Benny L. Bell v. Hamid R. Redjal, M.D., and Orthopaedic Associates of Southeast Missouri, P.C. d/b/a Advanced Orthopedic Specialists , 569 S.W.3d 70 ( 2019 )


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  •                  In the Missouri Court of Appeals
    Eastern District
    DIVISION ONE
    BENNY L. BELL,                                                 )       No. ED106320
    )
    Respondent,                                         )
    )
    vs.                                                 )
    )       Appeal from the Circuit Court
    HAMID R. REDJAL, M.D.,                                         )       of the City of St. Louis
    )       1522-CC10079
    Defendant,                                          )
    )
    and                                                            )
    )
    ORTHOPAEDIC ASSOCIATES OF                                      )       Honorable Jimmie M. Edwards
    SOUTHEAST MISSOURI, P.C.                                       )
    d/b/a ADVANCED ORTHOPEDIC                                      )
    SPECIALISTS,                                                   )
    )
    Appellant.                                          )       Filed: February 26, 2019
    Orthopaedic Associates of Southeast Missouri, P.C. d/b/a Advanced Orthopedic
    Specialists (“Defendant” or “Defendant AOS”) appeals the judgment entered upon a jury verdict
    awarding Benny L. Bell (“Plaintiff”) $4,451,875 in compensatory damages and $5,000,000 in
    punitive damages on Plaintiff’s claims for medical malpractice arising out of medical care
    provided to Plaintiff by Defendant’s employee, Hamid R. Redjal, M.D. (“the underlying
    defendant Dr. Redjal” or “Dr. Redjal”). 1 We affirm.
    1
    Dr. Redjal did not appeal the verdict against him and is not a party to this appeal.
    I.      BACKGROUND
    A.     Facts Giving Rise to this Appeal
    Plaintiff is a middle-aged man who enjoyed success in his career as a dancer. He grew up
    in the small town of Caruthersville, Missouri but eventually moved to Europe to further his
    career as a performer, choreographer, and dance instructor. At around the age of fifty, Plaintiff
    began experiencing pain and other symptoms of arthritis in his hip. In 2009, Plaintiff underwent
    a right hip resurfacing surgery, in which metal components were installed in his right hip. In
    2012, Plaintiff’s right hip pain recurred. Also around that time, Plaintiff was notified the metal
    components installed during his 2009 surgery had been recalled and that he would have to
    undergo another surgery to revise the prior one. Plaintiff then returned to Missouri for a right hip
    replacement surgery, which was performed by Dr. Ryan Nunley at Barnes Jewish Hospital in St.
    Louis, Missouri in January 2013. During this surgery, Smith & Nephew, Inc. (“Smith &
    Nephew”) hip replacement components were installed into Plaintiff’s right hip.
    A few months after the January 2013 surgery, Plaintiff started to experience pain in his
    left groin area. Plaintiff reported to Dr. Patrick Knight, an orthopedic surgeon and one of the
    owners of Defendant AOS, who then referred Plaintiff to the care of Defendant AOS’s new
    surgeon, Dr. Redjal. Dr. Redjal performed a successful total hip replacement surgery on
    Plaintiff’s left hip in November 2013. Plaintiff felt great immediately after this surgery, he
    participated in physical therapy while he was still in the hospital, and he was able to walk on
    crutches at the time he was discharged from the hospital. On his way to a postoperative follow-
    up appointment with Dr. Redjal on November 21, 2013, Plaintiff stopped at a McDonald’s
    restaurant where he slipped on a wet floor and fell against a wall. Thereafter, Dr. Redjal referred
    Plaintiff to Dr. Jimmy Bowen, a physical medicine and rehabilitation physician who worked for
    Defendant AOS.
    2
    Dr. Bowen diagnosed Plaintiff with osteitis pubis, a condition causing groin pain that can
    be treated successfully without surgery. By March 2014, Plaintiff was doing well on the right
    hip but was still suffering from persistent but improving groin pain on the right side. Dr. Bowen
    referred Plaintiff back to Dr. Redjal to explore whether there was a problem with the right hip
    implant.
    On April 16, 2014, Dr. Redjal performed what he testified was an “exploratory” surgery
    on Plaintiff’s right hip at Saint Francis Medical Center in Cape Girardeau, Missouri. However,
    Dr. Redjal said prior to the surgery he actually intended to replace the polyethylene liner from
    Plaintiff’s acetabular component. During surgery, Dr. Redjal employed a power corkscrew
    device to remove the polyethylene liner from the acetabular cup, which was not the
    recommended technique to perform this task. After the liner was removed, Dr. Redjal could not
    get a new one to lock into the cup. Therefore, Dr. Redjal was forced to remove the entire
    acetabular component from Plaintiff’s right hip and install a new one. During this process, Dr.
    Redjal removed a substantial amount of attached pelvic bone and fractured Plaintiff’s pelvis.
    Plaintiff was not informed of the pelvic fracture prior to his discharge from the hospital.
    In the months following his surgery, Plaintiff was ordered to bear weight on his right leg and to
    undergo physical therapy with Dr. Bowen. Plaintiff had significant difficulty with his
    postoperative instructions because he was experiencing pain, clicking, and loosening of the right
    hip implant while standing or walking. Finally, on October 23, 2014, Plaintiff made Dr. Redjal
    feel the hip implant move inside his body; thereafter, Dr. Redjal ordered a CT scan. This scan
    revealed Plaintiff’s acetabular component was dislocated.
    Dr. Redjal was subsequently discharged from his employment with Defendant AOS.
    Plaintiff had an appointment with Dr. Knight on December 23, 2014 during which Dr. Knight
    informed Plaintiff there was a problem with his April 16, 2014 surgery and Plaintiff’s right leg
    3
    was not attached. Dr. Knight then referred Plaintiff to the care of Dr. Douglas McDonald, who
    saw Plaintiff on February 11, 2015. At that time, Dr. McDonald determined Plaintiff’s
    acetabular component was malpositioned and not fixed in bone. Dr. McDonald performed a
    subsequent surgery to repair Plaintiff’s right hip, but it was unsuccessful. As of the time of trial
    in September 2017, Plaintiff’s right hip implant was unattached to his pelvis, Plaintiff could not
    voluntarily move his right leg, he could not walk without crutches, and he experienced
    significant limitations in his day-to-day activities.
    B.        Relevant Procedural Posture
    Plaintiff subsequently filed his first amended petition (“petition”) alleging six claims
    against four defendants: Smith & Nephew, Rich House Inc. d/b/a McDonald’s (“McDonald’s),
    Defendant AOS, and the underlying defendant Dr. Redjal. Specifically, Plaintiff asserted one
    claim of products liability against Smith & Nephew (“Count I”) related to the allegedly defective
    implants installed in Plaintiff’s right hip during the January 2013 surgery performed by Dr.
    Nunley. Plaintiff also alleged one claim of premises liability against McDonald’s (“Count II”)
    based on McDonald’s failure to discover, warn, or remove an allegedly unsafe condition, which
    caused Plaintiff to fall on November 21, 2013. Plaintiff’s petition set forth three claims of
    medical malpractice against Defendant AOS and the underlying defendant Dr. Redjal (“Counts
    III, IV, and V”) arising from Dr. Redjal’s negligent treatment of Plaintiff as discussed above.
    Finally, Plaintiff asserted one claim of negligent supervision, retention, and referral against
    Defendant AOS (“Count VI”). Plaintiff sought compensatory and punitive damages based on his
    claims.
    Prior to trial, Plaintiff settled his claims against Smith & Nephew and McDonald’s.
    Therefore, he proceeded to try his case on Counts III, IV, and V against Defendant AOS and Dr.
    Redjal as well as Count VI against Defendant AOS. In support of his claims, Plaintiff testified
    4
    and presented the testimony of: his retained expert orthopedic surgeon Dr. David King;
    Defendant AOS owners and employees Dr. August Ritter, Dr. Knight, Dr. Brian Schafer, and Dr.
    Bowen; Dr. McDonald, who was also designated as an expert; Smith & Nephew representative
    Michael Swailes; and Plaintiff’s retained expert life care planner Nurse Jan Klosterman.
    At the close of Plaintiff’s evidence, the trial court ruled there was insufficient evidence to
    support Plaintiff’s claim for punitive damages on Count VI. The trial court ultimately submitted
    Counts III, IV, and V to the jury. The jury returned a verdict in favor of Plaintiff, awarding him
    $4,451,875 in compensatory damages and $5,000,000 in punitive damages. Defendant AOS
    appeals. 2
    II.       DISCUSSION
    Defendant AOS raises six points on appeal. In Defendant’s first and second points on
    appeal, which we address together for ease of analysis, Defendant asserts the trial court erred in
    its rulings relating to evidence of the underlying defendant Dr. Redjal’s qualifications and
    treatment of other patients. In its third and fourth points on appeal, which we also address
    together, Defendant alleges instructional error as to the verdict directors. In its fifth point on
    appeal, Defendant contends the court erred in sua sponte limiting its cross-examination of
    Plaintiff about evidence from his Facebook page and in denying its offer of proof on the subject.
    And in Defendant’s sixth and final point on appeal, it alleges trial court error regarding its
    2
    To avoid unnecessary repetition, additional relevant facts and procedural posture will be set forth in our analysis in
    Section II. of this opinion.
    5
    requested reduction under section 537.060 RSMo 2000. 3
    A.       Whether the Trial Court Erred with Respect to Evidence of Dr. Redjal’s
    Qualifications and Treatment of Other Patients
    In its first and second points on appeal, Defendant AOS asserts the trial court erred in its
    rulings relating to evidence of the underlying defendant Dr. Redjal’s qualifications and treatment
    of other patients. In Defendant’s first point on appeal, it argues the trial court erred in admitting
    evidence of Dr. Redjal’s qualifications and treatment of other patients because the evidence was
    irrelevant and prejudicial in light of Defendant’s admission of respondeat superior. In its second
    point on appeal, Defendant maintains the court erred in denying its motion for mistrial and
    subsequent motion for new trial based on the admission of such evidence.
    1.       Standard of Review
    The trial court has considerable discretion in determining the admissibility of evidence.
    Koelling v. Mercy Hospitals East Communities, 
    558 S.W.3d 543
    , 550 (Mo. App. E.D. 2018).
    Thus, we defer to a trial court’s evidentiary ruling, we presume the ruling is correct, and we will
    reverse based on evidentiary error only if the court clearly abused its discretion. Koon v.
    Walden, 
    539 S.W.3d 752
    , 761 (Mo. App. E.D. 2017). We also review the trial court’s decision
    to deny a motion for mistrial or a motion for new trial for an abuse of discretion. Palmer v.
    Union Pacific R. Co., 
    311 S.W.3d 843
    , 851 (Mo. App. E.D. 2010).
    3
    All further references to section 537.060 are to RSMo 2000, which is the latest version of the statute. This section
    provides in relevant part:
    When an agreement by release, covenant not to sue or not to enforce a judgment is given in good
    faith to one of two or more persons liable in tort for the same injury or wrongful death, . . . such
    agreement shall reduce the claim by the stipulated amount of the agreement, or in the amount of
    consideration paid, whichever is greater.
