State v. Muraida ( 2013 )


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  •        IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO
    Opinion Number: ________________
    Filing Date: August 8, 2013
    Docket No. 31,646
    STATE OF NEW MEXICO,
    Plaintiff-Appellant,
    v.
    GERARD MURAIDA,
    Defendant-Appellee.
    APPEAL FROM THE DISTRICT COURT OF BERNALILLO COUNTY
    Charles W. Brown, District Judge
    Gary K. King, Attorney General
    Rebecca Salwin, Assistant Attorney General
    Santa Fe, NM
    for Appellant
    Stelzner, Winter, Warburton, Flores, Sanchez & Dawes, P.A.
    Luis G. Stelzner
    Sara N. Sanchez
    Albuquerque, NM
    for Appellee
    OPINION
    HANISEE, Judge.
    {1}    The State appeals the district court’s dismissal of the criminal complaint charging
    Defendant Gerard Muraida, M.D., with abuse and/or neglect of a nursing home resident, who
    died due to blood loss from an excessively prescribed quantity of the anticoagulant drug
    Coumadin. The State argues that the district court impermissibly decided the merits of the
    case by implicitly engaging in fact finding in its dismissal of the complaint pursuant to
    Defendant’s pretrial Foulenfont motion. See State v. Foulenfont, 
    1995-NMCA-028
    , ¶ 2, 119
    
    1 N.M. 788
    , 
    895 P.2d 1329
     (allowing the dismissal of criminal charges on purely legal
    grounds when the district court assumes the factual predicate underlying the charges to be
    true). Because the complaint stated facts that if proven are sufficient to convict Defendant
    of abuse and/or neglect, we reverse.
    I.      FACTUAL ALLEGATIONS AND PROCEDURAL HISTORY
    {2}     The State’s complaint incorporates a sworn declaration (the report) by elder care
    specialist Loren G. Lipson, M.D., regarding the circumstances of the resident’s (identified
    herein as D.A.) medical care and death and alleges the facts we recite herein, which we must
    assume to be true. D.A., then eighty-four years old, suffered a heart attack and subsequently
    received acute care at the Heart Hospital of New Mexico in Albuquerque from August 2 to
    August 15, 2005. On August 15, D.A. was transferred to Albuquerque Care Center (ACC)
    for rehabilitation, where Defendant became her attending physician. Defendant saw D.A.
    once on August 16. As part of the treatment for D.A.’s heart attack, Defendant prescribed
    Coumadin, which D.A. had already begun to receive while being treated at the Heart
    Hospital of New Mexico. Coumadin is “an anti[]coagulant used to thin blood so it can more
    easily pass through constricted blood vessels.”
    {3}      Initially, Defendant utilized a blood test called Protime to monitor the anticoagulative
    effects of Coumadin on D.A. This test measures an individual’s clotting time (called the
    INR) in comparison with the standard clotting time for the average person, for which a
    baseline INR value of 1.0 is assigned. In this case, the therapeutic INR goal for D.A. was
    between 2.0 and 3.0. The complaint asserts that this test was an important tool for Defendant
    to evaluate and monitor D.A.’s coagulation because “Coumadin is a potentially dangerous
    drug and can result in excessive bleeding due to decreased clotting.” At the admission
    examination conducted by Defendant on August 16, Defendant noted that D.A. had
    “multiple bruises[,] ‘areas related to her anti[]coagulation and hospitalization.’ He also
    noted an elevated INR of ‘3.4’ which was higher th[an her therapeutic] ‘INR’ goal of ‘2 to
    3.’ [At that time, D.A.’s] Coumadin dose was 1.0 mg per day.” Several days later on August
    19, D.A.’s “INR was 1.74, [and Defendant] increased the Coumadin dose on [August 20] to
    1.5 mg per day. Inexplicably, no additional INR’s were ordered for (a week) even though
    a new dose of Coumadin was started, and [D.A.’s] INR was elevated above the desired range
    [at the time of her] admission.” In his report, Dr. Lipson explained that “[w]hen the
    Coumadin dose is increased or decreased[,] the INR must be measured daily until a relative
    steady state is obtained. If too much Coumadin is given, any wound, vessel abnormality[,]
    or lesion where there may be a tendency to bleed has a greater chance of bleeding.”
