State v. Danielle LeFebvre ( 2019 )


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  • January 7, 2019
    Supreme Court
    No. 2016-72-C.A.
    (P2/12-1420A)
    State                     :
    v.                      :
    Danielle LeFebvre.              :
    NOTICE: This opinion is subject to formal revision before publication in
    the Rhode Island Reporter. Readers are requested to notify the Opinion
    Analyst, Supreme Court of Rhode Island, 250 Benefit Street, Providence,
    Rhode Island 02903, at Tel. 222-3258 of any typographical or other
    formal errors in order that corrections may be made before the opinion is
    published.
    Supreme Court
    No. 2016-72-C.A.
    (P2/12-1420A)
    State                      :
    v.                        :
    Danielle LeFebvre.                 :
    Present: Suttell, C.J., Goldberg, Flaherty, Robinson, and Indeglia, JJ.
    OPINION
    Justice Flaherty, for the Court. The defendant, Danielle LeFebvre, appeals from a
    judgment of conviction after a jury found her guilty of first degree child abuse, in violation of
    G.L. 1956 § 11-9-5.3. The trial justice sentenced the defendant to twenty years’ imprisonment,
    with eighteen years to serve and the balance suspended, with probation. Before this Court, the
    defendant argues that the trial justice erred by requiring Sheila Russell, a licensed clinical social
    worker, to testify about statements the defendant made to her while seeking mental-health
    treatment. The defendant claims that her communications with Russell were privileged pursuant
    to the Confidentiality of Health Care Information Act, G.L. 1956 chapter 37.3 of title 5
    (CHCIA). A threshold, and ultimately dispositive, issue is whether any privilege arising from
    that statute is abrogated by G.L. 1956 § 40-11-11, which nullifies “[t]he privileged quality of
    communication between * * * any professional person and his or her patient or client * * * in
    situations involving known or suspected child abuse or neglect and [the privileged quality of
    communications] shall not constitute grounds for * * * failure to give or accept evidence in any
    judicial proceeding relating to child abuse or neglect.” After thoroughly reviewing the record,
    and carefully considering the arguments of the parties, we affirm the judgment of conviction.
    -1-
    I
    Facts and Travel
    In the fall of 2011, defendant lived in her mother’s apartment with her infant son, James,
    who was born on September 3, 2011. 1 This was a difficult time for her. She and her mother,
    JoAnn LeFebvre, had a tense relationship; defendant was averaging only two to five hours of
    sleep at night, and baby James had become frustratingly fussy. 2 James’s father was absent from
    the baby’s life, and, although JoAnn would occasionally babysit, the burden of child care fell
    mostly on defendant. Life was stressful for defendant, and the impact of that stress appears to
    have affected her relationship with her son. According to JoAnn, defendant was experiencing
    difficulty bonding with James. JoAnn did not observe the kind of playfulness and affection that
    one would expect from a new mother, and she observed that defendant was “aggressive” with the
    baby and would sometimes yell to vent her pent-up frustrations. 3
    On October 19, 2011, defendant arrived at the emergency room of Hasbro Children’s
    Hospital with James, then almost seven weeks old. The defendant told the attending physician
    that the day before, she had been sitting on the edge of her bed with James cradled against her
    shoulder, trying to lull him to sleep for a quick nap, when she herself fell asleep. She testified
    that she woke up sometime later to find James crying on the floor by the bed, where he had fallen
    while she slept. As she was consoling him, defendant claimed, she noticed that his head was red,
    but she did not feel anything out of the ordinary when she checked the back of his head, and he
    1
    We have assigned a pseudonym to the child to protect his privacy.
    2
    According to defendant, she voluntarily terminated her parental rights to James before her
    criminal trial.
    3
    The record reveals that defendant also had a seven-year-old child at the time of James’s birth.
    That child did not reside with defendant.
    -2-
    calmed down to take a bottle. The defendant then brought James to her grandmother’s home for
    an overnight visit.