    In its sixth point relied on as well as in the argument portion of its brief, Defendant actually refers to its requested
    “setoff.” The Missouri Supreme Court has noted the affirmative defense under section 537.060 is occasionally
    referred to as a “setoff,” rather than the more accurate term of “reduction.” See Sanders v. Ahmed, 
    364 S.W.3d 195
    ,
    201 n.2 (Mo. banc 2012). We follow the Supreme Court’s direction in referring to it as the defense of reduction.
    See 
    id. 6 An
    abuse of discretion occurs when the court’s ruling is “clearly against the logic of the
    circumstances then before the court and is so unreasonable and arbitrary that it shocks the sense
    of justice and indicates a lack of careful, deliberate consideration.” 
    Koelling, 558 S.W.3d at 550
    (quotations omitted). An abuse of discretion will not be found if reasonable minds could differ
    as to the propriety of the trial court’s action. 
    Koon, 539 S.W.3d at 761
    . We will only reverse the
    trial court’s ruling if it has resulted in a glaring or substantial injustice. Id.; 
    Palmer, 311 S.W.3d at 851
    .
    2.     Relevant Facts and Procedural Posture
    Prior to trial, Defendant filed a motion in limine asserting Plaintiff should not be allowed
    to introduce evidence showing Dr. Redjal failed the examination for board certification as an
    orthopedic surgeon on three occasions. The trial court denied Defendant’s motion in limine.
    During trial, Defendant objected to Plaintiff’s presentation of evidence related to Count
    VI, which was Plaintiff’s claim for negligent supervision, retention, and referral against
    Defendant AOS. In response, Plaintiff maintained evidence of Dr. Redjal’s qualifications and
    treatment of other patients was relevant and permissible because he was pursuing punitive
    damages on that claim. The trial court overruled Defendant’s objections, and Plaintiff presented
    evidence showing, (1) Dr. Redjal failed his board certification examination on three occasions;
    (2) when Dr. Redjal was trying to obtain his license to practice medicine in Missouri, he had
    difficulty getting a favorable recommendation from the California institution where he
    completed his residency; (3) Dr. Redjal’s residency director from the California institution wrote
    a letter stating Dr. Redjal’s overall performance was not acceptable; and (4) in late 2014,
    Defendant AOS ended its professional relationship with Dr. Redjal due to his poor treatment of
    other surgical patients.
    7
    After the court announced it would not submit Plaintiff’s claim of punitive damages on
    Count VI to the jury, Defendant’s counsel requested a mistrial, because the jury had already
    heard the preceding evidence relevant to that claim. No other relief was requested. The trial
    court denied Defendant’s request for a mistrial, as well as its subsequent motion for new trial
    arguing the same.
    3.      Relevant Law, Defendant’s Arguments, and Analysis
    As a general rule, a plaintiff is not allowed to pursue claims against an employer asserting
    alternative theories of liability in cases where the employer has admitted to respondeat superior
    liability for its employee’s negligence. McHaffie By and Through McHaffie v. Bunch, 
    891 S.W.2d 822
    , 826 (Mo. banc 1995); see Wilson v. Image Flooring, LLC, 
    400 S.W.3d 386
    , 391-94
    (Mo. App. W.D. 2013). However, this rule is subject to an exception when the plaintiff brings a
    claim for punitive damages against the employer. 
    Wilson, 400 S.W.3d at 391-94
    ; see also
    
    McHaffie, 891 S.W.2d at 826
    . The Wilson Court aptly explained:
    The rationale for the Court’s holding in McHaffie was that, where vicarious liability
    was admitted . . ., the employer’s liability was necessarily fixed by the negligence
    of the employee. Thus, any additional evidence supporting direct liability claims
    could serve only to waste time and possibly prejudice the defendants.
    The same cannot be said, however, when a claim for punitive damages based upon
    the direct liability theories is raised. If an employer’s hiring, training, supervision,
    or entrustment practices can be characterized as demonstrating complete
    indifference or a conscious disregard for the safety of others, then the plaintiff
    would be required to present additional evidence, above and beyond demonstrating
    the employee’s negligence, to support a claim for punitive damages. Unlike in the
    McHaffie scenario, this evidence would have a relevant, non-prejudicial purpose.
    And because the primary concern in McHaffie was the introduction of extraneous,
    potentially prejudicial evidence, we believe that the rule announced in McHaffie
    does not apply where punitive damages are claimed against the employer, thus
    making the additional evidence both relevant and 
    material. 400 S.W.3d at 393
    (internal citations omitted). The Wilson Court also held that in order for a
    plaintiff to be entitled to the punitive damages exception, he is required only to plead sufficient
    facts to support a claim of punitive damages. 
    Id. at 393-94.
                                                      8
    We first address Defendant’s argument that the trial court erred in admitting the evidence
    about Dr. Redjal’s qualifications and treatment of other patients. The trial court’s rulings
    admitting this evidence were made during pre-trial discussions of motions in limine and during
    trial when Defendant objected to the evidence. As such, these rulings were made prior to the
    trial court’s pronouncement that it would not submit Plaintiff’s claim for punitive damages on
    Count VI to the jury. Accordingly, when the court decided the evidence was admissible,
    Plaintiff was still pursuing its punitive damages claim against Defendant AOS on the theory of
    negligent supervision, retention, and referral.
    Implicit in its ruling, the trial court found Plaintiff was entitled to the punitive damages
    exception because he pled sufficient facts to support his claim for punitive damages on Count VI.
    See 
    Wilson, 400 S.W.3d at 391-94
    . In light of the allegations pled in Plaintiff’s petition as well
    as the fact Defendant did not challenge the sufficiency of Plaintiff’s allegations with a motion to
    dismiss or motion for summary judgment, we cannot say the trial court’s decision to admit the
    evidence of Dr. Redjal’s qualifications and treatment of other patients for this purpose was
    clearly against the logic of the circumstances then before the court or demonstrated a lack of
    careful consideration. See 
    Koelling, 558 S.W.3d at 550
    ; 
    Koon, 539 S.W.3d at 761
    . The evidence
    was admitted for a non-prejudicial purpose as it was both relevant and material to support
    Plaintiff’s claim of punitive damages on Count VI for negligent supervision, retention, and
    referral. See 
    Wilson, 400 S.W.3d at 393
    . Moreover, the admission of the evidence did not
    violate McHaffie. See 
    McHaffie, 891 S.W.2d at 826
    ; 
    Wilson, 400 S.W.3d at 391-94
    . Thus, the
    trial court did not abuse its discretion in admitting the evidence.
    We now turn to the trial court’s denial of Defendant’s motion for mistrial and subsequent
    motion for new trial based on the fact that after the evidence was admitted, the court determined
    9
    it would not submit Plaintiff’s punitive damages claim on Count VI to the jury. 4 A mistrial is a
    drastic remedy that should only be granted in exceptional circumstances. Coyle v. City of St.
    Louis, 
    408 S.W.3d 281
    , 286 (Mo. App. E.D. 2013); 
    Palmer, 311 S.W.3d at 854
    ; Cole ex rel.
    Cole v. Warren County R-III School Dist., 
    23 S.W.3d 756
    , 759 (Mo. App. E.D. 2000). The trial
    court is in the best position to determine the prejudicial effect of evidence and “to determine
    whether any resulting prejudice can be ameliorated by less drastic means than declaration of a
    mistrial.” 
    Cole, 23 S.W.3d at 759
    ; see Wheeler ex rel. Wheeler v. Phenix, 
    335 S.W.3d 504
    , 514
    (Mo. App. S.D. 2011). One less drastic remedy is a limiting instruction for the jury to disregard
    the allegedly improper evidence, which has been found sufficient to avoid prejudice and cure any
    error. See Warren Davis Properties V, L.L.C. v. United Fire & Casualty Co., 
    111 S.W.3d 515
    ,
    527 (Mo. App. S.D. 2003). When a party requests a mistrial but fails to ask for a curative
    instruction, we will find the court abused its discretion in declining to grant a mistrial only if the
    evidence was so prejudicial that its effect could not have been removed by an instruction. 
    Id. On appeal,
    Defendant contends the trial court should have declared a mistrial because the
    evidence relating to Dr. Redjal’s qualifications and treatment of other patients “was irrelevant
    and highly prejudicial,” but Defendant fails to adequately explain how it was prejudiced by the
    evidence. Other than recounting the complained-of evidence for our Court, Defendant’s
    argument could be read as asserting the evidence was prejudicial merely because the jury heard it
    and merely because it violated McHaffie, which we have already found was not the case.
    Further, Defendant asserts “[i]t is easy to believe” the jury would want to punish Defendant
    based on the evidence related to its negligent supervision, retention, and referral of Dr. Redjal,
    4
    Specifically, the trial court determined there was insufficient evidence to support Plaintiff’s claim for punitive
    damages as to Count VI. Plaintiff did not appeal this ruling.
    10
    and the jury’s purported anger “would certainly bleed over into the jury’s consideration of their
    verdict on both compensatory and punitive damages.”
    We find Defendant’s argument as to prejudice to be circular and speculative. Defendant
    has failed to prove the trial court’s actions of denying Defendant’s motions for mistrial and new
    trial resulted in a glaring or substantial injustice, especially in light of its failure to request a
    curative instruction. See 
    Koon, 539 S.W.3d at 761
    ; 
    Coyle, 408 S.W.3d at 286
    ; 
    Palmer, 311 S.W.3d at 851
    , 854; Warren Davis 
    Properties, 111 S.W.3d at 527
    ; 
    Cole, 23 S.W.3d at 759
    . We
    are unpersuaded by Defendant’s contention that it could not even attempt to formulate an
    instruction sufficient to cure any potential prejudice resulting from the evidence of Dr. Redjal’s
    qualifications and treatment of other patients. A party’s failure to request relief other than a
    mistrial cannot aid him or her. See Warren Davis 
    Properties, 111 S.W.3d at 527
    . Therefore, the
    trial court did not abuse its discretion in denying Defendant’s motion for mistrial and subsequent
    motion for new trial. As such, the trial court did not err in its rulings relating to evidence of Dr.
    Redjal’s qualifications and treatment of other patients. Points one and two are denied.
    B.      Whether the Trial Court Committed Instructional Error
    We address Defendant’s third and fourth points on appeal in the following order. In the
    first part of Defendant’s fourth point as well as in its third point, Defendant maintains the trial
    court erred in submitting the verdict directors – Instruction No. Four (“Instruction Four”) and
    Instruction No. Nine (“Instruction Nine”) – to the jury because they were not supported by
    sufficient evidence. In the second part of Defendant’s fourth point, Defendant contends the court
    erred in submitting Instruction Four to the jury because it was a roving commission in that it
    failed to advise the jury of the ultimate facts necessary to conclude Defendant was negligent.
    11
    1.        General Standard of Review
    Whether the jury was properly instructed is a question of law subject to de novo review.
    
    Koon, 539 S.W.3d at 768
    . A proper instruction must be supported by the evidence, follow the
    substantive law, and be readily understood by the jury. Huelskamp v. Patients First Health
    Care, LLC, 
    475 S.W.3d 162
    , 173 (Mo. App. E.D. 2014); Fletcher v. Kansas City Cancer Center,
    LLC, 
    296 S.W.3d 474
    , 478 (Mo. App. W.D. 2009). In reviewing an alleged instructional error,
    we view the evidence in the light most favorable to its submission and disregard evidence to the
    contrary. 
