William McGrew and Elaine McGrew v. Eromosele Otoadese, M.D. and Northern Iowa Cardiovascular and Thoracic Surgery Clinic, P.C. ( 2022 )


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  •                     IN THE SUPREME COURT OF IOWA
    No. 19–2137
    Submitted December 15, 2021—Filed January 21, 2022
    WILLIAM McGREW and ELAINE McGREW,
    Appellants,
    vs.
    EROMOSELE OTOADESE and NORTHERN IOWA CARDIOVASCULAR AND
    THORACIC SURGERY CLINIC, P.C.,
    Appellees.
    On review from the Iowa Court of Appeals.
    Appeal from the Iowa District Court for Black Hawk County, Kellyann M.
    Lekar, Judge.
    Plaintiffs seek further review of a court of appeals decision that affirmed a
    defense verdict in a medical negligence case, contending that the district court
    erred in excluding expert opinions. DECISION OF COURT OF APPEALS
    AFFIRMED IN PART AND VACATED IN PART; DISTRICT COURT JUDGMENT
    REVERSED AND REMANDED.
    2
    Mansfield, J., delivered the opinion of the court, in which all participating
    justices joined. Oxley, J., took no part in the consideration or decision of the
    case.
    Martin A. Diaz (argued), Martin Diaz Law Firm, Swisher, for appellants.
    Nancy J. Penner (argued), Jennifer E. Rinden, and Vincent S. Geis of
    Shuttleworth & Ingersoll, Cedar Rapids, for appellees.
    3
    MANSFIELD, Justice.
    I. Introduction.
    A patient suffered a disabling stroke after undergoing surgery to relieve
    stenosis, or narrowing, of the carotid artery. The patient’s family promptly sought
    a second opinion from a neurologist. He read the CT angiogram as showing a
    lesser degree of stenosis and opined that the surgery had been unnecessary. He
    also referred the CT angiogram to a neuroradiologist who likewise interpreted the
    angiogram as showing a lesser degree of stenosis.
    Later, the patient brought a medical malpractice suit against the surgeon.
    At trial, the patient was allowed to introduce evidence that both the neurologist
    and the neuroradiologist had read the angiogram as showing a lesser degree of
    stenosis. However, based on an alleged failure to provide proper pretrial
    disclosures, other evidence was excluded. Specifically, the neurologist was not
    permitted to testify that the surgeon fell below the standard of care; the
    neuroradiologist was not permitted to testify as to how he calculated the lesser
    degree of stenosis; and certain contemporaneous medical records were either
    admitted in redacted form or not admitted at all. The jury returned a no-
    negligence verdict in favor of the surgeon.
    On our appellate review, we disagree with the district court’s application
    of the pretrial disclosure requirements of Iowa Code section 668.11 (2016) and
    Iowa Rule of Civil Procedure 1.500(2). Neither the neurologist nor the
    neuroradiologist was retained for litigation purposes; to the contrary, they
    developed their opinions from being involved in patient care. This means no
    4
    expert report under rule 1.500(2)(b) was required. Both physicians could offer
    expert opinions subject only to two disclosure requirements. First, if the opinions
    were not formed as a part of treatment, the witnesses had to be designated under
    section 668.11. Second, regardless of when the opinions were formed, they
    needed to be adequately disclosed under rule 1.500(2)(c). Both conditions were
    met here, so the physicians’ testimony and contemporaneous medical records
    should have been admitted.
    We also decline the surgeon’s invitation to find that the error was
    harmless. At trial, the parties essentially agreed on the standard of care for when
    surgery would have been medically indicated. The trial centered instead on the
    degree of stenosis and other symptoms in the patient, a subject where the parties
    presented conflicting evidence. Ultimately, we conclude that the district court’s
    erroneous ruling on permissible expert opinions unfairly hampered the patient
    in presenting his side of his case. Therefore, we reverse and remand for a new
    trial.
    II. Background Facts and Proceedings.
    A. Background Facts. In 2014, William McGrew began experiencing
    transient foggy vision in one of his eyes.1 McGrew went to an eye doctor,
    Dr. Richard Mauer, to seek relief from this problem on July 25, 2014. Upon
    examination, Dr. Mauer discovered that McGrew had a cataract that could
    explain his foggy vision. But Dr. Mauer wanted to rule out other possibilities. He
    1The affected eye was a heavily disputed issue at trial. If McGrew was experiencing foggy
    vision in his right eye, that might indicate blockage in the right carotid artery.
    5
    ordered a bilateral carotid duplex ultrasound that was performed on August 6.
    The ultrasound showed “mild carotid stenosis,” or narrowing of the carotid
    artery. The ultrasound was generally inconclusive, but according to Dr. Mauer,
    there was nothing to indicate immediate treatment was necessary. So McGrew
    and Dr. Mauer scheduled a cataract surgery to be performed on August 20. But
    McGrew wanted to further explore the possibility that a vascular problem could
    be causing his foggy vision. To this end, he was referred to Dr. Eromosele
    Otoadese, a cardiovascular surgeon.
    Dr. Otoadese saw McGrew on August 18. Given that McGrew was sixty-
    nine years old, had a history of hypertension, and was suffering from transient
    foggy vision, Dr. Otoadese suspected carotid disease and recommended getting
    a CT angiogram to further investigate. The CT angiogram was done the same day
    at a local imaging center. A radiologist, Dr. Driss Cammoun, interpreted it as
    showing 65% stenosis, or narrowing, of the right carotid. Dr. Otoadese did his
    own review and interpreted the results to show 70% stenosis. This led him to
    believe McGrew was at a significant risk of a stroke. Dr. Otoadese recommended
    surgery, specifically a right carotid endarterectomy, to remove the plaque from
    the right carotid. He advised McGrew of the surgery’s potential complications,
    the most common being a stroke. At Dr. Otoadese’s recommendation, McGrew
    canceled the cataract surgery and scheduled the carotid surgery. McGrew signed
    the informed consent for the carotid surgery on August 27.
