Hendy v. Losse

819 P.2d 1, 54 Cal. 3d 723, 1 Cal. Rptr. 2d 543, 91 Daily Journal DAR 14153, 56 Cal. Comp. Cases 687, 91 Cal. Daily Op. Serv. 9058, 1991 Cal. LEXIS 5121
CourtCalifornia Supreme Court
DecidedNovember 18, 1991
DocketS018325
StatusPublished
Cited by185 cases

This text of 819 P.2d 1 (Hendy v. Losse) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hendy v. Losse, 819 P.2d 1, 54 Cal. 3d 723, 1 Cal. Rptr. 2d 543, 91 Daily Journal DAR 14153, 56 Cal. Comp. Cases 687, 91 Cal. Daily Op. Serv. 9058, 1991 Cal. LEXIS 5121 (Cal. 1991).

Opinion

Opinion

BAXTER, J.

Review was granted in this matter to determine the effect, if any, of a 1982 amendment of Labor Code section 3602, 1 on the right of a person who suffers an industrial injury to sue a coemployee physician whose treatment allegedly aggravated the injury. The Court of Appeal held that while section 3602, as amended, no longer permits actions against a physician employer under the “dual capacity” doctrine, a coemployee action may be maintained under section 3601.

We disagree. While the Court of Appeal was correct in its conclusion that section 3601 alone governs the right of an employee to seek damages for industrial injuries caused by a coemployee, the immunity granted coemployees by section 3601 bars this medical malpractice action against Gary Losse, M.D., because he was acting within the scope of his employment when the conduct complained of occurred.

I

Background

Insofar as they are relevant to plaintiff’s cause of action against defendant Losse for medical malpractice and thus to the issue before the court, the allegations of the verified complaint reflect the following: 2

Plaintiff John Hendy suffered injury to his right knee on August 11, 1986, while playing in a regular season football game as an employee of the San *728 Diego Chargers Football Company (Club). He was treated for that injury by defendant Losse, who was employed as a Club physician. As a condition of his continued receipt of salary and medical care at thé expense of his employer, plaintiff was required to consult the Club physician.

Defendant Losse examined plaintiff pursuant to his employment by the Club, and advised plaintiff to continue playing football. From May 11,1987, and continuing to September 1987, defendant Losse negligently diagnosed and/or treated plaintiff and advised plaintiff to continue playing football. On or about May 28, 1987, plaintiff suffered another injury to his right knee during a training session. He again consulted Dr. Losse, and defendant Losse again advised plaintiff to continue playing football. Dr. Losse lacked the knowledge and skill necessary to properly diagnose and treat plaintiff’s condition or, although aware of the condition, advised plaintiff to continue to play football, with the result that plaintiff suffered irreparable and permanent injury to his right knee. 3 On or about September 8, 1987, when he consulted a physician who was not employed by the Club, plaintiff discovered that the cause of his injuries was defendant’s failure to properly diagnose and treat his condition.

• Defendant demurred to the cause of action for medical malpractice on the ground that plaintiff’s exclusive remedy for his employment-related injury was within the workers’ compensation system. In support of the demurrer defendant asked that the court take judicial notice, pursuant to Code of Civil Procedure section 430.30 and Evidence Code section 452, of both the National Football League employment contract and the collective bargaining agreement between the league’s management council and the National Football League Players Association, both of which governed plaintiff’s employment.

The collective bargaining agreement included a provision outlining the players’ right to medical care and treatment, and made the cost of medical *729 services to be rendered by Club physicians the responsibility of the Club. The contract between plaintiff and the Club provided that plaintiff would receive “such medical and hospital care during the term of this contract as the Club physician may deem necessary . . . .” The contract between defendant and the Club is not part of the record.

Plaintiff opposed the demurrer on two grounds—(1) defendant was acting in a dual capacity when he diagnosed and treated plaintiff, and (2) the action was permitted under subdivision (b)(2) of section 3602, which permits an action at law against an employer for damages proximately caused by aggravation of a work-related injury if the “injury is aggravated by the employer’s fraudulent concealment of the existence of the injury and its connection with the employment. . . .”

The trial court sustained the demurrer without leave to amend, ruling that a 1982 amendment of section 3602 made workers’ compensation plaintiff’s exclusive remedy even if a dual capacity situation existed, and that the complaint failed to state facts to establish concealment of either the injury or its relation to plaintiff’s employment. The Court of Appeal held that because section 3602 applies only to lawsuits against employers, its limitation on use of the dual capacity doctrine applied only to actions against employers and had no impact on an injured employee’s right to sue a coemployee. 4

II

Development of the Dual Capacity Doctrine

Section 3600 establishes the conditions under which an employer’s liability for compensation established by the Workers’ Compensation Act is in lieu of any other liability of the employer to the employee for an injury suffered on the job. 5 Section 3602 provides in turn, with exceptions not relevant here, that when compensation is payable under section 3600, the right to recover *730 compensation is “the sole and exclusive remedy of the employee or his or her dependents against the employer. ...” A parallel, but not identical, exclusive remedy provision, section 3601, prohibits actions against coemployees for injuries they cause when acting within the scope of their employment.

A judicially recognized exception to the exclusive remedy restriction on actions against employers—the “dual capacity doctrine”—has been understood to also permit an action for damages against a coemployee physician if the injury to the plaintiff employee was caused or aggravated by the defendant. This case arises because the Legislature has imposed limits on the dual capacity doctrine by amendment of section 3602.

A. Dual Capacity of Employers

The dual capacity doctrine posits that an employer may have or assume a relationship with an employee other than that of employer-employee, and that when an employee seeks damages for injuries arising out of the secondary relationship the employee’s claim is not subject to the exclusive remedy provisions of the Workers’ Compensation Act. The doctrine was first enunciated in Duprey v. Shane (1952) 39 Cal.2d 781 [249 P.2d 8], which, like this case, involved a medical malpractice claim.

At the time Duprey was decided, section 3601 governed actions against employers by injured employees. It then provided: “Where the conditions of compensation exist, the right to recover such compensation pursuant to the provisions of this division is, except as provided in section 3706, the exclusive remedy against the employer for the injury or death.”

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819 P.2d 1, 54 Cal. 3d 723, 1 Cal. Rptr. 2d 543, 91 Daily Journal DAR 14153, 56 Cal. Comp. Cases 687, 91 Cal. Daily Op. Serv. 9058, 1991 Cal. LEXIS 5121, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hendy-v-losse-cal-1991.