SC Serious Accident Attorney – Professional Negligence – Presuit Affidavit

Serious accident cases are always aggressively defended. Serious accident attorneys know this fact and prepare for a long fight. This recent SC Supreme Court demonstrates how hard defense lawyers defend wrongful death cases. Here, the issue involved a phrase in the pre-suit affidavit. Fortunately, the Court sided with the deceased victim in this case. With this matter resolved, the case essentially starts again from the beginning.

The serious accident attorneys of Reeves, Aiken & Hightower LLP understand what you and your family are facing if someone you love has been seriously injured or died as a result of negligence. Together, our seasoned trial lawyers have over 70 years of litigation experience. To learn more, please visit our website at www.rjrlaw.com. Or, call us directly for a private consultation at 877-374-5999. We welcome an opportunity to see if we can help.

 

THE STATE OF SOUTH CAROLINA
In The Supreme Court

Evelyn Grier, as the appointed Personal Representative of the Estate of Willie James Fee, deceased, Appellant,

v.

AMISUB of South Carolina, Inc., d/b/a Piedmont Medical Center, Respondent.


Appeal from York County
S. Jackson Kimball, III, Special Circuit Court Judge


Opinion No.  27118
Heard March 6, 2012 – Filed May 2, 2012


REVERSED AND REMANDED


John Gressette Felder, Jr, McGowan Hood & Felder, LLC, of Columbia, William Angus McKinnon, McGowan Hood & Felder, LLC, of Rock Hill, for Appellant.

William U. Gunn and Joshua T. Thompson, of Holcombe Bomar, P.A., of Spartanburg, for Respondent.


JUSTICE HEARN:  Willie James Fee died while in the care of AMISUB of South Carolina, Inc., d/b/a Piedmont Medical Center (Piedmont).  Evelyn Grier, as the personal representative of his estate, subsequently brought this medical malpractice claim against Piedmont.  The circuit court dismissed Grier’s claim on the ground that the expert witness affidavit she was required to submit pursuant to Sections 15-36-100 and 15-79-125 of the South Carolina Code (Supp. 2011) did not contain a competent opinion on proximate cause.  Grier appeals, arguing the court erred in finding these statutes require the affidavit contain such an opinion.  We agree and therefore reverse and remand for further proceedings.

FACTUAL/PROCEDURAL BACKGROUND

Fee was admitted to Piedmont in January 2008 for treatment of a host of ailments, the list of which is not pertinent to this appeal.  He remained at Piedmont until September 2008, at which point he was discharged to another facility for further care.  However, he was readmitted to Piedmont twelve days later, and he remained there until his death in February 2009.

Prior to bringing wrongful death and survival proceedings against Piedmont stemming from medical malpractice allegedly committed while it was treating Fee, Grier filed a notice of intent to file suit as required by section 15-79-125(A).  Her claims contend Piedmont’s failure to monitor and treat Fee for bedsores and sepsis contributed to his death.  In conjunction with this notice, Grier also filed an affidavit from Sharon Barber, a nurse with experience treating bedsores and their complications.  In it, Nurse Barber opined, based on her review of Fee’s medical records, that Piedmont breached its duty of care towards Fee in multiple respects and these breaches were a contributing cause of Fee’s death.

Piedmont subsequently filed a motion to dismiss on the ground that Nurse Barber was not qualified to render an opinion as to cause of death, which meant Grier’s affidavit did not contain a competent causation opinion.  The circuit court agreed that Nurse Barber was not qualified to opine as to cause of death.  Additionally, the court held

that it is implicit in the Tort Reform Act, and in particular the Notice of Intent, Short and Plain Statement of Facts, and the affidavit requirements at issue in this motion, that a showing of proximate cause must be made by submission of a proper affidavit addressing proximate cause, and made by a person qualified to do so.  Plaintiff in this instance has failed to submit such an affidavit, and for that reason Defendant’s Motion must be granted . . . .

While the court gave Grier thirty days to submit a qualifying affidavit, Grier failed to do so.  The court accordingly dismissed Grier’s claim.  This appeal followed.

LAW/ANALYSIS

On appeal, Grier concedes Nurse Barber is not qualified to render an opinion as to Fee’s cause of death.  Thus, the only argument Grier presents is that the circuit court erred in holding the pre-suit affidavit a plaintiff statutorily is required to file before bringing a medical malpractice claim must contain an expert opinion on proximate cause.  We agree.

The issue before us is purely one of statutory interpretation.  “Questions of statutory interpretation are questions of law, which we are free to decide without any deference to the court below.” CFRE, LLC v. Greenville Cnty. Assessor, 395 S.C. 67, 74, 716 S.E.2d 877, 881 (2011).  It is well-established that “[t]he cardinal rule of statutory construction is to ascertain and effectuate the intent of the legislature.” Hodges v. Rainey, 341 S.C. 79, 85, 533 S.E.2d 578, 581 (2000).  “What a legislature says in the text of a statute is considered the best evidence of the legislative intent or will.  Therefore, the courts are bound to give effect to the expressed intent of the legislature.” Id. (quotation omitted).  Thus, we must follow the plain and unambiguous language in a statute and have “no right to impose another meaning.” Id.  It is only when applying the words literally leads to a result so patently absurd that the General Assembly could not have intended it that we look beyond the statute’s plain language. Cabiness v. Town of James Island, 393 S.C. 176, 192, 712 S.E.2d 416, 425 (2011).

In ascertaining the meaning of language used in a statute, we presume the General Assembly is “aware of the common law, and where a statute uses a term that has a well-recognized meaning in the law, the presumption is that the General Assembly intended to use the term in that sense.” State v. Bridgers, 329 S.C. 11, 14, 495 S.E.2d 196, 198 (1997); see also Beck v. Prupis, 529 U.S. 494, 500-01 (2000) (“[W]hen Congress uses language with a settled meaning at common law, Congress ‘presumably knows and adopts the cluster of ideas that were attached to each borrowed word in the body of learning from which it was taken and the meaning its use will convey to the judicial mind unless otherwise instructed.  In such case, absence of contrary direction may be taken as satisfaction with widely accepted definitions, not as a departure from them.'” (quoting Morissette v. United States, 342 U.S. 246, 263 (1952).

Finally, statutes in derogation of the common law are to be strictly construed. Epstein v. Coastal Timber Co., 393 S.C. 276, 285, 711 S.E.2d 912, 917 (2011).  Under this rule, a statute restricting the common law will “not be extended beyond the clear intent of the legislature.” Crosby v. Glasscock Trucking Co., 340 S.C. 626, 628, 532 S.E.2d 856, 857 (2000).  Statutes subject to this rule include those which “limit a claimant’s right to bring suit.” 82 C.J.S. Statutes § 535.

With these principles in mind, we turn to the statutes at issue in this case.  Section 15-79-125(A) provides, “Prior to filing or initiating a civil action alleging injury or death as a result of medical malpractice, the plaintiff shall contemporaneously file a Notice of Intent to File Suit and an affidavit of an expert witness, subject to the affidavit requirements established in Section 15-36-100.”  The statute then gives specific guidance as to the requirements for the notice document:

The notice must name all adverse parties as defendants, must contain a short and plain statement of the facts showing that the party filing the notice is entitled to relief, must be signed by the plaintiff or by his attorney, and must include any standard interrogatories or similar disclosures required by the South Carolina Rules of Civil Procedure.

Id.  However, it provides no specifics for the expert affidavit.  For that, the statute directs the reader to section 15-36-100.  This section in turn states the plaintiff has to submit “an affidavit of an expert witness which must specify at least one negligent act or omission claimed to exist and the factual basis for each claim based on the available evidence at the time of the filing of the affidavit.” Id. § 15-36-100(B).

We begin by examining the statute concerning the affidavit itself, section 15-36-100(B).  No party disputes that this statute is unambiguous, and thus we must apply its plain language.  In our opinion, the language that the affidavit must “specify at least one negligent act or omission” encompasses only the breach element of a common law negligence claim and not causation.  Thus, the statute limits its requirement for the affidavit to only breach.

