State of Florida, Department of Health v. Bayfront HMA Medical Center, LLC etc. , 236 So. 3d 466 ( 2018 )


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  •          FIRST DISTRICT COURT OF APPEAL
    STATE OF FLORIDA
    _____________________________
    No. 1D17-2174
    _____________________________
    STATE OF FLORIDA, DEPARTMENT
    OF HEALTH,
    Appellant,
    v.
    BAYFRONT HMA MEDICAL
    CENTER, LLC d/b/a BAYFRONT
    HEALTH - ST. PETERSBURG, and
    GALENCARE, INC. d/b/a
    NORTHSIDE HOSPITAL,
    Appellees.
    _____________________________
    No. 1D17-2229
    _____________________________
    GALENCARE, INC. d/b/a
    NORTHSIDE HOSPITAL,
    Appellant,
    v.
    BAYFRONT HMA MEDICAL
    CENTER, LLC d/b/a BAYFRONT
    HEALTH-ST. PETERSBURG,
    Appellee.
    _____________________________
    On appeal from the Circuit Court for Leon County.
    Karen A. Gievers, Judge.
    January 2, 2018
    LEWIS, J.
    In these consolidated appeals, Appellants, the Department of
    Health (Department) and Galencare, Inc. d/b/a Northside Hospital
    (Northside), appeal a non-final order enjoining Northside from
    operating a provisional trauma center and enjoining the
    Department from allowing Northside to operate one prior to the
    conclusion of any timely-filed administrative proceeding
    challenging any preliminary approval of Northside’s application
    and any judicial review. Appellants raise two issues on appeal,
    only one of which merits discussion. Appellants argue, and we
    agree, that the trial court erred by granting the motion for
    temporary injunction filed by Appellee, Bayfront HMA Medical
    Center, LLC d/b/a Bayfront Health - St. Petersburg (Bayfront),
    because Bayfront failed to prove its entitlement to temporary
    injunctive relief. Therefore, we reverse and remand.
    FACTUAL AND PROCEDURAL BACKGROUND
    Bayfront operates a level II trauma center in Trauma Service
    Area (“TSA”) 9. On September 30, 2016, Northside submitted to
    the Department a letter of intent (“LOI”) to apply for approval to
    operate a new trauma center in TSA 9. On October 14, 2016, the
    Department accepted Northside’s LOI and responded with
    instructions on how to submit a trauma center application by the
    April 3, 2017, deadline.
    On March 10, 2017, Bayfront filed against Appellants a
    Complaint for Injunctive and Declaratory Relief, arguing that the
    Department lacks colorable authority to (1) accept a LOI and
    application from Northside because TSA 9 currently does not have
    a trauma center position available given that Florida
    Administrative Code Rule 64J-2.010 provides for two positions in
    that TSA and both are filled and (2) allow a provisional trauma
    center to operate during the pendency of an administrative
    2
    challenge to the provisional approval of the application. In Count
    1, Bayfront asked that the Department be enjoined from accepting
    and processing Northside’s LOI and application and from allowing
    Northside to begin provisionally operating prior to the conclusion
    of any timely-filed administrative proceeding challenging any
    preliminary approval, and also asked that Northside be enjoined
    from operating as a provisional trauma center in TSA 9 until the
    conclusion of any administrative challenge. In Count 2, Bayfront
    sought a declaratory judgement.
    On March 24, 2017, Bayfront filed a Motion for Temporary
    Injunction, seeking to enjoin the Department from permitting
    Northside to begin operating as a provisional trauma center, and
    seeking to enjoin Northside from operating as a provisional
    trauma center, prior to the conclusion of all timely-filed
    administrative challenges.      On or around March 31, 2017,
    Northside submitted to the Department an application to operate
    a trauma center in TSA 9. The parties stipulated that the
    Department would permit Northside to begin operating on May 1,
    2017, if its application met the programmatic requirements upon
    the Department’s review.
    At the April 5, 2017, evidentiary hearing on Bayfront’s
    motion, Kathryn Gillette, the market president and CEO of
    Bayfront, testified that Bayfront tracks the zip codes of its patients
    and conservatively estimates, after having made some
    assumptions, that it would lose 905 of its 2,725 patients and $4.5
    million annually if Northside’s trauma center were to open.
