Gallo, M. v. Conemaugh Health, Appeal of: Padhiar ( 2015 )


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  • J-A04033-15
    
    2015 PA Super 85
    MARGARET J. GALLO, INDIVIDUALLY         :   IN THE SUPERIOR COURT OF
    AND AS ADMINISTRATRIX DBN CTA           :         PENNSYLVANIA
    OF THE ESTATE OF JOSEPH J. GALLO,       :
    SR.,                                    :
    :
    v.                             :
    :
    CONEMAUGH HEALTH SYSTEM, INC.,          :
    CONEMAUGH VALLEY MEMORIAL               :
    HOSPITAL, CONEMAUGH VALLEY              :
    MEMORIAL HOSPITAL, D/B/A                :
    MEMORIAL MEDICAL CENTER,                :
    CONEMAUGH HEALTH INITIATIVES,           :
    INC., CONEMAUGH HEALTH                  :
    INITIATIVES, INC., D/B/A/               :
    CONEMAUGH PHYSICIAN GROUP,              :
    LAUREL GROUP ANESTHESIA, P.C.,          :
    ASHOK PADHIAR, M.D., RANDY              :
    JOHNSON, CRNA, CONEMAUGH                :
    HEALTH INITIATIVES, INC., D/B/A/        :
    CONEMAUGH VALLEY SURGEONS,              :
    RUSSELL DUMIRE, M.D., AND HANNA         :
    KIM, D.O.                               :
    :
    APPEAL OF: ASHOK PADHIAR, M.D           :    No. 1101 WDA 2014
    Appeal from the Order Entered June 16, 2014
    in the Court of Common Pleas of Cambria County
    Civil Division at No(s): No. 2011-02862
    BEFORE: BOWES, OLSON, and STRASSBURGER,* JJ.
    OPINION BY STRASSBURGER, J.:                       FILED APRIL 17, 2015
    Ashok Padhiar, M.D. (Dr. Padhiar) appeals from the order entered June
    16, 2014, which granted the motion to compel discovery filed by Appellee
    Margaret J. Gallo (Gallo). After review, we reverse and remand for further
    proceedings consistent with this opinion.
    * Retired Senior Judge assigned to the Superior Court
    J-A04033-15
    The trial court aptly summarized the relevant factual and procedural
    history of this case as follows.
    On December 27, 2009, at 2:00 p.m., Joseph J. Gallo (“Mr.
    Gallo”) entered Conemaugh Valley Memorial Hospital’s
    Emergency Room.       Mr. Gallo complained of an odorous,
    blackened “second toe on his right foot” that was discharging
    pus. Paul Rollins M.D. (“Dr. Rollins”) was treating Mr. Gallo for
    gangrene on the same toe and had scheduled previously a
    January 2, 2010 amputation of it. Mr. Gallo, however, admitted
    himself to the Emergency Room to see if an earlier amputation
    was possible. Because of the unexpected Emergency Room visit,
    Dr. Rollins was unavailable and Russell Dumire, M.D. (“Dr.
    Dumire”) assumed care. After Dr. Dumire examined Mr. Gallo,
    he agreed to perform the more immediate amputation the next
    day – December 28, 2009.
    [Dr. Padhiar] performed the “pre-surgical anesthesia
    consult evaluation.” [Dr. Padhiar’s] performing the evaluation is
    notable because he had an alcohol addiction. He was arrested at
    least eight times for driving under the influence (“DUI”) in
    Illinois, Michigan, Ohio, and Pennsylvania, including once in
    November 2009 – one month before Mr. Gallo’s unexpected
    surgery.     Because of this addiction and its subsequent
    consequences, at least one state revoked his medical license. At
    the time, though, Pennsylvania had not.
    In light of [Dr. Padhiar’s] alcohol history and despite Mr.
    Gallo being 81 years old and having a history of both
    “cardiovascular and pulmonary medical conditions,” [Dr.
    Padhiar] never “conduct[ed] a physical examination,” a cardiac
    evaluation, a pulmonary assessment, a chest x-ray, or an
    electrocardiogram     test   in   his   pre-surgical  evaluation.
