Winfield v. Mercy Hospital & Medical Center , 591 F. App'x 518 ( 2015 )


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  •                         NONPRECEDENTIAL DISPOSITION
    To be cited only in accordance with Fed. R. App. P. 32.1
    United States Court of Appeals
    For the Seventh Circuit
    Chicago, Illinois 60604
    Submitted February 17, 2015 *
    Decided February 17, 2015
    Before
    WILLIAM J. BAUER, Circuit Judge
    JOHN DANIEL TINDER, Circuit Judge
    DAVID F. HAMILTON, Circuit Judge
    No. 14-2978
    CAROLYN WINFIELD,                               Appeal from the United States District
    Plaintiff-Appellant,                        Court for the Northern District of Illinois,
    Eastern Division.
    v.
    No. 14-cv-5723
    MERCY HOSPITAL AND MEDICAL
    CENTER and MING H. HWANG,                       John Z. Lee,
    Defendants-Appellees.                       Judge.
    ORDER
    Carolyn Winfield’s adult daughter died from congestive heart failure in 2011 after
    being treated at Mercy Hospital—a private institution—in Chicago. Winfield had
    become distraught as her daughter’s condition worsened, and the daughter’s attending
    physician at Mercy authorized Winfield’s brief, though involuntary, commitment to a
    psychiatric hospital. See 405 ILCS 5/3-600. In this lawsuit Winfield claims that Mercy and
    * The appellees were not served with process in the district court and are not
    participating in this appeal. After examining the appellant’s brief and the record, we
    have concluded that oral argument is unnecessary. Thus the appeal is submitted on the
    brief and the record. See FED. R. APP. P. 34(a)(2)(C).
    No. 14-2978                                                                          Page 2
    the attending physician violated her rights, and her daughter’s rights, under the Patient
    Self-Determination Act, see Omnibus Budget Reconciliation Act of 1990, Pub. L.
    No. 101-508, §§ 4206, 4751 (codified in scattered provisions of 
    42 U.S.C. §§ 1395
    , 1396).
    Winfield also claims that the defendants violated her right to due process by initiating
    the involuntary commitment, and that they cast her in a “false light” by documenting
    concerns about her mental stability in her daughter’s medical records. In dismissing the
    action prior to service of process, the district court understood the suit to raise claims
    belonging only to Winfield, not to her daughter’s estate. The court first concluded that
    Winfield’s complaint does not state a claim for relief under the Patient
    Self-Determination Act or the Due Process Clause, and then declined to exercise
    supplemental jurisdiction over the “false light” claim. We affirm the judgment.
    This is not the first time that Winfield has sued in federal court because of her
    daughter’s death. In early 2013 she sued Mercy and two physicians claiming that the
    care provided her daughter was negligent. And, much like now, Winfield also claimed
    that the doctors had defamed her by writing in the daughter’s medical records that
    Winfield was unstable and obstructionist. Winfield said at the time that she was bringing
    the malpractice claim on behalf of her daughter’s estate, but she was pro se and did not
    assert that a state judge had appointed her as administrator. The district court dismissed
    that suit for lack of subject-matter jurisdiction, since all of the claims arose under state
    law and the parties were not diverse. We affirmed the dismissal about six months before
    Winfield commenced this litigation. See Winfield v. Mercy Hosp., 552 F. App’x 586, 587
    (7th Cir. 2014). In her new lawsuit, Winfield again purports to be acting, in part, on
    behalf of her daughter’s estate, and again she is pro se and makes no mention of being
    appointed as estate administrator. For that reason the district court appropriately
    understood Winfield’s current action to be brought only on her behalf, since she is not in
    a position to litigate claims belonging to her daughter’s estate, particularly without
    counsel. See FED. R. CIV. P. 17(b)(3) (providing that capacity to sue in federal court is
    governed by law of state where federal judicial district is located); Will v. Northwestern
    Univ., 
    881 N.E.2d 481
    , 492–93 (Ill. App. Ct. 2007); Wilmere v. Stibolt, 
    504 N.E.2d 916
    , 918
    (Ill. App. Ct. 1987). Like the district court, we need not say any more about claims or
    remedies that might be available to the daughter’s estate.
    As for Winfield herself, she asserts that, as her daughter’s “healthcare surrogate,”
    she had a right under the Patient Self-Determination Act to make healthcare decisions
    for her daughter “without fear of retribution.” Winfield’s theory, as we understand her
    complaint, is that the attending physician pressured her to approve using drugs that
    contributed to her daughter’s death. In dismissing this claim, the district court reasoned
    No. 14-2978                                                                            Page 3
    that the Patient Self-Determination Act does not authorize expressly, and thus not at all,
    a private right of action. The court did not consider, though, whether the Act might
    implicitly confer privately enforceable rights. See Gonzaga Univ. v. Doe, 
    536 U.S. 273
    ,
    283–84 (2002); McCready v. White, 
    417 F.3d 700
    , 703 (7th Cir. 2005). Yet that question does
    not have to be answered here, since Winfield’s complaint does not state a plausible
    claim, whether or not the Act is privately enforceable. See Townsel v. Dish Network, L.L.C.,
    
    668 F.3d 967
    , 970 (7th Cir. 2012) (explaining that question whether statute creates private
    right of action is not jurisdictional, thus allowing merits analysis without first deciding if
    private right of action exists); McCready, 
    417 F.3d at
    702–03 (same).
