Cohan v. Medical Imaging Consultants ( 2017 )


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  • Nebraska Supreme Court Online Library
    www.nebraska.gov/apps-courts-epub/
    07/14/2017 09:10 AM CDT
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    Nebraska Supreme Court A dvance Sheets
    297 Nebraska R eports
    COHAN v. MEDICAL IMAGING CONSULTANTS
    Cite as 
    297 Neb. 111
    M ary Cohan         and    Terry Cohan,         individually
    and as wife and husband, appellants and
    cross-appellees, v.Medical Imaging
    Consultants, P.C., et al., appellees
    and cross-appellants.
    ___ N.W.2d ___
    Filed July 7, 2017.     No. S-16-145.
    1.	 Directed Verdict: Evidence: Appeal and Error. A directed verdict is
    proper only when reasonable minds cannot differ and can draw but one
    conclusion from the evidence, that is, when an issue should be decided
    as a matter of law. In reviewing that determination, an appellate court
    gives the nonmoving party the benefit of every controverted fact and all
    reasonable inferences from the evidence.
    2.	 Physician and Patient: Negligence. Nebraska does not recognize the
    loss-of-chance doctrine.
    3.	 Malpractice: Physician and Patient: Proof: Proximate Cause. In
    a malpractice action involving professional negligence, the burden of
    proof is upon the plaintiff to demonstrate the generally recognized
    medical standard of care, that there was a deviation from that standard
    by the defendant, and that the deviation was a proximate cause of the
    plaintiff’s alleged injuries.
    4.	 Malpractice: Physicians and Surgeons: Proximate Cause: Damages.
    In the medical malpractice context, the element of proximate causation
    requires proof that the physician’s deviation from the standard of care
    caused or contributed to the injury or damage to the plaintiff.
    5.	 Directed Verdict. If there is any evidence which will sustain a finding
    for the party against whom a motion for directed verdict is made, the
    case may not be decided as a matter of law.
    6.	 Damages. The amount of damages for pain, suffering, and emotional
    distress inherently eludes exact valuation.
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    COHAN v. MEDICAL IMAGING CONSULTANTS
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    7.	 ____. The amount of damages for pain, suffering and emotional distress
    is a matter left largely to the discretion of the fact finder, which saw the
    witnesses and heard the evidence.
    8.	 Trial: Evidence: Appeal and Error. A trial court has the discretion to
    determine the relevancy and admissibility of evidence, and such deter-
    minations will not be disturbed on appeal unless they constitute an abuse
    of that discretion.
    9.	 Trial: Expert Witnesses: Appeal and Error. A trial court’s ruling in
    receiving or excluding an expert’s testimony which is otherwise relevant
    will be reversed only when there has been an abuse of discretion.
    Appeal from the District Court for Douglas County: James
    T. Gleason, Judge. Affirmed in part, and in part reversed and
    remanded for a new trial.
    Richard J. Rensch and Sean P. Rensch, of Rensch & Rensch
    Law, P.C., L.L.O., for appellants.
    David D. Ernst and Kellie Chesire Olson, of Pansing, Hogan,
    Ernst & Bachman, L.L.P., for appellees Medical Imaging
    Consultants, P.C., and Robert M. Faulk, M.D.
    William R. Settles and Kate Geyer Johnson, of Lamson,
    Dugan & Murray, L.L.P., for appellees Bellevue Obstetrics
    and Gynecology Associates, P.C., et al.
    H eavican, C.J., Wright, M iller-Lerman, Cassel, Stacy,
    and K elch, JJ.
    K elch, J.
    I. INTRODUCTION
    Mary Cohan and Terry Cohan brought a medical malprac-
    tice action against Medical Imaging Consultants, P.C.; Robert
    Faulk, M.D.; Bellevue Obstetrics and Gynecology Associates,
    P.C.; Michael Woods, M.D.; and Michelle Berlin, a physi-
    cian’s assistant (collectively Appellees). They alleged that
    Appellees’ negligent treatment caused Mary’s breast cancer
    to progress undiagnosed for 1 year and that her delayed
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    COHAN v. MEDICAL IMAGING CONSULTANTS
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    treatment caused physical and mental suffering, a shortened
    life expectancy, loss of consortium for Terry, and an increased
    risk of recurrence, entitling the Cohans to damages. After
    the Cohans presented their case in chief to a jury, the district
    court for Douglas County granted Appellees’ motion for a
    directed verdict and dismissed the Cohans’ complaint with
    prejudice. The Cohans now appeal and ask us to adopt the
    loss-of-chance doctrine. Appellees cross-appeal, alleging that
    the district court erred in allowing certain expert testimony.
    We decline to adopt the loss-of-chance doctrine. However,
    we conclude that, as to Mary’s cause of action, the Cohans
    have met their burden under the traditional medical malprac-
    tice standard. We therefore affirm in part and in part reverse,
    and remand for a new trial, wherein the district court may
    address the evidentiary issues raised on cross-appeal, in light
    of this opinion.
