Opinion
NORCOTT, J.
The sole issue in this appeal is whether, in a medical malpractice action without a claim of lack of informed consent, the trial court properly admitted testimonial and documentary evidence that the defendant surgeon had informed his patient of the risks of the medical procedure in question. The plaintiffs, Frederick Hayes and Barbara Hayes,
brought this action for medical malpractice and loss of consortium against the defendants, Mark H. Camel and Paul Apostolides, arising from their alleged negligence in the surgical treatment of the plaintiff. The plaintiff appeals
from the judgment of the trial court, rendered after a jury trial, in favor of the defendants. We conclude that the trial court improperly admitted evidence pertaining to informed consent,
but that that impropriety was harm
less. Accordingly, we affirm the judgment of the trial court.
The record reveals the following facts, which the jury reasonably could have found, and procedural history. In August, 1998, the plaintiff, a Stamford firefighter assigned to the Turn of River fire department, injured his back when he moved several cases of soda while at work. He was diagnosed with a herniated disc in his lumbar spine at the L4 nerve root that affected the motor and sensory function in his right leg and knee; physical therapy did not alleviate those symptoms. On November 30, 1998, Camel, a neurosurgeon who had been monitoring the plaintiffs progress in physical therapy, presented as a treatment option a microdiscectomy, which is a surgical procedure to remove the herniated disc or parts thereof.
Thereafter, Camel, assisted by Apostolides, performed a microdiscectomy on the plaintiff. During that procedure, Camel used a high-speed drill to shave down the lamina, which is a bone layer surrounding the spinal column, in order to gain access to the pieces of the herniated disc that were pressing on the plaintiffs lumbar spinal nerves and causing his pain and neurological symptoms. Once he had thinned the lamina sufficiently, Camel used a hand instrument known as a Kerrison
rongeur to finish cutting through the lamina. Apostolides assisted him by holding a retractor, which previously had been placed by Camel, to move the L4 nerve away from the surgical field.
While Camel drilled the surface of the lamina, at some point, a “V” shaped rent, or opening, was made in the dura, the thin tissue beneath the lamina that covers the arachnoid, which contains the cerebral spinal fluid that surrounds the spinal nerve roots.
This resulted in a small leakage of cerebral spinal fluid, before Camel was able to repair the rent during the procedure.
It became apparent in the weeks following the surgery that, although the plaintiffs back pain had improved, he also had sustained some damage to his sacral nerves. This sacral nerve damage was the result of arachnoiditis, which is an inflammation of the arachnoid that had followed the surgery and caused the sacral nerve roots therein to clump together, affecting their function.
This nerve damage also has caused the plain
tiff to suffer numbness in his buttocks and genitals, which resulted in bowel, bladder and sexual difficulties.
The plaintiff suffers from allodynia in his right foot, which causes him to expezience excruciating pain upon even a light touch. The plaintiff now is constantly depressed and in pain, and he no longer is able to work as a firefighter or at his various side jobs, take part in recreational sporting activities that he previously had enjoyed, and can travel only with great difficulty.
Thereafter, the plaintiff brought this action claiming medical malpractice and loss of consortium. He claimed that Camel had failed to control the drill properly or take steps to protect the dura and the nerves therein,
and also that Apostolides had retracted the L4 nerve root improperly. The plaintiff filed numerous motions in limine seeking to preclude the admission of documentary or testimonial evidence pertaining to informed consent, and any discussion or argument pertaining to his injuries as a “ ‘risk of the procedure.’ ” The trial court,
Radcliffe, J.,
however, denied these motions and admitted this evidence when the case was tried to the jury, which rendered a verdict in favor of the defendants.
Thereafter, the trial court denied the plaintiffs motion to set aside the verdict, and rendered judgment for the defendants in accordance with the jury’s verdict. This appeal followed.
