Stanford v. Morgan

588 S.W.2d 89, 1979 Mo. App. LEXIS 2518
CourtMissouri Court of Appeals
DecidedSeptember 4, 1979
DocketNo. KCD 30077
StatusPublished
Cited by9 cases

This text of 588 S.W.2d 89 (Stanford v. Morgan) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Stanford v. Morgan, 588 S.W.2d 89, 1979 Mo. App. LEXIS 2518 (Mo. Ct. App. 1979).

Opinion

ANDREW JACKSON HIGGINS, Special Judge.

Appeal by plaintiff from judgment on verdict for defendant in medical malpractice action premised on failure of informed consent. The questions are: whether the court should have defined “negligent”; whether plaintiff was entitled to show defendant’s malpractice insurance coverage; whether plaintiff was entitled to testimony of an undisclosed psychologist; whether a defense expert witness should have been barred under the witness exclusion rule; whether the trial court abused its discretion in conduct of chambers proceedings with respect to recesses and hours of court; whether the verdict was against the weight of the evidence; whether the court abused its discretion in connection with defendant’s use of an article on informed consent in cross-examination of a witness, and comment on plaintiff’s failure to call her psychologist as a witness. Affirmed.

Plaintiff’s action was cast in three counts: (1) Medical Malpractice, (2) Wrong Diagnosis, and (3) Failure of Informed Consent. Upon conclusion of her evidence, she dismissed Counts 1 and 2. Upon conclusion of all evidence she submitted her case by Instruction No. 3 in form MAI 21.01, which directed a verdict for her if the jury believed that defendant “failed to disclose all material risks of the operation”, and “was thereby negligent”, and “as a direct result * * * sustained damage”. This was conversed by Instruction No. 4 in form MAI 33.02(2), which directed a verdict for defendant if the jury did not believe “that defendant was negligent”. The court also gave Instruction No. 5 in form MAI 11.06, which defined “negligence” as “the failure to use that degree of skill and learning ordinarily used under the same or similar circumstances by the members of defendant’s profession”.

Sandy Foote, at about age 7, sustained surgical removal of her spleen with resultant oblique scar and stitch marks from between her breasts down to the left of her navel.

[91]*91On March 4, 1974, at age 25, she consulted Richard Morgan, M.D., about removal of her stitch marks. She also had hereditary “dimpling” on both thighs caused by excess fatty deposits which was also discussed. Miss Foote inquired about corrective exercise. Dr. Morgan indicated the ineffectiveness of exercises, and described an operation known as “thigh lift”, available as elective surgery in the treatment of fatty thigh problems.

Miss Foote and Dr. Morgan discussed these matters on a second office appointment March 16, 1974, and it was agreed that Dr. Morgan would operate both conditions March 21, 1974.

The surgery was performed as scheduled, and Miss Foote was released from the hospital March 28, 1974.

Miss Foote felt she had a bad result with red, painful, itchy scars, wider than before in repair of the stitchwork, and limitations on her work and quality of life. Her evidence on result was to that effect; the doctor’s evidence was that the result was within acceptable standards.

The issue of warnings for purposes of informed consent was equally contested. Miss Foote maintained she had not been warned of the risks of pain, scarring and limitations; Dr. Morgan insisted he gave warnings sufficient to enable his patient to make an informed consent to the surgery performed. Both sides introduced expert testimony on standards of informed consent.

Appellant charges the court erred (1)“in giving Instruction Nos. 3, 4 and 5 without defining both of the terms ‘negligent’ and ‘negligence’. New instruction (MAI 11.06) requires both definitions now, but MAI 21.01 does not”. She argues that the instructions were thus confusing “and accordingly became prejudicial”.

This case was tried in November, 1977 and Instructions 3, 4 and 5 were in the form mandated for use, prior to January 1, 1978. The revision of 11.06 which required reference to and definitions of both “negligent” and “negligence” was ordered by the Supreme Court May 23, 1977, effective January 1, 1978. Nothing in the order required use of revised MAI 11.06 prior to January 1, 1978; nor was there anything in the order prohibiting use of revised MAI 11.06 prior to the effective date. To the contrary, their use prior to that date was not presumptive error. MAI, 1978 Pocket Part, XVI. Plaintiff could have asked for the definition available through revised MAI 11.06 in which case both “negligent” and “negligence” would have been given the single and same definition as that in Instruction No. 5.

Appellant charges the court erred (2) in refusal of plaintiff’s request and offer of proof to the jury, through questions to defendant of defendant’s malpractice insurance coverage. She argues that “the real defendant is the insurance company who was paid for taking the defendant’s risks and then hides behind the fictitious shield to lines of inquiry not enjoyed by other parties”; and that by precluding such testimony a jury is allowed to speculate whether a damage award might bankrupt defendant. Plaintiff was thus unconstitutionally denied a fair trial of all issues and evidence.

Appellant’s desire to examine defendant does not appear relevant to any issue in this case, and rejection of the offer of proof was proper. “Only in rare cases and where relevancy is clearly shown should the fact of the existence of insurance coverage be admissible”. Stafford v. Far-Go Van Lines, Inc., 485 S.W.2d 481, 493 (Mo.App.1972). See also Means v. Sears, Roebuck & Co., 550 S.W.2d 780, 787 (banc 1977).

Appellant charges the court erred (3) “in refusing to permit plaintiff an opportunity to produce her psychologist or testify fully in regard thereto; by holding psychologist to be a member of the healing arts where it was not true; by refusing plaintiff’s requests to amend interrogatories, to continue the case, to delay for one-half day, and abused plaintiff further by misapplying Civil rule 56.01(e) (on duty to supplement answers to interrogatories) and by refusing dismissal of the petition with[92]*92out prejudice and finally permitting only limited inquiry of plaintiff as to her visits with psychologist; such rulings * * * evidencing an abuse of discretion which was erroneous since it denied jury of all pertinent evidence and was prejudicial to plaintiff’s right to fair and impartial trial.”

The record shows that plaintiff never requested permission to call the psychologist as a witness, counsel stated he did not intend to call the psychologist, and the motion for new trial contains no allegation that the court erred in preventing her from calling her psychologist. The record also shows that plaintiff was permitted to testify about her psychologist to the extent requested by counsel. Plaintiff’s first reference to consultation with a psychologist occurred during her re-direct examination on the second day of trial. Prior to such incident, she had failed to furnish his name in response to an interrogatory requesting names of all doctors who had treated her for injuries claimed, when responding to an interrogatory requesting information on any illness, sickness or disease before and after her operations by Dr.

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Bluebook (online)
588 S.W.2d 89, 1979 Mo. App. LEXIS 2518, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stanford-v-morgan-moctapp-1979.