    II. BACKGROUND
    In accordance with our standard of review, the following
    facts give the nonmoving party the benefit of every contro-
    verted fact and all reasonable inferences from the evidence.1
    On August 8, 2008, Mary underwent a diagnostic examina-
    tion at a hospital in Papillion, Nebraska, after reporting that
    she felt some small lumps in her left breast. The diagnostic
    examination, which consisted of a mammogram with additional
    imaging and ultrasound, showed no abnormalities.
    The following year, on October 12, 2009, Mary attended
    her annual physical examination with Berlin, a physician’s
    assistant for Dr. Woods at Bellevue Obstetrics and Gynecology
    Associates. Mary told Berlin that Mary had lumps in her left
    breast and that she was concerned about the appearance of
    her left nipple. Shortly after this appointment, on October
    21, Mary underwent a screening mammogram with Medical
    1
    See Scheele v. Rains, 
    292 Neb. 974
    , 
    874 N.W.2d 867
     (2016).
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    COHAN v. MEDICAL IMAGING CONSULTANTS
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    Imaging Consultants. Dr. Faulk read the mammogram as nor-
    mal, with no evidence of malignancy.
    A year later, in October 2010, Mary’s annual mammo-
    gram identified an abnormality in her left breast. Further
    testing revealed a cancerous tumor. As a result, Mary under-
    went chem­otherapy and radiation; a double mastectomy, dur-
    ing which surgeons also removed axillary lymph nodes; and
    reconstructive surgery. Upon removal, the cancerous tumor
    measured 7.1 centimeters in diameter. Examination of the
    lymph nodes showed that the tumor had metastasized, or
    spread, to 19 of the 24 lymph nodes removed.
    On December 4, 2015, the Cohans filed an amended com-
    plaint against Appellees. They alleged that Appellees were
    negligent in failing to detect abnormalities in Mary’s exami-
    nations in 2009 that would have led to the discovery of
    cancer prior to the discovery in 2010. They further alleged
    that Mary was prevented from being afforded a better out-
    come because of the yearlong delay in diagnosing the cancer
    and that she further sustained damages from a shortened life
    expectancy and physical and mental suffering. The Cohans
    incorporated the same allegations into Terry’s cause of action
    and averred that Terry has and will sustain damages due to a
    loss of consortium.
    Mary testified about the emotional trauma, anxiety, agony,
    and distress she experienced when she received the cancer
    diagnosis and had to decide whether to undergo surgical
    removal of one or both breasts. For a time, she took Xanax,
    an antianxiety medication, to help her cope. Mary testified
    that she also had mental pain and anguish as a result of the
    yearlong delay in diagnosis, and we set forth a portion of that
    testimony in the analysis section below. Mary further testi-
    fied that 5 years after her diagnosis, she talked to her surgeon
    about the relative risk of recurrence and that that conversation
    caused her more anxiety than she had already been suffering.
    As of the time of trial, Mary had not experienced a recurrence
    of cancer.
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    COHAN v. MEDICAL IMAGING CONSULTANTS
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    Mary testified about the pain, fatigue, and other negative
    experiences incident to her surgery, chemotherapy, and radia-
    tion treatments. She stated that at the time of trial, she still had
    pain from the mastectomy. Mary described herself as “disfig-
    ured” after the reconstructive surgery “turned out horrible” due
    to the effects of radiation treatments. At the time of trial, she
    had “huge scars” and no nipples, her breasts were “lopsided”
    and “ugly,” and one breast was as “hard as a rock.” At the time
    of trial, Mary was taking medication to prevent cancer from
    recurring. She testified that this was stressful for her and that
    the medication weakened her bones. Mary also testified that
    she wore a compression sleeve on her left arm all day due to a
    condition called lymphedema, which, she stated, developed as
    a result of removing “quite a few lymph nodes.”
    Terry testified that he and Mary were married on September
    4, 1982. He stated that he had been with her throughout her
    cancer diagnosis, treatment, and surgery. Terry described the
    entire experience as “quite traumatic” for them both, par-
    ticularly following the diagnosis, when they were both “very
    upset, confused, [and] distraught.” At the time of trial, Mary’s
    emotional reaction to the cancer was not as intense as it was
    initially, but Mary still expressed concerns to Terry “[a]ll the
    time.” Terry confirmed that Mary had used Xanax to help her
    cope but that she was not using it at the time of trial.
    In addition to Terry’s testimony, the Cohans presented
    deposition testimony of three expert witnesses. Dr. Catherine
    Appleton, a diagnostic radiologist with a subspecialty in breast
    imaging, opined that the 2009 mammogram showed an abnor-
    mality in Mary’s left breast, which Dr. Appleton believed to
    be a cancerous tumor. In Dr. Appleton’s opinion, to comply
    with the standard of care, Dr. Faulk should have taken fur-
    ther action to diagnose Mary’s cancer following Mary’s 2009
    appointment and mammogram. She testified that had Mary
    undergone diagnostic imaging of her breast in 2009, more
    likely than not, the breast cancer would have been found.
    According to Dr. Appleton, the tumor grew in the interim
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    between the 2009 mammogram and the ultimate cancer diag-
    nosis in 2010.
    Dr. Appleton’s testimony indirectly addressed the issue of
    breast conservation. Without prior evidence of Dr. Appleton’s
    opinion about Mary’s eligibility for breast-conserving surgery,
    the following colloquy occurred:
    Q. And while you may have the opinion that [Mary]
    might have been eligible to have breast conserving sur-
    gery if her cancer had been diagnosed in 2009, that
    decision is actually up to the patient, isn’t it, whether to
    have a lumpectomy or a mastectomy or some other form
    of treatment?
