Baptist Health Richmond, Inc. v. Hon William G. Clouse Jr Judge, Madison Circuit Court, Division I , 2016 Ky. LEXIS 430 ( 2016 )


Menu:
  •                                             RENDERED: SEPTEMBER 22, 2016
    TO BE PUBLISHED
    ,i5uprrtnt Court of Tc.firttfuritv
    2015-SC-000657-MR
    BAPTIST HEALTH RICHMOND, INC.                                        APPELLANT
    ON REVIEW FROM COURT OF APPEALS
    CASE NO. 2015-CA-001175-OA
    MADISON CIRCUIT COURT NO. 14-CI-00455
    V.
    APPELLEE
    HON. WILLIAM G. CLOUSE, JR.,
    JUDGE MADISON CIRCUIT COURT,
    DIVISION I
    AND
    TIM AGEE, INDIVIDUALLY AND AS                          REAL PARTY IN INTEREST
    ADMINISTRATOR OF THE ESTATE OF
    EVA LOUISE NALL (AGEE), DECEASED
    OPINION OF THE COURT BY JUSTICE KELLER
    VACATING AND REMANDING
    Baptist Health Richmond, Inc. petitioned the Court of Appeals for a writ
    prohibiting the Madison Circuit Court from enforcing its order requiring Baptist
    Health to produce certain documents that had been requested in discovery by
    the real party in interest. The Court of Appeals denied the petition, and Baptist
    Health appeals from that denial. The issue on appeal is whether the requested
    documents are protected from disclosure by the Patient Safety and Quality
    Improvement Act of 2005 (the Act), 42 U.S.C.A. § 299b-21 et. seq. Having
    reviewed the record and the arguments of the parties, we vacate the trial
    court's discovery order and remand for further proceedings consistent with this
    opinion.
    I. BACKGROUND.
    Eva Louise Nall (Agee) underwent laproscopic surgery and subsequently
    died. Her husband, Tim Agee, individually and on behalf of her estate, sued
    Baptist Health and a number of medical care providers alleging that her death
    was the result of medical negligence. During discovery, Mr. Agee propounded a
    request for production of documents to Baptist Health. The request at issue
    sought: "any and all incident reports, investigation reports, sentinel event
    reports, root cause analysis reports, Joint Commission reports, Medicare
    reports, Medicaid reports, peer review reports and reports of any nature
    relating to Eva Louise Nall (Agee)." Baptist Health designated which documents
    it believed fell within the request but refused to produce them claiming that
    they were protected from disclosure by the Act. Mr. Agee filed a motion to
    compel, which the trial court granted in part, holding that only those
    documents that had been "collected, maintained, or developed for the sole
    purpose of disclosure to a Patient Safety Organization pursuant to the [Act]"
    are protected. As set forth above, Baptist Health then filed an original action in
    the Court of Appeals seeking a writ of prohibition. The Court of Appeals denied
    Baptist's request, holding that the "sole purpose" standard applied by the trial
    court is consistent with this Court's opinion in Tibbs v. Bunnell, 
    448 S.W.3d 796
    (Ky. 2014).
    2
    II. ANALYSIS.
    We begin our analysis with a review of Tibbs, a plurality opinion. 1
    Tibbs, lessAlthougamjriyfeCtgdwihoucmen than a
    majority agreed on the reasoning; therefore, Tibbs has no stare decisis effect.
    See Ware v. Commonwealth, Ky., 
    47 S.W.3d 333
    , 335 (2001). However, Tibbs is
    certainly persuasive, and we find much with which we can agree in both the
    plurality and the dissenting opinions.
    The trial court in Tibbs ordered the hospital to produce an "incident" or
    "event" report that had been generated by a hospital surgical nurse after the
    death of a 
    patient. 448 S.W.3d at 798
    . Several physicians sought to prevent
    disclosure of that report, arguing that it was protected by the Act.             
    Id. The trial
    court ordered the hospital to produce the report, and the physicians sought
    protection from the Court of Appeals via a writ of prohibition.      
    Id. The Court
    of
    Appeals issued the requested writ, but found that the Act's protection only
    extended to "documents that contain a self-examining analysis."              
    Id. at 799.
    In
    doing so, the Court of Appeals relied, in large part, on Francis v. United States,
    No. 09 Civ. 4004 (GBD)(KNF), 
    2011 WL 2224509
    (S.D.N.Y. May 31, 2011)
    which indicated that the scope of the Act's privilege extended only to the
    analysis and corrective actions related to an adverse event of medical error.
    
