Rodriguez v. Lasting Hope Recovery Ctr. , 308 Neb. 538 ( 2021 )


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    www.nebraska.gov/apps-courts-epub/
    03/26/2021 08:08 AM CDT
    - 538 -
    Nebraska Supreme Court Advance Sheets
    308 Nebraska Reports
    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    Angela Rodriguez and Adan Rodriguez, Special
    Administrators of the Estate of Melissa Rodriguez,
    appellants, v. Lasting Hope Recovery Center
    of Catholic Health Initiatives, formerly
    known as Lasting Hope Recovery
    Center of Alegent Creighton
    Health, et al., appellees.
    ___ N.W.2d ___
    Filed March 5, 2021.     No. S-19-1116.
    1. Employer and Employee: Negligence: Liability. Under the doctrine
    of respondeat superior, an employer may be held vicariously liable
    for the negligence of an employee while acting within the scope of
    employment.
    2. Summary Judgment: Appeal and Error. An appellate court affirms a
    lower court’s grant of summary judgment if the pleadings and admitted
    evidence show that there is no genuine issue as to any material facts or
    as to the ultimate inferences that may be drawn from the facts and that
    the moving party is entitled to judgment as a matter of law.
    3. ____: ____. An appellate court reviews the district court’s grant of sum-
    mary judgment de novo, viewing the record in the light most favorable
    to the nonmoving party and drawing all reasonable inferences in that
    party’s favor.
    4. Negligence. The question whether a legal duty exists for actionable
    negligence is a question of law dependent on the facts in a particu-
    lar situation.
    5. Judgments: Appeal and Error. In reviewing questions of law, an
    appellate court has an obligation to reach conclusions independently of
    those reached by the trial court.
    6. Trial: Evidence: Appeal and Error. An appellate court reviews the
    factual findings underpinning a trial court’s evidentiary rulings for clear
    error and reviews de novo the court’s ultimate determination to admit
    evidence over an objection.
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    Nebraska Supreme Court Advance Sheets
    308 Nebraska Reports
    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    7. Negligence: Damages: Proof. To recover in a negligence action, a
    plaintiff must show that the defendant owed a duty toward the plaintiff,
    breached that duty, and caused damages.
    8. Negligence. The threshold issue in any negligence action is whether the
    defendant owed a duty to the plaintiff.
    9. ____. An actor whose conduct has not created a risk of physical harm
    to another has no duty of care to the other unless an affirmative duty
    created by another circumstance is applicable or a special relation exists
    between the actor and the third person, which imposes a duty upon the
    actor to control the third person’s conduct.
    10. ____. The special relationship between a custodian and persons in its
    custody gives rise to an affirmative duty of care by the custodian to
    third persons.
    11. ____. A custodial relationship need not be full-time physical custody
    giving the custodian complete control over the other person. But to the
    extent that there is some custody and control of a person posing dangers
    to others, the custodian has an affirmative duty to exercise reasonable
    care, consistent with the extent of custody and control.
    12. Negligence: Physician and Patient: Mental Health: Liability. A psy-
    chiatrist is liable for failing to warn of and protect from a patient’s
    threatened violent behavior, or failing to predict and warn of and protect
    from a patient’s violent behavior, when the patient has communicated
    to the psychiatrist a serious threat of physical violence against himself,
    herself, or a reasonably identifiable victim or victims. The duty to
    warn of or to take reasonable precautions to provide protection from
    violent behavior shall arise only under those limited circumstances and
    shall be discharged by the psychiatrist if reasonable efforts are made to
    communicate the threat to the victim or victims and to a law enforce-
    ment agency.
    13. Statutes: Judicial Construction: Legislature: Intent: Presumptions.
    Where a statute has been judicially construed and that construction has
    not evoked an amendment, it will be presumed that the Legislature has
    acquiesced in the court’s determination of the Legislature’s intent.
    14. Negligence: Mental Health. A duty to warn and protect arises only if
    the information communicated to the psychiatrist leads the psychiatrist
    to believe that his or her patient poses a serious risk of grave bodily
    injury to another.
    15. ____: ____. A duty to warn and protect arises only if a serious threat of
    physical harm was actually communicated to the psychiatrist.
    16. Courts: Legislature. A court should proceed cautiously when its deci-
    sion would undermine a policy judgment of the Legislature.
    17. Negligence: Mental Health. For a duty to warn or protect to arise,
    the requirement of actual communication means that the patient must
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    308 Nebraska Reports
    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    verbally express or convey to the psychiatrist his or her prediction to
    commit physical violence against himself, herself, or a reasonably iden-
    tifiable victim or victims.
    18.   Summary Judgment. In the summary judgment context, a fact is mate-
    rial only if it would affect the outcome of the case.
    19.   Negligence. The common law’s ordinary duty of care requires actors to
    exercise reasonable care.
    20.   ____. Whether an actor exercised reasonable care depends on whether
    a reasonable person of ordinary prudence would have done more in the
    same or similar circumstances.
    21.   Negligence: Juries. Where reasonable minds can disagree about whether
    reasonable care was followed, the question is generally left to the jury.
    22.   Negligence: Liability: Public Policy. When an articulated counter-
    vailing principle or policy warrants denying or limiting liability in a
    particular class of cases, a court may decide that, as a matter of law,
    the defendant has no duty or that the ordinary duty of reasonable care
    requires modification.
    23.   Judgments: Negligence: Public Policy. A determination of no duty as
    a matter of law should be grounded in public policy and based upon
    legislative facts, not adjudicative facts arising out of the particular cir-
    cumstances of the case.
    24.   Judgments: Negligence: Liability: Public Policy. A determination of
    no duty as a matter of law should be explained and justified based on
    articulated policies or principles that justify exempting the actor from
    liability or modifying the ordinary duty of reasonable care.
    25.   Negligence: Physician and Patient: Mental Health. Psychiatrists owe
    no duty as a matter of law to third parties for physical injuries caused
    by a patient who has not actually communicated a threat of physical
    violence. And once such an actual communication has taken place, any
    duty to warn or protect on the part of the psychiatrist can be discharged
    by reasonable efforts to communicate the threat to the victim and a law
    enforcement agency.
    26.   Trial: Evidence: Appeal and Error. The admission or exclusion of
    evidence is not reversible error unless it unfairly prejudiced a substantial
    right of the complaining party.
    27.   ____: ____: ____. Erroneous exclusion of evidence does not require
    reversal if the evidence would have been cumulative and other relevant
    evidence, properly admitted, supports the trial court’s finding.
    Appeal from the District Court for Douglas County: James
    T. Gleason, Judge. Affirmed.
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    308 Nebraska Reports
    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    Brian E. Jorde, of Domina Law Group, P.C., L.L.O., for
    appellants.
    Cathy S. Trent-Vilim, Denise M. Destache, and Patrick G.
    Vipond, of Lamson, Dugan & Murray, L.L.P., for appellee
    Lasting Hope Recovery Center of Catholic Health Initiatives.
    Mary M. Schott and Joseph S. Daly, of Evans & Dixon,
    L.L.C., for appellee UNMC Physicians.
    Heavican, C.J., Miller-Lerman, Cassel, Stacy, Papik,
    and Freudenberg, JJ.
    Heavican, C.J.
    I. INTRODUCTION
    This is a tort action brought to recover damages for the
    wrongful death of Melissa Rodriguez, who was killed by her
    ex-boyfriend, Mikael Loyd. Loyd was a patient for 6 days at
    Lasting Hope Recovery Center (Lasting Hope), a mental health
    care facility in Omaha, Nebraska, where he was treated by
    Dr. Jeana Benton, a psychiatrist employed by the University
    of Nebraska Medical Center Physicians (UNMC Physicians).
    Hours after Lasting Hope had discharged Loyd pursuant to
    Benton’s order, Loyd strangled Melissa to death.
    As special administrators for Melissa’s estate, her parents,
    Angela Rodriguez and Adan Rodriguez (Special Administrators),
    brought a wrongful death action against Lasting Hope and
    UNMC Physicians for failing to warn and protect Melissa from
    Loyd. The district court granted summary judgment to Lasting
    Hope and UNMC Physicians on the basis that they owed no
    legal duty to Melissa. We affirm.
    II. FACTUAL BACKGROUND
    On August 8, 2013, Loyd visited the Omaha Police
    Department (OPD) headquarters, stating that he wished to
    share information about his father’s 1995 murder. He told
    OPD officers that he blamed his mother for the murder and
    that he sought OPD’s help to have her killed in retaliation.
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    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    The OPD officers called Loyd’s grandmother, who explained
    that Loyd was mentally ill and “not on his medications.”
    Loyd’s grandmother confirmed that in the past, she had also
    heard Loyd threaten to kill his mother. The OPD officers next
    called Loyd’s mother, who lived in North Carolina, to warn her
    of Loyd’s threats.
    After a brief investigation, the OPD officers discovered an
    outstanding arrest warrant for Loyd, attributable to an alleged
    June 11, 2013, misdemeanor assault and battery of his girl-
    friend, Melissa. The OPD officers acknowledged that they
    could arrest Loyd pursuant to the warrant, but they expressed
    concern that if Loyd then made bond before he could obtain
    mental health treatment, he would again present a serious
    danger to the public. The OPD officers instead placed Loyd
    under emergency protective custody and transported him to
    Lasting Hope. 1
    At Lasting Hope, Benton was assigned as Loyd’s treating
    psychiatrist. During an initial evaluation on August 9, 2013,
    Benton noted that Loyd “denies symptoms consistent with
    bipolar disorder . . . but appears extremely paranoid, distract-
    ible and at times appears to be responding to internal stimuli.”
    She determined that Loyd was “very paranoid, homicidal and
    delusional and [a] risk for harm to others were he to be outside
    the hospital environment at this time.” Benton recommended 5
    to 7 days’ “hospitalization for stabilization and safety.”
    Loyd remained at Lasting Hope from August 8 to 14, 2013.
    During this time, he called his mother and Melissa using
    Lasting Hope’s landline telephone. Melissa twice visited Loyd
    at Lasting Hope. During her second visit, Melissa told Loyd
    that she no longer wished to be his girlfriend.
    Based on statements that Benton had heard in which Loyd
    had specifically expressed a desire to kill his mother, Lasting
    Hope staff called Loyd’s mother and warned her of his threats.
    But because Loyd had never expressed a similar threat against
    Melissa, she was not warned.
    1
    See 
    Neb. Rev. Stat. § 71-919
     (Reissue 2018).
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    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    On August 12, 2013, Loyd dialed the 911 emergency dis-
    patch service to turn himself in to police on his outstanding
    arrest warrant. OPD officers arrived at Lasting Hope that
    afternoon. Lasting Hope staff informed the OPD officers that
    Benton wished to continue to hold Loyd for further mental
    health evaluation. Apparently accepting Benton’s determination
    that Loyd still needed mental health treatment at Lasting Hope,
    the OPD officers did not arrest Loyd at that time.
    On August 14, 2013, Benton evaluated Loyd and determined
    that he was ready to be discharged. According to Benton, Loyd
    had been compliant with his medication for 6 days. Although
    still delusional about his father’s murder, Loyd no longer
    expressed an intent to harm his mother. He reported to Benton
    that he “had a good conversation” with his mother over the
    telephone, and he committed to “not act to harm anyone.”
    Benton concluded that Loyd was no longer a risk to himself or
    to others. After providing Loyd with a supply of medication and
    scheduling a followup appointment at Lasting Hope, Benton
    discharged Loyd at 1:40 p.m. Neither Benton nor Lasting Hope
    staff notified OPD or Melissa of Loyd’s discharge.
    After Loyd was discharged, he placed numerous calls to
    Melissa from his cell phone. Melissa was at home with her
    sister, who urged Melissa to ignore Loyd’s calls. But even­
    tually Melissa answered one. Loyd told her that he had been
    discharged from Lasting Hope. Melissa agreed to meet Loyd
    that evening at a park.
    Melissa’s body was discovered the next day, August 15,
    2013. Investigators concluded that Loyd had strangled Melissa.
    Loyd had returned to Lasting Hope, and OPD officers arrested
    him there. Loyd was initially prosecuted for murdering
    Melissa, but in September 2013, he was found not competent
    to stand trial.
    The present action was initiated by the Special Administrators,
    Melissa’s parents, in the district court for Douglas County.
    According to the amended complaint, parties representing two
    groups had negligently caused Melissa’s wrongful death.
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    Nebraska Supreme Court Advance Sheets
    308 Nebraska Reports
    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    [1] The first group, collectively referred to as the “UNMC
    Defendants,” consisted of UNMC Physicians; the Noll
    Company; and two employees of UNMC Physicians, “Jane Doe
    Physician #1” and “Jane Doe Nurse #1.” The second group,
    collectively referred to as the “Lasting Hope Defendants,”
    consisted of Catholic Health Initiatives, doing business as CHI
    Health; Alegent Health-Bergan Mercy Health System, doing
    business as Lasting Hope; and two employees of Lasting Hope,
    “John Doe #1” and “John Doe #2.” We note that certain of
    these entities were grouped together pursuant to the doctrine
    of respondeat superior, which allows an employer to be held
    vicariously liable for the negligence of an employee while act-
    ing within the scope of employment. 2
    The defendants filed motions to dismiss for failing to state
    a claim upon which relief can be granted. 3 After a hearing, the
    district court concluded that the issue raised by the motions
    to dismiss was whether the defendants owed Melissa a duty.
    Holding that the Special Administrators had failed to allege
    sufficient facts to show that the UNMC Defendants or the
    Lasting Hope Defendants owed Melissa any duty, the district
    court ordered the complaint dismissed.
    We reviewed the Special Administrators’ first appeal in
    Rodriguez v. Catholic Health Initiatives (Rodriguez I ) and
    reversed the decision of the district court and remanded the
    cause. 4 The Special Administrators’ claim against the UNMC
    Defendants was sufficient to survive a motion to dismiss based
    on allegations, which we accepted as true, that Loyd had “‘suf-
    ficiently communicated’” to Benton that he intended to kill
    Melissa. 5 And with respect to the Lasting Hope Defendants,
    the Special Administrators had “alleged sufficient facts . . . ,
    2
    See Cruz v. Lopez, 
    301 Neb. 531
    , 
    919 N.W.2d 479
     (2018).
    3
    See Neb. Ct. R. Pldg. § 6-1112(b)(6).
    4
    Rodriguez v. Catholic Health Initiatives, 
    297 Neb. 1
    , 
    899 N.W.2d 227
    (2017).
    5
    