    A. Well, to the extent that a surgeon can offer breast
    conservation therapy, there is a discussion between the
    surgeon and the patient. Some patients will not be offered
    breast conservation therapy. But on the other side of the
    coin, some patients who could get a lumpectomy choose
    to have a mastectomy. So it can go one way, but there
    are times when a patient just simply will not be offered
    breast conservation due to the extent of [the] disease. So
    it’s not simply up to the patient.
    ....
    Q. Even if [Mary] was diagnosed with breast cancer
    in 2009 or even in 2008, and even she was — even if it
    would have been a stage 2 cancer at that time and she
    might have been eligible for a lumpectomy operation if
    she wanted to choose that option, she still was going to
    have to have some sort of operation on her breast, true?
    A. Yes. That would be convention, yes.
    A 2010 MRI report received into evidence stated that the
    condition of Mary’s left breast “would likely contraindicate
    nipple sparing procedures.”
    The Cohans presented the deposition testimony of Dr. Paul
    Gatewood, an obstetrician-gynecologist, who stated that Berlin
    had deviated from the standard of care in 2009. When asked
    whether he an opinion about what Mary’s outcome would
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    COHAN v. MEDICAL IMAGING CONSULTANTS
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    have been had Berlin acted within the standard of care, Dr.
    Gatewood testified that the cancer would have been discovered
    in 2009. He observed that early diagnosis is the key to survival
    of any cancer, particularly breast cancer. He explained that the
    natural progression of a tumor is to grow until it is treated. Dr.
    Gatewood opined that had Mary’s cancer been discovered a
    year earlier, the tumor likely would have been smaller and the
    lymph node involvement less extensive.
    The Cohans also presented the deposition testimony of
    oncologist Dr. Michael Naughton, who explained the pro-
    gression of the cancer and the risk of recurrence. Before
    Dr. Naughton’s trial deposition testimony was presented to
    the jury, the district court overruled Appellees’ motions to
    strike portions pertaining to risk of recurrence and loss-of-
    chance damages. The district court reasoned that the testi-
    mony was allowed by Rankin v. Stetson,2 as “evidence that
    early intervention would more likely than not have led to an
    improved outcome.”
    Dr. Naughton estimated that in 2009, Mary’s cancer likely
    involved a 3.5 centimeter tumor and up to 3 lymph nodes,
    in contrast with the 7.1 centimeter tumor and 19 cancerous
    lymph nodes discovered in 2010. He testified that Mary’s
    tumor was moderately aggressive and that a tumor generally
    becomes more aggressive rather than less aggressive over
    time. Further, he testified that a tumor often develops the
    ability to spread at some point in its life cycle. Dr. Naughton
    stated that the smaller the cancerous tumor and the fewer
    lymph nodes involved at the time of diagnosis, the better the
    prognosis for the patient; whereas, the larger the tumor and
    the more lymph nodes infiltrated, the greater the risk of recur-
    rence. He affirmed that risk of recurrence generally meant
    cancer manifesting itself distantly, past the nodes.
    Dr. Naughton testified that the risk of recurrence “essen-
    tially starts at day zero from diagnosis and is continuous at a
    2
    Rankin v. Stetson, 
    275 Neb. 775
    , 
    749 N.W.2d 460
     (2008).
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    relatively stable level for the first ten years from diagnosis.”
    He further explained that “roughly half the estimated recur-
    rences happen in the first five years” and that the risk of recur-
    rence is reduced when there has been no recurrence during the
    first five years following diagnosis. However, according to
    medical records, Mary’s surgeon advised her that “we see more
    recurrences of hormone driven cancers in the second five years
    rather than the first.”
    Dr. Naughton testified that the risk of recurrence was
    based on population data and could not be extrapolated to
    an individual level and that he could not predict whether a
    specific person would fall into the group that experiences a
    recurrence. According to Dr. Naughton, risk of recurrence
    data is used to counsel individual patients about risk and to
    “classify women in a risk group so we can do clinical trials so
    we can study how different risk groups behave and respond
    to therapy.”
    Based on population data, Dr. Naughton testified that
    considering the type of cancer discovered in 2010, Mary’s
    10-year risk of recurrence “distantly is at least 75 percent.”
    Dr. Naughton acknowledged that Mary’s medical records as
    recently as 2014 showed no recurrence of cancer since her
    initial diagnosis in 2010 and that it was his understanding that
    Mary had experienced no recurrence. He testified that, conse-
    quently, her prognosis as to her rate of recurrence was better at
    the time of his 2015 deposition than it was when she was first
    diagnosed 5 years earlier, in 2010. He estimated that because
    Mary had “lived through approximately half of her risk,” her
    10-year recurrence risk moving forward from the time of trial
    was “as low as 35 percent.”
    Dr. Naughton also testified that had Mary’s cancer been
    discovered in October 2009, her 10-year risk of recurrence
    would have been approximately 30 percent. He estimated that
    because Mary had lived through 6 years, or 60 percent, of that
    10-year period, her residual risk of recurrence at the time of
    trial was 12 percent.