    The surgery was performed by Dr. Otoadese on September 2. It initially
    seemed successful; there were no complications during the procedure or
    6
    immediately after. But during the morning of September 3, McGrew experienced
    facial droop and weakness on his left side. A CAT scan and an MRI indicated
    that McGrew had suffered a stroke on the right side of his brain. A CT angiogram
    showed that the right carotid artery was blocked. After consulting with another
    doctor and discussing the situation with McGrew’s family, Dr. Otoadese
    performed another operation to remove the carotid artery blockage. This second
    surgery was unsuccessful in alleviating McGrew’s symptoms. He remains
    wheelchair-bound, unable to move his left side, and in need of nursing home
    care.
    On September 26, McGrew and his family went to an appointment with
    Dr. Ivo Bekavac, a neurologist. Dr. Bekavac was trained to read neuroimaging
    studies and certified by the Neuroimaging Subspecialty Board. According to
    Dr. Bekavac, the McGrew family came to him “to get a second opinion and also
    establish the care.” As part of Dr. Bekavac’s standard procedure, he reviewed
    McGrew’s file, including the original CT angiogram and corresponding report.
    Unlike Dr. Otoadese and Dr. Cammoun—who interpreted the CT angiogram to
    show 70% and 65% stenosis respectively—Dr. Bekavac read it as showing 40%.
    This was a significant discrepancy, so Dr. Bekavac asked a neuroradiologist,
    Dr. John Halloran, to analyze the CT angiogram as well. Dr. Halloran assessed
    the stenosis at 32% in a report dated October 9.2
    2Dr. Bekavac and Dr. Halloran also provided other medical services to McGrew, including
    ordering and reviewing an MRI, relevant to McGrew’s postsurgery complaints of back pain.
    7
    The McGrew family asked Dr. Bekavac whether he thought the carotid
    surgery performed by Dr. Otoadese was justified based on those numbers.
    Dr. Bekavac answered this question in his record of the visit, stating, “40% of
    stenosis was not significant to justify endarterectomy in my opinion.” The family
    also asked about the second surgery, and Dr. Bekavac’s report indicates he did
    not believe the second surgery was medically indicated, either, because McGrew
    had suffered his stroke more than eight hours earlier. In addition to offering
    opinions on the prior surgeries, Dr. Bekavac recommended continued use of
    aspirin, family involvement in stroke rehabilitation, an MRI of the lumbosacral
    spine, and a follow-up appointment. Dr. Bekavac did not comment on causation
    in his notes from this visit.
    B. Proceedings in the District Court. On July 29, 2016, McGrew and his
    wife, Elaine McGrew, brought a medical malpractice action against Dr. Otoadese
    and Dr. Cammoun.3 The McGrews later settled with Dr. Cammoun, so trial
    proceeded only against Dr. Otoadese. The McGrews alleged that Dr. Otoadese
    negligently misinterpreted the CT angiogram and recommended an ill-advised
    surgery that resulted in a stroke. The McGrews sought damages including pain
    and suffering, permanent loss of function, loss of income, past and future
    medical expenses, and loss of consortium.
    3The McGrews also named Dr. Otoadese’s practice group, Northern Iowa Cardiovascular
    and Thoracic Surgery Clinic, P.C., as a defendant based upon the alleged negligence of
    Dr. Otoadese. The jury was instructed to treat the physician and his practice group as a single
    party. We shall refer to them collectively as “Dr. Otoadese.”
    8
    The McGrews filed a designation of experts on February 6, 2018. Four
    experts were disclosed: two retained experts and two treating physicians. The
    treating physicians designated as experts were Dr. Bekavac and Dr. Halloran.
    The designation described the topics of Dr. Bekavac’s anticipated testimony:
    Dr. Bekavac . . . will be asked to comment on the standard of
    care in the evaluation (imaging and surgery), care and treatment of
    an individual like Bill McGrew; the breach of that standard of care;
    the harm sustained by Bill McGrew; and the cause-and-effect
    relationship between the breach of the standard of care and any
    damages and injuries sustained by Bill McGrew and his spouse.
    The disclosure relating to Dr. Halloran was similarly worded, the sole difference
    being that Dr. Halloran would only be asked about his evaluation of McGrew’s
    imaging studies.
    The defense served an interrogatory on the McGrews relating to their
    experts. The McGrews first answered this interrogatory with a summary of topics
    that each expert would cover. Later, on March 7, the McGrews provided a
    “Supplement    to   Interrogatory   16   Pursuant   to   IRCP   1.500(2)(c).”   The
    supplemented answer stated that “Dr. Ivo Bekavac[] and Dr. John Halloran may
    testify pursuant to previously produced medical records and Plaintiff’s
    Designation of Experts.” It went on to summarize Dr. Bekavac’s medical record:
    “Dr. Bekavac reviewed the CTA and determined a stenosis of the right ICA of
    approximately 40%. 40% stenosis is not sufficient to justify endarterectomy. The
    first and therefore the second endarterectomy were unnecessary and violated the
    standard of care.” The supplemented answer also summarized Dr. Halloran’s
    opinion, stating, “Dr. Halloran, in his medical record dated October 9, 2014,
    reviewed the CTA and assessed a stenosis of 32%. . . . Dr. Otoadese misread the
    9
    CTA and violated the applicable standard of care.” Causation was listed as an
    area of testimony for both doctors, but the McGrews did not attempt to
    summarize the doctors’ opinions on that subject.
    Several pretrial motions in limine were filed by both sides, but only two of
    the defense’s motions are relevant on appeal.
    First, Dr. Otoadese sought to exclude the “after-the-fact non-treatment
    opinions of Dr. Bekavac and Dr. Halloran” on topics such as the standard of care
    or causation. In support of this motion, the defense cited Iowa Rule of Civil
    Procedure 1.500(2) and Hansen v. Central Iowa Hospital Corp., 
    686 N.W.2d 476
    (Iowa 2004).
    Second, Dr. Otoadese moved to prevent the McGrews from presenting
    evidence on certain aspects of his career history, such as a settlement in which
    he voluntarily relinquished his hospital privileges to perform open-heart surgery
    in 2009 and his getting “kicked out” of his former practice group in 2012.
