Sandi D. Jackson v. HCA Health Services of Tennessee, Inc. d/b/a Centennial Medical Center , 2012 Tenn. App. LEXIS 250 ( 2012 )


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  •                 IN THE COURT OF APPEALS OF TENNESSEE
    AT NASHVILLE
    February 29, 2012 Session
    SANDI D. JACKSON v. HCA HEALTH SERVICES OF TENNESSEE,
    INC., D/B/A CENTENNIAL MEDICAL CENTER ET AL.
    Appeal from the Circuit Court for Davidson County
    No. 10C-4697     Joseph P. Binkley, Jr., Judge
    No. M2011-00582-COA-R3-CV - Filed April 18, 2012
    This appeal arises from the dismissal of a medical malpractice action due to the plaintiff’s
    failure to provide a certificate of good faith. All defendants filed Tennessee Rule of Civil
    Procedure 12.02(6) motions to dismiss the medical malpractice action based upon Tennessee
    Code Annotated § 29-26-122(a), which provides: “If the certificate is not filed with the
    complaint, the complaint shall be dismissed, as provided in subsection (c), absent a showing
    that the failure was due to the failure of the provider to timely provide copies of the
    claimant’s records requested as provided in § 29-26-121 or demonstrated extraordinary
    cause.” Because the plaintiff failed to make a showing that the omission was due to the
    failure of any healthcare provider to provide records or demonstrate extraordinary cause, the
    trial court granted the motions and dismissed the case. The plaintiff asserts on appeal that the
    statutory requirement violates the separation of powers clause and that it violates the due
    process and equal protection guarantees of the constitution of Tennessee by treating plaintiffs
    in suits for medical negligence differently from plaintiffs in other civil litigation and by
    allegedly restricting access to the courts. Finding no constitutional infirmities, we affirm.
    Tenn. R. App. P. 3 Appeal as of Right; Judgment of the Circuit Court Affirmed
    F RANK G. C LEMENT, JR., J., delivered the opinion of the Court, in which R ICHARD H.
    D INKINS, J., and R OBERT W. W EDEMEYER, S P. J., joined.
    Phillip L. Davidson, Nashville, Tennessee, for the appellant, Sandi D. Jackson.
    C. J. Gideon, Jr., Dixie W. Cooper, and Brian P. Manookian, Nashville, Tennessee, for the
    appellees, HCA Health Services of Tennessee, Inc., d/b/a Centennial Medical Center and
    d/b/a/ Hendersonville Medical Center.
    Phillip North, J. Eric Miles and Lauren Smith, Nashville, Tennessee, for the appellees,
    Joseph Magoun, M.D., Claude L. Ferrell, L.D., Jonathan Grooms, CRNA, Anesthesia
    Medical Group, P.C., Louis Brusting, III, M.D., and the Heart and Vascular Team, P.L.L.C.
    Robert E. Cooper, Jr., Attorney General and Reporter; Joseph F. Whalen, Associate Solicitor
    General; and Stephanie A. Bergmeyer, Assistant Attorney General, for the intervenor, State
    of Tennessee.
    OPINION
    In August of 2009, Sandi D. Jackson (“Plaintiff”) filed a pro se complaint against
    numerous defendants asserting a medical malpractice claim for injuries allegedly arising out
    of a “minimally invasive, robot-assisted mitral valve repair and atrial cryoblation” that
    Plaintiff underwent at Centennial Medical Center in August 2008 and for subsequent care
    that was due to an infection that occurred after her initial discharge from the hospital. The
    42-page complaint contains numerous allegations against each of the individual and
    organizational defendants, and requests $14 million in compensatory damages and $4 million
    in punitive damages.
    The defendants, HCA Health Services of Tennessee, Inc., d/b/a Centennial Medical
    Center and d/b/a/ Hendersonville Medical Center; Joseph Magoun, M.D.; Claude L. Ferrell,
    L.D.; Jonathan Grooms, CRNA; Anesthesia Medical Group, P.C.; Louis Brusting, III, M.D.;
    and the Heart and Vascular Team, P.L.L.C., (collectively “Defendants”) each filed Tennessee
    Rule of Civil Procedure 12.02(6) motions to dismiss based on Plaintiff’s failure to provide
    a certificate of good faith within 90 days of the filing of her complaint, which was the
    applicable requirement under the then current version of Tennessee Code Annotated §
    29-26-122(a) (2008) and Plaintiff’s failure to comply with the notice requirement in
    Tennessee Code Annotated § 29-26-121. Before the motions were heard, Plaintiff voluntarily
    dismissed all claims.