    Gillette was aware of only one emergency room nurse leaving
    Bayfront for Northside and was not aware of any physicians
    leaving. Gillette further testified that despite two trauma centers
    opening in the vicinity, Bayfront has maintained a quality
    program and sufficient patient volume. Gillette agreed that the
    Department’s action of receiving and reviewing Northside’s
    application does not pose any harm and there is no adverse impact
    until the Department approves the application.
    Dr. Steven Epstein, a trauma surgeon and the trauma medical
    director at Bayfront, testified that he believes if Northside opened
    a trauma center, Bayfront would lose half or more of its patients
    and there would be nothing to do to regain its patient volume,
    3
    which in turn would have a financial impact on Bayfront and
    would endanger the trauma staff’s skills. When Bayfront sought
    to prevent Regional Medical Center Bayonet Point, the other
    trauma center serving TSA 9, from being approved, Epstein was of
    the view in those legal proceedings that Bayonet’s opening would
    have the same kind of impact he now believes Northside’s opening
    will have. Epstein testified that Bayfront continues to provide
    high quality care that was not diminished by the opening of the
    two trauma centers in the vicinity, but opined that the opening of
    those trauma centers is not comparable to Northside because they
    are located farther away. Epstein added that even those openings
    resulted in a loss of patients to Bayfront, but Bayfront was able to
    recover its patient volume after working with EMS to revise the
    transport protocols. Epstein further testified that “nobody will be
    leaving Bayfront to go to Northside” because employees are bound
    by non-compete clauses and do not wish to leave, although trauma
    surgeons expressed a potential desire to leave if they cannot
    maintain their skills.
    Cindy Dick testified on the Department’s behalf that
    according to the Department’s 2016 assessment of the statewide
    trauma system, 36.35% of severely injured patients in TSA 9 did
    not receive care in a trauma center. Dick explained that the
    Department may review and provisionally grant an application
    irrespective of the availability of a trauma center slot in the TSA
    and the Department is not authorized to refuse to process
    Northside’s application or to prevent Northside from beginning
    provisional operation on May 1st if its application is found
    acceptable. During litigations over the years, there has been much
    discussion about the quality of care declining at existing trauma
    centers as a result of new trauma centers opening nearby, but the
    Department has not received any evidence indicating that to be the
    case; to the contrary, experts have testified that their quality of
    care did not diminish upon the opening of new trauma centers in
    their area.
    Peter Kennedy, the chief operating officer at Northside,
    testified that in order to comply with the Department’s application
    requirements, Northside hired trauma staff, acquired proper
    equipment, renovated its emergency room, and implemented over
    200 protocols and thousands of training hours; in doing so, it
    4
    incurred about $4 million in start-up costs. Kennedy testified that
    none of Northside’s thirty-two-plus non-physician and five or six
    physician hirees were Bayfront employees.
    Dr. Erik Barquist, a trauma surgeon and the interim trauma
    medical director at Northside, testified that Northside has hired
    the requisite trauma surgeons, and the literature does not indicate
    what happens to a trauma center’s quality of care when its patient
    volume decreases due to a new competitor. Barquist opined that
    Bayfront presented the worst case scenario in estimating its losses
    and given its standing and experience in the community, it will
    find a way to work with EMS to mitigate the decrease in its patient
    volume. In every Florida case that Barquist was aware of, existing
    trauma centers were concerned about and challenged new trauma
    centers, yet continued to operate, and he was not aware of there
    being a diminution in quality at any existing trauma center.
    In April 2017, the trial court entered an Order Enjoining
    Appellants, wherein it ordered that pending further order of the
    court, Northside is prohibited from operating a provisional trauma
    center in TSA 9, and pending further order of the court and the
    opening of a trauma center slot in TSA 9, the Department is
    enjoined from permitting Northside to operate a provisional
    trauma center until the completion of the administrative
    proceedings relating to Northside’s application and any judicial
    review. The trial court found in part that the evidence and
    controlling law provide a substantial certainty that Bayfront will
    prevail on the merits of its claim because the Department planned
    to require Northside to begin the provisional operation of a trauma
    center on May 1, 2017, even though the law precludes provisional
    licensees from beginning to provide trauma services if there is not
    an open slot in the TSA and even though there was no final agency
    action. The trial court further found that Bayfront established
    that it will be irreparably harmed by Northside’s immediate
    trauma operations on May 1st upon the approval of its application
    and that those irreparable harms include economic harm due to
    the dilution of trauma patients, increased difficulty in hiring
    qualified trauma staff due to competition, increased difficulty in
    maintaining qualified trauma staff due to the decrease in trauma
    patient volume, and decreased quality of trauma care.
