Larca v. United States

302 F.R.D. 148, 89 Fed. R. Serv. 3d 321, 2014 WL 3735141, 2014 U.S. Dist. LEXIS 102872
CourtDistrict Court, N.D. Ohio
DecidedJuly 28, 2014
DocketNo. 4:13-cv-205
StatusPublished
Cited by4 cases

This text of 302 F.R.D. 148 (Larca v. United States) is published on Counsel Stack Legal Research, covering District Court, N.D. Ohio primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Larca v. United States, 302 F.R.D. 148, 89 Fed. R. Serv. 3d 321, 2014 WL 3735141, 2014 U.S. Dist. LEXIS 102872 (N.D. Ohio 2014).

Opinion

MEMORANDUM OPINION AND ORDER

SARA LIOI, District Judge.

This matter is before the Court on defendants’ motion to dismiss and/or motion for summary judgment (Doc. No. 55), defendants’ supplemental motion to dismiss and/or motion for summary judgment (Doc. No. 57), and plaintiffs motion for extension of time to file an opposition to defendants’ initial motion to dismiss (Doe. No. 64).

I. Factual Background

Plaintiff Salvatore Larca (“plaintiff’ or “Larca”) was sentenced to sixty-three months’ imprisonment on April 13, 2007. (Doe. No. 18 at 62; Doe. No. 35 at 155.) In June 2007, defendant United States of America transferred Larca to the Federal Correctional Institution located in Elkton, Ohio (“FCI Elkton”), where he remained until his transfer to North Carolina in spring 2009. (Doc. No. 18 at 62; Doe. No. 26 at 120.) In fall 2008, Larca’s health deteriorated precipitously, resulting in three visits to defendant Salem Community Hospital (“Salem”).

Before his first admission to Salem on December 1, 2008, plaintiff contracted the bacterium Clostridium, difficile (“C. diffi-cile ”) at FCI Elkton, experiencing the first symptoms in November 2008. (Larca Dep., Doc. No. 55-2 at 356.) After Larca visited the prison sick call several times, a prison doctor performed an abdominal X-ray on December 1, 2008, after which he immediately ordered Larca to the hospital. (Id. at 356-57.) Doctors at Salem diagnosed Larca with C. difficile and prescribed a suite of oral and intravenous antibiotics, discharging Larca on December 15, 2008. (Id. at 359-60, 262.) Larca returned to Salem on January 29, 2009 for a blood transfusion. (Id. at 362.) On March 2, 2009, Larca received a colonoscopy at Salem, whereupon the doctors recommended a colectomy. (Id. at 365.)

The United States transferred Larca to the Federal Medical Center in Butner, North Carolina (“FMC Butner”), via the Low Security Correctional Institution in Butner (“LSCI Butner”), in spring 2009, and he received a colectomy in October 2009 at a North Carolina hospital. (Id. at 366; Doc. No. 18 at 62.) Complications ensued — candi-diasis in Larca’s esophagus, wound infection, and lung emphysema. (Larca Dep. at 367; Doc. No. 26 at 121.) Plaintiff was released from prison to a halfway house in New York in March 2010 and received a total colectomy in March 2011. (Larca Dep. at 368; Doc. No. 18 at 62; Doc. No. 26 at 121.)

On July 27, 2010, plaintiff submitted an administrative claim for damage, injury or death on DOJ Standard Form 95 for misdiagnosis and mistreatment of C. difficile. (Doc. No. 18 at 62.) Plaintiffs administrative claim was denied on February 7, 2011, and plaintiff filed the instant action. (Id. at 63; Doc. No. 35 at 156-57.)

II. Procedural Background

Plaintiff initially filed his complaint on June 10, 2011, under the Federal Tort Claims Act (“FTCA”), in the United States District Court for the Southern District of New York, as well as an amended complaint on November 20, 2012. (Doc. Nos. 1, 34.) Plaintiffs amended complaint asserts the following causes of action: (1) that defendant United States of America was “careless, negligent and/or committed medical and hospital malpractice!;]” (2) that defendants did not obtain his informed consent to his medical treatment; (3) that U.S. Public Health Service officers and employees were “careless, negligent and/or committed medical and hospital malpractice!;]” and (4) that Salem breached [150]*150its duty of care to plaintiff. (See Doc. No. 34 at 284-93.)