    The next morning, defendant returned to work for the first time since she had gone on
    maternity leave. While she was at work, she received two phone calls from her grandmother,
    who had noticed that James was not acting normally. The defendant left work an hour early to
    check on James, and she knew something was wrong as soon as she saw him. After returning to
    her apartment to pack a diaper bag, she brought James to the emergency room. The defendant
    told the attending physician that her grandmother had reported that James appeared listless, was
    not eating, had rapid eye movements, and that his limbs were twitching. A head CT scan and a
    skeletal survey of James’s body revealed a fractured skull, bleeding in and around his brain, and
    two fractured ribs, which, based on how much they had healed, may have occurred as late as the
    very afternoon James was admitted to the hospital. Hospital staff, concerned that James’s
    injuries might be the result of abuse, referred James’s case to the Department of Children, Youth,
    and Families (DCYF). The defendant was later charged by criminal information with one count
    of first degree child abuse, in violation of § 11-9-5.3(b)(1).
    The attending physician later testified that she did not believe that any of the baby’s
    injuries were consistent with the type of short fall that had been described by defendant. To the
    contrary, the attending physician testified that James’s rib fractures could not have been caused
    by a fall from a bed, but rather were more consistent with someone squeezing or compressing the
    infant’s chest. The doctor further opined that James’s head injuries were consistent with abusive
    head trauma, also known as “Shaken Baby Syndrome.” 4
    4
    The defendant told an interrogating police officer that it was possible that she had injured her
    son, because she “know[s] that [she] get[s] upset” and that she was “rougher than [she] should
    be.”
    -3-
    Before trial, defendant’s counsel, in connection with plea negotiations, provided the state
    with medical records from mental health treatment that defendant had sought at Butler Hospital
    in the days following James’s injuries. Included in those records were the intake notes of Sheila
    Russell, a licensed clinical social worker who had conducted an initial psychiatric evaluation of
    defendant. That evaluation said, in pertinent part, that “[defendant] doesn[’]t remember what she
    did or on h[o]w many occasions, but has enough ‘fuzzy recollection’ to know she did indeed
    cause the harm. [R]emembers feeling ‘enraged’ at the baby and ‘throwing him on the bed just to
    get away from him.’” After the trial justice granted the state’s motion in limine to use those
    records against defendant at trial, the state served a subpoena duces tecum on Butler Hospital to
    produce copies of Russell’s records and to require her testimony. Over the hospital’s strenuous
    objection, the trial justice denied Butler’s motion to quash the subpoena, and she also required
    Russell to testify about her notes during the state’s rebuttal case. 5
    Before this Court, defendant argues that the trial justice erred when she required Sheila
    Russell to testify about disclosures defendant made to her during the intake interview, because,
    defendant contends, her conversation with Russell was privileged as a “confidential health care
    communication[]” under § 5-37.3-6. The defendant further argues that § 40-11-11 abrogates that
    privilege only in certain Family Court proceedings but does not do so in criminal cases.
    II
    Standard of Review
    “[W]e review questions of statutory interpretation de novo.” State v. Hazard, 
    68 A.3d 479
    , 485 (R.I. 2013) (quoting Campbell v. State, 
    56 A.3d 448
    , 454 (R.I. 2012)). “In matters of
    statutory interpretation our ultimate goal is to give effect to the purpose of the act as intended by
    5
    The defendant testified in her own defense. In the course of that testimony, she denied ever
    intentionally shaking or throwing James.
    -4-
    the Legislature.” 
    Id. (quoting Alessi
    v. Bowen Court Condominium, 
    44 A.3d 736
    , 740 (R.I.
    2012)).     “[W]hen [the] statute expresses a clear and unambiguous meaning, the task of
    interpretation is at an end and this [C]ourt will apply the plain and ordinary meaning of the
    words set forth in the statute.” State v. Marsich, 
    10 A.3d 435
    , 440 (R.I. 2010) (quoting State v.
    Smith, 
    766 A.2d 913
    , 924 (R.I. 2001)). “[T]he Legislature is presumed to have intended each
    word or provision of a statute to express a significant meaning, and the [C]ourt will give effect to
    every word, clause, or sentence, whenever possible.” State v. Clark, 
    974 A.2d 558
    , 571 (R.I.
    2009) (quoting State v. Bryant, 
    670 A.2d 776
    , 779 (R.I. 1996)).
    III
    Discussion
    This appeal pivots on a single issue: whether defendant’s discussion with Russell, a
    licensed clinical social worker, was a privileged health care communication pursuant to
    § 5-37.3-6 of CHCIA, or whether the privilege is rendered a nullity by § 40-11-11.