    5
    By letter dated May 1, 2017, the Department informed
    Northside that it had completed the provisional review of its
    application and denied the application upon determining it did not
    meet the standards of critical elements for provisional status.
    These appeals followed.
    STATUTORY FRAMEWORK AND THE TRAUMA CENTER
    APPLICATION PROCESS
    We begin with a brief overview of the statutory and regulatory
    framework governing trauma centers. The Florida Legislature has
    found it necessary to establish an inclusive trauma system
    “designed to meet the needs of all injured trauma victims who
    require care in an acute-care setting.” § 395.40(2), Fla. Stat.
    (2016).     To that end, the Legislature “place[s] primary
    responsibility for the planning and establishment of a statewide
    inclusive trauma system with the department” and requires the
    Department to update the state’s trauma system plan at least
    annually. § 395.40(3)-(6), Fla. Stat.; see also § 395.402(3), Fla.
    Stat. (2016) (directing the Department to consider various factors
    in its annual review of the trauma system, including “[t]he
    geographical composition of an area to ensure rapid access to
    trauma care by patients,” “[p]opulation growth characteristics,”
    and “[t]he actual number of trauma victims currently being served
    by each trauma center”). The Legislature has established nineteen
    TSAs, with TSA 9 consisting of Pasco and Pinellas Counties, and
    has provided that each TSA should have at least one Level I or
    Level II trauma center, “[t]he department shall allocate, by rule,
    the number of trauma centers needed for each trauma service
    area,” and “[t]here shall be no more than a total of 44 trauma
    centers in the state.”       § 395.402(4), Fla. Stat.       Florida
    Administrative Code Rule 64J-2.010 sets forth the criteria to be
    used in allocating trauma centers among the TSAs and allocates
    two trauma centers for TSA 9.
    Section 395.4025, Florida Statutes (2016), governs the trauma
    center application and selection process. First, the Department
    “shall annually notify each acute care general hospital . . . that the
    department is accepting letters of intent from hospitals that are
    interested in becoming trauma centers.” § 395.4025(2)(a), Fla.
    Stat. Letters of intent must be postmarked by midnight October
    6
    1. Id. “By October 15, the department shall send to all hospitals
    that submitted a letter of intent an application package that will
    provide the hospitals with instructions for submitting information
    to the department for selection as a trauma center.”             §
    395.4025(2)(b), Fla. Stat. “In order to be considered by the
    department, applications . . . must be received by the department
    no later than the close of business on April 1.” § 395.4025(2)(c),
    Fla. Stat. Then, the Department “shall conduct a provisional
    review of each application for the purpose of determining that the
    hospital’s application is complete and that the hospital has the
    critical elements required for a trauma center.” Id. “After April
    30, any hospital that submitted an application found acceptable by
    the department based on provisional review shall be eligible to
    operate as a provisional trauma center.” § 395.4025(3), Fla. Stat.
    After a hospital is approved as a provisional trauma center,
    “[b]etween May 1 and October 1, the department shall conduct an
    in-depth evaluation of all applications found acceptable in the
    provisional review.” § 395.4025(4), Fla. Stat. Finally, based on the
    recommendations from a review team, the Department shall select
    verified trauma centers by July 1 of the second year following the
    filing of the letter of intent. § 395.4025(6), Fla. Stat. If the number
    of qualified provisional trauma centers exceeds the number of
    available slots for verified trauma centers in the applicable TSA,
    the Department must apply the tiebreaking process set forth in
    Florida Administrative Code Rule 64J-2.016(11) to make the final
    selection(s). Upon final verification, a trauma center is granted
    approval to operate for seven years, provided it continues to
    maintain trauma center standards and acceptable patient
    outcomes, and may thereafter apply for renewal. § 395.4025(6),
    Fla. Stat.