First, the term “negligent act or omission” consistently has been used to refer only to breach and never to causation. Thomasko v. Poole, 349 S.C. 7, 11, 561 S.E.2d 597, 599 (2002) (“A plaintiff, to establish a cause of action for negligence, must prove the following four elements: (1) a duty of care owed by defendant to plaintiff; (2) breach of that duty by a negligent act or omission; (3) resulting in damages to the plaintiff; and (4) damages proximately resulted from the breach of duty.” (emphasis added)); Doe ex rel. Doe v. Batson, 345 S.C. 316, 322, 548 S.E.2d 854, 857 (2001) (“To state a cause of action for negligence, the plaintiff must allege facts which demonstrate the concurrence of three elements: (1) a duty of care owed by the defendant; (2) a breach of that duty by negligent act or omission; and (3) damage proximately caused by the breach.” (emphasis added)); Bloom v. Ravoira, 339 S.C. 417, 422, 529 S.E.2d 710, 712 (2000) (“To establish a cause of action in negligence, a plaintiff must prove the following three elements: (1) a duty of care owed by defendant to plaintiff; (2) breach of that duty by a negligent act or omission; and (3) damage proximately resulting from the breach of duty.” (emphasis added)); Bishop v. S.C. Dep’t of Mental Health, 331 S.C. 79, 88, 502 S.E.2d 78, 82 (1998) (“To establish a cause of action in negligence, three essential elements must be proven: (1) duty of care owed by defendant to plaintiff; (2) breach of that duty by a negligent act or omission; and (3) damage proximately resulting from the breach of duty.” (emphasis added)).  Furthermore, proximate cause requires proof beyond just the act or omission in question and concerns whether it is the “but for” cause of the plaintiff’s injuries and whether the harm was foreseeable. Bishop, 331 S.C. at 88-89, 502 S.E.2d at 83.

The General Assembly therefore used a term of art which has a well-defined common law meaning as just breach, and we can find nothing indicating the General Assembly intended to vary from it. Accordingly, the plain and unambiguous language of the statute forecloses any argument that the affidavit contain a proximate cause opinion.

Moreover, section 15-36-100 restricts a plaintiff’s common law right to bring a malpractice claim by imposing this requirement.  Consequently, the language in the statute is to be strictly construed, and section 15-36-100 cannot extend any further than what the General Assembly clearly intended.  Once again, this statute plainly and unambiguously uses a term of art which at common law refers only to the breach element of a negligence claim.  The plain language of a statute being the best evidence of the General Assembly’s intent, there is no clear indication it sought to go any further.  Thus, we are in no position to go further ourselves.

We therefore hold under these well-established principles that section 15-36-100(B) requires that the expert render an opinion only as to a breach of the standard of care.  In its brief, Piedmont appears to concede as much by pointing out that it “has never made the argument that the ‘plain language’ of Section 15-36-100(B) requires an expert affidavit to opine on proximate cause.  Instead, [Piedmont] focus upon Section 15-79-125(A) which requires a plaintiff alleging medical malpractice show a claim upon which a plaintiff is entitled to relief.”[1]  Under this guise, Piedmont advances two arguments regarding this statute: (1) the plain language of section 15-79-125(A) requires the affidavit contain an opinion as to proximate cause because it requires that a plaintiff show he is entitled to relief, and in the alternative, (2) section 15-79-125(A) implicitly imposes this requirement.  We disagree with both.

Like section 15-36-100(B), section 15-79-125(A) is unambiguous and in derogation of the common law.  Read plainly and strictly, section 15-79-125(A) simply requires the contemporaneous filing of both the notice and the affidavit.  While this statute supplies several requirements for the notice, it does not speak at all to what is required for the affidavit beyond stating that it is “subject to the affidavit requirements established in Section 15-36-100.” S.C. Code Ann. § 15-79-125(A).  While Piedmont argues that the affidavit must contain the same information as the notice—i.e., a demonstration that the plaintiff is entitled to relief, which would include causation—its construction is refuted by the plain language of section 15-79-125(A).  By its very terms, this statute imposes no content requirements for the expert affidavit and specifically delegates that task to section 15-36-100.

We also reject Piedmont’s “implicit legislative intent” argument.  For this, Piedmont turns to the policies behind tort reform legislation such as section 15-79-125.  It correctly notes that one of the major goals behind these requirements is to curtail frivolous litigation by ensuring plaintiffs only present colorable claims.  Moreover, section 15-79-125(C) requires that parties to a medical malpractice claim engage in mandatory pre-suit mediation.  It is only if this mediation fails that a civil action officially is initiated in the circuit court. S.C. Code Ann. § 15-79-125(E).  Thus, Piedmont argues having a fuller picture of a plaintiff’s claim prior to mediation, including the basis for proximate cause, enables a more productive mediation process which can avoid the need for a protracted battle in court.

We do not doubt that requiring the affidavit to contain an opinion regarding causation furthers these important goals.  Nevertheless, the statute is unambiguous and we are confined to what the statute says, not what it ought to say, for we have no right to modify a statute’s application “under the guise of judicial interpretation.” See Coker v. Nationwide Ins. Co., 251 S.C. 175, 182, 161 S.E.2d 175, 178 (1968).  In other words, when a statute is clear on its face, it is “improvident to judicially engraft extra requirements to legislation” just because doing so may further the intent behind the statute. See Berkebile v. Outen, 311 S.C. 50, 55-56, 426 S.E.2d 760, 763 (1993).  We must also be mindful that section 15-79-125(A) is to be strictly construed, and imposing requirements which are not clearly intended to be in it violates this rule.  We do not believe it is clear the General Assembly intended to include this requirement, and there are many reasons why it could have chosen not to do so.  Moreover, Piedmont has not shown how an application of the plain language would lead to a result so patently absurd it could not have been intended by the General Assembly.  We therefore are in no position to look beyond the plain language of the statute and read into it a requirement that the expert also opine as to causation at this stage in the proceedings.

Accordingly, we hold nothing in section 15-79-125(A) requires that an expert affidavit in a medical malpractice action submitted pursuant to section 15-36-100(B) contain an opinion regarding causation.

CONCLUSION

In conclusion, we reverse the circuit court and hold the expert affidavit required by sections 15-36-100 and 15-79-125 does not need to contain an opinion as to proximate cause.[2]  We therefore remand this matter for further proceedings.  Our holding today in no way limits a plaintiff’s burden to come forward with expert testimony to support the merits of his claims, if necessary, later in the process.  Instead, we merely hold that sections 15-36-100 and 15-79-125 do not require an expert opinion as to causation to be contained within the pre-filing affidavit.

TOAL, C.J., PLEICONES, BEATTY and KITTREDGE, JJ., concur. 

[1] At oral argument, Piedmont changed its tune and relied instead on section 15-36-100(B).  In particular, Piedmont argued for the first time that the language requiring the affidavit set forth “the factual basis for each claim” imposes a requirement for a causation opinion.  The essence of the argument is that if the plaintiff must show a factual basis for the “claim,” that necessarily includes the element of causation.  Not only was this the first time it made this argument, the argument is unavailing.  The “factual basis” language clearly refers back to the “negligent act or omission” requirement, and therefore it only requires the affiant supply a factual basis for his opinion regarding breach.

[2] Piedmont made a general request for us to affirm under Rule 220(c), SCACR, but did not identify any specific grounds appearing in the record on which we could do so.  It has therefore abandoned any additional sustaining grounds. See I’On, L.L.C. v. Town of Mt. Pleasant, 338 S.C. 406, 420, 526 S.E.2d 716, 723 (2000) (“Of course, a respondent may abandon an additional sustaining ground . . . by failing to raise it in the appellate brief.”); see also State v. Jones, 344 S.C. 48, 58, 543 S.E.2d 541, 546 (2001) (finding a conclusory argument abandoned).

SC Accident Attorney – Bridge Accidents

Soaring SC bridge subject to speeding, accidents

The Associated Press

CHARLESTON, S.C. —

Officials say the Ravenel Bridge linking Charleston and Mount Pleasant is subject to both speeding and accidents.

On Monday, the brakes failed on an 18-wheeler on the entrance ramp from Interstate 526 east and the truck plowed into a state truck and a police car. There were no serious injuries. Back in 2006 another motorist hit a police car that was parked checking for speeders.

In the past three years there have been more than 80 accidents on the eight-lane bridge.

Speed is a problem on the seven-year-old bridge and at night police regularly cite drivers doing more than 100 mph.

The accident and injury attorneys of Reeves, Aiken & Hightower LLP have been handling automobile accident cases for over 20 years. As a former Registered Nurse (RN), attorney Robert J. Reeves understands complex injury cases as he used to actually treat patients who were seriously injured in an automobile, tractor trailer, or motorcycle accident. Together, the attorneys have over 70 years combined trial experience. For more information about our firm, please visit our website at www.rjrlaw.com. Compare our credentials and then call us for a private consultation at 877-374-5999. We welcome the opportunity to help you and your family.