    Plaintiff re-filed this action on December 1, 2010, with the timely filing of a new
    complaint and summons, however, a certificate of good faith was not filed with the
    complaint. Defendants filed motions to dismiss due to Plaintiff’s failure to file a certificate
    of good faith with the filing of the complaint, which was required pursuant to a 2009
    amendment to Tennessee Code Annotated § 29-26-122(a). In her response to the motions,
    Plaintiff conceded that notice had not been timely given and that no certificate of good faith
    had been filed; nevertheless, she asserted that the motions should be denied on the grounds
    that the requirement under Tennessee Code Annotated § 29-26-122(a) was unconstitutional
    because it violates: (1) separation of powers, (2) the open courts provision of the Tennessee
    -2-
    Constitution, article I, section 17, (3) equal protection under the Tennessee and U.S.
    Constitutions, and (4) substantive and procedural due process guarantees of the Tennessee
    Constitution, article I, section 8, and the U.S. Constitution.
    Because the constitutionality of a state statute was challenged, the State of Tennessee
    filed a motion to intervene in the action to defend the constitutionality of the statute, and
    permission to intervene was granted.
    Following a hearing on the several motions, the trial court dismissed Plaintiff’s
    medical malpractice claims due to her failure to provide a certificate of good faith as required
    by Tennessee Code Annotated § 29-26-122(a). The trial court entered separate orders
    granting each of the defendants’ motions to dismiss. The order granting the motion of HCA
    Health Services d/b/a Centennial Medical Center and d/b/a Hendersonville Medical Center
    was entered on February 25, 2011. The order granting the motions of Anesthesia Medical
    Group P.C., Claude L. Ferrell, M.D., and Jonathan Grooms, CRNA, was entered on February
    28, 2011. The order granting the motion of Joseph Magoun, M.D., was entered on February
    28, 2011. The order granting the motions of Louis A. Brunstin, III, M.D., and the Heart &
    Vascular Team, PLLC, was entered on March 11, 2011. The trial court entered an order
    upholding the constitutionality of Tennessee Code Annotated § 29-16-122 on March 11,
    2011. This appeal followed.
    I SSUES
    Plaintiff contends that Tennessee Code Annotated § 29-26-122 violates the separation
    of powers clause of the constitution of Tennessee, thereby giving unlawful primacy to the
    General Assembly over the Tennessee Supreme Court. Plaintiff also contends that the
    statutory scheme violates the due process and equal protection guarantees of the constitution
    of Tennessee by treating plaintiffs in suits for medical negligence differently as contrasted
    with plaintiffs in other types of civil litigation. Defendants insist there are no constitutional
    infirmities with the statutory scheme and the trial court’s decision to dismiss the complaint
    should be affirmed.
    S TANDARD OF R EVIEW
    The issues presented here constitute a facial challenge to a statute, meaning they
    involve a claim “that the statute fails a constitutional test and should be found invalid in all
    applications.” Waters v. Farr, 
    291 S.W.3d 873
    , 921 (Tenn. 2009) (citing United States v.
    Salerno, 
    481 U.S. 739
    , 745 (1987)).
    -3-
    A facial challenge to a statute is the most difficult challenge to mount
    successfully. The presumption of a statute’s constitutionality applies with even
    greater force when a facial challenge is made. Accordingly, the challenger
    must establish that no set of circumstances exists under which the statute
    would be valid. Stated another way, the challenger must demonstrate that the
    law cannot be constitutionally applied to anyone.
    Courts considering a facial challenge to a statute should proceed with caution
    and restraint because holding a statute facially unconstitutional may result in
    unnecessary interference with legitimate governmental functions. Accordingly,
    the courts view facial invalidity as “manifestly strong medicine” and invoke
    it sparingly and only as a last resort.
