8 Intentional Torts vs Negligence – Asynchronous Option

Questions and Areas of Focus for the Readings:

  • Can you articulate the significance of a “general verdict” and its effect here?
  • What is the role of the jury and jury instructions, in this case?
  • Why does it matter to distinguish between battery and negligence?
  • What key facts in this case did the court focus on, to distinguish between the applicability of the two regimes (the regimes of battery and negligence, that is)?

Cobbs v. Grant, Supreme Court of California, en banc, (1972)

(8 Cal.3d 229) MOSK, Justice.

This medical malpractice case involves two issues: first, whether there was sufficient evidence of negligence in the performing of surgery to sustain a jury verdict for plaintiff; second, whether, under plaintiffs alternative theory, the instructions to the jury adequately set forth the nature of a medical doctors duty to obtain the informed consent of a patient before undertaking treatment. We conclude there was insufficient evidence to support the jurys verdict under the theory that defendant was negligent during the operation. Since there was a general verdict and we are unable to ascertain upon which of the two concepts the jury relied, we must reverse the judgment and remand for a new trial. To assist the trial court upon remand we analyze the doctors duty to obtain the patients informed consent and suggest principles for guidance in drafting new instructions on this question.

Plaintiff was admitted to the hospital in August 1964 for treatment of a duodenal ulcer. He was given a series of tests to ascertain the severity of his condition and, through administered medication to ease his discomfort, he continued to complain of lower abdominal pain and nausea. His family physician, Dr. Jerome Sands, concluding that surgery was indicated, discussed prospective surgery with plaintiff and advised him in general terms of the risks of undergoing a general anesthetic. Dr. Sands called in defendant, Dr. Dudley F. P. Grant, a surgeon, who after examining plaintiff, agreed with Dr. Sands that plaintiff had an intractable peptic duodenal ulcer and that surgery was indicated. Although Dr. Grant explained the nature of the operation to plaintiff, he did not discuss any of the inherent risks of the surgery.

*235 A two-hour operation was performed the next day, in the course of which the presence of a small ulcer was confirmed. Following the surgery the ulcer disappeared. Plaintiffs recovery appeared to be uneventful, and he was permitted to go home eight days later. However, the day after he returned home, plaintiff began to experience intense pain in his abdomen. He immediately called Dr. Sands who advised him to return to the hospital. Two hours after his readmission plaintiff went into shock and emergency surgery was performed. It was discovered plaintiff was bleeding internally as a result of a severed artery at the hilum of his spleen. Because of the seriousness of the hemorrhaging and since the spleen of an adult may be removed without adverse effects, defendant decided to remove the spleen. Injuries to the spleen that compel a subsequent operation are a risk inherent in the type of surgery performed on plaintiff and occur in approximately 5 percent of such operations.

After removal of his spleen, plaintiff recuperated for two weeks in the hospital. A month after discharge he was readmitted because of sharp pains in his stomach. X-rays disclosed plaintiff was developing a gastric ulcer. The evolution of a new ulcer is another risk inherent in surgery performed to relieve a duodenal ulcer. Dr. Sands initially decided to attempt to treat this nascent gastric ulcer with antacids and a strict diet. However, some four months later plaintiff was again hospitalized when the gastric ulcer continued to deteriorate and he experienced severe pain. When plaintiff began to vomit blood the defendant and Dr. Sands concluded that a third operation was indicated: a gastrectomy with removal of 50 percent of plaintiffs stomach to reduce its acid-producing capacity. Some time after the surgery, plaintiff was discharged, but subsequently had to be hospitalized yet again when he began to bleed internally due to the premature absorption of a suture, another inherent risk of surgery. After plaintiff was hospitalized, the bleeding began to abate and a week later he was finally discharged.

Plaintiff brought this malpractice suit against his surgeon, Dr. Grant. The action was consolidated for trial with a similar action against the hospital. The jury returned a general verdict against the hospital in the amount of $45,000. This judgment has been satisfied. The jury also returned a general verdict against defendant Grant in the amount of $23,800. He appeals.

The jury could have found for plaintiff either by determining that defendant negligently performed the operation, or on the theory that defendants failure to disclose the inherent risks of the initial surgery vitiated plaintiffs consent to operate. Defendant attacks both possible grounds of *236 the verdict. He contends, first, there was insufficient evidence to sustain a verdict of negligence, and, second, the court committed prejudicial error in its instruction to the jury on the issue of informed consent.