    Dr. Otoadese argued that such evidence would be substantially more prejudicial
    than probative and, therefore, should be excluded under Iowa Rule of Evidence
    5.403.
    At the outset of trial, the court took up some of the motions in limine. On
    the expert disclosure issue, offers of proof were made by the McGrews for
    Dr. Bekavac and Dr. Halloran. The court ultimately found that both doctors were
    properly disclosed as experts pursuant to Iowa Code section 668.11. Also, it
    found that no rule 1.500(2)(b) written report was required from either physician.
    10
    But the court, citing Hansen, ruled that a treating doctor’s testimony must be
    limited to opinions that were an aspect of providing treatment.
    Specifically, the court found that Dr. Halloran’s testimony would not be
    admissible at all because he did not treat McGrew. Dr. Bekavac, on the other
    hand, would be allowed to testify on a limited basis. The level of stenosis observed
    by both doctors would be admissible through Dr. Bekavac because those
    numbers were generated as part of examining McGrew’s medical history for
    treatment purposes. But opinions related to standard of care or causation would
    be off limits. In explaining this decision, the court pointed to “case law language
    that a treating physician cannot testify as to standard of care or causation when
    those issues were not necessary for the physician to formulate an opinion to care
    for the patient.”
    Dr. Bekavac’s September 26, 2014 medical record was admitted only in
    redacted form. Thus, the McGrews were able to introduce Dr. Bekavac’s
    statement that in his “opinion stenosis of right ICA [was] approximately 40%.”
    However, they were not allowed to introduce Dr. Bekavac’s statement later in the
    same record that “40% of stenosis was not significant to justify endarterectomy
    in my opinion.”
    Dr. Halloran’s October 9, 2014 medical record was not admitted at all.
    That record described Dr. Halloran’s review technique and method as well as his
    conclusion that there was “32% diameter stenosis.” Yet Dr. Bekavac’s
    October 30, 2014 medical record was admitted, wherein he reported,
    “Dr. Halloran did over read CTA and felt there is ICA stenosis of 32%.”
    11
    Dr. Bekavac’s trial testimony related how he reviewed the CT angiogram
    with the McGrew family and estimated the stenosis, or narrowing, at 40%.
    Dr. Bekavac added that this was “a significant difference” from a 65% or 70%
    stenosis. In light of the discrepancy, Dr. Bekavac testified that he asked
    Dr. Halloran for an “over reading.” Dr. Halloran, he explained, “has special
    qualifications in neuroimaging” and “software which can more accurately
    measure degree of narrowing.” According to Dr. Bekavac, Dr. Halloran reported
    32% stenosis.
    Later in the trial, the court also made rulings regarding Dr. Otoadese’s
    career history. The court allowed cross-examination regarding Dr. Otoadese’s
    background but forbid references to his getting “kicked out” of a medical group,
    losing open-heart surgery admitting privileges, and the like.
    Both   sides   called   retained   experts   at   trial.   Dr. Carl   Adams,   a
    cardiovascular surgeon, testified for the McGrews. According to Dr. Adams,
    McGrew’s right carotid stenosis appeared to be in the range of 30% to 45%.
    Dr. Adams opined that given this range, regardless of whether McGrew’s vision
    problems had been on the left or the right side, McGrew was not a candidate for
    surgery.
    Dr. James Levett, a cardiovascular surgeon, and Dr. James Gebel, a
    neurologist, attempted to counter that testimony on behalf of Dr. Otoadese.
    Dr. Levett testified that McGrew met the indications for carotid artery surgery in
    light of his symptoms and 65% to 70% blockage. Dr. Gebel testified that based
    12
    on his review of the imaging available to Dr. Otoadese, he came up with a 60%
    to 65% stenosis number, “approximately” the same figure as Dr. Cammoun.
    On March 7, the jury returned a defense verdict finding that Dr. Otoadese
    was not negligent. The McGrews moved for a new trial. In denying the motion,
    the district court elaborated on its decision not to allow standard of care or
    causation opinions from Dr. Bekavac and Dr. Halloran:
    I agree Halloran and Bekavac were both listed in the 668.11
    designation, . . . Hansen stands for the fact that even . . . designated
    as a 668.11 expert, the ability of a treating physician to testify with
    regard to standard of care hinges on that aspect of whether or not
    that standard of care and other opinions sought from that expert or
    sought from that treating physician . . . were necessary to be
    formulated as part of that treating physician’s care of the patient, as
    opposed to formulated in response to the issues presented by the
    litigation.
    The court later added that even if it had erred in these rulings, the
    McGrews were not prejudiced “in light of the testimony that was permitted
    through Dr. Bekavac and the accompanying exhibits, as well as the testimony of
    the Plaintiffs’ retained expert.”
    The McGrews filed a timely appeal, and we transferred the case to the court
    of appeals.
    C. The Court of Appeals Decision. On March 3, 2021, the court of
    appeals affirmed the judgment in favor of the defendants. On the expert witness
    issue, the court found that Dr. Bekavac and Dr. Halloran took on a role
    “analogous to that of a retained expert” and, therefore, disclosure of their
    opinions was required pursuant to rule 1.500(2)(c). See Eisenhauer ex rel. T.D. v.
    Henry Cnty. Health Ctr., 
    935 N.W.2d 1
    , 22 (Iowa 2019). Specifically, the court of
    13
    appeals held that under rule 1.500(2)(c), the McGrews had to disclose “[a]
    summary of the facts and opinions to which the witness[es] [were] expected to
    testify.” The court of appeals held that this information was not sufficiently
    disclosed, stating, “The exact nature of the doctors’ opinions was unknown to
    the parties.”
    Regarding Dr. Otoadese’s career history, the court of appeals found that
    the district court had not abused its discretion in its rule 5.403 calculus:
    There was no need for the evidence; there was no clear proof
    of exactly what occurred leading to the settlement agreements
    between Dr. Otoadese and the hospital and medical clinic. The
    evidence gave weak support to the proposition that Dr. Otoadese
    was negligent.
