Ware v. Miami Valley Hospital

604 N.E.2d 791, 78 Ohio App. 3d 314, 1992 Ohio App. LEXIS 652
CourtOhio Court of Appeals
DecidedFebruary 13, 1992
DocketNo. 13078.
StatusPublished
Cited by2 cases

This text of 604 N.E.2d 791 (Ware v. Miami Valley Hospital) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Ware v. Miami Valley Hospital, 604 N.E.2d 791, 78 Ohio App. 3d 314, 1992 Ohio App. LEXIS 652 (Ohio Ct. App. 1992).

Opinion

Wolff, Judge.

This appeal represents Children’s Medical Center’s (“CMC”) third attempt to obtain relief from orders from the trial court that it disclose to plaintiffs an incident report which it claims to be absolutely privileged.

CMC appealed from an order to disclose the incident report that was entered April 17, 1989. We dismissed that appeal (CA 11558) for lack of an appealable order. The Supreme Court of Ohio declined to consider our action.

CMC next sought a writ of prohibition to prevent the trial court from enforcing its order that CMC turn over the incident report to plaintiffs. We granted the writ. State ex rel. Children’s Med. Ctr. v. Brown (April 12, 1990), Montgomery App. No. 11638, unreported, 1990 WL 341682. The Supreme Court reversed on the basis that we lacked jurisdiction to issue the writ. State ex rel. Children’s Med. Ctr. v. Brown (1991), 59 Ohio St.3d 194, 571 N.E.2d 724. The Supreme Court did not address the merits of the controversy, i.e., whether the incident report is, as asserted by CMC, absolutely privileged.

The action of the Supreme Court had the effect of reinstating the April 17, 1989 order of the trial court that CMC disclose the incident report to plaintiffs. Plaintiffs moved to compel and CMC responded with a motion that the trial court reconsider its order of April 17, 1989, and for a protective order barring disclosure. Attached to CMC’s motion were, inter alia, a copy of this court’s decision and entry of judgment in the prohibition action, and a copy of the transcript of proceedings (including testimony and exhibits) before this court on January 5, 1990. The trial court sustained plaintiffs’ motion to compel and overruled CMC’s motions for reconsideration and for a protective order, and ordered CMC to turn over the report within ten days or suffer appropriate sanctions.

CMC appealed, and plaintiffs moved to dismiss for want of a final appeal-able order. Having had second thoughts about the wisdom of our dismissal of CMC’s appeal from the April 17, 1989 order (CA 11558), we overruled the motion to dismiss this appeal.

*316 In this appeal, CMC advances two assignments of error:

First Assignment Of Error

“The trial court committed prejudicial error in its September 27, 1991 decision and order compelling production of a written communication which is absolutely protected from discovery by the attorney-client privilege and where compelled disclosure on the pain of sanction will create irreparable harm which CMC cannot correct by appeal in the normal course.”

Second Assignment Of Error

“The trial court committed prejudicial error in its September 27, 1991 decision and order compelling production of a written communication absolutely protected from discovery under the quality assurance privilege and where compelled disclosure on pain of sanction will create irreparable harm which CMC cannot correct by appeal in the normal course.”

Prior to the first appeal, the trial court submitted the privilege issue to its arbitrator for report and recommendation. CMC claimed that the incident report was privileged as an attorney-client communication, R.C. 2317.02(A), and as a report made available to a quality assurance committee, R.C. 2305.24 and 2305.251. (The latter privilege is also referred to as the “peer review” privilege.)

Other than the incident report itself, which the arbitrator examined in camera, the only evidence before the arbitrator was the October 12, 1988 affidavit of Frederick N. Young, which stated as follows:

“1. I am an attorney licensed to practice law in the State of Ohio.

“2. I serve as counsel to Children’s Medical Center and have served as counsel to Children’s Medical Center for 23 years.

“3. Incident reports are prepared by Children’s Medical Center for two (2) purposes. First, the incident report is prepared for my review, as legal counsel. I review incident reports on a routine basis in order to determine any potential legal liability for the hospital.

“4. In addition, the incident reports are prepared in accordance with Ohio Revised Code Section 2305.25 and 2305.251. Copies of the incident reports are forwarded to the Quality Assurance Committee for Children’s Medical Center for their review.

“5. The purpose of the Quality Assurance Committee for Children’s Medical Center is to review performance of physicians and employees of Children’s Medical Center to assure that Children’s Medical Center provides its patients with consistent high quality medical care.

*317 “6. The incident reports are prepared for no other purpose other than what has been set forth here in this affidavit.”

The arbitrator recommended disclosure. CMC’s objections to the recommendation contained an additional affidavit from Mr. Young, dated March 17, 1989:

“1. In addition to serving as counsel to Children’s Medical Center, I have also been a member of Children’s Medical Center’s Quality Assurance Committee since January, 1982.

“2. I was a member of the Quality Assurance Committee on the date the incident report concerning Jacqueline Ware was prepared.

“3. Incident reports that are prepared by Children’s Medical Center are placed under the exclusive custody and control of a member of the Quality Assurance Committee and are not available to anyone other than committee members.”

The trial court overruled the objections and ordered disclosure of the incident report, precipitating CMC’s first appeal and the prohibition proceedings.

The only additional evidence before the trial court in connection with plaintiffs’ motion to compel and CMC’s motions for reconsideration and for protective order was the testimony and exhibits presented to this court in the prohibition proceedings, which essentially reiterated, and expanded upon, the information contained in the affidavits of Young that were before the trial court prior to its April 17, 1989 order.

In its decision in connection with the order now on appeal, the trial court incorporated “Judge Brown’s Decision of April 17, 1989.” The April 17, 1989 decision and order had, in part, overruled CMC’s objections to the arbitrator’s recommendation that the incident report be disclosed.

The arbitrator rejected CMC’s claim of attorney-client privilege by treating it as a claim of “work product” privilege, which it was not, and determining that if it was work product, which the arbitrator thought dubious, plaintiffs had demonstrated “good cause” for its disclosure. The arbitrator rejected the claim of “peer review” privilege by determining that the incident report was “a record otherwise available from original sources,” citing R.C. 2305.251. The trial court’s decision of April 17, 1989 appears to approve the arbitrator’s reasoning.

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Bluebook (online)
604 N.E.2d 791, 78 Ohio App. 3d 314, 1992 Ohio App. LEXIS 652, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ware-v-miami-valley-hospital-ohioctapp-1992.