    {4}      Also pursuant to Dr. Lipson’s report, the complaint maintains that “Dr. Muraida did
    not set blood pressure notification parameters, and actually ignored her low blood pressure
    when he examined her.” Notably, “low blood pressure [can be a sign of] acute bleeding and
    . . . dehydration.” Defendant also “failed to reduce [D.A.’s] blood pressure medication
    dosages or check her hydration status or hematologic status—all placing her at risk for
    further heart damage, stroke or other vital organ ischemic damage.”
    2
    {5}     Six days following the increase in Coumadin dosage and upon discovery of blood in
    D.A.’s stool on August 26, Defendant “ordered [ACC] nursing to schedule a colonoscopy
    with a gastroenterologist . . . ‘for possible hemorrhoids’ ([without a] basis in [her] chart for
    that diagnosis). [In addition, t]he appointment was not asked for on an emergent basis.” No
    INR test was administered at that time. Dr. Lipson explained that the “[s]tandard of care . . .
    demanded an immediate evaluation of her gastrointestinal bleeding in a hospital,
    discontinuation of the Coumadin for at least two days[,] and daily measurement of her INR.
    Any gastrointestinal bleeding would place [D.A.] at risk for further heart damage from
    anemia and hypoxia.”
    {6}    The report also stated that Defendant was informed that D.A. had a nose bleed, knee
    swelling, and bright red blood in her stools after she suffered falls getting out of bed, yet
    Defendant did not properly address those issues. Ultimately, on September 1, D.A. was sent
    to the emergency room for acute rectal bleeding. The affidavit states that she was
    “massively over anticoagulated,” possessing an INR “greater than 12.5[,] despite her
    anticoagulation goal being [an INR of 2.0 to 3.0].” The complaint alleges that D.A. died
    from blood loss from a tumor in her colon as a result of the anticoagulation treatment. Dr.
    Lipson stated that “[h]ad [Defendant] on [August 26] immediately and aggressively followed
    up on her initial reported rectal bleeding by stopping the Coumadin and getting an emergent
    colon[o]scopy [, D.A.] would not have died on [September 1, 2005].” Dr. Lipson concluded
    that Defendant’s “grossly negligent conduct directly led to [D.A.’s] death.”
    {7}     Defendant’s pretrial Foulenfont motion, filed prior to any determination of probable
    cause by either a grand jury or a judge at a preliminary hearing, asserted that the charges
    against him should be immediately dismissed because the complaint and supporting affidavit
    did not allege facts sufficient to support a conviction for abuse and neglect of D.A. The
    State responded that ample facts were alleged in the complaint and supporting documents
    to establish Defendant’s criminal liability. The State also maintained that to the extent
    Defendant’s motion required inquiry into the facts, such questions should be resolved at trial.
    The district court granted the motion and dismissed all charges against Defendant,
    determining that “the undisputed facts cannot, as a matter of law, sustain the elements of the
    criminal offenses charged.” The State appeals, arguing that the district court wrongly
    decided the merits of the case before trial.
    II.    DISCUSSION
    {8}    Defendant was charged in a two-count criminal complaint with violating the Resident
    Abuse and Neglect Act (the Act). See NMSA 1978, §§ 30-47-1 to -10 (1990, as amended
    through 2010). Both counts alternatively alleged abuse and neglect under the Act. Count
    one was premised on injuries suffered by D.A.; count two was premised on her death.
    {9}     The Act provides criminal penalties for medical care administered in a residential
    setting that falls beneath legislated standards of acceptability. See § 30-47-4 (setting forth
    the criminal penalties for resident abuse); § 30-47-5 (setting forth the criminal penalties for
    3
    resident neglect). Under Section 30-47-3(A)(4), “ ‘abuse’ means any act or failure to act
    performed intentionally, knowingly[,] or recklessly that causes or is likely to cause harm to
    a resident, including: . . . medically inappropriate conduct[.]” Under Section 30-47-3(F),
    “neglect” means, subject to the resident’s right to refuse treatment and
    subject to the caregiver’s right to exercise sound medical discretion, the
    grossly negligent:
    (1)      failure to provide any treatment, service, care, medication or
    item that is necessary to maintain the health or safety of a resident;
    (2)   failure to take any reasonable precaution that is necessary to
    prevent damage to the health or safety of a resident; or
    (3)     failure to carry out a duty to supervise properly or control the
    provision of any treatment, care, good, service or medication necessary to
    maintain the health or safety of a resident[.]
