From Casetext: Smarter Legal Research

Doe v. Yale University

Connecticut Superior Court, Judicial District of New Haven at New Haven
Dec 1, 1997
1997 Ct. Sup. 13731 (Conn. Super. Ct. 1997)

Opinion

No. CV-90-0305365-S

December 1, 1997 CT Page 13732


MEMORANDUM OF DECISION RE PLAINTIFF'S MOTION FOR SUMMARY JUDGMENT


This action, commenced via a two-count complaint dated August 10, 1990, claims damages in connection with injuries suffered by the plaintiff, John Doe, M.D., when the plaintiff became infected with HIV, the virus causing AIDS, as the result of his having been stuck by a hypodermic needle on August 18, 1988 while in the sixth week of a medical residency program at Yale-New Haven Hospital. The plaintiff thereafter applied for and received workers' compensation benefits from the intervening plaintiff, Yale-New Haven Hospital. In this action, the plaintiff alleges that his injuries were as the result of negligence on the part of the defendant University in failing to properly train and supervise him in the particular procedure that he was performing at the time of the incident.

General Statutes § 31-293 required the plaintiff to notify his employer, the Hospital, immediately upon the commencement of this action. Although the plaintiff commenced this action on August 10, 1990, however, he did not notify the Hospital of the commencement of the action until December 18, 1991, over a year and four months later. The notice was received by the Hospital on December 24, 1991, and it timely moved to intervene on January 20, 1992. The motion to intervene was granted by the court (O'Keefe, J.) on March 30, 1992, without objection. By the time the Hospital had intervened, however, the statute of limitations contained in General Statutes § 52-584 had long since expired.

General Statutes § 31-293 states, in pertinent part, "[i]f either the employee or the employer brings an action against the third person, he shall immediately notify the other, in writing, by personal presentation or by registered or certified mail, of the action and of the name of the court to which the writ is returnable, and the other may join as a party plaintiff in the action within thirty days after such notification, and, if the other fails to join as a party plaintiff, his right of action against the third person shall abate."

On September 16, 1997, the Appellate Court decided Nichols v. Lighthouse Restaurant, Inc., 46 Conn. App. 712 (1997), holding that although intervention by an employer was timely within the framework of General Statutes § 31-293, the employer's cause of action was nonetheless barred by the statute of limitations. On October 10, 1997, five years and ten months after the Hospital had moved to intervene in this action, and on the eve of trial, the plaintiff, relying on Nichols, moved for and received permission to file a motion for summary judgment directed against the Hospital, on the grounds that the motion to intervene and the intervening complaint were filed beyond the statutory limitation for actions of this type. The plaintiff also asserted that the intervening complaint is insufficient as a matter of law.

A claim that the motion to intervene was not filed within thirty days after receipt of the plaintiff's notice has been abandoned.

The defendant has taken no position with regard to either the motion for permission to file summary judgment or the motion for summary judgment itself, but the intervening plaintiff has objected strenuously. This court granted the motion for permission, but without prejudice to the right of any party to renew, in briefs or oral argument directed at the motion for summary judgment itself, any arguments that it had raised in connection with the motion for permission to file motion for summary judgment. The plaintiff and intervening plaintiff did file memoranda of law, and the court heard oral argument on December 17, 1997.

Although on October 22, 1997 the Supreme Court granted the petition for certification of the appeal in Nichols, 243 Conn. 938 (1997), the Appellate Court's decision represents the current law in this State. It is plain that the majority in Nichols would have held that, had the defendant interposed a timely statute of limitations special defense in this case and later moved for summary judgment, the defendant would have been entitled to a judgment in its favor with respect to the intervening complaint.

As mentioned earlier, however, the defendant has not asserted such a special defense, and our law is that the question of whether a statute of limitations has expired prior to the commencement of an action must be raised as a special defense to a complaint. Practice Book § 164 states that, "[f]acts which are consistent with. . . [a plaintiff's statement of facts] but show, notwithstanding, that he has no cause of action, must be specially alleged. Thus, . . . the statute of limitations. . . must be specially pleaded. . ." "Where a statute of limitations is procedural, it is subject to waiver; unless specifically pleaded it is deemed waived and the remedy continues beyond the prescribed period." Moore v. McNamara, 201 Conn. 16 (1986).

