Hunt v. Regents of the University of Minnesota , 1990 Minn. LEXIS 274 ( 1990 )


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  • KEITH, Justice.

    Patrick F. Hunt commenced this medical malpractice action and, after a 6-week trial, the jury returned its special verdict of no negligence. The trial court denied Hunt’s post-trial motion for a new trial and he appealed. The court of appeals remanded for a new trial, concluding that reversible error occurred as a result of three instances of an abuse of judicial discretion: (1) the allowance to defendants of two additional peremptory challenges, (2) the refusal to permit inquiry of prospective jurors as to their relationship to named insurance companies and (3) and the limitation of cross-examination of and the provision of jury instructions with regard to the testimony of Dr. Dennis Mollman. Hunt v. Regents of the Univ. of Minnesota, 446 N.W.2d 400 (Minn.App.1989). Defendants Regents of the University of Minnesota, University of Minnesota Hospitals, Shelley N. Chou, M.D., and Aizik Wolf, M.D., have appealed, claiming that the trial court’s actions did not constitute reversible error. Defendant Wolf also separately asserts in the alternative that, even if there was reversible error, the trial court’s denial of a new trial as to him should be affirmed. We reverse the court of appeals.

    Patrick Hunt was born on December 31, 1945 with athetoid cerebral palsy characterized by abnormal neck movements. In spite of his condition, he became self-sufficient, employed as a public accountant. Until December 1982, his general health was good and he was able to drive an automobile and enjoy recreational activities. By late 1982, however, the abnormal neck movements had produced an arthritis in the cervical area of his spine. Compression of parts of his spinal cord resulted, causing pain in his right shoulder, arm and little and ring fingers.

    On January 5, 1983, surgeons from the University of Minnesota Hospitals performed a cervical laminectomy to relieve the pressure. Defendants Chou, chief of neurosurgery at the University, and Wolf, a resident neurosurgeon who had been in the program for 6 months, successfully performed the laminectomy.

    On January 6, 1983, Wolf wrote a postoperative order stating, “per patient encourage neck exercises and getting up.” Chou, his supervising surgeon, approved the order. On January 7, 1983, at approximately 8:00 p.m., nurses assisted Hunt from his bed to a bedside chair where he sat unattended for approximately 30 minutes. At the time, Hunt was in pain, was *31heavily medicated and had asked to be left alone. After about 10 minutes, Hunt’s head began to slowly slump forward until his chin rested on his neck. He later testified that he was unable to summon help when his head fell forward and that, when the nurses attempted to get him . back to bed, he informed the nursing staff that his legs were numb and that he had nothing to stand on.

    At approximately 11:00 p.m. that night, Dr. Dennis Mollman took a blood sample from Hunt’s foot because an elevated temperature indicated possible infection. He had difficulty obtaining the sample and had to stick the foot at least three times with the needle. Hunt’s foot moved each time. Based on his observations of the foot movements, Mollman later testified that Hunt was not paralyzed at that time. The physician described the movement both in his deposition and at trial. In the deposition, Mollman stated that Hunt “pulled his foot away” and “withdrew his foot.” While at trial, he also described a leg extension movement and a side-to-side foot movement.

    Also during that same night of January 7-8, nursing personnel performed neurological checks which indicated that Hunt was able to move his limbs; Hunt’s expert later questioned the accuracy of the resulting notations made on the neuro flow sheets. Three respiratory therapists treated Hunt for developing pneumonia by waking him, turning him and directing him to cough and deep breathe, a procedure which gave them an opportunity to discover whether he had developed a problem with his extremities; none was noted. Other nurses took his temperature during the night and made no notation of problems.

    In the late morning on January 8, Hunt’s parents visited and discovered that he was paralyzed. Exploratory surgery was performed immediately, but the precise cause of the injury was not determined. Hunt asserts that his quadriplegia occurred as the result of being moved to and sitting unattended in the chair on the evening of January 7. The defendants claim that he suffered a stroke sometime during the morning of January 8. Hunt remains a quadriplegic, no longer able to care for himself.

