IN THE MISSOURI COURT OF APPEALS WESTERN DISTRICT STATE OF MISSOURI ex rel. ) JOHN L. PUTNAM, M.D., ) Appellant, ) ) v. ) WD84394 ) STATE BOARD OF ) FILED: December 7, 2021 REGISTRATION FOR THE ) HEALING ARTS AND THE ) ADMINISTRATIVE HEARING ) COMMISSION, ) Respondents. ) Appeal from the Circuit Court of Cole County The Honorable Jon E. Beetem, Judge Before Special Division: Mark D. Pfeiffer, P.J., and Alok Ahuja and Thomas N. Chapman, JJ. The State Board of Registration for the Healing Arts has filed a complaint
with the Administrative Hearing Commission (the “Commission” or “AHC”), seeking to discipline the medical license of Dr. John L. Putnam. Dr. Putnam filed a petition
for a writ of prohibition in the Circuit Court of Cole County, alleging that in the
administrative proceeding the Board was seeking discovery of medical records
protected by the physician-patient privilege, and of information which constituted
attorney work product. The circuit court refused to issue a permanent writ of
prohibition. Dr. Putnam appeals. We affirm in part and reverse in part.
Factual Background On January 8, 2019, the Board filed a complaint with the AHC, seeking to discipline Dr. Putnam’s medical license. The Board’s complaint alleged that Dr. Putnam provided care and treatment to five patients which might be dangerous or
harmful; improperly prescribed controlled substances to those patients; and failed
to maintain complete records of the treatment he provided. In discovery before the
Commission, the Board sought production of the medical records associated with
Dr. Putnam’s treatment of the five patients. The Board also propounded
interrogatories which asked Dr. Putnam to disclose whether he had obtained any
oral or written statements from the relevant patients, including “the substance” of
any such statements; to identify all persons with knowledge of facts relevant to the
proceeding, including “the subject and substance of each such person’s knowledge”;
and to identify all fact witnesses whom Dr. Putnam intended to call at trial. Dr.
Putnam objected to producing the requested medical records under the physician-
patient privilege. He also objected to the relevant interrogatories on the basis of the
attorney-client privilege and the protection for attorney work product.
The Board filed a motion to compel Dr. Putnam to provide the documents and
information it had requested. The Commission granted the Board’s motion to
compel. Dr. Putnam then filed a petition for a writ of prohibition in the circuit
court, seeking to prevent the AHC from compelling him “to disclose information
regarding his patients, privileged communications with his attorneys, or the work- product of his attorneys.” The circuit court issued a preliminary writ of prohibition.
After receiving full briefing and oral argument from the parties, however, the court
ultimately denied Dr. Putnam’s request for a permanent writ, and quashed the
preliminary writ it had previously issued.
Dr. Putnam appeals.1
1 “[A]n appeal will lie ‘from the denial of a writ petition when a lower court has issued a preliminary order . . . but then denies a permanent writ.’” Bartlett v. Mo. Dep’t of Ins., 528 S.W.3d 911, 913 (Mo. 2017) (quoting U.S. Dep't of Veterans Affairs v. Boresi, 396 S.W.3d 356, 358 (Mo. 2013)).
2 Standard of Review Writs of prohibition are limited to the “fairly rare” situations where (1) the court or tribunal exceeded its personal or subject matter jurisdiction, (2) the court or tribunal lacked the power to act as it did, or (3) “absolute irreparable harm may come to a litigant if some spirit of justifiable relief is not made available[,]” or there is an issue of law that will likely escape review on appeal and cause considerable hardship or expense to the aggrieved party. State ex rel. Rosenberg v. Jarrett, 233 S.W.3d 757, 760 (Mo. App. W.D. 2007)
(quoting State ex rel. Riverside Jt. Venture v. Mo. Gaming Comm'n, 969 S.W.2d
218, 221 (Mo. 1998)). “When a party has been directed to produce privileged
information, a writ of prohibition is an appropriate remedy because an appeal
cannot remedy the improper disclosure.” State ex rel. Malashock v. Jamison, 502
S.W.3d 618, 619 (Mo. 2016); accord State ex rel. Becker v. Wood, 611 S.W.3d 510,
513 (Mo. 2020).
A writ of prohibition is discretionary. Rosenberg, 233 S.W.3d at 760.