    In addition, even if the evidence had some relevance, any
    probative value would be outweighed by the danger the evidence is
    unduly prejudicial. The evidence would improperly influence the
    jury to find Dr. Otoadese liable based on evidence involving different
    events. We conclude the district court did not abuse its discretion
    in finding the evidence was inadmissible.
    (Citations omitted.)
    The McGrews applied for further review, and we granted their application.
    “On further review, we have the discretion to review all or some of the issues
    raised on appeal or in the application for further review.” Wermerskirchen v.
    Canadian Nat’l R.R., 
    955 N.W.2d 822
    , 827 (Iowa 2021) (quoting State v. Roby,
    
    951 N.W.2d 459
    , 463 (Iowa 2020)). The McGrews applied for further review only
    on the expert disclosure issue and we choose to review only that issue. The court
    of appeals decision shall stand as the final decision on whether the district court
    abused its discretion in curtailing the evidence of Dr. Otoadese’s career history
    that could be presented at trial.
    14
    III. Standard of Review.
    “We review whether a district court properly admitted expert testimony for
    abuse of discretion.” Eisenhauer ex rel. T.D., 935 N.W.2d at 9. But when we
    review the interpretation of a rule of civil procedure, such as rule 1.500(2), our
    review is for errors at law. Jack v. P & A Farms, Ltd., 
    822 N.W.2d 511
    , 515 (Iowa
    2012) (“[W]e review the interpretation of our rules of civil procedure for correction
    of errors at law.”).
    IV. Analysis.
    This case highlights the importance of distinguishing among three
    separate disclosure obligations: (1) the expert designation requirement of Iowa
    Code section 668.11, (2) the expert report requirement of rule 1.500(2)(b), and
    the expert disclosure requirement of rule 1.500(2)(c).
    A. Iowa Code Section 668.11. Iowa Code section 668.11 governs the
    “[d]isclosure   of     expert   witnesses   in   liability   cases   involving   licensed
    professionals.” It provides,
    A party in a professional liability case brought against a licensed
    professional pursuant to this chapter who intends to call an expert
    witness of their own selection, shall certify to the court and all other
    parties the expert’s name, qualifications and the purpose for calling
    the expert . . . .
    
    Iowa Code § 668.11
    (1).
    In Hansen, we decided that treating physicians may testify on causation
    without being designated as experts under Iowa Code section 668.11 if their
    causation opinion was developed in the course of treatment. 
    686 N.W.2d at
    482–
    84. The plaintiff in Hansen alleged that she suffered severe back pain as a result
    15
    of a fall caused by a hospital’s negligence. 
    Id. at 478
    . The plaintiff disclosed that
    she intended to have her treating doctor testify at trial regarding her “medical
    condition, as well as causation and damage issues.” 
    Id.
     But she did not designate
    the treating doctor as an expert witness under Iowa Code section 668.11. 
    Id. at 479
    .
    The district court decided not to allow the treating doctor to testify on the
    causation issue because it understood that only designated experts could
    provide an opinion on causation. 
    Id.
     This decision was likely based on Cox v.
    Jones, 
    470 N.W.2d 23
    , 25 (Iowa 1991). Cox, as pointed out in Hansen, “held that
    a treating physician must be designated as an expert pursuant to section 668.11
    if the physician is to give opinions on reasonable standards of care and
    causation.” 
    686 N.W.2d at 480
    .
    But on appeal in Hansen, we decided not to adhere to the Cox language
    regarding causation because it was dictum; the element of causation was not
    even at issue in that case. 
    Id. at 482
    . Instead, we looked to our more recent
    holding in Carson v. Webb, 
    486 N.W.2d 278
     (Iowa 1992). Hansen, 
    686 N.W.2d at
    482–83. In Carson, we explained that “the paramount criterion” when
    considering the need for Iowa Code section 668.11 disclosure from treating
    physicians “is whether th[e] evidence, irrespective of whether technically expert
    opinion testimony, relates to facts and opinions arrived at by a physician in
    treating a patient or whether it represents expert opinion testimony formulated
    for purposes of issues in pending or anticipated litigation.” 
    486 N.W.2d at 281
    .
    16
    As we applied this rule in Hansen, we found that the treating doctor had
    “formed his causation opinion as a treater.” 
    686 N.W.2d at 484
    . In support of
    this finding, we noted that the doctor had been treating the defendant long before
    the fall that led to the lawsuit. 
    Id.
     Also, he treated the defendant for increased
    pain after the fall occurred. 
    Id.
     As the doctor stated at his deposition, “The time
    sequence suggests that there was some correlation between the events that
    occurred and her subsequent increased pain.” 
    Id.
     Because the doctor developed
    his causation opinion via treatment of the defendant, it did not matter that the
    plaintiff had not made a section 668.11 expert designation. 
    Id.
    Hansen thus draws a line between opinions formed during treatment,
    which do not trigger an obligation to make an Iowa Code section 668.11
    disclosure, and opinions formed during or in anticipation of litigation, which do.
    Hansen does not hold that treating physicians are barred from testifying to
    causation opinions they form outside of treatment. The physician simply has to
    be disclosed pursuant to section 668.11. Here, there is no question that the
    McGrews timely designated Dr. Bekavac and Dr. Halloran pursuant to section
    668.11. There is no section 668.11 issue.
    B. Rule 1.500(2)(b). Ten years after Hansen, in 2014, a series of
    amendments to the Iowa Rules of Civil Procedure went into effect. These included
    rule 1.500(2), which requires the “[d]isclosure of expert testimony.” Iowa R. Civ.
    Pro. 1.500(2). Subsection (a) states that “a party must disclose to the other
    parties the identity of any witness the party may use at trial to present evidence
    under Iowa Rules of Evidence 5.702, 5.703, and 5.705.” 
    Id.
     r. 1.500(2)(a).
    17
    Notably, this portion of the rule covers all expert testimony, regardless of the
    basis for the expert opinion.
    The next subsection, subsection (b), requires certain expert witnesses to
    provide a signed written report. 
