William A. Causey, M.D. v. Reitha Sanders ( 2006 )


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  •                      IN THE SUPREME COURT OF MISSISSIPPI
    NO. 2006-CA-01697-SCT
    WILLIAM A. CAUSEY, M.D.
    v.
    REITHA SANDERS, INDIVIDUALLY AND ON
    BEHALF OF ALL WRONGFUL DEATH
    BENEFICIARIES OF ERSEL ALLEN
    DATE OF JUDGMENT:                      08/15/2006
    TRIAL JUDGE:                           HON. TOMIE T. GREEN
    COURT FROM WHICH APPEALED:             HINDS COUNTY CIRCUIT COURT
    ATTORNEYS FOR APPELLANT:               JOSEPH L. McNAMARA
    STEPHANIE CASE EDGAR
    JOHN MICHAEL COLEMAN
    ATTORNEYS FOR APPELLEE:                RICHARD ARTHUR FREESE
    DENNIS C. SWEET
    DANIEL F. MARS
    NATURE OF THE CASE:                    CIVIL - WRONGFUL DEATH
    DISPOSITION:                           AFFIRMED IN PART; REVERSED AND
    RENDERED IN PART - 10/23/2008
    MOTION FOR REHEARING FILED:
    MANDATE ISSUED:
    BEFORE WALLER, P.J., DICKINSON AND RANDOLPH, JJ.
    RANDOLPH, JUSTICE, FOR THE COURT:
    ¶1.   Ersel Allen (“Allen”), a 66-year-old female, was admitted to the University of
    Mississippi Medical Center (“UMC”) on April 27, 2001. Doctors at UMC diagnosed Allen
    with an inoperable tumor at the head of her pancreas and severe chronic obstructive
    pulmonary disease.
    ¶2.     After forty-six days at UMC, Allen’s family was advised her illness was terminal and
    that surgery was not an advisable option. Her prognosis from UMC read that Allen “has
    declined significantly during her hospital stay and her dependence on the staff has escalated
    precipitously. She has had the optimum therapy for her illness and is now requiring palliative
    care.” UMC recommended that Allen be transferred to a hospice facility. It was determined
    that Allen would be best suited for a hospice facility rather than in-home hospice care. Allen
    was admitted to Hospice Ministries, Inc. (“Hospice”) in Madison, Mississippi, on June 12,
    2001.
    ¶3.     To be admitted to Hospice, a patient must have a terminal prognosis with expected
    survival of less than six months. A statement, executed by Dr. William Causey, (“Dr.
    Causey”), then the Medical Director of Hospice Ministries, and a UMC physician certified
    that Allen was “terminally ill with a life expectancy of six (6) months or less, if the disease
    follows its normal course.” The admission agreement, signed by Allen’s daughter, stated the
    primary goal of Hospice was to provide pain management and palliative care. An intake form
    included a diagnosis of pancreatic cancer.
    ¶4.     Based on UMC’s diagnosis and records, Dr. Causey treated Allen as a pancreatic
    cancer patient, although biopsies performed on May 7 and May 15 at UMC were negative
    for cancer. Dr. Causey, with the assistance of Hospice nurses and its pharmacist, determined
    the dosage levels of pain medication to be administered to Allen. Morphine was administered
    by UMC for pain control, and it was continued by Hospice until July 6, 2001, when Dr.
    2
    Causey prescribed Dilaudid.1 The interdisciplinary team led by Dr. Causey at Hospice
    altered Allen’s medication from morphine to hydromorphone,2 seeking to reduce nausea.
    Causey testified that the dosages of hydromorphone were increased incremently due to
    Allen’s continued complaints of pain. The principal factor in changing dosages of pain
    reliever was the degree of pain relief balanced against excessive sedation or suppression of
    respiratory activity. However, Dr. Causey further testified,
    As [Allen] got weaker and weaker, she was awake less. And during that time,
    she was not given any extra doses of or boluses of the Dilaudid. As she got
    weaker and became less responsive, we observed her more closely and tried
    to limit the amount of Dilaudid she was getting so that Dilaudid itself wouldn’t
    be the reason for her being more unresponsive or more poorly responsive.
    ¶5.    On July 20, 2001, Allen died. An autopsy was performed. The pathologist who
    performed the autopsy testified that although the autopsy revealed that Allen had
    hypertensive heart disease, coronary artery disease, and emphysema, there was no evidence
    that Allen had pancreatic cancer and she had been misdiagnosed. The pathologist further
    testified that to “a reasonable degree of professional certainty there was an overwhelming
    lethal dose of Dilaudid . . . based on the toxicology report” and that Allen had died of a
    massive dose of hydromorphone. The pathologist testified that 6,900 nanograms, the amount
    found in Allen’s system, was a toxic amount and that he had never seen that amount in a
    human being. Along with other witnesses, a retained expert for the Defendant, Dr. Melvin
    Gitlin, testified that the autopsy did not reveal gallstones, pancreatic cancer, a tumor at the
    1
    Dilaudid is an opioid for pain. Various witnesses testified its potency was four to
    seven times that of morphine.
    2
    “Hydromorphone” was used interchangeably with “Dilaudid” throughout trial and
    is the generic term for the drug.
    3
    head of the pancreas, or blockages in the bowel, all conditions or illnesses for which Allen
    was treated at UMC.
    ¶6.    Dr. Causey and witnesses he presented posited that regardless of whether Allen had
    pancreatic cancer, she still had a life expectancy of less than six months. Dr. David
    Duddleston, an expert for Dr. Causey, testified to same. Furthermore, it was his position that
    there is no maximum limit on the dosage of Dilaudid for a patient in her condition and
    finally, that Allen did not die from a Dilaudid overdose, but rather as the result of various
    disease processes.