    The Patient Self-Determination Act requires that medical providers disclose
    information about healthcare decision-making to patients. A hospital that accepts
    Medicare and Medicaid payments must give an adult individual who is “receiving
    medical care” as an inpatient written material explaining the rights to refuse treatment
    and to create an advance directive under state law. See 42 U.S.C. §§ 1395cc(f)(1), (2)(A),
    1396a(w)(1), (2)(A); Compassion in Dying v. State of Washington, 
    79 F.3d 790
    , 819 n.80 (9th
    Cir. 1996) (en banc), rev’d on other grounds, 
    521 U.S. 702
     (1997). The Act says nothing
    about an obligation to provide this information to third parties, even those who are
    authorized to make healthcare decisions for the patient under an advance directive.
    See 42 U.S.C. §§ 1395cc(f)(3), 1396a(w)(4) (defining advance directive as “a written
    instruction, such as a living will or durable power of attorney for health care, recognized
    under State law . . . and relating to the provision of such care when the individual is
    incapacitated”). And, in any event, Winfield does not allege that she had been
    authorized, through an advance directive or another means, to make healthcare
    decisions for her daughter. Instead, Winfield says she was her daughter’s “healthcare
    surrogate,” an apparent reference to the Illinois Health Care Surrogate Act, 755 ILCS
    §§ 40/1–40/65. That legislation identifies the hierarchy of persons authorized to make
    healthcare decisions for someone who loses decisional capacity and has no legally
    recognized written document appointing a surrogate. See id. at §§ 40/10 (defining
    decisional capacity as “the ability to understand and appreciate the nature and
    consequences of a decision regarding medical treatment . . . and the ability to reach and
    communicate an informed decision in the matter as determined by the attending
    physician”), 40/15, 40/20(b-5)(1), 40/25(a). Yet by Winfield’s own admission she could
    not have been her daughter’s healthcare surrogate because, as Winfield concedes in her
    complaint, her daughter was “fully cognizant” while being treated at Mercy.
    Winfield also claims that the defendants violated her civil rights by wrongfully
    committing her to a psychiatric hospital. The district court dismissed this claim because
    No. 14-2978                                                                           Page 4
    Mercy and its employees are not state actors and did not engage in state action when
    they initiated her involuntary commitment. On appeal, Winfield ignores the court’s
    analysis and instead insists that she should not have been committed because she was
    not a danger to herself or others, which is a requirement for involuntary commitment
    under Illinois law. See 405 ILCS 5/3-600, 5/3-601(a) (2010). Because Winfield does not
    articulate in her appellate brief why she disagrees with the district court's decision, as
    required by Federal Rule of Appellate Procedure 28(a)(8), she has waived any challenge
    to that decision. See Mathis v. N.Y. Life Ins. Co., 
    133 F.3d 546
    , 548 (7th Cir. 1998). In any
    event, the district court was correct that the defendants took private—not state—action
    when they initiated Winfield’s involuntary commitment to a mental-health facility.
    See Spencer v. Lee, 
    864 F.2d 1376
    , 1377 (7th Cir. 1989) (en banc) (holding that private
    facilities and their employees do not engage in state action by virtue of participating in
    Illinois process for involuntary commitment); see also Wittner v. Banner Health, 
    720 F.3d 770
    , 780 (10th Cir. 2013); Estades–Negroni v. CPC Hosp. San Juan Capestrano, 
    412 F.3d 1
    , 5–9
    (1st Cir. 2005).
    Finally, Winfield claims that the defendants placed her in a false light by writing
    inaccurate and disparaging comments about her in her daughter’s medical records. The
    district court dismissed this claim without prejudice; the court explained that, having
    already dismissed Winfield’s federal claims, it lacked subject-matter jurisdiction over this
    supplemental, state-law claim. See 
    28 U.S.C. § 1367
    . Winfield argues that the claim arises
    under federal law, but plainly that contention is incorrect. See Wolfe v. Schaefer, 
    619 F.3d 782
    , 784 (7th Cir. 2010); Lawlor v. North Am. Corp. of Ill., 
    983 N.E.2d 414
    , 424 & n.4 (Ill.
    2012); Lovgren v. Citizens First Nat’l Bank of Princeton, 
    534 N.E.2d 987
    , 989–90 (Ill. 1989).
    The district court misspoke, however, in asserting that it did not have subject-matter
    jurisdiction over the claim. A district court may decline to exercise supplemental
    jurisdiction, and the presumption is that the court will do so if all federal claims have
    been dismissed before trial. See 
    28 U.S.C. § 1367
    (c)(3); RWJ Mgmt. Co., Inc. v. BP Prods.
    North Am., Inc., 
    672 F.3d 476
    , 479–80 (7th Cir. 2012); Khan v. State Oil Co., 
    93 F.3d 1358
    ,
    1366 (7th Cir. 1996), vacated on other grounds, 
    522 U.S. 3
     (1997). This is what we
    understand the district court to have meant when it dismissed Winfield’s state-law
    claim.
    AFFIRMED.