On appeal, the plaintiff claims that the trial court improperly denied his motions in limine to preclude, and overruled his objections to, the admission of evidence that included: (1) testimony by Camel that he had informed the plaintiff that nerve damage was a risk of the microdiscectomy; and (2) notes to that effect from the preoperative consultation between the plaintiff and Camel. The plaintiff contends that this evidence was irrelevant with regard to the medical malpractice claim, and that, even if relevant, the evidence was inadmissible under § 4-3 of the Connecticut Code of Evidence
because its confusing and prejudicial effects exceeded its probative value. In response, the defendants claim that this evidence was proof of risk and, therefore, relevant to prove that malpractice did not
necessarily occur because a dural tear and arachnoiditis may occur with even a properly performed microdiscectomy. The defendants also contend that any impropriety was rendered harmless by the cumulative nature of the evidence, as well as the trial court’s jury instructions. We conclude that the trial court improperly admitted this evidence, but that the impropriety was harmless.
The record reveals the following additional facts and procedural history. After hearing argument on multiple days of trial about the issues raised by the plaintiffs motions in limine, the trial court concluded that evidence of the risks of the procedure was relevant with regard to whether the plaintiff had proven that his injuries were the result of a breach of the standard of care. The trial court acknowledged that Camel himself could testily about the risks of the procedure. The trial court also, however, concluded that because there was no claim of lack of informed consent in this case; see footnote 3 of this opinion; evidence about whether the plaintiff understood the risks “could cause confusion and could lead a jury to think that [the] fact that someone had signed this; he had somehow consented to it or assumed the risks.” Thus, the trial court determined that evidence that the plaintiff had understood the risks of the procedure was both irrelevant and could have prejudice exceeding its probative value.
Free access — add to your briefcase to read the full text and ask questions with AI
Opinion
NORCOTT, J.
The sole issue in this appeal is whether, in a medical malpractice action without a claim of lack of informed consent, the trial court properly admitted testimonial and documentary evidence that the defendant surgeon had informed his patient of the risks of the medical procedure in question. The plaintiffs, Frederick Hayes and Barbara Hayes,
brought this action for medical malpractice and loss of consortium against the defendants, Mark H. Camel and Paul Apostolides, arising from their alleged negligence in the surgical treatment of the plaintiff. The plaintiff appeals
from the judgment of the trial court, rendered after a jury trial, in favor of the defendants. We conclude that the trial court improperly admitted evidence pertaining to informed consent,
but that that impropriety was harm
less. Accordingly, we affirm the judgment of the trial court.
The record reveals the following facts, which the jury reasonably could have found, and procedural history. In August, 1998, the plaintiff, a Stamford firefighter assigned to the Turn of River fire department, injured his back when he moved several cases of soda while at work. He was diagnosed with a herniated disc in his lumbar spine at the L4 nerve root that affected the motor and sensory function in his right leg and knee; physical therapy did not alleviate those symptoms. On November 30, 1998, Camel, a neurosurgeon who had been monitoring the plaintiffs progress in physical therapy, presented as a treatment option a microdiscectomy, which is a surgical procedure to remove the herniated disc or parts thereof.
Thereafter, Camel, assisted by Apostolides, performed a microdiscectomy on the plaintiff. During that procedure, Camel used a high-speed drill to shave down the lamina, which is a bone layer surrounding the spinal column, in order to gain access to the pieces of the herniated disc that were pressing on the plaintiffs lumbar spinal nerves and causing his pain and neurological symptoms. Once he had thinned the lamina sufficiently, Camel used a hand instrument known as a Kerrison
rongeur to finish cutting through the lamina. Apostolides assisted him by holding a retractor, which previously had been placed by Camel, to move the L4 nerve away from the surgical field.
While Camel drilled the surface of the lamina, at some point, a “V” shaped rent, or opening, was made in the dura, the thin tissue beneath the lamina that covers the arachnoid, which contains the cerebral spinal fluid that surrounds the spinal nerve roots.
This resulted in a small leakage of cerebral spinal fluid, before Camel was able to repair the rent during the procedure.
It became apparent in the weeks following the surgery that, although the plaintiffs back pain had improved, he also had sustained some damage to his sacral nerves. This sacral nerve damage was the result of arachnoiditis, which is an inflammation of the arachnoid that had followed the surgery and caused the sacral nerve roots therein to clump together, affecting their function.
This nerve damage also has caused the plain
tiff to suffer numbness in his buttocks and genitals, which resulted in bowel, bladder and sexual difficulties.
The plaintiff suffers from allodynia in his right foot, which causes him to expezience excruciating pain upon even a light touch. The plaintiff now is constantly depressed and in pain, and he no longer is able to work as a firefighter or at his various side jobs, take part in recreational sporting activities that he previously had enjoyed, and can travel only with great difficulty.