    Id. The party
    asserting instructional error must prove the allegedly improper
    instruction misdirected, misled, or confused the jury. SKMDV Holdings, Inc. v. Green Jacobson,
    P.C., 
    494 S.W.3d 537
    , 553 (Mo. App. E.D. 2016). We will reverse based on instructional error
    only if the error resulted in prejudice that materially affected the merits of the case. 
    Koon, 539 S.W.3d at 768
    .
    2.        Whether the Verdict Directors Were Supported by Sufficient Evidence
    We first turn to Defendant’s assertion that the verdict directors were not supported by
    sufficient evidence. A verdict-directing instruction, such as Instruction Four and Instruction
    Nine in this case, must be supported by substantial evidence in order to be appropriately
    submitted to the jury. Brown v. Bailey, 
    210 S.W.3d 397
    , 410 (Mo. App. E.D. 2006).
    “Substantial evidence is evidence which, if true, is probative of the issues and from which the
    jury can decide the case.” 
    Id. (quotations omitted).
    Where, as in this case, the verdict-directing
    instruction contains alternative submissions of acts giving rise to liability, each submission must
    be supported by substantial evidence. See Ploch v. Hamai, 
    213 S.W.3d 135
    , 138, 140 (Mo. App.
    E.D. 2006) (each submission in a disjunctive instruction, i.e., an instruction containing
    alternative submissions of acts giving rise to liability, must be supported by substantial
    evidence); see also Menaugh v. Resler Optometry, Inc., 
    799 S.W.2d 71
    , 74 (Mo. banc 1990)
    12
    (overruled on other grounds by Rodriguez v. Suzuki Motor Corp., 
    936 S.W.2d 104
    , 111 (Mo.
    banc 1996)); Note on Use No. 1 to Missouri Approved Instruction (“MAI”) 10.02. 5
    a.       Instruction Four
    In this case, Instruction Four was the verdict director given to the jury as to Plaintiff’s
    medical malpractice claims against Defendant AOS and Dr. Redjal. Instruction Four stated:
    On the claim of Plaintiff Benny Bell for compensatory damages for personal injury
    against Defendants Advanced Orthopedic Specialists and Hamid Redjal, M.D. your
    verdict must be for Plaintiff Benny Bell if you believe:
    First, Defendant Hamid Redjal, M.D. either:
    (a)      performed unnecessary right hip surgery on April 16, 2014; or
    (b)      damaged the liner and cup and removed excessive bone during the
    right hip surgery on April 16, 2014; or
    (c)      failed to inform Plaintiff Benny Bell of fractures which occurred
    during the April 16, 2014 surgery; or
    (d)      delayed treatment of the fractures which occurred during the April
    16, 2014 surgery; or
    (e)      instructed Plaintiff Benny Bell to participate in physical therapy and
    to put weight on the right leg despite persistent pain after the April
    16, 2014 surgery; and
    Second, Defendant Hamid Redjal, M.D. was thereby negligent; and
    Third, as a direct result of such negligence plaintiff sustained damage.
    Based on the foregoing instruction, Defendant argues Paragraph First subsections (b) and
    (d) were not supported by sufficient evidence because they were not supported by expert
    testimony. Defendant is correct in stating Plaintiff was required to present expert testimony on
    the issues of the applicable standard of care and causation. See, e.g., 
    Bailey, 210 S.W.3d at 408
    ;
    Wright v. Barr, 
    62 S.W.3d 509
    , 524 (Mo. App. W.D. 2001); Baker v. Gordon, 
    759 S.W.2d 87
    ,
    5
    All further references to the MAI, its Notes on Use, and Committee Comments are to the versions found in the
    Missouri Approved Instructions-Civil (7th ed. 2012).
    13
    91 (Mo. App. W.D. 1988); Delisi v. St. Luke’s Episcopal-Presbyterian Hosp., Inc., 
    701 S.W.2d 170
    , 173 (Mo. App. E.D. 1985). The flaw with Defendant’s argument, however, is its
    assumption, without citation to authority, that only the testimony of Plaintiff’s retained expert
    witness, Dr. King, should be considered in determining whether Plaintiff presented sufficient
    evidence to support its instruction.
    In so arguing, Defendant disregards case law providing, (1) we must view the evidence in
    the light most favorable to Instruction Four’s submission; and (2) we may look at any evidence
    favorable to Plaintiff in determining whether sufficient evidence existed to support the
    instruction. See 
    Huelskamp, 475 S.W.3d at 173
    ; 
    Fletcher, 296 S.W.3d at 478
    ; see also, e.g.,
    
    Fletcher, 296 S.W.3d at 479-80
    (discussing plaintiff’s expert’s testimony in conjunction with
    other testimony in deciding there was sufficient standard of care evidence); 
    Wright, 62 S.W.3d at 526-28
    (considering plaintiff’s expert’s testimony as well as other testimony in finding there was
    sufficient standard of care and causation evidence); Ladish v. Gordon, 
    879 S.W.2d 623
    , 633-35
    (Mo. App. W.D. 1994) (acknowledging defendant’s evidence favorable to plaintiff in concluding
    plaintiff presented sufficient standard of care evidence); 
    Baker, 759 S.W.2d at 91
    (defendant’s
    evidence may help establish the standard of care); 
    Delisi, 701 S.W.2d at 173
    (same). Moreover,
    we do not view one expert’s testimony in a vacuum, but must consider it in the context of all the
    evidence presented at trial. Mitchell v. Evans, 
    284 S.W.3d 591
    , 595 (Mo. App. W.D. 2008); see
    14
    also 
    Fletcher, 296 S.W.3d at 479
    (we consider expert testimony as an integrated whole). 6
    Bearing in mind the preceding guidelines relevant to our review, we now discuss whether
    Paragraph First subsections (b) and (d) were supported by sufficient evidence.
    i.        Paragraph First Subsection (b)
    Paragraph First subsection (b) required the jury to find Dr. Redjal “damaged the liner and
    cup and removed excessive bone during the right hip surgery on April 16, 2014[.]” As to this
    subsection, Plaintiff presented the following evidence on the issues of standard of care and
    causation.
    The evidence adduced at trial indicated the acetabular cup implanted in Plaintiff’s hip
    contained a locking mechanism, which connected the cup to a plastic polyethylene liner that
    could be removed while the cup remained in place. Swailes, the Smith & Nephew representative
    present during Plaintiff’s surgery, testified Smith & Nephew provided a tool to remove the
    polyethylene liner from the specific type of acetabular cup installed in Plaintiff’s hip.
    Swailes was aware Dr. Redjal did not like to use the recommended tool but preferred to
    use a power corkscrew device to remove the polyethylene liner. The two had discussed this
    issue prior to Plaintiff’s April 16, 2014 surgery and may have had the same conversation on the
    day of the surgery. In fact, Swailes testified he warned Dr. Redjal against using the power
    corkscrew device to remove the polyethylene liner from Plaintiff’s acetabular cup because there
    6
    We acknowledge some of the citations in this paragraph are from cases dealing with challenges to the
    submissibility of a plaintiff’s negligence claim and are not within the context of claims asserting the plaintiff’s
    negligence verdict director was not supported by sufficient evidence. While these are distinct concepts that should
    not be conflated, we find the cases instructive because in reviewing both types of claims on appeal, an appellate
    court must decide whether the plaintiff presented substantial evidence, i.e., evidence that is probative of the issues
    and from which the jury can render a decision. As an example, this Court in Brown v. Bailey stated in order for
    plaintiff to make a submissible case, he must present substantial evidence to support every fact essential to 
    liability. 210 S.W.3d at 404
    . Subsequently, in addressing the defendant’s challenge to the verdict director, the court declared,
    “[a] verdict directing instruction . . . should only be submitted by the trial court when it is supported by substantial
    evidence.” 
    Id. at 409-10;
    see also Williams v. Daus, 
    114 S.W.3d 351
    , 358-59, 363 (Mo. App. S.D. banc 2003)
    (declaring as to submissibility, plaintiff must present substantial evidence as to each fact necessary for recovery, and
    later stating with respect to whether there was sufficient evidence to support a verdict director, “every element of a
    verdict director must be supported by substantial evidence”) (quotations omitted).
    15
    was a risk the corkscrew device would damage the cup’s locking mechanism and it would not be
    able to accept a new liner. Swailes also told Dr. Redjal to be careful not to drill into the locking
    mechanism. Nevertheless, Dr. Redjal refused to use the Smith & Nephew tool, but instead used
    the power corkscrew device. During Plaintiff’s surgery, Dr. Redjal struggled to remove the
    polyethylene liner, damaged the liner by drilling into it several times, and was unable to replace
    it with a new liner because the liner would not lock into the acetabular cup.
    Dr. King, Plaintiff’s retained expert orthopedic surgeon, testified the standard of care
    required Dr. Redjal, upon determining he needed to remove the polyethylene liner from
    Plaintiff’s acetabular cup, to use the specific tool designed to remove the liner. Dr. Redjal failed
    to do so, and in Dr. King’s opinion based on the evidence and deposition testimony he
    reviewed, 7 Dr. Redjal damaged the locking mechanism of the acetabular cup through his use of
    the power corkscrew device. Although Dr. King acknowledged other surgeons used the power
    corkscrew device, to his knowledge those doctors only employed that method when the implants
    being worked on did not have a designed tool to remove its polyethylene liner. Dr. King stated
    Dr. Redjal deviated from the standard of care in the technical way he performed Plaintiff’s April
    16, 2014 surgery.
    Moreover, Dr. King’s testimony indicates that because Dr. Redjal had damaged the liner
    and cup through his use of the power corkscrew device, he was unable to lock a new liner into
    the cup and was thus forced to remove the entire acetabular component to install a new one.
    Along with the acetabular component, Dr. Redjal removed an excessive amount of bone from
    Plaintiff’s hip. Dr. King and Dr. McDonald both testified Dr. Redjal deviated from the standard
    of care in doing so. These actions resulted in damage to Plaintiff because by Dr. Redjal’s own
    7
    Prior to testifying as to his opinions in this case, Dr. King explained to the jury the standard of care applicable to
    this case and agreed with Plaintiff’s counsel that all of his opinions would be expressed to a reasonable degree of
    professional certainty.
    16
    admission made to Dr. Schafer, who was an owner of Defendant AOS and the chairman of
    orthopedic surgery at Saint Francis Medical Center, Dr. Redjal “cracked” Plaintiff’s pelvis while
    trying to get the cup out. Further, Dr. McDonald found the destruction of and fractures to
    Plaintiff’s pelvis as well as the malposition of the new acetabular component resulted from Dr.
    Redjal’s failures during the April 16, 2014 surgery.
    We find, in considering Plaintiff’s expert testimony in the context of all the evidence
    viewed in the light most favorable to submission of Instruction Four, Plaintiff presented
    substantial evidence from which the jury could have found Dr. Redjal violated the standard of
    care by damaging the liner and cup and removing excessive bone during the right hip surgery on
    April 16, 2014, and that as a result, Plaintiff sustained damage. See 
    Bailey, 210 S.W.3d at 410
    .