    1. Defendants first challenge the court of appeals’ determination that the trial court committed reversible error when it allowed four peremptory challenges, two to the hospital and one each to Drs. Chou and Wolf. In this regard, they first suggest that the issue of peremptory challenges was not properly preserved for appellate review because Hunt failed to make a timely record of any objection and failed to supplement the record as required by Minn. R.Civ.App.P. 110.03.1

    The burden of providing a record on appeal rests with Hunt, the party challenging the propriety, in the first instance, of additional peremptory challenges. See Custom Farm Services v. Collins, 306 Minn. 571, 572, 238 N.W.2d 608, 609 (1976). Where no complete record is available, we have mandated compliance with Rule 110.-03 to supplement the record to provide for meaningful and effective appellate review. See Soukup v. City of Sleepy Eye, 281 Minn. 144, 146-47, 161 N.W.2d 36, 37 (1968); accord State v. Evans, 343 N.W.2d 709 (Minn.App.1984). While we reaffirm that requirement, we find sufficient good cause to suspend that rule under the circumstances here. Minn.R.Civ.App.P. 102.

    Defendants do not deny that an objection was made, but instead emphasize that a timely record was not made. For appellate purposes, Hunt inserted into a joint appendix an affidavit made by counsel on April *3229, 1989, stating that an objection to the number of peremptories granted defendants was made at both pretrial conferences. The affidavit supplements the record but does not comply with Rule 110.-03. No service of the affidavit was made on defendants for submission of objections or proposed amendments, nor was the statement submitted to the trial court for approval. Nevertheless, no evidentiary material is here lacking. That four rather than two peremptory challenges were allowed appears in the record. We are persuaded, accordingly, to suspend the requirements of Rule 110.03 to consider the substantive argument regarding the number of peremptory challenges allowed. We do caution counsel that a proper method of preserving the issue is for the objecting party to place the objection on the record at the time made, detailing the reasons supporting the claim that an allowance of additional challenges is inappropriate.

    The number of peremptory challenges permitted the parties is regulated by Minn.Stat. § 546.10 (1988). By operation of that statute, the trial court may allow up to two additional challenges to multiple defendants if it is persuaded that those defendants have adverse interests and that those interests require “due protection.” Appellate courts will examine that exercise of the trial court’s discretion to determine whether an abuse thereof has occurred. Electric Serv. Co. v. Lakehead Electric, 291 Minn. 22, 26, 189 N.W.2d 489, 492 (1971).

    Minn.Stat. § 546.10 (1988) provides no definitional guidance with regard to the phrase “adverse interests.” However, earlier decisions of this court indicate that adversity may be established where “cross issues” exist. See Fick v. Wolfinger, 293 Minn. 483, 486-87, 198 N.W.2d 146, 149-50 (1972); Eilola v. Oliver Iron Mining Co., 201 Minn. 77, 78, 275 N.W. 408, 408-09 (1937); Carr v. Davis, 159 Minn. 485, 491, 199 N.W. 237, 240 (1924). More recently, in Cornfeldt v. Tongen, 262 N.W.2d 684, 705 (Minn.1977), in a matter providing substantial procedural distinctions from the instant case, we commented that no "foreseeable” cross issues might arise thereby limiting the aggregate peremptory challenges of the multiple defendants to two.

    In our view, a determination of adversity does not rest on whether formal legal actions have been brought by multiple defendants against each other. The filing of affirmative defenses by one of multiple defendants against the other would indicate adverse interests. Additionally, the assertion of different theories by a plaintiff against multiple defendants could also be indicative of adverse interests under certain circumstances. See Electric Serv. Co., 291 Minn, at 26, 189 N.W.2d at 492.

    In the matter before us, we cannot determine with precision what facts the trial court considered in allowing the two additional peremptory challenges. However, an examination of the pleadings demonstrates that Hunt alleged one count against all defendants for failure to obtain informed consent, one count against all defendants for the destruction or alteration of medical records, one against the hospital and nurses for negligent care and one against the physicians for the negligent performance of the original surgery and for failure to properly monitor postsurgical care. In addition, Hunt’s statement of the case, filed on June 22, 1987, claimed that Chou and Wolf were negligent and that University of Minnesota Hospitals had nurses, nursing assistants, therapists, residents, interns, medical staff and other employees, staff or agents who were negligent in their care and treatment of Hunt. These assertions suggest, with some foreseeability, the potential existence of adverse interests at least between the physicians and the hospital with respect to the surgery and postoperative care.2 There*33fore, although the question of adversity is in some doubt, we cannot conclude that, under the circumstances of record, the trial court abused its discretion in allowing these multiple defendants additional peremptory challenges.