    There are at least three reasons for the courts’ reticence to invalidate statutes
    on their face. First, claims of facial invalidity often rest on speculation and
    thus run the risk of the “premature interpretation of statutes on the basis of
    factually barebones records.” Second, facial challenges “run contrary to the
    fundamental principle of judicial restraint” by inviting the courts to “formulate
    a rule of constitutional law broader than is required by the precise facts to
    which it is to be applied.” Third, “facial challenges threaten to short circuit the
    democratic process by preventing laws embodying the will of the people from
    being implemented in a manner consistent with the Constitution.”
    Thus, a successful facial constitutional challenge results in the wholesale
    invalidation of the statute. While passing on the validity of a statute wholesale
    may be efficient in the abstract, any gain is often offset by losing the lessons
    taught by the particular. For this reason, many courts view “as applied”
    challenges as the “basic building blocks” of constitutional adjudication. “As
    applied” challenges are preferred because, if they are successful, they do not
    render the entire statute completely inoperative. In some circumstances, the
    courts can best fulfill the legislature’s intent by prohibiting only the
    unconstitutional applications of a statute, while allowing the State to enforce
    the statute in other circumstances.
    Waters, 291 S.W.3d at 921-923 (internal citations and footnotes omitted).
    A NALYSIS
    We start our analysis with a recitation of the statutory scheme being challenged,
    specifically Tennessee Code Annotated § 29-26-122(a), as amended in 2009. The section
    -4-
    provides, in pertinent part:
    (a) In any medical malpractice action in which expert testimony is required
    by § 29-26-115, the plaintiff or plaintiff’s counsel shall file a certificate of
    good faith with the complaint. If the certificate is not filed with the complaint,
    the complaint shall be dismissed, as provided in subsection (c), absent a
    showing that the failure was due to the failure of the provider to timely provide
    copies of the claimant’s records requested as provided in § 29-26-121 or
    demonstrated extraordinary cause. The certificate of good faith shall state that:
    (1) The plaintiff or plaintiff’s counsel has consulted with one (1) or more
    experts who have provided a signed written statement confirming that upon
    information and belief they:
    (A) Are competent under § 29-26-115 to express an opinion or
    opinions in the case; and
    (B) Believe, based on the information available from the
    medical records concerning the care and treatment of the
    plaintiff for the incident or incidents at issue, that there is a good
    faith basis to maintain the action consistent with the
    requirements of § 29-26-115; or
    (2) The plaintiff or plaintiff’s counsel has consulted with one (1) or more
    experts who have provided a signed written statement confirming that upon
    information and belief they:
    (A) Are competent under § 29-26-115 to express an opinion or
    opinions in the case; and
    (B) Believe, based on the information available from the
    medical records reviewed concerning the care and treatment of
    the plaintiff for the incident or incidents at issue and, as
    appropriate, information from the plaintiff or others with
    knowledge of the incident or incidents at issue, that there are
    facts material to the resolution of the case that cannot be
    reasonably ascertained from the medical records or information
    reasonably available to the plaintiff or plaintiff’s counsel; and
    that, despite the absence of this information, there is a good faith
    basis for maintaining the action as to each defendant consistent
    -5-
    with the requirements of § 29-26-115. Refusal of the defendant
    to release the medical records in a timely fashion or where it is
    impossible for the plaintiff to obtain the medical records shall
    waive the requirement that the expert review the medical record
    prior to expert certification.
    ....
    (c) The failure of a plaintiff to file a certificate of good faith in compliance
    with this section shall, upon motion, make the action subject to dismissal with
    prejudice. The failure of a defendant to file a certificate of good faith in
    compliance with this section alleging the fault of a non-party shall, upon
    motion, make such allegations subject to being stricken with prejudice unless
    the plaintiff consents to waive compliance with this section. If the allegations
    are stricken, no defendant, except for a defendant who complied with this
    section, can assert, and neither shall the judge nor jury consider, the fault, if
    any, of those identified by the allegations. The court may, upon motion, grant
    an extension within which to file a certificate of good faith if the court
    determines that a health care provider who has medical records relevant to the
    issues in the case has failed to timely produce medical records upon timely
    request, or for other good cause shown.
    I.