    Id. at 15
    , 899 N.W.2d at 237.
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    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
    Cite as 
    308 Neb. 538
    which we accept[ed] as true, to show that Loyd was in Lasting
    Hope’s custody and that therefore, such facts g[a]ve rise to
    a duty.” 6
    After our remand and some discovery, the defendants moved
    for summary judgment. A hearing on defendants’ motions was
    set for Monday, October 7, 2019. On Sunday, the day before
    the hearing, the Special Administrators served on the defend­
    ants six affidavits, 526 pages in all, in opposition to summary
    judgment. The defendants objected that these affidavits were
    untimely served, lacked proper foundation, and consisted of
    hearsay. After taking the matter under advisement, the district
    court ultimately sustained the defendants’ objections, writing
    in its order that “[t]he material objected to has been ignored by
    the [c]ourt in its determination herein.”
    The district court then granted the defendants’ motions for
    summary judgment, concluding that the undisputed evidence
    showed that none of the defendants owed any duty to Melissa.
    According to the district court, the UNMC Defendants owed
    no duty to warn Melissa because Loyd had never actually
    communicated to Benton that he intended to harm Melissa.
    And the Lasting Hope Defendants owed no duty to protect
    Melissa because by the time of her murder, Loyd had already
    been discharged from Lasting Hope pursuant to Benton’s
    recommendation.
    The Special Administrators filed a timely appeal. 7
    III. ASSIGNMENTS OF ERROR
    The Special Administrators assign, consolidated and restated,
    that the district court erred by (1) granting summary judgment
    to the UNMC Defendants and the Lasting Hope Defendants
    on the basis that they did not owe a duty to warn and protect
    Melissa from Loyd and (2) excluding six affidavits in opposi-
    tion to the defendants’ motions for summary judgment.
    6
    Id. at 12, 899 N.W.2d at 236.
    7
    See 
    Neb. Rev. Stat. § 25-1912
     (Cum. Supp. 2020).
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    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
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    308 Neb. 538
    IV. STANDARD OF REVIEW
    [2,3] An appellate court affirms a lower court’s grant of
    summary judgment if the pleadings and admitted evidence
    show that there is no genuine issue as to any material facts or
    as to the ultimate inferences that may be drawn from the facts
    and that the moving party is entitled to judgment as a matter
    of law. 8 An appellate court reviews the district court’s grant of
    summary judgment de novo, viewing the record in the light
    most favorable to the nonmoving party and drawing all reason-
    able inferences in that party’s favor. 9
    [4,5] The question whether a legal duty exists for actionable
    negligence is a question of law dependent on the facts in a par-
    ticular situation. 10 In reviewing questions of law, an appellate
    court has an obligation to reach conclusions independently of
    those reached by the trial court. 11
    [6] An appellate court reviews the factual findings under-
    pinning a trial court’s evidentiary rulings for clear error and
    reviews de novo the court’s ultimate determination to admit
    evidence over an objection. 12
    V. ANALYSIS
    As we have stated before, when confronted by an unimagi-
    nable loss such as what the Special Administrators have expe-
    rienced with respect to the life of Melissa, their daughter, it is
    natural to ask, “What more could have been done?” 13 But tort
    law requires that we begin with a different question: whether a
    legal duty existed to do anything more. 14
    8
    Lassalle v. State, 
    307 Neb. 221
    , 
    948 N.W.2d 725
     (2020).
    9
    