    Thus, at minimum, the complaint must allege facts that demonstrate Defendant acted in an
    abusive manner or was “grossly negligent” when he neglected to take reasonable precautions
    or to provide or supervise the provision of appropriate care, treatment, service, or medication
    necessary to the maintenance of D.A.’s health. Id.
    {10} As Section 30-47-3(F) does not specify what it means by “grossly negligent”
    conduct, we must clarify whether the type of negligence at issue is criminal or civil. “What
    distinguishes civil negligence from criminal negligence is not whether the person is
    subjectively aware of a risk of harm; rather, it is the magnitude of the risk itself.” State v.
    Schoonmaker, 
    2008-NMSC-010
    , ¶ 43, 
    143 N.M. 373
    , 
    176 P.3d 1105
    .
    In order to be criminally negligent, a defendant need not be subjectively
    aware of a risk, but the risk must be one of which he should be aware. The
    risk must be of such a nature and degree that the actor’s failure to perceive
    it involves a gross deviation from the standard of care that a reasonable
    person would observe in the actor’s situation.
    State v. Webb, 
    2013-NMCA-027
    , ¶ 22, 
    296 P.3d 1247
     (alterations, internal quotation marks,
    and citation omitted), cert. denied, 
    2013-NMCERT-002
    , 
    300 P.3d 132
    ; see UJI 14-133
    NMRA (defining criminal negligence). Thus, to commit criminal negligence, “there must
    be an actual or imputed foreseeability of danger directed toward the [victim] who might be
    injured as a result of [the d]efendant’s acts.” Webb, 
    2013-NMCA-027
    , ¶ 23 (internal
    quotation marks and citation omitted). Moreover, that risk of harm must be “substantial and
    unjustifiable.” State v. Chavez, 
    2009-NMSC-035
    , ¶ 45, 
    146 N.M. 434
    , 
    211 P.3d 891
    (internal quotation marks and citation omitted).
    4
    {11} Since the Legislature did not specify either the civil or criminal category of
    negligence, we take heed that “statute[s] defining criminal conduct must be strictly
    construed.” Santillanes v. State, 
    1993-NMCA-012
    , ¶ 25, 
    115 N.M. 215
    , 
    849 P.2d 358
    .
    “Doubts about the construction of a criminal statute are resolved in favor of the rule of
    lenity.” State v. Bybee, 
    1989-NMCA-071
    , ¶ 12, 
    109 N.M. 44
    , 
    781 P.2d 316
    . “A criminal
    statute may not be made applicable beyond its intended scope, and it is a fundamental rule
    that crimes must be defined with appropriate definiteness. Similarly, a statute will not be
    read to apply to a criminal offense unless the legislative proscription is plain.” 
    Id.
     (citation
    omitted). Furthermore, it is “well-established in New Mexico, that only criminal negligence
    may be a predicate for a felony unless another intention is clearly expressed by the
    [L]egislature.” State v. Yarborough, 
    1996-NMSC-068
    , ¶18, 
    122 N.M. 596
    , 602, 
    930 P.2d 131
     (emphasis added). In accordance with these tenets of construction and New Mexico
    precedent, we conclude that the narrower standard of criminal negligence is applicable to
    Section 30-47-3(F) of the Act, which markedly punishes the neglect of a resident resulting
    in any harm as a felony. See § 30-47-5(B)-(D) (stating that whoever commits neglect of a
    resident resulting in physical harm, great psychological harm, great physical harm, or death
    is guilty of a felony).