    2. Defendants then argue that the trial court’s prohibition of inquiry on voir dire into prospective jurors’ relationships with defendants’ malpractice insurers did not constitute reversible error. Such an inquiry is addressed in Rule 31, Code of Rules for the District Courts of Minnesota (1988).3 It is within the broad discretion of the trial court to determine whether such an inquiry is appropriate. McCarthy Well Co. v. St. Peter Creamery, 410 N.W.2d 312, 316 (Minn.1987). The exercise of that discretion is, however, guided by the rationale expressed in Spoonick v. Backus-Brooks Co., 89 Minn. 354, 359, 94 N.W. 1079, 1081 (1903):

    In order to secure to litigants unbiased and unprejudiced jurors, we are compelled to hold that plaintiff’s counsel had a right to ascertain whether there was such a relationship between the persons called as jurors and the insurance company, a corporation vitally interested in the result, which would disqualify these persons, because, by implication, they would be biased and prejudiced.

    On this record, we are compelled to conclude, consistent with the Spoonick analysis, that the trial court should have permitted the inquiry and that its refusal to do so constituted an abuse of discretion. It is then necessary to determine whether the abuse constituted reversible error.

    The general rule is that error without prejudice will not provide a ground for reversal. See Midway Center Assocs. v. Midway Center, Inc., 306 Minn. 352, 356, 237 N.W.2d 76, 78 (1975); Electric Serv. Co., 291 Minn, at 26, 189 N.W.2d at 492. Even where a definite connection has been shown between a juror and an interested insurer, a showing of actual prejudice has been required to mandate a new trial. See State v. Kyles, 257 N.W.2d 378, 381 (Minn.1977). The plaintiff urges us to conclude that no such showing is required under the analysis of Alholm v. Wilt, 394 N.W.2d 488 (Minn.1986). There, we reasoned that where deviation from promulgated procedural rules governing jury selection prejudices the jury system itself, reversal is necessary as a matter of law. Prejudice to the system was found in the method of juror selection which deprived plaintiff of his use of an extra peremptory challenge, which in turn deprived him of his right “to know the composition of the jury prior to evidence presentation.” Alholm, 394 N.W.2d at 493-94. That analysis is not applicable to these proceedings.

    While Hunt was prohibited from inquiring into the relationship with the defendants’ insurers, he did question prospective *34jurors about their places of employment and that of their children and spouses. He was free to inquire as to whether they were stockholders, officers or directors of any company, a question which would elicit the name of specific insurance companies if a relationship did exist. In fact, where one prospective juror was found to have an insurance background, she was questioned at length in the presence of other prospective jurors, thereby bringing the matter of insurance to the fore. Finally, jurors were questioned about their attitude toward the insurance crisis and possible large damage awards. In light of these facts, it cannot be said that Hunt was prevented from ascertaining the composition of the jury prior to evidence presentation and, accordingly, reversal as a matter of law is not required in the absence of a showing of actual prejudice.

    3. Defendants’ final contention is that there was no reversible error in the trial court’s limitation on the cross-examination of Dr. Mollman and its instructions to the jury that no evidence indicated that Moll-man changed his testimony at trial from that given in his deposition.'

    At trial, Hunt attempted to impeach Mollman’s testimony with regard to foot movements occurring when Mollman attempted to draw blood from Hunt’s foot. At trial, Mollman testified that Hunt “move[d] his foot side to side, withdr[e]w it and extended] it away from the needle.” In his deposition, Mollman had only mentioned a pulling away and a withdrawal. A withdrawal could be consistent with a triple flection reflex which is a responsive bending up of the foot, knee and hip that can occur in quadriplegics. Any extension movement would be inconsistent with quadriplegia. Hunt attempted to impeach the trial testimony but the trial court sustained the defendants’ objection based on improper foundation.

    To impeach Mollman, Hunt was required to lay a foundation showing that the statements were in fact inconsistent.4 State v. Vance, 254 N.W.2d 353, 358 (Minn.1977). The inconsistency must be determined from the full testimony, not isolated portions, and the trial court is vested with broad discretion to weigh any claim to determine the possible prejudicial effect. The decision of the trial court is only reversed if it is clearly shown that there was an abuse of its discretion. See id.

