Litman v. A. Barton Hepburn Hospital

679 F. Supp. 196, 1988 U.S. Dist. LEXIS 3292, 1988 WL 13492
CourtDistrict Court, N.D. New York
DecidedFebruary 23, 1988
Docket81-CV-234
StatusPublished
Cited by2 cases

This text of 679 F. Supp. 196 (Litman v. A. Barton Hepburn Hospital) is published on Counsel Stack Legal Research, covering District Court, N.D. New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Litman v. A. Barton Hepburn Hospital, 679 F. Supp. 196, 1988 U.S. Dist. LEXIS 3292, 1988 WL 13492 (N.D.N.Y. 1988).

Opinion

MEMORANDUM-DECISION & ORDER

MUNSON, Chief Judge.

Pending before the court are several motions brought by the various parties over the course of this drawn out litigation. Defendants A. Barton Hepburn Hospital and John W. Symons (“the Hospital defendants”) and plaintiff brought cross-motions in September of 1985 seeking sanctions and costs associated with discovery disputes dating back almost to the commencement of this action. Plaintiff also has outstanding a motion in which he seeks an order compelling production of documents related to the extent and source of the revenues of defendants Bernard Musselman, M.D. and Michael Severson, M.D. That motion was originally filed on August 22,1986 but was not argued until July 17, 1987.

On that same date the court also heard argument on a motion to dismiss brought by defendants Musselman and Severson pursuant to Rules 12(b)(1), 12(b)(6) and 56 of the Federal Rules of Civil Procedure. Argument on a similarly styled motion brought by the Hospital defendants was heard on January 25, 1988. Both sets of defendants contest, inter alia, the court’s jurisdiction under the Sherman Anti-Trust Act, 15 U.S.C. § 1, et seq., and the sufficiency and significance of plaintiff's allegations concerning the defendants’ alleged conspiracy to preclude competition from plaintiff in the field of pediatrics. The court will, necessarily, consider the jurisdiction arguments first.

SHERMAN ANTITRUST JURISDICTION

BACKGROUND

Plaintiff commenced this action by filing a complaint on March 13, 1981. On November 28,1983 an amended complaint was filed. Within the amended complaint were five discernible causes of action — one brought under the Sherman Act, a second citing New York State’s analogous antitrust provision, the Donnelly Act, a third brought under common law theories of unfair competition and restraint of trade, a fourth claiming breach of contract and a fifth alleging violation of 42 U.S.C. § 1983. At this juncture, following various motions to dismiss, the only remaining claim is that brought under the Sherman Act.

Plaintiff centers his Sherman Act allegations on establishing that the defendants conspired to reduce or eliminate him as a competitive force in the field of pediatrics in the Ogdensburg, New York area. He asserts that they accomplished this through implementation, in April of 1979, of a new regulation which provided that clinical privileges in pediatrics at A. Barton Hepburn Hospital (“Hepburn Hospital” or “the hospital”) could only be granted upon *198 successful completion of a three month, post graduate residency in pediatrics. Clinical privileges play an essential role in a physician’s practice because they permit the physician to admit and treat patients at a hospital. Without such privileges in pediatrics at Hepburn Hospital, argues plaintiff, he is unable to fully treat from “cradle to grave” those patients he sees in his private practice.

It does not appear that plaintiff objects to the hospital’s efforts to ensure the quality of care rendered to patients through its implementation of minimum training requirements, but rather, that he objects to what he perceives as the hospital’s sudden and calculated efforts to impose and enforce the three month requirement in April of 1979. Plaintiff was recruited from a practice in New Haven, Connecticut in May of 1977 by a search agency located in New York City. During June and July of that year plaintiff had several discussions with hospital personnel, including the hospital’s Executive Vice President-Administrator, defendant John W. Symons, concerning the privileges plaintiff would be granted were he to accept the hospital’s offer of employment. Apparently assured that he would receive the full range of privileges needed to supplement the private practice he sought to develop, Dr. Litman submitted his formal application for admission to the hospital’s staff. That application, dated July 29, 1977, contained a request for clinical privileges in pediatrics, medicine, obstetrics and gynecology, minor surgery, family practice and emergency medicine. On August 15, 1977 the Board of Directors at the hospital approved Dr. Litman’s request for admission to the hospital’s medical staff. That decision did not confer any clinical privileges upon Dr. Litman. On August 23, 1977 the Executive Committee of the medical staff granted to Dr. Litman clinical privileges in what the committee denominated as “family practice.” The parties are in disagreement as to the significance of that grant of privileges. According to defendants, as noted in their uncon-tradicted 10J statement, the grant of family practice privileges did not confer upon Dr. Litman privileges in pediatrics. Plaintiff counters that the intent of the hospital was to grant him privileges in each of the areas he had requested, including pediatrics. This he says is borne out through testimony of certain hospital personnel, including Doctor Hugh Inness-Brown, Chairman of the Executive Committee of the medical staff, and through the uncontro-verted fact that from August of 1977 through April or May of 1979, Dr. Litman admitted and treated pediatric patients at the A. Hepburn Hospital as would any other physician who possessed pediatric privileges. Thus, as noted above, Dr. Litman does not appear to object in principle to requiring of physicians that they undertake minimal training as a prerequisite to gaining privileges, but rather he objects to being compelled to undertake a three month training period after he had accumulated some twenty months of practice at the hospital during which he apparently enjoyed pediatric privileges without protest from hospital personnel. Dr. Litman asserts that the training requirement was specifically instituted to restrict and perhaps destroy his pediatric and general practice.

The parties contest whether the three month training requirement was in fact “new” in April of 1979. Defendants claim that as early as a December 18, 1974 meeting the hospital’s medical staff “decided upon” a six month post graduate training period as a prerequisite to gaming clinical pediatric privileges. It cannot be discerned from the minutes of that meeting whether the six month requirement was actually binding, and it does not appear that the requirement was ever incorporated into the hospital’s by-laws.

At a meeting held on April 11, 1978 the medical staff established a family practice subspecialty within the hospital’s Department of Medicine. On April 3, 1979 the medical staff again met and discussion ensued concerning the issue of granting clinical privileges to family practitioners in departments other than the Department of Medicine. This issue was pressing because there were, and remain, five departments at the hospital other than the Department of Medicine. Thus family practitioners, *199 whose practice is directed at a broad range of patients and therefore likely to benefit from privileges in each of the departments, needed to know what requirements had to be met to gain additional privileges. At the April 3, 1979 meeting it was decided that each department would retain control over the training requirements for its department.

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Bluebook (online)
679 F. Supp. 196, 1988 U.S. Dist. LEXIS 3292, 1988 WL 13492, Counsel Stack Legal Research, https://law.counselstack.com/opinion/litman-v-a-barton-hepburn-hospital-nynd-1988.