Doe v. Roe

155 Misc. 2d 392, 588 N.Y.S.2d 236, 1992 N.Y. Misc. LEXIS 407
CourtNew York Supreme Court
DecidedSeptember 11, 1992
StatusPublished
Cited by6 cases

This text of 155 Misc. 2d 392 (Doe v. Roe) 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
Doe v. Roe, 155 Misc. 2d 392, 588 N.Y.S.2d 236, 1992 N.Y. Misc. LEXIS 407 (N.Y. Super. Ct. 1992).

Opinion

OPINION OF THE COURT

Bernard L. Reagan, J.

This action involves a New York doctor’s alleged improper disclosure of confidential HIV related (AIDS) information to an out-of-State Workers’ Compensation Board. Many various and sensitive issues of first impression have necessarily been decided by this court with respect to the patient’s rights and remedies under both the traditional physician-patient privilege encompassed in CPLR 4504 (a) and Public Health Law article 27-F.

a. facts:

For the purposes of the pending motions the following facts are not in dispute: Plaintiff, John Doe (an assumed name agreed upon by the parties), a 38-year-old male resident of Ohio, has been employed as a flight attendant with a commercial airline, since 1978. From 1987 to the present, plaintiff has been employed in this capacity and based out of the airline’s facilities in Pittsburgh, Pennsylvania. On or about February 6, 1987, plaintiff allegedly suffered or exacerbated certain sinus/ ear medical problems during the course of his employment. As a result, he filed a workers’ compensation claim with the State of Pennsylvania Bureau of Workers’ Compensation (claim No. [395]*395l).1 In connection with this claim, plaintiff executed two medical authorizations on or about February 9 and 24, 1987. The authorizations were identical and provide that: "I hereby authorize the physician and/or hospital providing treatment to complete this Medical Report. I further authorize the physician and/or hospital providing treatment to release medical records to the above reference claim to representatives of [the airline] and to discuss the status of my injury with representatives of [the airline].”

On April 21, 1989, plaintiff consulted defendant, Dr. Jane Roe, M.D., P. C. (an assumed name agreed upon by the parties) at her office in Syracuse, New York. The purpose of this visit was for treatment of plaintiff’s ear and sinus problems. Plaintiff informed Dr. Roe that he was HIV positive and described his HIV medical history so "she could take proper precautions” for any intrusive body tests such as the drawing of his blood. Moreover, he related this information based on his belief that "it might be relevant to her treatment of (his) sinus and ear problems.” It is alleged that Dr. Roe specifically agreed to keep this HIV information confidential and not release it without a written authorization.

On May 14, 1989, shortly after plaintiff’s visit with Dr. Roe, his ear and sinus problems allegedly became aggravated during the course of his employment. He filed another claim (claim No. 3; see, n 1) concerning this "injury” with the Pennsylvania Board of Workers’ Compensation on October 5, 1989. On March 5, 1990, the Pennsylvania Workers’ Compensation Referee signed a subpoena which directed Dr. Roe to appear at an April 2, 1990 hearing in Pittsburgh and to bring with her "all medical reports or records of any kind whatsoever relating to your treatment of [John Doe]”.

On March 13, 1990, a Pennsylvania attorney acting on behalf of the airline in the compensation proceeding, sent the Referee’s subpoena and the medical authorizations signed by plaintiff in claim No. 1 to Dr. Roe. In response to the subpoena, Dr. Roe forwarded a copy of plaintiff’s entire chart and [396]*396file on March 19, 1990. Plaintiffs file contained, inter alla, information that he had tested HIV positive.2

B. THE COMPLAINT:

Plaintiff’s complaint asserts five causes of action against the defendant and her corporation: (1) negligence per se; (2) breach of confidentiality; (3) breach of oral contract; (4) breach of implied contract; and (5) invasion of privacy. All of these causes of action are alleged to have been incurred as a result of defendant’s "knowing, deliberate and intentional” conduct. With respect to damages, plaintiff seeks: (a) $10,000 special damages; (b) general damages for pain and suffering (and) loss of wages; and (c) $50,000 in punitive damages.

c. plaintiff’s motion:

In response to the complaint, defendant has asserted 10 "affirmative defenses” which plaintiff seeks to dismiss for the reasons stated below. At this juncture it is appropriate to preliminarily note that while the complaint involves many sensitive issues and intricate points of law, it does not allege or attempt to allege a cause of action for medical malpractice against defendants. Accordingly, to the extent defendants seek summary judgment dismissing the complaint on the issues of wrongful statement of damages or for lack of a medical certificate under CPLR 3012-a and 3017 (c), such an application is without merit, is denied and plaintiff’s application to dismiss affirmative defenses relating to medical malpractice is granted. (Cf., Tighe v Ginsberg, 146 AD2d 268.)

(1) Failure to State a Cause of Action

Plaintiff has characterized his action as one for a breach of fiduciary duty not to disclose confidential information and for breach of an oral contract, notwithstanding his separately pleaded five causes of action. In written questions propounded by the court, it was asked whether all causes of action were subsumed by a single cause of action for the breach of the fiduciary duty of nondisclosure (see, Tighe v Ginsberg, supra). In response, plaintiff has now conceded that, in the circum[397]*397stances of this case, four of his claims coalesce into one action for breach of fiduciary duty, i.e., negligence per se (cause 1); breach of confidentiality (cause 2); breach of implied contract (cause 4); and invasion of privacy (cause 5). Accordingly, causes of action Nos. 1, 4 and 5 are dismissed.

(a) Breach of Fiduciary and Statutory Duty

With respect to the claim of breach of fiduciary duty, plaintiff notes that this claim is framed not only upon the traditional grounds of the physician-patient relationship and privilege of CPLR 4504 (a) as recognized in Tighe (supra) and MacDonald v Clinger (84 AD2d 482), but also on the independent special duties imposed upon physicians by statute in Public Health Law article 27-F with respect to disclosure of HIV related information concerning their patients. While a separate cause of action is not pleaded for violation of Public Health Law article 27-F, it is clear that cause of action No. 2 is, in reality, two causes of action: (1) for breach of the physician-patient fiduciary duty of confidentiality recognized in CPLR 4504 (a); and (2) for breach of the statutory duties imposed upon physicians with regard to disclosure of confidential HIV related information under Public Health Law article 27-F. Plaintiff has made out a prima facie case for breach of a fiduciary or statutory duty under either theory espoused above. The motion to dismiss cause of action No, 2 for failure to state a cause of action is denied.

(b) Breach of Oral Contract — Consideration—Duty of HIV Infected Patient to Disclose Disease to Doctor

Plaintiff contends, however, that his claim for breach of an oral contract (cause No. 3) is not subsumed by either the breach of a statutory or fiduciary duty, but relies instead upon Dr. Roe’s alleged independent, oral promise not to reveal plaintiff’s HIV related information. In this regard, plaintiff notes that Tighe (supra)

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Cite This Page — Counsel Stack

Bluebook (online)
155 Misc. 2d 392, 588 N.Y.S.2d 236, 1992 N.Y. Misc. LEXIS 407, Counsel Stack Legal Research, https://law.counselstack.com/opinion/doe-v-roe-nysupct-1992.