AVELLINO, J.,
— Georgia Lawrence is the administratrix of the estate of her husband. She began her journey to the Superior Court in June 1988, when she filed this lawsuit against several physicians, contending that they were negligent while caring for her husband during his lifetime. During the pendency of her action, she became embroiled in a discovery controversy that required several decisions (or orders) from me.
She now appeals (as a matter of right) from my last discovery order which imposed a severe sanction that took the form of a judgment of non pros and, hence, literally put her “out of court.”1 Because she lodged her appeal within 30 days of the date that my order was entered, her appeal is “timely.” Consequently, it is probably fair to say that Mrs. Lawrence has managed to avoid the “usual” missteps on the. sometimes treachérous journey from a trial court to an appellate court.2 She [401]*401has arrived, so to speak, before the Superior Court, ostensibly for the purpose of obtaining an appellate review of one or more of the many decisions that I made in her case. Nevertheless, and for the reasons which I will explain momentarily, I think that the Superior Court is required to deny Mrs. Lawrence an appellate review of any of my decisions.
The record I am transmitting (along with this memorandum) will disclose the following material (or pertinent) facts. Shortly after this lawsuit was started, the defendants served “standard” medical malpractice interrogatories (and document requests) upon Mrs. Lawrence’s lawyer.3 He (or Mrs. Lawrence) never answered this discovery. Hence, on January 6, 1989, the defendants presented a routine and “uncontested” motion designed to compel Mrs. Lawrence to comply with her discovery responsibilities. By “uncontested” I mean that Mrs. Lawrence (or her lawyer) never bothered to present a written response to the defendants’ motion, nor did either of them appear in court to respond to it orally on the day that it was presented.4 After reviewing the defendants’ motion,5 I- signed a (hopelessly) routine [402]*402order directing Mrs. Lawrence to answer the defendants’ discovery within 20 days.6
Mrs. Lawrence ignored this order.7 Consequently, on April 7, 1989, (or about three months later) the defendants presented a second motion for sanctions pursuant to Rule 4019. After reviewing this motion, I signed a more or less routine order imposing a modest (or interim) sanction.8 My order of April 7 consisted of three parts:
“(1) Plaintiff shall pay a counsel fee of $150 for the preparation and filing of this motion;
“(2) Plaintiff is cautioned that her continued and unexplained failure to comply with our order of January 6, 1989, may occasion even harsher sanctions; and
“(3) Defendant is directed to refrain from seeking further sanctions for 30 days.” (emphasis supplied)
This sanction motion was. also uncontested, i.e., once again Mrs. Lawrence (and/or her lawyer) never bothered to present a written response, and each declined the opportunity to appear in court to respond to it orally.
[403]*403More importantly, perhaps, Mrs. Lawrence opted to ignore the “warning” set forth in paragraph two of this order. Stated differently, she continued to ignore my first order which had directed her to respond to the defendant’s discovery. Consequently, on July 10, 1989, (or about three months later) the defendants presented a third motion for sanctions, asking me, in substance, to dismiss Mrs. Lawrence’s lawsuit. Once again, the defendants’ motion for sanctions was uncontested, i.e., Mrs. Lawrence (and/or her lawyer) never bothered to present a written response to the motion, and neither of them bothered to appear in court to respond to it orally.