    ANALYSIS
    The standard of review of a trial court’s order on a request for
    temporary injunction is hybrid: the court’s factual findings are
    reviewed for an abuse of discretion, whereas its legal conclusions
    are reviewed de novo. Gainesville Woman Care, LLC v. State, 
    210 So. 3d 1243
    , 1258 (Fla. 2017). An issue involving statutory
    interpretation is also reviewed de novo, and an agency’s
    interpretation of a statute it is charged with administering is
    7
    generally entitled to greater deference and will be upheld unless
    clearly erroneous. Dep’t of Revenue v. Graczyk, 
    206 So. 3d 157
    , 159
    (Fla. 1st DCA 2016).
    “The polestar of a statutory construction analysis is legislative
    intent.” W. Fla. Reg’l Med. Ctr., Inc. v. See, 
    79 So. 3d 1
    , 8 (Fla.
    2012). To discern legislative intent, the court must first look to the
    plain and obvious meaning of the statute’s text, which may be
    discerned from a dictionary. 
    Id. at 9
    . If the statutory language is
    clear and unambiguous, the court must apply that unequivocal
    meaning and may not resort to the rules of statutory construction.
    
    Id.
         “Further, courts are ‘without power to construe an
    unambiguous statute in a way which would extend, modify, or
    limit, its express terms or its reasonable and obvious implications.
    To do so would be an abrogation of legislative power.’” Bennett v.
    St. Vincent’s Med. Ctr., Inc., 
    71 So. 3d 828
    , 838 (Fla. 2011) (citation
    omitted). “All parts of the statute must be given effect, and the
    Court should avoid a reading of the statute that renders any part
    meaningless. Moreover, ‘all parts of a statute must be read
    together in order to achieve a consistent whole.’” Searcy, Denney,
    Scarola, Barnhart & Shipley v. State, 
    209 So. 3d 1181
    , 1189 (Fla.
    2017) (citations omitted).
    “[T]he purpose of a temporary injunction is to preserve the
    status quo while final injunctive relief is sought.” Planned
    Parenthood of Greater Orlando, Inc. v. MMB Props., 
    211 So. 3d 918
    , 924 (Fla. 2017). A temporary injunction is an extraordinary
    remedy that should be granted sparingly. Sch. Bd. of Hernando
    Cty. v. Rhea, 
    213 So. 3d 1032
    , 1040 (Fla. 1st DCA 2017). To obtain
    a temporary injunction, the movant must establish (1) a
    substantial likelihood of success on the merits, (2) a lack of an
    adequate remedy at law, (3) the likelihood of irreparable harm
    absent the entry of an injunction, and (4) that injunctive relief will
    serve the public interest. Id.; see also Gainesville Woman Care,
    LLC, 210 So. 3d at 1258.
    The movant must prove each element with competent,
    substantial evidence. SunTrust Banks, Inc. v. Cauthon &
    McGuigan, PLC, 
    78 So. 3d 709
    , 711 (Fla. 1st DCA 2012). “Clear,
    definite, and unequivocally sufficient factual findings must
    support each of the four conclusions necessary to justify entry of a
    8
    preliminary injunction.” City of Jacksonville v. Naegele Outdoor
    Advert. Co., 
    634 So. 2d 750
    , 754 (Fla. 1st DCA 1994). If the party
    seeking the temporary injunction fails to prove one of the
    requirements, the motion for injunction must be denied. Genchi v.
    Lower Fla. Keys Hosp. Dist., 
    45 So. 3d 915
    , 919 (Fla 3d DCA 2010).
    Here, for the reasons that follow, Bayfront failed to prove with
    competent, substantial evidence the substantial likelihood of
    success on the merits and likelihood of irreparable harm elements
    required for an injunction. As such, we need not decide whether
    Bayfront proved the remaining requirements for entry of the
    temporary injunction.
    Substantial Likelihood of Success on the Merits
    Appellants argue in part that the trial court erred by finding
    that Bayfront established a substantial likelihood of success on the
    merits of its claim. We agree. “A substantial likelihood of success
    on the merits is shown if good reasons for anticipating that result
    are demonstrated. It is not enough that a merely colorable claim is
    advanced.” City of Jacksonville, 
    634 So. 2d at 753
    , approved sub
    nom. Naegele Outdoor Advert. Co., Inc. v. City of Jacksonville, 
    659 So. 2d 1046
     (Fla. 1995); see also Heslop v. Moore, 
    716 So. 2d 276
    ,
    279 (Fla. 3d DCA 1998).
