Keith Wilkey v. Greg Hull

366 F. App'x 634
CourtCourt of Appeals for the Sixth Circuit
DecidedFebruary 24, 2010
Docket09-3140
StatusUnpublished
Cited by29 cases

This text of 366 F. App'x 634 (Keith Wilkey v. Greg Hull) is published on Counsel Stack Legal Research, covering Court of Appeals for the Sixth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Keith Wilkey v. Greg Hull, 366 F. App'x 634 (6th Cir. 2010).

Opinion

OPINION

KAREN NELSON MOORE, Circuit Judge.

In this diversity action, Plaintiff-Appellant Keith Wilkey (“Wilkey”) appeals the district court’s dismissal of his state-law claims of tortious interference with evidence and tortious interference with a business relationship. He further appeals *636 the district court’s adverse summary judgment ruling as to his state-law fraud claim. For the reasons stated below, we AFFIRM the district court’s judgment.

I. BACKGROUND 1

Wilkey is a board-certified orthopedic surgeon who formerly had clinical privileges at McCullough-Hyde Memorial Hospital (“the Hospital”) in Oxford, Ohio. According to Wilkey, in 2003, various committees at the Hospital conducted hearings to determine whether he should be suspended, in part because of his allegedly inferior standard of care. In doing so, the committees relied on a report completed by an external reviewer, Dr. Edward Seasons (“Seasons”), who criticized Wilkey’s standard of care. However, the Hospital requested a second external report due to concerns regarding Seasons’s qualifications. That report was completed by Dr. James H. Ricciardi (“Ricciardi”), who found that Wilkey had “not deviated from the standard of care.” Doc. 1 (Compl. at ¶ 13). The relevant Hospital committees, however, never saw Ricciardi’s report.

The Hospital hired Defendant-Appellee Gregory Hull (“Hull”), a lawyer, to present the case for suspending Wilkey. According to Wilkey’s complaint, Hull knew of the Ricciardi report but failed to provide it to the Hospital committees or include it in the “exhibit list and packets for the September 2003 hearing.” Id. at ¶ 19. Wil-key also claims that his attorney requested the Ricciardi report from Hull during the suspension hearings but Hull declined to give him the report “solely because Dr. Ricciardi’s report was not on the [Medical Executive Committee] exhibit list.” Id. at ¶ 42. According to the complaint, Hull knew that the report was “important” and that Hospital regulations required that he produce it. Id. at ¶ 36. Wilkey claims that had he obtained the report, he would have introduced it into evidence during his suspension proceedings and that this would have aided his case. The Hospital eventually suspended Wilkey.

Wilkey later brought an action in federal court against the Hospital, some of its medical staff, and various other individuals. The complaint asserted a variety of claims including violation of state and federal antitrust law, fraud, tortious interference with a written contract, tortious interference with a business relationship, knowingly filing a false data-bank report, defamation, denial of due process, breach of contract, negligence, and civil conspiracy. According to Wilkey, it was during these proceedings that he learned of the facts underlying his current complaint.

The litigation against the Hospital ultimately settled, but on March 1, 2007, Wil-key brought this action in the United States District Court for the Southern District of Ohio against Hull and Defendant-Appellee Millikin & Fitton, the law firm with which Hull was associated while working for the Hospital. In his complaint, Wilkey alleged that the Defendants are liable for tortious interference with or destruction of evidence, violating Federal Rule of Civil Procedure 60(B)(3), violating Ohio’s evidence and record-tampering statutes, conspiring to conceal evidence, failing to follow hospital rules and regulations, fraud, tortious interference with a business relationship, denial of due process, negligence, and civil conspiracy. Doc. 1. The Defendants moved to dismiss the complaint under Federal Rule of Civil Procedure 12(b)(6), and the district court granted this motion with respect to all but the *637 fraud and negligence claims and further found that Millikin & Fitton was not vicariously liable for any torts committed by Hull. The district court later denied Wil-key’s motion to amend his complaint. Finally, after a period of discovery, the district court granted the Defendants’ motion for summary judgment as to the remaining claims. Wilkey appeals only the district court’s dismissal of his claims of tortious interference with evidence and tortious interference with a business relationship and the grant of summary judgment as to his fraud claims.

II. ANALYSIS

A. Claims of Tortious Interference with Evidence and Tortious Interference with a Business Relationship

1. Standard of review

Because Wilkey’s claims of tortious interference with evidence and tortious interference with a business relationship were both dismissed at the pleading stage, the normal federal pleading rules apply. See Minger v. Green, 289 F.3d 793, 799-801 (6th Cir.2001) (applying federal pleading rules in diversity case). This court reviews de novo a dismissal under Federal Rule of Civil Procedure 12(b)(6). Hensley Mfg. v. ProPride, Inc., 579 F.3d 603, 608-09 (6th Cir.2009). We accept as true all non-conclusory allegations in the complaint and determine whether they state a plausible claim for relief. Ashcroft v. Iqbal, — U.S. -,---, 129 S.Ct. 1937, 1949-50, 173 L.Ed.2d 868 (2009).

2. Tortious Interference with or Destruction of Evidence

Wilkey claims that Hull is liable for tortious interference with or destruction of evidence (“TIDE”) because Hull “withheld ... [the Ricciardi report from] Dr. Wilkey and his legal counsel.” Doc. 1 (Compl. at ¶ 46). The elements of a TIDE claim are:

(1) pending or probable litigation involving the plaintiff, (2) knowledge on the part of defendant that litigation exists or is probable, (3) willful destruction of evidence by defendant designed to disrupt the plaintiffs case, (4) disruption of the plaintiffs case, and (5) damages proximately caused by the defendant’s acts.

Smith v. Howard Johnson Co., 67 Ohio St.3d 28, 615 N.E.2d 1037, 1038 (1993).

Ohio law is not entirely clear as to what the third prong of this test requires. Some cases suggest that “concealment” of or “interference” with evidence might suffice. See Drawl v. Cornicelli, 124 Ohio App.3d 562, 706 N.E.2d 849, 851-52 (1997). Other Ohio cases require something closer to literal, physical destruction of evidence. See Pratt v. Payne, 153 Ohio App.3d 450, 794 N.E.2d 723, 727-28 (2003); Tate v. Adena Reg’l Med. Ctr., 155 Ohio App.3d 524, 801 N.E.2d 930, 936-37 (2003); Williams v.

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