Accordingly, we review the circuit court’s denial of writ relief for an abuse of
discretion, to the extent that Dr. Putnam preserved his appellate arguments in the
circuit court and before the Commission. Id. A circuit court abuses its discretion
when its “ruling is clearly against the logic of the circumstances then before the
court and is so unreasonable and arbitrary that it shocks the sense of justice and indicates a lack of careful, deliberate consideration.” Hancock v. Shook, 100 S.W.3d
786, 795 (Mo. 2003). “If reasonable persons can differ as to the propriety of the trial
court's action, then it cannot be said that the trial court abused its discretion.” Id.
(citation omitted). “[T]he trial court necessarily abuses its discretion where its
ruling is based on an erroneous interpretation of the law.” Bohrn v. Klick, 276
S.W.3d 863, 865 (Mo. App. W.D. 2009).
Dr. Putnam concedes that his first and second Points on appeal were not
preserved before the AHC or the circuit court, and are therefore subject to review solely for plain error. Plain error review is “rarely . . . granted in civil cases.”
3 Mayes v. Saint Luke’s Hosp., 430 S.W.3d 260, 269 (Mo. 2014) (citation omitted). We
will find plain error “only if there are substantial grounds for believing that the
[circuit] court committed error that is evident, obvious, and clear and where the
error resulted in manifest injustice or miscarriage of justice.” Id. (citation and
internal quotation marks omitted); Rule 84.13(c).
Discussion Dr. Putnam raises five Points on appeal. First, he argues the circuit court
plainly erred in quashing the preliminary writ because § 334.097.62 requires the
Board to secure written authorization from a patient or issue a subpoena to obtain
the patient’s medical records – neither of which occurred here. Second, he argues
that the patient medical records the Board sought were not discoverable under
Supreme Court Rule 56.01(b)(1). Third, Dr. Putnam argues that compelling him to
produce patient medical records to the Board would require him to violate the
fiduciary duty of confidentiality which he owes to his patients, and would
potentially subject him to civil liability. In Points IV and V, Dr. Putnam argues
that he was justified in refusing to respond to certain interrogatories, because the
Board sought information protected by the attorney work product doctrine.
We reject Dr. Putnam’s first three Points, which claim that the Board lacks
authority to obtain patient medical records from him through discovery. We
conclude, however, that the Board’s interrogatories improperly asked Dr. Putnam to
disclose the work product of his attorneys, when the interrogatories requested that
he disclose the “substance” of statements his legal representatives obtained during
their investigation and defense of the disciplinary proceeding. We accordingly
affirm the circuit court’s denial of a writ of prohibition in part, but reverse its
2 Unless otherwise noted, statutory citations refer to the 2016 edition of the Revised Statutes of Missouri, updated by the 2020 Cumulative Supplement.
4 refusal to issue a writ precluding the Commission from compelling Dr. Putnam to
disclose attorney work product.
I. Dr. Putnam’s first Point argues that the circuit court plainly erred in
quashing the preliminary writ because § 334.097.6 provides that “[t]he board shall
not obtain a patient medical record without written authorization from the patient
to obtain the medical record or the issuance of a subpoena for the patient medical
record.”
Notwithstanding § 334.097.6, the circuit court found that the requested
patient records were discoverable under § 334.100.7. Section 334.100.7 states:
In any investigation, hearing or other proceeding to determine a licensee's or applicant's fitness to practice, any record relating to any patient of the licensee or applicant shall be discoverable by the board and admissible into evidence, regardless of any statutory or common law privilege which such licensee, applicant, record custodian or patient might otherwise invoke. In addition, no such licensee, applicant, or record custodian may withhold records or testimony bearing upon a licensee's or applicant's fitness to practice on the ground of privilege between such licensee, applicant or record custodian and a patient. Dr. Putnam argues that § 334.100.7 must be read in concert with § 334.097.6,
and that, when the two statutes are considered together, the Board must secure a patient’s written authorization or a subpoena to obtain medical records, even when
the Board seeks the records in the context of the disciplinary proceedings
contemplated by 334.100.7. We disagree.
Section 334.097.6 does not govern the Board’s access to patient medical
records in the course of disciplinary proceedings. Section 334.097 addresses
physician recordkeeping generally. Thus, §§ 334.097.1 and .2 require that
physicians “maintain . . . adequate and complete patient record[s],” and specify the specific information which must be retained, and for how long. Section 334.097.6
5 then provides that, in general, the Board “shall not obtain a patient medical record
without written authorization from the patient . . . or the issuance of a subpoena.”