    Furthermore, despite “Mr. Gallo’s pre-induction vital signs
    show[ing] that he was hypotensive[] with a blood pressure of
    78/34” no action was taken by either [Dr. Padhiar] or any of the
    hospital’s medical staff “to raise [Mr.] Gallo’s blood pressure.”
    On the contrary, [Dr. Padhiar] and the medical staff proceeded
    as normal by administering general anesthesia. Accordingly, on
    December 28, 2009, Dr. Dumire performed the toe amputation
    with [Dr. Padhiar] assisting as the anesthesiologist.
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    J-A04033-15
    “Some time during or immediately after the [amputation,
    Mr.] Gallo suffered a cardiac arrest.” The medical staff initiated
    CPR, gave [Mr.] Gallo epinephrine and atropine, and transferred
    him “to the Intensive Care Unit.” For three months, [Mr.] Gallo
    remained in the Intensive Care Unit unresponsive until he died
    on March 12, 2010. A “neurological evaluation revealed that Mr.
    Gallo suffered from anoxic encephalopathy[, brain damage due
    to lack of oxygen].
    On October 5, 2011, [Gallo] filed a Complaint both
    individually and as Administratrix of Mr. Gallo’s Estate [] against
    [the above-captioned defendants]. The counts against these …
    defendants consisted of both Wrongful Death and Survival
    Actions. Of particular note here are the allegations against [Dr.
    Padhiar]. In sum, Gallo argues alcohol impaired [Dr. Padhiar] at
    the time of Mr. Gallo’s surgery and therefore [Dr. Padhiar’s]
    actions and omissions ultimately caused Mr. Gallo “to suffer a
    cardiac arrest” that “result[ed] in his death.”
    On December 23, 2013, Gallo filed a Motion to Compel [Dr.
    Padhiar] to provide [Gallo] with more specific responses to
    [Gallo’s] discovery requests. Two weeks later, on January 7,
    2014, the [trial c]ourt granted Gallo’s requests. On January 30,
    2014, [Dr. Padhiar] filed a Motion for Reconsideration. Shortly
    after that, on February 6, 2014, the [trial c]ourt vacated its
    January 7th Order and scheduled a February 12th Hearing to
    address the privilege issues. The Hearing occurred as scheduled
    and the [trial c]ourt requested both parties submit briefs.
    On February 26, 2014, [Dr. Padhiar] submitted his Brief-
    in-Opposition; and, on March 10, 2014, Gallo submitted hers. In
    Gallo’s brief she narrowed the “drug and alcohol treatment
    records” to the records [Dr. Padhiar]:
    1. Revealed to the Pennsylvania medical license
    board to obtain his Pennsylvania license;
    2. Released to Conemaugh in 2006 to obtain
    employment and credentials there;
    3. Disclosed to the Pennsylvania medical license
    board to “maintain his [Pennsylvania] medical
    license;” and
    4. Divulged to the Cambria County Court of Common
    Pleas to lessen his criminal sentence for his 2010
    DUI arrest and conviction.
    -3-
    J-A04033-15
    Trial Court Opinion (T.C.O), 6/18/2014, at 1-4 (citations omitted).
    By order dated June 13, 2014, the trial court granted Gallo’s motion to
    compel, determining that Dr. Padhiar had effectively waived any privilege by
    including in his answer to Gallo’s complaint specific denials to Gallo’s
    allegation that he was impaired by alcohol at the time of Mr. Gallo’s surgery.
    The trial court further determined that the “good cause” requirement for
    disclosure under both the Pennsylvania and federal statutes was satisfied.
    Dr. Padhiar timely filed a notice of appeal and, in response to the trial
    court’s order, a statement of errors complained of on appeal.1 On appeal,
    Dr. Padhiar claims that privileges created by both federal regulations and
    state law preclude disclosure of the confidential communications contained in
    his alcohol treatment records.2
    ____________________________________________
    1
    The trial court’s order granting Gallo’s motion to compel is a collateral
    order under Pa.R.A.P. 313, and is thus immediately appealable. See Rhodes
    v. USAA Casualty Ins. Co., 
    21 A.3d 1253
    , 1258 (Pa. Super. 2011)
    (“Generally, discovery orders involving purportedly privileged material are
    appealable because if immediate appellate review is not granted, the
    disclosure of documents cannot be undone and subsequent appellate review
    would be rendered moot.”); Gormley v. Edgar, 
    995 A.2d 1197
     (Pa. Super.