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    COHAN v. MEDICAL IMAGING CONSULTANTS
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    At the close of the Cohans’ case in chief, Appellees
    moved for a directed verdict on the basis that the Cohans
    failed to make a prima facie case of causation and dam-
    ages against them. The district court granted the motion and
    stated:
    As far as the directed verdict on causation and damages
    are concerned . . . I’m satisfied that there is sufficient
    evidence of negligence that that issue would go before
    the jury.
    I’m further satisfied that there is no probative evidence
    of damage [to Terry]. There’s no testimony with regard to
    [Terry’s] claim.
    And with regard to [Mary’s] claim, I am satisfied
    that there is no sufficient proof of damage or causa-
    tion other than the loss of chance of a . . . lower rate of
    non-­recurrence. And under the law of Nebraska at the
    present time that does not constitute a proper measure
    of damage.
    For that reason I must sustain the motions for directed
    verdict filed by [Appellees] in this matter.
    The Cohans now appeal this ruling.
    Appellees cross-appeal, challenging the district court’s rul-
    ing on their motions to strike testimony by Dr. Naughton.
    III. ASSIGNMENTS OF ERROR
    On direct appeal, the Cohans assign that the district court
    erred in (1) granting Appellees’ motions for directed verdict
    on the issues of proximate cause and damages and (2) dis-
    missing the Cohans’ first amended complaint on the basis
    that Mary failed to offer sufficient proof of damages or
    causation other than a “‘loss of chance of a lower rate of
    non-recurrence.’”
    On cross-appeal, Appellees essentially assign that the district
    court erred in denying their motions to strike Dr. Naughton’s
    testimony.
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    IV. STANDARD OF REVIEW
    [1] A directed verdict is proper only when reasonable
    minds cannot differ and can draw but one conclusion from
    the evidence, that is, when an issue should be decided as a
    matter of law. In reviewing that determination, we give the
    nonmoving party the benefit of every controverted fact and all
    reasonable inferences from the evidence.3
    V. ANALYSIS
    1. M ary’s Claim
    The Cohans approach this appeal from two different per-
    spectives. They claim that they have met the traditional bur-
    den of proof for a medical malpractice claim but that if
    not, we should adopt the loss-of-chance doctrine and/or the
    Restatement (Second) of Torts.4
    First, they point to their experts’ opinions that Appellees
    were negligent in not locating the tumor in 2009 and that such
    negligence increased Mary’s risk of distant metastatic recur-
    rence, which was 30 percent if the tumor had been discovered
    in 2009, but rose to 75 percent by the time the tumor was
    discovered 1 year later. Based upon this testimony, the Cohans
    argue that the district court should not have granted a directed
    verdict, thus precluding consideration by a jury, because suffi-
    cient prima facie evidence had been presented showing (1) that
    there was a deviation from the standard of care by Appellees
    and (2) that the deviation was a proximate cause of Mary’s
    injuries. However, the Cohans’ arguments in regard to Mary’s
    chances of survival are valid only if Nebraska adopts the loss-
    of-chance doctrine, a doctrine which, as discussed in more
    detail below, we have not adopted to date.
    (a) Loss-of-Chance Doctrine
    The loss-of-chance doctrine is based upon the Restatement
    (Second) of Torts, which provides:
    3
    Scheele v. Rains, 
    supra note 1
    .
    4
    See Restatement (Second) of Torts § 323 (1965).
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    One who undertakes, gratuitously or for consideration,
    to render services to another which he should recognize
    as necessary for the protection of the other’s person or
    things, is subject to liability to the other for physical harm
    resulting from his failure to exercise reasonable care to
    perform his undertaking, if
    (a) his failure to exercise such care increases the risk
    of such harm, or
    (b) the harm is suffered because of the other’s reliance
    upon the undertaking.5
    One of the early discussions in regard to the loss-of-chance
    doctrine was a 1981 law journal article,6 which reasoned:
    Causation refers to the cause and effect relationship that
    must be established between tortious conduct and a loss
    before liability for that loss may be imposed. Causation
    questions relate to the fact of a loss or of its source.
    Valuation is the process of identifying and measuring the
    loss that was caused by the tortious conduct. . . .
    ....
    [The courts’] failure to distinguish between the func-
    tions of causation and valuation, or to identify and value
    rationally the true interests lost, has created a serious
    gap in the remedial structure. Courts have had difficulty
    perceiving that a chance of avoiding some adverse result
    or of achieving some favorable result is a compensable
    interest in its own right. In some respects the notion of
    chance has been subsumed into the final result. When this
    occurs, the loss of a chance of avoiding some adverse
    result or achieving some favorable result either is com-
    pletely redressed or is denied, depending on the likeli-
    hood, destroyed by the defendant’s tortious conduct, of
    avoiding or achieving the particular result.
    5
    
    Id. at 135
    .
    6
    Joseph H. King, Jr., Causation, Valuation, and Chance in Personal Injury
    Torts Involving Preexisting Conditions and Future Consequences, 
    90 Yale L.J. 1353
    , 1353-54 (1981).