    Id.
    10
    Sundermann v. Hy-Vee, 
    306 Neb. 749
    , 
    947 N.W.2d 492
     (2020).
    11
    See 
    id.
    12
    See AVG Partners I v. Genesis Health Clubs, 
    307 Neb. 47
    , 
    948 N.W.2d 212
     (2020).
    13
    Bell v. Grow With Me Childcare & Preschool, 
    299 Neb. 136
    , 146, 
    907 N.W.2d 705
    , 713 (2018).
    14
    See 
    id.
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    RODRIGUEZ v. LASTING HOPE RECOVERY CTR.
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    1. Duty
    [7,8] To recover in a negligence action, a plaintiff must
    show that the defendant owed a duty to the plaintiff, breached
    that duty, and caused damages as a result. 15 The threshold
    issue in any negligence action, and the question presented
    here, is whether the defendants owed a duty to the plaintiffs. 16
    Specifically at issue is the UNMC Defendants’ and the Lasting
    Hope Defendants’ duty to warn and protect Melissa. The
    Special Administrators allege that the defendants’ breach of
    this duty proximately caused Melissa’s wrongful death.
    Until 2012, when discussing a defendant’s duty to control
    the actions of a third party, we relied on the Restatement
    (Second) of Torts, 17 which provides that there is generally no
    duty to control the conduct of a third person to prevent him
    or her from causing physical harm to another unless “‘a spe-
    cial relationship exists between the actor and the third person
    which imposes a duty upon the actor to control the third per-
    son’s conduct.’” 18 For example, “‘[o]ne who takes charge of
    a third person whom he [or she] knows or should know [is]
    likely to cause bodily harm to others if not controlled is under
    a duty to exercise reasonable care to control the third person to
    prevent him [or her] from doing such harm.’” 19
    [9] Since 2012, which was after the Restatement (Third) of
    Torts 20 was published, we have generally relied on it, instead,
    when considering the duty to control the actions of a third
    15
    See Sundermann, 
    supra note 10
    , 
    306 Neb. at 763-64
    , 947 N.W.2d at 503.
    16
    See id.
    17
    Restatement (Second) of Torts § 315(a) (1965).
    18
    Bartunek v. State, 
    266 Neb. 454
    , 459, 
    666 N.W.2d 435
    , 440 (2003)
    (quoting Restatement (Second), supra note 17).
    19
    Id. at 462, 
    666 N.W.2d at 441
     (quoting Restatement (Second), supra note
    17, § 319).
    20
    See 1 Restatement (Third) of Torts: Liability for Physical and Emotional
    Harm (2010) and 2 Restatement (Third) of Torts: Liability for Physical
    and Emotional Harm (2012).
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    party. 21 It provides similarly that an actor whose conduct has
    not created a risk of physical harm to another has no duty of
    care to the other unless an affirmative duty created by another
    circumstance is applicable. 22 However, “‘[a]n actor in a special
    relationship with another owes a duty of reasonable care to
    third persons with regard to risks posed by the other that arise
    within the scope of the relationship.’” 23 Specifically, § 41(b)
    of the Restatement (Third) identifies four special relationships
    that give rise to such a duty: “(1) a parent with dependent chil-
    dren, (2) a custodian with those in its custody, (3) an employer
    with employees when the employment facilitates the employ-
    ee’s causing harm to third parties, and (4) a mental-health pro-
    fessional with patients.” 24
    As the parties agree, the special relationship here, if any,
    was one based on custody. We have never before adopted
    § 41(b) of the Restatement (Third) recognizing that the rela-
    tionship between a mental-health professional and patients
    gives rise to a generalized duty of reasonable care, nor do we
    do so here.
    [10,11] We have twice before recognized that having cus-
    tody over another person creates a special relationship. 25 In
    Rodriguez I, we adopted § 41(b)(2) of the Restatement (Third)
    as “consistent with our jurisprudence and prudent.” 26 A custo-
    dial relationship “need not be ‘full-time physical custody giv-
    ing the custodian complete control over the other person.’” 27
    But “to the extent that ‘there is some custody and control
    of a person posing dangers to others, the custodian has an
    21
    Ginapp v. City of Bellevue, 
    282 Neb. 1027
    , 
    809 N.W.2d 487
     (2012).
    22
    
    Id.
    23
    
    Id. at 1034
    , 809 N.W.2d at 492 (quoting 2 Restatement (Third), supra note
    20, § 41(a)). See, also, 2 Restatement (Third), supra note 20, § 37.
    24
    2 Restatement (Third), supra note 20, § 41(b) at 65.
    25
    See, Rodriguez I, supra note 4; Ginapp, supra note 21.
    26
    Rodriguez I, supra note 4, 
    297 Neb. at 12
    , 899 N.W.2d at 236.
    27
    Id. (quoting 2 Restatement (Third), supra note 20, § 41, comment f.).
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    affirmative duty to exercise reasonable care, consistent with the
    extent of custody and control.’” 28
    Based on this rule of duty in a custodial special relationship,
    we concluded in Rodriguez I that the Special Administrators
    had alleged sufficient facts to survive a motion to dismiss.
    In Rodriguez I, on review of the district court’s order grant-
    ing dismissal, we accepted as true the Special Administrators’
    allegations in the amended complaint that Loyd was admitted
    to Lasting Hope on August 8, 2013, under emergency protec-
    tive custody; held involuntarily there for 6 days, during which
    Loyd sufficiently communicated to Benton threats of physical
    violence against Melissa; and allowed to “le[ave] Lasting Hope
    on his own, without supervision, being questioned or stopped,
    and without Lasting Hope even noticing he was gone.” If facts
    supported these allegations, we found that such facts could
    have given rise to the defendants’ duty to warn and protect
    Melissa from Loyd.
    After this court’s remand and some discovery, however,
    the district court granted summary judgment to the UNMC
    Defendants and the Lasting Hope Defendants. The district
    court found uncontroverted evidence that rebutted two of the
    Special Administrators’ essential allegations in the amended
    complaint. Specifically, the district court held first that because
    Loyd had never communicated to Benton or other Lasting
    Hope staff that he intended to harm Melissa, no duty to warn
    her could arise. Second, the district court held that because, by
    the time of Melissa’s murder, Loyd had been discharged from
    Lasting Hope “pursuant to the opinion of [Benton,] a qualified
    psychiatrist,” any custodial duty to protect Melissa had termi-
    nated. We review each holding in turn.
    (a) Duty to Warn
    The Special Administrators’ first argument against sum-
    mary judgment concerns the very language of this court’s
    28
    