    {12} Having clarified the nature of neglect required to be proven by the State in order to
    convict Defendant of the crimes at issue on that basis, we review de novo whether the district
    court erred in granting Defendant’s Foulenfont motion. State v. LaPietra, 
    2010-NMCA-009
    ,
    ¶ 5, 
    147 N.M. 569
    , 
    226 P.3d 668
     (“The contours of the district court’s power to conduct a
    pretrial hearing on a motion to dismiss charges brought under Rule 5-601 [NMRA] is a legal
    question reviewed under a de novo standard.”). Specifically at issue is the propriety of the
    district court’s finding that the State failed to allege sufficient facts to support a conviction
    under either Section 30-47-4 (abuse of a resident) or Section 30-47-5 (neglect of a resident)
    in either or both of the two counts that comprised the criminal complaint. The district
    court’s authority to rule on pretrial motions in criminal matters is dictated by Rule 5-601(B),
    which states that “[a]ny defense, objection or request which is capable of determination
    without a trial on the merits may be raised before trial by motion.” As explained in
    Foulenfont, dismissal of charges can only be granted if such charges can be disposed of
    solely by deciding a question of law. 
    1995-NMCA-028
    , ¶ 5. “Questions of fact, however,
    are the unique purview of the jury and, as such, should be decided by the jury alone.”
    LaPietra, 
    2010-NMCA-009
    , ¶ 7.
    {13} In LaPietra, this Court was presented with circumstances similar to the case at bar
    and by our ruling declined to expand the breadth of the district court’s Foulenfont authority
    beyond its power to dismiss charges based on dispositive questions of law.
    
    2010-NMCA-009
    , ¶¶ 10-16. Although LaPietra involved allegations of child abuse, and not
    residential care patients, the defendants in that case likewise successfully brought a
    Foulenfont motion arguing that the State lacked evidence to prove that the defendants caused
    the children to be placed in a situation that endangered their life or health. LaPietra,
    
    2010-NMCA-009
    , ¶ 8. In reversing, we explained that it was the province of the jury to
    decide the issue of who committed the abuse. Id. ¶ 9. We stated that
    5
    the argument that [the d]efendants make is essentially advocating how to
    characterize the pretrial transcripts of witness interviews that were given to
    the district court. . . . [The d]efendants’ argument, while stipulating to what
    is known at the pretrial juncture, amounts to a disagreement with the [s]tate
    as to what a reasonable jury could conclude.
    ....
    The evidence contained in the transcripts can be viewed in a variety
    of ways, one of which would allow a jury to conclude that either [the
    d]efendant or both [the d]efendants committed the abuse, allowed the abuse
    to happen, or knew, or should have known, that the abuse was occurring. . . .
    While the district court may have thought the [s]tate had a weak case, the
    district court did not have the opportunity to observe testimony of witnesses
    under oath, judge their credibility, weigh the evidence, and hear opposing
    arguments after the close of evidence.
    Id. ¶¶ 9, 11. Our decision thus recognized that it would be impossible to determine what a
    jury might conclude and that it was the jury’s job “to judge the credibility of witnesses and
    determine the weight of evidence.” Id. ¶ 11 (internal quotation marks and citation omitted).
    {14} Similarly, at issue here is whether the district court exceeded its authority under Rule
    5-601(B) and Foulenfont when it concluded that there were insufficient facts alleged to
    convict Defendant of the charged crimes. Defendant’s Foulenfont motion asserted that “the
    alleged facts as a matter of law could not support a conviction of [Defendant] for [a]buse or
    [n]eglect of a [r]esident” because “neither the [c]omplaint nor the affidavit supporting it
    reflects that [Defendant] acted or failed to act intentionally, knowingly, recklessly, or
    criminally negligently.” Defendant contended that “the State . . . seeks to convict
    [Defendant] based on conduct that, at most, could amount to civil negligence, or to hold him
    vicariously criminally liable for collective actions of his alleged ‘physician extenders.’ ”
    Defendant also contends on appeal that the State alleged insufficient facts to show that
    Defendant had a “legal duty to further inform himself, examine D.A. again, or inquire further
    about her condition prior to her death.” See State v. Greenwood, 
    2012-NMCA-017
    , ¶ 35,
    
    271 P.3d 753
     (stating that an omission can only constitute a crime where the defendant had
    a legal duty to act), cert. denied, 
    2012-NMCERT-001
    , 
    291 P.3d 598
    .
