Oommen v. Glen Health and Home Management Inc. ( 2020 )


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  •                                     
    2020 IL App (1st) 190854
    SIXTH DIVISION
    November 20, 2020
    IN THE
    APPELLATE COURT OF ILLINOIS
    FIRST DISTRICT
    No. 1-19-0854
    BINO OOMMEN, M.D.,                                                )      Appeal from the
    )      Circuit Court of
    Plaintiff-Appellant,                                      )      Cook County.
    )
    v.                                                                )
    )      No. 18 L 4985
    GLEN HEALTH AND HOME MANAGEMENT INC.;                             )
    BRENTWOOD NORTH HEALTHCARE AND                                    )
    REHABILITATION CENTRE, INC.; SIDNEY GLENNER;                      )      Honorable
    JOSHUA RAY; and PHILIP THOMPSON,                                  )      Jerry A. Esrig,
    )      Judge Presiding.
    Defendants-Appellees.                                     )
    PRESIDING JUSTICE MIKVA delivered the judgment of the court, with opinion.
    Justice Harris concurred in the judgment and opinion.
    Justice Griffin specially concurred, with opinion.
    OPINION
    ¶1     Dr. Bino Oommen’s privileges to practice medicine at defendants’ nursing facility were
    terminated following his cooperation in the investigation of the death of one of the facility’s
    residents. We are asked to decide in this case whether the doctor has legal recourse under the
    Whistleblower Act (Whistleblower Act or Act) (740 ILCS 174/1 et seq. (West 2014)) or can assert
    common law claims for retaliatory discharge against the nursing home, its parent company, and
    the individuals he claims were responsible for terminating his privileges. The circuit court granted
    summary judgment in defendants’ favor on all counts. For the reasons that follow, we affirm in
    part and reverse in part.
    No. 1-19-0854
    ¶2                                     I. BACKGROUND
    ¶3     Defendants in this case are Brentwood North Healthcare and Rehabilitation Centre, Inc.
    (Brentwood North)—a nursing and rehabilitation facility located in Riverwoods, Illinois;
    Brentwood North’s administrator, Philip Thompson; Brentwood North’s parent company, Glen
    Health and Home Management Inc. (Glen Health); Glen Health’s president, Sidney Glenner; and
    Glen Health’s director of operations, Joshua Ray. The plaintiff, Dr. Oommen, is a physician
    licensed to practice medicine in the State of Illinois who, prior to July 8, 2015, had privileges to
    treat patients at Brentwood North. Pursuant to a consulting agreement, Dr. Oommen also served
    as a corporate medical advisor to Glen Health.
    ¶4     Although defendants object to, and disagree with, many of the purported facts set out in
    Dr. Oommen’s appellate brief, they have elected not to file an opposing statement of facts because,
    in their view, the issues on appeal present questions of law not directly bearing on the
    circumstances surrounding the death of Dr. Oommen’s patient, the ensuing investigation, or
    defendants’ motivations for terminating the doctor’s privileges at Brentwood North. We agree and,
    for purposes of this opinion, take Dr. Oommen’s allegations regarding those matters as true.
    Because many of the facts recited by Dr. Oommen are also only relevant to his attempts to pierce
    the corporate veil, a theory we have no need to consider, those facts are omitted here.
    ¶5     Dr. Oommen alleged that one of his patients at Brentwood North, Harry Cavicchioni, was
    assessed by him as a “high fall risk,” a finding that, according to the doctor, should have prompted
    Brentwood North’s employees to create and follow a care plan to minimize that risk. On June 21,
    2015, however, Mr. Cavicchioni suffered a fall in the nursing home’s common area. Dr. Oommen
    instructed Brentwood North’s staff by text message to “Send [Mr. Cavicchioni] to ER stat for
    evaluation.” He claimed that, “[a]fter an initial delay,” the nursing home’s staff “eventually” and
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    No. 1-19-0854
    “reluctantly” transferred Mr. Cavicchioni to a nearby hospital “by a private ambulance and not
    911,” where Mr. Cavicchioni was diagnosed with an acute subdural hematoma (a blood clot
    between the surface of the brain and its outer covering). According to Dr. Oommen, following this
    incident, Mr. Cavicchioni’s “quality of life quickly declined[,] and he remained in hospice care
    until his eventual death on July 6, 2015.”
    ¶6     Dr. Oommen further alleged that Brentwood North’s administrator, Mr. Thompson, caused
    the Lake County Coroner’s office to be told that Mr. Cavicchioni’s “sole diagnosis at death was
    dementia” and knowingly omitted any information about the patient’s fall, even when specifically
    asked by the deputy coroner about recent falls, fractures, or trauma. Upon learning of this, Dr.
    Oommen informed the coroner’s office that the correct cause of death was “an acute subdural
    hematoma secondary to a fall.”
    ¶7     A subsequent investigation into the matter by the Illinois Department of Public Health
    (IDPH) resulted in a $25,000 fine against Brentwood North, and the nursing home agreed to pay
    Mr. Cavicchioni’s family $175,000 in exchange for a release of their claims against the facility.
    Dr. Oommen cooperated with the IDPH’s investigation, telling the agency that, in his opinion, the
    proximate cause of Mr. Cavicchioni’s fall and death was the failure of Brentwood North’s
    employees to properly supervise him.