Thereafter, the plaintiff brought this action claiming medical malpractice and loss of consortium. He claimed that Camel had failed to control the drill properly or take steps to protect the dura and the nerves therein,
and also that Apostolides had retracted the L4 nerve root improperly. The plaintiff filed numerous motions in limine seeking to preclude the admission of documentary or testimonial evidence pertaining to informed consent, and any discussion or argument pertaining to his injuries as a “ ‘risk of the procedure.’ ” The trial court,
Radcliffe, J.,
however, denied these motions and admitted this evidence when the case was tried to the jury, which rendered a verdict in favor of the defendants.
Thereafter, the trial court denied the plaintiffs motion to set aside the verdict, and rendered judgment for the defendants in accordance with the jury’s verdict. This appeal followed.
On appeal, the plaintiff claims that the trial court improperly denied his motions in limine to preclude, and overruled his objections to, the admission of evidence that included: (1) testimony by Camel that he had informed the plaintiff that nerve damage was a risk of the microdiscectomy; and (2) notes to that effect from the preoperative consultation between the plaintiff and Camel. The plaintiff contends that this evidence was irrelevant with regard to the medical malpractice claim, and that, even if relevant, the evidence was inadmissible under § 4-3 of the Connecticut Code of Evidence
because its confusing and prejudicial effects exceeded its probative value. In response, the defendants claim that this evidence was proof of risk and, therefore, relevant to prove that malpractice did not
necessarily occur because a dural tear and arachnoiditis may occur with even a properly performed microdiscectomy. The defendants also contend that any impropriety was rendered harmless by the cumulative nature of the evidence, as well as the trial court’s jury instructions. We conclude that the trial court improperly admitted this evidence, but that the impropriety was harmless.
The record reveals the following additional facts and procedural history. After hearing argument on multiple days of trial about the issues raised by the plaintiffs motions in limine, the trial court concluded that evidence of the risks of the procedure was relevant with regard to whether the plaintiff had proven that his injuries were the result of a breach of the standard of care. The trial court acknowledged that Camel himself could testily about the risks of the procedure. The trial court also, however, concluded that because there was no claim of lack of informed consent in this case; see footnote 3 of this opinion; evidence about whether the plaintiff understood the risks “could cause confusion and could lead a jury to think that [the] fact that someone had signed this; he had somehow consented to it or assumed the risks.” Thus, the trial court determined that evidence that the plaintiff had understood the risks of the procedure was both irrelevant and could have prejudice exceeding its probative value. Indeed, the trial court emphasized that it would not permit the words “informed consent” to be used.
The trial court, therefore, refused to admit the hospital’s consent form into evidence. The court did, however, admit Camel’s testimony and the office consultation notes, but only after ordering redacted portions of those notes indicating that the plaintiff understood the risks of the procedure as explained to
him.
Finally, at a subsequent argument on this issue, the trial court also noted that the risk of prejudice would be mitigated because it would charge the jury “that simply because something is a risk in the procedure, and it happens, doesn’t mean that the defendant is not liable in the event of the breach in the standard of care.”
Thus, on appeal, the plaintiff first challenges the admissibility of Camel’s testimony that he had informed the plaintiff of the risks of the surgery, including “the risk of infection, which is present in every operation; the small and remote risk of bleeding that requires transfusion; weakness in the legs; numbness; bowel and bladder dysfunction; [cerebral spinal fluid] leak, which really means a postoperative [cerebral spinal fluid] leak; and instability. Instability occurs after discectomy rarely, but more commonly occurs in the mid or higher lumbar sites at L3-4 and L2-3 because unlike the models which we’ll see or you have seen each level is not exactly the same. The anatomy changes. The relationship of the joints to the disk space change. And so that in an L3-4 disk herniation there is a higher risk that you are going to remove part of the facet joint. And that— when you have a patient with a disk herniation and you have to remove part of the facet joint there is a risk of instability. If you develop instability other symptoms can occur like back pain and leg pain. And often times when the instability is traumatic, after surgery then patients need another operation, which is the reason why we talk about it and that’s called a lumbar fusion.”