    Tibbs, 448 S.W.3d at 802
    . Thus, the Court of Appeals remanded the matter to
    1 Justice Scott wrote the plurality opinion, in which Justices Venters and
    Cunningham fully concurred. Justice Noble concurred in result only without separate
    opinion and Justice Hughes wrote a dissenting opinion which Chief Justice Minton
    joined. Justice Keller did not sit because she had presided over the Court of Appeals
    panel that granted the requested writ.
    3
    the trial court for an in camera review to determine if the requested document
    contained that type of self-examining analysis.     
    Id. In analyzing
    the Court of Appeals's opinion, the plurality opinion in Tibbs
    pointed out that Congress enacted the Act:
    [I]n order to encourage health care providers to voluntarily
    associate and communicate privileged patient safety work product
    . . . among themselves through in-house patient safety evaluation
    systems . . . and with and through affiliated patient safety
    organizations . . . in order to hopefully create an enduring national
    system capable of studying, analyzing, disseminating, and acting
    on events, solutions, and recommendations for the betterment of
    national patient safety, healthcare quality, and healthcare
    outcomes.
    
    Tibbs, 448 S.W.3d at 800
    . To incentivize participation, the Act provides
    protection from disclosure to "certain categories of documents and
    communications termed 'patient safety work product' that are developed in
    connection with newly created patient safety organizations. This patient safety
    work product is considered privileged.and, therefore, cannot be subject to
    disclosure." 
    Id. at 801
    (quoting H.R. Rep. No. 109-197, 9 (2005)).
    The plurality opinion then noted that the Court of Appeals's reliance on
    Francis was misplaced because the language cited by the Court was dicta. 
    Id. at 802.
    Furthermore, the plurality opinion noted that "the Court of Appeals
    relied on commentary from Francis regarding a prior version of the Act that
    never became law, rather than on the Act itself."     
    Id. Therefore, the
    plurality
    opinion determined that the Court of Appeals erred by limiting the scope of
    review by the trial court to "documents employing a self-critical analysis."    
    Id. at 802.
    4
    The plurality opinion then undertook its own analysis of the Act and set
    forth what it believed to be the proper scope of the Act's privilege and the
    resultant scope of the trial court's review. As cited by the plurality opinion, the
    Act defines patient safety work product as:
    any data, reports, records, memoranda, and analyses (such as root
    cause analyses), or written or oral statements-
    (i) which—
    (I) are assembled or developed by a provider for
    reporting to a patient safety organization and are
    reported to a patient safety organization; or
    (II) are developed by a patient safety organization for
    the conduct of patient safety activities;
    and which could result in improved patient safety,
    health care quality, or healthcare outcomes; or
    (ii) which identify or constitute the deliberations or analysis of, or
    identify the fact of reporting pursuant to, a patient safety
    evaluation system.
    