Unlike § 334.097 (which deals with a physician’s general recordkeeping
obligations), § 334.100 specifically governs proceedings seeking to deny, revoke, or
suspend a physician’s license. Sections 334.100.1 to .6 detail the Board’s authority
to discipline a physician’s license, the various circumstances which constitute cause
for discipline, and the procedures under which administrative disciplinary
proceedings will be conducted. Although the physician-patient privilege may
generally shield a patient’s medical records from disclosure in litigation,3
§ 334.100.7 provides that, “[i]n any investigation, hearing or other proceeding to
determine a licensee's or applicant's fitness to practice,” patient medical records
“shall be discoverable by the board . . . , regardless of any statutory or common law
privilege which such licensee . . . or patient might otherwise invoke.” The statute
also provides that a licensee may not withhold such records from the Board “on the
ground of privilege between such licensee . . . and a patient.”
There may be a conflict between § 334.097.6’s general requirement that the
Board have patient consent or a subpoena before obtaining patient medical records,
and § 334.100.7’s statement that such records “shall be discoverable” in disciplinary proceedings notwithstanding any claim of privilege. But well-established rules of
statutory construction require that we give precedence to § 334.100.7 in this
context. “[T]he doctrine of in pari materia recognizes that statutes relating to the
same subject matter should be read together, but where one statute deals with the
subject in general terms and the other deals in a specific way, to the extent they
conflict, the specific statute prevails over the general statute.” State ex rel. Hillman
v. Beger, 566 S.W.3d 600, 606 (Mo. 2019) (quoting State ex rel. Taylor v. Russell,
3 See § 491.060(5); Brandt v. Pelican, 856 S.W.2d 658, 661 (Mo. 1993).
6 449 S.W.3d 380, 382 (Mo. 2014)). Section 334.100.7 is the more specific statute in
this context: it specifically addresses the discoverability of patient medical records
in physician disciplinary proceedings, as compared to the general recordkeeping
practices addressed in § 334.097.
Under § 334.100.7, patient medical records “shall be discoverable” by the
Board in physician disciplinary proceedings (like the ongoing proceeding involving
Dr. Putnam’s license), notwithstanding the privilege which otherwise attaches to
such records. Dr. Putnam’s claim that the Board was required to secure patient
consent, or a subpoena, to obtain the requested records is meritless.
Dr. Putnam contends that reading § 334.100.7 to permit discovery of patient
medical records is inconsistent with the protections provided to such records under
the federal Health Insurance Portability and Accountability Act of 1996, Pub. L.
104–191, 110 Stat. 1936 (codified as amended in scattered sections of 42 U.S.C.)
(“HIPAA”). We disagree. HIPAA and its implementing regulations “prohibit[ ]
health care providers from disclosing ‘protected health information,’ . . . unless
medical providers comply with a narrow list of . . . specifically enumerated
exception[s].” State ex rel. Proctor v. Messina, 320 S.W.3d 145, 150 (Mo. 2010). One
such exception permits “[a] covered entity [to] disclose protected health information to a health oversight agency for oversight activities authorized by law, including . . .
licensure or disciplinary actions . . . ; or other activities necessary for appropriate
oversight of . . . [t]he health care system[.]” 45 C.F.R. § 164.512(d)(1)(i). The Board
of Registration for the Healing Arts qualifies as a “health oversight agency” under
the HIPAA regulations. See 45 C.F.R. § 164.501.
The HIPAA regulations also provide that “[a] covered entity may disclose
protected health information in the course of any judicial or administrative
proceeding . . . [i]n response to an order of a court or administrative tribunal; or . . . [i]n response to a subpoena, discovery request, or other lawful process,” so long as
7 the disclosed information is covered by a “qualified protective order.” 45 C.F.R.
§ 164.512(e)(1)(i)-(ii). The “covered entity may . . . disclose protected health
information [under these exceptions] without the written authorization of the
individual . . . or the opportunity for the individual to agree or object . . . .” 45
C.F.R. § 164.512. The Board propounded discovery requests to Dr. Putnam seeking
the patient records, the AHC issued an order compelling their production, and the
circuit court found that the Commission had put a qualified protective order in
place.4 Despite Dr. Putnam’s contrary arguments, disclosure of the patient medical
records sought by the Board was fully consistent with HIPAA.