Thus, our rules of practice appear to limit the universe of parties that are able to contest the viability of a complaint on the grounds of the statute of limitations to those against whom the complaint is directed. The plaintiff, who now seeks summary judgment with respect to the intervening complaint, has not filed a special defense, nor could he do so in light of the fact that the Hospital's complaint is brought not against him but against the University. Whether the plaintiff may nonetheless seek summary judgment against the intervening employer appears to be an issue of first impression in this state.

The Hospital thus argues, as a threshold matter, that the plaintiff lacks standing to contest the complaint on the basis of the alleged expiration of the statute of limitations. It cites decisions in other kinds of third party complaints as support for its position. See, for example, New Haven Savings Bank v. Valley View Joint Venture, 1993 WL 360450 (Kocay, J. Sept. 7, 1993), in which the court held that "[u]nder the terms of the present Revised Third party complaint, he has no standing to move for summary judgment therein as he is not a party to that third party complaint.") Thus, the hospital contends, this plaintiff lacks standing even to move for summary judgment because Dr. Doe is not a party to the intervening complaint.

The Hospital's claim against the defendant University is that, if the University is liable to Doe, it is also liable to the Hospital to the extent that it is obligated to pay worker's compensation benefits to Doe. In an action in which an employer has intervened pursuant to General Statutes § 31-293, the intervening complaint is filed against the defendant/"third person" and not against the employee because under the terms of that statute, the employer's cause of action is against the "third person" and not against the employee: "Any employer having paid, or having become obligated to pay, compensation under the provisions of . . . [the Worker's Compensation Act] may bring an action against the third person to recover any amount that he has paid or has become obligated to pay as compensation to the injured employee. . ." (emphasis added). The terms of the statute govern the pleadings and clearly state that the intervening plaintiff directs its pleadings against the third person. As the intervening complaint is not directed against the plaintiff, the plaintiff does not plead to it and is not eligible to raise the statute of limitations as a special defense to it. "The general rule is that one party has no standing to raise another's rights." Delio v. The Earth Garden Florist, Inc., 28 Conn. App. 73, 78 (1992).

In Malerba v. Cessna Aircraft Co., 210 Conn. 189, 192 (1989), the Supreme Court considered whether a plaintiff had the ability to challenge a third-party complaint:

`When standing is put in issue, the question is whether the person whose standing is challenged is a proper party to request an adjudication of the issue. . . .' Mystic Marinelife Aquarium, Inc. v. Gill, 175 Conn. 483, 492 (1978). `[Standing is] ordinarily held to have been met when a complainant makes colorable claim of direct injury he . . . is likely to suffer. . . ." Maloney v. Pac, 183 Conn. 313, 321 (1981).

The question then is whether the third party complaint and the parties it draws into the action create a risk of direct injury to the original plaintiff. Injury in this context includes procedural injury to the cause of action.

The Malerba court then examined the nature of the relationship between a plaintiff and a third-party defendant and concluded that:

[i]t is apparent that Practice Book § 117 thus arms a third party defendant with the full panoply of procedural options available to address not only the claim of the third party plaintiff but also the claim of the original plaintiff against the original defendant. The addition of two defendants with perhaps greater insights as to both the factual and legal ramifications of the original cause of action creates at least a colorable claim of a likelihood of injury to the plaintiff's cause of action.

Id. at 193. Therefore, the court concluded that the plaintiff had standing to challenge the sufficiency of the third party complaint.

The Hospital contends that unlike the third party complaint which was at issue in Malerba, no such adverse relationship exists between the plaintiff and the intervening plaintiff. The intervening plaintiff's complaint does not cause any injury to the plaintiff, although it can reduce the amount of the plaintiff's recovery against the defendant by amounts which are paid or payable to the plaintiff by the employer pursuant to the Workers' Compensation Act. Indeed, this court has already concluded that for purposes of allocating peremptory challenges during jury selection, the plaintiff and intervening plaintiff shared a "unity of interest", and it therefore refused the Hospital's request for any peremptories.