I

Defendants attack on the sufficiency of the evidence relates to the state of the medical testimony. Three experts testified at the trial: defendant, Dr. Sands, and defendants expert, Dr. Yates. No expert witness was produced by plaintiff. The three experts were consistent in the opinion that the decision to operate as well as the actual procedure evidenced due care. Thus defendant insists that if experts unanimously opine that the defendant exercised due care, the jury may not substitute its judgment and find negligence. [cc]

Plaintiff contends the jury could reach a conclusion contrary to that of the experts because the decision to operate on his duodenal ulcer comes under the recognized exception to the need for medical testimony: the facts present a medical question resolvable by common knowledge. [cc] Where a shoulder is injured in an appendectomy (Ybarra v. Spangard (1944) 25 Cal.2d 486, 154 P.2d 687), or a clamp is left in the abdomen (Leonard v. Watsonville Community Hosp. (1956) 47 Cal.2d 509, 305 P.2d 36), expert testimony is not required since the jury is capable of appreciating and evaluating the significance of such events. However, when a doctor relates the facts he has relied upon in support of his decision to operate, and where the facts are not commonly susceptible of comprehension by a lay juror, medical expert opinion is necessary to enable the trier of fact to determine if the circumstances indicated a need for surgery.

 

The record before us requires this case to be governed by the general rule. An X-ray examination of plaintiffsstomach disclosed There is extreme irritability of the duodenal bulb within which on two films is a faint collection of barium (swallowed by plaintiff for the purposes of this test) consistent with a very tiny active duodenal ulcer.Since it was a very tinyulcer, and since conversely, the ulcer was activeand had produced extreme irritability,only an expert would be capable of understanding whether surgery was immediately necessary for plaintiffs wellbeing. Similarly *237 there was uncontradicted testimony that although plaintiff had ceased to experience pain rhythmically, continuous pain indicated the ulcer was penetrating the wall of the duodenum. If all five layers of the duodenum are penetrated a patient can bleed profusely and emergency surgery is essential to save his life. Again only an expert can appreciate the significance of the constant pain and whether surgery was indicated therefor. Finally there was evidence plaintiffs stools were dark and tarry. While the lay mind is unable to draw any conclusion from such evidence, to a doctor this is additional confirmation of a penetrating ulcer. Under such circumstances the common knowledge exception to the need for expert medical testimony is not applicable.

 

A fortiori, plaintiffs theory of negligence in the performance of the surgery is not sustainable under the common knowledge exception when, under these circumstances, there is uncontradicted expert testimony the operation had been performed with due care. Even with the exercise of due care the spleen may be injured during operations similar to that performed on plaintiff approximately 5 percent of the time, due to the need to mechanically retract the spleen to obtain access to the site of the operation. The fact that a particular injury suffered by a patient as the result of an operation is something that rarely occurs does not in itself prove that the injury was probably caused by the negligence of those in charge of the operation.(Siverson v. Weber (1962) 57 Cal.2d 834, 839 [22 Cal.Rptr. 337, 372 P.2d 97].)

 

In any event, plaintiff contends, defendant made statements from which the jury could conclude defendant had admitted negligence. Defendant is a medical expert; if he in fact made inculpatory declarations of negligence, such admissions could be deemed the expert testimony necessary to sustain the verdict. However, the evidence pointed out by plaintiff in support of this theory does not constitute an admission of negligence. Plaintiff first emphasized testimony by defendant that surgery is not necessary for most ulcers unless there are complications. Plaintiff argues that from such testimony, in light of plaintiffs medical history, the jury could conclude there was no indication of a need for surgery. This is merely a restatement of the common knowledge argument which we have rejected above. Defendants statement that surgery is not usually warranted is not an admission of a negligent decision to operate when all the medical experts testified that in plaintiffs case surgery was indicated.

 

Plaintiff also urges that although defendant testified he visually inspected the spleen before suturing, the jury could infer from the subsequent hemorrhaging *238 that his inspection was not made with due care. The bleeding was attributable to a small tear at the hilum of the spleen. Defendant and his expert witnesses gave uncontradicted testimony that injuries not apparent during an operation may subsequently become manifest. In light of this testimony and the additional uncontradicted testimony that the surgery was performed with due care, it would have been improper speculation for the jury to infer the injury should have been apparent to a careful surgeon. (Dobson v. Industrial Acc. Com. (1952) 114 Cal.App.2d 782, 786—787, 251 P.2d 349.)

 

Finally, plaintiff relies on his own testimony that defendant said to plaintiff, He (i.e., defendant) blamed himself for me being back in there (the hospital for a second time).Defendant denied having made such a remark. However, even if the jury had chosen to believe plaintiff, defendants statement signifies compassion, or at most, a feeling of remorse, for plaintiffs ordeal. Since a medical doctor is not an insurer of result, such an equivocal admission does not constitute a concession that he lacked or failed to use the reasonable degree of learning and skill ordinarily possessed by other members of the profession in good standing in the community, or that he failed to exercise due care. [cc]

We are convinced there is not substantial evidence to support a jury verdict on the issue of defendants liability on the theory that he was negligent either when he decided to operate or in performing the surgery. Under article VI, section 13, of the California Constitution, we must examine the record to determine if the giving of instructions on this issue may have prejudiced the jury and caused a miscarriage of justice. The test we apply is whether it is reasonably probable a result more favorable to the appealing party would have been reached in the absence of the error. (People v. Watson (1956) 46 Cal.2d 818, 836, 299 P.2d 243.) Inasmuch as there was a general verdict, we cannot know whether the jury found defendant liable on the theory his decision to undertake, or the performance of, the operation was negligent, or whether it found him liable under the alternative theory: failure to obtain plaintiffs informed consent for surgery. It is clear from the record that both concepts were vigorously presented to the jury. Since it is impossible to determine on which theory the jury verdict rested, we conclude it is reasonably probable there has been a miscarriage of justice. We therefore reverse the judgment.