    PROCEDURAL HISTORY
    ¶7.    Allen’s daughter, Reitha Sanders (“Sanders”), filed suit. An amended complaint was
    later filed. The defendants were: (1) UMC; (2) Mark Williams, MD; (3) Phil McCluskey,
    MD; (4) William Causey, MD; (4) D. Daniel, RN; (5) Hospice Ministries, Inc.; (6) Hospice
    of Central Mississippi, Inc.; and (7) John Does 1-10. The amended complaint stated that but
    for the misdiagnoses made at UMC, Allen would not have been sent to Hospice Ministries,
    where she was given an overdose of Dilaudid. The amended complaint averred both UMC
    and Hospice were negligent in their treatment of Allen, and further, that UMC and Hospice
    acted in gross disregard for the rights and safety of Allen. Sanders requested judgment
    against all defendants, jointly and/or severally and sought compensatory, incidental,
    consequential and punitive damages. A separate answer was filed on behalf of UMC, which
    claimed immunity under the Mississippi Tort Claims Act. Dr. Causey filed an answer stating
    he was not negligent and that he had treated Allen with “such reasonable diligence, skill,
    competence and prudence as practiced by minimally competent physicians in the same
    4
    specialty or general field of practice throughout the United States.” A separate answer was
    filed on behalf of Daniel and Hospice, stating they had used reasonable and ordinary care as
    would other minimally competent health care providers in good standing.
    ¶8.    UMC physicians, Drs. Williams and McCluskey, along with Hospice nurse Daniel,
    were voluntarily dismissed from this action. UMC reached settlement with Sanders for
    $15,000, and it was dismissed from the action. Trial took place against the remaining
    defendants, Dr. Causey and Hospice.3
    ¶9.    Subsequent to Plaintiffs resting their case-in-chief, Dr. Causey moved for a directed
    verdict, citing insufficient expert testimony, and his motion was denied. Prior to the verdict,
    Hospice settled for $1,000,000. A unanimous jury verdict was returned against Dr. Causey
    in the amount of $4,000,000.
    ¶10.   Subsequent to the compensatory damages award, the trial judge automatically
    submitted the punitive damages issue to the jury. Sanders offered no additional proof of
    wrongdoing to support punitive damages other than that submitted in her case-in-chief. Dr.
    Causey objected to the jury considering insurance as evidence of net worth. Preserving his
    objection, Dr. Causey stipulated to the amount. The jury awarded Sanders an additional
    $500,000 in punitive damages, by a vote of nine-three.
    ¶11.   By agreement, Dr. Causey received credit for the settlement amounts of UMC and
    Hospice. Judgment was thus entered against Dr. Causey in the amount of $3,485,000.
    3
    Dr. Causey was not present at trial, as he was at the time of trial and currently is,
    incarcerated at a federal corrections facility. Dr. Causey was convicted in a Louisiana federal
    court and is serving a twenty-five-year sentence. Dr. Causey testified by deposition. His
    absence from the proceedings is not at issue in this appeal.
    5
    ¶12.   Subsequent to the entry of judgment, Dr. Causey filed a Motion for Judgment
    Notwithstanding the Verdict, a Motion for Remittitur and/or to Strike Punitive Damages, and
    a Motion for New Trial. Each of these post-trial motions was denied.
    ¶13.   Dr. Causey timely presented his appeal and submitted the following issues:
    I.        Whether the trial court erred in allowing Sanders’s experts to testify as
    to the standard of care applicable to Dr. Causey and to Hospice
    Ministries.4
    II.       Whether the trial court improperly limited the testimony of the defense
    experts.
    III.      Whether the trial court committed reversible error in failing to allocate
    fault to UMC, a settling defendant.
    IV.       Whether the trial court erred in automatically submitting punitive
    damages to the jury.
    V.        Whether the trial court erred in denying Dr. Causey’s motion for
    remittitur.
    VI.       Whether the trial court erred in not instructing the jury as to “chance of
    recovery.”
    ANALYSIS
    I.     Whether the trial court erred in allowing Sanders’s experts to testify as to the
    standard of care applicable to Dr. Causey.
    ¶14.   “The standard of review for the admission or exclusion of testimony is abuse of
    discretion. The admission of expert testimony is left to the sound discretion of the trial judge.
    Unless we conclude that the discretion was arbitrary and clearly erroneous, amounting to an
    abuse of discretion, that decision will stand.” City of Jackson v. Estate of Stewart, 
    908 So. 2d
     703, 708 (Miss. 2005) (citing Crane Co. v. Kitzinger, 
    860 So. 2d 1196
    , 1201 (Miss.
    2003)).
    4
    We consider this issue only as to Dr. Causey, as Hospice is not a party to this appeal.
    6
    ¶15.   During trial, Sanders provided the following experts, whom the trial court qualified
    as experts in their respective fields:
    (a) Dr. Steven Hayne: forensic pathology. Dr. Hayne testified there was no evidence
    that Allen had pancreatic cancer and that she had been misdiagnosed. He further testified that
    to “a reasonable degree of professional certainty there was an overwhelming lethal dose of
    Dilaudid . . . and that Allen had died of a massive dose of hydromorphone. He testified that
    6,900 nanograms, the amount found in Allen’s system, was a toxic amount.
    (b) Carman McIntire: forensic toxicology. McIntire was requested by Dr. Hayne to
    perform a forensic toxicological analysis on biological specimens. This was done in the
    course and scope of her normal job at the Mississippi Crime Laboratory. McIntire was
    responsible for sending these samples to National Medical Services (“NMS”), a reference
    laboratory utilized by the State. The NMS lab detected hydromorphone in the biological
    specimen at a concentration of 6,900 nanograms per milliliter. McIntire testified that she had
    never seen lab results showing that high an amount of hydromorphone in the fifteen years
    she had been forensic toxicologist at the crime lab.
    (c) Dr. James Garriot, Ph.D: pharmacology and toxicology. Dr. Garriott is an adjunct
    professor at the University of Texas Health Science Center. Prior to becoming a professor,
    Dr. Garriott was Chief Toxicologist for the Bexar County Medical Examiner’s Office in San
    Antonio, Texas. He has approximately thirty-five years employment as a professional
    toxicologist and has written on the topic of Dilaudid, beginning with a forensic toxicology
    research study on Dilaudid in 1978. Dr. Garriott has a history of professorships and teaching
    in pathology and pharmacology and is board certified as a forensic toxicologist. At trial, Dr.
    7
    Causey did not object to Dr. Garriott’s qualification as an expert. Dr. Garriott testified that
    Allen was administered a lethal dose of Dilaudid and that she died as a result.