    Upon examination of the record as a whole, it is our view that the statements at trial were not inconsistent with those made during Mollman’s. deposition, but instead were an amplification. The fact that counsel at his deposition did not ask detailed questions regarding the movements does not make the amplification at trial during cross-examination an “inconsistency” subject to impeachment. Moreover, although the trial court sustained the objection to questioning directed at impeachment, Hunt had ample opportunity to show the jury *35any difference in Mollman’s trial testimony from that elicited in his deposition. Not only did his own questioning of Mollman emphasize any differences in testimony, so also did that of the defendants, because they also had him describe in detail what he had observed. Jurors could certainly identify and compare the abbreviated description given by Mollman in his deposition with the detailed one provided at trial to assess Mollman’s credibility. Accordingly, we can find no abuse of the trial court’s discretion in limiting the questioning designed to impeach this witness.

    In spite of the ruling by the trial courtpHunt’s expert stated on surrebuttal that ⅛1 heard that [Mollman] changed his testimony from his deposition * * When asked by whom he was told, he replied, “Mr. Newhall [Hunt’s counsel].” Shortly after that exchange, during an in chambers discussion regarding jury instructions, defendants’ counsel requested a corrective jury instruction to the effect that no evidence demonstrated that Moll-man changed his testimony at trial from that given in the deposition. Counsel argued that “[t]hat statement coming from Mr. Newhall through Dr. Kurze is absolutely inappropriate and it’s wrong, it’s false and to leave it out there in front of the jury without withdrawing it, correcting it, or advising the jury that it’s an error is improper * * The request for the cautionary instruction was made immediately before the proceedings ended for the day. When the discussion of the request for a cautionary instruction again arose, counsel for Hunt appeared to agree that the testimony had not changed, but rather had been amplified. The cautionary instruction stated:

    [T]here is no evidence Dr. Mollman’s testimony at trial was changed from the testimony he gave at the time of his deposition.
    A witness at a deposition is under no obligation to volunteer information or to do anything other than to respond to the questions which are asked.

    This instruction explained the situation exactly: Mollman’s testimony had not changed. He was not obligated to volunteer information or to do anything other than to respond to the questions which were asked. The trial court did not remove the issue of credibility from the jury.5

    In our view, the corrective or cautionary instruction was not an abuse of the trial court’s discretion. See Mattfeld v. Nester, 226 Minn. 106, 130, 32 N.W.2d 291, 307 (1948). Where the trial court had already ruled that proper foundation had not been laid to impeach this witness, where counsel for the plaintiff did not attempt to lay further foundation or to specifically identify to the court the points at which Moll-man’s testimony at trial differed from that during the deposition, a circumvention of the trial court’s earlier restrictive rulings was inappropriate and the trial court was within the bounds of its discretion in limiting the effect counsel’s statements might have on the outcome of this matter.

    Because in our view none of the asserted errors would require a new trial, we re*36verse the decision of the court of appeals to that effect. We need not address the other issues raised on appeal.

    Reversed.

    YETKA and COYNE, JJ., took no part in the consideration or decision of this case.

    . Minn.R.Civ.App.P. 110.03 provides as follows:

    If no report of all or any part of the proceedings at a hearing or trial was made, or if a transcript is unavailable, the appellant may, within 15 days after service of the notice of appeals, prepare a statement of the proceedings from the best available means, including his recollection. The statement shall be served on the respondent, who may serve objections or proposed amendments within 15 days after service. The statement and any objections or proposed amendments then shall be submitted to the trial court, and the statement as approved by the trial court shall be included in the record. The trial court’s approval of the statement shall be filed with the clerk of the appellate courts within 60 days of the filing of the notice of appeal.