Lake Wylie – Experts Prepare for Busy Boating Season

Warm weather sparks spike in boating traffic

By John Marks
LAKE WYLIE –Summer boating season isn’t waiting until summer this year. But safety experts say they’re ready.

The unofficial launch to boating season generally comes with Memorial Day. But an almost nonexistent winter and warm temperatures earlier in 2012 already has traffic spiking on Lake Wylie.

“During this time of year we are seeing mostly fishermen with the weekend lake population beginning to grow, especially with the recent warm weather,” said Sgt. Brent Mabry with the York County Sheriff’s Office lake patrol.

Groups such as the Lake Wylie Marine Commission and law enforcement agencies along the lake gear up with boating season to help keep problems on the water from becoming collisions or even fatalities.

A general concern for the summer season is human-powered boats and motorized ones sharing space.

Joe Stowe, executive director of the Lake Wylie Marine Commission, already had a call from a group of scullers in a cove saying motor boats were coming too close. Needing the calm waters of early morning and sitting low to the water, scullers crews are vulnerable in low light conditions.

“They’re having problems with people seeing them on the lake,” Stowe said.

The commission also is looking into how kayakers and paddle boarders share the lake with fishing boats, ski boats and personal watercraft. Along with its law enforcement partners, the commission wants to stay “ahead of the accidents” that could prove dangerous.

“They’re out in the middle of the lake with no good way to identify them, and you have speed boats coming at 30 and 40 miles an hour, and the two meet,” Stowe said.

Commissioner Terry Everhart also is a lake patrol officer for Charlotte-Mecklenburg Police Department. Everhart isn’t interested in writing more tickets or even introducing more laws, but instead wants to see if the commission can find simpler approaches to sharing a public waterway.

“What I want is to make it safe for everybody,” he said. “I want to encourage everybody to come out and have a safe time.”

Of particular interest is the area on the northern reach of Lake Wylie between the U.S. National Whitewater Center and Tailrace Marina.

That area is used by paddlers who rent kayaks, but there also are blind turns and substantial motor boat traffic. The commission plans to contact rental spots there to see what instruction is being given to paddlers. Everhart hopes through educating the different types of boat users on the lake, his group can avoid a push toward sectioning off areas for specific uses through no wake zones or other methods.

“The lake’s still big enough and people are still considerate enough to where you can work something out,” he said.

Safety in officers

One issue that shouldn’t be of concern is the presence of law enforcement. Officers generally spend more time in the water during peak use seasons – warm weekends and all summer – but have at times had to stretch patrol hours in the past several years due to fewer available man hours.

Fishing tournaments are way up, and casual boating is revving toward the summer.

But so is law enforcement.

The agencies representing both states and all through counties surrounding Wylie have at least as many boats and officers as last year. In North Carolina, there’s one more shared position for use on Wylie and Mountain Island Lake.

“Right now there are two of us on the lake full-time, and we will be supplemented this summer with four school resource officers,” said Mabry, whose jurisdiction includes 44 percent of the bi-state lake.

Some law enforcement personnel recently attended an international boating safety conference, where they learned new techniques.

Other methods – always wearing life jackets, a sober driver – are older than the lake itself.

Everhart does hope to curb a trend toward wakesurfing, where riders are in close proximity to the props.

He also imagines that there will be more boaters heading to sandbars or other spots to anchor for the day, a trend common to high gas price years.

Yet he doesn’t see fewer boats in the lake’s forecast.

“There’s been a lot of folks out using the lake,” Everhart said.

Stowe hopes the issues he’s heard about can be resolved, and those plans will help boaters throughout the lake.

“It’s important that people know we’re having problems, and we are trying to deal with those problems,” he said.

As with neighboring county and state agencies, Mabry said the main goal isn’t writing tickets or dampening a day on the water.

“Our main objective this summer, as it has been in past years, is for everyone to enjoy the lake and return home safely at the end of the day,” he said.

The personal injury and criminal attorneys of Reeves, Aiken & Hightower LLP have over 70 years of trial experience. Whether you have been injured in a boating accident or charged with boating under the influence (BUI), we can help. For more information about our lawyers and firm, please visit www.rjrlaw.com. For a private, confidential consultation about your case, call us at 877-374-5999. Be Safe. Get Home.

SC NC Boating Accident Attorney – Boating Under the Influence (BUI) – Pulling Skiers Behind Boat

The article below from last year reminds us again now that summer is almost here how important it is to always be safe when out on the water. Whether in a speed boat, fishing boat, pontoon boat, or personal watercraft (PWC), please be aware of the safety rules and watch out for other boaters and swimmers in the water. While there is nothing better than skiing or fishing on the lake, a moments inattention or carelessness can change your life and someone else’s life forever. And just like when driving a car on the road, designate a driver for the boat who will not be drinking. Unlike cars which have airbags and safety belts, boats do not. Even a minor impact can cause serious, life-threathening injuries. Finally, when pulling a skier behind your boat, please have separate people driving and watching for other boaters while a different person makes sure the skier is safe. If everyone follows these basic safety rules, we can all have a great boating season this 2012 summer.
The injury and criminal attorneys of Reeves, Aiken & Hightower LLP hope all families enjoy the lake this summer and go back to school with great stories and memories. We want everyone to be safe and get back home. If you or someone you love is injured or charged with boating under the influence (BUI), we are here to help. For more information about our lawyers, please visit www.rjrlaw.com. Compare our attorneys’ credentials to any other law firm. Then call us at 877-374-5999 for a private, confidential consultation.
Driver in deadly boat accident volunteers time in water safety class
by Lisa Edge
Posted: 05.27.2011

Thursday afternoon, Randy Shaw helped with a water safety class held at the Canal Street Recreation Center in Myrtle Beach. He knows first hand how important this class is.

Last August, he was driving a boat pulling two teenagers behind it on an inner tube. When he drove under a bridge, “The inner tube was supposed to track right behind the boat, and I don’t know why, but it drifted from behind the boat. It made contact with a piling,” said Shaw.

Allison Howell died, and another teenager was seriously injured. Shaw pled guilty to negligent boat operation. He paid a fine and was ordered to do community service.

“Since I couldn’t keep them safe that day because of a mistake that I made, then I’m going to try to keep other people safe in honor of Allison’s memory.” He continued, “You might think, awww I’ve done this 100 times, I’ve done it a thousand times, it doesn’t matter. It doesn’t take but once to take somebody’s life or injure somebody or permanently disfigure them.”

Shaw, who says he’s driven boats since he was a teenager, learned later he wasn’t supposed to pull an inner tube under a bridge. Since the accident he’s taken a boating safety class and has only been out on the water once. “It’s hard, it’s hard to get back. As much as I love the water, it’s hard to be able to to get back out there.”

Thursday, he joined Department of Natural Resources  officer Sgt. Kim Leverich as she shared with a group of kids the importance of wearing a life jacket. The advice isn’t just for them.

“We’re hoping by getting it across to these kids that maybe they can advise their parents, ‘Dad, that’s not the right size life jacket or Dad, I’m not supposed to be sitting on the bow like that,'” said Leverich.

According recent statistics from the U.S. Coast Guard, three-quarters of all fatal boating accident victims drowned and of those, 84% percent were not wearing life jackets.

“There’s actually certain life jackets that are belt life jackets that are approved by the Coast Guard that you can wear, so you can still have that bikini on and have something safe. There’s also inflatables that’s a U shape around your neck, and once you hit the water, it will inflate automatically,” said Sgt. Leverich.

Another big danger on the water is boating under the influence or BUI which is a criminal offense. The Coast Guard says it’s the leading contributing factor in fatal boating accidents. That, coupled with boater fatigue, which Leverich says happens after about four hours on the water, leads to slower reaction time.

She also sees another problem with boaters. “They’re not being courteous to other boaters. They’re not slowing down for the no wakes. They’re not slowing down within 50 feet of a swimmer or a dock or an anchored boat.”

This Memorial Day weekend, DNR officers will perform free safety checks.

SC Large Truck Accident Attorney – Dump Truck Accident – SCDOT

This serious accident case involving a large commercial dump truck illustrates how small facts can lead to big verdicts. It also demonstrates how these serious injury cases are aggressively defended. Here, the dispute involves whether the jury should be permitted to consider punitive damages because the SCDOT driver was allegedly speeding at the time of the crash. A statutory violation (speeding) is “negligence per se” which is at least some evidence of “recklessness.” That fact alone, if proven, is enough to submit punitive damages to the jury.