    A
    Waiver
    During the hearing on the state’s motion in limine, the state argued, as it does before this
    Court, that § 40-11-11 abrogates any privilege under CHCIA. The defendant’s counsel admitted,
    with laudable candor, that she had been unaware of the existence of § 40-11-11 prior to receiving
    notice of the state’s motion in limine two days before the hearing. After hearing argument from
    both sides, the trial justice ruled that § 40-11-11 did away with any potential privilege under
    -5-
    CHCIA that may have attached to any disclosures defendant made to Russell during her
    psychiatric evaluation. 6 In response to the trial justice’s ruling, defendant’s counsel stated:
    “It was a very straightforward statute, I agree with that, Judge, and
    I defer to the [c]ourt on this matter. * * *.
    “So I defer to the Court on the decision here, but I would like to
    state that without having, I’d say, a week to look into this, to look
    into other jurisdictions, I can’t say that I have a strong argument to
    make either way at this point.”
    As a result of this representation before the trial court, the state argues on appeal that the claim of
    privilege was waived.
    However, despite her seeming acquiescence to the trial justice’s ruling, defendant’s
    counsel later challenged the state’s proffer of Russell’s testimony before it was offered to the
    jury. She maintained that the communication was privileged under CHCIA. Addressing the
    potential abrogation of defendant’s CHCIA privilege, counsel stated:
    “I would like to put on the record that, again, I have not been able
    to fully explain to my client exactly all of her options because,
    again, I do not feel I had enough time or been [sic] able to put the
    effort into this untried, and if you will, novel idea of bringing in
    records which I in fact turned over, from my understanding,
    [during] plea negotiations to the State.
    “So I would just like there be [sic] a continuing objection. * * *.”
    The trial justice granted the request for a continuing objection to Russell’s testimony.
    In our opinion, for the purposes of this appeal, the defendant’s request for, and the trial
    justice’s grant of, a continuing objection sufficiently preserved this argument for review by this
    Court.
    B
    The First Sentence of § 40-11-11
    6
    The state’s motion in limine mistakenly named Melissa Ludwig, M.D., as the therapist who had
    conducted defendant’s initial psychiatric evaluation at Butler Hospital.
    -6-
    Under CHCIA, “confidential health care communications” are not “subject to
    compulsory legal process in any type of judicial proceeding[.]” Section 5-37.3-6(a). The act
    defines “[c]onfidential health care communication” as “a communication of health care
    information by an individual to a health care provider * * * not intended to be disclosed to third
    persons[.]” 7 Section 5-37.3-3(3)(i).
    The defendant argues that Russell was a “health care provider” under the statute, that any
    statements she made during her intake evaluation with Russell were made for the purpose of
    obtaining mental health treatment, and that those statements were not intended to be disclosed to
    any third persons. Therefore, she argues, the statements were privileged and consequently
    should not have been admitted into evidence.
    However, this appeal does not turn on whether defendant’s discussion with Russell was
    privileged. This is so because, even though the requirements of CHCIA may have been met, any
    privilege that she might otherwise have enjoyed was rendered a nullity by the clear and
    unambiguous language of § 40-11-11. That statute provides, in pertinent part:
    7
    We have considered the constitutionality of this statute on multiple occasions. See State v.
    Almonte, 
    644 A.2d 295
    , 297-99 (R.I. 1994); Bartlett v. Danti, 
    503 A.2d 515
    , 517 (R.I. 1986). In
    those cases, we declared the privilege enacted in G.L. 1956 § 5-37.3-6 to be unconstitutional
    because the statute, as written, gave “uncontrolled discretion over how the litigants and the trial
    courts of the state adjudicate disputes to the patient ‘who can decide with impunity whether to
    permit access to such information.’” 
    Almonte, 644 A.2d at 297
    (quoting 
    Bartlett, 503 A.2d at 517
    ). In Almonte, we said that § 5-37.3-6 “substantially makes unavailable to the judicial
    process any health care information whether arising out of a confidential communication, or
    objective tests or observations. This is an intrusion upon the judicial power of the state which
    cannot be countenanced.” 
    Id. at 299.
    After our decision in Almonte, the General Assembly
    enacted § 5-37.3-6.1, which provides a mechanism for trial courts to admit confidential health
    care information in certain circumstances. See P.L. 2006, ch. 248, § 3; P.L. 2006, ch. 266, § 3.