    Id.
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    precedent. They concede that the facts do not support their
    allegation in the amended complaint that Loyd actually com-
    municated to Benton any intent to harm Melissa. Yet, the
    Special Administrators invite us to “reconsider” whether such
    actual communication is necessary. 29 They contend that recon-
    sideration of this requirement would allow this court to “depart
    from the current narrow and punitive application that liability
    for failure to warn can only exists [sic] if the eventual assailant
    or murder[er] directly so states their future plans of murder or
    mayhem to their psychiatrist or mental health provider.” 30
    We determined the extent of psychiatrists’ duty to warn and
    protect third-party victims from their patients in Munstermann
    v. Alegent Health. 31 There, the family of a woman murdered
    by her boyfriend sued the hospital and psychiatrist that had
    treated the boyfriend in inpatient care. The family alleged that
    the psychiatrist had proximately caused the woman’s death by
    failing to take reasonable measures to warn and protect her
    from the boyfriend’s violent behavior and homicidal ideation.
    The jury was instructed that this was an action based upon a
    claim of malpractice and that the question was whether the
    defendants had exercised reasonable care consistent with the
    circumstances to protect third parties from the boyfriend in
    inpatient treatment.
    But we specifically found that those jury instructions were
    inconsistent with principles set forth by our Legislature. 32 We
    noted that although no statute explicitly addressed the duty
    of psychiatrists to warn and protect, other statutes addressed
    such duty for mental health professionals and psychologists,
    respectively. 33 Namely, the Mental Health Practice Act 34 and
    29
    Brief for appellants at 25.
    30
    
    Id.
    31
    Munstermann v. Alegent Health, 
    271 Neb. 834
    , 
    716 N.W.2d 73
     (2006).
    32
    
    Id.
    33
    
    Id.
    34
    See 
    Neb. Rev. Stat. §§ 38-2102
     to 38-2139 (Reissue 2016 & Cum. Supp.
    2020).
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    the Psychology Practice Act 35 each contain limits on their duty
    in connection with treating patients with mental illness.
    These limits were statutorily enacted in response to the
    California Supreme Court’s decision in Tarasoff v. Regents
    of University of California, 36 which held that a psychother­
    apist who knows or should know that a patient poses a serious
    danger of violence to a third party owes a duty to exercise
    reasonable care to warn and protect that third party. According
    to Tarasoff, a therapist’s relationship with a patient affords the
    therapist control and authority over the patient in a way that
    closely resembles a custodian’s control and authority over a
    person in custody. This special relationship thus requires the
    therapist to exercise reasonable care, depending on the circum-
    stances, toward potential third-party victims of the patient. 37
    For example, if the identity of a patient’s potential victim is
    known, reasonable care might require the therapist to, at least,
    warn the victim; but if no victim is reasonably identifiable,
    reasonable care might require the therapist to take other protec-
    tive precautions, such as maintaining or asserting custody over
    the patient or warning law enforcement or other appropriate
    officials of the danger. 38
    Like legislatures in many other states, the Nebraska
    Legislature moved quickly after Tarasoff to circumvent a simi-
    larly sweeping rule in Nebaska and, instead, to restrict ther­
    apists’ duty to warn and protect potential victims of patients’
    experiencing mental illness. 39 Sections 38-2137(1) and
    38-3132(1) limited liability for any mental health practitioner
    35
    See 
    Neb. Rev. Stat. §§ 38-3101
     to 38-3133 (Reissue 2016 & Cum. Supp.
    2020).
    36
    Tarasoff v. Regents of University of California, 
    17 Cal. 3d 425
    , 
    551 P.2d 334
    , 
    131 Cal. Rptr. 14
     (1976).
    37
    See 
    id.
    38
    See 
    id.
     See, also, John G. Fleming & Bruce Maximov, The Patient or His
    Victim: The Therapist’s Dilemma, 
    62 Cal. L. Rev. 1025
     (1974).
    39
    See Munstermann, 
    supra note 31
    .
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    or psychologist whose patient communicated to him or her
    a serious threat of physical violence against himself, herself, or
    another reasonably identifiable victim. 40
    [12] In Munstermann, we concluded that although neither
    of these statutes explicitly addressed the potential liability of
    psychiatrists, there was no rational basis for the Legislature to
    have intended a psychiatrist’s duty to be bound by a different
    standard. Thus, under the Munstermann rule:
    [A] psychiatrist is liable for failing to warn of and protect
    from a patient’s threatened violent behavior, or failing
    to predict and warn of and protect from a patient’s vio-
    lent behavior, when the patient has communicated to the
    psychiatrist a serious threat of physical violence against
    himself, herself, or a reasonably identifiable victim or
    victims. The duty to warn of or to take reasonable precau-
    tions to provide protection from violent behavior shall
    arise only under those limited circumstances . . . and shall
    be discharged by the psychiatrist if reasonable efforts are
    made to communicate the threat to the victim or victims
    and to a law enforcement agency. 41
    [13] Where a statute has been judicially construed and
    that construction has not evoked an amendment, it will be
    presumed that the Legislature has acquiesced in the court’s
    determination of the Legislature’s intent. 42 By now, more than
    14 years have passed since our decision in Munstermann, and
    in that time, the Legislature has not amended either of the
    statutes on which the Munstermann rule is based. 43 Nor has
    the Legislature adopted an alternative duty of psychiatrists to
    warn and protect third parties from the psychiatrists’ patients.
    As such, we view the Munstermann rule as having received
    legislative acquiescence.
    40
    See 
    id.
    41
    Id. at 847, 
    716 N.W.2d at 85
    .
    42
    Drought v. Marsh, 
    304 Neb. 860
    , 
    937 N.W.2d 229
     (2020).
    43
    See §§ 38-2137(1) and 38-3132(1).
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    [14,15] Since Munstermann, we have clarified that certain
    language in the Munstermann rule is critical to properly limit
    psychiatrists’ duty to third parties. “‘[A] duty to warn and
    protect arises only if the information communicated to the psy-
    chiatrist leads the psychiatrist to believe that his or her patient
    poses a serious risk of grave bodily injury to another.’” 44 As
    a result, the “‘question is whether a serious threat of physical
    harm was actually “communicated” to the psychiatrist.’” 45
    Because we do not find this line of cases to be in error,
    we reject the Special Administrators’ invitation to reconsider
    our requirement of actual communication. The Munstermann
    rule is based on two statutes, duly enacted by the Nebraska
    Legislature. Like the Munstermann rule, both statutes explicitly
    require that for a duty to warn to arise, a serious threat of phys-
    ical violence against a reasonably identifiable victim be “com-
    municated” to a psychologist or mental health practitioner. 46 To
    negate the requirement that a threat actually be communicated
    to a psychiatrist would undermine the statutes on which the
    Munstermann rule is based.
    Moreover, the statutes on which Munstermann is based were
    drafted to reflect the Legislature’s reasoned policy judgment.
    The language in §§ 38-2137(1) and 38-3132(1) represents the
    Legislature’s effort to strike the appropriate balance between
    assuring patients that what they disclose to a mental health
    care provider will be held in confidence and protecting the
    safety of third parties the patient intends to harm. 47 “In other
    words, the statutory language is the result of [the Legislature’s]
    balancing risk and utility, considering the magnitude of the
    risk, relationship of the parties, nature of the risk, opportunity
    and ability to exercise care, foreseeability of the harm, and
    44
    Rodriguez I, supra note 4, 
    297 Neb. at 18
    , 899 N.W.2d at 239 (quoting
    Munstermann, 
    supra note 31
    ) (emphasis supplied).
    45
    
    Id.
    46
    See §§ 38-2137(1) and 38-3132(1).
    47
    See Munstermann, 
    supra note 31
    .
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    public policy interest in the proposed solution.” 48 Because
    these policy factors weighed equally for psychologists and
    mental health practitioners as for psychiatrists, we found in
    Munstermann that “[t]he Legislature has made a public policy
    determination with respect to the Tarasoff duty that this court
    is bound to respect” and apply to psychiatrists, as well. 49
    [16] We “‘“‘proceed cautiously’”’” when our decision
    would undermine a policy judgment of the Legislature, our
    coequal branch. 50 And the Special Administrators have failed to
    show that it would be proper to depart from the Legislature’s
    reasoned judgment here. Accordingly, we decline to do so.
    [17] Applying our precedent, we agree with the district
    court’s analysis of the defendants’ duty to warn. As the district
    court found, the Munstermann rule requires actual communica-
    tion. 51 The term “actual communication” is not defined by stat-
    utes. In this context, we construe its plain text to mean that the
    patient must verbally express or convey to the psychiatrist his
    or her prediction to commit physical violence against himself,
    herself, or a reasonably identifiable victim or victims. 52
    Here, it is uncontroverted that Loyd never actually commu-
    nicated to Benton that he intended to harm Melissa. We noted
    in Rodriguez I that if the Special Administrators’ claim were
    supported by facts that Loyd had communicated to Benton a
    serious threat of physical violence against Melissa, those facts
    could give rise to a duty to warn. 53 But the undisputed facts
    now in the record do not support that allegation.
    Indeed, the only reasonably identifiable victim whom
    Loyd conveyed an intent to physically harm was his mother.
    48
    Id. at 847, 
    716 N.W.2d at 84
    .
    49
    