The next important issue discussed in this case is the effect intervening negligence by a third party can have on the outcome. Here, the defense wanted to plant the idea of malpractice allegedly committed by a treating physician, even though there was no evidence of same. The Court rightly declined to so instruct the jury. Again, the mere attempt shows the lengths to which insurance carriers and their lawyers will go to win or reduce a verdict.

Complex litigation in serious injury cases requires years of experience. The trial attorneys of Reeves, Aiken & Hightower LLP have over 70 years experience trying cases in court. Their unique backgrounds include former insurance defense experience and a former Intensive Care Unit Registered Nurse (RN). Together, they form a team ready to fight tirelessly for you and your family. For more information about our firm, please visit www.rjrlaw.com. Compare our attorneys’ credentials against any other law firm. Then call us for a private consultation at 877-374-5999.

THE STATE OF SOUTH CAROLINA
In The Supreme Court


Marilee B. Fairchild and Larry J. Fairchild, Plaintiffs,

Of whom Marilee B. Fairchild is Respondent,

v.

South Carolina Department of Transportation, William Leslie Palmer and Palmer Construction Co., Inc., Defendants,

Of whom William Leslie Palmer and Palmer Construction Co., Inc., are Petitioners.


ON WRIT OF CERTIORARI TO THE COURT OF APPEALS


Appeal From Colleton County
Perry M. Buckner, Circuit Court Judge


Opinion No. 27112
Heard November 15, 2011 – Filed April 11, 2012


AFFIRMED


Kirby D. Shealy, III and Bradley L. Lanford, both of Baker, Ravenel & Bender, of Columbia, for Petitioners.

Bert G. Utsey, III, of Peters, Murdaugh, Parker, Eltzroth & Detrick, of Walterboro; and George D. Jebaily and Suzanne H. Jebaily, both of Jebaily Law Firm, of Florence, for Respondent.


JUSTICE BEATTY:  This Court granted a petition for a writ of certiorari to review the decision in Fairchild v. South Carolina Department of Transportation, 385 S.C. 344, 683 S.E.2d 818 (Ct. App. 2009).  The Court of Appeals affirmed in part, reversed in part, and remanded for a new trial a negligence action arising from a motor vehicle accident.  In relevant part, the Court of Appeals determined (1) Marilee Fairchild’s claim for punitive damages should have been submitted to the jury, (2) the trial court should have charged the jury on the intervening negligence of a treating physician, and (3) the trial court did not abuse its discretion in denying William Leslie Palmer’s motion under Rule 35, SCRCP for an independent medical examination (IME) to be performed by Dr. James Ballenger.  We affirm.

I.  FACTS

This action arises out of a motor vehicle accident that occurred on March 1, 2001 while several vehicles were traveling south on Interstate 95 in South Carolina.

Just before the accident, James Rabb, an employee with the South Carolina Department of Transportation (SCDOT), was driving a dump truck with an attached trailer transporting a backhoe.  Rabb was traveling in the left lane of the southbound traffic (closest to the median) when he pulled in to a paved “cross-over” in the median so he could turn around and enter the northbound lanes of I-95.  While Rabb was stopped waiting for the northbound traffic to clear, the back of his trailer allegedly protruded into the left traffic lane on the southbound side.

Several cars traveling south in the left lane directly behind Rabb saw Rabb’s trailer and simultaneously switched to the right lane.  When those cars moved over, Marilee Fairchild, who was behind them driving a minivan, saw Rabb’s trailer partially blocking the left lane where she was traveling.  Fairchild “flashed” her brakes and then continued to brake while staying ahead of the vehicle behind her.  Fairchild managed to avoid Rabb’s trailer, but she was struck by a truck traveling behind her that was driven by William Leslie Palmer.

Palmer, whose truck also had an attached trailer (which contained a motorcycle), hit his brakes and swerved to the right when he came upon Fairchild.  However, Palmer struck Fairchild’s minivan, and the force of the impact with Palmer’s large vehicle caused Fairchild’s minivan to flip over and roll before landing in the median.  Rabb’s truck was not hit in the accident.

On February 26, 2003, Fairchild[1] brought this negligence action against SCDOT, Palmer, and Palmer Construction Co., alleging she sustained physical injuries and property damage in the accident.  She sought both actual and punitive damages.  Fairchild thereafter entered into a covenant not to sue with SCDOT, and SCDOT was dismissed as a party.

At trial, the jury returned a verdict in favor of Fairchild for $720,000.  Both parties appealed.  The Court of Appeals affirmed in part, reversed in part, and remanded.  We thereafter granted Palmer’s[2] petition for a writ of certiorari.

II.  LAW/ANALYSIS

A.  Punitive Damages

Palmer first argues the Court of Appeals erred in holding the trial court should have submitted Fairchild’s claim of punitive damages to the jury based on its determination that the evidence and its reasonable inferences created a factual question as to whether he had acted recklessly.

The trial court granted Palmer’s motion for a directed verdict on Fairchild’s claim for punitive damages on the basis there was noevidence of reckless conduct by Palmer.  However, the trial court did conclude that two statutes governing traffic safety were implicated in this case and charged the jury on the same.   The first, section 56-5-1520(A), provides general rules as to maximum and safe speeds and states when lower speeds may be required:

A person shall not drive a vehicle on a highway at a speed greater than is reasonable and prudent under the conditions and having regard to the actual and potential hazards then existing.  Speed must be so controlled to avoid colliding with a person, vehicle, or other conveyance on or entering the highway in compliance with legal requirements and the duty of a person to use care.  S.C. Code Ann. § 56-5-1520(A) (2006).

In addition, the trial court charged the jury on section 56-5-1930(a), which prohibits following too closely:

The driver of a motor vehicle shall not follow another vehicle more closely than is reasonable and prudent, having due regard for the speed of such vehicles and the traffic upon and the condition of the highway.  Id. § 56-5-1930(a).

The Court of Appeals found the grant of a directed verdict on the claim for punitive damages was error as the evidence and its reasonable inferences created a factual question as to whether Palmer had acted recklessly.  Fairchild, 385 S.C. at 353, 683 S.E.2d at 823.  The court agreed with Fairchild that, based on Palmer’s conduct, which included driving a large commercial truck[3]into heavy traffic just before the accident without any reduction in his rate of speed, and his alleged statutory violations, the jury should have been permitted to consider whether Palmer acted recklessly.  Id. 

Citing long-standing South Carolina precedent, the Court of Appeals held the violation of a statute constitutes negligence per se, and negligence per se is some evidence of recklessness and willfulness that requires submission of the issue of punitive damages to the jury.  Id. at 354, 683 S.E.2d at 823.  The Court of Appeals cited this Court’s decision in Wise v. Broadway, 315 S.C. 273, 433 S.E.2d 857 (1993) as well as additional authorities to this effect:

Wise v. Broadway, 315 S.C. 273, 276, 433 S.E.2d 857, 859 (1993) (“The causative violation of a statute constitutes negligence per se and is evidence of recklessness and willfulness, requiring the submission of the issue of punitive damages to the jury.”); Rhodes v. Lawrence, 279 S.C. 96, 97-98, 302 S.E.2d 343, 344 (1983) (“In these circumstances, a jury question as to punitive damages was clearly presented given the well settled rule that a showing of statutory violation can be evidence of recklessness and willfulness.”); Austin v. Specialty Transp. Servs., Inc., 358 S.C. 298, 314, 594 S.E.2d 867, 875 (Ct. App. 2004) (“A factual question as to punitive damages is presented when there is evidence of a statutory violation.”).

Id.   The Court of Appeals noted “[t]hese cases limit their holdings to creating a jury question only and not recklessness per se.”  Id.  The court referenced the express limitation pronounced by this Court in Wise:

Violation of a statute does not constitute recklessness, willfulness, and wantonness per se, but is some evidence that the defendant acted recklessly, willfully, and wantonly.  It is always for the jury to determine whether a party has been reckless, willful, and wanton.  However, it is not obligatory as a matter of law for the jury to make such a finding in every case of a statutory violation.

Id. at 354, 683 S.E.2d at 823-24 (quoting Wise, 315 S.C. at 276-77, 433 S.E.2d at 859 (internal citations omitted)).

The Court of Appeals concluded that there was evidence Palmer was negligent per se in causing the accident, which consisted of following another vehicle too closely and speeding; consequently, a jury could have found Palmer violated sections 56-5-1930(a) and 56-5-1520(A), and the finding of a statutory violation may be considered by the jury as evidence of recklessness.  Id. at 357, 683 S.E.2d at 825.  As a result, the court reversed the grant of a directed verdict on punitive damages and remanded for a new trial. Id.