    We have since held that this latter enactment “adequately addresses the heretofore recognized
    constitutional infirmities and strikes a permissible balance between a party’s interest in
    maintaining the confidentiality of his or her personal health care records and the court’s need to
    access relevant information.” In re Doe, 
    717 A.2d 1129
    , 1133 (R.I. 1998).
    -7-
    “The privileged quality of communication between husband and
    wife and any professional person and his or her patient or client,
    except that between attorney and client, is hereby abrogated in
    situations involving known or suspected child abuse or neglect and
    shall not constitute grounds for * * * failure to give or accept
    evidence in any judicial proceeding relating to child abuse or
    neglect. In any family court proceeding relating to child abuse or
    neglect * * * no privilege of confidentiality may be invoked with
    respect to any illness, trauma, incompetency, addiction to drugs, or
    alcoholism of any parent.” Section 40-11-11.
    The defendant first agrees with the state that § 40-11-11 is unambiguous, but argues that
    any abrogation of privacy applies only in certain Family Court proceedings. She posits that the
    phrase “proceeding relating to child abuse or neglect,” used in the first sentence of the statute, is
    a “term of art” that refers only to DCYF-initiated proceedings that are heard on a specialized
    calendar in the Family Court, which defendant refers to as the “abuse and neglect calendar.” The
    defendant offers no support for this bald assertion, stating only that “proceeding relating to child
    abuse or neglect” is a “shorthand phrase” that parties and judges use to refer to that specialized
    calendar and the cases that appear on it.
    Accepting, arguendo, that the phrase “proceeding relating to child abuse or neglect” has
    in fact entered the lexicon of breviloquent colloquialisms favored by legal professionals familiar
    with Family Court practice, we nonetheless conclude that the General Assembly would not have
    employed the phrase in a colloquial fashion when enacting the legislation. The plain meaning of
    the phrase “any judicial proceeding relating to child abuse or neglect” is indeed unambiguous,
    and it encompasses the full spectrum of matters that relate to the abuse or neglect of a child. Had
    the General Assembly intended to limit the application of § 40-11-11 to the narrow class of cases
    -8-
    suggested by defendant, it surely would have done so explicitly, rather than employing what
    defendant refers to as a “shorthand phrase.” 8
    At best, defendant may have demonstrated that “any judicial proceeding relating to child
    abuse or neglect” has a specialized meaning in the context of the Family Court. It is true that
    “[a] word [or phrase] may acquire a specific meaning and become a word of art through constant
    and unmistakable usage.”      State v. Domanski, 
    57 R.I. 500
    , 501, 
    190 A. 854
    , 856 (1937).
    However, if a word or phrase “has no technical or precise definition” and “does not in all cases
    convey a single identical meaning[,]” but rather has a “variety of meanings” based on the context
    of its usage, then that word or phrase is not a term of art. Douglas v. Pratt, 
    102 R.I. 445
    , 448,
    
    231 A.2d 486
    , 488 (1967).
    When the language of a statute is unambiguous, we must enforce the words of the statute
    as they are written according to “their plain and ordinary meaning.” Harvard Pilgrim Health
    Care of New England, Inc. v. Gelati, 
    865 A.2d 1028
    , 1037 (R.I. 2004). As the trial justice held
    below, § 40-11-11 unambiguously abrogates all privileges that might otherwise attach to
    communications “between husband and wife and any professional person and his or her patient
    or client, except that between attorney and client * * * in situations involving known or
    suspected child abuse or neglect” and any such privileges cannot justify a “failure to give or
    accept evidence in any judicial proceeding relating to child abuse or neglect.” The language
    employed by the General Assembly could not be more clear.
    C
    8
    We also note that, when the General Assembly enacted G.L. 1956 § 11-9-5.3, known as
    Brendan’s Law, it vested the Family Court with exclusive jurisdiction over the offense. State v.
    Sivo, 
    925 A.2d 901
    , 916 (R.I. 2007). However, on July 3, 2006, the General Assembly enacted
    two public laws that removed jurisdiction of child abuse offenses from the Family Court to the
    Superior Court. See State v. Jennings, 
    944 A.2d 171
    , 173 (R.I. 2008); see also P.L. 2006, ch.
    260, § 1; P.L. 2006, ch. 290, § 1.