    ¶8     According to Dr. Oommen, on the day after Mr. Cavicchioni’s death, Mr. Thompson
    promised the doctor that “ ‘more patients will be coming your way’ ” if he agreed to help the
    nursing home conceal the true cause of Mr. Cavicchioni’s death. Dr. Oommen ended that
    conversation, telling Mr. Thompson that what he proposed was “unethical, immoral, and criminal.”
    In the days that followed, Mr. Thompson confronted Dr. Oommen via text message about what
    the doctor had told the coroner’s office and finally asked the doctor for a meeting. When Dr.
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    No. 1-19-0854
    Oommen asked what the meeting would concern, Mr. Thompson wrote, “Credentials at
    Brentwood.” Dr. Oommen agreed to meet “with a third party present for legal purposes,”
    prompting the following response from Mr. Thompson:
    “This is why we have to part ways. On [August] 10th I am removing your
    credentialing and all privileges there in [sic] for brentwood north. I will be sending you a
    patient list so that you can approach family members and residents to transfer to a facility
    you are credentialed at. Please [let] me know if there is anyway [sic] I can assist. After
    [August] 10th, you will not be permitted to practice here. I wish you well.”
    ¶9     Dr. Oommen alleged that Mr. Thompson acted “in concert with” Mr. Glenner and Mr. Ray
    to terminate his privileges to see patients at Brentwood North and that Mr. Glenner and Mr. Ray
    also terminated Dr. Oommen from his position as Glen Health’s corporate medical advisor. Dr.
    Oommen brought claims against defendants under the Whistleblower Act and for common law
    retaliatory discharge.
    ¶ 10   On August 29, 2018, the circuit court granted defendants’ motion to dismiss the complaint,
    in part, on the basis that Dr. Oommen had failed to state a claim for retaliatory discharge against
    the individual defendants. The court agreed with defendants that the only proper party to such a
    claim is a plaintiff’s former employer, not the agents who may have acted on the employer’s behalf.
    ¶ 11   The court disposed of Dr. Oommen’s remaining claims on March 28, 2019, when it granted
    defendants’ motion for summary judgment. The circuit court dismissed the retaliatory discharge
    claim against Brentwood North and Glen Health on the basis that Dr. Oommen had failed to make
    a prima facie case that he was an employee of either entity, which was a necessary component of
    the claim. The court pointed out that Dr. Oommen had “acknowledge[d] that he signed a contract
    characteristic of an independent contractor” and rejected the doctor’s argument that he was a
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    No. 1-19-0854
    de facto employee under the multifactor analysis that looks beyond such labeling by the parties.
    The court found no evidence that defendants had either reserved the right to control or actually
    controlled the manner in which Dr. Oommen practiced medicine. In the court’s view, Dr.
    Oommen’s arguments—that “defendants tried repeatedly, and generally unsuccessfully, to
    influence his treatment decisions” and that they “sometimes ignored his decisions or orders and
    went around him to accomplish their objectives”—in fact demonstrated “the opposite of control.”
    ¶ 12    The circuit court also concluded that Dr. Oommen lacked standing to bring claims under
    the Whistleblower Act. For the same reasons that he was not an employee for purposes of a
    retaliatory discharge claim, he was not an “employee” under the Act, to the extent the Act defines
    an employee as “any individual who is employed on a full-time, part-time, or contractual basis by
    an employer.” 740 ILCS 174/5 (West 2014). As the court acknowledged, the statutory definition
    was expanded in 2011 to also include licensed physicians who practice medicine in facilities
    “funded, in whole or in part, by the State” (Pub. Act 96-1253 (eff. Jan. 1, 2011) (amending 740
    ILCS 174/5)). However, the court agreed with defendants that neither Brentwood North nor Glen
    Health received state funding within the meaning of the Act. In so ruling, the court was bound to
    follow Larsen v. Provena Hospitals, 
    2015 IL App (4th) 140255
    , ¶ 60, in which another district of
    this court concluded that Medicaid payments—which Brentwood North does receive—are mere
    payments for services and not “funding” designed to advance a specific project in the public
    interest.
    ¶ 13    As an additional ground for rejecting Dr. Oommen’s retaliatory discharge claim, the court
    found that the doctor had not been “discharged” by the termination of his medical staff and
    admitting privileges, as neither of those conferred employment.
    ¶ 14    Dr. Oommen now appeals.
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    No. 1-19-0854
    ¶ 15                                    II. JURISDICTION
    ¶ 16   The circuit court’s order granting defendants’ motion for summary judgment on March 28,
    2019, fully and finally resolved all remaining claims in this matter. On April 23, 2019, plaintiff
    filed a timely notice of appeal from that order and from the court’s earlier interlocutory ruling on
    defendant’s motion for a partial dismissal. We have jurisdiction over this matter pursuant to Illinois
    Supreme Court Rules 301 (eff. Feb. 1, 1994) and 303 (eff. July 1, 2017), governing appeals from
    final judgments by the circuit court in civil cases.
