would find it difficult not to acknowledge the analogy to the question posed in Roman. But whether the limitation on the Hospital’s liability is expressed in dollars or in a percentage of damages is irrelevant: in either case, the limitation derives from a legal principle unknown to the jury, and poses a significant risk that the jury verdict may result in an unjust
For reversal and remandment — Chief Justice PORITZ and Justices HANDLER, POLLOCK, O’HERN, GARIBALDI and COLEMAN — 6.
For affirmance — Justice STEIN — 1.
