Sisler v. Whitten

1964 OK 71, 393 P.2d 497, 1964 Okla. LEXIS 351
CourtSupreme Court of Oklahoma
DecidedMarch 24, 1964
Docket40489
StatusPublished
Cited by14 cases

This text of 1964 OK 71 (Sisler v. Whitten) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sisler v. Whitten, 1964 OK 71, 393 P.2d 497, 1964 Okla. LEXIS 351 (Okla. 1964).

Opinion

BERRY, Justice.

This action originally was brought by Darrell L. Whitten, hereafter referred to as plaintiff, against Dr. Wade Sisler, individually and dba Mercy Hospital and Surgical Institute, a sole proprietorship, herein referred to as defendant, and Dr. T. S. Williams to recover damages resulting from malpractice alleged to have occurred on and after September 2, 1940, about 20 years prior to the commencement of the action, when plaintiff was then 2 years of age.

The action pertaining to Dr. Williams, the physician named as party defendant, was dismissed by the trial court and is not concerned in this appeal. The jury rendered a verdict in favor of plaintiff against defendant. From the trial court’s denial of the motion for new trial, defendant has appealed.

Defendant urges error of the trial court under two propositions: (1) the judgment should be reversed and the case remanded because of plaintiff’s improper and prejudicial argument to the jury; and (2) the trial court erred in failing to sustain defendant’s demurrer to plaintiff’s evidence, and for not sustaining defendant’s motion for a directed verdict at the close of'all the evidence.

*499 The occurrences which transpired and provided a basis for the contention that plaintiff’s argument was improper and prejudicial are related hereafter. The record reflects that defendant’s counsel, on voir dire examination of the jury, inquired whether any juror knew a certain Dr. W. of Oklahoma City. Thereafter during voir dire plaintiff’s counsel stated that Dr. W. would not testify but that there would be evidence during the trial to show why he would not be present. It. was brought out on cross examination that plaintiff had been examined by Dr. W., but evidence was not introduced explaining the doctor’s absence at the trial.

During closing argument defendant’s counsel told the jury that when a witness was available but not used by plaintiff in the trial, the only logical conclusion therefrom was that such witness disagreed with plaintiff’s lawsuit.

In closing plaintiff’s counsel advised the jury that plaintiff did not call Dr. W. as a witness because defendant and defendant’s counsel had talked with the doctor and prevailed upon him not to testify against defendant. Plaintiff’s counsel then stated: “But I want to say that Dr. W. agreed this was the grossest case of malpractice that he had ever seen in his life.” The jury was strongly admonished to disregard counsel’s remarks and also the trial court admonished plaintiff’s counsel. Defendant’s motion for mistrial was overruled.

Much of plaintiff’s brief is predicated upon occurrences outside the record. Plaintiff concedes that what Dr. W. “agreed” concerning this malpractice case, standing alone, was an improper remark. But it is urged that under the facts and circumstances defendant “provoked and invited the remark” and thus is estopped to assert error thereon, or to claim that prejudice resulted therefrom.

Plaintiff’s position is that his conduct is to be excused under the doctrine of invited error. In support of this theory plaintiff charges that defendant went to Dr. W. after plaintiff had' been examined and defendant’s attorney had received notice that the. doctor’s deposition would be taken, and prevailed upon Dr. W. not to give his deposition because defendant had no insurance.

Plaintiff’s counsel went to Dr. W’s residence at the appointed time but could find neither the doctor nor the defense lawyers. In the notice to take depositions the doctor’s name had been omitted and only the address of his residence appeared thereon. Plaintiff did nothing further to have Dr. W. present at the trial or to secure his deposition, and states on appeal that because of such tampering with the witness it became necessary to secure medical testimony elsewhere.

Plaintiff further urges that the first reference to Dr. W. was by defendant’s attorney on voir dire examination when counsel stated that plaintiff had been examined by this doctor. Plaintiff insists such question on voir dire came as a surprise and he then suspected defendant was attempting to take an “unfair advantage” of the fact of the doctor’s absence and the failure to obtain his deposition. And because this question was asked, plaintiff was prompted under the circumstances to make reference to Dr. W. in his voir dire examination, the purpose being only to “eliminate possible fears of his (Dr. W’s) appearing as a surprise witness” from defendant’s mind.

During cross-examination defendant asked whether plaintiff had been to see other doctors in addition to Dr. W. Plaintiff takes the position that this was calculated to create the false impression that he had been sent all over the country but was unable to find a doctor who would participate in what defendant referred to as a lawyer’s suit.

Plaintiff points out that it was intended to leave Dr. W. out of the issues since he had not anticipated the lengths to which defendant would resort in offering a damaging, highly prejudicial and bad-faith argument centered around the absence of Dr. W. as a witness. Plaintiff’s reasoning in this regard arose from the fact that defendant *500 knew that Dr. W. would not be present and that defendant, himself, was responsible in that regard; that Dr. W. was not available under compulsory process; and that plaintiff had done all he could to obtain testimony from Dr. W.

Plaintiff then refers to defendant’s closing argument which, in substance, was that the lawsuit was not plaintiff’s but the lawyer’s for the plaintiff, and that the case had been filed before a doctor examined plaintiff and before plaintiff or counsel knew what the facts were; and although plaintiff had told the jury he would explain Dr. W’s absence, this had not been done, and the “only logical explanation” of this doctor’s absence was because he disagreed with plaintiff’s lawsuit, and the jury was entitled to take this conclusion into consideration.

From Dr. W’s affidavit, tendered by plaintiff in response to defendant’s motion for new trial and included in the record, it appears the doctor had (1) examined plaintiff two or three years prior to trial and ascertained existence of Volkman’s Contrac-ture ; (2) in 1962 the doctor agreed to give a deposition expressing the opinion plaintiff’s condition resulted from negligence of the attending physician in failing to recognize and relieve impaired circulation within the first few hours following injury; (3) shortly prior to the date for the taking of the deposition, defendant called upon the doctor at his residence and discussed the case, and the doctor then changed his mind about testifying for plaintiff. Dr. W. thereafter called plaintiff’s lawyer and advised he would not give his deposition and later returned the material furnished by plaintiff’s attorney with a notation that Dr. Sisler had no insurance; (4) Dr. W. did not make himself available for the deposition and had no further contact with plaintiff or his counsel until after trial; (S) when called a few days before the case was set for trial defendant’s counsel and the defendant were informed by Dr. W.

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Bluebook (online)
1964 OK 71, 393 P.2d 497, 1964 Okla. LEXIS 351, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sisler-v-whitten-okla-1964.