    (d) Dr. Perry Hookman: gastroenterology and internal medicine. Dr. Hookman was
    proffered as an expert on the standard of care applicable to an internist. Dr. Hookman holds
    a masters degree in Health Administration and is board certified in medical management. He
    is on faculty at Johns Hopkins University and has authored or co-authored approximately
    fifty publications. Dr. Hookman has been in private practice for more than twenty-five years
    and is a teacher to other physicians, interns and residents in internal medicine and
    gastroenterology. Dr. Hookman testified that he saw no evidence of pancreatic cancer in
    Allen and that the doses of Dilaudid given to her were “off the scale.” Dr. Hookman testified
    that it was likely Allen could have survived another six or seven years but for the Dilaudid
    overdose.
    ¶16.   Each of these experts testified that Dr. Causey had breached the applicable standard
    of care and that Allen was given lethal doses of Dilaudid.
    ¶17.   Dr. Causey submits that while these experts are qualified and well-versed in their
    respective fields, they were not qualified to testify in the field of hospice and palliative
    medicine. Dr. Causey claims that none of these experts had any specialized training or board
    certification in the fields of palliative medicine, pain medicine, hospice medicine, or pain
    management. However, neither did Dr. Causey. Dr. Causey asserts that “hospice care and
    palliative medicine is a recognized specialty.” At trial, Dr. Causey objected to each of
    Sanders’s experts, stating that none of their experts was familiar with the standard of care
    applicable to a hospice patient and were testifying outside their area of expertise. “[W]hile
    8
    [Plaintiffs] continue to say there’s no hospice standard of care, there is a standard of care
    applicable to the nurses and doctors practicing in that specialty. And these experts have said
    they’re not familiar with that. They’re only approximately familiar with it.” Each of these
    objections were overruled by the trial court. The following exchange took place between
    defense counsel and the trial judge:
    Court: Let me ask you this, what is the difference between what you should
    have done at a hospice and what you should have done at the hospital, or what
    a doctor should have done in his office?
    Defense Counsel: In a hospital, Your Honor, the treatment is curative. They’re
    trying to save the patient. . . . In a hospice they are not doing that. All they are
    doing is keeping them comfortable until they die. . . .
    Court: [T]he jury will be entitled to listen to all of the experts, to decide
    whether they will accept or reject. . . .
    ¶18.   Dr. Causey offered the following experts, all of whom agreed with Sanders’s experts
    that it would have been a violation of the standard of care to hasten Allen’s death or to kill
    Allen with an overdose of Dilaudid:
    (a) Ronnie Bagwell, Pharm.D: qualified as an expert in pharmacology. Dr. Bagwell
    serves ten hospices with pharmaceuticals, including the hospice where Allen died. Dr.
    Bagwell was a member of the interdisciplinary team which made decisions for patients,
    including Allen. Dr. Bagwell testified that based on his experience, the dosages given to
    Allen were normal given the pain she was experiencing. However, while testifying, Dr.
    Bagwell was asked if he relied on or even recognized palliative care texts and he testified that
    he did not.
    (b) Dr. James Norris: qualified as an expert in toxicology. However, Dr. Norris
    testified he had never written in the area of pain management, nor had he studied Dilaudid
    9
    or other ophioids. Dr. Norris recognized an article co-authored by Sanders’s expert, Dr.
    Garriott, as authoritative in the area of toxicity caused by Dilaudid.
    (c) Dr. Gerry Ann Houston: board-certified in hospice and palliative care, and
    qualified as an expert in oncology. Dr. Houston is also the in-home medical director for
    Hospice and also helped to start Hospice. Dr. Houston, a friend and former colleague of Dr.
    Causey, testified that, while it was discovered Allen did not have pancreatic cancer, Allen
    most likely suffered from a pancreatic carcinoma, and “to a reasonable degree of medical
    probability, it was her opinion that hospice care was appropriate.” However, Dr. Houston
    testified that she did not determine whether Allen had received a lethal dose of Dilaudid. Dr.
    Houston testified that according to Topics in Palliative Care, that “there is no maximum safe
    dose of morphine and other pure mu antagonist opioids.” Dr. Houston further testified that
    she “was not aware of a toxic administration or dose for Dilaudid.” She testified that if a
    patient exhibits pain, the dosage should be increased, whereas sleepiness and respiratory
    depression would dictate a decrease in dosage. Dr. Houston conceded that it would be a
    direct violation of the Hospice guidelines to hasten any patient’s death and that if titration
    of medication by a hospice led to a person’s death, that action would be a breach in the
    standard of care for a hospice setting.
    (d) Dr. Melvin Gitlin: tendered as an expert in the field of pain management of
    terminal patients, but qualified as an expert in anesthesiology by the trial court. Dr. Gitlin
    testified he was not familiar with clinical studies showing the average amounts of opioids
    found in a person’s system when they overdose, although he had taught on the use of opioids
    in the treatment of chronic pain. Dr. Gitlin testified that he could not calculate a microgram
    10
    per nanogram when determining dosage amounts. Dr. Gitlin additionally testified that “no
    ceiling” means that there is not a level at which giving a person more would have no more
    of an effect, but that there is definitely an amount that will kill a person and there is an
    amount that is too much.
    (e) Dr. James Lauridson: qualified as an expert in forensic toxicology. Dr. Lauridson
    is the Chief Medical Examiner for the Alabama Department of Forensic Sciences. Dr.
    Lauridson testified he disagreed with the cause of death as stated in the autopsy report. It was
    his opinion that Allen’s death was due to severe lung disease, coupled with pneumonia and
    pre-existing heart disease. Dr. Lauridson additionally testified that he had never seen a
    patient with that much Dilaudid in his or her system and that no one with 6,900 nanograms
    of Dilaudid in their system should be alive.