    Tibbs, 448 S.W.3d at 803
    (quoting 42 U.S.C.A. § 299b-21 (7)(A)). However, as
    the plurality opinion noted, Section (B) of 42 U.S.C.A. § 299b-21 (7) excepts
    certain material from being considered patient safety work product.      
    Id. (i) Information
    described in subparagraph (A) does not include a
    patient's medical record, billing and discharge information, or any
    other original patient or provider record.
    (ii) Information described in subparagraph (A) does not include
    information that is collected, maintained, or developed separately,
    or exists separately, from a patient safety evaluation system. Such
    separate information or a copy thereof reported to a patient safety
    organization shall not by reason of its reporting be considered
    patient safety work product.
    (iii) Nothing in this part shall be construed to limit-
    (I) the discovery of or admissibility of information
    described in this subparagraph in a criminal, civil, or
    administrative proceeding;
    (II) the reporting of information described in this
    subparagraph to a Federal, State, or local
    governmental agency for public health surveillance,
    investigation, or other public health purposes or
    health oversight purposes; or
    (III) a provider's recordkeeping obligation with respect
    to information described in this subparagraph under
    Federal, State, or local law.
    
    Id. Thus, the
    plurality opinion determined that the Act does not "protect
    information 'collected, maintained or developed separately, or existing
    separately from a patient safety evaluation system' even if collected by a Patient
    Safety Evaluation System and reported to a Patient Safety Organization."
    
    Tibbs, 448 S.W.3d at 803
    -04. As the plurality opinion noted,
    [T]he [Act] did not intend to supplant, or invalidate, traditional
    state monitoring or regulation of health providers. See 42 U.S.C.A.
    § 299b-21(7)(B)(i)-(iii). . . . [T]he United States Department of
    Health and Human Services' own final rules negate any such
    intent: "The Patient Safety Act establishes a protected space or
    system that is separate, distinct, and resides alongside but does
    not replace other information collection activities mandated by
    laws, regulations, and accrediting and licensing requirements as
    well as voluntary reporting activities that occur for the purpose of
    maintaining accountability in the health caresystem."
    
    Id. at 807
    (quoting Patient Safety and Quality Improvement, 73 FR 70732-01 at
    70742) (emphasis added in opinion). Thus, the Act recognizes that providers
    who participate in the Act may be subject to "dual reporting obligations."     
    Id. The plurality
    opinion noted that Kentucky mandates that:
    Administrative reports shall be established, maintained and utilized
    as necessary to guide the operation . . . of [health care facilities.]
    6
    902 KAR 20:016 § 3(3)(a) (emphasis added). Such reports shall
    include, among others, "incident investigation reports . . . and .. .
    [o]ther pertinent reports made in the regular course of business."
    
    Id. And such
    facilities shall "have written policies and procedures
    governing all aspects of the operation of the facility and the
    services provided, including: . . . (g) [a]n effective procedure for
    recording accidents involving a patient . . . , including incidents of
    transfusion reactions, drug reactions, medication errors, and
    similar events . : . ." 902. KAR 20:016 § 3(4).
    
    Id. at 808.
    Based on the preceding, the plurality opinion determined that the
    information in the incident report in question "would be found in an incident
    report which is required by Kentucky regulations to be 'established, maintained
    and utilized as necessary to guide the operation . . . of the facility.' 902 KAR
    20:016 § 3(3)(a)." 
    Id. at 809.
    The plurality opinion noted that the physicians
    claimed the privilege applied because the information was not kept separately
    but "was filed and stored in a database ostensibly dedicated to the Hospital's
    Patient Safety Evaluation System operated by its Risk Management
    Department and to which the hospital's [patient safety organization] has
    access." 
    Tibbs, 448 S.W.3d at 809
    . However, the plurality opinion concluded
    that, while the information might "be relevant to [the hospital's] endeavors
    under the Act, it is not, nor can it be, patient safety work product, since its
    collection, creation, maintenance, and utilization is mandated by the
    Commonwealth of Kentucky as part of its regulatory oversight of its healthcare
    facilities." 
    Id. Thus, the
    plurality opinion concluded that the trial court
    should, on remand, separate the information "normally contained in . . . state-
    7
    mandated incident reports" from "material properly privileged under the Act,"
    and permit discovery of the non-privileged information.   
    Id. The dissent
    agreed with much of what the plurality opinion said about
    the Act and that "patients or their estates are entitled to" information contained
    in state mandated reports. 
    Id. at 810.
    As the dissent noted, the Act does not
    displace state law because:
    [W]hen laws or regulations require the reporting of the information
    regarding the type of events also reported to [patient safety
    organizations], the Patient Safety Act does not shield providers from
    their obligation to comply with such requirements. These external
    obligations must be met with information that is not patient safety
    work product and oversight entities continue to have access to this
    original information in the same manner as such entities have had
    access prior to the passage of the Patient Safety Act.
    