*239 II

Since the question of informed consent is likely to arise on retrial, we address ourselves to that issue. (Code Civ.Proc., s 43.) In giving its instruction the trial court relied upon Berkey v. Anderson (1969) 1 Cal.App.3d 790, 803, 82 Cal.Rptr. 67, a case in which it was held that if the defendant failed to make a sufficient disclosure of the risks inherent in the operation, he was guilty of a technical battery[cc] While a battery instruction may have been warranted under the facts alleged in Berkey, in the case before us the instruction should have been framed in terms of negligence.

Where a doctor obtains consent of the patient to perform one type of treatment and subsequently performs a substantially different treatment for which consent was not obtained, there is a clear case of battery. (Berkey v. Anderson (1969) supra, 1 Cal.App.2d 790, 82 Cal.Rptr. 67 (allegation of consent to permit doctor to perform a procedure no more complicated than the electromyograms plaintiff had previously undergone, when the actual procedure was a myelogram involving a spinal puncture); Bang v. Charles T. Miller Hosp. (1958) 251 Minn. 427, 88 N.W.2d 186 (plaintiff consented to a prostate resection when uninformed that this procedure involved tying off his sperm ducts); Corn v. French (1955) 71 Nev. 280, 289 P.2d 173 (patient consented to exploratory surgery; doctor performed a mastectomy); Zoterell v. Repp (1915) 187 Mich. 319, 153 N.W. 692 (consent given for a hernia operation during which doctor also removed both ovaries).

 

However, when an undisclosed potential complication results, the occurrence of which was not an integral part of the treatment procedure but merely a known risk, the courts are divided on the issue of whether this should be deemed to be a battery or negligence. (Gray v. Grunnagle (1966) 423 Pa. 144, 223 A.2d 663 (failure to warn a patient a spinal operation involved an inherent risk of permanent paralysis; battery); Belcher v. Carter (1967) 13 Ohio App.2d 113, 234 N.E.2d 311 (failure to warn of danger of radiation burns; battery); Nolan v. Kechijian (1949) 75 R.I. 165, 64 A.2d 866 (operation to strengthen ligaments of spleen when spleen was removed; trespass to the body and negligence); [c] Mitchell v. Robinson (Mo.1960) 334 S.W.2d 11 (vertebrae broken during insulin shock treatment; negligence).) California authorities have favored a negligence theory. *240 (Carmichael v. Reitz (1971) 17 Cal.App.3d 958, 95 Cal.Rptr. 381 (pulmonary embolism caused by adverse reaction to drug; negligence); Dunlap v. Marine (1966) 242 Cal.App.2d 162, 51 Cal.Rptr. 158 (cardiac arrest allegedly caused by administration of anesthetic; negligence); Tangora v. Matanky (1964) 231 Cal.App.2d 468, 42 Cal.Rptr. 348 (anaphylactic shock as a result of intramuscular penicillin shot; negligence); Salgo v. Leland Stanford, etc., Bd. of Trustees (1957) 154 Cal.App.2d 560, 317 P.2d 170 (paralysis of lower extremities after aortographic examination; negligence).)

Dean Prosser surveyed the decisions in this area and concluded, The earliest cases treated this as a matter of vitiating the consent, so that there was liability for battery. Beginning with a decision in Kansas in 1960 (Natanson v. Kline (1960) [c], 187 Kan. 186 (354 P.2d 670)), it began to be recognized that this was really a matter of the standard of professional conduct . . .. (T)he prevailing view now is that the action . . . is in reality one for negligence in failing to conform to the proper standard . . ..[cc]

Although this is a close question, either prong of which is supportable by authority, the trend appears to be towards categorizing failure to obtain informed consent as negligence. That this result now appears with growing frequency is of more than academic interest; it reflects an appreciation of the several significant consequences of favoring negligence over a battery theory. As will be discussed Infra, most jurisdictions have permitted a doctor in an informed consent action to interpose a defense that the disclosure he omitted to make was not required within his medical community. However, expert opinion as to community standard is not required in a battery count, in which the patient must merely prove failure to give informed consent and a mere touching absent consent. Moreover a doctor could be held liable for punitive damages under a battery count, and if held liable for the intentional tort of battery he might not be covered by his malpractice insurance. (Comment, Informed Consent in Medical Malpractice (1967) 55 Cal.L.Rev. 1396.) Additionally, in some jurisdictions the patient has a longer statute of limitations if he sues in negligence.