On appeal to this Court, Palmer asserts this was error, and that “evidence of a statutory violation alone, without more, is generally insufficient to send the issue of punitive damages to the jury.”  He contends the two statutes at issue codify the common law standards for safe speeds and following distances, and they do not establish bright-line standards; therefore, they should not form the basis for an award of punitive damages without other supporting evidence.

In reviewing a ruling on a motion for a directed verdict, this Court must view the evidence and all reasonable inferences from the evidence in the light most favorable to the party opposing the motion.  Weir v. Citicorp Nat’l Servs., Inc., 312 S.C. 511, 435 S.E.2d 864 (1993).  A case should be submitted to the jury when the evidence is susceptible of more than one reasonable inference. Unlimited Servs., Inc. v. Macklen Enters., Inc., 303 S.C. 384, 401 S.E.2d 153 (1991).   It is not the duty of the trial court to weigh the testimony in ruling on a motion for a directed verdict.  Young v. Bost, 241 S.C. 289, 128 S.E.2d 118 (1962).

Punitive damages are recoverable where there is evidence the defendant’s conduct was reckless, willful, or wanton.  Cartee v. Lesley, 290 S.C. 333, 350 S.E.2d 388 (1986).  Recklessness is the doing of a negligent act knowingly; it is a conscious failure to exercise due care, and the element distinguishing actionable negligence from a willful tort is inadvertence.  Berberich v. Jack, 392 S.C. 278, 287, 709 S.E.2d 607, 612 (2011).  The terms “willful” and “wanton” when pled in a negligence action are synonymous with “reckless” and import a greater degree of culpability than mere negligence.  Id. at 288, 709 S.E.2d at 612.  “Evidence that the defendant’s conduct breached this higher standard entitles the plaintiff to a charge on punitive damages.”  Id. (quoting Marcum v. Bowden, 372 S.C. 452, 458 n.5, 643 S.E.2d 85, 88 n.5 (2007)); see also S.C. Code Ann. § 15-33-135 (2005) (“In any civil action where punitive damages are claimed, the plaintiff has the burden of proving such damages by clear and convincing evidence.”).

“Ordinarily, the test is whether the tort has been committed in such a manner or under circumstances that a person of ordinary reason or prudence would have been conscious of it as an invasion of the plaintiff’s rights.”  Cartee, 290 S.C. at 337, 350 S.E.2d at 390.  “The test may also be satisfied by evidence of the causative violation of an applicable statute.”  Id.  “However, before punitive damages may be submitted to the jury, there must be evidence the statutory violation proximately contributed to the injury.”  Id.  “Ordinarily, whether or not the statutory violation contributed as a proximate cause to the injury is a question for the jury.”  Id.

“There must be some inference of a causal link between the statutory violation and the injury to warrant submitting the issue of punitive damages to the jury.”  Id. at 337-38, 350 S.E.2d at 390.  For example, in Cartee the Court noted that if, in a case by beneficiaries against trustees for mismanaging assets, the trustees had been guilty of driving without their driver’s licenses, they would have been guilty of violating a statute; however, that violation could have nothing to do with the injuries claimed by beneficiaries and would not justify a charge on punitive damages because “[s]ome inference of causation must be shown.”  Id. at 338 n.3, 350 S.E.2d at 390 n.3; see also Austin v. Specialty Trans. Servs., Inc., 358 S.C. 298, 594 S.E.2d 867 (Ct. App. 2004) (stating the causative violation of a statute constitutes negligence per se and is evidence of recklessness and willfulness, requiring submission of the issue of punitive damages to the jury).

In Copeland v. Nabors, 285 S.C. 340, 329 S.E.2d 457 (Ct. App. 1985), the Court of Appeals found the record contained evidence from which the jury could have inferred that Nabors violated one or more statutes relating to maximum speed limits and to overtaking and passing vehicles proceeding in the same direction and that Nabors thereby engaged in conduct warranting an award of punitive damages.  Likewise, in Field v. Gregory, 230 S.C. 39, 94 S.E.2d 15 (1956), this Court found evidence of the violation of at least three applicable traffic statutes, which resulted in a traffic collision, warranted the submission of punitive damages to the jury.  We stated, “The violation of an applicable statute is negligence per se, and whether or not such breach contributed as a proximate cause to [the] plaintiff’s injury is ordinarily a question for the jury.”  Id. at 44, 94 S.E.2d at 18 (citation omitted).  We observed that “[c]ausative violation of an applicable statute constitutes actionable negligence and is evidence of recklessness, willfulness and wantonness.”  Id. at 46, 94 S.E.2d at 19 (citing Morrow v. Evans, 223 S.C. 288, 295, 75 S.E.2d 598, 601 (1953)); accord Padgett v. Colonial Wholesale Dist. Co., 232 S.C. 593, 103 S.E.2d 265 (1958); Vernon v. Atlantic Coast Line R. Co., 221 S.C. 376, 70 S.E.2d 862 (1952); Ralls v. Saleeby, 178 S.C. 431, 182 S.E. 750 (1935); Lumpkin v. Mankin, 136 S.C. 506, 134 S.E. 503 (1926).

In Daniels v. Bernard, 270 S.C. 51, 240 S.E.2d 518 (1978), this Court held that testimony that a witness saw two vehicles traveling north on Highway 52, that Bernard’s vehicle was trailing the vehicle driven by Daniels and gaining on Daniels’s vehicle, and that the Bernard automobile rammed into the rear of Daniels’s vehicle was evidence from which the jury could have reasonably inferred that Bernard was following too closely and was failing to maintain a proper lookout.  Id. at 55, 240 S.E.2d at 519-20.  The Court noted following too closely was a violation of section 56-5-1930 and “the violation of a statute is negligence per se and is evidence of recklessness and willfulness, requiring the submission of the issue of punitive damages to the jury.”  Id. at 55, 240 S.E.2d at 520 (citing Jarvis v. Green, 257 S.C. 558, 186 S.E.2d 765 (1972) and Still v. Blake, 255 S.C. 95, 177 S.E.2d 469 (1970)).  The DanielsCourt concluded the trial court erred in holding there was no evidence of recklessness to sustain an award for punitive damages. Id. at 56, 240 S.E.2d at 520.

Similarly, in the current appeal, we find the trial court erred in granting a directed verdict on the issue of punitive damages.  It is not the duty of a trial court to weigh the evidence.  Viewing the evidence and its reasonable inferences in the light most favorable to Fairchild, as both the trial court and this Court are required to do, we hold there is evidence to create a jury question as to whether or not Palmer acted with recklessness, thus requiring submission of the issue of punitive damages to the jury.

Palmer was driving a commercial-sized truck, towing a 28-foot trailer, and hauling a motorcycle, and his combined weight exceeded eight and one-half tons.  Palmer knew he was approaching an area of merging traffic and possible congestion on I-95 near several rest areas, and he acknowledged that it was an area “where a lot of accidents happen.”  Palmer further described the traffic around his truck prior to the collision as “typical crazy interstate 95 traffic, you know, everybody running together.”  He also was aware of the potential that traffic could slow down to a crawl due to a wreck or other conditions, and he knew of the need to maintain a safe stopping distance for such a large vehicle.

Palmer acknowledged that he maintained a “pretty steady speed” of 65 to 70 miles per hour to avoid “giving distance” that would let other vehicles cross into his lane ahead of him.  He also stated he was “maybe a hundred feet or more” behind Fairchild when she first applied her brakes.  Palmer maintained he did not even notice Fairchild until right before the impact.

We further agree with the Court of Appeals that there is evidence that Palmer might have violated section 56-5-1520(A) (circumstances requiring a reduction in speed) and section 56-5-1930(a) (following too closely), and there is an inference that the violations of these statutes were the proximate cause of the accident.  Therefore, Fairchild’s claim for punitive damages should have been submitted to the jury.

Moreover, even where the trial court has submitted the issue of punitive damages to a jury, the defendant still has an opportunity to challenge the propriety of any resulting punitive damages award.  The trial court has the authority to review the punitive damages award and if the court finds the award is inappropriate or excessive, it has the discretion to order a new trial or remittitur.  See generally Mitchell v. Fortis Ins. Co., 385 S.C. 570, 686 S.E.2d 176 (2009) (stating a reviewing court should consider the following set of factors in conducting a post-judgment review of an award of punitive damages:  (1) the degree of reprehensibility of the defendant’s conduct, (2) the disparity between the actual or potential harm suffered by the plaintiff and the amount of the punitive damages award, and (3) the difference between the punitive damages awarded by the jury and the civil penalties authorized or imposed in comparable cases).