    (f) Dr. Michael Byers: qualified as an expert in internal medicine. Dr. Beyers, who
    was formerly in private practice with Dr. Causey, testified he was an infectious-disease
    specialist and worked part-time at Hospice in late 2002. He became the co-medical director
    of inpatient Hospice in 2003, one-and-a-half years after Allen’s death. Dr. Byers’s
    curriculum vitae listed no professional memberships related to hospice care. He had not
    authored peer-reviewed articles on hospice care, or Dilaudid or Dilaudid overdosing; nor had
    he been involved in any case studies related to Dilaudid overdosing. Dr. Byers was allowed
    to testify that he had given the same dosages to similarly situated patients, but could not
    remember the exact cases. Dr. Byers was allowed to testify that it was his opinion that
    Sanders did not die of an overdose and that this amount of Dilaudid did not strike him as
    unusual, as the principal factor one looks at in treating a terminal patient is achieving pain
    11
    control. However, Dr. Byers testified that if a medical provider “titrated someone to death,”
    the provider was not properly titrating someone’s medications. He further testified that if
    Hospice had given Allen a dose of Dilaudid that was enough to kill her, Dr. Causey had
    fallen below the standard of care. Dr. Byers also testified he had no criticism of the autopsy,
    and that he did not know the amount of a lethal dose of Dilaudid.
    (g) Dr. David Duddleston: qualified as an expert in internal medicine. Dr. Duddleston
    testified in his capacity as Allen’s treating physician at UMC. Dr. Duddleston described
    Allen as cachectic, which he characterized as “wasted, very, very malnourished; sunken
    cheeks, sunken head, shriveled extremities, no fat anywhere . . . in pain. She had some
    abdominal pain . . . and she was jaundiced.” Dr. Duddleston certified that Allen was
    “terminally ill with a life expectancy of six (6) months or less, if the disease follows its
    normal course.” However, Dr. Duddleston testified at trial that regardless of whether Allen
    had pancreatic cancer, she still had a life expectancy of less than six months.
    ¶19.   While none of the experts for Sanders was qualified by the Court as an expert in
    “hospice care” or “palliative medicine,” the physicians testified they had experience in pain
    management and care of chronically ill patients. The experts offered by Causey were allowed
    to testify that Allen was not given a lethal dose of Dilaudid and that there was no ceiling dose
    for Dilaudid when given in a pain management setting.
    ¶20.   During trial, all experts presented by both parties met the standards as outlined by
    Mississippi Rule of Evidence 702 and Daubert v. Merrell Dow Pharmaceuticals, Inc., 
    509 U.S. 579
    , 113 S. Ct., 125 L. Ed. 2d (1993).
    12
    ¶21.   However, Dr. Causey asserts Sanders’s experts should have been limited to testify as
    to the standard of care in a hospice setting, vis-a-vis the standard of care otherwise applicable
    to physicians. Dr. Causey cites this Court’s decisions in Cheeks v. Bio-Medical Applications,
    Inc., 
    908 So. 2d
     117 (Miss. 2005), and Troupe v. McAuley, 
    955 So. 2d 848
     (Miss. 2007), for
    the proposition which this Court espoused in Poole v. Avara. “An expert must exercise the
    same level of intellectual rigor that characterizes the practice of an expert in the relevant
    field.” Poole v. Avara, 
    908 So. 2d
     716, 724 (Miss. 2005) (citing Miss. Trans. Comm’n v.
    McLemore, 
    863 So. 2d 31
    , 37-38 (Miss. 2003) (emphasis added)).
    ¶22.   Sanders submits that Dr. Causey seeks to expand this Court’s holdings regarding the
    standard of care for physicians, by creating a “phantom ‘hospice’ standard of care.” Dr.
    Causey, acting as medical director for Hospice, was an internist with a specialty in infectious
    diseases. Sanders asserts that the experts she presented were qualified to testify as to Allen’s
    medical condition, the events surrounding her death, and the standard of care to which Dr.
    Causey should have been held. Hospice is not a party to this appeal, and therefore we are not
    required to address whether a separate standard of care applies to hospice facilities.
    ¶23.   It is certain that to present a case of medical malpractice,
    a plaintiff, (1) after establishing the doctor-patient relationship and its
    attendant duty, is generally required to present expert testimony (2) identifying
    and articulating the requisite standard of care; and (3) establishing that the
    defendant physician failed to conform to the standard of care. In addition, (4)
    the plaintiff must prove the physician's noncompliance with the standard of
    care caused the plaintiff's injury, as well as proving (5) the extent of the
    plaintiff's damages.
    Cheeks, 
    908 So. 2d
     at 120 (citations omitted). Furthermore, this Court has held:
    13
    The general rule as to expert testimony in medical malpractice actions is that
    “a specialist in a particular branch within a profession will not be required.”
    C. McCormick, Evidence, § 13 (3d ed. 1984). Most courts allow a doctor to
    testify if they are satisfied of his familiarity with the standards of a specialty,
    though he may not practice the specialty himself. One court explained that “it
    is the scope of the witness’ knowledge and not the artificial classification by
    title that should govern the threshold question of admissibility.”
    Brown v. Mladineo, 
    504 So. 2d 1201
    , 1202 (Miss. 1987) (citations omitted).
    ¶24.   This Court “has consistently stated that when considering Miss. R. Evid. 702 issues,
    our trial judges are placed in the role of gatekeepers, ‘ensuring that expert testimony is both
    relevant and reliable.’” Troupe, 955 So. 2d at 857 (citation omitted). We find the trial judge
    did not abuse her discretion in allowing Sanders’s experts to testify as to the condition of
    Allen and violation of the standard of care by Dr. Causey. It should be noted the trial court
    also allowed Dr. Causey’s experts to opine as to Allen’s condition and cause of death, and
    that in their opinion, Dr. Causey did not violate the standard of care.
    ¶25.   In Daniels v. GNB, Inc., 
    629 So. 2d 595
    , 603 (Miss. 1993), we stated that
    ‘judging the expert's testimony and weight to be accorded thereto is the
    province of the jury.’ Id. at 603 (citing Ford Motor Co. v. Cockrell, 
    211 So. 2d
     833, 837 (Miss. 1968)). In Chisolm v. Eakes, 
    573 So. 2d 764
    , 757 (Miss.
    1990), this Court stated that ‘[t]he jury may consider the expert testimony for
    what they feel that it is worth, and may discard it entirely.’
    Fleming v. Floyd, 
    969 So. 2d 868
    , 878 (Miss. 2007).
    ¶26.   Additionally, “[w]hen there is a conflict of expert medical opinion, this Court has held
    it to be within the province of the fact-finder to determine the cause of death.” Delta Reg'l
    Med. Ctr. v. Venton, 
    964 So. 2d 500
    , 506 (Miss. 2007) (citation omitted).