    Id. at 846
    , 
    716 N.W.2d at 84
    . See, Tarasoff, 
    supra note 36
    .
    50
    State ex rel. Veskrna v. Steel, 
    296 Neb. 581
    , 599, 
    894 N.W.2d 788
    , 801
    (2017).
    51
    Rodriguez I, supra note 4.
    52
    See Fredericks v. Jonsson, 
    609 F.3d 1096
     (10th Cir. 2010).
    53
    See Rodriguez I, supra note 4.
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    During Benton’s evaluations, Loyd specifically expressed an
    intention to kill his mother in retaliation for his father’s death.
    Based on these verbal expressions of threats, Benton ordered
    Lasting Hope staff to call Loyd’s mother to warn her. And by
    the time Benton had ordered Loyd’s discharge, she knew that
    OPD was aware of Loyd’s threats of physical violence against
    his mother, because Lasting Hope staff had discussed the
    threats with OPD officers, who also warned Loyd’s mother.
    As the Special Administrators now concede, Loyd never
    expressed to Benton or anyone else at Lasting Hope that he
    intended to harm Melissa. He never identified Melissa by
    name or even by description in connection with his expression
    of homicidal ideation. And to the extent that the outstanding
    arrest warrant identified Melissa as the victim of Loyd’s past
    misconduct, it did not amount to an actual communication by
    Loyd, nor did it predict that he would commit physical vio-
    lence against Melissa in the future. As a result, no duty to warn
    Melissa was triggered under Munstermann. 54
    The Special Administrators have failed to raise a dispute
    about whether Loyd actually communicated to Benton that he
    wished to physically harm Melissa. Instead, the record supports
    the UNMC Defendants’ and the Lasting Hope Defendants’
    argument for summary judgment that he did not. Accordingly,
    we affirm the decision of the district court to grant summary
    judgment for the defendants on the issue of duty to warn.
    (b) Duty to Protect
    As to the issue of duty to protect, the district court granted
    summary judgment to the defendants by reasoning that to
    the extent that they were Loyd’s custodians, they did not
    breach their duty of reasonable care toward Melissa. The dis-
    trict court reached this conclusion based on undisputed facts
    that at the time of Melissa’s murder, Loyd had already been
    discharged “pursuant to the opinion of [Benton,] a qualified
    psychiatrist.” Given that any custodianship over Loyd had
    54
    See Munstermann, 
    supra note 31
    .
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    thus terminated, the district court held that no new duty of
    reasonable care could arise to require Benton and Lasting
    Hope to protect Melissa, a third party. Accordingly, summary
    judgment was granted for the defendants on the issue of duty
    to protect.
    In arguing that summary judgment on this issue was in
    error, the Special Administrators allege that the district court
    viewed the relevant time period too narrowly. According
    to the Special Administrators, instead of focusing only on
    the period directly before Melissa’s death, the district court
    should have found that the defendants were negligent because
    of their actions and omissions before Loyd was discharged.
    The Special Administrators cite the testimony of Dr. Bruce
    Gutnik that in his medical judgment, Benton’s order to dis-
    charge Loyd was premature. The defendants dispute that Loyd
    was ever in Lasting Hope’s custody because, they claim, he
    remained there voluntarily. Based on this factual dispute,
    the Special Administrators contend that summary judgment
    was inappropriate.
    We agree that the question of whether Loyd was ever in
    Lasting Hope’s custody for purposes of the special relation-
    ship under the Restatement (Third), § 41(b)(2), 55 is a genuine
    factual dispute here. 56 But we disagree that it is material to the
    disposition of this case.
    [18] In the summary judgment context, a fact is material
    only if it would affect the outcome of the case. 57 But here,
    even assuming arguendo that Loyd was in Lasting Hope’s cus-
    tody while he was a patient there, the undisputed facts show
    that Melissa’s death cannot be legally attributed to a breach
    of duty by the defendants. We concur with the decision of
    the district court to grant summary judgment to the defend­
    ants, although we reach this decision not based on a lack of
    55
    See 2 Restatement (Third), supra note 20, § 41(b)(2).
    56
    See Wintroub v. Nationstar Mortgage, 
    303 Neb. 15
    , 
    927 N.W.2d 19
    (2019).
    57
    Pitts v. Genie Indus., 
    302 Neb. 88
    , 
    921 N.W.2d 597
     (2019).
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    custody but instead because Loyd did not communicate to the
    defendants that he intended to physically injure Melissa.
    [19-21] As we stated above, our common law generally
    imposes on actors an affirmative duty, to the extent of their
    custody over another person, to protect third parties from
    the person in custody. 58 This common-law duty requires the
    actor to exercise reasonable care consistent with the extent
    of custody and control. 59 We ask, what would a reasonable
    person of ordinary prudence have done in the same or similar
    circumstances? 60 Where reasonable minds can disagree about
    whether reasonable care was followed, we generally leave the
    question to the jury. 61
    [22] But sometimes reasonable minds cannot disagree about
    whether an actor exercised reasonable care. When an articulated
    countervailing principle or policy warrants denying or limiting
    liability in a particular class of cases, a court may decide that,
    as a matter of law, the defendant has no duty or that the ordi-
    nary duty of reasonable care requires modification. 62
    [23,24] A determination of no duty as a matter of law should
    be grounded in public policy and based upon legislative facts,
    not adjudicative facts arising out of the particular circumstances
    of the case. 63 And such determination should be explained and
    justified based on articulated policies or principles that justify
    exempting the actor from liability or modifying the ordinary
    duty of reasonable care. 64
    58
    See Rodriguez I, supra note 4.
    59
    See id.
    60
    See id.
    61
    See Reiber v. County of Gage, 
    303 Neb. 325
    , 
    928 N.W.2d 916
     (2019). See,
    also, 1 Restatement (Third), supra note 20, § 8.
    62
    McReynolds v. RIU Resorts & Hotels, 
    293 Neb. 345
    , 
    880 N.W.2d 43
    (2016). See, also, 1 Restatement (Third), supra note 20, § 7(b).
    63
    See McReynolds, supra note 62.
    64
    Kimminau v. City of Hastings, 
    291 Neb. 133
    , 
    864 N.W.2d 399
     (2015). See,
    also, 1 Restatement (Third), supra note 20, § 7, comment j.
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    Here, there is such a countervailing policy to warrant a find-
    ing that, as a matter of law, no duty to protect was triggered.
    As analyzed above, the first duty implicated by Munstermann
    is the psychiatrist’s duty to warn. 65 But by its plain language,
    the Munstermann rule applies equally to the psychiatrist’s duty
    to protect.
    In each clause of the Munstermann rule that limits psychia-
    trists’ duty to warn, there is an equal limitation on their duty to
    protect. For example, psychatrists’ liability is limited for “fail-
    ing to warn of and protect from a patient’s threatened violent
    behavior, or failing to predict and warn of and protect from a
    patient’s violent behavior” unless the patient has communi-
    cated to the psychiatrist a serious threat of physical harm. 66
    And “[t]he duty to warn of or take reasonable precautions to
    provide protection from violent behavior shall arise only under
    those limited circumstances . . . .” 67 To the extent that any
    duty to warn and protect does arise, it “shall be discharged by
    the psychiatrist if reasonable efforts are made to communi-
    cate the threat to the victim or victims and to a law enforce-
    ment agency.” 68
    As recounted above, with the Legislature’s acquiescence,
    we adapted these statements in the Munstermann rule directly
    from the Legislature’s identical limitations on mental health
    practitioners’ and psychologists’ liability. 69 The Legislature
    explicitly enacted these limitations in response to Tarasoff and,
    with them, fashioned a state policy “to preempt an expansive
    ruling [in Nebraska] that a therapist can be held liable for
    the mere failure to predict potential violence by his or her
    65
    See Munstermann, 
    supra note 31
    .
    66
    Munstermann, 
    supra note 31
    , 
    271 Neb. at 847
    , 
    716 N.W.2d at 85
     (emphasis
    supplied).
    67
    