B.  Intervening Negligence of Third Party 

Palmer next contends the Court of Appeals erred in determining the trial court should have charged the jury on the intervening negligence of a third party.

Fairchild submitted three proposed instructions (Plaintiff’s Requests to Charge #11, #12, & #13) regarding intervening negligence, which included several variations on the following principles:

The intervening negligence of a third party will not excuse the original wrongdoer if such intervention ought to have been foreseen in the exercise of due care.

It is the law in South Carolina that the negligence of a treating doctor is reasonably foreseeable.  It is the general rule that if an injured person uses ordinary care in selecting a physician for treatment of his injury, the law regards the aggravation of the injury resulting from the negligent act of the doctor as part of the immediate and direct damages which naturally flow from the original injury.

The trial court declined to give the requested instructions on the basis there was no evidence of negligent treatment by an attending physician.

The Court of Appeals held this was error, noting that during the trial Palmer had stressed the side effects of the drugs prescribed for Fairchild during treatment for her injuries and had suggested that she was overmedicated.  Fairchild, 385 S.C. at 352, 683 S.E.2d at 822.  Palmer had implied that the overmedication, rather than his own negligence, was the source of many of Fairchild’s ailments. Id.  The Court of Appeals additionally noted that, to support this theory, “Palmer called and questioned several doctors and nurses to discuss Fairchild’s course of treatment.”  Id.  The Court of Appeals found that “[t]he following statement by [Palmer’s] counsel made during closing arguments, in particular, was convincing that the charges were relevant:  ‘So ask yourself, is it the chronic post-traumatic headache that is the disabling headache, or is it the medication over-use that is the disabling headache?’ ”  Id. at 352, 683 S.E.2d at 822-23.  The court concluded it was error to refuse to give the requested instruction and further found that, “given the jury’s verdict and the amount of damages at issue,” the ruling could have impacted the jury’s verdict, resulting in prejudice.  Id. at 352, 683 S.E.2d at 823.

Palmer acknowledges that the proposed charges correctly state the current law in South Carolina,[4] but maintains there were no references made at trial to a negligent act or omission by a treating physician.  Palmer also states that he did not seek a charge on whether the intervening negligence of a third party severed the causal connection between Palmer’s negligence and Fairchild’s injury, and this is an affirmative defense, citing Small v. Pioneer Machinery, Inc., 316 S.C. 479, 450 S.E.2d 609 (Ct. App. 1994) (holding the defense of a third-party’s intervening acts of negligence does not break the causal chain if the acts are foreseeable).

“Ordinarily, a trial judge has a duty to give a requested instruction that correctly states the law applicable to the issues and evidence.”  Ross v. Paddy, 340 S.C. 428, 437, 532 S.E.2d 612, 617 (Ct. App. 2000).  “Where a request to charge is timely made and involves a controlling legal principle, a refusal by the trial judge to charge the request constitutes reversible error.”  Id.  “Moreover, when general instructions to the jury are insufficient to enable the jury to understand fully the law of the case and issues involved, a refusal to give a requested charge is reversible error.”  Id.

It is the court’s duty to instruct the jury on the law, and “[t]he jury ought not to be left to cut a way through the woods with no compass to guide it.”  Collins-Plass Thayer Co. v. Hewlett, 109 S.C. 245, 253-54, 95 S.E. 510, 513 (1918), cited in Eaddy v. Jackson Beauty Supply Co., 244 S.C. 256, 259, 136 S.E.2d 297, 298 (1964).

To warrant reversal, the refusal to give a requested jury charge must be both erroneous and prejudicial.[5]  Cole v. Raut, 378 S.C. 398, 663 S.E.2d 30 (2008); Pittman v. Stevens, 364 S.C. 337, 613 S.E.2d 378 (2005); Jones v. Ridgely Commc’ns, Inc., 304 S.C. 452, 405 S.E.2d 402 (1991); Daves v. Cleary, 355 S.C. 216, 584 S.E.2d 423 (Ct. App. 2003); Merritt v. Grant, 285 S.C. 150, 328 S.E.2d 346 (Ct. App. 1985).

We find the charge requested by Fairchild was necessary to allow the jury to properly evaluate proximate cause and resulting damages, and its omission resulted in prejudice to Fairchild.  There was an abundance of testimony elicited by Palmer on the allegation that overmedication by Fairchild’s physicians was a possible cause of many of Fairchild’s ailments.  Palmer’s message throughout the trial was that he should not be held responsible for any resulting symptoms in Fairchild that might have been caused by or exacerbated by overmedication or the treatment of Fairchild’s physicians.

For example, Palmer called Dr. James Ballenger, a psychiatrist, as an expert witness for the defense.  Dr. Ballenger testified “that the most likely reason [Fairchild’s] headaches got so much worse from ’02 to at least ’05 or maybe into ’06, was that . . . a decision was made to go into big-time medications.  Oxycontin was the first one.”  (Emphasis added.)  He opined that Fairchild’s difficulties were likely linked to “rebound headache syndrome . . . meaning you have the headache; you take very strong medicines; it goes away, it comes out of your system, and you get a headache ultimately caused by taking the medicine.”  Although Palmer also states there was testimony that the overmedication could also be based on Fairchild’s own conduct, the implication here clearly was that a treating physician made the decision “to go into big-time medications” and that this was not the best course of treatment.  Palmer also called Dr. Robert Richey, an internist who had treated Fairchild.  Dr. Richey asserted Fairchild “was on a cornucopia of medicine,” and he expressed reservations about several drugs, including Sulfasalazine and Indocin, prescribed by Fairchild’s other physicians and he detailed the potential side effects from these drugs.

Further, in cross-examining Fairchild’s witnesses, Palmer repeatedly questioned the type of medical treatment she had received and whether she had suffered adverse effects, such as increased pain and medical “intoxication,” from the prescribed treatment.  The clear purpose of Palmer’s repeated line of questioning in this regard was to reduce the assessment of damages by distinguishing any harm he believed was caused by Fairchild’s medical treatment and alleged overmedication from any harm he allegedly caused in the motor vehicle collision.

Under these particular circumstances, where Fairchild’s treatment and medical condition were the focus of so much of the testimony, the charge should have been given to avoid confusion for the jury and to aid it in properly evaluating proximate cause and damages.  We agree with the Court of Appeals that the failure to give the requested charge was error warranting reversal.  See, e.g., Eaddy, 244 S.C. at 259, 136 S.E.2d at 298 (concluding where the request to charge was of a controlling principle of law and was timely made, the refusal of the charge was error requiring reversal and a new trial).

C.  Palmer’s Motion for an IME by Dr. James Ballenger   

Palmer next contends the Court of Appeals erred in holding the trial court did not abuse its discretion in denying his motion for an IME to be performed by Dr. James C. Ballenger.

Palmer filed a pretrial motion, pursuant to Rule 35 of the South Carolina Rules of Civil Procedure, for an IME to be performed on Fairchild by Dr. Ballenger.  Dr. Ballenger is a psychiatrist who had been retained by Palmer as an expert witness regarding Fairchild’s alleged injuries.

Fairchild did not oppose an IME, but objected to Dr. Ballenger being designated the examining physician because he had a pre-existing relationship with Palmer.  Specifically, Fairchild asserted the following:  (1) some four months earlier, Palmer had named Dr. Ballenger as an expert witness for the defense and had paid him a retainer; (2) Dr. Ballenger had already examined some of Fairchild’s medical records that were sent to him by Palmer; (3) Dr. Ballenger had already formed opinions about her condition prior to an IME; (4) Dr. Ballenger was expected to testify as a defense witness at trial; and (5) Dr. Ballenger had been referred to Palmer by another expert who had also been retained by Palmer to question the extent of Fairchild’s injuries.

The trial court denied Palmer’s motion to have Dr. Ballenger perform an IME.  The trial court found Dr. Ballenger’s prior work on Fairchild’s case as a retained expert for the defense and the fact that Palmer had sent Dr. Ballenger not only Fairchild’s medical records, but also the transcripts of depositions of some of Fairchild’s treating physicians in advance of his request for an IME, formed the basis for a reasonable objection to the appointment of Dr. Ballenger.  The trial court further stated that, upon being instructed to submit a list of alternative physicians for the court to consider for the IME, Palmer had informed the court that he was unwilling to pay for an examination to be made by any physician other than Dr. Ballenger.  The trial court concluded that, “given this election by [Palmer], [it was] left with no alternative other than to deny the motion.”