    ¶ 17                                      III. ANALYSIS
    ¶ 18   On appeal, Dr. Oommen challenges the circuit court’s rulings on defendants’ dispositive
    motions—a motion for partial dismissal under section 2-615 of the Code of Civil Procedure (Code)
    (735 ILCS 2-615 (West 2018)) and a motion for summary judgment under section 2-1005(b) (735
    ILCS 5/2-1005(b) (West 2018)). Our review of both orders is de novo. Doe v. Coe, 
    2019 IL 123521
    , ¶ 20; Pielet v. Pielet, 
    2012 IL 112064
    , ¶ 30.
    ¶ 19                                  A. Retaliatory Discharge
    ¶ 20                  1. The Individual Defendants Were Not Proper Parties
    ¶ 21   We first address Dr. Oommen’s argument that the circuit court erred when it dismissed his
    retaliatory discharge claims against the individual defendants. That ruling was, as the doctor
    acknowledges, based on controlling authority holding that a plaintiff’s former employer—and not
    the employer’s agents—is the only proper party to such a claim. Buckner v. Atlantic Plant
    Maintenance, Inc., 
    182 Ill. 2d 12
    , 22 (1998). Dr. Oommen characterizes the reasoning underlying
    this rule as “naïve” because it “allows a tortfeasor to use the corporate fiction as a shield for
    personal liability.” Requiring a discharged employee to pierce the corporate veil before asserting
    such claims is, in Dr. Oommen’s view, “an entirely unnecessary additional hurdle.” In support of
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    No. 1-19-0854
    this argument, he draws our attention to the laws of New Jersey, Arizona, and West Virginia, which
    all recognize some form of individual liability for retaliatory discharge. See Ballinger v. Delaware
    River Port Authority, 
    800 A.2d 97
    , 110 (N.J. 2002); Higgins v. Assmann Electronics, Inc., 
    173 P.3d 453
    , 458 (Ariz. 2007); Harless v. First National Bank in Fairmont, 
    289 S.E.2d 692
    , 699 (W.
    Va. 1982). Defendants argue in response that the reasoning in Buckner is as compelling today as
    it was 20 years ago and the holding in that case, arrived at after careful consideration of a split in
    authority, should be viewed as settled law under the doctrine of stare decisis.
    ¶ 22   Defendants also argue that Dr. Oommen effectively abandoned this claim by failing either
    to seek an interlocutory appeal from the circuit court’s dismissal order or to incorporate the claim
    by reference in his amended complaint. See Vilardo v. Barrington Community School District 220,
    
    406 Ill. App. 3d 713
    , 719 (2010) (discussing a party’s options when faced with such a ruling). Dr.
    Oommen acknowledges this oversight but notes that the judge in this case treated the claim as if it
    had been preserved, concluding his summary judgment order by stating, “[f]inally, the individual
    defendants cannot be held liable for retaliatory discharge.”
    ¶ 23   We need not decide whether the claim was abandoned because, even if it was not, all of
    the arguments the parties raise are ones properly addressed only to our supreme court. As an
    intermediate appellate court, we are bound by controlling precedent. See Illinois Labor Relations
    Board v. Chicago Transit Authority, 
    341 Ill. App. 3d 751
    , 758 (2003) (“only the supreme court
    has the authority to overrule or modify its decisions”). Accordingly, we affirm the circuit court’s
    dismissal of Dr. Oommen’s retaliatory discharge claims against Mr. Glenner, Mr. Ray, and Mr.
    Thompson.
    ¶ 24         2. Dr. Oommen Made No Prima Facie Case That He Was an Employee
    ¶ 25   Dr. Oommen also argues that the circuit court should not have granted summary judgment
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    No. 1-19-0854
    in favor of the corporate defendants, Brentwood North and Glen Health, on his claim for retaliatory
    discharge. Summary judgment is proper where the pleadings, depositions, admissions, and
    affidavits on file reveal that there is no genuine issue of material fact and the moving party is
    entitled to judgment as a matter of law. See 735 ILCS 5/2-1005 (West 2018).
    ¶ 26    A defendant may move for summary judgment in one of two ways: (1) by affirmatively
    demonstrating that some element of the case must be resolved in the defendant’s favor or (2) by
    filing a motion—of the type recognized by the United States Supreme Court in Celotex Corp. v.
    Catrett, 
    477 U.S. 317
    , 322 (1986)—that points out an absence of evidence supporting one or more
    elements of the plaintiff’s claim. Willett v. Cessna Aircraft Co., 
    366 Ill. App. 3d 360
    , 368-69
    (2006). In the case of a Celotex motion, if the defendant carries its initial burden of production, the
    burden then shifts to the plaintiff to establish facts supporting each element of the claim. Id. at 369.
    “While parties opposing a summary judgment motion are not required to prove their case, they are
    under a duty to present a factual basis which would arguably entitle them to judgment in their
    favor, based on the applicable law.” (Internal quotation marks omitted.) Id.
    ¶ 27    Although the general rule in Illinois is that “an employer may discharge an employee-at-
    will for any reason or for no reason” (internal quotation marks omitted), our supreme court has
    recognized “a limited and narrow cause of action for the tort of retaliatory discharge.” Fellhauer
    v. City of Geneva, 
    142 Ill. 2d 495
    , 505 (1991). To succeed on such a claim, a plaintiff must establish
    that (1) he was an employee, (2) he “was dismissed in retaliation for his activities,” and (3) the
    dismissal was “in contravention of a clearly mandated public policy.” 