    While Defendant complains Dr. King’s testimony did not track the exact language of subsection
    (b) that Dr. Redjal “damaged the liner and cup,” he was not required to do so. See 
    Mitchell, 284 S.W.3d at 595
    (similarly finding). Dr. King clearly stated Dr. Redjal was required by the
    standard of care to use the specific tool designed to remove the polyethylene liner, and Swailes
    testimony confirmed there was such a tool designed to remove the liner from Plaintiff’s specific
    acetabular component. Because of his deviation from the standard of care, Dr. Redjal damaged
    the liner and cup and removed excess bone along with the acetabular component. Furthermore,
    the expert testimony, when read as a whole, constitutes substantial evidence probative on the
    issue of causation. See 
    id. at 595-96;
    see also 
    Fletcher, 296 S.W.3d at 479
    . Accordingly,
    subsection (b) was consistent with and supported by the evidence.
    ii.     Paragraph First Subsection (d)
    Paragraph First subsection (d) required the jury to find Dr. Redjal “delayed treatment of
    the fractures which occurred during the April 16, 2014 surgery[.]” With respect to this
    subsection, the following evidence was presented as to the standard of care and causation. Dr.
    17
    King testified to a reasonable degree of certainty that Plaintiff’s condition after the April 16,
    2014 surgery could have been improved by: having Plaintiff stop weight bearing on his right
    leg; informing Plaintiff about the fractures; obtaining additional imaging to determine the exact
    pattern of the fractures; and then developing a plan as to how to restore Plaintiff’s anatomy to
    where it should be. Dr. King testified it was necessary for Plaintiff to stop weight bearing
    because bearing weight on his right leg would cause the fracture line to expand, prevent healing,
    and cause Plaintiff’s implant to shift. Dr. King said an immediate additional surgery would have
    been required as part of the action plan to restore Plaintiff’s anatomy to where it should be.
    Furthermore, Dr. King opined Dr. Redjal failed to comply with the standard of care if he
    put Plaintiff on a weight bearing regimen after the April 16, 2014 surgery. Based on the
    postoperative medical records, that is exactly what Dr. Redjal did when he ordered Plaintiff to be
    thirty pounds weight bearing on April 16 and May 1, 2014, then ordered him to be full weight
    bearing on May 22, 2014. The medical records also reveal from after the April 16, 2014 surgery
    through October 2014 Dr. Redjal was encouraging Plaintiff to bear more weight on his right leg,
    the opposite of what he acknowledged was the appropriate treatment of a pelvic fracture.
    Additionally, Dr. King and Dr. McDonald both testified about the records of Plaintiff’s
    physical therapy and appointments with Dr. Redjal subsequent to the April 16, 2014 surgery.
    Taken as a whole, their testimony along with information included in those records reveal Dr.
    Redjal’s failure to treat Plaintiff’s pelvic fracture was resulting in additional damage to Plaintiff
    in that his subjective complaints of pain were worsening as well as the objective fact his x-rays
    were showing additional fracture lines. See 
    Fletcher, 296 S.W.3d at 479
    and 
    Mitchell, 284 S.W.3d at 595
    (we must consider expert testimony as a whole and in the context of other medical
    evidence). Based on the foregoing, we find Plaintiff presented substantial evidence from which
    the jury could have found Dr. Redjal violated the standard of care by delaying treatment of the
    18
    fractures which occurred during the April 16, 2014 surgery, and that as a result, Plaintiff
    sustained damage. See 
    Bailey, 210 S.W.3d at 410
    .
    iii.   Conclusion as to Defendant’s Claim that Instruction Four was
    not Supported by Sufficient Evidence
    In light of the preceding evidence presented at trial, we find the trial court did not err in
    submitting the verdict director Instruction Four to the jury because Paragraph First subsections
    (b) and (d) were supported by sufficient evidence. The first part of Defendant’s fourth point on
    appeal is denied.
    b.      Instruction Nine
    We now turn to Instruction Nine, which was the verdict director read to the jury as to
    Plaintiff’s claim for punitive damages against Defendant AOS and Dr. Rejdal. Instruction Nine
    provided in relevant part:
    If you find in favor of [P]laintiff under [Instruction Four], and if you believe that:
    First, Defendant Hamid Redjal, M.D. either:
    (a)     performed unnecessary right hip surgery on April 16, 2014; or
    (b)     damaged the liner and cup and removed excessive bone during the
    right hip surgery on April 16, 2014; or
    (c)     failed to inform Plaintiff Benny Bell of fractures which occurred
    during the April 16, 2014 surgery; or
    (d)     delayed treatment of the fractures which occurred during the April
    16, 2014 surgery; or
    (e)     instructed Plaintiff Benny Bell to participate in physical therapy and
    to put weight on the right leg despite persistent pain after the April
    16, 2014 surgery; and
    Second, defendant knew or had information from which defendant, in the exercise
    of ordinary care, should have known that such conduct created a high degree of
    probability of injury, and
    Third, defendant thereby engaged in willful, wanton or malicious misconduct,
    19
    Then, in addition to any damages to which you find plaintiff entitled under
    [Instruction Four] you may award plaintiff an additional amount as punitive
    damages in such sum as you believe will serve to punish defendant and deter
    defendant and others from like conduct.
    ...
    Initially, we must clarify Defendant’s argument with respect to the preceding Instruction
    Nine. Defendant’s brief on appeal asks this Court to decide its third point on appeal by
    employing the standard of review and general law applicable for analyzing the submissibility of
    a punitive damages claim. However, we find Defendant’s argument as preserved throughout the
    proceedings is more appropriately characterized as a challenge to the submissibility of the
    punitive damages instruction because Defendant argues the evidence is insufficient as it relates
    to the language of Instruction Nine. 8 See Wieland v. Owner-Operator Services, Inc., 
    540 S.W.3d 845
    , 850 n.3 (Mo. banc 2018). Therefore, we address Defendant’s point as such and proceed to
    discuss whether Instruction Nine was supported by sufficient evidence.
    i.       Relevant Law Pertaining to Punitive Damages
    In pursuing punitive damages under section 538.210.5 RSMo Supp. 20069 against a
    healthcare provider in a medical malpractice case, a plaintiff must present clear and convincing
    evidence showing: (1) the healthcare provider engaged in outrageous conduct; 10 and (2) such
    conduct was performed with a willful, wanton, or malicious culpable mental state. See Dodson
    8
    As our Missouri Supreme Court recently clarified:
    A submissibility-of-the-claim challenge argues the plaintiff’s claim should not go to the jury because
    substantial evidence does not support the claim as provided by the substantive law. A
    submissibility-of-the-instruction challenge argues a specific instruction should not be given to the
    jury because substantial evidence does not support an issue as provided by that instruction. The
    former compares the evidence with the substantive law, while the latter compares the evidence
    specifically with the instruction.
    Wieland v. Owner-Operator Services, Inc., 
    540 S.W.3d 845
    , 850 n.3 (Mo. banc 2018) (citations omitted). While the
    parties have conflated the two issues in addressing Defendant’s third point on appeal, the argument portion of
    Defendant’s brief undeniably compares the evidence specifically with the language of Instruction Nine just as
    Defendant argued in his submissibility-of-the-instruction portion of his fourth point on appeal. Accordingly, we
    conclude Defendant’s third point on appeal is fairly and appropriately characterized as a “submissibility-of-the
    instruction challenge.” See 
    id. 9 The
    reference to section 538.210.5 is to RSMo Supp. 2006, which incorporates legislative amendments through
    2005 and was the version of the statute in effect at the time the events giving rise to this appeal occurred.
    10
    Defendant does not contest this element on appeal.
    20
    v. Ferrara, 
    491 S.W.3d 542
    , 562 (Mo. banc 2016); Poage v. Crane Co., 
    523 S.W.3d 496
    , 515
    (Mo. App. E.D. 2017). For purposes of punitive damages, acting willfully, wantonly, or
    maliciously is equivalent to acting with a complete indifference to or in conscious disregard for
    the rights or safety of others. See 
    Koon, 539 S.W.3d at 769-72
    . “Conscious disregard or
    complete indifference involves [a] situation[] where a person acts or fails to act while being
    conscious from the knowledge of surrounding circumstances and existing conditions, that,
    although lacking a specific intent to injure, the person’s conduct or failure to act will naturally
    and probably result in injury.” 
    Poage, 523 S.W.3d at 520
    (quotations omitted); see Peters v.
    General Motors Corp., 
    200 S.W.3d 1
    , 24 (Mo. App. W.D. 2006); see also 
    Koon, 539 S.W.3d at 773
    .
    ii.      Relevant Facts and Analysis
    Pursuant to the preceding law and the standard of review applicable to Defendant’s
    specific claim before this Court, we must determine whether Plaintiff presented substantial
    evidence, i.e., evidence probative of the issues and from which the jury can decide the case,
    showing Dr. Redjal committed the five acts submitted in Instruction Nine Paragraph First with a
    complete indifference to or in conscious disregard for Plaintiff’s safety. 11 See 
    Dodson, 491 S.W.3d at 562
    ; 
    Menaugh, 799 S.W.2d at 74
    ; 
    Poage, 523 S.W.3d at 515
    ; 
    Koon, 539 S.W.3d at 769-72
    ; 
    Ploch, 213 S.W.3d at 138
    , 140; 
    Bailey, 210 S.W.3d at 410
    ; Note on Use No. 1 to MAI
    10.02.
    11
    Although Defendant’s argument, consistent with Instruction Nine, actually uses the “willful, wanton, or
    malicious” standard as opposed to the “complete indifference or conscious disregard” standard supplied by the MAI
    and referred to in case law, this fact does not impact our discussion because willful, wanton, or malicious
    misconduct for purposes of punitive damages is equivalent to acting with a complete indifference to or in conscious
    disregard for the rights or safety of others. See 
    Koon, 539 S.W.3d at 769-72
    .
    21
    aa.     Paragraph First Subsection (a)
    Paragraph First subsection (a) required the jury to find Dr. Redjal “performed
    unnecessary right hip surgery on April 16, 2014[.]” Plaintiff presented the following evidence as
    to whether Defendant engaged in this conduct with a complete indifference to or in conscious
    disregard for Plaintiff’s safety. A few months after Plaintiff’s successful November 2013 left
    total hip replacement surgery performed by Dr. Redjal, Dr. Bowen determined Plaintiff suffered
    from osteitis pubis, a condition causing groin pain that can be treated successfully without
    surgery. Plaintiff thought he was finally on the right track to recovery, and Dr. Bowen thought
    Plaintiff would only need a more sophisticated injection to treat the osteitis pubis. While
    Plaintiff had recovered “99.9%” of his ability to function on the right hip, he was still
    experiencing some persistent but improving groin pain on the right side. For this reason, Dr.
    Bowen referred Plaintiff back to Dr. Redjal to explore whether there was a problem with the
    right hip implant.
    Dr. Redjal initially considered surgical intervention during an appointment with Plaintiff
    on March 6, 2014. Based on x-rays performed prior to that appointment, Dr. Redjal concluded
    they showed possible loosening of Plaintiff’s right hip implant. However, Dr. King testified the
    relevant x-rays performed prior to this March 6 appointment did not show loosening of
    Plaintiff’s hip implant components. Similarly, Dr. McDonald, who subsequently treated Plaintiff
    and was designated as an expert in this case, found the x-rays did not indicate the component was
    failing, loosening, or exhibiting wear.