"Standing depends, in the first instance, upon a party's proof of aggrievement." AFSCME Council 4, Local 681, AFL-CIO v. West Haven, 43 Conn. Sup. 470, 481, 662 A.2d 160, aff'd, 234 Conn. 217, 661 A.2d 587 (1995). Proof of aggrievement requires the satisfaction of the following two prong test: "First, . . . [that she has] a `specific, personal and legal interest in the subject matter of the decision, as distinguished from a general interest, such as is the concern of all members of the community as a whole.' Nader v. Altermatt, 166 Conn. 43, 51, 347 A.2d 89 (1974) . . . . Second, . . . that this specific, personal and legal interest has been injuriously affected by the challenged action Id., 51." Id.

Plaintiff directs the court's attention to the analogy of apportionment plaintiffs who have claimed that a plaintiff in the underlying case with no direct claim against the apportionment plaintiff or apportionment defendant has no standing to challenge the legal sufficiency of pleadings filed by the apportionment plaintiff against an apportionment defendant. The Superior Court judges who have addressed this issue appear to have uniformly held that such a plaintiff does have standing to attack apportionment pleadings based on their deleterious effect on the plaintiff's recoverable damages. See, e, g., Tito v. Burghoff, Superior Court, judicial district of Litchfield, Doc. no. 07 06 43, 19 CONN. L. RPTR. 561, 1997 Conn. Super. LEXIS 1376 (May 27, 1997) (Sheldon, J.). In Tito, supra, at 6-7, Judge Sheldon wrote:

Applying the foregoing [standing] test to the claim herein presented, it is apparent that the plaintiff has standing to pursue her motion to strike [the apportionment plaintiff's complaint]. The plaintiff's interest in the pendency and legal sufficiency of the defendants' apportionment complaint is no mere "general interest, such as is the concern of all members of the community as a whole." Nader v. Altermatt, supra. Rather, it is a specific, personal and legal interest in a matter that may substantially affect her ability to recover damages in this case. If the defendants prove their claim against the apportionment defendants, the result will be a diminution in the size of any damages award the plaintiff may recover from the defendants. If, on the other hand, they either fail to prove their claim or are legally disenabled from pursuing it due to the late service of the apportionment complaint, the plaintiffs' damages award against the defendants will not be subject to reduction due to the negligence of the apportionment defendants' decedent. Against this background, there is no question that the plaintiff is vitally interested in the outcome of any challenge to the legal sufficiency of the defendants' apportionment complaint. Because she would be "injuriously affected" by the rejection of such a challenge, she has standing to pursue it under our law.

See also Danko v. Redway, Superior Court, judicial district of Middlesex at Middletown, Doc. no. 9574648, 20 CONN. L. RPTR. 281, 1997 Conn. Super. LEXIS 2494, p. 2 (September 17, 1997) (Fineberg, J.) (plaintiff has standing to challenge apportionment complaint); Clark v. VIN Agency, Superior Court, judicial district of Fairfield at Bridgeport, Doc. no. 32 69 40, 20 CONN. L. RPTR. 286, 1997 Conn. Super. LEXIS 2223, p. 4 (August 18, 1997) (Skolnick, J.) (plaintiff has standing to challenge apportionment complaint).

The analogy, however, is flawed. To be sure, the plaintiff here has an interest in whether the employer is going to be successful in obtaining reimbursement of its worker's compensation benefits on behalf of the plaintiff, and it is by no means a mere "general interest." The intervening complaint of an employer, however, does not affect the plaintiff's right to recover against the defendant, nor does it affect the percentage of any verdict which might be recovered from any particular defendant. The plaintiff's interest is rather whether he will be able to effect a double recovery for the same damages, enabling him to keep the worker's compensation benefits already received, as well as to receive such benefits in the future, while at the same time using the same special damages as the basis for a verdict against the defendant.