    ¶27.   “A jury's verdict is given great deference by this Court, and ‘conflicts of evidence
    presented at trial are to be resolved by the jury.’” Johnson v. St. Dominics-Jackson Mem'l
    14
    Hosp., 
    967 So. 2d 20
    , 23 (Miss. 2007) (citation omitted). In the case sub judice, the jurors
    were provided with conflicting expert testimony and rendered their decision accordingly.
    II.    Whether the trial court improperly limited the testimony of the defense experts.
    ¶28.   As noted in Sanders’s brief, Dr. Causey has offered no authority in support of this
    argument. “‘This Court has held that it is the duty of an appellant to provide authority and
    support of an assignment.’ If a party does not provide this support this Court is under no duty
    to consider assignments of error when no authority is cited.” Hoops v. State, 
    681 So. 2d 521
    ,
    526 (Miss. 1996) (internal citations omitted).
    ¶29.   Notwithstanding the procedural bar, the record is replete with testimony, some of
    which is summarized in Issue I, supportive of Dr. Causey’s theory of the case.
    III.   Whether the trial court committed a reversible error in failing to allocate fault
    to UMC, a settling defendant.
    ¶30.   Failure to allocate fault is a question of law, which shall be reviewed de novo by this
    Court. See Entergy Miss., Inc. v. Hayes, 
    874 So. 2d 952
    , 958 (Miss. 2004).
    ¶31.   In her First Amended Complaint, Sanders named UMC as a defendant, stating, “The
    UMC, through its agents, doctors, nurses, and/or medical staff, breached the standard of care
    by diagnosing Ms. Allen with terminal cancer. . . and transferring Ms. Allen to Hospice
    Ministries to die.” Prior to trial, UMC settled with Sanders for an amount which was kept
    confidential from the jury. See Robles v. Gollot and Sons Transfer and Storage, Inc., 
    683 So. 2d 383
    , 385 (Miss. 1997).
    ¶32.   During trial and in her brief, Sanders argued that the proximate cause of Allen’s death
    was an overdose of Dilaudid prescribed by Dr. Causey.
    15
    ¶33.   During trial, Dr. Causey, while not conceding the negligence of UMC, continued to
    put on evidence that he and the staff at Hospice were led to believe by the medical diagnosis
    and records of UMC that Allen had six months or less to live and were treating her for pain,
    rather than for curative purposes. Dr. Causey submitted,
    The fact is, the administration of Dilaudid to Mrs. Allen was not an intervening
    cause of her death, but instead an action taken pursuant to [UMC’s] original
    diagnosis. Thus the administration of Dilaudid was just a link in the ‘natural
    and continuous sequence’ that evolved as a result of [UMC’s] diagnosis. See
    Patterson v. Liberty Assocs., L.P. , 
    910 So. 2d 1014
    , ¶ 14 (Miss. 2004).
    Without [UMC’s] original diagnosis and certification Mrs. Allen would never
    have been sent to Hospice, and the administration of Dilaudid did not break the
    sequence of treatment such that it would diminish or sever [UMC’s] liability.
    It was forseeable that [UMC’s] diagnosis would lead to pain management
    treatment and lack of further curative treatment, and that this would be
    dangerous, but for the fact that the patient was dying.
    ¶34.   In his Motion for Directed Verdict, Dr. Causey argued the following,
    Counsel: [T]here is evidence in this case, plenty of evidence that UMC was
    negligent. We did not put that on. The plaintiffs did and we are entitled to rely
    on that. If the jury comes back and finds that UMC is negligent, we’re entitled
    to an allocation of fault on those grounds. And if they find a hundred percent
    of liability to UMC, we’re entitled to rely on that. And what I’m saying is as
    a matter of law before we even go to the jury, UMC is the proximate cause and
    not us. They put into motion the agency by and through which this death
    occurred, we would never have even known about Ms. Allen. And that’s why
    I think as a matter of law they’re the- - -
    Court: You’re claiming that the Plaintiffs are claiming that the overdose was
    caused by UMC’s negligence?
    Counsel: We would never have known Ms. Allen existed if UMC did not send
    her to us. So but for the misdiagnosis, we could never have given her 1
    milligram of Dilaudid. And we don’t contend an overdose occurred. But UMC
    is the one who certified her as terminal.
    Court: If UMC certified her as terminal and your client did indeed treat her
    for that terminal situation, then she would have died without the overdose of
    Dilaudid?
    Counsel: Right. That’s our defense.
    16
    ¶35.   Based on the pleadings and transcript before this Court, an issue was made of the
    alleged negligence of UMC, and that but for UMC’s misdiagnosis, Allen would not have
    entered hospice. Although the jury was presented with evidence regarding the alleged
    negligence of UMC, the trial court refused to issue an instruction regarding allocation of
    fault, stating, “[i]t has no effect whatsoever in determining the issues of whether the Hospice
    overdosed or not.” Additionally, the trial court declined to allow the form of the verdict to
    contain any reference to UMC. The trial court deducted the settlement amount of UMC and
    Hospice Ministries from the verdict rendered against Dr. Causey. See Mack Trucks, Inc. v.
    Tackett, 
    841 So. 2d 1107
    , 1116 (Miss. 2003).
    ¶36.   The trial court ruled that the issue before the jury was whether there was an overdose
    of Dilaudid by Hospice, and if so, was it the sole or proximate cause of Allen’s death.
    ¶37.   This Court has found that for an “intervening and superceding cause to extinguish
    liability of the original actor, the cause must be unforeseeable.” Thomas v. The Columbia
    Group, LLC, 
    969 So. 2d 849
    , 854 (Miss. 2007) (citing Newell v. S. Jitney Jungle Co., 
    830 So. 2d 621
    , 623 (Miss. 2002)).
    ¶38.   This Court has further held, “[t]he law dealing with the duty to foresee the imprudent
    acts of others appears under the general rubric of the jurisprudence of ‘intervening cause.’”