We note that in its Brief, the Board contended that the HIPAA regulations
mandated Dr. Putnam’s disclosure of the patient records it sought. But those
regulations merely permitted disclosure – they did not require it. With respect to
the privacy of patient medical records, HIPAA represents a floor, not a ceiling. The
statute only preempts “any contrary provision of State law,” 42 U.S.C. § 1320d-
7(a)(1), and the implementing regulations make clear that preemption does not
apply where a “provision of State law relates to the privacy of individually
identifiable health information and is more stringent than a [HIPAA] standard,
requirement, or implementation specification.” 45 C.F.R. § 160.203(b); see Proctor, 320 S.W.3d at 148-49. Therefore, the fact that HIPAA does not prohibit the
4 In the argument under his third Point, Dr. Putnam contends that the AHC failed to put in place the “qualified protective order” required by the HIPAA regulations. This argument was not included in Dr. Putnam’s Point Relied On, and we would be justified in refusing to consider it for that reason alone. See, e.g., State v. Gibbons, 629 S.W.3d 60, 87 n.14 (Mo. App. W.D. 2021). In addition, Dr. Putnam has not included the protective order entered by the AHC in the record on appeal – thereby making it impossible for this Court to assess the adequacy of the protective order’s terms. This gap in the record separately requires us to reject Dr. Putnam’s argument concerning the adequacy of the AHC’s protective order. See, e.g., Deere v. Deere, 627 S.W.3d 604, 609 (Mo. App. W.D. 2021); D.D.W. v. M.F.A., 594 S.W.3d 274, 276 n.4 (Mo. App. S.D. 2020).
8 disclosure the Board sought is not decisive; we must nonetheless determine whether
any provision of Missouri law prevented discovery.
Point I is denied.
II. The Supreme Court’s Rules of Civil Procedure governing discovery are
generally applicable in contested proceedings before the AHC. See 1 C.S.R. 15-
3.420(1). In his second Point, Dr. Putnam argues that the circuit court plainly erred
in failing to follow Supreme Court Rule 56.01(b)(1), which specifies that “[p]arties
may obtain discovery regarding any matter, not privileged, that is relevant to the
subject matter involved in the pending action . . . .” (Emphasis added.)
As discussed in § I above, the patient records at issue here are specifically
made discoverable by § 334.100.7, and the statute specifies that the physician-
patient privilege may not be invoked by a licensee to prevent the discovery of such
records. In these circumstances, Rule 56.01(b)(1) does not shield the records at
issue from discovery. Point II is denied.
III. In Point III, Dr. Putnam argues that disclosure of the patient records would
violate his fiduciary obligation to protect the confidentiality of his patients’ medical information, and thereby expose him to potential civil liability.
In Brandt v. Medical Defense Associates, 856 S.W.2d 667 (Mo. 1993), the
Missouri Supreme Court held that “a physician has a fiduciary duty of
confidentiality not to disclose any medical information received in connection with
his treatment of the patient.” Id. at 670. This fiduciary duty is distinct from the
evidentiary physician-patient privilege created by § 491.050(5). See id. at 669-70.
Brandt held that, “[i]f such [patient health-care] information is disclosed under
circumstances where this duty of confidentiality has not been waived, the patient has a cause of action for damages in tort against the physician.” Id. at 670.
9 Brandt recognized that the fiduciary duty of confidentiality is “not absolute,”
and “must give way if there is a stronger countervailing societal interest.” Id. at
671. Thus, in Brandt itself, the Court held that the physician’s fiduciary duty of
confidentiality was inapplicable where the patient affirmatively put his medical
condition at issue in litigation. Id. at 672-73. Moreover, Brandt recognized that the
General Assembly had created exceptions to the fiduciary duty of confidentiality, by
enacting a variety of statutes requiring or authorizing a physician to disclose
patient information in certain circumstances, and specifying that the physician
would face no liability for making the authorized disclosures. Id. at 670 (citing
statutes authorizing physicians to report patients treated for gunshot wounds;
intoxicated patients treated for injuries arising out of automobile accidents; children
who may have been exposed to controlled substances; and information requested by
the Department of Health for epidemiological studies). By recognizing these
statutory exceptions, Brandt itself recognized that the legislature could limit a
physician’s fiduciary duty of confidentiality where appropriate.