    We begin our analysis with Plaintiff’s contention that Tennessee Code Annotated §
    29-26-122(a), the requirement that a certificate of good faith be filed with the filing of the
    complaint, deprives plaintiffs in medical malpractice actions of their due process rights, the
    right to redress of injury secured by our state constitution, and that it violates the equal
    protection guaranties of plaintiffs in medical malpractice actions under the Tennessee
    constitution.1
    1
    The Tennessee constitution does not contain an express equal protection guarantee, nevertheless
    “[t]he concept of equal protection espoused by the federal and of our state constitutions guarantees that ‘all
    persons similarly circumstanced shall be treated alike.’” Tenn. Small School Systems v. McWherter, 
    851 S.W.2d 139
    , 153 (Tenn. 1993) (quoting F.S. Royster Guano Co. v. Virginia, 
    253 U.S. 412
    , 415, 
    40 S. Ct. 560
    ,
    562, 
    64 L. Ed. 989
     (1920) (citing State ex rel Dept. of Social Services v. Wright, 
    736 S.W.2d 84
     (Tenn.
    1987)). While recognizing that “[t]he equal protection provisions of the Tennessee Constitution and the
    Fourteenth Amendment are historically and linguistically distinct,” our Supreme Court “has followed the
    framework developed by the United States Supreme Court for analyzing equal protection claims.” Newton
    v. Cox, 
    878 S.W.2d 105
    , 109 (Tenn. 1994) (quoting Tenn. Small School Systems, 851 S.W.2d at 153).
    -6-
    A similar challenge to requirements under the 1975 version of the medical malpractice
    act was asserted in Harrison v. Schrader, 
    569 S.W.2d 822
     (Tenn. 1978). In Harrison, the
    plaintiff challenged the constitutionality of Tennessee Code Annotated § 23-3415(a), the
    statute of repose provision of the Medical Malpractice Review Board and Claims Act of
    1975. Id. at 823. The plaintiffs in Harrison asserted that this section violated the equal
    protection guaranties of both the United States and Tennessee Constitutions and deprived
    them of the right to redress of injury secured by our state constitution. Id. at 823-24.
    In the complaint, the Harrisons asserted that, after performing a vasectomy upon Mr.
    Harrison in 1972, the appellee, Dr. Schrader, informed him that as a result of the operation
    he would be sterile; however, on December 18, 1975, they learned, as the court said, “to his
    consternation and her dismay,” that Mrs. Harrison was pregnant. Id. at 824. Subsequent tests
    revealed that Mr. Harrison was not sterile. Id. On July 29, 1976, he underwent a second
    vasectomy, at which time, it was discovered that the first surgery had been negligently
    performed. Id. at 824. On September 22, 1976, Mr. and Mrs. Harrison commenced their
    medical malpractice action. Id.
    Dr. Schrader moved to dismiss the complaint on the ground that it had been filed
    beyond the statute of repose, which was three years after the alleged negligent act or
    omission. Id. (citing Tenn. Code Ann. § 23-3415 (1975)).2 In response, the plaintiffs
    challenged the constitutionality of the Medical Malpractice Review Board Act on the
    grounds stated above. Id. Upon intervention by the Attorney General and oral argument on
    the motion by the parties, the trial court held “that T.C.A. 23-3415 does not violate the
    Constitutions of the State of Tennessee or of the United States of America, and that this
    action is therefore barred by the three-year provision of said statute and should be
    dismissed.” Id. The Supreme Court affirmed the dismissal. Id. at 826.
    2
    Section 23-3415(a) (1975) read as follows:
    The statute of limitations in malpractice actions shall be one (1) year as set forth in s 28-304;
    provided, however, that in the event the alleged injury is not discovered within the said one
    (1) year period, the period of limitation shall be one (1) year from the date of such
    discovery; provided further, however, that in no event shall any such action be brought more
    than three (3) years after the date on which the negligent act or omission occurred except
    where there is fraudulent concealment on the part of the defendant in which case the action
    shall be commenced within one (1) year after discovery that the cause of action exists; and
    provided still further that the time limitation herein set forth shall not apply in cases where
    a foreign object has been negligently left in a patient’s body in which case the action shall
    be commenced within one (1) year after the alleged injury or wrongful act is discovered or
    should have been discovered.