We agree with the majority trend. The battery theory should be reserved for those circumstances when a doctor performs an operation to which the patient has not consented. When the patient gives permission to perform one type of treatment and the doctor performs another, the requisite element of deliberate intent to deviate from the consent given is present. However, when the patient consents to certain treatment and the doctor performs that treatment but an undisclosed inherent complication with a low probability occurs, no intentional deviation from the consent *241 given appears; rather, the doctor in obtaining consent may have failed to meet his due care duty to disclose pertinent information. In that situation the action should be pleaded in negligence.

 

The facts of this case constitute a classic illustration of an action that sounds in negligence. Defendant performed the identical operation to which plaintiff had consented. The spleen injury, development of the gastric ulcer, gastrectomy and internal bleeding as a result of the premature absorption of a suture, were all links in a chain of low probability events inherent in the initial operation.

III

Since this is an appropriate case for the application of a negligence theory, it remains for us to determine if the standard of care described in the jury instruction on this subject properly delineates defendants duty to inform plaintiff of the inherent risks of the surgery. In pertinent part, the court gave the following instruction: A physicians duty to disclose is not governed by the standard practice in the community; rather it is a duty imposed by law. A physician violates his duty to his patient and subjects himself to liability if he withholds any facts which are necessary to form the basis of an intelligent consent by the patient to the proposed treatment.

Defendant raises two objections to the foregoing instruction. First, he points out that the majority of the California cases have measured the duty to disclose not in terms of an absolute, but as a duty to reveal such information as would be disclosed by a doctor in good standing within the medical community. [cc] One commentator has imperiously declared that good medical practice is good law.(Hagman, The Medical Patients Right to Know (1970) 17 U.C.L.A. L.Rev. 758, 764.) Moreover, with one state and one federal exception every jurisdiction that has considered this question has adopted the community standard as the applicable test. [fn] Defendants second contention is that this near unanimity reflects strong policy reasons for vesting in the medical community the unquestioned *242 discretion to determine if the withholding of information by a doctor from his patient is justified at the time the patient weighs the risks of the treatment against the risks of refusing treatment.

The thesis that medical doctors are invested with discretion to withhold information from their patients has been frequently ventilated in both legal and medical literature. (See, e.g., Salgo v. Leland Stanford, etc., Bd. of Trustees (1957) supra, 154 Cal.App.2d 560, 578, 317 P.2d 170; Mitchell v. Robinson (Mo.1960) supra, 334 S.W.2d 11 (even though patient was upset, agitated, depressed, crying, had marital problems and had been drinking, the court found that since no emergency existed and he was legally competent he should have been advised of the risks of shock therapy) […] Despite what defendant characterizes as the prevailing rule, it has never been unequivocally adopted by an authoritative source. Therefore we probe anew into the rationale which purportedly justifies, in accordance with medical rather than legal standards, the withholding of information from a patient.

Preliminarily we employ several postulates. The first is that patients are generally persons unlearned in the medical sciences and therefore, except in rare cases, courts may safely assume the knowledge of patient and physician are not in parity. The second is that a person of adult years and in sound mind has the right, in the exercise of control over his own body, to determine whether or not to submit to lawful medical treatment. The third is that the patients consent to treatment, to be effective, must be an informed consent. And the fourth is that the patient, being unlearned in medical sciences, has an abject dependence upon and trust in his physician for the information upon which he relies during the decisional process, thus raising an obligation in the physician that transcends arms-length transactions.

From the foregoing axiomatic ingredients emerges a necessity, and a resultant requirement, for divulgence by the physician to his patient of all information relevant to a meaningful decisional process. In many instances, to the physician, whose training and experience enable a self-satisfying evaluation, the particular treatment which should be undertaken may seem evident, but it is the prerogative of the patient, not the physician, to determine for himself the direction in which he believes his interests lie. *243 To enable the patient to chart his course knowledgeably, reasonable familiarity with the therapeutic alternatives and their hazards becomes essential.

Therefore, we hold, as an integral part of the physicians overall obligation to the patient there is a duty of reasonable disclosure of the available choices with respect to proposed therapy and of the dangers inherently and potentially involved in each.

 

A concomitant issue is the yardstick to be applied in determining reasonableness of disclosure. This defendant and the majority of courts have related the duty to the custom of physicians practicing in the community. [cc] The majority rule is needlessly overbroad. Even if there can be said to be a medical community standard as to the disclosure requirement for any prescribed treatment, it appears so nebulous that doctors become, in effect, vested with virtual absolute discretion. (See Note, Physicians and Surgeons (1962) 75 Harv.L.Rev. 1445; Waltz and Scheuneman, Informed Consent to Therapy (1970) 64 Nw.U.L.Rev. 628.) The court in Canterbury v. Spence, supra, 464 F.2d 772, 784, bluntly observed: Nor can we ignore the fact that to bind the disclosure obligation to medical usage is to arrogate the decision on revelation to the physician alone. Respect for the patients right of self-determination on particular therapy demands a standard set by law for physicians rather than one which physicians may or may not impose upon themselves.Unlimited discretion in the physician is irreconcilable with the basic right of the patient to make the ultimate informed decision regarding the course of treatment to which he knowledgeably consents to be subjected.