    Bayfront argued, and the trial court ruled, that pursuant to
    section 395.4025(5), the Department may not accept a LOI or
    accept, review, and/or provisionally grant a trauma center
    application when there is no need (i.e., an open slot) for a trauma
    center in the TSA. This matter necessitates a brief review of the
    statutory scheme. Section 395.4025(2) governs the submission of
    a LOI and application and the ensuing provisional review of the
    application, and in pertinent part it requires the Department to
    notify each hospital that it is accepting LOIs, to send an
    application package to all hospitals that submitted a LOI, and to
    conduct a provisional review of each timely submitted application
    to determine whether the application is complete and the hospital
    has the critical elements required for a trauma center. The
    provisions of subsection (2) do not confer discretion on the
    Department and require it to invite and accept a LOI and to accept,
    provisionally review, and provisionally grant an application
    without regard to need.        Notably, section 395.4025(2)(d)1.
    9
    authorizes the Department to grant an extension of time to an
    applicant if the number of applicants in the TSA is equal to or less
    than the service area allocation, not if the number of applicants is
    equal to or less than the number of open slots, which further
    evinces that the Legislature considers need irrelevant at the
    provisional review stage of the application process. Section
    395.4025(3) provides that after April 30, any hospital whose
    application has been provisionally approved shall be eligible to
    operate as a provisional trauma center. Section 395.4025(4)
    governs the in-depth review of applications.
    Section 395.4025(5), Florida Statutes, governs the onsite visit
    by a review team of out-of-state experts and contains the following
    provision, which is at the heart of the issue: “In addition, hospitals
    being considered as provisional trauma centers shall meet all the
    requirements of a trauma center and shall be located in a trauma
    service area that has a need for such a trauma center.” The trial
    court and Bayfront focused on the word “provisional” in that
    sentence in interpreting the statute as prohibiting the Department
    from processing and approving an application at the provisional
    review stage when there is not an open trauma center slot in the
    TSA.
    The statutory context indicates that section 395.4025(5) is not
    intended to make need a criteria at or before the provisional review
    stage. For one, the provision is found in the subsection that
    governs the onsite review stage; by then, the applicant is
    considered and operating as a provisional trauma center and is
    being considered for licensing as a trauma center—indeed, the
    provision does not read, “hospitals being considered for provisional
    trauma center status.” Relatedly, the provision requires an
    applicant to meet all the requirements of a trauma center, in
    addition to be located in a TSA that has a need, whereas an
    applicant at the provisional review stage need only have submitted
    a timely and complete application and have the critical elements
    required for a trauma center. The Legislature’s definition of
    “provisional trauma center” as “a hospital that has been verified
    by the department to be in substantial compliance with the
    requirements in s. 395.4025 and has been approved by the
    department to operate as a provisional Level I trauma center,
    Level II trauma center, or pediatric trauma center” supports this
    10
    interpretation. See § 395.4001(10), Fla. Stat. (2016) (emphasis
    added). Further, Bayfront’s and the trial court’s reading of the
    provision is contrary to the subsections that precede it, which
    impose specific requirements on applicants and the Department,
    but do not impose need as one of the prerequisites for submitting,
    accepting, reviewing, or provisionally granting an application, nor
    allow need to enter into consideration. See, e.g., Searcy, Denney,
    Scarola, Barnhart & Shipley, 209 So. 3d at 1189 (explaining that
    all parts of a statute must be given effect and must be read
    together to achieve a consistent whole). For all these reasons,
    section 395.4025 is clear and does not require or permit the
    Department to consider need until the onsite review stage of the
    application process.
    Florida Administrative Code Rule 64J-2.012(1)(a) does not
    compel a different conclusion as it requires the Department to
    accept a timely LOI and simply adds that the LOI is non-binding,
    but preserves the hospital’s right to complete an application if a
    trauma center position is available in the TSA. While the phrasing
    of the rule may seem to support Bayfront’s position, it does not
    state that a hospital may submit—or, more importantly, that the
    Department may accept, review, or provisionally grant—an
    application only if there is an available position, which is how the
    trial court interpreted it. Indeed, rule 64J-2.012(1)(b) requires the
    Department to send an application package to hospitals that
    submitted a LOI, and nothing in rule 64J-2.012 requires or allows
    the Department to consider need at or before the provisional
    review stage. The tiebreaking procedure found in rule 64J-
    2.016(11) further supports this interpretation given that it reflects
    that the number of provisional trauma centers eligible for selection
    at the end of the application process may exceed the number of
    trauma centers allocated by rule 64J-2.010(3). As such, Bayfront
    failed to demonstrate a substantial likelihood of success on the
    merits of its claim relating to need.