    Dr. Redjal also reviewed an ultrasound performed by Dr. Bowen prior to the March 6
    appointment. Dr. Redjal noted the ultrasound revealed fluid around the right hip arthroplasty
    device. However, Dr. McDonald testified joint fluid was expected after arthroplasty and
    relatively common in patients who had previously had a metal-on-metal implant. Dr. McDonald
    22
    further testified the amount of fluid in Plaintiff’s hip was not a cause for concern and did not
    suggest his right hip component was loose.
    Based upon his readings of the x-rays and ultrasound, Dr. Redjal planned to get a bone
    scan and then consider whether surgical intervention was necessary. On March 12, 2014, the
    bone scan was performed, which revealed there was no loosening or infection on the components
    in Plaintiff’s right hip. Although Dr. Redjal admitted the radiology report confirmed there was
    no loosening of the components shown by the bone scan, the next medical record he authored
    states Plaintiff was “[s]tatus post right total hip replacement with loosening of components.” Dr.
    Redjal’s record also only noted the bone scan was negative for infection, but he apparently
    ignored the bone scan finding that it was negative for loosening.
    Although Dr. Redjal ordered the bone scan to determine if surgical intervention was
    needed, the medical records prove he knew there was no loosening of the components but
    proceeded with the April 16, 2014 surgery anyway. Dr. Redjal performed the surgery prior to
    conducting additional tests to determine the actual cause of Plaintiff’s right groin pain, which Dr.
    King testified were available. Accordingly, the evidence showed the April 16, 2014 surgery was
    not necessary or required under the surrounding circumstances and in light of Plaintiff’s then
    existing physical condition. We find the foregoing evidence constituted substantial evidence
    from which the jury could have found Dr. Redjal performed unnecessary right hip surgery on
    April 16, 2014 with a complete indifference to or in conscious disregard for Plaintiff’s safety.
    See 
    id. bb. Paragraph
    First Subsection (b)
    Paragraph First subsection (b) required the jury to find Dr. Redjal “damaged the liner and
    cup and removed excessive bone during the right hip surgery on April 16, 2014[.]” In addition
    to the aforementioned evidence relevant to this act, see section B.2.a.i., Plaintiff presented the
    23
    following evidence as to whether Dr. Redjal engaged in this conduct with a complete
    indifference to or in conscious disregard for Plaintiff’s safety.
    Dr. Redjal used the power corkscrew device to remove the polyethylene liner from
    Plaintiff’s acetabular cup despite the fact Smith & Nephew provided a tool specifically for that
    purpose, despite the fact Swailes warned Dr. Redjal against using the power corkscrew device
    because of the risk the device would damage the cup’s locking mechanism so it would not be
    able to accept a new liner, and despite the fact Swailes told Dr. Redjal to be careful not to drill
    into the locking mechanism. During the surgery, Dr. Redjal struggled to remove the
    polyethylene liner, damaged the liner by drilling into it several times, and was unable to replace
    it with a new liner because the liner would not lock into the acetabular cup. Dr. King opined Dr.
    Redjal damaged the mechanism that locked the polyethylene liner into the acetabular cup
    through his action of “drilling some sort of corkscrew device into it and yanking it out versus
    using the tool that’s designed to remove it.”
    Because Dr. Redjal disregarded the warning of Swailes to either use the tool provided by
    Smith & Nephew to remove the liner or to be careful not to drill into the locking mechanism, Dr.
    Redjal damaged the locking mechanism on the acetabular cup implanted in Plaintiff’s hip and
    was unable to install a new polyethylene liner. Therefore, he was forced to remove the entire
    acetabular component, taking with it a significant amount of Plaintiff’s bone, in order to install a
    new component with a functional locking mechanism. We find the foregoing evidence
    constituted substantial evidence from which the jury could have found Dr. Redjal damaged the
    liner and cup and removed excessive bone during the right hip surgery on April 16, 2014 with a
    complete indifference to or in conscious disregard for Plaintiff’s safety. See 
    id. 24 cc.
         Paragraph First Subsection (c)
    Paragraph First subsection (c) required the jury to find Dr. Redjal “failed to inform
    Plaintiff Benny Bell of fractures which occurred during the April 16, 2014 surgery[.]” Plaintiff
    presented the following evidence as to whether Dr. Redjal engaged in this conduct with a
    complete indifference to or in conscious disregard for Plaintiff’s safety. When Dr. Redjal was
    subsequently approached by Dr. Schafer about what occurred during Plaintiff’s April 16, 2014
    surgery, Dr. Redjal admitted he “cracked” Plaintiff’s pelvis during the surgery when he tried to
    remove the acetabular cup. Dr. Redjal also admitted during his deposition testimony that the
    postoperative x-rays revealed a fracture line on the pubic ramus. Further, Dr. Redjal
    acknowledged the radiology report generated prior to Plaintiff’s discharge from the hospital,
    which confirmed the broken pubic ramus.
    Notwithstanding Dr. Redjal’s knowledge of Plaintiff’s pelvic fracture, Dr. Redjal did not
    tell Plaintiff he had any broken bones or fractures in his hip prior to Plaintiff’s discharge from
    the hospital. Further, Plaintiff’s discharge summary did not mention the fractures. Even though
    the fractures of Plaintiff’s pelvis occurred during the April 16, 2014 surgery, Plaintiff was not
    told his acetabulum or pelvis was fractured until over eight months later, when he had his
    appointment with Dr. Knight on December 23, 2014. 12 We find the aforementioned evidence
    constituted substantial evidence from which the jury could have found Dr. Redjal failed to
    inform Plaintiff of fractures which occurred during the April 16, 2014 surgery with a complete
    indifference to or in conscious disregard for Plaintiff’s safety. See Section 538.210.5; Dodson,
    12
    Although Plaintiff testified on cross-examination that Dr. Redjal told him after surgery that “he had trouble
    getting something out and something broke,” viewing this evidence in the light most favorable to the submission of
    Instruction Nine, this statement could have pertained to Dr. Redjal telling Plaintiff about how he had trouble getting
    the polyethylene liner out and that the locking mechanism of the acetabular component broke. See 
    Huelskamp, 475 S.W.3d at 173
    ; 
    Fletcher, 296 S.W.3d at 478
    . Under our standard of review, we also disregard Dr. Redjal’s
    testimony that he told Plaintiff about the fractures. See 
    id. 25 491
    S.W.3d at 562; 
    Poage, 523 S.W.3d at 515
    ; 
    Koon, 539 S.W.3d at 769-72
    ; 
    Ploch, 213 S.W.3d at 138
    , 140; 
    Bailey, 210 S.W.3d at 410
    ; 
    Wright, 62 S.W.3d at 526
    .
    dd.     Paragraph First Subsection (d)
    Paragraph First subsection (d) required the jury to find Dr. Redjal “delayed treatment of
    the fractures which occurred during the April 16, 2014 surgery[.]” In addition to the
    aforementioned evidence relevant to this act, see section B.2.a.ii., Plaintiff presented the
    following evidence as to whether Dr. Redjal engaged in this conduct with a complete
    indifference to or in conscious disregard for Plaintiff’s safety.
    Dr. Redjal was aware he fractured Plaintiff’s pubic ramus during surgery, but he believed
    the fractures would not change anything in the postoperative plan because Plaintiff would be
    non-weight bearing and the fractures would heal on their own. However, the medical records
    indicate Dr. Redjal did not follow what he testified would be the appropriate treatment for a
    pelvic fracture because he ordered Plaintiff to bear weight on his right leg after the surgery.
    Despite the fact the radiology report generated prior to Plaintiff’s discharge from the hospital
    said “finding suspicious for comminuted fracture of the right pelvis extending through the right
    acetabular region” and recommended a CT scan for further insight, Dr. Redjal did not order a CT
    scan. In fact, nothing in the postoperative records indicates Dr. Redjal was checking on or
    treating Plaintiff’s pelvic fractures. Dr. McDonald found Dr. Redjal’s records were inaccurate
    because they did not mention Plaintiff’s fractures and repeatedly said the implants were in the
    appropriate position when they were not. It was not until October 23, 2014, over six months
    after surgery, that Dr. Redjal ordered a CT scan on Plaintiff’s pelvis “to see what was going on
    with the bone healing.” By that point, Plaintiff’s acetabular component was dislocated and his
    fractures had worsened.
    26
    We find the preceding evidence constituted substantial evidence from which the jury
    could have found Dr. Redjal delayed treatment of the fractures which occurred during the April
    16, 2014 surgery with a complete indifference to or in conscious disregard for Plaintiff’s safety.
    See 
    id. ee. Paragraph
    First Subsection (e)
    Paragraph First subsection (e) required the jury to find Dr. Redjal “instructed Plaintiff
    Benny Bell to participate in physical therapy and to put weight on the right leg despite persistent
    pain after the April 16, 2014 surgery[.]” Plaintiff presented the following evidence as to whether
    Defendant engaged in that conduct with a complete indifference to or in conscious disregard for
    Plaintiff’s safety.
    In addition to the preceding evidence showing Dr. Redjal knew about the fractures he
    caused during Plaintiff’s April 16, 2014 surgery, failed to inform Plaintiff of them, and failed to
    treat them, there was additional evidence showing Dr. Redjal affirmatively directed Plaintiff to
    undergo physical therapy and to bear weight on his right leg after the surgery despite the fact
    Plaintiff’s condition was worsening. Dr. McDonald testified that in Plaintiff’s condition after the
    surgery, physical therapy and weight bearing would not help Plaintiff and would cause the
    implant to shift further upward. Nonetheless, Dr. Redjal ordered Plaintiff to be thirty pounds
    weight bearing immediately after his surgery despite his knowledge the appropriate treatment for
    a pelvic fracture was for the patient to avoid weight bearing so the fracture could heal on its own.
    Dr. Redjal again ordered Plaintiff to be thirty pounds weight bearing on May 1 and to be full
    weight bearing on May 22, 2014.
    Plaintiff was ordered to begin physical therapy six weeks after the April 16, 2014
    surgery. However, Plaintiff was not successful at physical therapy because he was only able to
    do very little due to his pain. After Dr. Bowen wrote a letter to Dr. Redjal explaining Plaintiff’s
    27
    difficulties doing his exercises, Plaintiff visited Dr. Redjal at which point he was leaning to his
    left side and could not straighten his hips. Dr. Redjal lifted Plaintiff up on top of his right leg
    and told Plaintiff to keep it there. However, when Plaintiff tried to walk, his implant was moving
    up and down inside of his hip with each step he took. Dr. Redjal told Plaintiff to tell Dr. Bowen
    to “stop treating [Plaintiff] like a baby.”