    2010) (determining that a discovery order involving allegedly privileged
    mental health information is appealable collateral order to pursuant to
    Pa.R.A.P. 313).
    2
    In her brief, Gallo suggests that the federal regulation is inapplicable
    because Appellant is not a government employee. Gallo’s Brief at 13 n. 1.
    We are unpersuaded by the authority Gallo cites in support of her argument.
    The treatment records at issue herein are held by programs receiving federal
    funding. Thus, as the trial court noted, the records fall under the scope of
    the federal regulations dealing with disclosure and privilege. See Trial Court
    (Footnote Continued Next Page)
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    J-A04033-15
    We address Dr. Padhiar’s claims mindful of the following. “Generally, in
    reviewing the propriety of a discovery order, our standard of review is
    whether the trial court committed an abuse of discretion. However, to the
    extent that we are faced with questions of law, our scope of review is
    plenary.” Gormley v. Edgar, 
    995 A.2d 1197
    , 1202 (Pa. Super. 2010). It is
    well-settled that “[t]he right to claim a privilege is a personal one belonging
    to the individual protected by the statutory privilege.” See Commonwealth
    ex rel. Romanowicz v. Romanowicz, 
    248 A.2d 238
     (Pa. Super. 1968).
    However, “statutorily-created privileges are not absolute. The privilege
    conferred must be balanced against countervailing interests in insuring the
    fairness and integrity of the judicial system. The state’s ‘compelling interest’
    in insuring that the truth is revealed in the course of the adversarial process
    justifies an implied waiver of privilege.” O’Boyle v. Jensen, 
    150 F.R.D. 519
    ,
    522 (M.D. Pa. 1993) (citations omitted).
    Dr. Padhiar first contends that the trial court erred in determining that
    the specific denials of allegations that Dr. Padhiar was intoxicated at the
    time of Mr. Gallo’s surgery, contained in Dr. Padhiar’s answer to Gallo’s
    complaint, constituted offers of testimony for the purposes of the federal
    _______________________
    (Footnote Continued)
    Opinion, 6/16/2014, at 5; 
    42 C.F.R. § 2.3
     (“Under the statutory provisions
    quoted in §§ 2.1 and 2.2, these regulations impose restrictions upon the
    disclosure and use of alcohol and drug abuse patient records which are
    maintained in connection with the performance of any federally assisted
    alcohol and drug abuse program.”).
    -5-
    J-A04033-15
    regulations governing confidentiality of alcohol and drug abuse patient
    records. Dr. Padhiar’s Brief at 14-16.
    Section 527 of the Public Health Service Act, 42 U.S.C.
    § 290ee-3, with certain exceptions not relevant to this
    proceeding, provides that:
    [r]ecords of the identity, diagnosis, prognosis, or
    treatment of any patient which are maintained in
    connection with the performance of any drug abuse
    prevention function conducted, regulated, or directly
    or indirectly assisted by any department or agency of
    the United States shall ... be confidential and be
    disclosed only for the purposes and under the
    circumstances expressly authorized under subsection
    (b) of this section.
    Subsection (b), in turn, authorizes the disclosure of otherwise
    confidential records-regardless of whether the patient has given
    prior written consent - “[i]f authorized by an appropriate order of
    a court of competent jurisdiction granted after application
    showing good cause therefor.” 42 U.S.C. § 290ee-3(b)(2)(C).
    Local 738, Int’l Bhd. of Teamsters v. Certified Grocers Midwest, Inc.,
    
    737 F. Supp. 1030
    , 1032-33 (N.D. Ill. 1990). “In order to implement these
    congressional goals and pursuant to 42 U.S.C. § 290ee-3(g)’s mandate, the
    Secretary of Health and Human Services … enacted regulations which
    provide the procedures and criteria” to obtain a court order authorizing
    disclosure of confidential communications made by a patient in the course of
    diagnosis, treatment, or referral for treatment. Id. at 1033.               Those
    regulations provide, in pertinent part, as follows.
