Mutual Fire, Marine & Inland Insurance v. Vollmer

508 A.2d 130, 306 Md. 243, 1986 Md. LEXIS 230
CourtCourt of Appeals of Maryland
DecidedMay 8, 1986
DocketMisc. No. 28, September Term, 1985
StatusPublished
Cited by46 cases

This text of 508 A.2d 130 (Mutual Fire, Marine & Inland Insurance v. Vollmer) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mutual Fire, Marine & Inland Insurance v. Vollmer, 508 A.2d 130, 306 Md. 243, 1986 Md. LEXIS 230 (Md. 1986).

Opinion

RODOWSKY, Judge.

The Mutual Fire, Marine & Inland Insurance Company (FM & I) is suing its insured, Frederick J. Vollmer, M.D. (Vollmer), in the United States District Court for the District of Maryland seeking reimbursement of monies paid by FM & I in settlement and defense of a medical malpractice claim brought against Vollmer. FM & I maintains that its policy does not cover the underlying claim which it defended under a reservation of rights. The federal court has certified the following questions to us:

1. Whether allegations of omissions after the date of last consultation are sufficient to allege malpractice for purposes of insurance coverage.
*245 2. Whether, assuming a judicial determination that there was no insurance coverage, an insurer which has defended its insured under a valid reservation of rights, and settled with the consent of the insured, is entitled to indemnification for the costs of settlement and the defense costs. (Underlining in original. 1 )

We answer the first question “Yes,” as to the particular policy involved here. Consequently, we do not reach the second question.

FM & I issued a medical malpractice liability policy to Vollmer for the policy period August 1, 1977, to August 1, 1978. The coverage is written on a claims made basis, limited by a “retroactive date” of August 1, 1975. That date is critical to the insurer’s position which we shall explain after setting forth the facts.

The underlying malpractice suit was filed on March 6, 1978, in the Eighth Judicial Circuit of Maryland. The patient, Patricia A. Keidel, died on May 19, 1978, from metastasized lung cancer leaving her husband and two children surviving. Their amended declaration, asserting an estate and wrongful death actions, claimed against Vollmer, certain radiologists, and a hospital. The theory of Vollmer’s liability was that, as the result of an x-ray report which he received following a consultation between himself and Mrs. Keidel on July 26, 1975, Vollmer should have ordered follow-up studies which would have revealed the patient’s lung cancer at a time when it would have been operable.

Specifically, the declaration alleges in relevant part that Vollmer

sent [Mrs. Keidel] directly from his office to the Defendant Hospital with a slip of paper requesting a chest x-ray____
*246 On the aforesaid date, July 26, 1975, a chest x-ray was taken by the Defendant radiologists ... which revealed a 5-centimeter lesion in the right lower lobe of [Mrs. Keidel’s] lung. This condition compelled a diagnosis of possible malignancy in this small segment of the right lower lobe. At the time the x-ray was taken, the small lesion in [Mrs. Keidel’s] right lower lobe was confined to a 5-cen-timeter area and was operable. At the time the x-ray was taken on July 26, 1975, there had been no spread of this malignancy. The condition revealed on the chest x-ray was fully diagnosable as a probable adenoid cystic carcioma (also known as cylindroma). Standards of care which prevailed in the diagnosis and treatment of such a condition demanded additional radiological studies and prompt removal of the lesion after follow-up studies____
. Contrary to the usual standards of medical, radiological and hospital care exercised by the medical and hospital community in the United States, [Mrs. Keidel] was not advised of this condition. Instead, [Mrs. Keidel] was negligently advised that she was suffering from pneumonitis, a transitory inflammation of the lung. [Mrs. Keidel] was advised by the Defendant Vollmer to rest and no medication was prescribed.
At no time did these Defendants or any of their agents advise [Mrs. Keidel] that she was suffering from a small area of malignancy of the right lower lobe of her lung. At no time did these Defendants or their agents recommend to [Mrs. Keidel] that she receive follow-up studies regarding the suspected lesion of her right lung. Instead, [Mrs. Keidel] was negligently caused to believe that if her symptoms disappeared, then her condition was normal and required no further studies.
It is recited that from July 26, 1975 until December of 1976, [Mrs. Keidel] was negligently permitted by these Defendants to pursue a normal active life without any medical, radiological or hospital supervision to monitor the condition of the right lower lobe of her lung and to *247 prevent what started as a local malignancy from spreading and involving vital organs.

The statement of facts which accompanies the federal court’s certification advises that on July 28, 1975, the radioligists’ report was read to Vollmer over the telephone. Thereafter, but before August 1, 1975, Vollmer, relying on the oral report, told Mrs. Keidel that she had pneumonitis, the “walking pneumonia.” He told her there was no helpful medication, to rest, and to contact him if her symptoms did not resolve themselves. The written x-ray report, identical in its terms to that read to him, arrived at Vollmer’s offices on Tuesday, July 29, 1975.

Mrs. Keidel never sought Vollmer’s advice concerning her lung, and Vollmer never prescribed further tests or medication or in any way communicated with her regarding her lung, until December of 1976, by which time the cancer was allegedly inoperable. Expert testimony in the malpractice case indicated that, in addition to the alleged initial misdiagnosis, Vollmer should have ordered Mrs. Keidel to return for a follow-up examination which should have been conducted, in the language of the federal court’s certification order, “at some unspecified time beyond the July 26, 1975 visit.”

The medical malpractice case was settled with Vollmer’s consent.

FM & I’s policy, both on the declarations page and in an introduction to the body of the policy, contains the following legend:

Claims Made Policy: Except to such extent as may be provided otherwise herein, this policy is limited to liability for only those CLAIMS THAT ARE FIRST MADE AGAINST THE INSURED WHILE THE POLICY IS IN FORCE. Please review the policy carefully. [Capitals in original.]

The declarations state that the limit of liability is $1,000,000 for each claim and for all claims during the policy period in the aggregate. The policy period is August 1, 1977, to *248 August 1, 1978, and the “retroactive date” is August 1, 1975. As to the latter, the declarations advise: “(For effect, see Claims Made Clause in THE COVERAGE section of this policy).”

Under the policy’s section headed, “THE COVERAGE,” the insurer agrees

[t]o pay on behalf of the Insured all sums that the Insured shall become legally obligated to pay as damages arising out of: ... personal injury caused by error, omission or negligence in professional services rendered or which should have been rendered by the Insured ... arising out of the Insured’s profession as a medical practitioner ... (hereinafter referred to as malpractice).

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Bluebook (online)
508 A.2d 130, 306 Md. 243, 1986 Md. LEXIS 230, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mutual-fire-marine-inland-insurance-v-vollmer-md-1986.