    About two-and-a-half months after surgery, Plaintiff was still telling Dr. Redjal he was
    having difficulty bearing weight on the right leg but Dr. Redjal was reinforcing that he needed to
    put weight on it. On August 28, 2014, Dr. Redjal signed and acknowledged a physical therapy
    note from the day before in which Dr. Bowen said Plaintiff was complaining of pain, clicking,
    and loosening of the right hip when standing or walking; the note also declared “further
    evaluation on the right hip appears needed.” However, it was not until October 23, 2014, over
    six months after surgery, that Dr. Redjal ordered a CT scan of Plaintiff’s pelvis “to see what was
    going on with the bone healing.” By that point, Plaintiff’s acetabular component was dislocated
    and his fractures had worsened. We find this evidence constituted substantial evidence from
    which the jury could have found Dr. Redjal instructed Plaintiff to participate in physical therapy
    and to put weight on the right leg despite persistent pain after the April 16, 2014 surgery with a
    complete indifference to or in conscious disregard for Plaintiff’s safety. See 
    id. iii. Conclusion
    as to Defendant’s Claim that Instruction Nine was
    not Supported by Sufficient Evidence
    In sum, the evidence adduced at trial reveals the following course of events. When
    Plaintiff first complained of persistent but improving groin pain, x-rays, an ultrasound, and a
    bone scan were performed. Although Dr. Redjal planned to get the bone scan and then consider
    whether surgical intervention was necessary, he consciously disregarded the negative results of
    such scan and rushed into an unnecessary, or at the very least, premature surgery on Plaintiff’s
    right hip. During this surgery, Dr. Redjal willfully refused to use the proper tool to remove the
    28
    polyethylene liner and failed to heed the Smith & Nephew representative’s warning not to
    damage the locking mechanism on the acetabular component implanted in Plaintiff’s right hip.
    Due to these failures, Dr. Redjal damaged the polyethylene liner as well as the locking detail in
    the acetabular component, which led to him having to remove Plaintiff’s entire right hip implant,
    removing excessive bone along with it, and fracturing Plaintiff’s pelvis.
    Although Dr. Redjal was conscious of the fact he fractured Plaintiff’s pelvis during
    surgery based on postoperative x-rays, he failed to report the fractures in his medical records,
    failed to properly diagnose them, and failed to inform Plaintiff about them. To make matters
    worse, Dr. Redjal failed to follow what he considered the appropriate treatment for a pelvic
    fracture, failed to follow-up or monitor the healing of the fractures, and consistently encouraged
    Plaintiff to undergo painful physical therapy and bear weight on the right leg. We find this string
    of negligent acts by Dr. Redjal, performed while he was conscious of surrounding circumstances
    and existing conditions indicating that his actions would naturally and probably result in injury to
    Plaintiff, were done with a complete indifference to or in conscious disregard for Plaintiff’s
    health and safety. See 
    Poage, 523 S.W.3d at 520
    ; General Motors 
    Corp., 200 S.W.3d at 24
    ; see
    also 
    Koon, 539 S.W.3d at 773
    .
    Based on the foregoing conduct established by substantial evidence, we conclude the trial
    court did not err in submitting the verdict director Instruction Nine to the jury because Plaintiff
    presented sufficient evidence showing Dr. Redjal acted with a complete indifference to or in
    conscious disregard for Plaintiff’s safety as to each of the five disjunctive acts submitted in
    Paragraph First. Point three is denied.
    29
    3.       Whether Instruction Four was a Roving Commission
    In the second part of Defendant AOS’s fourth point on appeal, Defendant asserts
    Instruction Four Paragraph First subsections (c) and (d) 13 constituted roving commissions
    because the use of the term “fractures” rather than “fracture” in those subsections failed to advise
    the jury of the ultimate facts necessary to conclude Defendant was negligent. We disagree.
    A jury instruction constitutes a “roving commission when it assumes a disputed fact . . .
    that allows the jury to roam freely through the evidence and choose any facts which suited its
    fancy or its perception of logic to impose liability.” Lindquist v. Scott Radiological Group, Inc.,
    
    168 S.W.3d 635
    , 653 (Mo. App. E.D. 2005) (internal quotations omitted). In other words, an
    instruction is a roving commission if it fails to advise the jury which of the defendant’s acts or
    omissions would result in a finding of liability. 
    Huelskamp, 475 S.W.3d at 173
    . Further, an
    instruction may constitute a roving commission when the language is too general. Coon v.
    Dryden, 
    46 S.W.3d 81
    , 93 (Mo. App. W.D. 2001).
    In contrast, an instruction is not a roving commission when the “plaintiff’s theory of the
    case is supported by the evidence and the instruction submits ultimate facts which define for the
    jury the plaintiff’s theory of negligence[.]” 
    Lindquist, 168 S.W.3d at 653
    . We are primarily
    concerned with whether a phrase used in the verdict director was misleading in the context of the
    evidence presented at trial. Klotz v. St. Anthony’s Medical Center, 
    311 S.W.3d 752
    , 767 (Mo.
    banc 2010). If the testimony presented at trial sufficiently explained and thereby gave meaning
    to the language of the verdict director, the instruction is not a roving commission. Id.; see also
    Williams v. Daus, 
    114 S.W.3d 351
    , 370-72 (Mo. App. S.D. banc 2003).
    13
    In the argument portion of its brief, Defendant actually maintains Paragraph First subsections (b) and (d)
    constituted roving commissions for their use of the term “fractures.” We note, however, subsection (b) does not
    include that word but subsection (c) does. We also note, as pointed out by Plaintiff in his brief, Defendant objected
    to subsections (c) and (d) on this basis during the instruction conference. For these reasons, we believe Defendant
    made a clerical error in its brief and meant to argue subsections (c) and (d) constituted roving commissions; we
    gratuitously address its argument as such.
    30
    As an initial matter, we acknowledge that if Paragraph First subsections (c) and (d)
    merely required the jury to find Dr. Redjal “failed to inform Plaintiff Benny Bell of fractures” or
    “delayed treatment of fractures[,]” the instruction would have certainly been too general. See
    Lindquist, 
    168 S.W.3d 635
    ; 
    Coon, 46 S.W.3d at 93
    . However, that is not what the instruction
    submitted in this case. Instead, subsections (c) and (d) used the term “fractures” immediately
    followed by the limiting language “which occurred during the April 16, 2014 surgery.” The
    inclusion of this limiting language, which has been entirely ignored by Defendant on appeal,
    helped adequately define the ultimate facts necessary for the jury to understand Plaintiff’s theory
    of negligence. See 
    Lindquist, 168 S.W.3d at 653
    . Considering the challenged language in the
    context of the rest of those paragraphs, we find the jury would not have been misdirected,
    misled, or confused by the term “fractures” in the way Plaintiff suggests because it was
    instructed to consider only the fractures suffered during the surgery, not the ones incurred after
    surgery. See 
    Huelskamp, 475 S.W.3d at 173
    , 175-76 (viewing challenged language in light of
    the whole instruction); see also SKMDV 
    Holdings, 494 S.W.3d at 553
    (the party challenging an
    instruction has the burden to prove it misdirected, misled, or confused the jury). Accordingly,
    subsections (c) and (d) were not too general, vague, ambiguous, or indefinite. See 
    Huelskamp, 475 S.W.3d at 173
    , 175-76; 
    Lindquist, 168 S.W.3d at 653
    ; see also 
    Coon, 46 S.W.3d at 93
    .
    Moreover, we find Instruction Four did not constitute a roving commission because the
    phrase “fractures which occurred during the April 16, 2014 surgery” was sufficiently explained
    through evidence presented at trial. See 
    Klotz, 311 S.W.3d at 767
    ; 
    Williams, 114 S.W.3d at 370
    -
    72. Inter alia, Dr. McDonald’s testimony and medical records support the conclusion that
    Plaintiff sustained multiple fractures during the April 16, 2014 surgery. First, Dr. McDonald
    testified the only time “all those bones are going to be broken in multiple places” would have
    been during the April 16, 2014 procedure. Dr. McDonald also found the x-rays taken right after
    31
    the April 16, 2014 surgery showed “complete destruction of the acetabulum, fractures of the
    medial wall, [and] fractures through the inferior pubic rami.” Dr. McDonald concluded the
    fractures occurred during the surgery. While the parties and witnesses used the terms “fractures”
    and “fracture” interchangeably to describe what happened to Plaintiff’s pelvis during the April
    16, 2014 surgery, we are required by our standard of review to view the evidence in the light
    most favorable to submission of the instruction and disregard the evidence to the contrary. See
    
    Huelskamp, 475 S.W.3d at 173
    ; 
    Fletcher, 296 S.W.3d at 478
    .
    Thus, because the phrase “fractures which occurred during the April 16, 2014 surgery” as
    used in Paragraph First subsections (c) and (d) of Instruction Four was sufficiently explained and
    thereby given meaning by the evidence presented at trial, we conclude the verdict director did
    not constitute a roving commission. See 
    Klotz, 311 S.W.3d at 767
    and 
    Williams, 114 S.W.3d at 370
    -72 (similarly finding). The second part of Defendant’s fourth point on appeal is denied.
    C.     Whether the Trial Court Erred in Limiting Cross-Examination
    In its fifth point on appeal, Defendant contends the court erred in sua sponte limiting its
    cross-examination of Plaintiff about evidence from his Facebook page and in denying its offer of
    proof on the subject. We disagree.
    1.      Standard of Review and General Law Relating to Defendant’s Claim
    The admission or exclusion of evidence as well as the permissible scope and extent of
    cross-examination are matters that lie within the sound discretion of the trial court. Moore v.
    Missouri Highway and Transportation Commission, 
    527 S.W.3d 215
    , 220 (Mo. App. E.D.
    2017); Stephenson v. Countryside Townhomes, LLC, 
    437 S.W.3d 380
    , 389 (Mo. App. E.D.
    2014). We will not disturb the court’s rulings as to these matters absent a clear abuse of
    discretion, and the appellant bears the burden of establishing such an abuse of discretion
    occurred. 
    Id. An abuse
    of discretion occurs when a trial court’s ruling is “clearly against the
    32
    logic of the circumstances then before the court and is so unreasonable and arbitrary that it
    shocks the sense of justice and indicates a lack of careful, deliberate consideration.” 
    Koelling, 558 S.W.3d at 550
    (quotations omitted).
    Pursuant to our standard of review, this Court presumes the trial court’s ruling is correct,
    as the court has discretion to weigh the probative value of evidence against its prejudicial effect.
    
    Stephenson, 437 S.W.3d at 389
    . Additionally, we review claims of evidentiary error for
    prejudice, not mere error, and thus, we will only reverse if we find the court’s exclusion of
    evidence prejudiced appellant in that it materially affected the merits of the action so as to
    deprive appellant of a fair trial. Peters v. ContiGroup, 
    292 S.W.3d 380
    , 392-93 (Mo. App. W.D.
    2009); Byers v. Cheng, 
    238 S.W.3d 717
    , 726 (Mo. App. E.D. 2007).
    2.      Relevant Facts and Procedural Posture
    Prior to Plaintiff testifying at trial, Defendant AOS’s counsel brought to the trial court’s
    attention two printouts purportedly from Plaintiff’s Facebook page, which were found while
    counsel was preparing to cross-examine Plaintiff. The Facebook posts, allegedly written by
    Plaintiff in April 2017 (five months prior to trial), indicated he had been accepted to undergo hip
    surgery in Germany and he would finally be able to walk again after the surgery was completed.
    Because information related to any future surgery had not been produced during discovery,
    Defendant’s counsel requested a mistrial due to the fact they were not able to ask Plaintiff’s
    expert about whether the future surgery affected her opinions as to Plaintiff’s future condition
    and damages. No other relief was requested.
    Plaintiff’s counsel then explained Plaintiff, desperate to find a doctor to help him walk
    again, had been searching all over the United States and Europe trying to find such a doctor.