    Id.
     r. 1.500(2)(b). This requirement only applies
    “if the witness is one retained or specially employed to provide expert testimony
    in the case or one whose duties as the party’s employee regularly involve giving
    expert testimony.” 
    Id.
     If a written report is required, it must contain:
    (1) A complete statement of all opinions the witness will
    express and the basis and reasons for them.
    (2) The facts or data considered by the witness in forming the
    opinions.
    (3) Any exhibits that will be used to summarize or support the
    opinions.
    (4) The witness’s qualifications, including a list of all
    publications authored in the previous ten years.
    (5) A list of all other cases in which, during the previous four
    years, the witness testified as an expert at trial or by deposition.
    (6) A statement of the compensation to be paid for the study
    and testimony in the case.
    
    Id.
    If an expert witness is not required to submit a written report, the party
    must still provide a disclosure pursuant to subsection (c). 
    Id.
     r. 1.500(2)(c). This
    disclosure is less comprehensive than a written report. It only needs to (1) state
    “[t]he subject matter on which the witness is expected to present evidence under
    Iowa Rules of Evidence 5.702, 5.703, or 5.705” and (2) provide “[a] summary of
    the facts and opinions to which the witness is expected to testify.” 
    Id.
    18
    Dr. Otoadese argues that rule 1.500(2)(b) applied here and written reports
    were required from both Dr. Bekavac and Dr. Halloran. He reasons that when a
    treating physician intends to offer opinions that were not formulated during
    treatment, that physician takes on the role of a retained expert and must disclose
    their opinions accordingly. Dr. Otoadese analogizes the circumstances when
    expert reports are required under rule 1.500(2)(b) to the circumstances when
    interrogatory answers can be obtained under rule 1.508.
    In Day v. McIlrath, we addressed the latter issue. 
    469 N.W.2d 676
    , 677
    (Iowa 1991) (per curiam). Day held that the opinions of a treating physician were
    not discoverable through rule 1.508 interrogatories because they were not
    developed in anticipation of litigation or trial. 
    Id.
     We explained, “A treating
    physician ordinarily learns facts in a case, and forms mental impressions or
    opinions, substantially before he or she is retained as an expert witness, and
    often before the parties themselves anticipate litigation.” 
    Id.
     At the end of the
    opinion, though, we added a cautionary note: “When a treating physician
    assumes a role in litigation analogous to the role of a retained expert,
    supplemental discovery under rule [1.508] could become obligatory.” 
    Id.
     Day
    thus draws a line similar to the one drawn in Hansen—between opinions formed
    during treatment and opinions formed during or in anticipation of litigation.
    Rule 1.508, entitled “Discovery of experts,” applies when the opinions have
    been “acquired or developed in anticipation of litigation or for trial.” Iowa R. Civ.
    Pro. 1.508(1). But rule 1.500(2)(b) is narrower in scope: it requires a written
    report only “if the witness is one retained or specially employed to provide expert
    19
    testimony in the case or one whose duties as the party’s employee regularly
    involve giving expert testimony.” Rule 1.508 focuses on the source of the opinion.
    By contrast, rule 1.500(2)(b) focuses on the status of the expert—were they
    actually retained for litigation purposes?
    Although we adopted rule 1.500 in one fell swoop in 2014, Federal Rule of
    Civil Procedure 26(a)(2) took its final form in two stages. The expert report
    requirement in Rule 26(a)(2)(B) came along first, in 1993, and the less-stringent
    expert disclosure requirement in Rule 26(a)(2)(C) came along second, in 2010.
    See 8A Charles Alan Wright et al., Federal Practice and Procedure § 2031.2
    (3d ed. 2010). The Advisory Committee Notes discussing the 2010 amendment
    explain that some post-1993 federal courts had been too zealous in requiring
    expert reports and that such a report should be required only from “an expert
    described in” the rule, i.e., someone specially retained to provide expert
    testimony:
    Rule 26(a)(2)(C) is added to mandate summary disclosures of the
    opinions to be offered by expert witnesses who are not required to
    provide reports under Rule 26(a)(2)(B) and of the facts supporting
    those opinions. This disclosure is considerably less extensive than
    the report required by Rule 26(a)(2)(B). Courts must take care
    against requiring undue detail, keeping in mind that these witnesses
    have not been specially retained and may not be as responsive to
    counsel as those who have.
    This amendment resolves a tension that has sometimes
    prompted courts to require reports under Rule 26(a)(2)(B) even from
    witnesses exempted from the report requirement. An (a)(2)(B) report
    is required only from an expert described in (a)(2)(B).
    Fed. R. Civ. P. 26(a)(2)(C) advisory committee’s note to 2010 amendment.
    20
    One federal district court cogently analyzed the pre-2010 tension and how
    it was resolved by the 2010 amendment:
    Before the 2010 amendments, there were vast differences in the
    disclosure requirements that applied to retained and non-retained
    experts: whereas retained experts had to disclose full expert reports,
    non-retained experts didn’t have to disclose anything. Because of
    this disparity, courts understandably felt a strong impulse,
    whenever the call was close, to classify the expert as retained and to
    require disclosure. This was necessary, many courts believed, to give
    the other side adequate notice of the physician’s testimony. But, in
    the 2010 amendments, Congress added Section (C) to Rule
    26(a)(2)—which, as we’ve seen, requires non-retained experts to
    submit written summaries. See Fed. R. Civ. P. 26(a)(2)(C) (requiring
    non-retained experts to supply “a summary of the facts and opinions
    to which the witness is expected to testify”); Fed. R. Civ. P. 26
    advisory committee’s notes to 2010 amendment (noting that non-
    retained expert must also provide “the facts supporting [the expert’s]
    opinions”). Under this framework, then, there’s little reason to fear
    that the other side—here, the defense—will be surprised by an
    expert whose testimony it never had the chance to (fully) examine.
    In this respect, the committee’s notes make clear that the
    “amendment resolves a tension that has sometimes prompted courts
    to require reports under Rule 26(a)(2)(B) even from witnesses
    exempted from the report requirement.” Fed. R. Civ. P. 26 advisory
    committee’s notes to 2010 amendment.