    {15} We hold that the complaint and accompanying affidavit alleged sufficient facts, if
    proven, to convict Defendant for abuse and/or neglect of D.A. under the Act. The complaint
    states that Defendant increased D.A.’s dosage of Coumadin, a dangerous and potentially
    lethal anticoagulant, and subsequently failed to take the reasonable precaution associated
    with monitoring the effect of the prescribed dosage of that medication: testing her INR
    daily. A jury could reasonably conclude that this omission amounted to a failure to act
    performed intentionally, knowingly, or recklessly (abuse), or amounted to a gross deviation
    from the applicable standard of care rising to the level of criminal negligence (neglect). The
    6
    complaint also indicates that Defendant failed to consider and modify D.A.’s blood pressure
    medication, which under the Act’s definition of abuse or neglect could likewise suffice, if
    proven at trial, to establish guilt. It further states that Defendant failed to properly supervise
    the implementation of D.A.’s care, treatment, and medication while under his care, because
    after he increased her Coumadin dosage, he failed to act in response to her worsening
    symptoms. Significantly in this regard, the Act establishes as neglect the criminally
    negligent failure to carry out a duty to supervise the medical care and treatment of a resident.
    {16} Also significantly, the complaint states that Defendant failed to order the proper care
    for D.A. upon discovery of blood in her stool on August 26th. Rather than determine
    whether the symptom was a product of over-anticoagulated blood due to Coumadin,
    Defendant ordered a colonoscopy. Moreover, the complaint alleges that he did so on a non-
    emergent basis, despite the apparent fact that D.A. then required much more drastic and
    urgent treatment. The affidavit expressly states that, had Defendant given D.A. the
    appropriate care at this juncture, she would not have bled to death internally from her colon.
    Again, under the definitions of the Act, Defendant’s own actions and inactions as alleged
    satisfy the threshold standard required to survive a Foulenfont motion. A jury could
    conclude that the events alleged posed a substantial and unjustifiable risk to D.A.’s life.
    These facts provide a sufficient basis to conclude that Defendant was personally grossly
    negligent in his treatment and care of D.A. and that he had a duty under the Act to provide
    proper care as the attending physician who prescribed increased dosages of the fatal
    anticoagulant to D.A.
    {17} We conclude that the district court erred in determining that the State alleged
    insufficient facts to support convictions for abuse and/or neglect. As in LaPietra,
    Defendant’s argument both below and on appeal amounts to a disagreement as to how the
    factfinder should interpret the facts alleged. Such interpretations benefit from the
    opportunity to observe the testimony of witnesses, judge their credibility, weigh the
    evidence, and hear the parties’ arguments after the close of evidence, as a jury would have.
    Such contested questions of fact in criminal cases rest within the exclusive province of
    jurors.
    {18} To the extent Defendant argues that the complaint alleged insufficient facts to prove
    Defendant’s intent and that “[a]t no time did the State suggest that it could reasonably
    present evidence at trial to show what [Defendant] did or did not do, or what he knew or did
    not know[,]” we conclude that Defendant’s awareness of the substantial and unjustifiable
    risk of harm to D.A. caused by his actions can be inferred from the facts stated in the
    complaint and affidavit. See Schoonmaker, 
    2008-NMSC-010
    , ¶ 43 (stating that the
    defendant is deemed to have acted negligently “when he should be aware of a substantial and
    unjustifiable risk that the material element exists or will result from his conduct” and
    explaining that “[t]he risk must be of such a nature and degree that the actor’s failure to
    perceive it, considering the nature and purpose of his conduct and the circumstances known
    to him, involves a gross deviation from the standard of care that a reasonable person would
    observe in the actor’s situation.” (emphasis, internal quotation marks, and citation omitted)).
    7
    It is well established that the fact finder may infer from circumstantial evidence that the
    defendant acted with the requisite intent; direct evidence of the defendant’s state of mind is
    not required. See State v. Largo, 
    2012-NMSC-015
    , ¶ 31, 
    278 P.3d 532
    . Furthermore, “[a]
    defendant’s knowledge or intent generally presents a question of fact for a jury to decide.”
    State v. Wasson, 
    1998-NMCA-087
    , ¶ 12, 
    125 N.M. 656
    , 
    964 P.2d 820
    . As such, it was
    improper for the district court to preemptively resolve this question of fact in the context of
    a Foulenfont motion. Moreover, the State need not present evidence to prove its case at the
    preliminary stage of the proceedings that existed at the time of the district court’s ruling.