The purposes of intervention pursuant to General Statutes § 31-293 are to permit the employer to recover from a tortfeasor any amounts which the tortfeasor's acts have caused it to expend on behalf of the employee, and also to prevent the plaintiff from recovering twice for the same expenses. Any interest on the part of a plaintiff-employee in thwarting these purposes is not on the same level as that of a plaintiff seeking to have an impact on an defendant-apportionment plaintiff's effort to diminish its liability. "The right of an employer to obtain reimbursement from a third party tortfeasor for workers' compensation benefits paid serves the public policy of preventing double recovery by an injured employee." Durniak v. August Winter Sons, Inc., 222 Conn. 775, 779-80 (1992). The participation of the employer does not diminish the plaintiff's right to obtain that which is rightfully his. Rather, public policy is served by preventing the plaintiff from receiving damages in excess of what is fair, just and reasonable. This is the entire basis behind allowing an employer to intervene in the employee's third party action and can not be considered an injury to the plaintiff.

In light of the plaintiff's inability to seek judgment based on a statute of limitations defense which he lacks the standing to raise, it is unnecessary to consider the Hospital's contention that the plaintiff has waived this defense by waiting six years to raise it, nor is it necessary to examine the intervening plaintiff's arguments as to why the Nichols decision should be found inapplicable to the present situation. Additionally, this court declines the intervening plaintiff's invitation to anticipate the Supreme Court's ruling in Nichols and reach a result contrary to that reached by the Appellate Court.

The plaintiff has also argued, persuasively, that the intervening plaintiff's complaint, which alleges no wrongdoing on the part of the defendant but merely alleges that the plaintiff has received compensation benefits from the Hospital and has brought an action against the defendant, is insufficient. Even if the plaintiff had standing to raise his issue, however, the court construes his failure to raise it until the proverbial eve of trial as a waiver of this claim. The plaintiff is therefore not entitled to judgment on the intervening complaint as a matter of law, but, in the interest of clarity of pleading, the court does order the intervening plaintiff to amend its complaint so that it sets forth claim against the defendant University.

Unlike his statute of limitations claim, which the plaintiff arguably could not have known of until the decision in Nichols, the insufficiency claim was as available and as apparent six years ago as it is now.

For all of the above reasons, the plaintiff's motion for summary judgment is denied.

Jonathan E. Silbert, Judge


MEMORANDUM OF DECISION RE DEFENDANT'S MOTION FOR SUMMARY JUDGMENT


This action, commenced via a two-count complaint dated August 10, 1990, claims damages in connection with injuries suffered by the plaintiff, John Doe, M.D., when the plaintiff became infected with HIV, the virus causing AIDS, as the result of his having been stuck by a hypodermic needle at Yale-New Haven Hospital on August 18, 1988 while in the sixth week of Yale University's medical residency program. The plaintiff thereafter applied for and received workers' compensation benefits from the intervening plaintiff, Yale-New Haven Hospital. In this action, the plaintiff alleges that his injuries were as the result of negligence on the part of the defendant University in failing to properly train and supervise him in the particular procedure that he was performing at the time of the incident.

Specifically, Dr. Doe alleges that he began his residency program in July of 1988. On August 15, 1988, he was assigned to the intensive care unit at Yale-New Haven Hospital where he came under the supervision of Dr. Allison Heald, the senior resident in charge of the ICU. Dr. Heald was responsible for supervising Dr. Doe and three other interns. On August 18, 1988, Dr. Heald is alleged to have ordered Dr. Doe to change the arterial line in a terminally ill AIDS patient without any supervision from Dr. Heald and without having received proper training in the procedure.

Pursuant to Practice Book § 379, defendant Yale University (the "University") has now moved for summary judgment, based on its contention that plaintiff's complaint, which it says amounts to a claim of educational malpractice, is not cognizable under Connecticut law. Summary judgment may be granted when the pleadings, affidavits and other proof submitted demonstrate that there is no genuine issue of material fact and that the moving party is entitled to judgment as a matter of law. Practice Book § 384; Connelly v. Housing Authority of the City of New Haven, 213 Conn. 354, 364 (1990); Wilson v. City of New Haven, 213 Conn. 277, 279 (1989); Burns v. Hartford Hosp., 192 Conn. 451, 455 (1984) Bartha v. Waterbury House Wrecking Co., 190 Conn. 8, 11 (1983). "The test is whether the party would be entitled to a directed verdict on the same facts." Connelly, 213 Conn. at 364; State v. Goggin, 208 Conn. 606, 616 (1988). "The motion for summary judgment is designed to eliminate the delay and expense of litigating an issue when there is no real issue to be tried." Wilson, 213 Conn. at 279.