    Id.
    ¶ 28    Here, the circuit court concluded that Dr. Oommen failed to make a prima facie case that
    he was an employee of either Brentwood North or Glen Health. As this court has noted, “there is
    no rigid rule of law governing the determination of whether an employer-employee relationship
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    No. 1-19-0854
    exists.” Netzel v. Industrial Comm’n, 
    286 Ill. App. 3d 550
    , 553-54 (1997). A number of factors
    typically bear on such a determination, including “the method of payment; the work schedule; the
    right to discharge; who provides tools, materials or equipment; the skill required in the work to be
    done; whether the worker’s occupation is related to that of the employer; and who deducts or pays
    for insurance, social security and taxes.” 
    Id.
    ¶ 29   The “single most important factor in determining the parties’ relationship,” however, is
    “the right to control the work.” 
    Id.
     As our supreme court has explained:
    “ ‘An independent contractor is one who renders service in the course of an occupation
    representing the will of the person for whom the work is done only as to the result of the
    work and not as to the means by which it is accomplished, [citation] and is one who
    undertakes to produce a given result without being in any way controlled as to the method
    by which he attains that result. *** The test of the relationship is the right to control. It is
    not the fact of actual interference with the control, but the right to interfere, that makes the
    difference between an independent contractor and a servant or agent.’ ” (Emphasis added.)
    Carney v. Union Pacific R.R. Co., 
    2016 IL 118984
    , ¶ 31 (quoting Hartley v. Red Ball
    Transit Co., 
    344 Ill. 534
    , 538-39 (1931)).
    ¶ 30   As defendants point out, “[t]he granting of medical staff privileges merely demonstrates [a
    medical facility’s] determination that a physician’s credentials are such that he or she is qualified
    to practice medicine at the hospital” and does not, in and of itself, confer employment. Bryant v.
    Glen Oaks Medical Center, 
    272 Ill. App. 3d 640
    , 651 (1995). Dr. Oommen also does not dispute
    that his credentialing packet and the contracts he entered into with both Brentwood North and Glen
    Health all indicated that he was to be an independent contractor. The Corporate Medical Advisor
    Agreement with Glen Health expressly states that “[t]he facility and the Medical Advisor agree
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    No. 1-19-0854
    that their relationship is that of independent contractors and not of employer and employee or
    principal and agent.” Dr. Oommen’s contract with Brentwood North, though referenced a number
    of times, does not appear in the record. But in his affidavit Dr. Oommen agreed with statements
    made in an earlier affidavit submitted by Mr. Thompson in support of defendants’ motion to
    dismiss that “[a]t Brentwood, all physicians work[ed] as independent contractors,” that “[i]n
    October of 2008, [Dr. Oommen] signed a Medical Director Agreement with Brentwood as an
    independent contractor physician with the facility,” and that “[i]n February of 2012, [he] signed a
    Corporate Medical Advisor Agreement with Glen Health *** as an independent contractor with
    the facility.”
    ¶ 31    Dr. Oommen’s argument is not that defendants formally reserved the right to control him,
    but that they actually controlled him, treating him as a de facto employee. In this regard, he urges
    us to find the facts of his case analogous to those in Netzel, where we held a finding that a workers’
    compensation claimant was an independent contractor, and not an employee, was against the
    manifest weight of the evidence. Netzel, 286 Ill. App. 3d at 554-55. Although we noted that the
    claimant’s job as an unlicensed private duty nurse at the respondent’s nursing home “contained
    elements of both an independent contractor and an employee relationship,” we concluded that the
    weight of the evidence supported the conclusion that she was an employee. Id. at 554. The claimant
    in Netzel was not just subject to regulations governing the work she did. Rather, “the entire scope
    of her work and day were controlled by [the nursing home],” which “regulated [her] movement
    from the time she entered its doors.” Id. The nursing home provided the claimant with all of the
    equipment she was to use to perform her duties, a head nurse gave her regular instructions
    regarding the care of her patients and directly supervised her for more complex tasks, and the
    claimant was required to provide a verbal report to the nurse in charge when she left for the day.
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    No. 1-19-0854
    Id. We concluded that these requirements—set out in the nursing home’s “private duty nurse
    instruction sheet” and the violation of which could result in termination—demonstrated that the
    facility “not only had the theoretical right to control,” but “did in fact control [the] claimant’s
    activities and the method and manner in which she performed her duties.” Id. at 554-55.
    ¶ 32   Dr. Oommen’s efforts to cast his experience at Brentwood North in a similar light fall flat.
    In the affidavit he submitted in opposition to summary judgment, for example, Dr. Oommen
    detailed a number of instances in which defendants ignored his medical decisions. When he
    ordered an expensive medication or manner of administering a medication, for example,
    defendants required “corporate” approval first and would often carry out a less expensive
    alternative intervention or simply fail to follow his instructions at all. Dr. Oommen claimed that,
    contrary to his orders, defendants would also delay the transfer of patients into or out of the nursing
    home in order to maximize payments. All that these examples show, however, is that Dr. Oommen
    had little control over defendants’ actions once he had rendered his medical opinions and issued
    his orders concerning a patient’s treatment. They do not demonstrate that defendants controlled or
    reserved the right to control the manner or methods in which Dr. Oommen performed his duties as
    a doctor.