Here, the General Assembly has declared in § 334.100.7 that, where a
physician is accused of committing acts which would justify disciplining the
physician’s license, the physician-patient privilege does not prevent the Board’s discovery of patient medical records relevant to the disciplinary proceeding.
Physician disciplinary proceedings implicate important public interests: “The
primary purpose of the statutes authorizing the Board to discipline a physician's
license is to safeguard the public health and welfare.” Colyer v. State Bd. of
Registration for Healing Arts, 257 S.W.3d 139, 144 (Mo. App. W.D. 2008) (citation
omitted). Thus, by specifying that the physician-patient privilege cannot shield
relevant information from discovery in a physician disciplinary proceeding, the
General Assembly has declared that the interests of a patient in the confidentiality of their medical records must give way to the “stronger countervailing societal
10 interest” of protecting the public health and welfare. Brandt, 856 S.W.2d at 671.
Dr. Putnam’s fiduciary duty of confidentiality does not prevent him from producing
documents which are expressly made discoverable by § 334.100.7. See State Bd. of
Reg. for Healing Arts v. Vandivort, 23 S.W.3d 725, 727 & n.1 (Mo. App. W.D. 2000)
(dictum observing that § 334.100.7 “seems to undercut . . . significantly” a
physician’s argument that he could be subjected to civil liability for disclosing
patient medical records sought by the Board in a disciplinary investigation).
Point III is denied.
IV. In his fourth Point, Dr. Putnam argues that the Board’s Interrogatories
Number 14 and 15 violate the attorney work product doctrine. Interrogatories
Number 14 and 15 request that Dr. Putnam state whether he had obtained
statements from any of the affected patients, and that he identify persons having
knowledge of the relevant facts. Dr. Putnam concedes that such requests were
proper. The Board’s interrogatories also ask Dr. Putnam to relate the “substance”
of the patients’ oral statements and the witnesses’ knowledge, however. Dr.
Putnam contends that the request for the “substance” of a witnesses’ knowledge or
prior oral statements invades the work product of his attorneys. We agree.
Interrogatories Number 14 and 15 provide:
14. State whether you or anyone acting on your behalf has knowledge of any statements made by Patient(s) or by any persons purporting to be the servant, agent, or employee of Patient(s) pertaining to the matters alleged in the pleadings of this case. If your answer is in the affirmative, please state: a. The name and address of all persons having knowledge of such statement or statements. b. Whether such statements were written, recorded, or oral. c. For each oral statement, please state the name and address of the person or persons hearing such statements, the
11 name and address of the person making such statement[,] the substance thereof, and the place or places where each statement was made. 15. Identify all persons with knowledge of any facts relating to the matters alleged in the pleadings in this case and state the subject and substance of each such person’s knowledge known to you. (Emphasis added.)
“The work product doctrine is a defense to pretrial discovery. . . . [It]
precludes discovery of the mental impressions, conclusions, opinions, or legal
theories, both tangible and intangible, created or commissioned by counsel in
preparation for possible litigation.” State ex rel. Malashock v. Jamison, 502 S.W.3d
618, 619-20 (Mo. 2016). “Work product consists of . . . material which reflects an
attorney’s efforts at investigating and preparing a case, including one’s pattern of
investigation, assembling of information, determination of the relevant facts,
preparation of legal theories, planning of strategy, and recording of mental
impressions.” State ex rel. Bd. of Pharmacy v. Otto, 866 S.W.2d 480, 483 (Mo. App.
W.D. 1993) (citation omitted).
In State ex rel. Atchison, Topeka & Santa Fe Ry. Co. v. O’Malley, 898 S.W.2d
550 (Mo. 1995), the Missouri Supreme Court held that the protection for attorney
work product prevented a plaintiff from propounding interrogatories which asked the defendant to identify persons from whom statements had been obtained, and
the particulars of those statements.