In Gupta v. New Britain General Hospital, 239 Conn. 574 (1996), the Connecticut Supreme Court joined those states that have rejected educational malpractice claims brought by students and others challenging the adequacy or quality of the education provided to their intended recipients. See, Ross v. Creighton University, 957 F.2d 410 (1992); Houston v. Mile High Adventist Academy, 846 F. Sup. 1449 (1994); Clarke v. Trustees of Columbia University, 1996 U.S. Dist. LEXIS 15620 (S.D.N.Y. 1996); Moore v. Vanderloo, 386 N.W.2d 108 (Iowa 1986); Donohue v. Copiague Union Free School District, 391 N.E.2d 1352 (N.Y. 1979); Hoffman v. Board of Education of the City of New York, 49 N.Y.2d 121, 400 N.E.2d 317. 424 N.Y.S.2d 376 (1979) and Doe v. Board of Education of Montgomery County, 295 Md. 67, 453 A.2d 814 (1982). Turner v. Rush Medical College, 537 N.E.2d 890 (Ill.App. ), appeal denied, Turner v. Rush Medical College, 545 N.E.2d 133 (Ill. 1989); Peter v. San Francisco Unified School District, 60 Cal.App.3d 814 (1976); Cavaliere v. Duff's Business Institute, 605 A.2d 397 ( Pa. Super. 1992); Swidryk v. St. Michael's Medical Center, 493 A.2d 641 (N.J.Super. 1985).

These cases, however, uniformly involve fairly broad challenges to the overall quality of a particular educational program. They have tended to focus generally, although not exclusively, on primary and secondary education received in public schools and to involve claims either of 1) failure of a particular educational program to equip the would-be recipient with the skills and knowledge reasonably to be expected of such a program, or 2) improper diagnosis of learning disabilities.

The few cases that have considered a plaintiff's attempt to state a claim for educational malpractice in the context of medical school training have involved injury to a third person. Two of these were claims brought by an injured third person against Palmer College of Chiropractic, alleging injuries as a result of chiropractic methods and techniques taught at the school to the chiropractors who treated them. Salter v. Natchitoches Chiropractic Clinic, 274 So.2d 490 (La.App. 1973) and Moore v. Vanderloo, 386 N.W.2d 108 (Iowa 1986). These claims were appropriately rejected.

The other case involved a plaintiff physician who brought a declaratory judgment action against his medical school claiming educational malpractice related to an incident that occurred during his residency and which resulted in his being sued for medical malpractice. Swidryk v. St. Michael's Medical Center, 201 N.J. Super. 601, 493 A.2d 641 (1985). He claimed that the school failed to supervise the intern and residency programs properly and provide a suitable environment for his medical educational experience. As a result, he contended, he was rendered vulnerable to the medical malpractice complaint made against him in the underlying action.

The court ruled against the plaintiff, relying in part on, and deferring to, New Jersey's strict statutes and regulations governing medical educational programs. The court was also concerned as a matter of public policy that it would be unwise to recognize a claim for educational malpractice where an individual physician is attempting to defend against a medical malpractice claim. Such a practice would invite an educational malpractice trial within every medical malpractice case.

Against the backdrop of all of these cases, it is apparent that the plaintiff's claim in this case is not a claim for educational malpractice. Dr. Doe does not claim a failure in the defendant's overall educational program or that education did not equip him to be a good doctor. Instead, his is a very precise claim based on Yale's alleged failure to train him adequately in needle safety and in the performance of the arterial line insertion which is the subject of this case, as well as the failure to supervise him as he undertook to perform that task, with the result that he sustained a life threatening personal injury.