    ¶ 33   Dr. Oommen also maintained in his affidavit that defendants created a paper trail to make
    it look like he had signed off on things he had not, in some cases causing his patients to receive
    different medications than the ones he prescribed and to be seen by hospice doctors he had not
    referred them to. But again, such conduct—though certainly troubling—is not evidence of the
    nursing home’s day-to-day control over the method and manner in which Dr. Oommen did his job.
    ¶ 34   Instances Dr. Oommen recounted in which Mr. Thompson attempted to instruct the doctor
    on how to answer questions from government investigators or how to refer to things in his medical
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    No. 1-19-0854
    records were, as the circuit court noted, at most failed attempts at actual control. Dr. Oommen
    stated in his affidavit that he “refused [the] attempt at coaching,” and made clear to Mr. Thompson
    that he “wasn’t going to change the language in [his] charting.”
    ¶ 35   Dr. Oommen also recounted ways in which he claimed defendants treated him like a
    “company doctor” and required him to do tasks that were not only outside the scope of his
    agreements with them but sometimes outside the traditional practice of medicine. According to
    Dr. Oommen, defendants required him to serve as a “back up doctor” to other physicians
    credentialed at the nursing home; asked him to write prescriptions for Mr. Ray, Mr. Glenner, and
    Mr. Glenner’s wife without examining them first; required him to perform employee health checks
    on defendants’ staff; and, on various occasions, required him to perform unskilled labor like
    moving oxygen tanks and cleaning exam rooms. Dr. Oommen insists, with no explanation, that
    defendants “would not have instructed an independent contractor to perform these tasks.” This
    argument is misplaced. It is not the assignment of tasks that is the hallmark of an employment
    relationship, but the right to control the manner in which those tasks are carried out. If defendants
    were not abiding by the terms of their contracts, Dr. Oommen’s recourse was a claim for breach
    of contract. Their assignment of new or different responsibilities is not evidence that they
    controlled or reserved the right to control the manner and methods by which Dr. Oommen practiced
    his profession.
    ¶ 36   Although Dr. Oommen also averred that, when seeing patients at Brentwood North, he
    wore a lab coat bearing Glen Health’s logo rather than the name of his own practice, kept patient
    medical records at Brentwood North, and used Brentwood North’s address as his own mailing
    address, we find that these facts, largely matters of convenience, are insufficient on their own to
    constitute prima facie evidence of an employment relationship. Dr. Oommen was not prohibited,
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    like the physician in Thede v. Kapsas, 
    386 Ill. App. 3d 396
    , 401 (2008), from practicing medicine
    elsewhere. Indeed, the record reflects that he enjoyed privileges to see patients at seven other
    facilities, was not on Brentwood North’s payroll, and received no employee benefits.
    ¶ 37   Finally, although we question defendants’ characterization of the statement as a “judicial
    admission” (see National Union Fire Insurance Co. of Pittsburgh v. DiMucci, 
    2015 IL App (1st) 122725
    , ¶ 2 (noting that “[s]tipulations are judicial admissions in the case in which they are made”
    and “are admissible in other cases as evidentiary admissions”)), it is worth noting that Dr. Oommen
    described himself as “an independent practitioner with clinical privileges” at Brentwood North in
    a report he provided in support of the lawsuit filed against the facility by Mr. Cavicchioni’s estate.
    This statement—as well as the parties’ agreement under their contracts that Dr. Oommen would
    serve as an “independent practitioner”—further militates against any possible finding that he was,
    in fact, an employee for purposes of a claim of retaliatory discharge.
    ¶ 38   We agree with the circuit court that Dr. Oommen failed to submit evidence reflecting a
    degree of control over the method or manner in which he practiced his profession that created an
    issue of fact as to his employee status. Because employee status is a threshold requirement for a
    claim of retaliatory discharge, judgment in defendants’ favor on this claim was proper.
    ¶ 39   In light of this holding, it is unnecessary for us to consider, as the circuit court in this case
    went on to do, whether the termination of Dr. Oommen’s privileges to practice medicine at
    Brentwood North qualified as a “discharge.”
    ¶ 40               B. Dr. Oommen Has Standing Under the Whistleblower Act
    ¶ 41   Dr. Oommen argues that the circuit court erred when it concluded that he lacked standing
    to bring various claims against defendants under the Whistleblower Act (740 ILCS 174/1 et seq.
    (West 2014)), legislation that, among other things, protects employees from retaliation for
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    No. 1-19-0854
    “disclosing information to a government agency that the employee reasonably believes violate[s]
    a state or federal law, rule, or regulation” (Roberts v. Board of Trustees of Community College
    District No. 508, 
    2019 IL 123594
    , ¶ 40).