    (a) A court order under these regulations may authorize
    disclosure of confidential communications made by a patient to a
    program in the course of diagnosis, treatment, or referral for
    treatment only if:
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    J-A04033-15
    ***
    (3) The disclosure is in connection with litigation or
    an administrative proceeding in which the patient
    offers testimony or other evidence pertaining to the
    content of the confidential communications.
    
    42 C.F.R. § 2.63
    (a)(3).
    With respect to disclosure,
    Congress has determined … that the public interest in
    encourag[ing] the understandably hesitant to come to drug
    abuse treatment centers in the first place and thereafter to
    continue to avail themselves of these services usually outweighs
    a private litigant’s interest in obtaining probative and material
    evidence - at least until the patient himself has opened the door
    to disclosure of the confidential records. The door must be
    opened, moreover, within the context of the litigation or
    administrative proceeding itself - prior waiver or consent does
    not suffice. And finally, a court cannot compel the disclosure of
    otherwise privileged records unless and until the patient has
    waived his privilege by means of offering testimony or other
    evidence pertaining to their contents.
    Local 738, 
    737 F. Supp. at 1034
     (citations and quotations omitted).
    If the confidential communications meet the criteria for disclosure
    under section 2.63, Section 2.64 provides that an order for disclosure may
    issue under the following circumstances.
    (a) Application. An order authorizing the disclosure of patient
    records for purposes other than criminal investigation or
    prosecution may be applied for by any person having a legally
    recognized interest in the disclosure which is sought. The
    application may be filed separately or as part of a pending civil
    action in which it appears that the patient records are needed to
    provide evidence. An application must use a fictitious name,
    such as John Doe, to refer to any patient and may not contain or
    otherwise disclose any patient identifying information unless the
    patient is the applicant or has given a written consent (meeting
    the requirements of these regulations) to disclosure or the court
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    J-A04033-15
    has ordered the record of the proceeding sealed from public
    scrutiny.
    ***
    (d) Criteria for entry of order. An order under this section may
    be entered only if the court determines that good cause exists.
    To make this determination the court must find that:
    (1) Other ways of obtaining the information are not
    available or would not be effective; and
    (2) The public interest and need for the disclosure
    outweigh the potential injury to the patient, the
    physician-patient relationship and the treatment
    services.
    
    42 C.F.R. § 2.64
     (a), (d) (emphasis added).
    “Therefore,    if   the   information    sought   contains   ‘confidential
    communications,’ plaintiff must satisfy both the ‘good cause’ requirements
    of [section 2.64(d)] and the requirements of [section 2.63(a)(3)].” Fannon
    v. Johnston, 
    88 F. Supp. 2d 753
    , 758 (E.D. Mich. 2000) (emphasis added).
    Instantly, the trial court concluded that Dr. Padhiar made an offer of
    testimony, as contemplated by the federal regulations, in his Answer to
    Gallo’s complaint. The court explained as follows.
    [I]n his response to Complaint Paragraph 24, [Dr. Padhiar]
    specifically denied “suffering [from] any condition that in any
    way affected his ability to provide reasonable and appropriate
    medical treatment to” Mr. Gallo. That Answer alone is sufficient
    for an “offering” to have been made because [Dr. Padhiar] has
    now given Gallo an opportunity to require disclosure of his
    confidential medical records so “a more complete picture” may
    be obtained. But [Dr. Padhiar] did not stop there. In response to
    Complaint Paragraph 26, [Dr. Padhiar] denied being impaired at
    the time of surgery. Once more, [Dr. Padhiar] opened the door
    for a more thorough examination of the subject matter.
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    Accordingly, once the door has been opened, it cannot be closed.
    Thus, the [c]ourt holds an “offering” has been made.
    T.C.O., 6/16/2014, at 8-9.
    However, it is clear from our sister courts’ interpretation of this
    provision that the offer of testimony contemplated by the regulations is
    testimony under oath in the traditional sense. See, e.g., Fannon, 
    88 F.Supp.2d at 762-65
     (analogizing the offer of testimony contemplated by
    regulation subsection 2.63(a)(3) to the offer of testimony required by
    Federal Rule of Evidence 404(a)(1)).