    Torres v. Wal-Mart Stores E., L.P., ___ F. Supp.3d ___, ___, 
    2021 WL 3634632
    , at
    *13 (S.D. Fla. August 17, 2021) (alteration in original) (footnote omitted). This
    district court added, “We aren’t alone in questioning the wisdom of relying on
    pre-2010 cases to confine non-retained physicians to the opinions they formed
    during treatment.” Id. at *15 (discussing other federal cases).4
    4Indeed, the Torres court is not alone; many courts have recently allowed nontreatment
    opinions to be disclosed under the less onerous requirements of Federal Rule 26(a)(2)(C). See,
    e.g., SB Holdings I, LLC v. Ind. Harbor Ins., No. 20–14729, 
    2021 WL 3825166
    , at *3 n.6 (11th Cir.
    2021) (per curiam) (noting that “certain types of individuals, such as treating physicians, . . . are
    exempt from the disclosure requirements for retained experts because their testimony primarily
    concerns personal observations made during the course of rendering their professional services”);
    Vanderberg v. Petco Animal Supplies Stores, Inc., 
    906 F.3d 698
    , 702–03 (8th Cir. 2018)
    (considering whether the plaintiff adequately disclosed a nonretained treating doctor’s expected
    21
    A leading treatise pointedly criticizes the practice of requiring expert
    reports from treating physicians who have not been actually retained to offer
    additional opinions: “The amended Rule focuses exclusively on whether the
    expert was retained, not the nature of the activity that the expert engaged in to
    form conclusions . . . .” David H. Kaye et al., The New Wigmore: A Treatise on
    Evidence: Expert Evidence § 4.2.2(b), at 181 (3d ed. 2021). “The language of the
    old Rule should have made it clear that treating physicians and other percipient-
    witness experts not formally retained by a party do not generally need to provide
    written reports—indeed, the advisory committee notes made that explicit. Now,
    the amendments have made it clearer.” Id. at 179 (footnote omitted).
    Admittedly, despite the 2010 amendment, some federal courts continue to
    impose expert report requirements on treating physicians based on the timing
    or subject matter of their opinions rather than their status as having been
    “retained.” See, e.g., United States v. Williams, No. 20–10433, 
    2021 WL 2819016
    ,
    at *3 (5th Cir. July 6, 2021) (“Although a party’s treating physicians typically do
    not need to disclose a written expert report before testifying, some courts have
    testimony under the lesser requirements of Rule 26(a)(2)(C) rather than requiring a written
    report); Higgins v. Koch Dev. Corp., 
    794 F.3d 697
    , 704 (7th Cir. 2015) (indicating that the
    plaintiff’s treating physician could serve as a causation expert without providing an expert report
    if his opinions had been disclosed under Federal Rule 26(a)(2)(C)); D’Attore v. Salmon, 572
    F. App’x 17, 18 n.1 (2d Cir. 2014) (“The plain language of Federal Rule of Civil Procedure 26—
    amended in 2010—does not require a report for treating physicians, because they are not
    ‘retained or specially employed to provide expert testimony.’ ” (quoting Fed. R. Civ. P. 26(a)(2)));
    Morrison v. Wal-Mart Stores, Inc., 
    321 F.R.D. 336
    , 338–39 (C.D. Ill. 2017) (“Dr. Mulconrey is not
    a retained expert. Accordingly, under the plain language of the Rule, the expert falls within the
    disclosure requirements of subsection (a)(2)(A) and (a)(2)(C), but not the reporting requirements
    of subsection (a)(2)(B).”); Williams v. Devlin, 
    100 F. Supp. 3d 8
    , 12 (D.D.C. 2015) (finding that
    pre-2010 cases were “inapposite” and that a written report was not required for a nonretained
    treating physician).
    22
    held that this exception does not apply to ‘opinions that the treating
    physician arrives at after treatment, for the purposes of litigation.’ We need not
    decide this question, which remains unsettled in this circuit.” (citation omitted)
    (quoting LaShip, LLC v. Hayward Baker, Inc., 
    296 F.R.D. 475
    , 480 (E.D. La.
    2013))); EEOC v. AutoZone, Inc., 
    707 F.3d 824
    , 833 (9th Cir. 2013) (citing a pre-
    2010-amendment case and stating that treating physicians who do not provide
    a report may only give opinions “formed during the course of the physician’s
    treatment[] and not in preparation for litigation”). Perhaps this is because some
    of the federal judges authoring these decisions left practice before 2010.
    Regardless, we think the plain language of rule 1.500(2)(b) should dictate the
    outcome in Iowa. Dr. Bekavac and Dr. Halloran were not retained experts; they
    were consulted for medical purposes, not litigation purposes. Therefore, the
    McGrews were not required to provide written reports for them under rule
    1.500(2)(b).
    C. Rule 1.500(2)(c). Even if an expert witness is not required to submit a
    written report, the party must still provide a disclosure pursuant to rule
    1.500(2)(c). Iowa R. Civ. Pro. 1.500(2)(c). This disclosure must (1) state “[t]he
    subject matter on which the witness is expected to present evidence under Iowa
    Rules of Evidence 5.702, 5.703, or 5.705” and (2) provide “[a] summary of the
    facts and opinions to which the witness is expected to testify.” 
    Id.
    For Drs. Bekavac and Halloran, rule 1.500(2)(c) disclosures were required
    in lieu of a written report. Dr. Otoadese argues that the McGrews’ disclosures
    were insufficient under rule 1.500(2)(c). He says the McGrews’ interrogatory
    23
    answer and the doctors’ records disclosed the subject matter of the expected
    testimony and a “medical disagreement” but did not set forth an actual opinion
    (or summary thereof) on standard of care or causation. He posits that
    “extrapolation and speculation would be required” to arrive at actual opinions
    on those topics.
    The McGrews have a different understanding of rule 1.500(2)(c)’s
    requirements and insist that their disclosure was sufficient. The McGrews also
    point out that the defendants had an opportunity to depose Dr. Bekavac and
    Dr. Halloran before trial and declined to do so.
