Kaplan v. State

198 Misc. 62, 95 N.Y.S.2d 890, 1950 N.Y. Misc. LEXIS 1501
CourtNew York Court of Claims
DecidedMarch 20, 1950
DocketClaim No. 28821
StatusPublished
Cited by5 cases

This text of 198 Misc. 62 (Kaplan v. State) is published on Counsel Stack Legal Research, covering New York Court of Claims primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kaplan v. State, 198 Misc. 62, 95 N.Y.S.2d 890, 1950 N.Y. Misc. LEXIS 1501 (N.Y. Super. Ct. 1950).

Opinion

Sylvester, J.

Claim has been filed herein to recover damages for personal injuries sustained through the alleged negligence of a State physician.

Claimant had been admitted as a mental patient to the Brooklyn State Hospital on February 15,1947. In the course of receiving electric therapy, he sustained an injury to a tendon in the right shoulder. On March 28,1947, an operation was performed upon claimant by Dr. Mulle, of the hospital staff, for the purpose of correcting this condition. While in the process of drilling necessary holes in the head of the humerus bone, to which the torn muscle could be fastened, the drill point broke. The surgeon continued the operation without, however, removing the drill point, since he decided that the patient’s condition did not allow the extra operative time for its removal. Thereafter, infection set in, requiring a series of operations at other hospitals, until finally the drill point was removed and a fusion of the right shoulder joint was effected.

Claimant attributes negligence to the State (1) because of the breaking of the drill and in permitting its point to remain in the humerus, and (2) for the reason that the postoperative care rendered him at the State institution was performed in a careless and negligent manner, the State having failed to render customary and proper postoperative care.

It is asserted that the breaking of the drill during the operation was due to the negligence of the State physician performing the operation. As to this act, the doctrine of res ipso loquitur is said to apply. It is sufficient to say that the State assumed its burden of going on with this phase of the case. There is medical evidence that pieces of metal, including broken drill points, have often been allowed to remain in the bone. In the judgment of the doctor, the patient’s condition did not then warrant the removal of the drill tip. Moreover, the breaking of the instrument might have been due to several causes; namely, an inherent defect, the [64]*64negligence of the surgeon or sheer accident. There is an absence here of any evidence indicating the particular cause and no presumption of negligence due to the breaking of the drill may be indulged. (Benson v. Dean, 232 N. Y. 52; Noonan v. Dessloch, 289 N. Y. 620; Mandelbaum v. Weil, 208 App. Div. 409.) In Benson v. Dean (supra) Pound, J., for a unanimous court, said (pp. 57-58): “ The evidence of the first operation coupled with the presence of the broken needle in the abscess standing by itself might have suggested that proper care had not been taken and might have been enough to put defendant to his proof. (Goldstein v. Pullman Co., 220 N. Y. 549, 554.) Common sense suggests that the condition discovered by Dr. Saphir was incompatible with successful surgery and medical treatment. But when the evidence of the defendant’s surgeons came into the case with a reasonable explanation showing what may happen when the proper degree of care and skill is actually exercised, the possible inference of negligence from the breaking of the needle alone was driven out and the jury should have been so instructed. The rule res ipsa loquitur put upon the defendant the burden of going on with the case (Davis v. Kerr, 239 Penn. St. 351), but in the absence of medical evidence to the contrary, it must be assumed on this appeal that the breaking of the needle was not due to negligence.”

The more serious item of negligence concerns the postoperative care accorded the claimant. The evidence establishes that the infection that developed in claimant’s arm was neither properly diagnosed nor treated. The record discloses a condition of varying temperatures for many days with penicillin injections for infection while the wound was draining. Though an entry in the hospital records revealed an infectious condition several days prior to April 15, 1947, the patient received but negligible attention in the form of dressings and administration of the penicillin. The medical testimony is agreed that where a foreign body is permitted to remain in the bone, sound practice dictates that X rays should be taken sometime after the operation to ascertain its location and its involvements. This was not done. X rays would have revealed the bone infection and involvement, with the end result that the foreign body and the involved part of the bone would have been removed. It was only after the patient was discharged on May 9, 1947, when he consulted private medical care, that it was realized that the wound was of an infectious nature. The medical proof establishes that the State was remiss in failing to pursue the indicated course of treatment. [65]*65The consequence of its neglect necessitated several additional operations and the ensuing permanent fusion of the right shoulder joint by insertion of a Smith-Peterson nail.

The State contends that it is well settled in this jurisdiction that no liability attaches to it for the negligence of its physician in the performance of a professional function. It recognizes that where the negligence of the doctor arises out of the exercise of a mere administrative act, as distinguished from medical treatment, the hospital may be liable — for then the doctrine of respondeat superior is applicable. (Ranelli v. Society of New York Hosp., 295 N. Y. 850; Volk v. City of New York, 284 N. Y. 279.) That the doctor is an independent contractor, with consequent freedom from liability on the part of the hospital for his negligent acts in the course of his professional treatment, appears to be firmly established in the law. (Schloendorff v. Society of New York Hosp., 211 N. Y. 125; Phillips v. Buffalo Gen. Hosp., 239 N. Y. 188; Volk v. City of New York, supra.)

However, in dealing with the waiver of immunity provision (Court of Claims Act, § 12-a, and its successor § 8) and its effect on the general rule of liability for the negligent professional acts of State physicians, nurses and pharmacists, the provision has been construed to encompass liability for such acts and to require the State to respond in damages (Liubowsky v. State of New York, 260 App. Div. 416 [3d Dept.], affd. no opinion, 285 N. Y. 701; Robison v. State of New York, 263 App. Div. 240 [4th Dept.]). In the Liubowsky case (supra) the court, per Crapser, J., stated (p. 418): The State contends that in its operation of Rockland State Hospital, having furnished competent and well-qualified doctors, nurses and attendants, it discharged its duty to the claimant and to the deceased and it relies upon the case of Schloendorff v. New York Hospital (211 N. Y. 125). That case was decided by the Court of Appeals in 1914. The case of Phillips v. Buffalo General Hospital (239 N. Y. 188), was decided in 1924. Section 12-a of the Court of Claims Act, in effect at the time of the accrual of the cause of action herein, became a law in 1929. Prior to that time the State of New York had not waived its immunity from suit, nor had it assumed liability for the torts of its officers and employees.

Section 12-a of the Court of Claims Act in effect provides that the doctrine of respondeat superior does apply to the State; hence the cases cited by the State in its brief are no longer an authority under the set of facts existing in this case.

[66]*66The case of Sheehan v.

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Bluebook (online)
198 Misc. 62, 95 N.Y.S.2d 890, 1950 N.Y. Misc. LEXIS 1501, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kaplan-v-state-nyclaimsct-1950.