    -9-
    The Second Sentence of § 40-11-11
    The defendant argues in the alternative that the wording of the first sentence, if clear on
    its face, is rendered ambiguous by the inclusion of the phrase “any family court proceeding
    relating to child abuse or neglect” that is found in the second sentence. Section 40-11-11
    (emphasis added). The defendant contends that the limitation in the second sentence to “family
    court proceeding” can plausibly be read as restricting the scope of the first sentence. We do not
    agree. The defendant’s argument presumes that the two sentences of § 40-11-11 overlap one
    another. The interpretation that defendant urges upon us would not only contravene our firmly
    held principle that the “Legislature is presumed to have intended each word or provision of a
    statute to express a significant meaning,” but would also ignore the clearly separate substance of
    the two sentences. 
    Clark, 974 A.2d at 571
    . The first sentence of the statute abrogates all
    privileges, regardless of subject matter, that are based on the identity of the communicants,
    namely those “between husband and wife and any professional person and his or her patient or
    client, except that between attorney and client[.]” Section 40-11-11. By contrast, the second
    sentence, in Family Court proceedings only, prevents the invocation of any privilege of
    confidentiality only with respect to certain subject matter, namely “any illness, trauma,
    incompetency, addiction to drugs, or alcoholism of any parent.” 
    Id. Our interpretation
    of § 40-
    11-11 is further bolstered by the fact that the General Assembly thought it necessary to add the
    second sentence when it amended § 40-11-11 in 1988. See P.L. 1988, ch. 106, § 1. 9
    Based on the plain meaning of the words of this statute, the second sentence of § 40-11-
    11 limits the ability to invoke privileges with respect to certain subject matter in Family Court
    9
    We also observe that, when the General Assembly chose to limit the second sentence of G.L.
    1956 § 40-11-11 to “any family court proceeding,” it did so explicitly rather than employ the
    ostensible “shorthand” that defendant suggests was used in the first sentence.
    - 10 -
    only. On the other hand, the first sentence, in sweeping language, does away with virtually all
    privileges in any and all judicial proceedings that involve the abuse or neglect of a child. This
    would include criminal proceedings.
    We pause briefly, however, to add our concerns to those expressed by the trial justice
    that, especially in criminal cases, our ruling today could have a chilling effect on the benefits of
    psychotherapy as a rehabilitative tool in instances of child abuse and neglect. Nonetheless,
    whatever our reservations might be, we are constrained to give effect to the enactments of the
    General Assembly. “How to effectuate policy—the adaptation of means to legitimately sought
    ends—is one of the most intractable of legislative problems.” State v. Oliveira, 
    882 A.2d 1097
    ,
    1117 (R.I. 2005) (quoting Tigner v. Texas, 
    310 U.S. 141
    , 148 (1940)). It is not for this Court to
    determine whether a statute enacted by the General Assembly “comports with our [own] ideas of
    justice, expediency or sound public policy.” State v. DiStefano, 
    764 A.2d 1156
    , 1160 (R.I. 2000)
    (quoting Kastal v. Hickory House, Inc., 
    95 R.I. 366
    , 369, 
    187 A.2d 262
    , 265 (1963)). Where the
    General Assembly has lawfully enacted a statute whose terms are clear and unambiguous, “the
    task of interpretation is at an end and this [C]ourt will apply the plain and ordinary meaning of
    the words set forth in the statute.” 
    Marsich, 10 A.3d at 440
    .
    IV
    Conclusion
    For the foregoing reasons, the judgment of conviction is affirmed, and the record shall be
    returned to the Superior Court.
    - 11 -
    STATE OF RHODE ISLAND AND                                  PROVIDENCE PLANTATIONS
    SUPREME COURT – CLERK’S OFFICE
    OPINION COVER SHEET
    Title of Case                        State v. Danielle LeFebvre.
    No. 2016-72-C.A.
    Case Number
    (P2/12-1420A)
    Date Opinion Filed                   January 7, 2019
    Suttell, C.J., Goldberg, Flaherty, Robinson, and
    Justices
    Indeglia, JJ.
    Written By                           Associate Justice Francis X. Flaherty
    Source of Appeal                     Providence County Superior Court
    Judicial Officer From Lower Court    Associate Justice Netti C. Vogel
    For State:
    Lauren S. Zurier
    Department of Attorney General
    Attorney(s) on Appeal
    For Defendant:
    Angela M. Yingling
    Office of the Public Defender
    SU-CMS-02A (revised June 2016)