A medical doctor, being the expert, appreciates the risks inherent in the procedure he is prescribing, the risks of a decision not to undergo the treatment, and the probability of a successful outcome of the treatment. But once this information has been disclosed, that aspect of the doctors expert function has been performed. The weighing of these risks against the individual subjective fears and hopes of the patient is not an expert skill. Such evaluation and decision is a nonmedical judgment reserved to the patient alone. A patient should be denied the opportunity to weigh the risks only where it is evident he cannot evaluate the data, as for example, where there is an emergency or the patient is a child or incompetent. For this reason the law provides that in an emergency consent is implied *244 [cc] and if the patient is a minor or incompetent, the authority to consent is transferred to the patients legal guardian or closest available relative [cc]. In all cases other than the foregoing, the decision whether or not to undertake treatment is vested in the party most directly affected: the patient.

 

The scope of the disclosure required of physicians defies simple definition. Some courts have spoken of full disclosure[cc] and others refer to full and complete” disclosure [cc] but such facile expressions obscure common practicalities. Two qualifications to a requirement of full disclosureneed little explication. First, the patients interest in information does not extend to a lengthy polysyllabic discourse on all possible complications. A mini-course in medical science is not required; the patient is concerned with the risk of death or bodily harm, and problems of recuperation. Second, there is no physicians duty to discuss the relatively minor risks inherent in common procedures, when it is common knowledge that such risks inherent in the procedure are of very low incidence. When there is a common procedure a doctor must, of course, make such inquiries as are required to determine if for the particular patient the treatment under consideration is contraindicated—for example, to determine if the patient has had adverse reactions to antibiotics; but no warning beyond such inquiries is required as to the remote possibility of death or serious bodily harm.

 

However, when there is a more complicated procedure, as the surgery in the case before us, the jury should be instructed that when a given procedure inherently involves a known risk of death or serious bodily harm, a medical doctor has a duty to disclose to his patient the potential of death or serious harm, and to explain in lay terms the complications that might possibly occur. Beyond the foregoing minimal disclosure, a doctor must also reveal to his patient such additional information as *245 a skilled practitioner of good standing would provide under similar circumstances.

 

In sum, the patients right of self-decision is the measure of the physicians duty to reveal. That right can be effectively exercised only if the patient possesses adequate information to enable an intelligent choice. The scope of the physicians communications to the patient, then, must be measured by the patients need, and that need is whatever information is material to the decision. Thus the test for determining whether a potential peril must be divulged is its materiality to the patients decision. (Canterbury v. Spence, supra, 464 F.2d 772, 786.)

 

We point out, for guidance on retrial, an additional problem which suggests itself. There must be a causal relationship between the physicians failure to inform and the injury to the plaintiff. Such causal connection arises only if it is established that had revelation been made consent to treatment would not have been given. Here the record discloses no testimony that had plaintiff been informed of the risks of surgery he would not have consented to the operation. [cc]

The patient-plaintiff may testify on this subject but the issue extends beyond his credibility. Since at the time of trial the uncommunicated hazard has materialized, it would be surprising if the patient-plaintiff did not claim that had he been informed of the dangers he would have declined treatment. Subjectively he may believe so, with the 20/20 vision of hindsight, but we doubt that justice will be served by placing the physician in jeopardy of the patients bitterness and disillusionment. Thus an objective test is preferable: i.e., what would a prudent person in the patients position have decided if adequately informed of all significant perils. (Canterbury v. Spence, supra, 464 F.2d 772, 787.)

 

The burden of going forward with evidence of nondisclosure rests on the plaintiff. Once such evidence has been produced, then the burden of going forward with evidence pertaining to justification for failure to disclose shifts to the physician.

 

Whenever appropriate, the court should instruct the jury on the defenses available to a doctor who has failed to make the disclosure required by law. Thus, a medical doctor need not make disclosure of risks when the patient requests that he not be so informed. (See discussion of waiver: Hagman, The Medical Patients Right to Know, supra, 17 U.C.L.A. L.Rev. 758, 785.) Such a disclosure need not be made if the procedure is simple and the danger remote and commonly appreciated to be remote. *246 A disclosure need not be made beyond that required within the medical community when a doctor can prove by a preponderance of the evidence he relied upon facts which would demonstrate to a reasonable man the disclosure would have so seriously upset the patient that the patient would not have been able to dispassionately weigh the risks of refusing to undergo the recommended treatment. (E.g., see discussion of informing the dying patient: Hagman, The Medical Patients Right to Know, supra, 17 U.C.L.A. L.Rev. 758, 778.) Any defense, of course, must be consistent with what has been termed the fiducial qualitiesof the physician-patient relationship. [c]

 

The judgment is reversed.