    Under Rule 5-601, the district court’s decision must be based solely in law, and it must not
    consider the merits of the case.
    {19} Defendant also asserts that “the State already conceded below that it cannot and will
    not be able to prove who took what action and who knew what information with respect to
    D.A.’s care.” We believe this assertion is based on an inaccurate understanding of the
    proceedings below. In the transcript from the Foulenfont motion hearing quoted in part by
    Defendant, the State specifically discussed falls suffered by D.A. between August 26 and 29.
    The State explained that “the difficulty with this particular fact situation is that preceding
    August 29, on [August] 26 . . ., D.A. fell twice. On [August] 28, she fell a third time, and
    what happened or to whom it might have been reported or whatever is somewhat of a
    mystery. You can’t really tell.”
    {20} Whatever transpired with regard to D.A.’s falls does not diminish the significance
    of the State’s factual statements that it was Defendant who prescribed an increased amount
    of Coumadin and failed to take precautions to monitor D.A. thereafter and that it was
    Defendant who failed to order the proper care for D.A. upon discovery of blood in her stool
    on August 26. The State did not concede that it cannot prove facts related to these failures.
    The State only appears to have conceded that it cannot identify how the falls occurred
    between August 26 and 29 and who was informed of them. Sufficient facts were thus
    alleged to convict Defendant of abuse and/or neglect, not based on unknown events, but
    rather on Defendant’s actions and allegedly gross deviation from the standard of care as
    D.A.’s attending physician.
    {21} Lastly, to the extent Defendant contends that the complaint attempts to make
    Defendant “ ‘responsible’ for the actions of other people—such that he could be held
    criminally liable for the[ir actions],” we disagree. Defendant argues that there is no law
    stating he can be held “criminally responsible for the actions of other, non-employee
    providers who treat the physician’s patient.” Defendant is mistaken as to the nature of what
    is required to convict him of neglect under the Act. Specifically, the Act establishes criminal
    liability, not for the actions of others, but for Defendant’s own criminally negligent failure
    to supervise them in their capacity as medical caregivers acting to maintain the health of a
    resident under Defendant’s direction.
    {22} Defendant nonetheless asserts that the State has failed to allege any evidence
    sufficient to prove supervision. Yet the complaint states that Defendant’s team of “physician
    8
    extenders” included a certified physician assistant and a certified nurse practitioner who had
    a collaborative practice agreement with Defendant. The complaint charges Defendant with
    medically inappropriate and life-threatening conduct, failures to provide treatment and care
    as D.A.’s attending physician, failures to take precautions with her care, and failures to
    supervise or control her treatment, in accordance with the definitions of abuse and neglect
    in Section 30-47-3. As explained above, the complaint provides several instances where
    Defendant personally acted or failed to act, jeopardizing D.A.’s life. As such, the complaint
    sufficiently charges Defendant with liability for his own criminally negligent conduct and
    supervision, not for the conduct of others. Based on what was alleged by the State in the
    criminal complaint, there are sufficient facts for this case to proceed to trial, or at the very
    least, to a preliminary hearing to provide the State with an opportunity to make its case.
    {23} Because the district court erred in granting Defendant’s Foulenfont motion, we
    reverse and remand this case to the district court. Upon remand, if the State chooses to
    proceed, Defendant will have an opportunity for a preliminary examination, after which the
    district court can weigh evidence and assess the existence of probable cause from a
    developed factual record. See State v. Archuleta, 
    1970-NMCA-131
    , ¶ 25, 
    82 N.M. 378
    , 
    482 P.2d 242
     (stating that where the “defendant was charged by an information, he ha[s] a
    constitutional right to a preliminary examination”); UJI 14-8001 (instructing grand jurors
    that a decision on probable cause must be based “solely upon the evidence received” which
    may be determined to be “true or false” and given “whatever weight . . . it deserves”).
    IV.    CONCLUSION
    {24}   For the reasons stated above, we reverse.
    {25}   IT IS SO ORDERED.
    ____________________________________
    J. MILES HANISEE, Judge
    WE CONCUR:
    ____________________________________
    CYNTHIA A. FRY, Judge
    ____________________________________
    MICHAEL E. VIGIL, Judge
    9