In short, this is a claim of negligence in which the plaintiff must prove duty, breach of duty, proximate cause and damages. The test for the existence of a legal duty of care entails a determination of whether an ordinary person in the defendant's position, knowing what the defendant knew or should have known, would "anticipate that harm of the general nature of that suffered was likely to result." Zamstein v. Marvasti, 240 Conn. 549 (1997). The question of whether it was foreseeable to a reasonable person in the defendant's position that Dr. Doe would be injured if he were ordered to insert the arterial line in this patient without adequate training or supervision does not implicate the concept of educational malpractice.

This case, rather than being akin to Gupta, is far more like Kirchner v. Yale University, 150 Conn. 623 (1963), decided 33 years before Gupta and neither specifically overruled nor even mentioned in the latter decision. The plaintiff in Kirchner was an architectural student injured while operating a jointer in the woodworking shop provided by the university For the use of its architectural students. The court held that it was the duty of the Yale University and the employee who was in charge of the shop to exercise reasonable care to instruct and warn students in the safe operation of the machines furnished for their use and to have available such appliances as might be necessary to facilitate their safe operation. Kirchner, 627. Here, the claim is that it was the University's obligation to provide adequate training, instruction and supervision to Dr. Doe in the safe performance of the insertion of the arterial line in order to avoid the foreseeable risks of the procedure.

By contrast, the plaintiff physician in Gupta had challenged General Hospital's decision to dismiss him from its surgical residency training program because of his poor clinical performance. He claimed that his dismissal violated his residency agreement with the Hospital and that the Hospital failed to provide him a residency program that would reasonably and adequately train him in accordance with the standards established for teaching hospitals. The trial court had granted the Hospital's motion for summary judgment, concluding that the decision to dismiss the plaintiff from the residency training program was an academic decision that lay solely within the province of the Hospital, and the Supreme Court affirmed.

The Court recognized that the plaintiff was essentially asking the Court "to evaluate the course of instruction [and] . . . to review the soundness of the method of teaching that has been adopted" by an educational institution — a task that the judiciary is ill-equipped to undertake. Id. at 590 (quoting Ross v. Creighton University, 957 F.2d at 416.). As the Court observed,

. . . a claim such as that advanced by the plaintiff raises questions concerning the reasonableness of conduct by educational institutions in providing particular educational services to students — questions that must be answered by reference to principles of duty, standards of care, and reasonable conduct associated with the law of torts. Because these tort principles are difficult, if not impossible, to apply in the academic environment, courts have almost universally held that claims of educational malpractice are not cognizable. Among other problems of adjudication, these claims involve the judiciary in the awkward tasks of defining what constitutes a reasonable educational program and of deciding whether that standard has been breached. In entertaining such claims, moreover, courts are required not merely to make judgments as to the validity of broad educational policies but, more importantly, to sit in review of the day-to-day implementation of these policies.

Id. at 590-91 (internal citations and quotations omitted). The Court concluded that judicial noninterference was particularly appropriate where specialized bodies are charged with the responsibility for overseeing and regulating medical residency programs.

The plaintiff here, however, is not asking this court to interfere with the purely academic decisions of the defendant, to make judgments about the quality of broad educational policies, or to evaluate the overall quality of his education generally and the residency program in particular. Rather, he is asking the court to consider the allegedly negligent failure of the university to provide appropriate instruction and supervision in the performance of a particular risky procedure. The public policy considerations that have caused courts and commentators to conclude that educational malpractice claims are not cognizable are absent in this case.

Although the subject matter of this complaint occurred in the context of a medical residency training program, the complaint sounds in simple negligence, rather than malpractice. The defendant is not entitled to judgment as a matter of law, and its motion for summary judgment is therefore denied.

Jonathan E. Silbert, Judge


Summaries of

Doe v. Yale University

Connecticut Superior Court, Judicial District of New Haven at New Haven
Dec 1, 1997
1997 Ct. Sup. 13731 (Conn. Super. Ct. 1997)
Case details for

Doe v. Yale University

Case Details

Full title:JOHN DOE vs. YALE UNIVERSITY D/B/A YALE UNIVERSITY SCHOOL OF MEDICINE

Court:Connecticut Superior Court, Judicial District of New Haven at New Haven

Date published: Dec 1, 1997

Citations

1997 Ct. Sup. 13731 (Conn. Super. Ct. 1997)
21 CLR 94