Warren v. Imperia

287 P.3d 1128, 252 Or. App. 272, 2012 WL 3985693, 2012 Ore. App. LEXIS 1128
CourtCourt of Appeals of Oregon
DecidedSeptember 12, 2012
Docket064584L3; A143459
StatusPublished
Cited by7 cases

This text of 287 P.3d 1128 (Warren v. Imperia) is published on Counsel Stack Legal Research, covering Court of Appeals of Oregon primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Warren v. Imperia, 287 P.3d 1128, 252 Or. App. 272, 2012 WL 3985693, 2012 Ore. App. LEXIS 1128 (Or. Ct. App. 2012).

Opinion

SERCOMBE, J.

Plaintiff brought an action against defendant for medical malpractice on the theory that defendant, an ophthalmologist, was negligent in screening and recommending plaintiff as an appropriate candidate for “monovision” eye surgery.1 The case was tried to a jury, which rendered a verdict in plaintiff’s favor. Defendant appeals from the resulting judgment, assigning error to the trial court’s exclusion of (1) testimony about presurgical discussions with plaintiff related to the procedures to be performed, the risks of those procedures, and the availability of alternative treatment; and (2) various written documents (including consent forms), given to plaintiff prior to surgery, that pertained to the procedures to be performed, the risks of those procedures, and the availability of alternative treatment. The trial court excluded the evidence on the ground that it was not relevant to plaintiff’s malpractice claim and was unfairly prejudicial. On appeal, defendant argues that the evidence was relevant to whether defendant properly assessed plaintiff as an appropriate candidate for surgery and that its probative value outweighed any danger of unfair prejudice. We conclude that the evidence was properly excluded as irrelevant and unfairly prejudicial and, accordingly, affirm.

In 2002, plaintiff sought eye care from Dr. Mitchell to improve her vision for reading at close range. Mitchell prescribed plaintiff a single contact lens in order to induce “monovision,” a condition in which one eye is calibrated to be nearsighted and the other eye is calibrated (in this case, naturally) to be farsighted. Thus, the contact lens created nearsightedness in plaintiff’s left eye. However, not all people can adapt to monovision. Plaintiff tried the contact lens for two weeks but was unable to tolerate the visual effect. It caused nausea, headaches, and a general feeling of motion sickness. Consequently, plaintiff stopped using the contact lens and reverted to using reading glasses.

Two years later, in December 2004, plaintiff sought treatment from defendant at his eye care clinic. Plaintiff [275]*275was evaluated to determine the suitability of using a surgical procedure called conductive keratoplasty (CK) — a process that uses radio frequencies to shape the curve of the cornea — to induce nearsightedness in her left eye, which would result in monovision. If successful, monovision would improve plaintiff’s ability to read without the aid of glasses using only her left eye. Her right eye, left in its natural state, would be used for seeing at a distance.

On December 14, an eye clinic technician conducted a “loose lens test” to determine whether plaintiff could tolerate monovision and was an appropriate candidate for CK. In the loose lens test, prescriptive lenses of varying strengths were placed in front of plaintiff’s left eye while she read from a hand-held card and a wall projection in an exam room. Plaintiff was able to read comfortably during the test. Afterward, she met with defendant, who told her that, on the basis of the loose lens test, she was a good candidate for CK. At the end of the visit, as defendant was leaving the exam room, plaintiff testified that she disclosed her prior experience with contact-lens-induced monovision and indicated that she had been unable to tolerate its effects. Plaintiff further testified that defendant assured her that surgically induced monovision would be different, and defendant proceeded with the plan to perform CK.

On December 29, the day of the surgery, plaintiff underwent a second loose lens test to verify the proper degree of adjustment or focus to induce in her eye. Defendant then performed CK on plaintiff. After the surgery, plaintiff experienced several negative effects, including sickness, vision problems, and difficulty engaging in certain personal and professional activities. Plaintiff’s symptoms did not subside, and she eventually elected to undergo another procedure, which was intended to enhance her visual acuity and alleviate some of her distress. Defendant performed that surgical procedure in 2005. Although the procedure did reduce the severity of some of plaintiff’s impairments, she continued to experience headaches, vision problems, and diminished ability to engage in certain activities.

Plaintiff subsequently brought suit against defendant. Her original complaint contained four claims for [276]*276relief — two claims that defendant was negligent and two claims that defendant failed to obtain informed consent. Before trial, plaintiff dropped the informed consent claims. Ultimately, plaintiff’s operative complaint contained two claims for relief. The first claim alleged that defendant was negligent

“in one or more of the [following] ways:
“a. by doing surgery to induce monovision *** in Plaintiff’s left eye when she reported a previous unsuccessful test to induce monovision through the use of contact lenses;
“b. by testing Plaintiff for monovision through the use of a so-called loose lens test instead of recommending Plaintiff to try a trial period of contact lens use to induce monovision for several days to see if Plaintiff found monovision acceptable.”

The second claim alleged that defendant was negligent in performing the second (2005) procedure by failing to correct, i.e., to eliminate, plaintiff’s monovision.

Plaintiff moved in limine to exclude evidence relating to informed consent on the ground that it was irrelevant and unfairly prejudicial. Specifically, plaintiff sought to exclude informed consent documents, informational brochures addressing the procedure and its effects, and presurgical discussions related to the risks and potential results of CK. Defendant objected to the exclusion of that evidence, arguing that it provided important context for understanding defendant’s interactions with plaintiff and demonstrated defendant’s awareness of the risks of monovision in assessing whether plaintiff was an appropriate candidate for CK. The trial court granted plaintiff’s motion, and the case was tried to a jury.

At multiple points during trial, defendant renewed his objection to the exclusion of “informed consent” evidence.2 The trial court adhered to its earlier ruling, although it offered defendant the opportunity to identify more discrete pieces of information that might be relevant [277]*277to the issues being tried. Defendant did not do so. The trial court ultimately entered a written order reflecting its initial ruling granting plaintiff’s motion to exclude evidence pertaining to informed consent. The order provided, in relevant part:

“Oregon law clearly distinguishes between claims for negligence and claims for failure to obtain informed consent. The former focuses on the conduct of the Defendant and whether the Defendant [met] the applicable standard of care; the lat[t]er focuses on whether the Plaintiff was adequately and appropriately informed about the risks relating to the proposed procedures before consenting to have the procedures performed. Because the informed consent claim is no longer a part of this action, evidence relating to warnings given to Plaintiff by Defendant is not admissible because this evidence is not relevant to the negligence claim presented in the complaint ([OEC] 402).

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Cite This Page — Counsel Stack

Bluebook (online)
287 P.3d 1128, 252 Or. App. 272, 2012 WL 3985693, 2012 Ore. App. LEXIS 1128, Counsel Stack Legal Research, https://law.counselstack.com/opinion/warren-v-imperia-orctapp-2012.