    We provided guidance on the requirements of section 1.500(2)(c) in
    Eisenhauer ex rel. T.D. v. Henry County Health Center, 
    935 N.W.2d 1
    . In
    Eisenhauer, a baby’s left shoulder become stuck during birth and the delivery
    team performed an emergency “McRoberts maneuver” to free the child from the
    birth canal. 
    Id.
     at 7–8. After the baby was born with permanent damage to his
    left arm, a conservator brought a claim for medical negligence. 
    Id. at 8
    . During
    direct testimony at trial, the treating physician-defendant, Dr. Widmer, was
    asked his opinion on whether he conformed with the standard of care, to which
    he responded, “I believe I did.” 
    Id. at 20
    . We held that this four-word opinion was
    admissible because there had been adequate pretrial disclosure under rule
    1.500(2)(c). 
    Id.
     at 21–22.
    The defendants in Eisenhauer had made a timely designation of
    Dr. Widmer as an expert under Iowa Code section 668.11. 
    Id. at 20
    . Additionally,
    they had provided an expert disclosure under rule 1.500(2)(c) that stated, “The
    24
    purpose of calling Dr. Widmer will be to have him testify on the issues of standard
    of care, causation and damages. Dr. Widmer is expected to testify at trial
    consistent with his deposition testimony given in this case.” 
    Id. at 20
    . We
    determined that this statement satisfied the defendants’ obligation under rule
    1.500(2)(c)(1) to disclose the subject matter of Dr. Widmer’s expert testimony. 
    Id.
    We also held that Dr. Widmer’s actual deposition testimony, which the pretrial
    disclosure had incorporated by reference, met rule 1.500(2)(c)(2)’s requirement
    to disclose a summary of the facts and opinions to which the physician was
    expected to testify. 
    Id. at 21
    . Our opinion quoted liberally from Dr. Widmer’s
    deposition   testimony    that   the   McRoberts    maneuver     was     performed
    “satisfactorily,” that the maneuver was “successful,” that it was “properly
    executed,” and that the baby was delivered within the time frame that was
    needed. 
    Id.
     Dr. Widmer’s trial testimony was, if anything, “decidedly less detailed
    than his responses from the deposition testimony.” 
    Id. at 22
    . Providing that
    deposition testimony was enough to satisfy the disclosure requirements. Notably,
    we did not require any particular form of disclosure or the use of any magic
    words, i.e., “The standard of care is x.”
    The advisory committee’s notes to Federal Rule 26(a)(2)(C), quoted above,
    are in line with our flexible construction in Eisenhauer. They explain that the
    rule was designed to mandate much less disclosure than is required for a signed
    written expert report and should not be interpreted too restrictively.
    Although the summary of facts and opinions under rule 1.500(2)(c)(2) does
    not require a high level of specificity, clearly there must be some summary of the
    25
    actual facts and opinions to which the witness is expected to testify. A mere list
    of topics or subject areas does not meet the requirements of the rule.
    Significantly, in Eisenhauer, it was Dr. Widmer’s prior deposition testimony—
    and its incorporation into the disclosure—that made the defendants’ disclosure
    adequate for rule 1.500(2)(c) purposes. See 935 N.W.2d at 21–22.
    D. The Adequacy of the Rule 1.500(2)(c) Disclosures in This Case.
    Upon review of the record, we find that the McGrews properly disclosed both
    Dr. Bekavac’s and Dr. Halloran’s opinions on the standard of care, but they failed
    to adequately disclose either doctor’s opinion on causation. The McGrews’
    supplemental interrogatory answer stated that “Dr. Bekavac reviewed the CTA
    and determined a stenosis of the right ICA of approximately 40%. 40% stenosis
    is not sufficient to justify endarterectomy. The first and therefore the second
    endarterectomy were unnecessary and violated the standard of care.” For
    Dr. Halloran’s opinion, the answer summarized simply, “Dr. Otoadese misread
    the CTA and violated the applicable standard of care.”
    The interrogatory answer went on to reference the physicians’ own medical
    records. Dr. Bekavac had written in his record that “40% of stenosis was not
    significant to justify endarterectomy in my opinion.” Dr. Halloran wrote in his
    record that he measured “a 32% diameter stenosis.” While these summaries are
    not detailed, it is clear that Dr. Bekavac believed surgery was unnecessary, and
    that both doctors believed the CT angiogram had been misread. Some factual
    bases were given for these opinions. Therefore, both Dr. Bekavac and
    Dr. Halloran could testify on the applicable standard of care to the foregoing
    26
    extent. The district court abused its discretion when it did not allow them to do
    so.
    The district court also abused its discretion in preventing the McGrews
    from introducing complete versions of the contemporaneous medical records. It
    is undisputed that those records, which contained certain opinions and the
    grounds for them, had been timely disclosed in full. It seems incongruous to us
    to redact those same records (or in the case of Dr. Halloran, exclude them
    altogether) on the asserted ground of nondisclosure.
    On the other hand, no causation opinion was disclosed for either physician
    in the medical records or otherwise. While Dr. Bekavac’s notes seem to assume
    the September 2, 2014 surgery caused the stroke—something that was largely
    assumed at trial as well—this is not actually stated. Nor did the McGrews
    attempt to summarize a causation opinion in their interrogatory answer.
    Consequently, no causation opinion was disclosed and the district court did not
    abuse its discretion when it disallowed testimony on causation.
    E. Harmless Error. Next we must decide whether the district court’s
    abuse of discretion prejudiced the McGrews. Reversal of the district court is only
    required if the McGrews’ substantial rights were affected. See Eisenhauer,
    935 N.W.2d at 19; see also Tappe ex rel. Tappe v. Iowa Methodist Med. Ctr.,
    
    477 N.W.2d 396
    , 401 (Iowa 1991) (finding reversal was not justified in a medical
    malpractice case because the district court’s wrongful exclusion of expert
    testimony was harmless). “We presume prejudice and reverse unless the record
    27
    affirmatively establishes otherwise.” Eisenhauer, 935 N.W.2d at 19 (quoting State
    v. Russell, 
    893 N.W.2d 307
    , 314 (Iowa 2017)).