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    . . . [T]he loss of a chance of achieving a favorable
    outcome or of avoiding an adverse consequence should
    be compensable and should be valued appropriately,
    rather than treated as an all-or-nothing proposition.
    Courts have taken this loss-of-chance discussion and applied
    it to medical malpractice actions by requiring a plaintiff to
    prove by a preponderance of the evidence that the medical
    provider’s negligence caused the plaintiff’s injury, where the
    injury consists of the diminished likelihood of achieving a
    more favorable medical outcome.7 However, they have adopted
    different permutations of the loss-of-chance doctrine.
    One version, commonly termed the “relaxed causation”
    approach, simply loosens the traditional standard of evi-
    dentiary sufficiency, permitting the causation issue to
    be resolved by the fact finder even though there is no
    evidence of a reasonable probability that the defendant’s
    negligence caused the patient’s death or other ultimate
    harm. . . .
    Under the relaxed causation approach, the patient’s
    ultimate death or injury, and not the lost chance itself,
    continues to be treated as the relevant harm when deter-
    mining proximate cause. Hence, even while the lost
    chance may be less than even, full damages are awarded
    in the same manner as if the plaintiff had established cau-
    sation under traditional principles. . . .
    ....
    . . . Other states, typically relying on the Second
    Restatement of Torts § 323(a), allow the case to be sub-
    mitted based on evidence that the defendant’s negligence
    increased the risk of the ultimate harm. . . .
    ....
    . . . Under this approach, damages are limited solely to
    the value of the lost chance.8
    7
    See, e.g., Matsuyama v. Birnbaum, 
    452 Mass. 1
    , 
    890 N.E.2d 819
     (2008).
    8
    Kramer v. Lewisville Memorial Hosp., 
    858 S.W.2d 397
    , 401-02 (Tex.
    1993) (citations omitted).
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    The Cohans note that several states have adopted some
    v­ersion of the loss-of-chance doctrine.9 In particular, the
    Cohans cite to Matsuyama v. Birnbaum,10 a Massachusetts
    case which involved the death of the patient. There, the
    court held:
    “[I]njury” need not mean a patient’s death. Although
    there are few certainties in medicine or in life, prog-
    ress in medical science now makes it possible, at least
    with regard to certain medical conditions, to estimate a
    patient’s probability of survival to a reasonable degree of
    medical certainty. . . That probability of survival is part
    of the patient’s condition. When a physician’s negligence
    diminishes or destroys a patient’s chance of survival,
    the patient has suffered real injury. The patient has lost
    something of great value: a chance to survive, to be
    cured, or otherwise to achieve a more favorable medi-
    cal outcome.11
    9
    See, Thompson v. Sun City Community Hosp., Inc., 
    141 Ariz. 597
    , 
    688 P.2d 605
     (1984); Ferrell v. Rosenbaum, 
    691 A.2d 641
     (D.C. 1997); Holton
    v. Memorial Hosp., 
    176 Ill. 2d 95
    , 
    679 N.E.2d 1202
    , 
    223 Ill. Dec. 429
    (1997); Cahoon v. Cummings, 
    734 N.E.2d 535
     (Ind. 2000); DeBurkarte
    v. Louvar, 
    393 N.W.2d 131
     (Iowa 1986); Delaney v. Cade, 
    255 Kan. 199
    ,
    
    873 P.2d 175
     (1994); Hastings v. Baton Rouge Gen. Hosp., 
    498 So. 2d 713
     (La. 1986); Wollen v. DePaul Health Center, 
    828 S.W.2d 681
     (Mo.
    1992); Aasheim v. Humberger, 
    215 Mont. 127
    , 
    695 P.2d 824
     (1985); Perez
    v. Las Vegas Medical Center, 
    107 Nev. 1
    , 
    805 P.2d 589
     (1991); Evers v.
    Dollinger, 
    95 N.J. 399
    , 
    471 A.2d 405
     (1984); Alberts v. Schultz, 
    126 N.M. 807
    , 
    975 P.2d 1279
     (1999); Roberts v. Permanente Med. Group, 
    76 Ohio St. 3d 483
    , 
    668 N.E.2d 480
     (1996); McKellips v. Saint Francis Hosp., Inc.,
    
    741 P.2d 467
     (Okla. 1987); Hamil v. Bashline, 
    481 Pa. 256
    , 
    392 A.2d 1280
    (1978); Jorgenson v. Vener, 
    616 N.W.2d 366
     (S.D. 2000) (abrogated by
    statute as stated in Smith v. Bubak, 
    643 F.3d 1137
     (8th Cir. 2011)); Brown
    v. Koulizakis, 
    229 Va. 524
    , 
    331 S.E.2d 440
     (1985); Herskovits v. Group
    Health, 
    99 Wash. 2d 609
    , 
    664 P.2d 474
     (1983); Thornton v. CAMC, Etc.,
    
    172 W. Va. 360
    , 
    305 S.E.2d 316
     (1983); Ehlinger v. Sipes, 
    155 Wis. 2d 1
    ,
    
    454 N.W.2d 754
     (1990); McMackin v. JCHC, 
    88 P.3d 491
     (Wyo. 2004).
    10
    Matsuyama v. Birnbaum, supra note 7.
    11
    Id. at 16, 890 N.E.2d at 832 (citations omitted).