Because dismissal is a severe sanction, I reserve it for punishing discovery “felonies” as opposed to “misdemeanors.” This aside, whether or not I choose a severe sanction as opposed to a harsh or modest one, I always conduct a discretionary exercise which is informed by numerous factors.9 Without digressing needlessly into an academic discussion of these factors, nor how I “weigh and balance” them, I’ve probably said enough about the judicial role in sanctioning to make my point: Decision making (especially that of a discretionary nature) implicates a process that is heavily dependent upon litigant participation for its accuracy (or fairness).10
[404]*404Because Mrs. Lawrence and her lawyer did not participate in this process, I never heard their “side of the story,” so to speak, and I never heard “reasons” (legal or otherwise) why I should not impose the severe sanction suggested by the defendants. Nevertheless, I read the defendants’ third motion. Moreover, I listened carefully to the arguments advanced by defendants’ counsel. Persuaded that a severe sanction was justified, I signed the order from which this appeal was taken.11
I should add, perhaps, that Mrs. Lawrence (and/or her lawyer) never bothered to ask me to reconsider my last order between July 12, 1989, and August 12, 1989, i.e., during the 30-day period that I was still empowered to modify or, perhaps, vacate that order.12 Moreover, after Mrs. Lawrence filed [405]*405her appeal, I entered a “housekeeping” order directing her (or her lawyer) to supply me with a concise summary of the matters complained of on appeal.13 Once again, Mrs. Lawrence (or her lawyer) chose to ignore my directive.
Since every fact I’ve just recited is a matter of record, I suggest that the Superior Court is required to quash this appeal on the (textbook) grounds that Mrs. Lawrence, who failed to respond (much less “object”) to any of the defendant’s motions, has forfeited her constitutional right to challenge any of the decisions which I made respecting those motions.14
The forfeiture (or waiver) rule was designed, at least in part, to prevent litigants from “sandbagging” trial judges by challenging their decisions with contentions advanced for the first time on appeal. The rule was announced initially in the historic case of Dilliplaine v. Lehigh Valley Trust Company,15 and was subsequently enshrined in numerous statutes16 and, of course, in Pa.R.A.P. [406]*406302(A). Because so much ink has been spilled by other courts,17 and national commentators,18 discussing — and almost always praising — this (prudential) procedural doctrine,19 I won’t waste any of mine here. Instead, I’ll offer a brief comment: I can’t imagine a rule any plainer than appellate rule 302(A): “Issues not raised in the lower court are waived and cannot be raised for the first time on appeal.” (emphasis supplied) More importantly, I [407]*407can’t imagine a plainer case, for the application of Rule 302(A) than the case sub judice.
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AVELLINO, J.,
— Georgia Lawrence is the administratrix of the estate of her husband. She began her journey to the Superior Court in June 1988, when she filed this lawsuit against several physicians, contending that they were negligent while caring for her husband during his lifetime. During the pendency of her action, she became embroiled in a discovery controversy that required several decisions (or orders) from me.
She now appeals (as a matter of right) from my last discovery order which imposed a severe sanction that took the form of a judgment of non pros and, hence, literally put her “out of court.”1 Because she lodged her appeal within 30 days of the date that my order was entered, her appeal is “timely.” Consequently, it is probably fair to say that Mrs. Lawrence has managed to avoid the “usual” missteps on the. sometimes treachérous journey from a trial court to an appellate court.2 She [401]*401has arrived, so to speak, before the Superior Court, ostensibly for the purpose of obtaining an appellate review of one or more of the many decisions that I made in her case. Nevertheless, and for the reasons which I will explain momentarily, I think that the Superior Court is required to deny Mrs. Lawrence an appellate review of any of my decisions.
The record I am transmitting (along with this memorandum) will disclose the following material (or pertinent) facts. Shortly after this lawsuit was started, the defendants served “standard” medical malpractice interrogatories (and document requests) upon Mrs. Lawrence’s lawyer.3 He (or Mrs. Lawrence) never answered this discovery. Hence, on January 6, 1989, the defendants presented a routine and “uncontested” motion designed to compel Mrs. Lawrence to comply with her discovery responsibilities. By “uncontested” I mean that Mrs. Lawrence (or her lawyer) never bothered to present a written response to the defendants’ motion, nor did either of them appear in court to respond to it orally on the day that it was presented.4 After reviewing the defendants’ motion,5 I- signed a (hopelessly) routine [402]*402order directing Mrs. Lawrence to answer the defendants’ discovery within 20 days.6
Mrs. Lawrence ignored this order.7 Consequently, on April 7, 1989, (or about three months later) the defendants presented a second motion for sanctions pursuant to Rule 4019. After reviewing this motion, I signed a more or less routine order imposing a modest (or interim) sanction.8 My order of April 7 consisted of three parts:
“(1) Plaintiff shall pay a counsel fee of $150 for the preparation and filing of this motion;
“(2) Plaintiff is cautioned that her continued and unexplained failure to comply with our order of January 6, 1989, may occasion even harsher sanctions; and
“(3) Defendant is directed to refrain from seeking further sanctions for 30 days.” (emphasis supplied)
This sanction motion was. also uncontested, i.e., once again Mrs. Lawrence (and/or her lawyer) never bothered to present a written response, and each declined the opportunity to appear in court to respond to it orally.