    -7-
    In its analysis, the Supreme Court first determined “what standard of review must be
    utilized in ascertaining the statutes constitutionality.” Id. at 825. The Harrisons had asserted
    that the statutory scheme afforded physicians a “favored status,” the victims of physicians
    malpractice suffered a “disfavored status,” and thus, the statute “must be subjected to [strict]
    scrutiny.” The Supreme Court expressly rejected this argument and stated that “[a]
    classification will be subject to strict scrutiny only when it impermissibly interferes with the
    exercise of a fundamental right (e. g., voting, interstate travel) or operates to the peculiar
    disadvantage of a suspect class (e. g., alienage, race).3 Id. at 825 (citing San Antonio
    Independent School District v. Rodriguez, 
    411 U.S. 1
     (1973)). Following an analysis, the
    court concluded that the test to be applied to determine the validity of the classification at
    issue was the reasonable basis test. Id. “If it has a reasonable basis, it is not unconstitutional
    merely because it results in some inequality. Reasonableness depends upon the facts of the
    case and no general rule can be formulated for its determination. Id. at 825-26.
    Applying the reasonable basis test, the Supreme Court reasoned it could not say “there
    was no reasonable or rational basis for the distinction made between actions for medical
    malpractice and those for personal injuries caused by other means or for the separate and
    distinct treatment accorded ‘health care providers.’” 4 Id. at 826. The court commented:
    At the time the legislature passed the statute of limitations eventually codified
    as Sec. 23-3415(a), T.C.A., this state and the nation were in the throes of what
    was popularly described as a “medical malpractice insurance crisis.” Because
    of alleged increasing numbers of claims, insurance companies had grown
    3
    In the 1986 opinion of Newton v. Cox the Tennessee Supreme Court held that “medical malpractice
    litigants are not members of a suspect class.” Newton, 878 S.W.2d at 109 (citing Sutphin v. Platt, 
    720 S.W.2d 455
     (Tenn. 1986)).
    4
    The Harrison court had already commented that:
    This enactment was passed as a part of Chapter 299, Public Acts of 1975, designed by the
    legislature to meet the so-called “medical malpractice crisis” of the late 1960’s and early
    1970’s. On its face, the section recognized the applicability of the general statute of
    limitations (Sec. 28- 304, T.C.A.) and the rule, first stated by this Court in Teeters v. Currey,
    
    518 S.W.2d 512
     (Tenn. 1974), that in malpractice actions the statute of limitations begins
    to run from the date the injury is, or should have been, discovered. The legislature, however,
    proceeded to place an absolute three-year limit upon the time within which malpractice
    actions, with two exceptions, could be brought. It is this limit, applicable only in medical
    malpractice actions, that appellants challenge as unconstitutional. [footnote omitted]
    Id. at 824.
    -8-
    reluctant to write medical malpractice policies. Where policies were available,
    premiums had risen astronomically.
    The legislature could have seen in this situation a threat not only to the medical
    profession and its insurers, but also to the general welfare of the citizens of this
    state. As liability costs skyrocketed, so would the cost of health care. [footnote
    omitted]. Physicians would be encouraged to cease practice or contemplate
    early retirement, and the number of available physicians would decrease. The
    practice of “defensive medicine,” spawned by fear of costly legal actions,
    would lead to a lower quality of health care in general. These considerations
    may or may not have been valid; however, it is apparent that they were
    accepted by the legislature and formed the predicate for its action.
    In addition, it could be argued that to the extent that safe estimates required by
    actuarial uncertainty, aggravated by the extended period during which a
    physician could be subject to potential liability, contributed to the increase in
    malpractice insurance costs, “it is understandable that a legislature intent upon
    halting such phenomenal increases would seek some method to increase the
    certainty of such estimates,” i. e., an absolute three-year limit on the time
    within which actions could be brought. Note, Malpractice in Dealing with
    Medical Malpractice ??, 6 Mem.St.L.Rev. 437, 459 (1976).
    Id. at 826 (footnote omitted).
    After considering the foregoing principles and facts, the Harrison court found “that
    the importance to the public of good health care and the problems which arise when
    malpractice claims are brought against health providers after the passage of many years
    constitute sufficient reasons for the legislature to place them in a separate classification for
    this purpose.” Id. at 827. Based upon this finding, the court reached the following conclusion:
    This Court cannot say that there is no reasonable basis for the separate
    classification of health care providers or that this classification bears no
    reasonable relation to the legislative objective of reducing and stabilizing
    insurance and health costs and protecting the public as a whole. Indeed, at the
    time Sec. 23-3415(a) was passed, “there was indubitably a valid reason for the
    distinction made” by the statute.