    ¶ 42   Although only employees may avail themselves of the Act’s protections, in 2011 the Act’s
    definition of “employee” was expanded beyond the common law definition to also include “a
    licensed physician who practices his or her profession, in whole or in part, at a hospital, nursing
    home, clinic, or any medical facility that is a health care facility funded, in whole or in part, by the
    State.” Pub. Act 96-1253 (eff. Jan. 1, 2011) (amending 740 ILCS 174/5). The circuit court
    concluded that Dr. Oommen did not come within this expanded definition because Brentwood
    North was not “funded, in whole or in part, by the State.” However, both Dr. Oommen and the
    Illinois Trial Lawyers Association (ITLA), which was permitted to file an amicus curiae brief in
    this matter, make several arguments in favor of an understanding of this expanded definition that
    would include the doctor in this case. For the reasons that follow, we agree that this expanded
    definition does include Dr. Oommen.
    ¶ 43   We must first address—and reject—Dr. Oommen’s cursory and unsupported argument that
    the circuit court was wrong to even consider whether Brentwood North was “a health care facility
    funded, in whole or in part, by the State.” Dr. Oommen suggests that, properly read, the clause
    only modifies the last item in the list, “any medical facility,” and not any of the preceding items,
    including “nursing home.” Although Dr. Oommen does not refer to it by name, the rule he attempts
    to invoke is the “last antecedent rule.” This is a rule of statutory construction that our supreme
    court has frequently applied (Kozak v. Retirement Board of the Firemen’s Annuity & Benefit Fund
    of Chicago, 
    95 Ill. 2d 211
    , 216-17 (1983)), and particularly where the modifying clause is not
    separated from the listed items by a comma (In re E.B., 
    231 Ill. 2d 459
    , 468 (2008)). The rule is
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    No. 1-19-0854
    not without its limitations, however. As Justice Kagan noted in Lockhart v. United States, 577 U.S.
    ___, ___, 
    136 S. Ct. 958
    , 963 (2016) (Kagan, J., dissenting, joined by Breyer, J.), the rule “can
    assuredly be overcome by other indicia of meaning.” (Internal quotation marks omitted.) She went
    on to explain that where the listed items are simple, parallel, and of the type a reader would expect
    to see together—the example she gave was “the laws, the treaties, and the constitution of the United
    States”—the reader will intuitively apply the final modifier to each item in the list. (Internal
    quotation marks omitted.) 
    Id.
     at ___ n.2, 
    136 S. Ct. at
    972 n.2. Such is the case here, where the
    listed items are hospital, nursing home, clinic, or any medical facility. We also view the last item,
    “any medical facility” as a catch-all incorporating each of the items listed before it. The circuit
    court was entirely correct to consider whether Brentwood North was “a health care facility funded,
    in whole or in part, by the State.”
    ¶ 44   In our own consideration of this question, Dr. Oommen urges us to begin with the
    amendment’s legislative history. In particular, he directs us to the following exchange, just
    preceding a unanimous vote in favor of the amendment by the Illinois House of Representatives,
    between state Representative Ken Dunkin and the amendment’s sponsor, Representative Elaine
    Nekritz:
    “NEKRITZ: *** Under existing law, the Whistleblower Act protects those who
    report misdeeds only if you’re an employee. And the purpose of [House Bill 6231] is to
    extend that to those that might also serve on a medical staff even though there isn’t an
    employer-employee relationship. In a lot of ways, doctors and other health care
    professionals are in a very good position to see if there’s Medicaid or Medicare fraud going
    on. But *** if they report they’re not protected under the Whistleblower Act. There is
    actually a case out there ongoing right now where a doctor did report and did suffer some
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    No. 1-19-0854
    retribution as a result. And so, this would protect the people in that position.
    ***
    DUNKIN: *** [H]ow would something like this apply to a private hospitals [sic]
    who are in similar situations or find themselves in a similar situation to a public hospital?
    NEKRITZ: I don’t think the Bill distinguishes between public and private hospitals.
    It’s anyone *** practicing at a hospital, nursing home, clinic or medical facility.
    DUNKIN: Well, according to my analysis …
    NEKRITZ: Oh.
    DUNKIN: … they would allow doctors on staff at a state-funded hospital or
    medical facility …”
    NEKRITZ: Well, it’s … it’s if they’re funded in whole or in part by the state. So,
    you know, I don’t know that there… if they’re … if they’re not accepting any public money
    any … they’re not accepting a single Medicaid or single Medicare participant then I could
    imagine that they would be excluded, but I don’t know how many facilities out there that
    are like that.
    DUNKIN: So, you’re saying, this does apply to private, not-for-profit or for-profit
    hospitals?
    NEKRITZ: As long as they’re taking some public funding.
    DUNKIN: Thank you.” 96th Ill. Gen. Assem., House Proceedings, Mar. 17, 2010,
    at 98-99 (statements of Representatives Nekritz and Dunkin).
    ¶ 45   We agree that this exchange evidences an intent to consider a private healthcare facility to
    be “funded, *** in part, by the State” if that facility accepts even one payment from a State-funded
    program like Medicaid. We reject defendants’ argument that Dr. Oommen forfeited his ability to
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    No. 1-19-0854
    cite this transcript because he did not expressly rely on it in the circuit court or focus there on the
    legislative history of the amendment. “We require parties to preserve issues or claims for appeal;
    we do not require them to limit their arguments here to the same arguments that were made below.”