    As the trial court notes in its Opinion, depositions have yet to take
    place in the instant case. T.C.O., 6/16/2014, at 8. Thus, Dr. Padhiar has not
    had the opportunity to offer testimony. Additionally, “[a]n answer shall state
    the material facts which constitute the defense to the petition.” Pa.R.C.P.
    206.2(a).     Pursuant to Pa.R.C.P. 1019, which governs the content of
    pleadings, Pennsylvania utilizes a fact-pleading scheme, in which parties
    “must not only [provide] notice of ... the ... claim ... and the grounds upon
    which it rests, but ... also formulate the issues by summarizing those facts
    essential to support the claim.” Gates v. Gates, 
    967 A.2d 1024
    , 1030-31
    (Pa. Super. 2009) (citations and quotations omitted).       Thus, we cannot
    agree with the trial court that Dr. Padhiar’s adherence to the relevant
    procedural rules constitutes an offering as contemplated by Section
    2.63(a)(3).
    -9-
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    As Dr. Padhiar did not commence this litigation, we find this situation
    distinguishable from those cases that conclude a plaintiff has waived
    privilege by placing confidential communications at issue in a complaint. See
    Octave ex rel. Octave v. Walker, 
    103 A.3d 1255
    , 1263 (Pa. 2014)
    (“[Plaintiffs] knew or reasonably should have known James’s mental health
    would be placed directly at issue by filing the lawsuit.”); O’Boyle v. Jensen,
    
    150 F.R.D. 519
    , 522 (M.D. Pa. 1993).
    Moreover,   as   noted   above   “courts   addressing   the   issue   have
    determined that the mere fact that someone has filed a lawsuit and has put
    certain facts [at] issue does not constitute the requisite offering of testimony
    or evidence under 
    42 C.F.R. § 2.63
    (a)(3).” Local 738, 
    737 F. Supp. at 1033-34
    , (quoting Whyte v. Connecticut Mutual Life Ins. Co., 
    818 F.2d 1005
    , 1010 and n. 18 (1st Cir.1987)).
    Finally, to the extent that Gallo alleges that Dr. Padhiar waived any
    privilege by disclosing the contents of his treatment records to Conemaugh
    Health System, the Pennsylvania medical license board, or the Cambria
    County Court of Common Pleas, we reiterate that Section 2.63(a)(3) is
    litigation-specific. Local 738, supra. Thus, those prior disclosures have no
    effect on the privilege asserted by Dr. Padhiar in the instant case.
    As we have determined that Dr. Padhiar has not offered testimony
    with respect to the confidential communications at issue, we hold that the
    trial court erred in determining that Dr. Padhiar “opened the door” to any
    - 10 -
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    disclosure under section 2.63(a)(3). Accordingly, because Gallo has failed to
    establish that the information sought meets the requirement for disclosure
    under section 2.63(a)(3), we need not consider whether good cause exists
    to compel disclosure under section 2.64(d). See Fannon, 
    88 F. Supp. 2d at 758
    .
    Finally, Dr. Padhiar claims that the trial court erred in determining that
    the records should be disclosed under the “good cause” exception contained
    in subsection (b) of the Pennsylvania Drug and Alcohol Abuse Control Act
    (the Act). 71 P.S. § 1690.108(b). Dr. Padhiar’s Brief at 9-14.
    “Statutory interpretation ‘is a question of law and, as such, our
    standard of review is de novo and our scope of review is plenary.’” J.C.B. v.
    Pennsylvania State Police, 
    35 A.3d 792
    , 794 (Pa. Super. 2012).
    The basic tenet of statutory construction requires a court to
    construe the words of the statute according to their plain
    meaning. When the words of a statute are clear and free from all
    ambiguity, the letter of it is not to be disregarded under the
    pretext of pursuing its spirit. 1 Pa.C.S.[] § 1921(b).
    Generally speaking, the best indication of legislative intent is the
    plain language of a statute…. Under [1 Pa.C.S.] Section 1921(c),
    it is only when the words of a statute are not explicit that a court
    may resort to other considerations, such as the statute’s
    perceived “purpose,” in order to ascertain legislative intent.