    Southland Mgmt. Co. v. Brown By & Through Brown, 
    730 So. 2d 43
    , 46 (Miss. 1998). The
    Second Restatement of Torts defines a superseding cause as “an act of a third person or other
    force which by its intervention prevents the actor from being liable for harm to another which
    his antecedent negligence is a substantial factor in bringing about.” Id. (citing Restatement
    (Second) of Torts § 440 (1965)). Under this theory, an original actor's negligence may be
    17
    superceded by a subsequent actor's negligence, if the subsequent negligence was
    unforeseeable. See Southland Mgmt. Co., 730 So. 2d at 46. This Court has held that, if “the
    intervening cause is one which in ordinary human experience is reasonably to be anticipated,
    or one which the defendant has reason to anticipate under the particular circumstances,” the
    subsequent actor's negligence is foreseeable and does not break the chain of events between
    the negligence of the first actor and the injury. Id. (citing W. Page Keeton et al., Prosser and
    Keeton on the Law of Torts § 44 (5th ed. 1984)). See also Pargas of Taylorsville, Inc. v.
    Craft, 
    249 So. 2d 403
    , 408 (Miss. 1971) (holding that a defendant is chargeable only with
    anticipating reasonable probabilities; therefore a person is not bound to anticipate the
    unusual, improbable, or extraordinary occurrence, although such happening is within the
    range of possibilities) (citation omitted).
    ¶39.   Although UMC anticipated Allen would die within six months, it cannot be fairly
    argued that UMC reasonably anticipated Allen’s death would be from an overdose. This
    Court ruled in Robison v. McDowell, “negligence which merely furnished the condition or
    occasion upon which injuries are received, but does not put in motion the agency by or
    through which the injuries are inflicted, is not the proximate cause thereof.” Robison v.
    McDowell, 
    247 So. 2d 686
    , 688 (Miss. 1971) (citations omitted). Thus, “[i]f the act
    complained of is only a remote cause, superseded by an independent, efficient intervening
    cause that leads in unbroken sequence to the injury, the original negligent act is not a
    proximate, but a remote, cause. Thus, not being foreseeable, the original cause is not
    actionable.” Robison, 247 So. 2d at 689.
    18
    ¶40.   “[N]egligence is remote and non-actionable which merely causes a person to be at a
    particular place at a particular time where such person is injured as a result of the negligent
    act of another, who puts in motion a different and intervening cause which efficiently leads
    in unbroken sequence to the injury.” Entrican v. Ming, 
    962 So. 2d 28
    , 36 n.2 (Miss. 2007)
    (citation omitted). Based on this Court’s precedent, UMC could not have reasonably foreseen
    that when Allen entered the hospice, she would be overdosed with Dilaudid.
    ¶41.   Furthermore, Dr. Causey cannot find refuge in Mississippi Code Annotated 85-5-7
    (Supp. 2008). Assuming arguendo that UMC was negligent, proximate cause must be
    satisfied for fault to be allocated pursuant to Mississippi Code Annotated 85-5-7(1) 5 and it
    must be proved that UMC and Dr. Causey consciously and deliberately pursued a common
    plan or design to commit a tortious act before joint and several liability may be imposed. See
    Miss. Code Ann. § 85-5-7(4) (Supp. 2008).6 There is no evidence that UMC actually took
    part in Dr. Causey’s decision to switch the medication to Dilaudid, or to establish the dosage.
    5
    Mississippi Code Annotated Section 85-5-7(1) (Supp. 2008) states:
    As used in this section, “fault” means an act or omission of a person which is
    a proximate cause of injury or death to another person or persons, damages to
    property, tangible or intangible, or economic injury, including, but not limited
    to, negligence, malpractice, strict liability, absolute liability or failure to warn.
    “Fault” shall not include any tort which results from an act or omission
    committed with a specific wrongful intent.
    6
    Mississippi Code Annotated Section 85-5-7(4) (Supp. 2008) states,
    (4) Joint and several liability shall be imposed on all who consciously and
    deliberately pursue a common plan or design to commit a tortious act, or
    actively take part in it. Any person held jointly and severally liable under this
    section shall have a right of contribution from his fellow defendants acting in
    concert.
    19
    ¶42.   Accordingly, we find the trial court did not err in not issuing an allocation of fault
    instruction.
    IV.    Whether the trial court erred in automatically submitting punitive damages to
    the jury.
    ¶43.   Before trial commenced, the trial judge did not mention the case name, but made
    reference to an opinion of this Court,7 and stated, “It basically said if there’s any kind of
    verdict of a dollar or more, I don’t have a choice. I always submit punitive damages to the
    jury.” Subsequent to the verdict being rendered for compensatory damages, the trial court
    immediately moved into the punitive damages portion, stating,
    [I]f a compensatory decision is found, it would automatically go the jury
    without consideration by the court. Under the law prior to that, the court would
    make a ruling after reviewing evidence that has come in this case. This case
    has been going on for two weeks. I have kept notes in that regard. I find that
    there is a genuine issue of material fact on the issue of punitive damages. That
    it should go to the jury. That is not an issue for this court to decide as a matter
    of law. And as such, the court will submit it to the jury. And whether that
    meets the automatic cause or not, I don’t know. But because that case has not
    reached its final disposition, the court will decide under the old rulings. With
    that being said, we will now proceed with the issue of punitive damages
    evidentiary hearing before the jury and submit the issue.
    ¶44.   Dr. Causey reads into the trial judge’s statement that she “automatically” submitted
    punitive damages to the jury. The counter argument is that the trial judge was deciding this
    issue under our previous rulings or statute. Based on the record before us, we cannot be
    7
    Based on the date of this trial, the trial judge likely was referencing this Court’s
    decision in Bradfield v. Schwartz, 2006 Miss. LEXIS 268 (Miss. 2006), in which this Court
    issued a substitute and final opinion after the opinion was first issued in this case. See
    Bradfield v. Schwartz, 
    936 So. 2d 931
     (Miss. 2006).
    20
    certain which is correct. However, whether the judge’s ruling was made by statute or by a
    perceived “automatic” standard is of no consequence, as there is error in both.
    ¶45.   The use of the word “automatically” in Bradfield v. Schwartz, 
    936 So. 2d 931
     (Miss.
    2006) has been misconstrued by some, and today, we take the opportunity to clarify. The
    word “automatic” refers to the facts in the Bradfield case itself. The preceding paragraph in
    Bradfield clearly lays out the procedure for when and if a jury should consider punitive
    damages and there is no mention of “automatic” or “automatically.”