    Brunton v. Kruger, 
    2015 IL 117663
    , ¶ 76. In the circuit court, Dr. Oommen incorporated into his
    summary judgment response brief the argument, first made in his opposition to defendants’ motion
    to dismiss, that under the Act’s expanded definition of “employee,” Brentwood North was a
    medical facility “funded, in whole or in part, by the State” because it accepted Medicaid payments.
    And at the hearing on defendants’ motion, Dr. Oommen’s counsel plainly argued “[i]f you read
    the legislative history, it’s clear that the only state funding necessary in order to invoke the
    protection of the Whistleblower Act is Medicaid and Medicare; and it’s undisputed in this instance
    that the defendants received both Medicare and Medicaid payments.” This sufficiently preserved
    the issue for appeal. Dr. Oommen is free on appeal to reassess the strengths of his arguments in
    support of a ruling in his favor on that issue, and we will not strictly limit him to the sources he
    cited in his briefs below or preclude him from reassessing his best arguments. Indeed, it would
    have been surprising for Dr. Oommen to focus on this argument in the circuit court, where the
    judge was bound by Larsen’s contrary reading of the amendment, a reading we are free to disagree
    with. We find no grounds for forfeiture here.
    ¶ 46   We likewise reject defendants’ suggestion, raised for the first time at oral argument in this
    appeal, that if we agree to consider the legislative purpose behind the expanded definition of an
    “employee” under the Act, we should conclude that it provides employees falling within this
    expanded definition only with the right to assert claims premised on Medicaid or Medicare fraud.
    Although such claims may have been the primary concern of the bill’s sponsor, there is absolutely
    nothing in the amendment’s text reflecting such a limitation. Indeed, the types of prohibited
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    No. 1-19-0854
    conduct for which those deemed “employees” under the Act may bring claims are set out elsewhere
    in the Act. See 740 ILCS 174/15, 20, 30 (West 2014). Legislative history may, where appropriate,
    aid us in construing a statutory provision, but our interpretation must still be firmly grounded in
    the text.
    ¶ 47    We do agree with defendants, however, that some ambiguity is required before we should
    consider this legislative history. Dr. Oommen assures us that “[e]ven where a statute is
    unambiguous, a [c]ourt can examine legislative history” like this “to better understand a legislative
    amendment.” This is, in our view, contrary to well established principles of statutory construction.
    Our goal in construing a statute is always to ascertain and give effect to the legislature’s intent, but
    the best indication of that intent will generally be the plain and ordinary meaning of the statute’s
    language. Krohe v. City of Bloomington, 
    204 Ill. 2d 392
    , 394-95 (2003). “Where the language is
    clear and unambiguous, we must apply the statute without resort to further aids of statutory
    construction” (id. at 395), including materials evidencing its legislative history (see Nevitt v.
    Langfelder, 
    157 Ill. 2d 116
    , 134 (1993) (“a basic rule of statutory construction forbids a court to
    canvass legislative history for evidence of legislative intent if the meaning of a provision can be
    determined from its text”)).
    ¶ 48    As the only opinion of this court specifically addressing the issue, the circuit court in this
    case was bound to follow Larsen, 
    2015 IL App (4th) 140255
    . The Larsen court did not mention or
    apparently consider the legislative history behind the 2011 amendment to the Whistleblower Act’s
    definition of “employee.” Instead, with the aid of a legal dictionary, the court concluded that the
    plain meaning of the amendment was clear and Medicaid payments do not qualify as State
    “funding.” Id. ¶ 62. The Larson court relied on the fact that “[t]he definition of ‘fund’ is ‘[t]o
    furnish money to (an individual, entity, or venture), [especially] to finance a particular project’ ”
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    No. 1-19-0854
    id. ¶ 59 (quoting Black’s Law Dictionary 697 (8th ed. 2004)), while “ ‘[p]ayment is defined as the
    ‘money or other valuable thing so delivered in satisfaction of an obligation.’ ” Id. (quoting Black’s
    Law Dictionary 1165 (8th ed. 2004)). Armed with these definitions, the Larsen court reasoned that
    “the purpose of the Medicaid program is to defray the cost of providing medical care to the poor
    and needy by providing payment in satisfaction or partial satisfaction for the medical services
    provided.” Id. ¶ 60. In the Larsen court’s view, such payments are no different than the ones
    medical providers receive directly from patients or from health insurance companies on behalf of
    their beneficiaries. Id. The court then concluded that “[p]ayments such as these cannot reasonably
    be considered funding as contemplated by the Whistleblower Act.” Id. What the Act instead
    contemplated, the court opined, was funding of the sort allocated “to financially support a
    particular program, experimental medical trial, or project offered by a health care facility,” where
    “the funds allocated do not represent a direct exchange but, rather, finances provided to advance a
    project, program, or other laudable endeavor that the [S]tate has determined is in the public’s best
    interest.” Id. ¶ 61.
    ¶ 49    The Larsen court’s premise, that transactional payments in exchange for services and State
    “funding” of programs in the public interest are mutually exclusive, ignores, in our view, the reality
    of the State’s role. The State, in contrast to an ordinary consumer, such as a patient or a health
    insurance company, makes payments on such a vast and systemic scale that the line between
    funding and payments will often blur. It is appropriate, then, to consider the specifics of the Illinois
    Medicaid program to see if payments from that program in fact operate to fund, in whole or in part,
    the hospitals, nursing homes, clinics, and other medical facilities that participate in that program.