    Bayfront also argued, and the trial court found, that
    Northside cannot begin operations as a provisional trauma center
    until the conclusion of all administrative proceedings. Section
    395.4025 provides that “[a]fter April 30, any hospital that
    submitted an application found acceptable by the department
    based on provisional review shall be eligible to operate as a
    11
    provisional trauma center.” § 395.4025(3), Fla. Stat.; see also Fla.
    Admin. Code R. 64J-2.012(1)(g)1. (providing that the Department
    shall notify each hospital that passed the provisional review
    process that “the hospital shall operate as a Provisional trauma
    center beginning May 1”). Section 395.4025(7), Florida Statutes,
    provides that “[a]ny hospital that wishes to protest a decision made
    by the department based on the department’s preliminary or in-
    depth review of applications or on the recommendations of the site
    visit review team pursuant to this section shall proceed as
    provided in chapter 120,” but it does not state what effect an
    administrative challenge has on a provisional trauma center
    beginning operation. The parties cited and we found no statute,
    rule, or appellate decision directly on point. Section 395.4025 sets
    forth a definite timeline for the trauma center application process
    and requires a hospital to establish a trauma center prior to
    submitting an application. It is unclear how a stay on a provisional
    trauma center’s operations would affect the statutory timeline and
    it would likely endanger the viability of the provisional trauma
    center because it would be forced to sit idly while any
    administrative proceeding concludes. Additionally, the cases
    before us are unique in that the Department had not even received
    Northside’s application at the time of the filing of Bayfront’s
    complaint and motion for temporary injunction and ultimately
    denied the application at the provisional review stage. As such,
    we find that Bayfront’s assertion that Northside cannot begin
    operations as a provisional trauma center until the conclusion of
    all administrative proceedings is at most a merely colorable claim.
    Therefore, Bayfront failed to establish a substantial likelihood of
    success on the merits of its claim and the trial court erred by
    finding otherwise.
    Irreparable Harm
    Appellants also argue that the trial court erred by finding that
    Bayfront established that without temporary injunctive relief, it
    would be irreparably harmed by the provisional approval of
    Northside’s application and Northside’s immediate trauma
    operations on May 1st. We agree.
    “Irreparable injury will never be found where the injury
    complained of is ‘doubtful, eventual or contingent.’” Jacksonville
    12
    Elec. Auth. v. Beemik Builders & Constructors, Inc., 
    487 So. 2d 372
    ,
    373 (Fla. 1st DCA 1986) (citation omitted); see also Biscayne Park,
    LLC v. Wal-Mart Stores E., LP, 
    34 So. 3d 24
    , 26 (Fla. 3d DCA 2010)
    (“Wal-Mart’s alleged injury was its possible monetary liability
    resulting from possible future contamination to groundwater
    through the wells. ‘[T]his court has previously held that the
    granting of injunctive relief is improper when a plaintiff’s right to
    recover is based upon a future event,’ [citation omitted]; in this
    case, the future event is the possible future contamination of the
    groundwater through the wells. Because the alleged injury is
    speculative, we conclude that it is insufficient to meet the
    irreparable injury standard.”).
    In addition, money damages and loss of business to a
    competitor generally will not suffice to demonstrate irreparable
    injury. Agency for Health Care Admin. v. Cont’l Car Servs., Inc.,
    
    650 So. 2d 173
    , 175 (Fla. 2d DCA 1995); see also Stand Up for
    Animals, Inc. v. Monroe Cty., 
    69 So. 3d 1011
    , 1013 (Fla. 3d DCA
    2011) (explaining that irreparable harm is not established where
    the harm can be compensated for adequately by money damages
    and that a judgment for money damages is adequate even where
    the party alleges that the opposing party may dissipate assets and
    a money judgment might be uncollectable). However, “evidence of
    the potential destruction of a business, without a track record from
    which to calculate the potential loss and with harm of a continuing
    nature, may in some cases provide sufficient indicia of irreparable
    harm to support temporary injunctive relief.” U.S. 1 Office Corp.
    v. Falls Home Furnishings, Inc., 
    655 So. 2d 209
    , 210 (Fla. 3d DCA
    1995) (affirming the order granting the appellee’s motion for
    temporary injunction because the record supported the conclusions
    that the appellee faced the destruction of its business, it would be
    difficult to find a basis from which to calculate damages given the
    absence of a track record, and the harm was ongoing) (citations
    omitted).