    This is a close call. The case came down to the degree of stenosis. Everyone
    agreed that a patient with 40% or 32% stenosis was not a candidate for surgery.
    The defendant himself, Dr. Otoadese, admitted that surgery would be
    inappropriate if Dr. Bekavac’s and Dr. Halloran’s stenosis numbers were correct:
    Q. I want you to assume for the sake of our discussion that
    they’re correct. If they are correct, either 32 or 40 percent, under
    those circumstances, would Mr. McGrew have been a candidate for
    surgery?
    A. No.
    Meanwhile, the McGrews’ expert, Dr. Adams, conceded that he would have
    offered surgery had there been 60% to 70% stenosis in combination with a
    symptom.
    The closing arguments at trial further confirm the parties’ consensus on
    who would and who wouldn’t be a candidate for surgery. The McGrews’ attorney
    put it this way in closing argument:
    Dr. Otoadese told you that if Drs. Bekavac and Halloran are correct,
    that it’s either 32 or 40 percent, this gentleman was not a candidate
    for surgery. He told you that. He admitted to you as part of our case,
    and so if you find that, then the answer to the first question on the
    verdict form is, yes, he was negligent for putting him through the
    surgery.
    Dr. Otoadese’s attorney conceded that her client had given this testimony.
    But she sought to place the responsibility on the “empty chair,” Dr. Cammoun,
    the radiologist who had previously settled. A leading theme of her closing
    28
    argument was that Dr. Otoadese had reasonably relied on the 65% number from
    Dr. Cammoun:
    I would submit to you that the question to Dr. Otoadese when
    Mr. Diaz called him on Friday, would you have operated at 40 or 32
    percent? Dr. Otoadese very candidly said no. No. That’s not the issue
    here. That wasn’t the question or decision he was deciding. He was
    relying on a report he had a reason to rely on. He had ordered the
    test, and his own view of Dr. Cammoun’s imaging, 65 to 70 percent.
    That was the information supporting the recommendation and
    decision.
    In short, the fighting issue on standard of care was not over the conditions
    that would justify endarterectomy. It was over whether McGrew had those
    conditions on September 2, 2014—or at least whether Dr. Otoadese had
    reasonably relied on others to conclude that he had them.
    We have found that the district court erred in refusing to admit
    Dr. Bekavac’s and Dr. Halloran’s complete medical records from the fall of 2014,
    Dr. Bekavac’s testimony on standard of care, and Dr. Halloran’s testimony on
    the degree of stenosis. These opinions were set forth in contemporaneous
    medical records that had been disclosed to the other side; no one retained either
    doctor to provide these opinions. Still, Dr. Bekavac was permitted to explain his
    40% estimate to the jury in detail. He also told the jury about Dr. Halloran’s 32%
    estimate and added that Dr. Halloran could utilize computer software to derive
    an estimate, a “more accurate way of measuring.”
    Also, Dr. Bekavac’s views on whether the surgery should have occurred
    probably filtered through to the jury. When asked about the 30% discrepancy
    between his estimate of stenosis and Dr. Otoadese’s, Dr. Bekavac testified it was
    “a significant difference.”
    29
    In the end, though, we cannot find harmless error. We draw, in part, on
    our review of the closing arguments. They are often a barometer of how the case
    was tried and whether the presence or absence of certain evidence mattered. See,
    e.g., State v. Skahill, 
    966 N.W.2d 1
    , 17 (Iowa 2021) (concluding that the
    admission of a video was not harmless error in part because the video “featured
    prominently in the State’s closing argument”). In her closing, Dr. Otoadese’s
    attorney capitalized on the lack of standard of care testimony coming from
    anyone on the plaintiffs’ side other than their hired gun, Dr. Adams. As
    Dr. Otoadese’s attorney put it, “Dr. Adams is the source of the claims in this
    case. You’ve heard a lot about Dr. Bekavac, but in fairness, folks, the criticisms
    of Dr. Otoadese don’t come from Dr. Bekavac. They come from Dr. Adams.”
    Furthermore, Dr. Bekavac was a friend of Dr. Otoadese. This was
    acknowledged by both Dr. Bekavac and Dr. Otoadese. Thus, if the McGrews had
    been able to point to Dr. Bekavac’s direct, real-time criticisms of his friend
    Dr. Otoadese in the medical record, i.e., “40% of stenosis was not significant to
    justify endarterectomy in my opinion,” that might have been compelling.
    In addition, Dr. Otoadese’s attorney took advantage of the absence of
    Dr. Halloran, stating, “[A]ll you’ve heard about Dr. Halloran is a number, 32
    percent.”5 If Dr. Halloran had been able to testify, and if his October 9, 2014
    medical record had been introduced, there would have been much more than a
    number. To our untrained judicial eye, the medical record is convincing in its
    5Dr.Otoadese’s attorney went on, “Halloran told him 32 percent. We really don’t have
    that much detail about that, but we do have detail from Dr. Cammoun and Dr. Gebel and
    Dr. Otoadese who have explained it. That’s what the evidence has been in this case.”
    30
    detail and professionalism, and Dr. Halloran, a specialist, would have been able
    to explain in full how he arrived at the 32% number. Dr. Halloran also would
    have been able to testify that he came up with the 32% number unaware of
    anyone else’s calculation (or even that McGrew had already had surgery).
    Dr. Bekavac’s secondhand summaries of Dr. Halloran’s qualifications and
    equipment seem to us an inadequate substitute for Dr. Halloran’s live testimony
    on these subjects.
    Accordingly, we are not convinced the error was harmless and we reverse
    and remand for a new trial.
    V. Conclusion.
    For the foregoing reasons, we reverse the judgment of the district court
    and remand the case for a new trial. The decision of the court of appeals is
    affirmed in part and vacated in part.
    DECISION OF COURT OF APPEALS AFFIRMED IN PART AND
    VACATED IN PART; DISTRICT COURT JUDGMENT REVERSED AND
    REMANDED.
    All justices concur except Oxley, J., who takes no part.