To the extent the above interrogatories seek any information regarding oral interviews of persons contacted, they seek information that is clearly protected as intangible work product. See Otto, 866 S.W.2d at 483–84. As to written or recorded statements, we have no difficulty in understanding how the above interrogatories seek information that would, to some degree, reveal Santa Fe's attorney's mental impressions, conclusions, opinions, or legal theories. The broad interrogatories seek a schematic of the attorney's investigative process. In general, this schematic aides the other attorney not because it reveals facts relevant to the case, but because it reveals the
12 investigative process and relative weight attributed to certain witnesses' statements by the opposing side. The work product doctrine applies to protect the requested information. 898 S.W.2d at 553; see also id. at 554 (holding that interrogatory asking defendant
to identify “who, among the co-workers, [the defendant] has interviewed” sought
information which was “clearly protected as intangible work product”); State ex rel.
Hackler v. Dierker, 987 S.W.2d 337, 338 (Mo. App. E.D. 1998) (“interrogatories
requesting the names of witnesses from whom statements have been obtained”
improperly sought discovery of intangible attorney work product); Otto, 866 S.W.2d
at 483-84 (litigant cannot by interrogatory request a “detailed description of the
[opposing party’s] investigation,” the identity of each person the opponent contacted
and what the witnesses said, or a description of the documents prepared during the
investigation).
State ex rel. Rogers v. Cohen, 262 S.W.3d 648 (Mo. 2008), addressed a grand
jury subpoena seeking “a written transcript of a witness statement obtained by
counsel.” Id. at 654. The Court held that the subpoena impermissibly invaded
counsel’s work product; it reasoned that “[t]his statement constitutes ‘material [ ]
collected by an adverse party's counsel in the course of preparation for possible
litigation,’ and, therefore, constitutes work product.” Id. (quoting Hickman v. Taylor, 329 U.S. 495, 505 (1947)).
Although O’Malley and Rogers hold that the substance of witness statements
obtained by counsel constitute protected attorney work product, the Board argues
that the work product doctrine is inapplicable, because § 334.100.7 authorizes the
Board to obtain discovery of “any record relating to any patient of the licensee . . . ,
regardless of any statutory or common law privilege which such licensee . . . might
otherwise invoke.” The short answer to the Board’s argument is that Interrogatory
Number 14.c does not seek the production of records, but instead ask Dr. Putnam to describe “the substance” of oral statements provided by the patients. Section
13 334.100.7 is inapplicable here. Further, although we need not definitively resolve
the issue, we are skeptical that § 334.100.7’s authorization for discovery of “any
record relating to any patient” was intended to apply to documents generated by a
physician’s legal representatives in the course of their investigation and defense of a
disciplinary proceeding. If the statute were read as broadly as the Board contends,
it potentially would authorize discovery of the entirety of an attorney’s file, since in
a disciplinary proceeding like this one, all of the attorney’s file arguably consists of
“record[s] relating to” the patient(s) the physician is accused of mistreating.
Under the O’Malley and Rogers decisions, the Board was not entitled to
obtain through discovery “the substance” of any oral statements Dr. Putnam’s legal
representatives had obtained from the relevant patients in the course of their
investigation and defense of the disciplinary proceeding. The circuit court erred by
failing to issue a permanent writ of prohibition preventing the AHC from
compelling disclosure of “the substance” of such statements in response to the
Board’s Interrogatory Number 14.c.5
In Interrogatory Number 15, the Board sought information concerning
“persons with knowledge of any facts relating to the matters alleged in the
pleadings.” Dr. Putnam does not object to the requirement that he identify persons with factual knowledge; he objects only to Interrogatory Number 15’s request that
he disclose “the subject and substance of each such person’s knowledge known to
you.”
The Board was entitled to discovery of the identities of persons with
knowledge of the facts, and the general subject matter of those persons’ knowledge.
Despite the protection for attorney work product, an interrogatory may request
5 On appeal, Dr. Putnam challenges only the Board’s request for “the substance” of any oral patient statements. Accordingly, we do not address the propriety of the Board’s request for other information concerning patient statements.
14 information on a “factual matter within the knowledge of the party interrogated or
his attorney,” even where the facts were “developed as the result of the party’s
investigation.” State ex rel. Hof v. Cloyd, 394 S.W.2d 408, 411 (Mo. 1965). Almost
sixty years ago, the Missouri Supreme Court rejected a litigant’s claim that it would
invade attorney work product to require her to disclose the identity of witnesses to
an accident, when those witnesses had been discovered by her attorneys during
their investigation. State ex rel. Pete Rhodes Supply Co. v. Crain, 373 S.W.2d 38, 44
(Mo. 1963).