    Here, the trial court found that the irreparable harms to
    Bayfront, once Northside begins operating as a trauma center
    prior to the conclusion of any administrative challenge, are
    economic harm due to the dilution of trauma patients, increased
    difficulty in hiring qualified trauma staff due to competition,
    increased difficulty in maintaining qualified trauma staff due to
    13
    the decreased volume of trauma patients, and decreased quality of
    trauma care due to the dilution of trauma patients. We conclude
    that the trial court’s finding of irreparable harm is erroneous for a
    number of reasons. First, all the harms were contingent on the
    future event of the Department provisionally approving
    Northside’s application. In fact, Gillette conceded that the
    Department’s action of receiving and reviewing Northside’s
    application does not pose any harm and there is no adverse impact
    until the application is approved, and the Department ultimately
    denied Northside’s application. Accordingly, the alleged harms
    cannot constitute irreparable injury.
    Second, case law is clear that economic harm does not
    constitute irreparable injury; that is, loss of business and money
    damages due to a decrease in patient volume do not suffice to
    demonstrate irreparable injury. To the extent the trial court relied
    on the exception recited in U.S. 1 Office Corp., that exception is
    inapplicable because it is undisputed that there was no evidence of
    the potential destruction of Bayfront’s business and Bayfront has
    a track record from which to calculate losses.
    As for the remaining harms of increased difficulty in hiring
    and maintaining qualified trauma staff and decreased quality of
    trauma care, the trial court’s findings are not supported by
    competent, substantial evidence. The evidence established that
    Bayfront made some assumptions in estimating that it would lose
    905 of its 2,725 patients, non-compete clauses prevented
    Bayfront’s trauma surgeons from going to work for Northside, the
    trauma positions at Northside were already filled, and Bayfront
    was able to maintain its patient volume and quality of care after
    two new trauma centers opened in its vicinity. The Department’s
    representative testified that 36.35% of severely injured patients in
    TSA 9 do not receive care in a trauma center and that despite much
    discussion over the years about the quality of care declining at
    existing trauma centers as a result of new trauma centers opening
    nearby, the Department has not received any evidence indicating
    such and experts have testified that the quality of care did not
    diminish. Barquist similarly testified that the literature does not
    indicate what happens to a trauma center’s quality of care when
    its patient volume decreases due to a new competitor and that
    every existing trauma center has continued to operate after
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    unsuccessfully challenging provisional trauma centers. For these
    reasons, the trial court erred by finding that Bayfront established
    irreparable harm absent an injunction.
    Based on the foregoing, we reverse and remand for further
    proceedings consistent with this opinion.
    REVERSED and REMANDED with directions.
    MAKAR and OSTERHAUS, JJ., concur.
    _____________________________
    Not final until disposition of any timely and
    authorized motion under Fla. R. App. P. 9.330 or
    9.331.
    _____________________________
    Sarah Young Hodges, Chief Appellate Counsel, Florida
    Department of Health, Tallahassee; William Dean Hall III, Jones
    Walker, LLP, Tallahassee, for State of Florida, Department of
    Health.
    Raoul G. Cantero, David P. Draigh, and Ryan A. Ulloa, White &
    Case LLP, Miami; Stephen A. Ecenia, J. Stephen Menton, and
    Gabriel F.V. Warren, Rutledge Ecenia, Tallahassee; Thomas E.
    Warner, Dean A. Morande, and Michael D. Sloan, Carlton Fields
    Jorden Burt, P.A., West Palm Beach, for Galencare, Inc. d/b/a
    Northside Hospital.
    Geoffrey D. Smith and Timothy B. Elliott, Smith & Associates,
    Tallahassee, for Appellee, Bayfront HMA Medical Center, LLC
    d/b/a Bayfront Health – St. Petersburg.
    15