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    In countering these arguments, the Texas Supreme Court in
    Kramer v. Lewisville Memorial Hosp.12 noted that the real harm
    in any case is whether the patient ultimately suffers a recur-
    rence or death. The court in Kramer went on to state:
    Unless courts are going to compensate patients who “beat
    the odds” and make full recovery, the lost chance cannot
    be proven unless and until the ultimate harm occurs. .
    . . Hence, legal responsibility under the loss of chance
    doctrine is in reality assigned based on the mere pos-
    sibility that a tortfeasor’s negligence was a cause of the
    ultimate harm.13
    Although we find this reasoning persuasive, we acknowledge
    that the loss-of-chance doctrine has a level of attractiveness in
    protecting patients who are struggling with a serious medical
    situation, but, as we discuss later, the doctrine also comes with
    inherent drawbacks.
    Were we to apply the loss-of-chance doctrine in the instant
    case, with Mary not having a recurrence as of the time of trial,
    the damages would represent the “mere possibility” that the
    tort-feasors’ negligence caused ultimate harm, a harm which
    may never occur. Even a court which adopted a version of the
    loss-of-chance doctrine recognized that some versions of that
    doctrine allow “a jury to speculate on causation because expert
    testimony that a physician’s negligence probably caused the
    total damages is not required.”14 Here, the jury would be left
    to speculate on possible harm in the future, since there was
    no evidence of Mary’s chance of survival even if the cancer
    returned. The Cohans’ expert only opined regarding the chance
    of recurrence, which, at the time of trial, was 30 percent.
    In addition, although we are sympathetic to the Cohans’
    situation, adoption of the loss-of-chance doctrine in this case
    12
    Kramer v. Lewisville Memorial Hosp., supra note 8.
    13
    Id. at 405 (citation omitted) (emphasis in original).
    14
    DeBurkarte v. Louvar, 
    supra note 9
    , 
    393 N.W.2d at 137
     (emphasis in
    original).
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    would create unwarranted liability in other cases and other
    medical contexts. It would, for example, reduce the standard
    of causation to a mere possibility rather than a preponderance
    of the evidence and allow for lawsuits in which the patient
    involved had only a slight chance of survival even prior to
    the medical professional’s negligent conduct. Although no
    profession should avoid the consequences of negligent con-
    duct, we choose not to lower the well-established standard
    of causation.
    Lastly, as noted by the court in Kramer, how does an appel-
    late court avoid the application of the loss-of-chance doctrine
    in other areas of the law, beyond medical malpractice? For
    example, does an unsuccessful litigant have a cause of action
    where an attorney’s failure to object to evidence which negli-
    gently reduced the chance of success by some degree? After
    reviewing the several arguments for and against, we decline
    to adopt either the loss-of-chance doctrine or § 323 of the
    Restatement (Second) of Torts.
    [2] Finally, the Cohans argue that this court has already
    adopted the loss-of-chance doctrine in Nebraska. They point
    to Steineke v. Share Health Plan of Neb.,15 where the dissent-
    ing opinion argued that in Washington v. American Community
    Stores Corp.,16 this court had “wittingly or unwittingly, wisely
    or unwisely, . . . recognized loss of chance as an element
    of tort damages.” But the dissent also stated, “Perhaps the
    majority opinion has, knowingly or otherwise, silently over-
    ruled Washington.”17 Although past dissenting justices have
    expressed a desire to consider the loss-of-chance doctrine,
    we do not find this language controlling, especially, in view
    15
    Steineke v. Share Health Plan of Neb., 
    246 Neb. 374
    , 381, 
    518 N.W.2d 904
    , 909 (1994) (Caporale, J., dissenting; Lanphier, J., joins).
    16
    Washington v. American Community Stores Corp., 
    196 Neb. 624
    , 
    244 N.W.2d 286
     (1976).
    17
    Steineke v. Share Health Plan of Neb., supra note 15, 
    246 Neb. at 381
    , 
    518 N.W.2d at 909
     (Caporale, J., dissenting; Lanphier, J., joins).
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    of the more recent case of Rankin v. Stetson,18 where we spe-
    cifically stated, “We agree that an opinion framed in terms of
    loss of chance would not sustain [the plaintiff’s] burden of
    establishing that the defendants proximately caused her injury.
    We also note that Nebraska has not recognized the loss-of-
    chance doctrine.”
    To further support their contention that we have already
    adopted the loss-of-chance doctrine, the Cohans point to our
    previous approval of NJI2d Civ. 4.09, suggesting that “‘[i]f
    you cannot separate damages caused by the pre-existing con-
    ditions from those caused by the accident, then the defendant
    is liable for all of those damages.’”19 In David v. DeLeon,20
    we stated:
    “‘In an action for damages for personal injuries caused
    by a wrongful act or omission, the injured person is enti-
    tled to recover full compensation for all damage proxi-
    mately resulting from the defendant’s act, even though
    his injuries may have been aggravated by reason of his
    pre-­existing physical or mental condition, rendered more
    difficult to cure by reason of his state of health, or more
    serious, because of a latent disease, than they would have
    been had he been in robust health. . . .’”