On October 15, 2012, defendant United States of America filed a motion to transfer the case to this Court under 28 U.S.C. § 1404(a). (Doe. No. 17.) The New York district court granted the motion on December 16, 2012, and the ease was transferred on January 29,2013. (Doc. Nos. 35, 36.)

On September 19, 2013, defendants filed a motion to dismiss and/or motion for summary judgment. (Doc. No. 55.) Defendants filed a supplemental motion to dismiss and/or motion for summary judgment on October 9, 2013. (Doe. No. 57.) Plaintiff neither responded to the motion nor requested more time to respond to the motion. In fact, plaintiff did nothing at all until February 25, 2014, more than five months after defendants filed the motion, when the Court conducted a telephonic status conference with counsel. (Minutes, Feb. 25, 2014.) During the status conference, plaintiff requested additional time to respond to defendants’ motion to dismiss, and the Court permitted plaintiff to move for leave to file an untimely opposition to the motion to dismiss, attaching the proposed opposition, on or before March 3, 2014. (Id.) The Court further permitted defendants to file a motion to challenge plaintiffs Rule 26 expert disclosure on or before March 10, 2014. (Id.) If defendants filed such a motion, plaintiff was given leave to file a response on or before March 31, 2014. (Id.) The Court stayed proceedings as to all matters unrelated to defendants’ motion to dismiss and the Rule 26 dispute.

These detailed guidelines and deadlines notwithstanding, plaintiff filed a single motion with a supporting memorandum on March 3, 2014, addressing all the topics covered at the status conference: (1) plaintiffs opposition on the merits to defendant’s motion to dismiss, (2) plaintiffs purported compliance with Fed.R.Civ.P. 26(a)(2), and (3) plaintiffs motion for extension of time to file an opposition brief. (Doc. Nos. 64, 65.) The same day (March 3, 2014), plaintiff also filed a “non-retained” expert witness disclosure pursuant to Fed.R.Civ.P. 26(a)(2)(C). (Doc. No. 63.) The report identified Dr. Daniel D. Hunt, MD, plaintiffs treating physician and surgeon, who, it is represented, will testify regarding the facts and circumstances of the medical care provided by defendants. (Id. at 454.)

Defendants filed a response on March 10, 2014, addressing all the topics covered in plaintiffs motion. (Doc. No. 66.)

The Court shall address the issues in the following sequence. First, the Court shall determine whether plaintiff should be permitted to file an untimely opposition to defendants’ motion to dismiss. Second, the Court shall determine whether defendants’ motion to dismiss and/or motion for summary judgment ought to be granted. Third and finally, the Court shall address the Fed. R.Civ.P. 26(a)(2) expert disclosure issue.

III. Plaintiffs Motion for Extension

The Court instructed plaintiff to show “good cause as to why he should be able to file an untimely opposition” to defendants’ motion to dismiss. (Minutes, Feb. 25, 2014). In his motion, plaintiff asks the Court’s indulgence in accepting his untimely opposition, stating that he cannot “find any notice of a briefing date for opposition to the motion[,]” and he has “no record of receipt of the motions.” (Doe. No. 65 at 467.) Plaintiff avers that he relied in good faith on his understanding of the Court’s Case Management Plan and Trial Order, which set the deadline for responding to dispositive motions for April 7, 2014. (Id.

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Cite This Page — Counsel Stack

Bluebook (online)
302 F.R.D. 148, 89 Fed. R. Serv. 3d 321, 2014 WL 3735141, 2014 U.S. Dist. LEXIS 102872, Counsel Stack Legal Research, https://law.counselstack.com/opinion/larca-v-united-states-ohnd-2014.