    Id.
     (emphasis supplied).
    68
    
    Id.
    69
    See §§ 38-2137(1) and 38-3132(1).
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    patient.” 70 Just as failure to warn claims are premised in part
    on psychiatrists’ duty to predict their patients’ future violence,
    so too are failure to protect claims. Accordingly, we view the
    Munstermann rule as an accurate determination of state policy
    with respect to the duty of psychiatrists to warn—and pro-
    tect—third parties from their patients’ violent behavior.
    Our survey of other jurisdictions indicates that we are far
    from alone in applying a limiting rule to the duty to warn and
    protect in this way. Except for those jurisdictions that have spe-
    cifically stated in court rule 71 or statute 72 that the duties to warn
    and protect should be disengaged from each other and analyzed
    separately, most jurisdictions have opted to analyze the duty to
    warn and protect as one, like Tarasoff did. 73 For example, the
    legislatures in both Louisiana and Michigan codified statutes
    nearly identical to the Munstermann rule, 74 and appellate courts
    have interpreted the statutes to foreclose the liability of ther­
    apists for failing to warn and protect third parties from patients
    unless a patient has communicated to the therapist a reasonably
    identifiable victim. 75
    [25] Likewise, in accord with this state’s determination of
    policy set forth in Munstermann, we apply a rule of no duty
    70
    Munstermann, 
    supra note 31
    , 
    271 Neb. at 846
    , 
    716 N.W.2d at
    84 (citing
    Ewing v. Goldstein, 
    120 Cal. App. 4th 807
    , 
    15 Cal. Rptr. 3d 864
     (2004)).
    See Tarasoff, 
    supra note 36
    .
    71
    See, e.g., Texas Home Management, Inc. v. Peavy, 
    89 S.W.3d 30
     (Tex.
    2002).
    72
    See, e.g., Paul S. Appelbaum et al., Statutory Approaches to Limiting
    Psychiatrists’ Liability for Their Patients’ Violent Acts, 146 Am. J.
    Psychiatry 821 (1989) (citing the American Psychiatric Association’s
    model statute).
    73
    See Alan R. Felthous & Claudia Kachigan, To Warn and to Control: Two
    Distinct Legal Obligations or Variations of a Single Duty to Protect? 
    19 Behav. Sci. & L. 355
     (2001). See, also, Tarasoff, 
    supra note 36
    .
    74
    See, 
    La. Stat. Ann. § 9:2800.2
     (2018); 
    Mich. Comp. Laws Ann. § 330.1946
    (West 1999).
    75
    See, e.g., Hines v. Bick, 
    566 So. 2d 455
     (La. App. 1990); Swan v.
    Wedgwood Family Services, 
    230 Mich. App. 190
    , 
    583 N.W.2d 719
     (1998).
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    as a matter of law to limit a psychiatrist’s liability for failing
    to warn or protect third parties injured by a patient. 76 Under
    our decision in Munstermann, psychiatrists owe no duty as a
    mater of law to third parties for physical injuries caused by a
    patient who has not actually communicated a threat of physical
    violence. And once such an actual communication has taken
    place, any duty to warn or protect on the part of the psychia-
    trist can be discharged by reasonable efforts to communicate
    the threat to the victim and a law enforcement agency. 77
    Here, the Special Administrators rightly frame their claim
    as one based on the defendants’ duty to protect Melissa,
    a third party, from Loyd. Specifically, they allege that the
    defendants failed to protect her by failing to turn Loyd over
    to OPD on August 12, 2013, and by prematurely discharging
    Loyd from Lasting Hope on August 14 without notifying OPD
    and Melissa.
    As the undisputed facts show, both of these alleged breaches
    of duty are attributable to the actions or omissions of Benton.
    She was “ultimately responsible” for Loyd’s treatment and
    discharge. 78 As Loyd’s treating psychiatrist, Benton conducted
    the initial intake evaluation of Loyd and determined that
    he needed to be hospitalized at Lasting Hope for 5 to 7
    days. Based on the initial evaluation, she then determined that
    despite Loyd’s attempt to turn himself in to OPD on August
    12, 2013, he needed further treatment and was not yet ready to
    be discharged from Lasting Hope. She communicated this to
    OPD officers via Lasting Hope staff, who merely relayed her
    determination. The OPD officers then left Lasting Hope with-
    out arresting Loyd, apparently accepting Benton’s psychiatric
    determination of Loyd’s condition.
    On August 14, 2013, as well, it was because of Benton’s
    order as Loyd’s treating psychiatrist that Loyd was dis-
    charged. Even if, as the Special Administrators allege, Lasting
    76
    See Munstermann, 
    supra note 31
    .
    77
    
    Id.
    78
    See Wilson v. Valley Mental Health, 
    969 P.2d 416
    , 420 (Utah 1998).
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    Hope staff had failed on August 12 to document OPD’s
    request to arrest Loyd upon his discharge, it is undisputed
    that Benton knew of Loyd’s outstanding arrest warrant. Still,
    based on her medical judgment, Benton determined that Loyd
    no longer posed a risk to himself or others and ordered him
    discharged to the public. The order to discharge Loyd was
    solely Benton’s.
    In this way, the uncontroverted facts show that Benton
    made both of the decisions that the Special Administrators
    allege allowed Loyd to be able to murder Melissa. Benton
    made these decisions via the authority delegated to her as
    Lasting Hope’s agent and UNMC Physicians’ employee. 79 As
    the undisputed facts show, the UNMC Defendants and the
    Lasting Hope Defendants did not negligently hire, train, or
    ­otherwise delegate authority to Benton to treat Loyd, nor are
    these claims specifically assigned in the Special Administrators’
    briefs. The failure to protect claim is entirely based on the
    alleged duty and breach of Benton, a psychiatrist, to pro-
    tect Melissa, a third party, from Benton’s patient, Loyd.
    Accordingly, given these undisputed facts now before us, we
    hold that the Special Administrators’ claim is controlled by the
    Munstermann rule, not by the Restatement (Third), § 41, duty
    of reasonable care. 80
    In Rodriguez I, we assumed that the Special Administrators’
    allegations in the amended complaint were all true, includ-
    ing the allegation that Loyd had “‘sufficiently communi-
    cated’” to Benton and Lasting Hope staff threats of violence
    against Melissa. 81 If that allegation were supported by facts,
    we found that those facts could have given rise to a duty on
    the part of the defendants to warn and protect Melissa. 82 We
    79
    See RM Campbell Indus. v. Midwest Renewable Energy, 
    294 Neb. 326
    ,
    