    However, we also stated, “We find that this instruction was
    the correct statement of the law and that it did not misstate
    the burden of proof: the instruction does not permit a jury to
    assess damages in any amount unless the plaintiff first proves
    proximate cause.”21 Our statement in David is consistent with
    the principle that the Cohans had the initial burden to prove
    causation of damages before a jury could proceed to appor-
    tioning damages.
    18
    Rankin v. Stetson, 
    supra note 2
    , 
    275 Neb. at 787
    , 
    749 N.W.2d at 469
    .
    19
    See David v. DeLeon, 
    250 Neb. 109
    , 113, 
    547 N.W.2d 726
    , 729 (1996).
    See, also, NJI2d 4.09, comment.
    20
    David v. DeLeon, 
    supra note 19
    , 
    250 Neb. at 114
    , 
    547 N.W.2d at 729
    ,
    quoting 22 Am. Jur. 2d Damages § 122 (1965).
    21
    Id. at 114, 
    547 N.W.2d at 730
     (emphasis supplied).
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    Furthermore, we note that in some instances, the applica-
    tion of the loss-of-chance doctrine, with its relaxed burden
    of proof, could prove contradictory to the Nebraska Hospital-
    Medical Liability Act, under which the claimant may recover
    damages only for those losses that are the direct and proximate
    result of the defendant’s wrongful actions, as established by a
    preponderance of the evidence.22
    After considering the Cohans’ arguments, we conclude that
    this court has not adopted the loss-of-chance doctrine, and we
    shall not adopt it at this time.
    (b) Present Standard for Medical
    Malpractice Action
    Next, the Cohans argue that the district court should not
    have granted a directed verdict, because they presented suf-
    ficient prima facie evidence showing causation and damages
    under our present standard for a medical malpractice action.
    [3,4] Currently, in Nebraska, in a malpractice action involv-
    ing professional negligence, the burden of proof is upon the
    plaintiff to demonstrate the generally recognized medical stan-
    dard of care, that there was a deviation from that standard by
    the defendant, and that the deviation was a proximate cause
    of the plaintiff’s alleged injuries.23 In the medical malpractice
    context, the element of proximate causation requires proof
    that the physician’s deviation from the standard of care caused
    or contributed to the injury or damage to the plaintiff.24 The
    Cohans contend they have met these standards through their
    evidence and that as result, the jury, as trier of the facts, should
    resolve conflicts in the evidence and determine the weight
    and credibility to be given to the testimony of witnesses.25
    However, the jury here was forestalled from deliberating on
    22
    See 
    Neb. Rev. Stat. § 44-2819
     (Reissue 2010).
    23
    Hamilton v. Bares, 
    267 Neb. 816
    , 
    678 N.W.2d 74
     (2004).
    24
    Thone v. Regional West Med. Ctr., 
    275 Neb. 238
    , 
    745 N.W.2d 898
     (2008).
    25
    See Jones v. Meyer, 
    256 Neb. 947
    , 
    594 N.W.2d 610
     (1999).
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    the evidence by the directed verdict, the propriety of which we
    now consider on appeal.
    [5] A directed verdict is proper only when reasonable minds
    cannot differ and can draw but one conclusion from the evi-
    dence, that is, when an issue should be decided as a matter of
    law. In reviewing that determination, we give the nonmoving
    party the benefit of every controverted fact and all reasonable
    inferences from the evidence.26 If there is any evidence which
    will sustain a finding for the party against whom the motion is
    made, the case may not be decided as a matter of law.27 But at
    the same time, we do not allow juries to engage in speculation
    or conjecture in determining damages.28
    The question becomes whether, giving Mary the benefit
    of every controverted fact and all reasonable inferences from
    the evidence, there was any evidence upon which the jury
    could have based a finding in her favor. Here, the reason-
    able inferences from the evidence reflect that Appellees were
    negligent in not diagnosing Mary’s cancer in 2009; that, as
    a result, the tumor grew from approximately 3.5 centime-
    ters in 2009 to 7.1 centimeters in 2010; that the number of
    lymph nodes affected increased from approximately 3 to 19;
    that the 2010 MRI report stated that the condition of Mary’s
    left breast “would likely contraindicate nipple sparing pro-
    cedures”; and that Mary experienced anxiety following her
    diagnosis. Lastly, Mary further testified regarding pain and
    suffering as follows:
    Q. . . . Well, have you felt — have you felt bad, any
    mental pain or anguish as a result of what you feel hap-
    pened to you as a result of having a delay in the diagnosis
    of your cancer?
    ....
    26
    Scheele v. Rains, 
    supra note 1
    .
    27
    See McWhirt v. Heavey, 
    250 Neb. 536
    , 
    550 N.W.2d 327
     (1996).
    28
    See Shipler v. General Motors Corp., 
    271 Neb. 194
    , 
    710 N.W.2d 807
    (2006).
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    [Mary]: Yes, I feel a lot of anxiety about that. A lot.
    Because the reality is it wasn’t caught in an early stage. It
    was an advanced stage. And I suffer from extreme anxiety
    and stress and depression from not knowing if I’m going
    to live. I don’t know if I’m going to make it. Time will
    tell. But I don’t know.