    Id., at 814
    (quoting Patient Safety and Quality Improvement, 73 FR 70732-01 at
    70742)(emphasis added in opinion).
    However, the dissent also noted that:
    [The Senate Committee found] that broad protections are essential
    to encourage reporting. Currently, there are few incentives and
    many barriers for providers to collect and report information
    regarding patient safety. The primary barrier relates to concerns
    that information shared to promote patient safety would expose
    providers to liability. Unless this information can be freely shared,
    errors will continue to be hidden and errors will be repeated. A
    more open, nonpunitive learning environment is needed to
    encourage health care professionals and organizations to identify,
    analyze, and report errors without facing the threat of litigation
    and, at the same time, without compromising plaintiffs' legal rights
    or affecting existing and future public reporting initiatives with
    respect to the underlying data.
    Tibbs, at 813-14.
    8
    According to the dissent, permitting judges "to sift through federally
    protected patient safety data for otherwise discoverable material under state
    law . . . [would] frustrate the Act's intent."   
    Id. 810. Thus,
    the dissent
    concluded that material, once included in the patient safety evaluation system
    or submitted to a patient safety organization, is protected until removed from
    that system or organization. Therefore, the only questions for a trial court to
    answer in a discovery dispute would be: was the requested information ever'
    included in the patient evaluation system and, if it was included, was it
    removed. If the answer to the first question is, "Yes," and the answer to the
    second question is, "No," then the information would be protected from
    discovery.
    While this matter has been pending, the Department of Health and
    Human Services (HHS) issued additional guidance regarding interpretation and
    implementation of the Act. In pertinent part, HHS stated that "the Patient
    Safety Act does not permit providers to use the privilege and confidentiality
    protections for [patient safety work product] to shield records required by
    external recordkeeping or reporting requirements." Patient Safety and Quality
    Improvement Act of 2005—HHS Guidance Regarding Patient Safety Work
    Product and Providers' External Obligations, 81 FR 32655-01 at 32657. HHS
    went on to note that providers have been misusing the Act in two ways to
    shield from discovery otherwise discoverable documents.
    First, some providers with recordkeeping or record maintenance
    requirements appear to be maintaining the required records only
    in their [patient safety evaluation system] and then refusing to
    disclose the records, asserting that the records in their [patient
    9
    safety evaluation system] fulfill the applicable regulatory
    requirements while at the same time maintaining that the records
    are privileged and confidential [patient safety work product].
    Second, some providers appear to develop records to meet external
    obligations outside of the [patient safety evaluation system], place
    a duplicate copy of the required record into the [patient safety
    evaluation system], then destroy the original outside of the [patient
    safety evaluation system] and refuse to disclose the remaining copy
    of the information, asserting that the copy is confidential and
    privileged [patient safety work product]. The Patient Safety Act was
    not intended to give providers such methods to evade their
    regulatory obligations.
    
    Id. at 32657-58.
    Therefore,
    HHS interprets "original provider records" to include: (1) Original
    records (e.g., reports or documents) that are required of a provider
    to meet any Federal, state, or local public health or health
    oversight requirement regardless of whether such records are
    maintained inside or outside of the provider's patient safety
    evaluation system; and (2) copies of records residing within the
    provider's [patient safety evaluation system] that were prepared to
    satisfy a Federal, state, or local public health or health oversight
    record maintenance requirement, if while the provider is obligated
    to maintain such information, the information is only maintained
    by the provider within the [patient safety evaluation system] (e.g., if
    the records or documents that were being maintained outside the
    [patient safety evaluation system] to fulfill the external obligation
    were lost or destroyed).
    