The Court of Appeals determined the trial court did not abuse its discretion in denying Palmer’s motion to have Dr. Ballenger perform an IME on Fairchild.  Fairchild, 385 S.C. at 360, 683 S.E.2d at 827.  Palmer argues this was error, as Fairchild did not assert a “reasonable objection” under Rule 35(a), SCRCP to the appointment of Dr. Ballenger.  Palmer contends a physician’s prior relationship with the defendant and his or her familiarity with the case should not preclude the physician from being selected by the defendant to perform the examination.[6]  Both parties have observed that there are no South Carolina decisions specifically addressing the provision for a “reasonable objection” under Rule 35(a), SCRCP.

“In interpreting the meaning of the South Carolina Rules of Civil Procedure, the Court applies the same rules of construction used to interpret statutes.”  Maxwell v. Genez, 356 S.C. 617, 620, 591 S.E.2d 26, 27 (2003).  “If a rule’s language is plain, unambiguous, and conveys a clear meaning, interpretation is unnecessary and the stated meaning should be enforced.”  Id.see also Stark Truss Co. v. Superior Constr. Corp., 360 S.C. 503, 508, 602 S.E.2d 99, 102 (Ct. App. 2004) (stating where the language of a court rule is clear and unambiguous, the court is obligated to follow its plain and ordinary meaning without resort to forced construction to limit or expand the rule); cf. Muci v. State Farm Mut. Auto. Ins. Co., 732 N.W.2d 88, 93 (Mich. 2007) (“The interpretation of court rules and statutes presents an issue of law that is reviewed de novo.”).

A trial court’s rulings in matters related to discovery generally will not be disturbed on appeal in the absence of a clear abuse of discretion.  Dunn v. Dunn, 298 S.C. 499, 381 S.E.2d 734 (1989); Creighton v. Coligny Plaza Ltd. P’ship, 334 S.C. 96, 512 S.E.2d 510 (Ct. App. 1998).  An abuse of discretion occurs when the trial court’s order is controlled by an error of law or when there is no evidentiary support for the trial court’s factual conclusions.  Sundown Operating Co. v. Intedge Indus., Inc., 383 S.C. 601, 681 S.E.2d 885 (2009).

Rule 35 of the South Carolina Rules of Civil Procedure governs requests for physical and mental examinations and provides in relevant part as follows:

In any case in which the amount in controversy exceeds $100,000 actual damages, and the mental or physical condition (including the blood group) of a party, or of a person in the custody or under the legal control of a party, is in controversy, the court in which the action is pending may order the party to submit to a physical or mental examination by a physician or to produce for examination the person in his custody or legal control.  The order may be made only on motion for good cause shown . . . .

The physician of the party to be examined may be present at the examination.  Unless the parties agree, or the court for good cause shown determines otherwise, the examination shall be in the county where the person to be examined, or his physician, resides.  . . .  Upon reasonable objection to the physician designated to make the examination, and if the parties shall fail to agree as to who shall make the examination, the court may designate a physician; but the fact that a physician was so designated shall not be admissible upon the trial.

Rule 35(a), SCRCP (emphasis added).  The official Notes to Rule 35(a), SCRCP observe that the first paragraph of Rule 35(a) is based on the Federal Rule on this subject, but the second paragraph is not included in the Federal Rule.  The second paragraph was specifically added by this Court to establish limits on the use of this procedure.[7]

Under the plain language of Rule 35(a), the defendant clearly does not have the right to unilaterally select the examining physician; rather, the court alone has the right to make the appointment.  The rule contemplates that the parties will confer on this point to make suggestions, but where a “reasonable objection” has been interposed and the parties cannot agree, the court will make the selection.  See Rule 35(a), SCRCP (providing upon reasonable objection and “if the parties shall fail to agree as to who shall make the examination, the court may designate a physician”); see also Rule 11(a), SCRCP (stating motions should generally contain an affirmation that the movant’s counsel communicated with opposing counsel prior to filing the motion to make a good faith effort to resolve the matter).

A “reasonable objection” in this context simply means the reason for the objection must not be frivolous.  What is reasonable will depend on the individual facts and circumstances of the case, which is precisely why the determination of this matter, as in other discovery and evidentiary disputes, is best left to the sound discretion of the trial court.  See generally LeBlanc v. Cambo, 223 A.2d 311 (Conn. C.P. 1966) (observing what is a reasonable objection to a particular physician named to perform a physical examination is a matter that must of necessity be left to the trial court’s inherent discretion).

The purpose of the rule for an IME is to materially aid the jury, not just the defendant, in evaluating the actual damages sustained and arriving at a just verdict.  This purpose was recognized long before South Carolina law permitted such examinations.  See Best v. Columbia Elec. St. Ry., Light & Power Co., 85 S.C. 422, 428, 67 S.E.1, 3 (1910) (Woods, J., dissenting) (stating nothing can be more helpful to the jury in reaching a just estimate of the damages in a personal injury suit than knowledge of the true nature of the injury, and whenever it appears to the circuit court that an examination by impartial experts would materially aid the jury, the circuit court should order such examination to be made by disinterested experts).  Thus, the better rule is that the physician should not be affiliated with either party in order to serve the purposes of Rule 35.

In Richardson v. Johnson, 444 S.W.2d 708, 710 (Tenn. Ct. App. 1969), the Tennessee court, echoing these sentiments, listed a series of guidelines regarding court-ordered physical examinations, including, “The physician must be selected by the court, not the defendant, and must be competent and disinterested.”  The court stated “it is clear that the power so vested in the court is a discretionary power, and not an absolute right in the applicant, and that the physician or physicians so appointed act as officers of the court, and not as agents of either party.”  Id. at 712.  The court further observed that where claims concern injuries or disabilities that are based upon the subjective complaints of the plaintiff, “an impartial physician may have objective means of testing the subjective claims of the plaintiff[.]”  Id. As is further explained in a case from a Missouri court:

The law invests the trial court with authority to appoint physicians to make [a] physical examination of the plaintiff in a physical injury suit.  The defendant cannot demand it as a matter of right, but the court in its discretion may do it in the furtherance of justice.  When the court makes such an appointment, [it] does so because [it] determines in [its] discretion that the case calls for the opinion of disinterested and unbiased physicians, not friends of either parties, whose testimony is likely to be biased.

Atkinson v. United Rys. Co., 228 S.W. 483, 485 (Mo. 1921) (emphasis added) (internal citations omitted).  The Missouri court also recognized that a “court could not compel [a] plaintiff to submit to [a physical] examination by the witnesses for the other side,” and “[t]he physicians appointed in such cases are the officers of the court.”  Id.

In the current appeal, the finding of the trial court that Fairchild had interposed a reasonable objection to Dr. Ballard’s designation as the examining physician was a proper exercise of the trial court’s inherent discretion to rule on discovery matters and is amply supported by the record.  Dr. Ballenger was retained as a defense witness and had reviewed not only Fairchild’s medical records, but also the deposition testimony of other potential witnesses, and it was alleged that he had already formed adverse opinions regarding Fairchild’s injuries before the IME was requested.[8]  Under the circumstances present here, we agree with the Court of Appeals that Palmer has shown no abuse of discretion in this regard.

IV.  CONCLUSION

We affirm the decision of the Court of Appeals, which found reversible error in the trial court’s failure to submit the issue of punitive damages to the jury and to charge the jury on the intervening negligence of a treating physician, and found the trial court did not abuse its discretion in denying Palmer’s motion for an IME to be performed by Dr. Ballenger.

AFFIRMED.

TOAL, C.J., PLEICONES, KITTREDGE, JJ., and Acting Justice James E. Moore, concur.

[1]  Fairchild’s husband was also a plaintiff, but he is not a party to this appeal.

[2] “Palmer” shall also include his construction company, where applicable.

[3]  Palmer’s truck weighed 13,740 pounds, the trailer weighed 2,760 pounds, and the motorcycle he was transporting was 655.6 pounds.

[4]  See, e.g., Graham v. Whitaker, 282 S.C. 393, 321 S.E.2d 40 (1984); Young v. Tide Craft, Inc., 270 S.C. 453, 242 S.E.2d 671 (1978).