    Id.
    -9-
    The burden of showing that a classification is unreasonable and arbitrary is on the
    person challenging the statute and “if any state of facts can reasonably be conceived to justify
    the classification or if the reasonableness of the class is fairly debatable, the statute must be
    upheld.” Id. at 826. “Before the classification will be held to violate the equal protection
    guaranty, it must be shown that it has no reasonable or natural relation to the legislative
    objective.” Id. In addition, the statute must apply alike to all who fall within, or can
    reasonably be brought within the classification. Id. (citing Massachusetts Mutual Life Ins.
    Co. v. Vogue Inc., 624, 
    393 S.W.2d 164
     (Tenn. Ct. App. 1965)).
    Applying the reasonable basis standard of review, we cannot say that the current
    medical malpractice act, specifically, Tennessee Code Annotated § 29-26-122(a), has no
    reasonable basis for the distinction in filing good faith certificates in medical malpractice
    actions and not in civil actions for personal injuries caused by other means, which are not
    under the purview of medical malpractice, or that it has no natural relation to the legislative
    objective. See id; see also City of Chattanooga v. Harris, 
    442 S.W.2d 602
    , 604 (Tenn. 1969);
    Phillips v. State, 
    304 S.W.2d 614
     (Tenn. 1957).
    As was the environment at the time of Harrison, the legislature perceived a threat in
    2009, not only to the medical profession and its insurers, but to the general welfare of the
    citizens of this state because, believing that as liability costs increase, so does the cost of
    health care and the practice of “defensive medicine,” spawned by the fear of costly legal
    actions, may lead to a lower quality of health care in general. Whether these considerations
    are or are not valid is not for this court to determine. Id. at 828. What is relevant and
    controlling is that they were accepted by the legislature and formed the predicate for its
    action.
    Accordingly, we cannot say that there is no reasonable basis for the separate
    classification of health care providers or that this classification bears no reasonable relation
    to the legislative objective of reducing and stabilizing health costs and protecting the general
    public. Borrowing a phrase from Harrison, at the time Section 122(a) was enacted, “there
    was indubitably a valid reason for the distinction made” by the statute. Id. at 827.
    II.
    We shall now address Plaintiff’s contention that Tennessee Code Annotated §
    29-26-122 (2009) violates the separation of powers clause of the Tennessee constitution
    because, Plaintiff contends, it is in conflict with Tennessee Rule of Civil Procedure 3.
    -10-
    Rule 3 provides in pertinent part: “All civil actions are commenced by filing a
    complaint with the clerk of the court.” Tennessee Code Annotated § 29-26-122(a) provides
    that in any medical malpractice action in which expert testimony is required “the plaintiff or
    plaintiff’s counsel shall file a certificate of good faith with the complaint.”
    Plaintiff contends that Tennessee Code Annotated § 29-26-122 (2009) is in conflict
    with Rule 3 because, as she states in her brief, it “requires plaintiffs to, in practical effect,
    conduct discovery and make a prima facie case prior to suit being filed.” Plaintiff further
    contends that the statute is “a rule of procedure because it dictates both the form and content
    of complaints in medical negligence cases.” We respectfully disagree.
    Contrary to Plaintiff’s assertion, we do not construe Section 122 as being in conflict
    with Tennessee Rule of Civil Procedure 3. The statute does not nullify the commencement
    of a civil action with the filing of a complaint. Although Section 122(c) provides that the
    recently commenced action “shall, upon motion, make the action subject to dismissal with
    prejudice” if the plaintiff fails to file a certificate of good faith in compliance with this
    section, the statute also recognizes that good cause may exist for the plaintiff’s failure to
    complete his or her due diligence prior to commencement of the action. This is apparent from
    the exceptions provided in Section 122(a) and (c), both of which expressly provide that the
    recently commenced action shall not be dismissed if the failure to file the certificate of good
    faith “was due to the failure of the provider to timely provide copies of the claimant’s records
    requested as provided in § 29-26-121 or [the plaintiff] demonstrated extraordinary cause.”