    Id. at 32658
    (footnote omitted). Thus, reports that are required by the
    Commonwealth do not become privileged because the provider puts them in its
    patient safety evaluation system.
    The dissent noted that there might be times when a hospital would not
    "generate a state-mandated record or report" thus frustrating a civil plaintiff s
    legitimate request for information.   Tibbs, 448 at 815-16. The dissent's
    solution to this dilemma is for "an interested party to demand that a required
    record or report be generated." 
    Id. at 816.
    However, as HHS states, the
    10
    solution is "for providers . . . to satisfy their external obligations outside of a
    [patient safety evaluation system]." 81 FR 32655-01 at 32658. Providers who
    satisfy those obligations should then have no fear that trial courts will be
    meddling in federally protected documentation.
    Having reviewed Tibbs, the arguments of the parties, the amicus curiae
    herein, and the new HHS guidance, we believe that the correct result in this
    case lies in middle ground between the plurality and the dissenting opinions in
    Tibbs. We agree with the dissent that mandating invasion of the hospital's
    patient safety evaluation system" by trial courts every time there is a discovery
    dispute would "discourage participation in the patient safety system by
    Kentucky's healthcare providers."     
    Id. at 816.
    However, permitting hospitals to
    place and leave otherwise discoverable information in the patient safety
    evaluation system in order to shield it from discovery is equally unacceptable
    and, as noted by HHS, is not in keeping with the Act. Furthermore, the dissent
    in Tibbs did not state how an interested party would make a demand that a
    provider generate a report; to whom that demand would be made; or what
    mechanism exists to enforce any order granting such a demand. Thus, we
    believe that the solution offered by the dissent in Tibbs is not viable.
    In summary, a provider who participates in the Act may collect
    information within its patient safety evaluation system that complies with the
    Act and that also complies with state statutory and regulatory requirements.
    However, doing so does not relieve the provider from complying with those state
    requirements and, to the extent information collected in the provider's internal
    11
    patient safety evaluation system is needed to comply with those state
    requirements, it is not privileged.
    The existence of the Act does not relieve providers from fulfilling their
    statutory and regulatory reporting obligations. As long as a provider fulfills
    those obligations, the trial court has no reason to review the information in the
    provider's patient safety evaluation system. However, if a provider fails to fulfill
    those obligations, the court can conduct an in camera review of the documents
    in the provider's patient safety evaluation system. In conducting that review,
    the court should separate the information that is usually contained in state-
    mandated reports from information that is not usually contained in those
    reports. The information that is usually contained in state-mandated reports is
    not protected by the patient safety work product privilege provided in the Act
    and will be discoverable. Because the provider is claiming the privilege, it
    bears the burden of proving that it complied with the statutory and regulatory
    reporting requirements. If the provider fails to meet that burden, the party
    seeking the information then bears the burden of establishing what
    information is generally contained in state-mandated reports.
    III. CONCLUSION.
    For the foregoing reasons, we vacate the trial court's order requiring
    Baptist Health Richmond, Inc. to produce documents, and we remand with
    instructions for the court to undertake the review as set forth herein.
    12
    All sitting. Keller, Cunningham, Noble and Venters, JJ., concur.
    Hughes, J., concurs by separate opinion in which Minton, C.J. and Wright, J.,
    join.
    HUGHES, J., CONCURRING: I concur. After this Court's issuance of