The plaintiff also challenges the trial court’s admission into evidence of the redacted version of Camel’s notes from his November 30, 1998 consultation with the plaintiff. Those notes, as redacted, state in relevant part: “We discussed the rationale for microdiscectomy at the L3-4 level. . . . The risks of surgery were discussed among which include infection, bleeding, weakness, numbness, bowel and bladder dysfunction, and [cerebral spinal fluid] leak, and instability. . . .”
“The law defining the relevance of evidence is well settled. Relevant evidence is evidence that has a logical tendency to aid the trier in the determination of an issue. . . . The trial court has wide discretion to determine the relevancy of evidence .... Every reasonable presumption should be made in favor of the correctness of the court’s ruling in determining whether there has been an abuse of discretion.” (Citation omitted; internal quotation marks omitted.)
PSE Consulting, Inc.
v.
Frank Mercede & Sons, Inc.,
267 Conn. 279, 332, 838 A.2d 135 (2004); see also Conn. Code Evid. § 4-1 (“ ‘[r]elevant evidence’ means evidence having any tendency to make the existence of any fact that is material to the determination of the proceeding more probable or less probable than it would be without the evidence”).
Our relevance determination begins with the well established elements of a medical malpractice claim,
which require the plaintiff to prove by a preponderance of the evidence: “(1) the requisite standard of care for treatment, (2) a deviation from that standard of care, and (3) a causal connection between the deviation and the claimed injury. . . . Generally, the plaintiff must present expert testimony in support of a medical malpractice claim because the requirements for proper medical diagnosis and treatment are not within the common knowledge of laypersons.” (Internal quotation marks omitted.)
Carrano
v.
Yale-New Haven Hospital,
279 Conn. 622, 656, 904 A.2d 149 (2006). Having reviewed the record in the present case, we conclude that the trial court correctly determined that whether the plaintiff understood or assented to the risks of the medical procedure bears no relevance to whether the treating surgeon complied with the standard of care. We also conclude that the trial court did not abuse its discretion when it determined that the evidence of the inherent risks of a particular surgical procedure is relevant to the determination of whether a breach of the standard of care occurred, and also whether such a breach caused the plaintiffs injuries. This is because evidence of whether an injury might well happen even in the absence of negligence, certainly has a “ ‘logical tendency to aid the trier in the determination of an issue’
PSE Consulting, Inc.
v.
Frank Mercede & Sons, Inc.,
supra, 267 Conn. 332; specifically whether a breach of the standard occurred or was the cause of the harm to the plaintiff.
Nevertheless, “[although relevant, evidence may be excluded by the trial court if the court determines that
the prejudicial effect of the evidence outweighs its probative value. . . . [T]he trial court’s discretionary determination that the probative value of evidence is . . . outweighed by its prejudicial effect will not be disturbed on appeal unless a clear abuse of discretion is shown. . . . [Bjecause of the difficulties inherent in this balancing process . . . every reasonable presumption should be given in favor of the trial court’s ruling. ... Of course, [a]ll adverse evidence is damaging to one’s case, but it is inadmissible only if it creates undue prejudice so that it threatens an injustice were it to be admitted. . . . [Accordingly] [t]he test for determining whether evidence is unduly prejudicial is not whether it is damaging to the [party against whom the evidence is offered] but whether it will improperly arouse the emotions of the jur[ors].” (Internal quotation marks omitted.)
State
v.
Skakel,
276 Conn. 633, 735-36, 888 A.2d 985, cert. denied, 549 U.S. 1030, 127 S. Ct. 578, 166 L. Ed. 2d 428 (2006); see also Conn. Code Evid. § 4-3 (“[r]elevant evidence may be excluded if its probative value is outweighed by the danger of unfair prejudice or surprise, confusion of the issues, or misleading the jury, or by considerations of undue delay, waste of time or needless presentation of cumulative evidence”).
We have not previously had the opportunity to consider whether evidence of the risks of a medical procedure, as communicated to a patient by a physician, is unduly prejudicial or confusing under § 4-3 of the Connecticut Code of Evidence in a medical malpractice action that does not include a claim of lack of informed consent.
Our sister state courts that have considered
this issue uniformly have concluded that evidence of informed consent, such as consent forms, is both irrelevant and unduly prejudicial in medical malpractice cases without claims of lack of informed consent. For example, the Virginia Supreme Court recently concluded that the trial court improperly denied the plaintiff patient’s motion in limine to preclude the admission of evidence of discussions between herself and the defendant physician about the risk of bladder injury during a cystoscopy.
