Bubar v. Brodman

30 Misc. 3d 324
CourtNew York Supreme Court
DecidedOctober 5, 2010
StatusPublished
Cited by1 cases

This text of 30 Misc. 3d 324 (Bubar v. Brodman) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bubar v. Brodman, 30 Misc. 3d 324 (N.Y. Super. Ct. 2010).

Opinion

OPINION OF THE COURT

Patrick H. NeMoyer, J.

This action seeks recovery of damages for negligence/medical malpractice allegedly committed by defendants in the course of their care and treatment of Raymond Buhar (plaintiff). The named defendants include Dr. Brodman, a heart surgeon who performed a triple coronary artery bypass and aortic valve replacement procedure upon plaintiff on October 1, 2003. The complaint and bill of particulars focus on the surgery and its aftermath. After Dr. Brodman initially closed up plaintiff following the bypass and valve replacement, plaintiff experienced significant bleeding that required him to be transfused and surgically reopened in order to stem the source of the bleeding. However, those complications are not set forth in Dr. Brodman’s operative report, which was dictated before the complications arose and was never supplemented. Plaintiff suffered additional complications following his discharge from the hospital three days after the operation, losing 20 pounds and experiencing repeated spikes in his body temperature over the ensuing weeks. During that time, plaintiff treated and otherwise consulted with, among other defendants in the case, his longtime cardiologist, Dr. Boersma, who was privy to Dr. Brodman’s operative report but not to other hospital records disclosing the intraoperative bleeding and the reopening of plaintiffs chest. Ultimately, on November 9, 2003, plaintiff presented at the hospital emergency room with an elevated temperature of 102.9 degrees and symptoms of having suffered a stroke. Plaintiffs theory of the case seems to be that, postoperatively, he developed sepsis that caused an embolism, in turn resulting in the stroke, outcomes that would have been avoided had his condition been properly assessed and recorded.

Thus, as against Dr. Brodman, the bill of particulars alleges, among other specifications of negligence, that Dr. Brodman [326]*326failed to mention in his operative report that extraordinary blood loss had occurred during surgery (a complication that allegedly increased the risk of postoperative infection), thereby failing to communicate adequately with, and indeed affirmatively misleading, plaintiffs other health care providers, including Dr. Boersma, the regular cardiologist, defendant Urschel, plaintiffs cardiothoracic nurse practitioner, and defendant Cellino, plaintiffs general practitioner. (It is similarly alleged that Urschel failed to apprehend and adequately communicate plaintiffs postoperative condition, and that Dr. Boersma failed to apprehend and/or inquire into it; the court is not privy to the allegations against Dr. Cellino.)

Now before the court is a motion by plaintiff to compel Dr. Boersma to submit to a further examination before trial (EBT) at which he should be made to answer a line of questions that he was instructed by his counsel not to answer at a prior EBT. That motion is opposed by all defendants in the case. The court understands that the disposition of the instant motion concerning Dr. Boersma’s EBT has implications for what might transpire at the prospective EBTs of Urschel and perhaps other defendants.

At the abortive EBT, it was established that Dr. Boersma received the operative report of Dr. Brodman; that it was important to Dr. Boersma that the operative report accurately describe what had transpired during surgery; and that, after reviewing the report (and despite a certain telephone conversation), Dr. Boersma had no awareness of the complications that had been encountered during the October 1, 2003 surgery, more particularly, of the fact that the patient “had to be re-opened during the procedure to control bleeding.” Nevertheless, the defendant witness was directed by his counsel not to answer the following questions:

(1) “Would knowledge of that [i.e., that the patient ‘had to be re-opened during the procedure to control bleeding’] have been important to you in your postoperative management of the patient, had you — had you known of that, sir?”;

(2) “[W]hat, if any, effect would [that knowledge] have had on your management of the patient postoperatively?”; and

(3) “Is bleeding and a need to reopen a patient because of bleeding a complication of which you would want to know?”

The defendant witness was instructed in each instance not to answer on the ground that opposing counsel was posing a “hypothetical question.”

[327]*327Upon reading the exchange among counsel and the witness, and upon its consideration of the law governing the conduct of depositions — particularly those of physician defendants in medical malpractice cases — the court concludes that Dr. Boersma’s EBT was impermissibly curtailed by his counsel, and that the defendant witness shall be redeposed and shall answer the line of questioning propounded by plaintiffs counsel (see Orner v Mount Sinai Hosp., 305 AD2d 307, 309 [1st Dept 2003]; Forgays v Merola, 222 AD2d 1088 [4th Dept 1995]).

Effective October 1, 2006, part 221 of 22 NYCRR, entitled “Uniform Rules for the Conduct of Depositions,” generally mandates that, upon the making and recording of an objection to a question at an EBT, the answer nonetheless “shall be given and the deposition shall proceed subject to the objections and to the right of a person to apply for appropriate relief pursuant to article 31 of the CPLR” (22 NYCRR 221.1 [a]; see generally CPLR 3115 [a], [d], [e]). 22 NYCRR 221.2 limits the right of the witness to refuse to answer on the advice of counsel. It states that a

“deponent shall answer all questions at a deposition, except:
“(a) to preserve a privilege or right of confidentiality;
“(b) to enforce a limitation set forth in an order of a court; or
“(c) when the question is plainly improper and would, if answered, cause significant prejudice to any person” (22 NYCRR 221.2).

CPLR 3115, and indeed the whole of CPLR article 31, makes clear that the discoverability of information before trial is not tantamount to the admissibility of such information at trial (see generally Suk Ching Chan v Otis El. Co., 147 AD2d 395 [1st Dept 1989]).

In McDermott v Manhattan Eye, Ear & Throat Hosp. (15 NY2d 20 [1964]), the Court of Appeals unequivocally held that

“a plaintiff in a malpractice action is entitled to call the defendant doctor to the stand [i.e., at trial] and question him both as to his factual knowledge of the case (that is, as to his examination, diagnosis, treatment and the like) and, if he be so qualified, as an expert for the purpose of establishing the generally accepted medical practice in the community” (id. at 29-30; see Gilly v City of New York, 69 NY2d 509, [328]*328511 [1987] [reading McDermott as holding that plaintiff could “examine his doctor-opponent as fully and freely as other qualified witnesses, and that such testimony could include expert opinion”]).

In Johnson v New York City Health & Hosps. Corp. (49 AD2d 234 [2d Dept 1975]), the Second Department addressed whether the McDermott holding “should be extended to examinations before trial,” holding that it should, for the commonsense reason that “the scope of the pretrial examination is even broader than that at the trial” (id. at 236-237).

In its subsequent decision in Carvalho v New Rochelle Hosp. (53

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Bluebook (online)
30 Misc. 3d 324, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bubar-v-brodman-nysupct-2010.