Cox v. Ohio State University Hospitals

690 N.E.2d 552, 117 Ohio App. 3d 254
CourtOhio Court of Appeals
DecidedSeptember 3, 1996
DocketNo. 96API03-316.
StatusPublished
Cited by8 cases

This text of 690 N.E.2d 552 (Cox v. Ohio State University Hospitals) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cox v. Ohio State University Hospitals, 690 N.E.2d 552, 117 Ohio App. 3d 254 (Ohio Ct. App. 1996).

Opinions

Close, Judge.

Plaintiff-appellant, Terry L. Cox, executor of the estate of Woodrow Cox, deceased, appeals a judgment of the Ohio Court of Claims for defendant-appellee, Ohio State University Hospitals (“OSUH”), which concluded that the hospital employees were not negligent and that two treating physicians were not employees of the hospital in a wrongful death and malpractice action brought by appellant on behalf of the estate of Woodrow Cox.

On December 30, 1985, Dr. Donald Warren admitted Woodrow Cox to the Coshocton County Memorial Hospital (“CCMH”) after Cox complained of signifi *256 cant abdominal pain. The CCMH doctors performed an X-ray on Cox when he arrived and suspected that he had an abdominal aortic aneurysm. Because there were no vascular surgeons at CCMH, Dr. Warren transferred Cox to OSUH for treatment. Drs. William Smead, Joseph Plouffe, and James Gadek were among several doctors that provided medical treatment for Cox during his stay at OSUH. The OSUH nursing staff, residents, and interns also provided medical care for Cox during this time. On January 10, 1986, Cox died of cardiac arrest caused by his reaction to an infection while he received treatment at OSUH.

On June 17, 1987, appellant, as executor of Woodrow Cox’s estate, filed suit in the Ohio Court of Claims against OSUH, seeking damages for vicarious liability from medical malpractice and wrongful death of its employees. On June 21, 1987, appellant also filed a medical malpractice suit in the Franklin County Common Pleas Court against several doctors who practiced at OSUH during the time the decedent received treatment.

In October 1987, the Ohio General Assembly amended R.C. 2743.02, which addresses the Ohio Court of Claims’ jurisdiction. It added subsection (F), which expanded that court’s exclusive, original jurisdiction to include determining state employee immunity under R.C. 9.86.

On January 8, 1988, appellant filed his amended malpractice complaint in the common pleas court by adding Drs. Plouffe and Gadek as defendants. On February 16, 1988, these doctors filed a summary judgment motion. They sought immunity from the malpractice suit under the pre-October 1987 version of R.C. 9.86. The doctors supported their motion with affidavits indicating that they were OSUH employees and were acting within the scope of their employment during the decedent’s treatment. Appellant did not contest their affidavits. On March 18, 1988, the common pleas court granted summary judgment in the doctors’ favor, finding that they were OSUH employees when treating the decedent and were, therefore, immune from malpractice liability.

On August 20, 1991, appellant voluntarily dismissed his' Court of Claims’ action against OSUH without prejudice and refiled it on August 7, 1992. On March 17, 1993, OSUH moved that court to add Drs. Plouffe and Gadek as defendants for purposes of holding an R.C. 2743.02(F) immunity hearing. The Court of Claims granted OSUH’s motion and held the hearing on August 23,1993. In its decision entered on March 2, 1994, the court determined that these doctors were not employees of OSUH while treating the decedent and were, therefore, not entitled to state immunity under R.C. 9.86.

While this decision was contrary to the earlier common pleas court decision, the Court of Claims found that Drs. Plouffe and Gadek had misstated their employment relationship with OSUH in their previous affidavits and were, in fact, acting as members of private medical corporations during their treatment of the *257 decedent. The court further concluded that OSUH would not be held vicariously liable for any acts of Drs. Plouffe and Gadek as related to appellant’s action. The Court of Claims also found that it was not bound by the common pleas court’s decision through res judicata because neither OSUH nor the physicians had succeeded to an interest raised in that court. The Court of Claims reasoned that OSUH was not a party to suit in the common pleas court, but was a party to the suit before it, and that liability against a state entity can only be determined as permitted by statute.

On April 4, 1994, Drs. Plouffe and Gadek appealed the Court of Claims’ judgment that they were not OSUH employees while treating the decedent. On June 21, 1994, this court dismissed their appeal, finding that it was not a final, appealable order. On July 10, 1995, the Court of Claims heard the case on the merits and entered its decision on February 12, 1996. It found that appellant did not establish an “agency by estoppel” relationship between OSUH and Drs. Plouffe and Gadek as a basis for vicarious liability. The court also found that appellant had not proved that the OSUH nurses, residents and interns were negligent in treating the decedent. It then entered judgment in favor of OSUH.

On March 12, 1996, appellant brought this appeal, setting forth two assignments of error:

“Assignment of Error Number 1:
“The trial court erred, to the prejudice of the appellant, in holding that Ohio State University Hospitals could not be liable under an agency by estoppel theory for the actions of its physicians.
“Assignment of Error Number 2:
“The trial court erred, to the prejudice of the appellant, in holding that the plaintiff-appellant failed to prove by a preponderance of the evidence that the employees of Ohio State University Hospitals were negligent in their care of the plaintiffs decedent.”

In his first assignment of error, appellant contends that the Court of Claims’ holding was contrary to law as determined in Clark v. Southview Hosp. & Family Health Ctr. (1994), 68 Ohio St.3d 435, 628 N.E.2d 46. In that case, the Ohio Supreme Court held that “[a] hospital may be liable under the doctrine of agency by estoppel for the negligence of independent medical practitioners practicing in the hospital when: (1) it holds itself out to the public as a provider of medical services; and (2) in the absence of notice and knowledge to the contrary, the patient looks to the hospital as opposed to the individual practitioner to provide competent medical care.” Id. at syllabus.

*258 Although OSUH contends that it did not hold itself out as a provider of medical services, the fact that it is a provider is so obvious that it will not be addressed further.

Looking then to the second requirement of Clark, we must determine whether the trial court acted within its discretion in factually finding that the individual decedent looked to OSUH rather than the individual practitioner to provide the competent medical care. Although the decedent’s children testified as to their reliance on OSUH as opposed to the individual doctors, the trial court specifically found that, in a Clark analysis, the patient’s reliance is the critical element, and that “appellant has failed to prove in this case, by the preponderance of the evidence, that decedent relied on any representation by OSUH that Drs. Plouffe and Gadek were its employees.”

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690 N.E.2d 552, 117 Ohio App. 3d 254, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cox-v-ohio-state-university-hospitals-ohioctapp-1996.