    886 N.W.2d 240
     (2016).
    80
    See, Munstermann, 
    supra note 31
    ; 2 Restatement (Third), supra note 20,
    § 41.
    81
    See Rodriguez I, supra note 4, 
    297 Neb. at 15
    , 899 N.W.2d at 237.
    82
    See Rodriguez I, supra note 4.
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    affirm that analysis here and add that any defendant to whom
    Loyd had actually communicated a threat of physical violence
    against Melissa could have discharged the Munstermann duty
    to warn and protect by notifying Melissa and a law enforce-
    ment agency of the threat. 83
    But, as analyzed above, the uncontroverted evidence in the
    record shows that Loyd’s lack of communicated threats against
    Melissa meant that no duty to warn or protect was triggered
    for the defendants. Despite the Special Administrators’ allega-
    tions in the amended complaint, they have failed to offer any
    evidence that Loyd actually communicated to Benton or other
    Lasting Hope staff that he wished to commit physical violence
    against Melissa. As a result, under the Munstermann rule, the
    Special Administrators’ duty to protect claim fails as a matter
    of law.
    We concur with the decision of the district court to grant
    the defendants’ motions for summary judgment on the Special
    Administrators’ duty to protect claim. The undisputed facts
    show that Melissa’s death is not legally attributable to a
    breach of duty by the UNMC Defendants or the Lasting
    Hope Defendants, because Loyd never actually communi-
    cated to them that he intended to harm Melissa. The Special
    Administrators’ first assignment of error is without merit.
    2. Exclusion of Affidavits
    The Special Administrators’ second assignment of error is
    that the district court wrongfully excluded their affidavits in
    opposition to the defendants’ motions for summary judgment.
    Under 
    Neb. Rev. Stat. § 25-1332
     (Cum. Supp. 2020),
    after a motion for summary judgment has been filed, “[t]he
    adverse party prior to the day of hearing may serve oppos-
    ing affidavits.” 84 In opposition to the defendants’ motions
    for summary judgment scheduled for a hearing on Monday,
    October 7, 2019, the Special Administrators served six
    83
    See Munstermann, 
    supra note 31
    .
    84
    See Woodhouse Ford v. Laflan, 
    268 Neb. 722
    , 
    687 N.W.2d 672
     (2004).
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    affidavits on Sunday, October 6. Thus, under the plain text of
    § 25-1332, the Special Administrators claim, it was error for
    the district court to exclude the affidavits, served the day prior
    to hearing, as untimely.
    [26,27] We need not decide whether the district court erred
    in excluding the Special Administrators’ affidavits because,
    even assuming arguendo that the district court did err, such
    error would not be reversible error. The admission or exclu-
    sion of evidence is not reversible error unless it unfairly preju-
    diced a substantial right of the complaining party. 85 Erroneous
    exclusion of evidence does not require reversal if the evidence
    would have been cumulative and other relevant evidence, prop-
    erly admitted, supports the trial court’s finding. 86
    Here, besides the six affidavits offered by the Special
    Administrators, 18 other exhibits supported the defendants’
    motions for summary judgment. A review of the Special
    Administrators’ six affidavits reveals that they would not have
    presented disputes of material fact. They are largely cumula-
    tive. They consist of 526 pages of witness statements com-
    menting on Loyd’s mental health and his actions during and
    after his stay at Lasting Hope. To the extent that the affidavits
    contain noncumulative evidence, such as expert testimony and
    a report from Gutnik and an affidavit from Loyd, we have
    reviewed that evidence and find that it does not dispute the
    issues of material fact discussed above in this opinion.
    Because the Special Administrators fail to show prejudice,
    a prerequisite for reversible error, their second assignment of
    error is without merit.
    VI. CONCLUSION
    Melissa’s death was a tragedy, and we recognize that
    the outcome we reach today may seem harsh to the Special
    Administrators. But our review of the undisputed evidence
    in the record has found no grounds on which Melissa’s death
    85
    See AVG Partners I, supra note 12.
    86
    See id.
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    can be legally attributed to any duty owed by these defend­
    ants. Therefore, we concur with the decision of the district
    court to deny relief to the Special Administrators.
    The district court’s order granting the defendants’ motions
    for summary judgment is affirmed.
    Affirmed.
    Funke, J., not participating.
    Papik, J., concurring.
    The majority opinion finds that defendants are entitled to
    summary judgment because each of the allegedly negligent
    acts was committed by Dr. Benton, a psychiatrist; because in
    Munstermann v. Alegent Health, 
    271 Neb. 834
    , 
    716 N.W.2d 73
    (2006), we held that a psychiatrist’s duty to take precautions
    with respect to potentially dangerous patients is triggered only
    in limited circumstances; and because there is no evidence
    those circumstances were present here. I agree with the major-
    ity that the rule we adopted in Munstermann stands as a barrier
    to the Special Administrators’ claims in this case, but I write
    separately to express my reservations about the analysis the
    court used to arrive at its holding in Munstermann.
    The suit in Munstermann arose out of a psychiatric patient’s
    murder of his estranged girlfriend. The personal representa-
    tive of the victim’s estate brought suit against a psychiatrist
    who had seen the patient shortly before the murder and against
    the hospital at which the psychiatrist worked. Notes regarding
    the psychiatrist’s observation of the patient indicated that the
    patient “‘was thinking of hurting [his] girlfriend . . . since she
    is hurting him.’” 
    Id. at 837
    , 
    716 N.W.2d at 78
    . After the jury
    was unable to reach a verdict and the district court declared
    a mistrial, the defendants unsuccessfully moved for judgment
    notwithstanding the verdict and then appealed.
    The threshold issue on appeal was whether and to what
    extent the defendants owed the victim a legal duty. Identifying
    such a duty and defining the scope thereof was crucial because
    of the general tort rule that, in the absence of certain carefully
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    defined special relationships, there is no duty to prevent a
    third party from causing harm to another. See Restatement
    (Second) of Torts, § 315(a) (1965). See, also, Bell v. Grow
    With Me Childcare & Preschool, 
    299 Neb. 136
    , 
    907 N.W.2d 705
     (2018).
    In our duty analysis in Munstermann, we extensively dis-
    cussed two statutes. One provided that licensed mental health
    practitioners (a category defined by statute to exclude psy-
    chiatrists and other physicians) could be held liable for failing
    to warn and provide protection from a patient’s threatened
    violent behavior “when the patient has communicated to the
    mental health practitioner a serious threat of physical violence
    against himself, herself, or a reasonably identifiable victim
    or victims,” but that there was no duty to warn or protect in
    any other circumstances. 
    Neb. Rev. Stat. § 71-1
    ,336 (Reissue
    2003). The same statute provided that the duty described could
    be discharged if the practitioner made reasonable efforts to
    communicate the threat to the victim or victims and to a law
    enforcement agency. 
    Id.
     The other statute, 
    Neb. Rev. Stat. § 71-1
    ,206.30 (Reissue 1996), provided that essentially the
    same rules applied to psychologists.
    We acknowledged that the statutes governing the duties of
    licensed mental health practitioners and psychologists did not
    apply to psychiatrists and that a psychiatrist’s duty was thus
    “still controlled by common law.” Munstermann v. Alegent
    Health, 
    271 Neb. 834
    , 845, 
    716 N.W.2d 73
    , 83 (2006). We
    went on to say, however, that while those statutes “‘may not be
    literally applicable, [they are] clearly indicative of legislatively
    approved public policy.’” 
    Id. at 846
    , 
    716 N.W.2d at 84
     (quot-
    ing Parson v. Chizek, 
    201 Neb. 754
    , 
    272 N.W.2d 48
     (1978)).
    We then concluded that because the Legislature had made a
    public policy determination in these statutes that licensed men-
    tal health practitioners and psychologists should have a duty to
    warn and protect third parties from potentially violent patients
    but only in limited circumstances, psychiatrists should have
    the same limited duty. Accordingly, we held that the limited
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    duties governing licensed mental health practitioners and psy-
    chologists also applied to psychiatrists:
    We hold, in accord with §§ 71-1,1206.30(1) and 71-1,336,
    that a psychiatrist is liable for failing to warn of and pro-
    tect from a patient’s threatened violent behavior, or failing
    to predict and warn of and protect from a patient’s vio-
    lent behavior, when the patient has communicated to the
    psychiatrist a serious threat of physical violence against
    himself, herself, or a reasonably identifiable victim or
    victims. The duty to warn of or to take reasonable precau-
    tions to provide protection from violent behavior shall
    arise only under those limited circumstances, and shall
    be discharged by the psychiatrist if reasonable efforts are
    made to communicate the threat to the victim or victims
    and to a law enforcement agency.
    Munstermann, 
    271 Neb. at 847
    , 
    716 N.W.2d at 85
    .
    We seem to have concluded in Munstermann that the spe-
    cific statutes the Legislature enacted concerning licensed men-
    tal health practitioners and psychologists demonstrated that the
    Legislature was generally in favor of limited duties to warn and
    protect for all professionals who assist individuals with mental
    health issues or at least all professionals sufficiently similar to
    licensed mental health practitioners and psychologists. We thus
    applied those limited duties to psychiatrists as well.
    I question this approach. Specifically, I question whether it
    is appropriate for a court to find that the text of a statute does
    not apply to a particular subject or circumstance, but that the
    statute nonetheless expresses a generalized public policy the
    court should strive to recognize as legally applicable to that
    subject or circumstance.
    I concede that this mode of analysis—identifying a general
    public policy or legislative purpose from a statute and then
    applying that policy or purpose more broadly than the statutory
    text itself—was once not uncommon as a method of statu-
    tory interpretation. A late-19th-century U.S. Supreme Court
    case, Holy Trinity Church v. United States, 
    143 U.S. 457
    , 12
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    S. Ct. 511, 36 L. Ed 226 (1892), is often cited as emblem-
    atic of the approach of that era. See, e.g., Antonin Scalia &
    Bryan A. Garner, Reading Law: The Interpretation of Legal
    Texts (2012); Amy Coney Barrett, Congressional Insiders and
    Outsiders, 
    84 U. Chi. L. Rev. 2193
     (2017); John F. Manning,
    Second-Generation Textualism, 
    98 Cal. L. Rev. 1287
     (2010).
    In Holy Trinity Church, a statute prohibited assisting or
    encouraging the importation of foreign nationals “‘to perform
    labor or service of any kind in the United States.’” 
    143 U.S. at 458
    . The question presented was whether the statute applied
    when a church paid for a man from England to come to New
    York to serve as its pastor. Another section of the statute pro-
    vided specific exceptions for “professional actors, artists, lec-
    turers, singers and domestic servants.” 
    Id.,
     