Missouri’s protection for attorney work product derives from and follows
federal precedent defining the scope of the work product immunity. Under federal
caselaw, it is well-established that a party may propound interrogatories asking an
opponent to identify persons with knowledge of relevant facts. See, e.g., Tracy v.
NVR, Inc., 250 F.R.D. 130, 132 (W.D.N.Y. 2008) (“The better reasoned decisions . . .
are those that draw a distinction between discovery requests that seek the
identification of persons with knowledge about the claims or defenses (or other
relevant issues) – requests that are plainly permissible – and those that seek the
identification of persons who have been contacted or interviewed by counsel
concerning the case.”; collecting cases); In re Theragenics Corp. Secs. Litig., 205 F.R.D. 631, 634 (N.D. Ga. 2002) (“Numerous courts since Hickman v. Taylor, 329
U.S. 495, 511 (1947), have recognized that names and addresses of witnesses
interviewed by counsel who have knowledge of the facts alleged in the complaint are
not protected from disclosure by the work product doctrine.”); Commonwealth of
Mass. v. First Nat’l Supermarkets, Inc., 112 F.R.D. 149, 152 (D. Mass. 1986).
Indeed, the Federal Rules of Civil Procedure now require litigants to disclose,
without a discovery request, “the name . . . of each individual likely to have
discoverable information – along with the subjects of that information – that the
15 disclosing party may use to support its claims or defenses.” Fed. R. Civ. P.
26(a)(1)(A)(i).
Therefore, Interrogatory Number 15 was not objectionable for requesting that
Dr. Putnam disclose the identity of “persons with knowledge of any facts relating to
the matters alleged in the pleadings,” and the general subject matter of such
persons’ knowledge. We conclude, however, that the Interrogatory went too far
when it asked Dr. Putnam to “state the . . . substance of each such person’s
knowledge known to you.” Requiring Dr. Putnam to recite “the substance” of fact
witnesses’ knowledge, beyond a description of the subject matter of their knowledge,
would effectively require that Dr. Putnam summarize any interviews his legal
representatives had conducted of such persons, or any statements obtained from
them – much like the privileged matter requested by Interrogatory Number 14.c.
We therefore conclude that the circuit court abused its discretion by refusing
to issue a writ of prohibition prohibiting the AHC from compelling Dr. Putnam to
disclose the substance of any oral statements he had obtained from the relevant
patients, or the substance of any fact witnesses’ relevant knowledge.
V. Dr. Putnam’s final Point challenges the Board’s Interrogatory Number 16,
which asks him to “identify all fact witnesses that [he] intends to call at the trial of
this action.” Dr. Putnam acknowledges that he can be required to disclose his
expected trial witnesses “at some point, immediately prior to the hearing on the
merits.” He argues, however, that it violates the attorney work product doctrine to
require him to disclose his intended trial witnesses early in the discovery process.
Dr. Putnam did not preserve this timing argument either before the AHC, or
in the circuit court. He did not raise this timing issue in his responses and
objections to the Board’s interrogatories, or in his suggestions in opposition to the Board’s motion to compel. Further, Dr. Putnam did not argue that discovery of his
16 intended trial witnesses was fatally premature either in his petition for a writ of
prohibition filed in the circuit court, or in his suggestions in support of the petition.
Where an appellant does not argue a specific theory or claim of error prior to
appeal, that error is not preserved. See, e.g., City of Aurora v. Spectra Commc’ns
Grp., LLC, 592 S.W.3d 764, 789-90 (Mo. 2019). We will not review this unpreserved
claim, particularly where Dr. Putnam does not request plain-error review. Point V
is denied.
Conclusion
The judgment of the circuit court is affirmed in part and reversed in part.
Pursuant to Rule 84.14, we enter the judgment the circuit court should have
entered. We issue a permanent writ of prohibition prohibiting the Administrative
Hearing Commission from compelling Dr. Putnam to disclose, in response to the
Board’s Interrogatories Number 14.c and 15, the substance of any oral statements
his legal representatives obtained from the patients at issue, or the substance of
any fact witnesses’ knowledge learned through counsel’s investigation. In all other
respects, Dr. Putnam's petition for a writ of prohibition is denied.
Alok Ahuja, Judge All concur.