Wexler v. DeMaio

905 A.2d 1196, 280 Conn. 168, 2006 Conn. LEXIS 328
CourtSupreme Court of Connecticut
DecidedOctober 3, 2006
DocketSC 17466
StatusPublished
Cited by13 cases

This text of 905 A.2d 1196 (Wexler v. DeMaio) is published on Counsel Stack Legal Research, covering Supreme Court of Connecticut primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wexler v. DeMaio, 905 A.2d 1196, 280 Conn. 168, 2006 Conn. LEXIS 328 (Colo. 2006).

Opinion

Opinion

VERTEFEUILLE, J.

In this certified appeal,1 the plaintiffs, Howard Wexler and Judith Wexler,2 claim that the Appellate Court improperly affirmed the summary judgment rendered by the trial court after that court had precluded the testimony of the plaintiffs’ expert witness. Specifically, the plaintiffs claim that the Appellate Court improperly concluded that their June 26, 2003 disclosure (June disclosure) of Peter H. Wiemik as an expert witness failed to comply with Practice Book § 13-4 (4).3 We agree and, accordingly, we reverse the judgment of the Appellate Court.

[171]*171The opinion of the Appellate Court sets forth the following relevant procedural history. “By amended complaint filed August 7, 1998, the plaintiffs brought [a medical malpractice] action against the defendant physicians, John T. DeMaio, John M. DaSilva, Michael J. Tortora and Lynn K. Davis,4 alleging [that they negligently had diagnosed and treated Howard Wexler’s recurrent infections and hairy cell leukemia] . . . between November, 1994, and January, 1996. The defendants filed interrogatories and requests for production in the spring of 1998, in which they asked the plaintiffs to identify any expert witness to be called at trial, and to disclose the subject matter, facts and opinions on which the expert was expected to testily, and a summary of the grounds for each opinion. The plaintiffs responded in August, 1998, that the expert disclosure would be ‘supplied in accordance with [§ 13-4] . . . .’

“On July 10,2002, the court issued a scheduling order requiring the plaintiffs to disclose their experts by November 30, 2002. The plaintiffs disclosed no expert. On May 5, 2003, Davis filed a motion for summary judgment, maintaining that because the plaintiffs had failed [172]*172to disclose an expert witness to testify as to the standard of care, they could not meet their burden of proof in the case. On May 19, 2003, the plaintiffs filed a motion for extension of time until July 2, 2003, in which to disclose their expert witness, alleging that the expert retained prior to the commencement of the action was retired and would not testify. At a June 9, 2003 hearing on the motion, the court ordered the plaintiffs to provide an affidavit no later than June 11, 2003, by Thomas J. Airone, the attorney responsible for the case, stating when the expert was hired, when counsel discovered that the expert would be unable to testify and whether another expert was immediately available. An affidavit was filed on June 10, 2003, by attorney William F. Gallagher, [a member of the same law firm with which Airone was associated; see footnote 6 of this opinion] in which he stated that the expert had refused to appear in another case handled by his law firm in the spring of 2002, but that it was not until February or March, 2003, that Airone learned that the expert was unavailable. Gallagher stated in the affidavit that he was uncertain whether another expert was available.

“The court issued a memorandum of decision on June 12, 2003, granting the plaintiffs’ motion to extend time until noon on June 26, 2003. The court found that although the failure to disclose an expert resulted from the negligence of the plaintiffs’ counsel, the defense would not be prejudiced by the late disclosure, provided certain conditions were met. The disclosure was to comply fully with § 13-4 (4) and to include the expert’s curriculum vitae, a list of all materials and information viewed or considered by the expert and a copy of all such materials not yet disclosed, as well as a list of all cases in which the expert had testified since January, 1999.5 The plaintiffs were also ordered to make the [173]*173expert available for a deposition on specific dates during the first two weeks of July and to bear all costs associated with the deposition.

“The plaintiffs filed a disclosure of physician Peter H. Wiemik on the morning of June 26, 2003, which stated that he was expected to testily as to the standards of care that the defendants should have observed in treating Howard Wexler, the deviations from those standards of care and the causal relationship between the two. It further stated that Wiemik was expected to testify that DeMaio, DaSilva and Tortora missed and delayed the effective diagnosis of Howard Wexler’s condition, that Davis failed to provide proper treatment once the condition was discovered, and that those failings subjected Howard Wexler to an unnecessary and more risky medical procedure, contributing to his current condition. [Wiemik’s] opinions were based on his training, education, experience and background, on hospital records, office notes and medical records of the defendants, and on the transcripts of the depositions of Howard Wexler and the defendants. Attached to the disclosure was [Wiemik’s] curriculum vitae.

“On July 3, 2003, Davis filed a motion to preclude Wiemik’s testimony, maintaining that the plaintiffs’ disclosure was vague, lacked sufficient detail and failed to comply with the court’s order and § 13-4. Davis claimed, [174]*174inter alia, that the disclosure was deficient in that it did not state [Wiemik’s] opinion as to the standard of care, how that standard had been breached, and how the breach affected Howard Wexler’s life and health. In addition, the plaintiffs had provided no list of cases in which [Wiemik] had testified. The plaintiffs objected to the motion on the grounds that the disclosure complied with the requirements of § 13-4 (4) and that [Wiernik] had provided a short list of cases in which he had served as an expert witness, none of which had resulted in testimony. Davis responded that he had found at least two cases in which [Wiemik] had testified as an expert witness during the relevant period. The other defendants also filed a motion to preclude.

“A hearing on Davis’ motion to preclude was held on September 4, 2003. The plaintiffs, now represented by Gallagher,6 proffered a July 7, 2003 e-mail from [Wiernik] that listed three cases in which he had been deposed. The plaintiffs claimed that prior to the disclosure, Wiemik had stated that he had no recollection of any testimony offered since January, 1999, and that it was his understanding that the defendants had been provided a copy of the e-mail. The defendants denied having received the e-mail. The court refused to accept the plaintiffs’ claim that they had provided the defendants with all the information they possessed regarding prior testimony by Wiemik without testimony from Air-one on the matter. The plaintiffs also stated that [Wiernik] had been made available for a deposition on the dates required by the court’s order. The court found that the disclosure was inadequate because, in addition to the absence of the ordered list of testimony, no detail [175]*175was provided with respect to the standard of care and the deviation therefrom.7

“Nevertheless, the court gave the plaintiffs a third opportunity to comply with the expert disclosure requirements. The court ordered the plaintiffs to provide the defendants with a written report from [Wiemik] by September 10, 2003, complying with the minimum requirements of § 13-4 (4), which the court proceeded to define in detail. The court also directed the plaintiffs to provide a list of all billings for those cases on which [Wiemik] had worked and transcripts of any testimony he had given since January, 1999.

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Cite This Page — Counsel Stack

Bluebook (online)
905 A.2d 1196, 280 Conn. 168, 2006 Conn. LEXIS 328, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wexler-v-demaio-conn-2006.