    As our supreme court has made clear:
    “When discerning legislative intent, it is [ ] proper to compare statutes relating to the
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    No. 1-19-0854
    same subject matter as well as statutes upon related subjects though not strictly
    in pari materia because statutes are to be read in the light of attendant conditions and the
    state of the law existent at the time of their enactment.” (Internal quotation marks omitted.)
    JPMorgan Chase Bank, N.A. v. Earth Foods, Inc., 
    238 Ill. 2d 455
    , 470 (2010).
    ¶ 50   In its amicus brief in this matter, ITLA persuasively argues that the Illinois Medicaid
    program exhibits the classic characteristics of State funding identified by the Larsen court. ITLA
    points out that Medicaid payments are not simple and direct exchanges of money for services, but
    are in fact influenced by a host of broader considerations, including the desire to compensate
    providers for their general administrative costs (89 Ill. Adm. Code 140.533 (eff. Nov. 6, 1988)),
    to reimburse them for the cost of their compliance with regulations instituting nursing home
    reforms (89 Ill. Adm. Code 140.540(a)(2) (eff. Nov. 6, 1988)), and to ensure each facility’s
    profitability and ability to make a return on its investment (305 ILCS 5/5-5.5(b)(2) (West 2014)).
    The State indeed makes payments for services through the Medicaid program. It does so, however,
    not as a simple market actor, but for the broader purpose of support[ing] the medical safety net.
    ¶ 51   On this point, ITLA also directs our attention to the “Declaration of Purpose” found in the
    Illinois Public Aid Code, which states that the “[p]reservation of health, alleviation of sickness,
    and correction of disabling conditions for persons requiring maintenance support are essential if
    they are to have an opportunity to become self-supporting or to attain a greater capacity for self-
    care.” 305 ILCS 5/5-1 (West 2014). This is especially important “[f]or persons who are medically
    indigent but otherwise able to provide themselves with a livelihood” because, for those individuals,
    the State has an interest in “maintain[ing] incentives for continued independence and preserv[ing]
    their limited resources for ordinary maintenance needs to prevent their total or substantial
    dependency.” Based on these statements, ITLA argues that Medicaid payments are not mere
    - 20 -
    No. 1-19-0854
    transactional exchanges but, in the Larsen court’s words, are indeed “finances provided to advance
    a project, program, or other laudable endeavor that the [S]tate has determined is in the public’s
    best interest.” Larsen, 
    2015 IL App (4th) 140255
    , ¶ 61.
    ¶ 52   We agree. In the context of nursing homes and other medical facilities that are paid for
    their services in part by State-funded programs broadly established in the public interest, we find
    that the phrase “funded, in whole or in part, by the State” is, at the very least, subject to more than
    one reasonable interpretation. See Krohe, 
    204 Ill. 2d at 395-96
     (“A statute is ambiguous if it is
    capable of being understood by reasonably well-informed persons in two or more different
    ways.”). Given this ambiguity, it is proper for us to consider the legislative history of the
    amendment, which, as we noted above, makes clear that, for purposes of the Act, Medicaid
    payments do indeed constitute State funding and doctors practicing at medical facilities receiving
    such payments are “employees” with standing to sue under the Act.
    ¶ 53                                    IV. CONCLUSION
    ¶ 54   For the above reasons, the circuit court’s judgment in defendants’ favor on Dr. Oommen’s
    retaliatory discharge claims is affirmed, its judgment in their favor on his Whistleblower Act
    claims is reversed, and the case is remanded for further proceedings consistent with this opinion.
    ¶ 55   Affirmed in part and reversed in part.
    ¶ 56   Cause remanded.
    ¶ 57   JUSTICE GRIFFIN, specially concurring:
    ¶ 58   I concur with the well-reasoned and well-written opinion. I respectfully disagree with
    paragraph 43, however. The clause in question states as follows: “a licensed physician who
    practices his or her profession, in whole or in part, at a hospital, nursing home, clinic, or any
    - 21 -
    No. 1-19-0854
    medical facility that is a health care facility funded, in whole or in part, by the State.” Pub. Act 96-
    1253 (eff. Jan. 1, 2011) (amending 740 ILCS174/5). The use of the Oxford comma after “clinic”
    and applying the well-accepted last antecedent rule further broadens and supports our holding that
    the legislative intent was to consider physicians in Dr. Oommen’s position “employees” for the
    purposes of the Whistleblower Act.
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    No. 1-19-0854
    No. 1-19-0854
    Cite as:                 Oommen v. Glen Health and Home Management Inc., 
    2020 IL App (1st) 190854
    Decision Under Review:   Appeal from the Circuit Court of Cook County, No. 18-L-4985;
    the Hon. Jerry A. Esrig, Judge, presiding.
    Attorneys                Brian J. Spencer, of Spencer Law Offices, P.C., of Chicago, for
    for                      appellant.
    Appellant:
    Attorneys                Kevin M. O’Hagan and Elizabeth M. Bartolucci, of O’Hagan
    for                      Meyer LLC, of Chicago, for appellees.
    Appellee:
    - 23 -