    Plaintiff allegedly made contact with a surgeon in Germany, but the surgeon had not examined or
    agreed to treat him. Plaintiff’s counsel said he had not made any arrangements for Plaintiff to
    33
    undergo surgery in Germany. For these reasons and because he was not a retained expert,
    Plaintiff did not disclose the foregoing information to Defendant’s counsel prior to or during the
    trial.
    As part of the preceding discussion, the trial court expressed its opinion that evidence
    from a witness’s Facebook page is “the worst hearsay that you can possibl[y] bring into any
    courtroom.” Having heard the parties’ arguments and one of the relevant Facebook posts, the
    trial court denied Defendant’s request for a mistrial.
    During Defendant’s cross-examination of Plaintiff the following exchange occurred:
    [Defendant’s counsel]:        [ ]. Do you currently have plans to travel to Germany
    to undergo another hip surgery?
    [Plaintiff]:                  I am considering possibilities of it, yes.
    [Defendant’s counsel]:        Okay. Do you recall posting on your Facebook
    account traveling to Germany to have a surgery?
    [Plaintiff]:                  No, I don’t remember that, but I could have.
    The trial court then asked counsel to approach. During a discussion at the bench, the court said it
    would not allow Defendant’s counsel to impeach Plaintiff with the Facebook evidence.
    On subsequent re-direct examination, Plaintiff’s counsel asked Plaintiff the following
    questions over Defendant’s objections, which were overruled by the trial court:
    [Plaintiff’s counsel]:        [Plaintiff], do you right now have any plans or
    arrangements or connection with a surgeon in
    Germany or anybody else –
    ...
    [Plaintiff’s counsel]:        To address your right hip[?]
    ...
    [Plaintiff]:                  I am looking for somebody to help me because I have
    looked all over the [United] States.
    [Plaintiff’s counsel]:        That’s all I asked of you. You’re looking but you
    haven’t found anybody yet?
    34
    [Plaintiff]:                  Yes.
    [Plaintiff’s counsel]:        You still have hope but no plans?
    ...
    [Plaintiff]:                  Yes.
    Defendant’s counsel did not inquire any further into this issue on re-cross examination.
    Later, outside of the presence of the jury, Defendant made its offer of proof as follows in
    relevant part:
    [Defendant’s counsel]:        [ ]. I’m going to hand you a document of a printout
    from what I believe is your Facebook page. Do you
    recognize your Facebook profile picture and name in
    that series of comments?
    [Plaintiff]:                  Yes.
    [Defendant’s counsel]:        Can I just ask you – sorry. Can I just ask you to read
    the comment that was made at – on April 18th at
    12:35?
    ...
    [Plaintiff]:                  Benny Bell, ‘Believe it or not, I am waiting for this
    lawsuit to be over so I can go to Germany and have
    a hip transplant, so that is the story. I have been
    accepted already.’
    [Defendant’s counsel]:        And do you recall making that comment on
    Facebook?
    [Plaintiff]:                  Yes.
    [Defendant’s counsel]:        One more page to show you. The highlighted portion
    there, this comment is dated April 26th at 9:30.
    Could you just read that comment into this record?
    [Plaintiff]:                  ‘It is still the hip. My lawyer’s arranging right now
    for my sixth and last hip surgery. I will soon be
    walking. Yay.’
    [Defendant’s counsel]:        And do you recall making that comment?
    [Plaintiff]:                  No, I don’t.
    ...
    35
    [Defendant’s counsel]:   The comment that you read first into the record that
    you recall making on April 18th, does that refresh
    your recollection as to whether you’ve had any
    conversations with a surgeon in Germany about
    another surgery?
    [Plaintiff]:             What I’ve been doing is the same thing that I’ve been
    doing here in America, is trying to find someone to
    help me. And if you can see at the top there, there’s
    Russian writing. And if you look at my email
    account, it’s mostly European – it’s more Europeans
    and Russian and so on than American. So I wasn’t
    making a public cry, if you will, but I did ask for help
    privately, you know, to help me find someone
    because I was completely turned down here. Now, I
    – the Russian had asked to help me. We were
    inquired in Germany, and I was not accepted.
    [Defendant’s counsel]:   This comment here where you say you’ve been
    accepted already in Germany, were you accepted to
    a hip joint transplant in Germany?
    [Plaintiff]:             No. Listen, the – in trying to get a place in Germany
    – the United States doesn’t have a very good
    relationship at the moment, and so basically what the
    answer that I’ve been getting back is let the
    America[n]s take care of their own mess.
    ...
    [Defendant’s counsel]:   Do you have any documentation in your possession,
    whether it’s letters, emails, any other correspondence
    between you and any European medical provider
    regarding your attempts to arrange medical care for
    your right hip in Europe?
    [Plaintiff]:             I have been corresponding with a Dr. Beckert that
    was looking for someone to – to do a pelvis revision
    on my hip.
    ...
    [Defendant’s counsel]:   So if I’m understanding correctly, while you may
    have been communicating with some European
    medical providers, including Dr. Beckert, about
    potential surgery to repair your right hip, the
    statement that you’ve been accepted already is not
    true; is that your testimony?
    [Plaintiff]:             It’s – it was true, but then they turned me down.
    36
    [Defendant’s counsel]:          So did you receive notification from somebody in
    Europe that you had been accepted for a particular
    surgery?
    [Plaintiff]:                    Well, no. They will not accept me because it’s no
    way for – to give a diagnosis of what I have.
    After hearing Defendant’s offer of proof, the trial court reaffirmed its prior ruling as to the
    Facebook evidence. In Defendant’s motion for new trial, Defendant argued the court
    “erroneously refused to allow Defendant’s counsel to present evidence of Plaintiff’s Facebook
    posts regarding plans to undergo additional hip surgery.” This motion was denied.
    3.      Defendant’s Argument and Analysis
    On appeal, Defendant argues the trial court erred in preventing Defendant’s counsel from
    eliciting more information as to Plaintiff’s alleged plans to undergo a future surgery in Germany.
    As to prejudice, Defendant asserts the topic was relevant to Plaintiff’s claim for future medical
    and non-medical expenses, which were testified to by Plaintiff’s expert life care planner, Nurse
    Klosterman. Because Nurse Klosterman’s testimony was presented prior to Plaintiff’s, the
    Facebook posts were not discovered prior to her testimony and Defendant did not address the
    matter during her cross-examination. Nurse Klosterman testified as to a cost projection for
    Plaintiff’s future expenses based on the assumption there were no surgical options available to
    improve Plaintiff’s condition, but according to Defendant, if Plaintiff were to undergo “a surgical
    procedure that allows him to ambulate without assistance and resolves even some of his
    complaints, the accommodations recommended by [Nurse] Klosterman [and included in her cost
    projection] would be unnecessary.”
    Initially, we emphasize that the trial court did not wholly prevent Defendant from
    inquiring into the subject of Plaintiff’s plans to seek additional treatment in Europe or from
    asking about Plaintiff’s alleged Facebook posts, which would have been erroneous. See, e.g.,
    37
    
    Koelling, 558 S.W.3d at 552
    (the trial court may not “rule off limits an entire area of inquiry
    which has a bearing upon the witness’s veracity”); Merk v. St. Louis Public Service Co., 
    299 S.W.2d 446
    , 449 (Mo. 1957) and Reno v. Wakeman, 
    869 S.W.2d 219
    , 224 (Mo. App. S.D. 1993)
    (the court does not have discretion to entirely prohibit any cross-examination on a proper
    subject). Rather, the court allowed Defendant to ask the two questions and held Defendant to the
    answers elicited. The trial court also allowed Plaintiff’s counsel to ask three questions on the
    topic of Plaintiff’s search for a new surgeon. In limiting any further inquiry as to the Facebook
    posts themselves, the court reasonably exercised its discretion to exclude evidence it considered
    to be hearsay that was more prejudicial than probative. See 
    Stephenson, 437 S.W.3d at 389
    ; see
    also 
    Byers, 238 S.W.3d at 726
    (in reviewing the exclusion of evidence, we are concerned with
    whether the trial court abused its discretion, not whether the evidence was admissible). Upon
    reviewing the relevant portions of the record, we cannot say Defendant satisfied its burden to
    demonstrate the trial court clearly abused its discretion in so ruling. See 
    Moore, 527 S.W.3d at 220
    ; 
    Stephenson, 437 S.W.3d at 389
    ; see also 
    Koelling, 558 S.W.3d at 550
    .
    Additionally, we find Defendant has failed to establish sufficient prejudice that would
    require us to disturb the trial court’s discretion in controlling the permissible scope and extent of
    cross-examination. See 
    ContiGroup, 292 S.W.3d at 392-93
    ; 
    Byers, 238 S.W.3d at 726
    ; see also
    
    Moore, 527 S.W.3d at 220
    ; 
    Stephenson, 437 S.W.3d at 389
    . As previously stated, Defendant’s
    argument as to prejudice is that the future surgery would change cost projections related to
    Plaintiff’s future medical and non-medical expenses. However, Plaintiff’s testimony before the
    jury as well as the offer of proof both show that at the time of trial, there was no actual prospect
    of a future surgery.
    Moreover, although Defendant’s counsel did not have the specific Facebook evidence
    about Plaintiff’s potential future surgery until they were preparing to cross-examine Plaintiff,
    38
    counsel certainly knew a hypothetical surgery would possibly be available to Plaintiff prior to
    their examination of Nurse Klosterman. Specifically, Dr. King testified a “salvage-type” of
    procedure could have been available to possibly improve the condition of Plaintiff’s hip. Dr.
    King explained that in this extreme type of surgery, a pelvic reconstruction specialist would
    insert a new metal structural cage and attach it to remaining bone as an attempt to stabilize
    Plaintiff’s hips. Even in light of Dr. King’s testimony, which was presented prior to Nurse
    Klosterman’s testimony, Defendant did not challenge the fact that Nurse Klosterman’s findings
    and report were based on the assumption there were no surgical options available to improve
    Plaintiff’s condition. Because Defendant had the opportunity to ask Nurse Klosterman about
    how a future surgery would affect her cost projections, Defendant’s argument he was prejudiced
    by being deprived of this opportunity is without merit.
    Based on the foregoing, we find the trial court’s rulings relating to Defendant’s cross-
    examination of Plaintiff did not prejudice Defendant by materially affecting the merits of the
    action or by depriving Defendant of a fair trial. See 
    ContiGroup, 292 S.W.3d at 392-93
    ; 
    Byers, 238 S.W.3d at 726
    . Therefore, the court did not err in sua sponte limiting Defendant’s cross-
    examination of Plaintiff about evidence from his Facebook page and in denying its offer of proof
    on the subject. Point five is denied.
    D.     Whether the Trial Court Erred Regarding Defendant’s Requested Reduction
    In Defendant’s sixth and final point on appeal, it alleges trial court error regarding its
    requested reduction under section 537.060. Specifically, Defendant argues the court erred in
    denying its post-trial motion to amend the judgment to account for a reduction because it
    properly pleaded the affirmative defense of statutory reduction and renewed its request
    throughout the trial. Where, as in this case, no factual disputes about the prior settlement
    payments were submitted to the jury and the trial court ruled on the issue as a matter of law, our
    39
    standard of review is de novo. See J.J.’s Bar and Grill, Inc. v. Time Warner Cable Midwest,
    LLC, 
    539 S.W.3d 849
    , 875 (Mo. App. W.D. 2017); Gibson v. City of St. Louis, 
    349 S.W.3d 460
    ,
    465 (Mo App. E.D. 2011).