    143 U.S. at 458-59
    .
    Although the Court concluded that the transportation of the
    pastor was covered by the broad prohibition and did not fall
    within any of the specific exceptions, it nonetheless held the
    statute did not apply. Based on a number of considerations,
    including the legislative history and title of the statute, the
    Court found that the purpose of the statute was to prohibit
    only the importation of manual labor. The Court described its
    rationale this way: “[A] thing may be within the letter of the
    statute and yet not within the statute, because not within its
    spirit, nor within the intention of its makers.” 
    Id.,
     
    143 U.S. at 459
    .
    More recently, the Holy Trinity Church approach has come
    under criticism and fallen out of favor. See, e.g., Scalia &
    Garner, supra at 12 (“Holy Trinity is a decision that the
    Supreme Court stopped relying on more than two decades
    ago”); Barrett, supra, 84 U. Chi. L. Rev. at 2195 (“[t]he claim
    that it is permissible to depart from clear text in the service
    of congressional purpose—an approach epitomized by Church
    of the Holy Trinity v. United States—has fallen into dis­
    repute”); Abbe R. Gluck, Imperfect Statutes, Imperfect Courts:
    Understanding Congress’s Plan in the Era of Unorthodox
    Lawmaking, 
    129 Harv. L. Rev. 62
    , 90 (2015) (“Church of
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    the Holy Trinity v. United States—oft-maligned for its state-
    ment that statutory ‘spirit’ may trump the plain ‘letter of the
    statute’—is long since dead”); Manning, supra, 98 Cal. L.
    Rev. at 1313 (opining that Holy Trinity Church no longer
    falls within “the mainstream of the [U.S. Supreme] Court’s
    jurisprudence”).
    In my view, the Holy Trinity Church approach is difficult
    to defend. It is undoubtedly true that statutes are passed to
    achieve policies and purposes. They do so, however, through
    legislatively selected means. And if a court can identify and
    enforce what it believes to be the general policy behind leg-
    islation rather than the details actually enacted in the text, it
    is selecting its own means rather than respecting those chosen
    by the legislative branch. See, e.g., MCI Telecommunications
    Corp. v. American Telephone & Telegraph Co., 
    512 U.S. 218
    ,
    231 n.4, 
    114 S. Ct. 2223
    , 
    129 L. Ed. 2d 182
     (1994) (observ-
    ing that courts are “bound, not only by the ultimate purposes
    [a legislature] has selected, but by the means it has deemed
    appropriate, and prescribed, for the pursuit of those purposes”);
    Frank H. Easterbrook, Statutes’ Domains, 
    50 U. Chi. L. Rev. 533
     (1983) (arguing that adherence to text respects legislative
    choice of means).
    The elevation of a judicially recognized general policy over
    specifically enacted legislative text is particularly problem-
    atic because legislation is often the product of compromise.
    If courts brush aside the details of the text in favor of what
    they believe to be the general purpose of the legislation, prior
    compromises will be disrespected and future compromises
    will be more difficult to reach. See Henson v. Santander
    Consumer USA Inc., ___ U.S. ___, 
    137 S. Ct. 1718
    , 1725,
    
    198 L. Ed. 2d 177
     (2017) (quoting Rodriguez v. United States,
    
    480 U.S. 522
    , 
    107 S. Ct. 1391
    , 
    94 L. Ed. 2d 533
     (1987)
    (concluding it is mistaken to assume that anything that fur-
    thers “‘statute’s primary objective must be the law’” because
    “[l]egislation is, after all, the art of compromise, the limitations
    expressed in statutory terms often the price of passage . . .”);
    John F. Manning, What Divides Textualists From Purposivists,
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    106 Colum. L. Rev. 70
    , 96 (2006) (arguing that judicial adher-
    ence to semantic text “is essential if one wishes legislators to
    be able to strike reliable bargains”).
    These considerations and others lead me to question our
    conclusion in Munstermann v. Alegent Health, 
    271 Neb. 834
    ,
    
    716 N.W.2d 73
     (2006), that there was a legislatively approved
    policy requiring that psychiatrists have the same limited duty
    to warn and protect that the Legislature applied to other profes-
    sionals via specific statutes. The Legislature did enact limited
    duties for some professionals, but whatever policy it hoped
    to achieve through those statutes, they did not cover psychia-
    trists. Perhaps that decision was intentional. Perhaps it was
    ­inadvertent. In either case, I do not understand the basis on
    which we could conclude that the Legislature had directed that
    psychiatrists have the same duty as these other professionals.
    If anything, it seems to me one of our oft-used principles of
    statutory interpretation would counsel in favor of the oppo-
    site conclusion. See Rogers v. Jack’s Supper Club, 
    304 Neb. 605
    , 612, 
    935 N.W.2d 754
    , 761 (2019) (“[i]t is not within the
    province of the courts to read meaning into a statute that is not
    there or to read anything direct and plain out of a statute”).
    See, also, Scalia & Garner, supra at 93 (discussing “Omitted-
    Case Canon” requiring that matters not covered by a statute are
    to be treated as not covered).
    To be clear, I recognize that Munstermann did not find that
    the statutes covering licensed mental health practitioners and
    psychologists literally extended to psychiatrists, but, rather,
    concluded those statutes should apply to psychiatrists in the
    course of determining psychiatrists’ common-law duties. I see
    little difference, however, between finding that the meaning of
    a statute goes beyond its text in the course of interpreting a
    statute and finding that a legislatively approved public policy
    can be found in a statute not applicable to the subject at hand
    in the course of common-law analysis.
    But while I have reservations about the path we took to
    arrive at our holding in Munstermann, we have continued to
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    rely on that holding in subsequent cases, no party in this case
    asks us to reconsider the portion of the decision extending the
    limited duties applicable to licensed mental health practitioners
    and psychologists to psychiatrists, and, if such an argument
    were made, it would have to reckon with the doctrine of legis-
    lative acquiescence. I also do not disagree with the majority’s
    conclusion that the Special Administrators’ theory of liability is
    inconsistent with the rule adopted in Munstermann, and thus,
    I concur in the decision affirming summary judgment. For the
    reasons set forth herein, however, I would be reluctant in a
    future case to conclude that a statute is indicative of a legisla-
    tively approved public policy on a given subject if the text of
    that statute does not apply to that subject.
    Stacy, J., joins.
    

Document Info

Docket Number: S-19-1116

Citation Numbers: 308 Neb. 538

Filed Date: 3/5/2021

Precedential Status: Precedential

Modified Date: 3/26/2021

Authorities (27)

Swan v. Wedgwood Christian Youth & Family Services, Inc. , 230 Mich. App. 190 ( 1998 )

Munstermann v. Alegent Health-Immanuel Medical Center , 271 Neb. 834 ( 2006 )

Rogers v. Jack's Supper Club , 304 Neb. 605 ( 2019 )

Henson v. Santander Consumer USA Inc. , 198 L. Ed. 2d 177 ( 2017 )

Church of the Holy Trinity v. United States , 12 S. Ct. 511 ( 1892 )

Wintroub v. Nationstar Mortgage , 303 Neb. 15 ( 2019 )

Rodriguez v. Lasting Hope Recovery Ctr. , 308 Neb. 538 ( 2021 )

Ewing v. Goldstein , 120 Cal. App. 4th 807 ( 2004 )

State ex rel. Veskrna v. Steel , 296 Neb. 581 ( 2017 )

MCI Telecommunications Corp. v. American Telephone & ... , 114 S. Ct. 2223 ( 1994 )

Pitts v. Genie Indus. , 302 Neb. 88 ( 2019 )

Cruz v. Lopez , 301 Neb. 531 ( 2018 )

RM Campbell Indus. v. Midwest Renewable Energy , 294 Neb. 326 ( 2016 )

Woodhouse Ford, Inc. v. Laflan , 268 Neb. 722 ( 2004 )

Bartunek v. State , 266 Neb. 454 ( 2003 )

Rodriguez v. Catholic Health Initiatives , 297 Neb. 1 ( 2017 )

Hines v. Bick , 566 So. 2d 455 ( 1990 )

Parson v. Chizek , 201 Neb. 754 ( 1978 )

AVG Partners I v. Genesis Health Clubs , 307 Neb. 47 ( 2020 )

Tarasoff v. Regents of University of California , 17 Cal. 3d 425 ( 1976 )

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