Alexander v. Chapman

711 S.W.2d 765, 289 Ark. 238, 1986 Ark. LEXIS 1953
CourtSupreme Court of Arkansas
DecidedJune 16, 1986
Docket85-167
StatusPublished
Cited by19 cases

This text of 711 S.W.2d 765 (Alexander v. Chapman) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Alexander v. Chapman, 711 S.W.2d 765, 289 Ark. 238, 1986 Ark. LEXIS 1953 (Ark. 1986).

Opinion

Darrell Hickman, Justice.

This is a medical malpractice case. John Alexander was 53 years old when he died on October 1, 1979, from a heart attack. Dr. Jerry Chapman and the clinic with which he was then associated, Crestview Family Clinic, treated Alexander several times for symptoms that could have been heart related. On July 14 and 24,1979, he was hospitalized and treated by Chapman and his associates. He was seen thereafter on August 1, 16 and 19, and September 26. Dr. Chapman was telephoned September 28 because Alexander was weak and had chest pains. He died three days later. Alexander’s widow and son sued, claiming that the appellees failed to diagnose and treat Alexander’s illness and, thus, failed to prevent his death. The trial lasted seven days, and the jury returned a verdict for the appellees.

The question on appeal is whether the trial court abused its discretion in failing to deal with the trial tactics of the appellees’ attorney. Among the allegations are that counsel repeatedly and continually led witnesses and violated a pretrial order that prohibited the mentioning of certain matters. We do not, as a matter of course, reverse on the basis of such allegations even if they are borne out by the record. See, e.g., Missouri Pac. R. Co. v. Sullivan, 197 Ark. 360, 122 S.W.2d 947 (1939).

This case, however, presents the unique situation where counsel was repeatedly admonished and the court repeatedly sustained objections to the leading questions, was even presented with a motion to strike the testimony, yet counsel’s conduct was not stopped. The trial court decided that striking the testimony was too severe a sanction, yet was unable to stop the leading. Counsel also violated pretrial orders. After the trial, a motion for a new trial was filed, citing violations of the pretrial order, comments by appellees’ counsel, and counsel’s conduct in examination of the witnesses. Now we must decide whether the trial court’s decisions at the trial and in denying the new trial were an abuse of discretion. In doing so we must necessarily decide whether conduct of counsel, ordinarily a matter which lies within the court’s sound discretion, can go so far that some sanction must be taken. There are limits to everything and when counsel cannot or will not abide by the rules of evidence and of the trial court, and the trial court cannot stop the violations, we have to. The contention on appeal is that although no one instance of counsel’s conduct would be cause for reversal, all of the violations combined to deny the appellants a fair trial. We have to agree and the only acceptable course is to reverse the trial court.

Before trial, appellants moved that the appellees be prohibited from mentioning certain matters during voir dire, arguments or any part of the trial. In a pretrial order the trial court granted the motion in the following instances relevant to this appeal: (1) there was to be no suggestion that a verdict for the appellants would be tantamount to a “conviction” of the appellees; (2) there was to be no suggestion of any “credibility enhancing” items such as religious activities; and (3) no suggestion that a verdict for the appellants would have a damaging effect on medical services.

The order was clearly violated in closing argument when appellees’ counsel said, “you see, even $ 1.00 convicts my client of malpractice, doesn’t it?” (Italics supplied.) Upon objection, the trial court asked counsel to rephrase the statement.

During opening and closing arguments, appellees’ counsel stated that next to God, his family and his patients, the law suit was the most important thing in the doctor’s life. No objection was made beyond the motion in limine and in the motion for a new trial. This was not a flagrant violation of the pretrial order.

In closing, appellees’ counsel also said, “A judge once said, we’ve got to be careful in these cases not to make doctors guarantors of good results or a cure.” Appellants’ counsel objected that what another judge said is not the law. The trial court essentially overruled the objection and then appellees’ counsel said, “And we must, therefore, be careful lest we find very few, if any, who would accept the responsibility of being a doctor, you see.” The appellants contended in their motion for a new trial and argue on appeal that this violated the pretrial order prohibiting any suggestion that a verdict for the appellants would have a damaging effect on medical services. Again the statement is not a clear and undisputable violation of the pretrial order, but it does touch on a subject that was ruled prohibited. When these violations are considered along with the continued leading of witnesses during the trial, the errors become more significant.

Leading questions were continually used in the examination of appellees’ experts. During direct examination of the appellees’ expert witnesses, there were 28 objections to leading questions. Once the court admonished counsel without being prompted by an objection. Fourteen objections were sustained. Three times there was no ruling. Twice the question was withdrawn by appellees’ counsel. The appellants’ objections were overruled nine times.

Before appellants’ counsel asked for the sanction that appellees’ counsel be prohibited from continuing to inquire after leading, the court admonished appellees’ counsel five times, four times of which were of the court’s own volition. For instance, once the court said, “[appellees’ counsel], it is [leading], sir. I would appreciate it if you would ask questions rather than making statements and asking is that true.” Another time the court said, “Yes, and I think that was pretty blatant leading that last time, [appellees’ counsel]. Please, sir, let’s please confine your questions to this gentleman to be questions.” Finally appellants’ counsel requested that if appellees’ counsel continued to lead, that he be prohibited from inquiring further into the subject. The court responded to the request by admonishing appellees’ counsel:

The Court: Well, let’s just take the last question, [appellees’ counsel]. ‘State whether or not millions have been spent in research into the causes of arteriosclerosis. . .’or whatever, however it ended. You know, obviously he’s going to say. And in effect you’re telling him what the fact is and you’re telling the jury what the fact is and that has nothing to do with experts or anything else. That’s just telling the witness, isn’t this true, isn’t this true, isn’t this true. And that’s what they’re objecting to and that’s what we’re seeing a lot of. I suppose the proper way to ask that question is, what’s being done in medical science to cure arteriosclerosis? And he would say, well, we’re spending millions of dollars; rather than saying isn’t millions of dollars being spent; isn’t this a disease that’s hard to cure; aren’t people dying everyday from this disease, you know. Instead of saying, what’s the effects of this disease; well, people die everyday. That’s the reverse of it. That’s what you’re objecting to.

After an interjection by appellants’ counsel, the court continued:

Well, I know but I’m saying that’s the last question that was asked and that’s just clearly a leading question, whether you say, state whether or not or isn’t it true or whatever.

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Bluebook (online)
711 S.W.2d 765, 289 Ark. 238, 1986 Ark. LEXIS 1953, Counsel Stack Legal Research, https://law.counselstack.com/opinion/alexander-v-chapman-ark-1986.