    . The original decision granting extra perempto-ries was made by Judge Carey on October 8, 1987. Judge Carey removed himself from the case on November 30, 1987. The case was reassigned to Judge Odland, who due to other trial assignments requested that the trial be postponed until October 1988. At a pretrial conference held on September 28, 1988, Judge Odland upheld the number of peremptories granted by Judge Carey. The dissent suggests that Judge *33Odland should have reconsidered Judge Carey’s decision because additional discovery which occurred during the interim year would have altered the grounds for granting extra perempto-ries. See p. 38 (Kelley, J., dissenting). When Judge Carey removed himself from the case, however, he stated in his removal letter, "The file itself is in order for trial, discovery and pretrials have been completed, and discovery has been cut off. All of the work prior to trial has been completed.” Thus, the parties’ claims and postures were essentially the same on September 28, 1988 as they had been on October 8, 1987. Because any adverse interests would therefore have remained the same, Judge Od-land had no reason to reconsider the number of extra peremptories granted by Judge Carey less than one year earlier.

    . Rule 31 of the Code of Rules for the District Courts of Minnesota (1988) provides as follows:

    In the examination of jurors by counsel as to their qualifications, the jurors may be asked collectively whether any of them have any interest as policyholders, stockholders, officers, agents or otherwise in the insurance company or companies interested, [i.e., companies not parties, but interested in the defense or outcome of the action,] but such question shall not be repeated to each individual juror. If none of the jurors indicate any such interest in the company or companies involved, then no further inquiry shall be permitted with reference thereto.
    If any of the jurors manifest an interest in any of the companies involved, then counsel may further inquire of such juror or jurors as to his or their interest in such company, including any relationship or connection with the local agent of such interested company, to determine whether such interests or relationship disqualifies such juror.

    . The dissent states that "failure of a witness to describe all material facts is grounds for impeachment” and cites Erickson v. Erickson & Co., 212 Minn. 119, 125, 2 N.W.2d 824, 827 (1942). Erickson involved the plaintiffs statement to an insurance adjuster, not a deposition. The plaintiffs statement omitted facts that would permit him to recover under workers' compensation. At trial, he added in his testimony those facts that would permit recovery. Id. at 122-26, 2 N.W.2d at 826-27. The commission, which judged the weight and credibility of the plaintiffs testimony in light of his pretrial statement and of other witnesses’ statements, disbelieved his trial testimony and refused coverage. This court upheld that finding on the basis that a witness could be impeached by contradicting his testimony and that a fact not asserted permits an inference of its nonexistence. Id. at 125-27, 2 N.W.2d at 827-28.

    A deposition is not equivalent to a detailed statement to an insurer which purports to give all pertinent information. A deposition is taken under the Minnesota Rules of Civil Procedure. Rule 30.03 provides that examination of the witness proceeds as at trial under Rule 43.02, which means the witness is questioned as at trial. He does not need to volunteer information. Counsel for Hunt admitted during an in chambers conference on the cautionary jury instruction that it appeared that the question which would have brought out complete information regarding the foot movement was not asked during the deposition and that until it was, Mollman was not obligated to answer it. T. at 4013. Thus, Mollman’s deposition answer was not a failure to describe all material facts and was therefore not grounds for impeachment.

    . The dissent suggests that by giving such an instruction, the trial court decided that the foot movement was more than a withdrawal. He compares the instruction to one given in Young v. Wlazik, 262 N.W.2d 300, 310 (Minn.1977), in which the trial judge instructed the jury “that the train bell was ringing at the time of the accident." See p. 37 (Kelley, J., dissenting). Testimony had sharply conflicted as to whether the bell was or was not ringing, yet the trial judge removed that issue from the jury. Here, testimony showed foot motion consisted either of only a withdrawal or of withdrawal as well as side to side and extension movements. The trial court took no position on the movement. It only stated that no change occurred in Moll-man’s depositional and testimonial statements and that a witness is only obligated to answer what is asked. The jury was left with sufficient testimony to decide either way.

    The dissent implies that witness credibility depends only on impeachment. The very appearance, presence and demeanor of a witness affect credibility; the testimony given by other witnesses also does, as does documentary evidence. Although Mollman was the only health care person to actually remember events of that night, the very fact that others did not and the very fact that Mollman himself was a defendant could affect a jury’s decision regarding credibility. The five week trial with extensive documents and records as well as numerous witnesses presented the context within which the jury judged Dr. Mollman’s credibility.

Document Info

Docket Number: C0-89-186

Citation Numbers: 460 N.W.2d 28, 1990 Minn. LEXIS 274, 1990 WL 127225

Judges: Keith, Kelley, Popovich, Yetka, Coyne

Filed Date: 8/31/1990

Precedential Status: Precedential

Modified Date: 10/19/2024