[403]*403More importantly, perhaps, Mrs. Lawrence opted to ignore the “warning” set forth in paragraph two of this order. Stated differently, she continued to ignore my first order which had directed her to respond to the defendant’s discovery. Consequently, on July 10, 1989, (or about three months later) the defendants presented a third motion for sanctions, asking me, in substance, to dismiss Mrs. Lawrence’s lawsuit. Once again, the defendants’ motion for sanctions was uncontested, i.e., Mrs. Lawrence (and/or her lawyer) never bothered to present a written response to the motion, and neither of them bothered to appear in court to respond to it orally.
Because dismissal is a severe sanction, I reserve it for punishing discovery “felonies” as opposed to “misdemeanors.” This aside, whether or not I choose a severe sanction as opposed to a harsh or modest one, I always conduct a discretionary exercise which is informed by numerous factors.9 Without digressing needlessly into an academic discussion of these factors, nor how I “weigh and balance” them, I’ve probably said enough about the judicial role in sanctioning to make my point: Decision making (especially that of a discretionary nature) implicates a process that is heavily dependent upon litigant participation for its accuracy (or fairness).10
[404]*404Because Mrs. Lawrence and her lawyer did not participate in this process, I never heard their “side of the story,” so to speak, and I never heard “reasons” (legal or otherwise) why I should not impose the severe sanction suggested by the defendants. Nevertheless, I read the defendants’ third motion. Moreover, I listened carefully to the arguments advanced by defendants’ counsel. Persuaded that a severe sanction was justified, I signed the order from which this appeal was taken.11
I should add, perhaps, that Mrs. Lawrence (and/or her lawyer) never bothered to ask me to reconsider my last order between July 12, 1989, and August 12, 1989, i.e., during the 30-day period that I was still empowered to modify or, perhaps, vacate that order.12 Moreover, after Mrs. Lawrence filed [405]*405her appeal, I entered a “housekeeping” order directing her (or her lawyer) to supply me with a concise summary of the matters complained of on appeal.13 Once again, Mrs. Lawrence (or her lawyer) chose to ignore my directive.
Since every fact I’ve just recited is a matter of record, I suggest that the Superior Court is required to quash this appeal on the (textbook) grounds that Mrs. Lawrence, who failed to respond (much less “object”) to any of the defendant’s motions, has forfeited her constitutional right to challenge any of the decisions which I made respecting those motions.14
The forfeiture (or waiver) rule was designed, at least in part, to prevent litigants from “sandbagging” trial judges by challenging their decisions with contentions advanced for the first time on appeal. The rule was announced initially in the historic case of Dilliplaine v. Lehigh Valley Trust Company,15 and was subsequently enshrined in numerous statutes16 and, of course, in Pa.R.A.P. [406]*406302(A). Because so much ink has been spilled by other courts,17 and national commentators,18 discussing — and almost always praising — this (prudential) procedural doctrine,19 I won’t waste any of mine here. Instead, I’ll offer a brief comment: I can’t imagine a rule any plainer than appellate rule 302(A): “Issues not raised in the lower court are waived and cannot be raised for the first time on appeal.” (emphasis supplied) More importantly, I [407]*407can’t imagine a plainer case, for the application of Rule 302(A) than the case sub judice.
For these reasons, I suggest that the Superior Court is required to quash this appeal, as opposed to conducting an appellate review of any of the decisions which I made on the defendants’ three motions.20