    Section 537.060 provides a judgment entered against a defendant may be reduced by the
    amounts recovered by a plaintiff pursuant to settlement agreements entered into between the
    plaintiff and joint tortfeasors. Sanders v. Ahmed, 
    364 S.W.3d 195
    , 211 (Mo. banc 2012). The
    plain language of the statute declares the defense of reduction under section 537.060 only applies
    between joint tortfeasors who are “liable in tort for the same injury.” 
    Sanders, 364 S.W.3d at 211-12
    and Stevenson v. Aquila Foreign Qualifications Corp., 
    326 S.W.3d 920
    , 925 (Mo. App.
    W.D. 2010) (quoting section 537.060) (emphasis omitted). “Joint and several liability occurs
    where the concurrent or successive negligent acts or omissions of two or more persons, although
    acting independently of each other, are, in combination, the direct and proximate cause of a
    single injury to a third person, and it is impossible to determine in what proportion each
    contributed to the injury.” 
    Sanders, 364 S.W.3d at 212
    (quotations omitted). In other words,
    joint tortfeasors are two or more defendants whose alleged tortious conduct causes an indivisible
    injury to the plaintiff within the same transaction of facts. 
    Stevenson, 326 S.W.3d at 925
    . An
    indivisible injury occurring in a single transaction of facts is readily distinguishable from
    instances in which one injury occurs and the negligence of an independent tortfeasor aggravates
    the initial injury. 
    Sanders, 364 S.W.3d at 212
    .
    Procedurally, Missouri Courts have found a mere claim by the plaintiff that multiple
    independent tortfeasors caused a plaintiff’s injury is not sufficient to trigger the application of
    section 537.060 when the plaintiff settles with one of the independent tortfeasors. 
    Stevenson, 326 S.W.3d at 928
    . In some instances, though, the plaintiff’s pleadings and an ensuing
    settlement may give rise to a rebuttable presumption of joint liability for purposes of the
    40
    statutory reduction. 
    Sanders, 364 S.W.3d at 213
    ; J.J.’s Bar and 
    Grill, 539 S.W.3d at 876
    . Once
    this presumption arises, the plaintiff must then show the injuries are divisible. 
    Id. However, where
    the plaintiff’s pleadings are not sufficient to establish joint liability, the burden of proving
    that element remains on the non-settling tortfeasor seeking the reduction. See 
    Sanders, 326 S.W.3d at 212-13
    ; 
    Stevenson, 326 S.W.3d at 928
    -30.
    In response to Plaintiff’s petition asserting his six claims against the four original
    defendants, 14 Defendant AOS filed its answer and affirmative defenses alleging, inter alia, its
    right to a reduction under section 537.060 based on the fact Plaintiff had entered into confidential
    settlement agreements with Smith & Nephew and McDonald’s. Defendant subsequently
    provided the trial court with the stipulated settlement amounts. After the jury returned its verdict
    in favor of Plaintiff, Defendant filed a motion to amend the judgment to account for a reduction.
    Plaintiff then filed a response asserting Defendant was not a joint tortfeasor with Smith &
    Nephew and McDonald’s because there was no indivisible injury. Because Defendant’s motion
    to amend was not ruled on by the court within ninety days, it was denied and deemed final for
    purposes of appeal. See 
    Poage, 523 S.W.3d at 507
    ; see also Missouri Supreme Court Rules
    78.06 and 81.05(a)(2)(A) (2017).
    Based on our review of the petition, we find the pleadings in this case were not sufficient
    to give rise to the rebuttable presumption of joint liability. See 
    Sanders, 364 S.W.3d at 213
    ;
    J.J.’s Bar and 
    Grill, 539 S.W.3d at 876
    . While it would not have been sufficient in and of itself
    to satisfy Defendant’s burden, we note Plaintiff did not plead that the four defendants were
    jointly and severally liable for his injuries. See 
    Stevenson, 326 S.W.3d at 928
    . Instead, Plaintiff
    pleaded a separate count against Smith & Nephew and McDonald’s, both of which included a
    14
    As previously stated, Plaintiff asserted one claim of products liability against Smith & Nephew, one claim of
    premises liability against McDonald’s, three claims of medical malpractice against Defendant AOS and the
    underlying defendant Dr. Redjal, and one claim of negligent supervision, retention, and referral against Defendant
    AOS.
    41
    prayer for relief independent of the claims brought against Defendant and Dr. Redjal. Further,
    the petition alleges multiple independent tortious acts that did not occur within the same
    transaction of facts. See 
    id. at 926.
    Specifically, Plaintiff alleged facts showing the hip
    replacement components installed in his right hip on January 2, 2013 were defectively designed,
    manufactured, and sold by Smith & Nephew to support his products liability claim; Plaintiff set
    forth facts occurring on a trip to McDonald’s on November 21, 2013 in which Plaintiff’s crutch
    slipped on wet floor causing discomfort in his hips, low back, and pelvic area to support his
    premises liability claim; and Plaintiff alleged facts related to Defendant and Dr. Redjal’s
    treatment and care of Plaintiff from August 2013 through November 2014 to support his
    remaining claims.
    Notably, the petition includes allegations supporting the claims against the settling
    defendants (Smith & Nephew and McDonald’s) that conflict with some of the allegations against
    Defendant so that a jury would not be able to find them jointly liable. See 
    id. at 928
    (finding that
    under the facts pled, the plaintiff would not have been able to secure a joint judgment against the
    co-defendants). For example, Plaintiff alleged in his claim against Smith & Nephew that he
    underwent a total right hip replacement surgery on or about January 2, 2013 in which Smith &
    Nephew components were implanted into his right hip. Plaintiff further alleged in this claim that
    Dr. Redjal performed the April 16, 2014 surgery because one or more of the Smith & Nephew
    hip replacement components were defective and unreasonably dangerous at the time they were
    sold and implanted into Plaintiff’s hip in January 2013. In contrast, one of the allegations set
    forth against Defendant and Dr. Redjal was that they failed to act in accordance with the multiple
    x-rays of Plaintiff’s hip performed prior to the April 16, 2014 surgery showing the Smith &
    Nephew hip replacement components were in good position and were not loose. As an
    additional example, the pain in Plaintiff’s hip, low back, and pelvic area allegedly caused by
    42
    McDonald’s negligence could have supported Dr. Redjal’s decision to perform the April 16,
    2014 surgery, a fact which would have hindered Plaintiff’s case against Defendant and the
    doctor.
    On appeal, Defendant solely relies on Brown v. Kneibert Clinic, a rare case in which this
    Court found two independent torts occurred in a single transaction of facts and caused an
    indivisible injury to the plaintiff. 
    871 S.W.2d 2
    , 2-4 (Mo. App. E.D. 1993); see also 
    Gibson, 349 S.W.3d at 466
    (similarly describing Kneibert Clinic). In Kneibert Clinic, a surgeon employed by
    the defendant medical clinic performed a procedure on the plaintiff during which a medical
    device broke causing two perforations in the plaintiff’s intestine. Kneibert 
    Clinic, 871 S.W.3d at 3
    . The surgeon subsequently repaired one perforation but failed to discover and repair the
    second, causing additional injury to the plaintiff. 
    Id. The plaintiff
    subsequently filed one lawsuit
    alleging a products liability claim against the medical device manufacturer and a medical
    malpractice claim against the clinic. 
    Id. After the
    plaintiff settled with the manufacturer, the
    clinic sought a reduction under section 537.060 and the trial court reduced the judgment
    accordingly. 
    Id. We affirmed,
    holding that although the manufacturer and the clinic “performed
    two independent tortious acts, the result of both of these acts was one injury to the plaintiff, and
    plaintiff was only entitled to recover once for the injury resulting from both acts.” 
    Gibson, 349 S.W.3d at 466
    (citing Kneibert 
    Clinic, 871 S.W.2d at 3
    ) (internal quotations omitted).
    As subsequently clarified by Courts discussing this issue, Kneibert Clinic does not
    deviate from the general rule that the “same injury” for purposes of section 537.060 is an
    indivisible injury caused by a single transaction of facts. See 
    Gibson, 349 S.W.3d at 467
    ;
    
    Stevenson, 326 S.W.3d at 926
    . Rather, Kneibert Clinic did in fact involve a “same injury”
    because the separate tortious acts of the manufacturer and the clinic converged in the same
    transaction of facts to cause one indivisible injury – a perforated intestine. See Kneibert Clinic,
    
    43 871 S.W.2d at 3
    ; see also 
    Gibson, 349 S.W.3d at 466
    ; 
    Stevenson, 326 S.W.3d at 926
    . For this
    reason, the two defendants were legally found to be joint tortfeasors. See 
    id. Here, unlike
    in Kneibert Clinic, one or both of the settling tortfeasors’ independent acts
    of negligence may have caused Plaintiff an initial injury, but it was the medical malpractice of
    Defendant AOS and Dr. Redjal that caused Plaintiff’s catastrophic injuries giving rise to this
    appeal. We find the case law supports the conclusion Defendant and Dr. Redjal’s tortious
    conduct was an aggravation of Plaintiff’s original injury. See 
    Gibson, 349 S.W.3d at 466
    -67;
    
    Stevenson, 326 S.W.3d at 924-28
    ; see also 
    Sanders, 364 S.W.3d at 212
    .
    When separate torts result in both an original injury and an aggravation thereof,
    such as when a physician negligently treats the original injury, the successive
    tortfeasor, e.g., the physician, is not liable for the underlying injury and is only
    responsible for the harm flowing from his own negligence. An original tortfeasor
    may be liable for any additional damages resulting from the negligent treatment of
    an injury by a physician, but the physician, who has played no part in causing the
    original injury, will be liable only for the additional harm caused by his or her own
    negligence in treatment. An initial tortfeasor and a subsequently negligent
    physician act independently of each other; their several wrongs were committed at
    different times; and the tort of each, being several when committed did not become
    joint merely because its consequences united with the consequences of another.
    
    Gibson, 349 S.W.3d at 467
    (internal quotations and citations omitted). Simply put, Defendant
    and Dr. Redjal were not joint tortfeasors with Smith & Nephew and McDonald’s. See 
    id. at 464-
    68 and 
    Stevenson, 326 S.W.3d at 924-28
    (similarly finding); see also 
    Sanders, 364 S.W.3d at 212
    (joint and several liability is distinguishable from a case in which an injury occurs and a
    third party’s negligent act aggravates the initial injury).
    As the pleadings in this matter did not give rise to the rebuttable presumption of joint
    liability, Defendant had the burden to prove joint liability existed. See 
    Sanders, 326 S.W.3d at 212-13
    ; 
    Stevenson, 326 S.W.3d at 928
    -30. For the foregoing reasons, we conclude Defendant
    has not and cannot satisfy its burden in this case. Accordingly, the trial court did not err in
    44
    denying Defendant’s post-trial motion to amend the judgment to account for Defendant’s
    requested reduction. Point six is denied.
    III.    CONCLUSION
    The trial court’s judgment in favor of Plaintiff is affirmed.
    ROBERT M. CLAYTON III, Judge
    Roy L. Richter, P.J., and
    Angela T. Quigless, J., concur.
    45