Note 1. From the plaintiff or patients perspective, why does it matter to distinguish negligence from battery?

Note 2. From the defendant or physicians perspective, why does the distinction matter?

Note 3. Why does the court state a preference for the objective test for the patient in informed consent?

“Socratic Script” / Check Your Understanding

  • What were the legal issues in this case? 

Answer:

First: whether there was sufficient evidence of N in choosing to operate or in the performing of surgery to sustain a jury verdict for P? (no, p. 77)

Second: whether Ps alternative theory, the instructions to the jury failed to fully convey the nature of informed consent 

  • What was the holding in this case? Why could the verdict below not stand? 

 

Answer (1) Holding: The court reverses the ruling below (jury verdict for the P on the issue of the sufficiency of evidence of N) and remands for a new trial (on the issue of what standard to apply with respect to informed consent; states the new standard: doctors have a duty of reasonable disclosure of the available choices with respect to proposed therapy and of the dangers inherently and potentially involved in each). Note the use of reasonableness” which the court uses to emphasize its not full” disclosure of everything possible or a lengthy polysyllabic discourse on all possible complications” (p. 61). Nor does the court require disclosure of relatively minor risks inherent in common procedures, when it is common knowledge that such risks inherent in the procedure are of very low incidence” (p. 62). Finally, it uses the patients need for material information as the yard-stick for the scope of the required disclosure: The scope of the physicians communications to the patient, then, must be measured by the patients need, and that need is whatever information is material to the decision. Thus the test for determining whether a potential peril must be divulged is its materiality to the patients decision.

 

Answer (2) Why could the verdict below not stand? 

The court holds that there was insufficient evidence to support the jurys verdict under the negligence theory, and the court cannot determine on which of the two possible theories the jurys verdict is based because that was a general verdict” (that found liability, but did not specify its reasoning)

3. What is the dispute concerning expert testimony in the case, and how does the court justify its decision in that regard?

Answer: whether the jury can overlook the testimony of three experts who all opine that the defendant exercised due care; it may not do so. The court cites the common knowledge exception and explains that it does not apply here because the medical issues—the risks associated with moving ulcers and diagnosing post-operative symptoms such as abdominal bleeding and tarry stools—are not within lay knowledge. In conclusion, the jury cannot substitute its assessment on specialized issues on which there is uncontradicted expert testimony to the contrary.

  • The court states that on retrial, below, the court would ordinarily need to determine whether to instruct the jury to consider informed consent in terms of negligence or battery. Which does it tell the court to apply, and what reasoning does it provide?

Answer (1): It instructs the lower court to apply a negligence standard. It clarifies that if the facts involved a surgeon permitted to perform one type of treatment who performed another (or, we can assume, to perform treatment on, say, one ear, but not the other), for which other treatment (or part of the body) consent was not obtained, then there is a clear case of battery. The treatment has exceeded the scope of the patients consent. However, when an undisclosed potential complication results, the occurrence of which was not an integral part of the treatment procedure but merely a known risk, the courts are divided on whether to treat this as a battery or negligence.” (p. 77) CA authorities have favored a negligence theory. There was, under Prossers views, a shift from treating this as a vitiation of consent (see p. 78) to a question concerning the standard of professional conduct, and this has become the majority trend.

Answer (2): What reasoning does it apply? The battery theory should be reserved for those circumstances when a doctor performs an operation to which the patient has not consented. When the patient gives permission to perform one type of treatment and the doctor performs another, the requisite element of deliberate intent to deviate from the consent given is present. However, when the patient consents to certain treatment and the doctor performs that treatment but an undisclosed inherent complication with a low probability occurs, no intentional deviation from the consent given appears” (p. 78)

  • What are some real-world consequences that may flow from categorizing a claim as battery vs. negligence? What’s the rationale underpinning the distinction?

Answer: Real-World Consequences?

  • Doctors have an additional defense in a negligence action: some courts allow them to show that “the disclosure he omitted was not required within his medical community”
  • In a battery count, expert evidence as to the community standard is not required; the elements the P has to prove are different: merely failure to give consent, and a mere touching absent consent. There’s a distinction here between what’s allowed of the doctor and what’s required by the P but ordinarily this affects the relevance of the evidence and if the issue isn’t deemed germane, it could prevent the doctor from introducing evidence of others’ practices that are in line with their own.
  • Punitive damages are allowed in some battery cases but not in most negligence cases (at least, this is the general rule, and followed in CA at that time, unless there is an aggravating factor such as gross negligence or other means of heightening the culpability)
  • Battery might not be covered by his malpractice insurance (since malpractice is a negligence action)
  • Statute of limitations might be longer

Answer: What rationales?

  • “Battery should be reserved for those circumstances when a doctor performs an operation to which the patient has not consented”; battery requires “deliberate intent to deviate from the consent given” whereas the occurrence of an “undisclosed inherent complication with a low probability” there is no intentional deviation from the consent given. Perhaps the doctor failed to meet his duty of due care with respect to disclosing pertinent information, but that’s a negligence action, not a battery. You can tell that this is the key rationale in part because the court treats it like a rule it has formulated before applying it to the facts in the following paragraph (that begins, “the facts of this case constitute a classic illustration of an action that sounds in negligence”).