    Consistently with the Act, this Court has repeatedly recognized
    that rules of construction, such as consideration of a statute’s
    perceived “object” or “purpose,” are to be resorted to only when
    there is an ambiguity. Finally, we note the maxim of statutory
    interpretation that the expression of one thing in a statute
    implies the exclusion of others not expressed. Similarly, the
    court may not supply omissions in the statute when it appears
    that the matter may have been intentionally omitted.
    - 11 -
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    Commonwealth v. Finley, 
    860 A.2d 132
    , 140 (Pa. Super. 2004) (some
    internal citations, footnotes, and quotation marks omitted).
    Instantly, the trial court determined that a reading of subsection (b)
    and (c) of the Act imputes into subsection (c) a good faith exception to
    disclosure. T.C.O., 6/16/2014, at 10-11. We disagree.
    In O’Boyle v. Jensen, the United States District Court for the Middle
    District of Pennsylvania interpreted the relevant provisions of the Act, stating
    Pennsylvania law places additional restrictions on the release of
    alcohol/drug abuse treatment records. The Pennsylvania
    confidentiality statute tracks federal law to the extent the patient
    records sought were “prepared or obtained” pursuant to the [the
    Act], providing for the release of such records upon a showing of
    “good cause”. [71 P.S. § 1690.108(b)]. Section 1690.108(b)
    provides, in relevant part:
    All patient records ... prepared or obtained pursuant
    to [the Act] shall remain confidential, and may be
    disclosed only with the patient’s consent ...
    Disclosure may be made for purposes unrelated to ...
    treatment or benefits only upon an order of a court
    of common pleas after application showing good
    cause therefor. In determining whether there is good
    cause for disclosure, the court shall weigh the need
    for the information sought to be disclosed against
    the possible harm of disclosure to the person to
    whom such information pertains, the physician-
    patient relationship, and to the treatment services,
    and may condition disclosure of the information upon
    any appropriate safeguards....
    Id.
    However, unlike the federal statute, the Pennsylvania statute
    provides that if the records sought are in the possession of a
    “private practitioner, hospital, clinic, drug rehabilitation or drug
    treatment center” as they are in this case, such records:
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    shall remain confidential and may be disclosed only
    with the patient’s consent and only (i) to medical
    personnel exclusively for purposes of diagnosis and
    treatment of the patient or (ii) to government or
    other officials exclusively for the purpose of
    obtaining benefits due the patient as a result of his
    drug or alcohol abuse or drug or alcohol dependence
    except that in emergency medical situations where
    the patient’s life is in immediate jeopardy, patient
    records may be released without the patient’s
    consent to proper medical authorities solely for the
    purpose of providing medical treatment to the
    patient.
    71 P.S. § 1690.108(c). There is no provision in this section
    comparable to that found in the federal statute and in
    Pennsylvania section 1690.108(b) providing for the
    release of the treatment records by court order upon a
    showing of good cause.
    O’Boyle, 150 F.R.D. at 521-22 (emphasis added).3
    While we are not bound by the determinations of the federal court, we
    find persuasive its interpretation of the Act. Accordingly, as in O’Boyle,
    subsection (c), related to disclosure of documents held by private facilities,
    controls.   As noted above, the plain language of subsection (c) does not
    include a good cause provision. Accordingly, we hold that the trial court
    erred in determining that the good cause exception of subsection (b) applies
    ____________________________________________
    3
    Notwithstanding its holding that subsection (c) of the Act was applicable,
    the O’Boyle Court determined that the plaintiff in that case had waived any
    privilege by filing the 1983 action at issue. 150 F.R.D. at 522. (“Despite the
    absence of such a provision, we find that the records which defendants seek
    are discoverable because the privilege conferred by section 1690.108(c) has
    been waived. Plaintiff waived the privilege by filing this action to recover for
    O’Boyle’s death.”) Such is not the case here.
    - 13 -
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    to subsection (c). Thus, we conclude that the records sought by Gallo are
    protected by the Act, without exception, subject to disclosure by Dr. Padhiar.
    Thus, for all of the foregoing reasons, we hold that the documents
    sought by Gallo are protected by federal and statutory privilege; therefore,
    the trial court erred in granting Gallo’s motion to compel. Accordingly, we
    reverse the trial court’s order.
    Order reversed. Case remanded. Jurisdiction relinquished.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 4/17/2015
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