    Tibbs v. Bunnell, 
    448 S.W.3d 796
    (Ky. 2014) and the Court of Appeals' denial of
    a writ in this case, as Justice Keller notes, the Department of Health and
    Human Services (HHS) issued a much-needed "Guidance Regarding Patient
    Safety Work Product and Providers' External Obligations" (Guidance). In that
    May 24, 2016 document, HHS clarified that records, or copies of records,
    required of a provider "to meet any Federal, state, or local public health or
    health oversight requirement," regardless of where maintained, are "original
    provider records" not subject to the privilege arising under the Patient Safety
    and Quality Improvement Act of 2005 (PSQIA). The Guidance answers the
    thorny question of what happens if a provider objects to production on the
    grounds that certain documents reside only in their patient safety evaluation
    system created pursuant to PSQIA. I write separately simply to clarify my
    understanding as to how a document request should be handled in cases
    where the PSQIA is raised as a defense to production.
    First, the trial court should determine whether any of the documents and
    reports requested (and, obviously, relevant to the case before it) qualify as
    "original provider records" under the above-cited Guidance definition regarding
    Federal, state, or local public health or health oversight requirements. Notably,
    HHS actually referenced a Kentucky administrative regulation as an example of
    13
    a state mandating that a provider maintain a particular record, i.e., an incident
    investigation report: "In Kentucky, hospitals are required to 'establish[],
    maintain[], and utilize[]' administrative reports, including incident investigation
    reports, to guide the operation, measure productivity, and reflect the programs
    of the facility.' 902 KAR 20:016 Section 3(3)(a)." Guidance at n.3. To the
    extent any document or record is state-mandated or otherwise fits within the
    "original provider record" definition from the Guidance, the court should order
    its production. While there was some ambiguity prior to May 24, 2016, it is
    now clear that even if that record is maintained solely in a patient safety
    evaluation system, an order of production is proper and the PSQIA poses no
    obstacle. Providers such as Baptist Health Richmond, Inc., undoubtedly
    recognize their so-called "external obligations," as explained in the Guidance,
    and should have such records available for prompt production. Only if they
    have failed to fulfill those obligations, as Justice Keller notes, should the trial
    court proceed to an in camera review of the contents of the provider's patient
    safety evaluation system.
    Minton, C.J. and Wright, J., join.
    14
    COUNSEL FOR APPELLANT:
    Melanie S. Marrs
    Wesley Reed Butler
    Chelsea Hayes
    Benjamin M. Fiechter
    Benjamin Beaton
    Tobias Loss-Eaton
    COUNSEL FOR APPELLEE:
    William G. Clouse, Jr., pro se
    COUNSEL FOR REAL PARTY IN INTEREST:
    Gary C. Johnson
    Angela Pergrem Owens
    Gerald James Pierson
    COUNSEL FOR AMICUS CURIAE: THE JOINT COMMISSION:
    Jay Edward Ingle
    COUNSEL FOR AMICUS CURIAE: PSYCHSAFE, CHS PSO, LLC; LINCOLN
    TRAIL BEHAVIORAL HEALTH SYSTEM; RIVENDELL BEHAVIORAL HEALTH
    SERVICES; THE RIDGE BEHAVIORAL HEALTH SYSTEM; CUMBERLAND HALL
    HOSPITAL; THE BROOK HOSPITAL-DUPONT; THE BROOK HOSPITAL-KMI;
    KENTUCKY RIVER MEDICAL CENTER; PAUL B. HALL REGIONAL MEDICAL
    CENTER; THREE RIVERS MEDICAL CENTER; BLUEGRASS COMMUNITY
    HOSPITAL; BOURBON COMMUNITY HOSPITAL; CLARK REGIONAL MEDICAL
    CENTER; GEORGETOWN COMMUNITY HOSPITAL; JACKSON PURCHASE
    MEDICAL CENTER; LAKE CUMBERLAND REGIONAL HOSPITAL; LOGAN
    MEMORIAL HOSPITAL; MEADOWVIEW REGIONAL MEDICAL CENTER;
    SPRING VIEW HOSPITAL; AND FLEMING COUNTY HOSPITAL:
    David Sean Ragland
    Michael R. Callahan
    15
    

Document Info

Docket Number: 2015-SC-000657-MR

Citation Numbers: 497 S.W.3d 759, 2016 Ky. LEXIS 430

Judges: Keller, Cunningham, Noble, Venters, Hughes, Minton, Wright

Filed Date: 9/22/2016

Precedential Status: Precedential

Modified Date: 11/14/2024