    Tenn. Code Ann. § 29-26-122(a), (c) (2009).
    More importantly, requiring a plaintiff to conduct a due diligence inquiry prior to
    filing a complaint is not in conflict with the Tennessee Rules of Civil Procedure adopted by
    the Supreme Court of Tennessee. In fact, requiring a plaintiff to exercise due diligence prior
    to the filing of the complaint is entirely consistent with the rules. Rule 11.02 expressly
    provides:
    By presenting to the court (whether by signing, filing, submitting, or later
    advocating) a pleading, written motion, or other paper, an attorney or
    unrepresented party is certifying that to the best of the person’s knowledge,
    information, and belief, formed after an inquiry reasonable under the
    circumstances,
    (1) it is not being presented for any improper purpose, such as
    to harass or to cause unnecessary delay or needless increase in
    the cost of litigation;
    -11-
    (2) the claims, defenses, and other legal contentions therein are
    warranted by existing law or by a nonfrivolous argument for the
    extension, modification, or reversal of existing law or the
    establishment of new law;
    (3) the allegations and other factual contentions have
    evidentiary support or, if specifically so identified, are likely to
    have evidentiary support after a reasonable opportunity for
    further investigation or discovery; and
    (4) the denial of factual contentions are warranted on the
    evidence or, if specifically so identified, are reasonably based on
    a lack of information or belief.
    Tenn. R. Civ. P. 11.02 (emphasis added).
    Although Tennessee Code Annotated §29-26-122(a)(1) requires the filing of a
    certificate of good faith with the complaint, it does not require that a plaintiff have, at the
    commencement of the action, all of the expert testimony that may be needed on all issues.
    It merely requires proof of the plaintiff’s due diligence, specifically that the plaintiff or his
    counsel consulted with at least one competent medical expert who provided a written
    statement confirming that the expert believes, based on the information available from
    medical records concerning the care and treatment of the plaintiff, that there is a good faith
    basis to maintain the action consistent with the requirements of Tennessee Code Annotated
    § 29-26-115. Alternatively, the plaintiff or his counsel may certify that he has consulted with
    a competent expert who has provided a written statement confirming, upon information and
    belief:
    [T]hat there are facts material to the resolution of the case that cannot be
    reasonably ascertained from the medical records or information reasonably
    available to the plaintiff or plaintiff’s counsel; and that, despite the absence of
    this information, there is a good faith basis for maintaining the action as to
    each defendant consistent with the requirements of § 29-26-115.
    Tenn. Code Ann. § 29-26-122(a)(2). The statute further provides that: “Refusal of the
    defendant to release the medical records in a timely fashion or where it is impossible for the
    plaintiff to obtain the medical records shall waive the requirement that the expert review the
    medical record prior to expert certification.” Id.
    -12-
    For the reasons stated above, we have concluded the requirement in Tennessee Code
    Annotated §29-26-122(a) that a plaintiff conduct a due diligence inquiry prior to filing a
    complaint for medical negligence is not in conflict with Tennessee Rule of Civil Procedure
    3. Furthermore, we have determined that Plaintiff has failed to establish that the requirement
    of filing a certificate of good faith with the complaint pursuant to Tennessee Code Annotated
    § 29-26-122 (2009) violates the separation of powers clause of the Tennessee constitution.5
    I N C ONCLUSION
    The judgment of the trial court is affirmed and this matter is remanded with costs of
    appeal assessed against the plaintiff, Sandi Jackson.
    ______________________________
    FRANK G. CLEMENT, JR., JUDGE
    5
    At the hearing, the trial court dismissed the Complaint on two grounds, one of which was Plaintiff’s
    failure to give each of the defendants the sixty-day pre-suit notification required by Tennessee Code
    Annotated § 29-26-121; the trial court’s order did not mention this ground. As Defendants correctly asserted
    on appeal, Plaintiff did not challenge the dismissal of her complaint based upon her failure to provide the
    pre-suit notice required by Tennessee Code Annotated § 29-26-121. The other issue raised and addressed on
    this appeal is likely to be repeated, and thus this court felt it appropriate to address. However, we agree with
    Defendants that Plaintiff waived any challenge she may have had to Tennessee Code Annotated § 29-26-121,
    and thus, we would affirm the trial court on this ground as well.
    -13-