Multiple Choice: Which of the following are instances in which the Cobbs ruling indicates that the patient need not be informed:

i. When the patient requests that they not be informed

ii. When the procedure is simple and the danger remote and commonly understood to be remote

iii. When the patient’s low risk is outweighed by the doctor’s high risk of a costly but trivial malpractice claim

iv. When the disclosure might so seriously upset the patient that they would not be able to weigh the risks of refusing treatment

v. When the disclosure might cause the patient to seek alternative treatment or another surgeon

  • All of the above
  • i, ii, iii, and v
  • i, ii, and iv
  • ii, iii, iv, and v

Answer: C is Correct: i, ii, and iv. Any answers including (iii) or (v) were wrong, because those two options were false as the comments below explain.

  • When the patient requests that they not be informed: true and mentioned in the last paragraph of the opinion
  • When the procedure is simple and the danger remote and commonly understood to be remote: true and also mentioned in the last paragraph of the opinion
  • When the patient’s low risk is outweighed by the doctor’s high risk of a costly but trivial malpractice claim: untrue. The risk to the patient’s health is not balanced against the malpractice risks to a doctor. First, if it were, that might provide an incentive for the doctor to insulate himself by disclosing more and seeking more consent, thus also over-incenting the doctor to share trivial risks not necessarily helpful for the patient to consider. There is an optimal amount of information a patient can and should be asked to consider, and it doesn’t include every risk imaginable. Hearing that much risk could have the effect of disincentivizing patients from seeking treatment and skewing their ability to evaluate the likely risks which the court is concerned about (as option (iv) reflects). Second, Cobbs doesn’t mention it, so it’s not responsive to the prompt.
  • When the disclosure might so seriously upset the patient that they would not be able to weigh the risks of refusing treatment: true and mentioned in the last paragraph of the opinion)
  • When the disclosure might cause the patient to seek alternative treatment or another surgeon: untrue. While the disclosure must be balanced with the risk to the patient of becoming so upset that they might decide not to pursue treatment at all, it is not also true that disclosure could reasonably be upheld on the basis that the patient might go elsewhere for other treatment. Indeed, it is contrary to the very spirit of informed consent to behave in a way that might limit or discourage the patient’s going elsewhere to seek additional information.

Reflection Essay on the Implications of Tort Laws Impact: (Recommended maximum word count 300 words): Several of the cases we have read so far have involved elements of race, gender, class, ability and socioeconomic power. We have also discussed tort laws normative purposes (fairness, efficiency, compensation, deterrence, and social justice). Identify one example from a case in this module that shows courts failing to live up to one of these purposes. In your example, you might choose to discuss whether you see the court prioritizing one of tort laws purposes over another. If so, does the court justify that balance? Generally, what are you observing about how the law works, or fails to work? There is no right” answer here, simply a means of inviting you to reflect on your readings and engage with the deeper ideas of the course.

 