    If the jury awards compensatory damages, then an evidentiary hearing is
    conducted in the presence of the jury. At the close of this second phase of the
    trial, via an appropriate motion for a directed verdict, the judge, as gatekeeper,
    then ultimately decides whether the issue of punitive damages should be
    submitted to the trier-of-fact (jury). If the judge, from the record, should
    determine, as a matter of law, that the jury should not be allowed to consider
    the issue of punitive damages, a directed verdict shall be entered in favor of the
    defendant on the issue of punitive damages, and the case will end. If, on the
    other hand, the judge should allow the issue of punitive damages to be
    considered by the jury, then the jury, upon being properly instructed by the
    judge on the punitive damages issue, may decide to award punitive damages,
    and if so, in what amount, or the jury may decide not to award punitive damages.
    Bradfield v. Schwartz, 
    936 So. 2d 931
    , 939 (Miss. 2006). The decision in Bradfield does not
    stand for the proposition that the trial court should automatically submit the issue of punitive
    damages to the jury for determination, but only that the trial judge should commence an
    evidentiary hearing before the jury on the issue of punitive damages, and at the conclusion
    of this evidentiary hearing in the second phase, the trial court has available all of the
    traditional options for determining whether or not the punitive-damages issue should be
    submitted to the jury.
    21
    ¶46.   Mississippi Code Annotated Section 11-1-65 (c) and (d) (Supp. 2008) (emphasis
    added) holds,
    (c) If, but only if, an award of compensatory damages has been made against
    a party, the court shall promptly commence an evidentiary hearing to
    determine whether punitive damages may be considered by the same trier of
    fact.
    (d) The court shall determine whether the issue of punitive damages may be
    submitted to the trier of fact; and, if so, the trier of fact shall determine whether
    to award punitive damages and in what amount.
    ¶47.   No additional evidence was presented by either party regarding conduct that would
    justify punitive damages, and there was no separate evidentiary hearing. The jury was
    instructed, “[t]he court would then instruct you that you are to consider all of the evidence
    in this case that has previously been presented to you in the compensatory phase just as if it
    were re-filed again for this particular phase of the trial.”
    ¶48.   “The jury should be allowed to consider the issue of punitive damages if the trial
    judge determined under the totality of the circumstances and in light of defendant's aggregate
    conduct, that a reasonable, hypothetical juror could have identified either malice or gross
    disregard to the rights of others.” Paracelsus Health Care Corp. v. Willard, 
    754 So. 2d 437
    ,
    442 (Miss. 1999) (citation omitted). Factually, we find no support that Dr. Causey acted with
    malice or with gross disregard for the rights of others.
    ¶49.   Dr. Causey submits he was treating Allen based on the belief she was a terminal
    patient and needed relief from pain. Allen’s daughter and granddaughter testified that while
    Allen was at Hospice, they were pleased with the care she received and felt the staff was
    attentive to Allen’s needs. Based on the record before this Court, there was no evidence that
    Dr. Causey “demonstrated a willful or malicious wrong or the gross, reckless disregard for
    22
    the rights of others.” Ross-King-Walker, Inc. v. Henson, 
    672 So. 2d 1188
    , 1192 (Miss.
    1996) (citations omitted). We find clear error, in that the record is devoid of these elements,
    and furthermore, that punitive damages should not automatically be submitted to a jury by
    a trial court. Accordingly, we are required to reverse and render the award of punitive
    damages.
    V.     Whether the trial court erred in denying Dr. Causey’s motion for remittitur.
    ¶50.   The Sanders family was awarded $4,000,000 in compensatory damages and punitive
    damages in the amount of $500,000. By agreement of the parties, the verdict was offset by
    the settlement amounts of UMC and Hospice Ministries. The final verdict rendered against
    Dr. Causey was for the amount of $3,485,000. Subsequent to the verdict, Dr. Causey filed
    a Motion for Remittitur and/or to Strike Punitive Damages, which was denied by order from
    the trial court.
    ¶51.   This Court has addressed the appropriate procedure regarding remittitur in Dedeaux
    v. Pellerin Laundry, Inc.:
    Any party aggrieved by the amount of damages awarded pursuant to a jury
    verdict may file a motion for an additur or remittitur. Miss. Code Ann. § 11-1-
    55. If the trial judge grants a motion for an additur or remittitur, such grant of
    an additur or remittitur shall take effect only if accepted by all the parties. If
    all the parties do not agree to the additur or the remittitur, then each party shall
    have the right to either demand a new trial on damages, or appeal the order
    asserting an abuse of discretion on the part of the trial judge.
    Dedeaux v. Pellerin Laundry, Inc., 
    947 So. 2d 900
    , 908 (Miss. 2007).
    ¶52.    In his Motion for Remittitur and in his brief, Dr. Causey argues there was little or no
    evidence put on related to damages, and that the evidence regarding Allen’s life expectancy
    23
    was “speculative at best.” Experts for both parties gave contrary testimony on how long
    Allen was expected to live. Dr. Hayne testified for Sanders that the prognosis for Allen’s life
    expectancy was “guarded” and she could have lived several more years, even though she had
    other underlying diseases. Dr. Houston, testifying for Dr. Causey, stated that Allen may not
    have had cancer, but she was “failing to thrive” and “cachectic” and that “hospice care was
    appropriate for her.” Two nurses who testified on behalf of Hospice stated Allen very much
    “appeared to be terminally ill” and in “extreme pain at all times.”
    ¶53.   The family expended $6,300 for Allen’s burial expenses. The Sanders family’s
    testimony centered on their loss of the enjoyment, society, and companionship of Allen.
    Additionally, the jury was instructed that the wrongful-death beneficiaries were entitled to
    recover for the pain, suffering, and mental anguish sustained by the decedent from the time
    of the occurrence of the wrongful conduct until death.
    ¶54.   The determination of damages is within the province of the jury, and this Court has
    held, “[c]ompensation in a wrongful death action is not limited to actual damages and lost
    wages, but extends to the pain and suffering of the deceased, as well as the loss of
    companionship and society.” Venton, 964 So. 2d at 506 (citation omitted). “[A] remittitur
    is appropriate when (1) the jury or trier of fact was influenced by bias, prejudice, or passion
    or (2) the damages were contrary to the overwhelming weight of the evidence.” Bolden, 854
    So. 2d at 1058 (internal citations omitted).