[5]  The Court of Appeals correctly cited this standard in its opinion.  However, Palmer takes issue with one case the court cited,Wells v. Halyard, 341 S.C. 234, 237, 533 S.E.2d 341, 343 (Ct. App. 2000), which states:  “An alleged error is harmless if the appellate court determines beyond a reasonable doubt that the alleged error did not contribute to the verdict.”  Palmer contends the “beyond a reasonable doubt” reference is a criminal standard that is not applicable in this civil case.  We agree, but find the citation to Wells did not affect the propriety of the conclusion reached by the Court of Appeals in Fairchild.

[6]  Palmer cites, e.g., Timpte v. District Court, 421 P.2d 728, 729 (Colo. 1966) (“So long as a plaintiff may select his own doctor to testify as to his physical condition, fundamental fairness dictates that a defendant shall have the same right, in the absence of an agreement by the parties as to who the examining physician will be.”).  The Timpte case applying Colorado state court rules, as well as other authority cited by Palmer applying Rule 35 of the Federal Rules of Civil Procedure, are inapposite because those rules do not contain the same provision present in Rule 35(a), SCRCP.  Further, we do not agree that a plaintiff chooses his or her own physician.  See John E. Parker & Jack L. Nettles, Automobile and Truck Accidentsin 1 The South Carolina Practice Manual199 (William Howard, Sr. & E. Warren Moise eds., 2000) (noting the plaintiff usually did not choose his or her physician; instead, treatment was provided by the physician on call at the hospital or the person was referred to the physician by another physician).

[7]  A somewhat similar procedure exists under workers’ compensation law, which allows the appointment of “a disinterested and duly qualified physician or surgeon” to examine the injured claimant.  S.C. Code Ann. § 42-17-30 (Supp. 2011).

[8]  Fairchild notes that, immediately after the denial of the motion for an IME, Palmer supplemented his discovery responses with a listing of adverse opinions regarding Fairchild’s injuries that Dr. Ballenger planned to testify to at trial.  Thus, Dr. Ballenger must have already formed these adverse opinions prior to the time an IME could have been scheduled.  Further, Dr. Ballenger did testify at trial as a defense witness for Palmer in accordance with these adverse opinions.

 

SC Accident Attorney – Suing in Magistrate’s Court

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THE STATE OF SOUTH CAROLINA
In The Supreme Court


Ronnie Judy, Appellant,

v.

Phillip Martin and Dorchester County Sheriff Ray Nash, Defendants,

of whom Phillip Martin is the Respondent.


Appeal from Dorchester County
Patrick  R. Watts, Circuit Court Judge


Opinion No.  26604
Submitted October 22, 2008 – Filed February 23, 2009


AFFIRMED


Glenn Walters Sr. and R. Bentz Kirby, both of Orangeburg, for Appellant.

Phillip Martin, of Marion, pro se Respondent.


CHIEF JUSTICE TOAL:  In this case, Appellant Ronnie Judy filed a declaratory judgment action seeking to declare an underlying magistrate’s judgment void ab initio for lack of subject matter jurisdiction.  The master-in-equity found in favor of Respondent Phillip Martin.  On appeal, Appellant claims that the magistrate lacked jurisdiction to render the underlying judgment, and that the master erred by assuming facts not in evidence, finding that Appellant was required to request removal to the court of common pleas, and finding that Respondent would suffer prejudice if the magistrate’s judgment was vacated.

Factual/Procedural Background

On May 8, 2000, Respondent filed suit in magistrate’s court against Appellant, seeking $2,500 in damages.  Appellant filed an Answer and Counterclaim in the amount of $6,500.  At the time, the jurisdictional limit in magistrate’s court was $5,000.[1]  The magistrate issued a trial notice for September 28, 2000.  Appellant claims he spoke with the magistrate on September 25, 2000, and that the magistrate told him the case was out of his jurisdiction and would be transferred to the circuit court.  Appellant failed to appear at trial and the case was tried in his absence.  The magistrate rendered a verdict for Respondent in the amount of $2,555.  Appellant appealed to the circuit court on November 6, 2000.  The magistrate’s return acknowledged the conversation with Appellant, but indicates that the magistrate told Appellant only that a claim for over $5,000 would be out of his jurisdiction but said nothing about transferring the case to circuit court.  The circuit court affirmed the magistrate’s judgment.  Appellant did not seek reconsideration from the circuit court or file an appeal.

Shortly after the final judgment, the sheriff issued an execution, which was returned nulla bona.  In 2004, the probate court issued an order placing certain real property in Appellant’s name, and Respondent had a Notice of Levy issued on the property.  Appellant thereby filed this action for declaratory judgment with the master, who determined that Appellant was not entitled to relief on the grounds that Appellant: (1) failed to seek removal of the case from magistrate’s court; (2) failed to appear in court to press his case for removal; (3) relied upon a verbal ex parte request by telephone for confirmation that the case would be transferred to circuit court; (4) failed to file a motion for reconsideration of the circuit court’s decision to uphold the magistrate’s judgment; (5) failed to appeal to the court of appeals; and (6) abandoned his defense of lack of subject matter jurisdiction until nearly four years later.  Appellant appealed the master’s order, and this Court certified the case pursuant to Rule 204(b), SCACR.  Appellant presents the following issues for review:

I.
Did the trial court err in failing to address the issue of subject matter jurisdiction and whether the judgment was void ab initio?
II.
Did the trial court err by assuming facts not in evidence and upholding the magistrate’s order based upon what he assumed the trial judge would have ruled?
III.
Did the trial court err by ruling that Appellant had to take an affirmative act to attempt to remove his case to Circuit Court?
IV.
Did the trial court commit error by ruling the Respondent would face prejudice relating to having to make complicated legal arguments, and ignoring the proper relief and the relief sought by the Appellant?

Standard of Review

Declaratory judgment actions are neither legal nor equitable and, therefore, the standard of review depends on the nature of the underlying issues.  Doe v. South Carolina Medical Malpractice Liability Joint Underwriting, 347 S.C. 642, 645, 557 S.E.2d 670, 672 (2001).  An action for declaratory judgment that a magistrate’s judgment is void for lack of subject matter jurisdiction is an action at law.  Therefore, the master’s findings of fact will not be disturbed on appeal unless found to be without evidence which reasonably supports them.  Harkins v. Greenville County, 340 S.C. 606, 621, 533 S.E.2d 886, 893 (2000).

Law/Analysis

In the first question presented for our review, Appellant alleges that the master-in-equity erred in refusing to declare the magistrate’s judgment void ab initio for lack of subject matter jurisdiction.  We disagree, and hold that Appellant may not seek relief from the prior unappealed order of the circuit court because the order has become the law of the case.

Under the law-of-the-case doctrine, a party is precluded from relitigating, after an appeal, matters that were either not raised on appeal, but should have been, or raised on appeal, but expressly rejected by the appellate court.   C.J.S. Appeal & Error § 991 (2008); see also Bakala v. Bakala, 352 S.C. 612, 576 S.E.2d 156 (2003) (holding that a family court judge could not overrule the prior unappealed order of another family court judge because it had become law of the case); In re Morrison, 321 S.C. 370 n. 2, 468 S.E.2d 651 n. 2 (1996) (noting that an unappealed ruling becomes the law of the case and precludes further consideration of the issue on appeal); Cooper Tire & Rubber Co. v. Perry et al, 261 S.C. 538, 201 S.E.2d 245 (1973) (holding that where a ruling on a demurrer to complaint is not appealed from, it becomes the law of the case); Watkins v. Hodge, 232 S.C. 245, __, 101 S.E.2d 657, 658 (1958) (refusing to consider jurisdictional matter of underlying case where issue had been ruled upon and not challenged on appeal).

In this declaratory judgment action, Appellant seeks to reopen the question of whether the magistrate had subject matter jurisdiction to hear the merits of the underlying dispute.  However, Appellant raised this issue and argued it before the circuit court on appeal from the magistrate’s judgment.  The circuit court denied Appellant’s appeal and affirmed the magistrate’s judgment.  Appellant did not file a motion for reconsideration, an appeal with the court of appeals, or a motion to set aside the judgment.  The circuit court’s unchallenged disposition on the magistrate’s subject matter jurisdiction therefore became the law of the case, and this Court declines to reopen that issue in this subsequent action. [2]

Conclusion

For the reasons stated herein, we affirm the ruling of the master-in-equity.

WALLER, BEATTY and KITTREDGE, JJ., concur. PLEICONES, J. concurring in result only.

[1] The current jurisdictional limit of $7,500 took effect on January 1, 2001.  S.C. Code Ann. § 22-3-10 (2008).

[2] The remaining three questions presented for our review each involve the master’s findings with regard to the magistrate’s jurisdiction, and are similarly foreclosed by the law-of-the-case doctrine.