Morris v. Sloan

1997 ME 179, 698 A.2d 1038, 1997 Me. LEXIS 180
CourtSupreme Judicial Court of Maine
DecidedAugust 6, 1997
StatusPublished
Cited by11 cases

This text of 1997 ME 179 (Morris v. Sloan) is published on Counsel Stack Legal Research, covering Supreme Judicial Court of Maine primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Morris v. Sloan, 1997 ME 179, 698 A.2d 1038, 1997 Me. LEXIS 180 (Me. 1997).

Opinion

LIPEZ, Justice.

[¶ 1] The Superior Court (Knox County, Marsano, J.) granted a motion filed by the *1039 plaintiffs Dale and Dallas Morris pursuant to Maine Rule of Civil Procedure 72(c) 1 to report this case for our determination of questions of law involved in the court’s denial of their motion in limine filed in a medical malpractice action. In that motion the plaintiffs sought to exclude from evidence at the trial the unanimous findings of a prelitigation screening panel due to the alleged bias of the attorney panel member. The defendants assert that the report was improvidently granted. We agree and discharge the report.

I.

[¶2] The facts have been submitted by stipulation. The medical malpractice action, filed in 1998, addresses the plaintiffs’ claim that Dale Morris suffered severe brain damage as a result of the defendants’ negligence in 1986. That action has been consolidated with another lawsuit in which the plaintiffs allege legal malpractice on the ground that their original attorneys failed to commence the medical malpractice action within the applicable statute of limitations. In June 1995 the court (Marden, J.) determined that pursuant to the Maine Health Security Act, 24 M.R.S.A. §§ 2851-2859 (1990 & Supp.1996), 2 the medical negligence issues had to be submitted to a prelitigation screening panel before any other issues, including the applicability of the statute of limitations, could be determined. 3

[¶ 3] The Act requires that each prelitigation screening panel include an attorney. 4 In *1040 December 1995 the panel chair advised the parties that she had selected an attorney to serve on the panel and gave them the opportunity to file objections to his participation. The plaintiffs twice asked whether the attorney or his law firm engaged in physician malpractice defense work and twice were assured by the chair that they had no conflict of interest.

[¶4] In January the chair scheduled the panel hearing for April 5. On or about April 1 she notified the parties that the attorney she had selected would not be able to serve and gave them the name of a second attorney who was willing to serve. When that day or the next the plaintiffs pointed out that the second attorney’s law firm had previously represented them in a workers compensation case, he was excluded as a panel member. On April 3 the plaintiffs received a message from the panel chair indicating that she was attempting to secure the panel service of a particular attorney or of one of the other attorneys at his law firm. In response, they telephoned the chair to find out the proposed panel member’s identity and the nature of his practice. The chair did not return the call. On arriving at the hearing, two days later, the plaintiffs learned the attorney panel member’s identity and that he did physician defense work in medical malpractice eases. The hearing resulted in the three-member panel’s unanimous decision that the defendants did not deviate from the applicable standard of care and that none of the acts or omissions complained of proximately caused the alleged injury.

[¶ 5] Within several days the plaintiffs learned that the attorney panel member recently had solicited legal business from the defendants’ insurers. The plaintiffs asked the panel chair to set aside the panel findings given this information, and proposed that the parties waive a second panel hearing and proceed to trial. The. chair responded that she did not have authority to vacate panel findings based on an alleged appearance of conflict by a panel member, and reiterated that she screened panelists only “for actual conflicts.” The plaintiffs subsequently filed in the Superior Court both a complaint alleging medical negligence and a motion in limine to exclude the panel findings from evidence on grounds that the constitution of the panel was in violation of 24 M.R.S.A. § 2852 and Superior Court Rule 10(d)(iii). After a hearing, the court denied the motion, concluding that the panel was constituted appropriately pursuant to the statutory requirements, and that the plaintiffs had waived their opportunity to challenge the attorney panel member by participating in the hearing without raising any objection prior to its commencement.

[¶ 6] The plaintiffs filed a motion pursuant to M.R.Civ.P. 72(e) requesting that the court report to this Court the “question of law whether the appearance of bias of a [p]anel [mjember and the fact that [they] did not know nor had any reason to know of the circumstances giving rise to said appearance of bias of said [p]anel [mjember renders inadmissible the [p]anel findings.” After a hearing the court granted the report and invited us to clarify the meaning of the statutory provision that directs panel chairs to “inquire as to any bias on the part of a panel member or as requested by any party,” thereby raising issues that necessarily would involve analysis of the waiver claim.

II.

[¶7] “A report pursuant to Rule 72(e) is an exception to the final judgment rule and should be used sparingly.” Luhr v. *1041 Bickford, 661 A.2d 1141, 1142 (Me.1995) (citation omitted). Although the trial court makes a preliminary determination of the propriety of its report, we retain “the power to make our own independent determination whether in all circumstances of a given case our decision on a report would be consistent with our basic function as an appellate court and we would not be cast in the role of an advisory board.” Sirois v. Winslow, 585 A.2d 183, 184-85 (Me.1991). In making that determination, we assess whether the question of law reported is “of sufficient importance and doubt to outweigh the policy against piecemeal litigation.” Swanson v. Roman Catholic Bishop, 692 A.2d 441, 443 (Me.1997); see Toussaint v. Perreault, 388 A.2d 918, 920 (Me.1978) (discharging report where all issues could have been presented in one appeal taken after conclusion of the litigation, thereby avoiding “the ‘piecemeal’ approach which we deplore[]”). We also consider whether “a question raised on report might not have reached the Law Court in the normal course of the appellate process”— that is, whether the issue might not have to be decided at all because of other possible dispositions. Sirois, 585 A.2d at 185. Although Rule 72(c) does not require us to do so, we may take into account whether “our decision will in at least one alternative dispose of the action-” Swanson, 692 A.2d at 443. Finally, in the interests of judicial economy and the preservation of our appellate function, we must consider whether our involvement in a case prior to the entry of a final judgment will encourage piecemeal litigation in cases involving similar circumstances.

[¶ 8] We conclude that the report was improvidently granted for several reasons.

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Bluebook (online)
1997 ME 179, 698 A.2d 1038, 1997 Me. LEXIS 180, Counsel Stack Legal Research, https://law.counselstack.com/opinion/morris-v-sloan-me-1997.