Wright
v. Kaye, 267 Va. 510, 528-29, 593 S.E.2d 307 (2004). The court stated that the plaintiffs “awareness of the general risks of surgery is not a defense available to [the defendant] against the claim of a deviation from the standard of care. While [the plaintiff] or any other patient may consent to risks, she does not consent to negligence. Knowledge by the trier of fact of informed consent to risk, where lack of informed consent is not an issue, does not help the plaintiff prove negligence. Nor does it help the defendant show he was not negligent. In such a case, the admission of evidence concerning a plaintiffs consent could only serve to confuse the jury because the jury could conclude, contrary to the law and the evidence, that consent to the surgery was tantamount to consent to the injury which resulted from that surgery. In effect, the jury could conclude that consent amounted to a waiver, which is plainly wrong.” Id., 529.
Similarly, the Ohio Court of Appeals has noted that, although evidence of the risks of the procedure at issue
are relevant in a medical malpractice case, evidence of whether the plaintiff patient had given informed consent to that procedure generally is irrelevant and “carriels] great potential for the confusion of the jury” in an action wherein only medical malpractice is pleaded, and the information given to the plaintiff is not at issue.
Waller
v.
Aggarwal,
116 Ohio App. 3d 355, 357-58, 688 N.E.2d 274 (1996); cf.
Liscio
v.
Pinson,
83 P.3d 1149, 1156 (Colo. App. 2003) (trial court did not improperly admit evidence of informed consent discussion when plaintiff patient had “opened the door” by asking defendant physician “whether a patient’s signing a consent form relieved a doctor of the obligation to properly perform surgery or precluded the patient from bringing suit”), cert. denied, 2004 Colo. LEXIS 70 (February 9, 2004).
We conclude that the trial court abused its discretion when it admitted evidence of the risks of the microdiscectomy in the form of their disclosure to the plaintiff. The admission of evidence that Camel had told the plaintiff of those risks, namely, his testimony and the office notes to that effect, implicates the concerns about jury confusion raised by our sister state courts that have considered the issue of the admissibility of informed consent evidence in medical malpractice cases without informed consent claims. See Conn. Code Evid. § 4-3. Put differently, admission of testimony about what the plaintiff specifically had been told raised the potential that the juiy might inappropriately consider a side issue that is not part of the case, namely, the adequacy of the consent. Indeed, this potential was further increased in this case because of the rebuttal testimony of Barbara Hayes, which disputed what Camel had told the plaintiff. See footnote 10 of this opinion. Thus, although evidence of the risks of a surgical procedure is relevant in the determination of whether the standard of care was breached, it was unduly prejudicial to admit such
evidence in the context of whether and how they were communicated to the plaintiff. Rather, such evidence is properly admitted, without this risk of confusion and inappropriate prejudice, in the form of, for example, testimony by the defendants or nonparty expert witnesses about the risks of the relevant surgical procedures generally. See
Waller
v.
Aggarwal,
supra, 116 Ohio App. 3d 358 (theory that “bladder injuries may occur during laparoscopic procedures in the absence of negligence . . . could easily be demonstrated without confusion through the testimony of an expert, rather than through the introduction of the consent form”). Accordingly, we conclude that the trial court improperly admitted the challenged evidence pertaining to whether the risks of the procedure were communicated to the plaintiff.
This conclusion does not, however, end our inquiry, because “[e]ven when a trial court’s evidentiary ruling is deemed to be improper, we must determine whether that ruling was so harmful as to require a new trial. ... In other words, an evidentiary ruling will result in a new trial only if the ruling was both wrong and harmful. . . . Finally, the standard in a civil case for determining whether an improper ruling was harmful is whether the . . . ruling [likely] would [have] affect[ed] the result.”
(Citations omitted; internal quotation marks omitted.)
Ryan Transportation, Inc.
v.
M & G Associates,
266 Conn. 520, 530, 832 A.2d 1180 (2003); accord
Prentice
v.
Dalco Electric, Inc.,
280
Conn. 336, 358, 907 A.2d 1204 (2006) (same), cert. denied, 549 U.S. 1266, 127 S. Ct. 1494, 167 Ed. 2d 230 (2007);
Dinan
v.