    ¶55.   No evidence of either was presented to the trial court, and therefore we find no error.
    We reaffirm our precedent that we will “generally not vacate or reduce a damage award
    24
    unless it is so ‘out of line as to shock the conscience of the court.’” Id. (citing City of
    Jackson v. Locklar, 
    431 So. 2d 475
    , 481 (Miss. 1983)).
    VI.    Whether the trial court erred in not instructing the jury as to “chance of
    recovery.”
    “When considering a challenge to a jury instruction on appeal, we do not
    review jury instructions in isolation; rather, we read them as a whole to
    determine if the jury was properly instructed.” Burton ex rel. Bradford v.
    Barnett, 
    615 So. 2d 580
    , 583 (Miss. 1993). Similarly, this Court has stated that
    “in determining whether error lies in the granting or refusal of various
    instructions, the instructions actually given must be read as a whole. When so
    read, if the instructions fairly announce the law of the case and create no
    injustice, no reversible error will be found.” Coleman v. State, 
    697 So. 2d 777
    ,
    782 (Miss. 1997) (quoting Collins v. State, 
    691 So. 2d 918
     (Miss. 1997)). In
    other words, if all instructions taken as a whole fairly, but not necessarily
    perfectly, announce the applicable rules of law, no error results.
    Milano v. State, 
    790 So. 2d 179
    , 184 (Miss. 2001).
    ¶56.   At trial, Dr. Causey submitted a chance-of-recovery instruction which stated,
    The court instructs you that Mississippi law does not permit recovery of
    damages because of mere diminishment of the “chance of recovery.” Recovery
    is allowed only when the negligence of the medical provider results in the loss
    of a reasonable probability of substantial improvement of the plaintiff’s
    condition. Therefore, if you find that there was no reasonable probability that
    Ms. Allen’s condition would substantially improve, even in the absence of any
    negligence by the Defendants, then you must return a verdict for the
    Defendants.
    ¶57.   Dr. Causey argued he was entitled to a chance-of-recovery instruction based on the
    contention “that she was terminal patient. And so she was sent to us to die and to die
    comfortably. And so if [Plaintiffs] are saying that we somehow cut short that amount of time,
    then they should not be allowed to recover on some theory that we, you know, cut short her
    life, her ability to – her chance to recover because she was terminal.” Sanders objected to this
    25
    instruction, stating it was not an issue brought forth by the Plaintiff or supported by the
    evidence in this case. The instruction was refused by the trial court.
    ¶58.   The trial judge appropriately stated the issues of this case, which were: a) did an
    overdose occur and b) was this overdose the proximate cause of Allen’s death? The jury was
    properly instructed as to these issues. Instruction P-13 states:
    If you find from a preponderance of the evidence in this case that Ersel Allen,
    decedent, while a patient at Hospice Ministries, Inc. was in the care of Dr.
    William Causey and other employees of Hospice Ministries, Inc. was
    prescribed an overdose of the drug Hydromorphone or Dilaudid; and said
    overdosing, if any, of Ersel Allen was the sole proximate cause or a proximate
    contributing cause of Ersel Allen’s death and damages, if any, then your
    verdict shall be for the plaintiffs, and you must award damages, if any, in
    accordance with the other instructions given to you.
    ¶59.   Instruction 14 states,
    However, if you find from the evidence that the Plaintiffs have failed to prove
    to you, by a preponderance of the evidence,
    1. That Dr. Causey was negligent or acts fell below the standard or care, in
    prescribing and having administered an overdose of pain medication to Ersel
    Allen by nurses while she was at Hospice Ministries and
    2. That Dr. Causey’s negligence, if any, proximately caused or proximately
    contributed to Ersel Allen’s death and other damages, if any sustained by Ersel
    Allen and the Plaintiffs, then your verdict shall be for the Defendants Dr.
    William Causey and Hospice Ministries.
    ¶60.   No evidence of a possibility of a substantial recovery was presented to the jury by
    either Plaintiff or Defendant. Dr. Causey’s brief states that the evidence of recovery was
    speculative at best and that experts testified Allen could have lived “anywhere from an
    additional six weeks to seven years.” Sanders’s proof can be capsulized as follows: Dr.
    26
    Causey allegedly hastened Allen’s death by an overdose. Dr. Causey offered evidence that
    Allen was terminally ill and would have died within six months regardless.
    ¶61.   Loss-of-chance-of-recovery theory instructions are generally submitted by plaintiffs
    in circumstances where a medical provider’s negligence does not cause a patient’s injury or
    death, but arguably hindered the patient from achieving reasonably probable and substantial
    recovery from injury. In the case sub judice, Dr. Causey was alleged to have caused the death
    of Allen due to an overdose, not to have hindered Allen’s recovery. Therefore, the chance-of-
    recovery instruction is not applicable in this case.
    CONCLUSION
    ¶62.   For the reasons stated herein, we find this judgment should be affirmed as to
    compensatory damages and reversed and rendered as to punitive damages.
    ¶63.   AFFIRMED IN PART; REVERSED AND RENDERED IN PART.
    SMITH, C.J., WALLER, P.J., CARLSON, DICKINSON AND LAMAR, JJ.,
    CONCUR. GRAVES, J., CONCURS IN PART AND DISSENTS IN PART WITH
    SEPARATE WRITTEN OPINION JOINED BY DIAZ, P.J., AND EASLEY, J.
    GRAVES, JUSTICE, CONCURRING IN PART AND DISSENTING IN PART:
    ¶64.   I agree with the majority’s decision today except for its treatment of the punitive
    damages issue. The reasons for my disagreement have been fully explained in my dissent
    in Prudential Insurance Company of America v. Stewart, 
    969 So. 2d 17
    , 28-35 (Miss. 2007)
    (Graves, J., dissenting) as it relates to Bradfield v. Schwartz, 
    936 So. 2d 931
     (Miss. 2006).
    27
    I hereby incorporate the arguments from my dissent in Prudential. Prudential, 969 So. 2d
    at 28-35.
    DIAZ, P.J., AND EASLEY, J., JOIN THIS OPINION.
    28