1 Echoing the earlier distinctions between civil and criminal law, note that civil assault and battery are torts, dealt with in private law, which may allow the victim to seek money damage for their harms or to stop future harms by the assailant. Criminal assault and battery are crimes, dealt with in public law, which may allow the state or government to prosecute and penalize the assailant. It’s important to keep these distinct because the elements necessary to prove that the conduct was criminal differ from the inquiry into whether the conduct was tortious. Additionally, the remedies and the burden of proof differ.
2 The city and the railway company raise no question as to their joint liability, if there is any liability.
3 It is worth noting at the outset of your studies that tort law is capricious that way; often the same issue can come out differently in different jurisdictions or on the basis of minor factual diferences that seem as though they ought to be trivial rather than dispositive of the case. It frustrates students who would like for it to be more orderly or predictable. In looking for the rule on a given issue, casebooks sometimes give one rule for Virginia and a different rule for its neighboring state of North Carolina. As a law student, I recall finding this extremely frustrating; as a law professor, I try to put students on notice that this will be the case, and to explain how it reflects tort law’s commitment to resolution of certain issues at the community level, permitting jurisdictions, and lay decision making, on many importante issues.
4 Editor’s note: “Constructive” is a term of art that indicates that the law will make an assumption, regardless of the truth. Constructive possession would mean that whether or not Arthur actually possessed the machine, he could, for legal purposes, be assumed to be a possessor. The court immediately rejects this idea but the word “constructive” will return later in the course as a way of signaling that the law is making an assumption or relying on a legal fiction for particular purposes.
5 The underlying legal reasoning for the doctrine is illustrated in this case: “If the servants of A with his cart run against another cart, wherein is a pipe of wine, and overturn the cart and spoil the wine, an action lieth against A. So where a carter’s servant runs his cart over a boy, action lies against the master for the damage done by this negligence: and so it is if a smith’s man pricks a horse in shoeing, the master is liable. For whoever employs another, is answerable for him, and undertakes for his care to all that make use of him. The act of a servant is the act of his master, where he acts by authority of the master.” Jones v Hart, 90 E.R. 1255 (Court of King’s Bench) 1703.
6 Toms’ relatives and landlord were also contacted by Calvary, but all declined permission to allow Calvary to host the event on their property.
7 Firework shooters must be certified in the State of Maryland. Applicants must submit a “Firework Shooter Testing and Permit Application” to the Office of the State Fire Marshal in order to “to possess, sell or use explosives of any kind in the State of Maryland.”
8 “Dean Thayer pointed out the error in the popular assumption that the rule of Rylands v. Fletcher makes the defendant liable for all consequences in fact resulting from his conduct. This is precisely what the rule of the case does not do; it makes [the] defendant liable … only for proximate consequences, not for remote consequences.” Fowler V. Harper, Liability Without Fault and Proximate Cause, 30 MICH. L.REV. 1001, 1005 (1932) (emphasis in original).
9 Under certain circumstances, causes of action may exist in cases involving fireworks liability under the theories of negligence or nuisance. See Crowley v. Rochester Fireworks Co., 183 N.Y. 353, 76 N.E. 470 (1906) (“[T]here may be negligence in the character of the fireworks used on a particular occasion as well as in the method of their discharge.”); Little v. Union Trust Co. of Maryland, 45 Md.App. 178, 183, 412 A.2d 1251, 1254 (1980) (discussing possible nuisance liability for shooting fireworks in the street).
10 In the petition for writ of certiorari, Toms states “This Court … can expand the factual application of this tort to instances where the sudden, abnormal noise of a fireworks display, adjacent to livestock, can create strict liability.”
11 Letter from John Adams to Abigail Adams, 3 July 1776, MASS. HIST. SOC’Y, www.masshist.org/digitaladams/archive/doc?id=L17760703 jasecond [https://perma.cc/P22L-DMRX].
12 Editor’s note: “Trespass” here is a reference to an older form of legal action involving a direct injury, and it does not necessarily or only refer to trespass in the ordinary sense in which you are probably familiar with it, meaning unauthorized entry onto someone else’s land. “Lies” here means “exists as a viable legal action.”
13 Editor’s note: This now is a reference to trespass in the ordinary sense of unauthorized entry on someone else’s land, which the law calls a “close.” 87 C.J.S. Trespass § 66. Here, the “close” is a reference to the property owned by the plaintiff, Swan.
14 A Black’s Law Dictionary—or Google—will help you cut through the Latin terms you’ll encounter in law school. If an unfamiliar term doesn’t obstruct your understanding, you might just keep reading without looking it up, and only look it up after you’ve read the case so that it doesn’t break your flow. However, I would strongly encourage you to look up a Latin phrase (or other term) if you’re still not sure what it means after reading the case. Here, “causa causans” means the primary or originating cause, the cause of the things (or even the causes) that follows that first cause. It’s used to trace damages back to an original source of liability.
15 https://www.officialdata.org/us/inflation/1905?amount=14322.50 Using a more complicated set of inputs, it could be considered $2,690,000 in relative income using 2019’s currency.
16 https://www.officialdata.org/canada/inflation/1935?amount=50
17 The underlying legal reasoning for the doctrine is illustrated in this case: “If the servants of A with his cart run against another cart, wherein is a pipe of wine, and overturn the cart and spoil the wine, an action lieth against A. So where a carter’s servant runs his cart over a boy, action lies against the master for the damage done by this negligence: and so it is if a smith’s man pricks a horse in shoeing, the master is liable. For whoever employs another, is answerable for him, and undertakes for his care to all that make use of him. The act of a servant is the act of his master, where he acts by authority of the master.” Jones v Hart, 90 E.R. 1255 (Court of King’s Bench) 1703.
18 White women and children would wait in this room to be protected from the hustle and bustle of the railroad station, apparently. Here, the husband has deposited his wife and children while he goes back out on the town on some sort of errand as they all await the train. At least in this railroad station, an African-American woman was employed to keep the waiting room clean and orderly.
19 The “assignments of error” mentioned here are the grounds on which the case is being appealed, namely, that the court below made errors that this appellate court should address (in the ways in which the appellant is seeking relief).
20 Editor’s note: “res gestae” means the things or circumstances relating to case at hand.
21 For example, the risks inherent in the simple process of taking a common blood sample are said to include hematoma, dermatitis, cellulitis, abscess, osteomyelitis. septicemia, endocarditis, thrombophlebitis, pulmonary embolism and death, to mention a few. (Harrison, Principles of Internal Medicine (5th ed. 1966) pp. 726, 1492, 1510-1514.) One commentator states that California law does not require that the “patient be told too much.” (Hagman, The Medical Patient’s Right to Know, supra, 17 U.C.L.A. L.Rev. 758, 766.)

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