Marchand,
279 Conn. 558, 567, 903 A.2d 201 (2006) (same). Moreover, an evidentiary impropriety in a civil case is harmless only if we have a “fair assurance” that it did not affect the jury’s verdict.
DeMarkey v. Fratturo,
80 Conn. App. 650, 656, 836 A.2d 1257 (2003); accord
State
v.
Sawyer,
279 Conn. 331, 357, 904 A.2d 101 (2006) (improper evidentiary ruling is harmless in criminal case if reviewing court has “fair assurance” that it did not “substantially affect” jury’s verdict [internal quotation marks omitted]).
A determination of harm requires us to evaluate the effect of the evidentiary “impropriety in the context of the totality of the evidence adduced at trial.”
Vasquez
v.
Rocco,
267 Conn. 59, 72, 836 A.2d 1158 (2003). Thus, our analysis includes a review of: (1) the relationship of the improper evidence to the central issues in the case, particularly as highlighted by the parties’ summations; (2) whether the trial court took any measures, such as corrective instructions, that might mitigate the effect of the evidentiary impropriety; and (3) whether the “improperly admitted evidence is merely cumulative of other validly admitted testimony.” (Internal quotation marks omitted.)
Prentice
v.
Dalco Electric, Inc.,
supra, 280 Conn. 358; see also id., 360-61 (noting that during summation, plaintiff described issue encompassing improperly admitted scientific evidence as
“ ‘critical’ ” and emphasized that evidence);
Hayes
v.
Caspers, Ltd.,
90 Conn. App. 781, 800, 881 A.2d 428 (cautionary instruction addressed prejudicial impact of expert’s testimony that included arguably improper discussion of pending federal action), cert. denied, 276 Conn. 915, 888 A.2d 84 (2005);
Raudat
v.
Leary,
88 Conn. App. 44, 52-53, 868 A.2d 120 (2005) (improperly admitted expert testimony was harmful error when it related to “central issue” in case, namely, condition of purchased horse);
DeMarkey
v.
Fratturo,
supra, 80 Conn. App. 656-57 (improperly admitted hearsay evidence about cause of motor vehicle accident was harmless because it was cumulative of properly admitted testimonial and diagram evidence). The overriding question is whether the trial court’s improper ruling “affected the jury’s perception of the remaining evidence.”
Swenson
v.
Sawoska,
215 Conn. 148, 153, 575 A.2d 206 (1990).
Having reviewed the entire record in this case, we conclude that there is a fair assurance that this evidentiary impropriety was harmless and did not likely affect the jury’s verdict. Although this evidence related to the central issue in this case, namely, whether Camel had breached the standard of care in his use of the high-speed drill to perform the microdiscectomy,
neither the plaintiff nor Camel mentioned in their summations that the plaintiff had been informed specifically of the risk of dural tears and postoperative neurological damage.
Thus, neither party apparently viewed this partic
ular evidence as significant enough to mention it to the jury as a factor to consider in its deliberations, as they confined their arguments to the properly admitted evidence of the risks of the microdiscectomy generally.
Moreover, the trial court’s charge to the jury specifically addressed the relationship of surgical risk and negligence, and stated that “simply because a particular injury is considered to be a risk of the procedure does not mean that a physician is relieved of the duty of adhering to the appropriate standard of care and does not mean that because the injury was a risk of the
procedure injury did not result from a failure to conform to the standard of care.”
Indeed, we note that the plaintiff specifically agreed with the correctness of this limiting charge when it first was proposed by the trial court,
and he did not request a more specific instruc
tion on this topic either before or after the trial court’s charge to the jury, and did not take an exception to this aspect of the charge as given. Although the jury charge in this case was not tailored as specifically to the informed consent evidence as the limiting instruction that we recently discussed in
Viera
v. Cohen, 283 Conn. 412, 454 n.19, 927 A.2d 843 (2007),
it nevertheless properly informed the jury that inherent surgical risks, whatever they may be, do not relieve a surgeon of his or her responsibility to adhere to the relevant standard of care. We presume that the jury followed this instruction, thereby mitigating the prejudice and
The judgment is affirmed.
In this opinion the other justices concurred.