    [6,7] By this testimony, Mary stated that she had incurred
    mental pain or anguish as a result of the delayed cancer
    diagnosis. Whether Mary’s damages for anxiety were directly
    related to the delay in diagnosis or a consequence of discov-
    ering the cancer would have been a question of fact for the
    jury to determine. Although no specific dollar amounts were
    attached to her emotional injuries, the amount of damages for
    pain, suffering, and emotional distress inherently eludes exact
    valuation.29 It is a matter left largely to the discretion of the
    fact finder, which saw the witnesses and heard the evidence.30
    Considering the jury’s role as the fact finder and the evidence
    as a whole, we conclude that the Cohans presented evidence
    that could have sustained a finding for Mary on the issue of
    damages. Thus, the district court erred in granting Appellees’
    motions for directed verdict.
    2. Terry’s Claim
    Terry claims the district court also erred in granting a
    directed verdict on his claim. However, although Terry con-
    firmed the evidence presented by Mary, he failed to pre­
    sent sufficient evidence supporting his own cause of action.
    Therefore, the district court did not err in granting a directed
    verdict on his claim.
    3. Cross-A ppeals by A ppellees
    Appellees’ cross-appeals assign as error the admission
    of Dr. Naughton’s testimony. Appellees moved to strike Dr.
    Naughton’s testimony because they claimed that only Mary’s
    29
    Roth v. Wiese, 
    271 Neb. 750
    , 
    716 N.W.2d 419
     (2006).
    30
    Fickle v. State, 
    273 Neb. 990
    , 
    735 N.W.2d 754
     (2007).
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    prognosis at the time of trial was relevant and that Nebraska
    did not recognize a theory of recovery based upon loss of
    chance. The district court, in overruling the motions to strike,
    found that Dr. Naughton’s opinion was relevant for the limited
    purpose of establishing that early discovery of cancer leads to
    a better prognosis.
    [8,9] A trial court has the discretion to determine the rel-
    evancy and admissibility of evidence, and such determina-
    tions will not be disturbed on appeal unless they constitute
    an abuse of that discretion.31 A trial court’s ruling in receiv-
    ing or excluding an expert’s testimony which is otherwise
    relevant will be reversed only when there has been an abuse
    of discretion.32
    Appellees first argue that the district court should not have
    allowed testimony concerning damages which was based upon
    a life expectancy or likelihood of recurrence but did not reflect
    Mary’s condition at the time of trial. This argument stems
    from Dr. Naughton’s testimony that Mary’s risk of recur-
    rence had fallen to 30 percent at the time of trial. Basically,
    Appellees request that damages be limited to Mary’s condition
    at the time of trial. We decline to adopt this theory.
    In Nebraska, proven damages which are proximately caused
    by a breach of duty are recoverable. We have said that “‘[i]n
    an action for damages for personal injuries caused by a wrong-
    ful act or omission, the injured person is entitled to recover
    full compensation for all damage proximately resulting from
    the defendant’s act . . . .’”33 And we have also found the term
    “personal injury” to be broad in scope.34
    Accordingly, the district court did not err in refusing to
    limit Dr. Naughton’s testimony to Mary’s condition solely
    at the time of trial. Of course, a party can present evidence
    31
    Gallner v. Larson, 
    291 Neb. 205
    , 
    865 N.W.2d 95
     (2015).
    32
    Schafersman v. Agland Coop, 
    262 Neb. 215
    , 
    631 N.W.2d 862
     (2001).
    33
    McCall v. Weeks, 
    183 Neb. 743
    , 750, 
    164 N.W.2d 206
    , 210 (1969).
    34
    See Gallion v. O’Connor, 
    242 Neb. 259
    , 
    494 N.W.2d 532
     (1993).
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    reflecting an injured party’s current condition for any relevant
    purpose such as to mitigate damages. But the amount of dam-
    ages, proximately caused, is an issue for the trier of fact to
    assess and weigh.35
    Next, Appellees argue that Dr. Naughton’s testimony
    should have been excluded because it pertained only to the
    loss-of-chance doctrine. We have determined that Nebraska
    does not recognize the loss-of-chance doctrine. Therefore, any
    evidence offered solely for that purpose would be in error.
    But the district court did not err in finding Dr. Naughton’s
    testimony relevant for the limited purpose of establishing
    that early discovery of cancer leads to a better prognosis.
    And within the parameters of the district court’s ruling, Dr.
    Naughton’s testimony corroborated other evidence of negli-
    gent conduct.
    We conclude that Appellees’ cross-appeals lack merit.
    However, upon retrial, the district court shall rule on the par-
    ties’ motions and objections with due consideration of our
    holding on the loss-of-chance doctrine.
    VI. CONCLUSION
    For the aforementioned reasons, as to Mary’s cause of
    action, we conclude that the district court erred in granting
    Appellees’ motions for directed verdict and we reverse the
    matter for a new trial. However, we affirm the directed verdict
    granted as to Terry’s cause of action. We further find no merit
    in Appellees’ cross-appeals.
    A ffirmed in part, and in part reversed
    and remanded for a new trial.
    Funke, J., not participating.
    35
    See Union Ins. Co. v. Bailey, 
    234 Neb. 257
    , 
    450 N.W.2d 661
     (1990)
    (question of amount of damages to be awarded is solely one for fact
    finder).