(This syllabus is not part of the opinion of the Court. It has been prepared by the Office of the Clerk for
the convenience of the reader. It has been neither reviewed nor approved by the Supreme Court. Please
note that, in the interests of brevity, portions of any opinion may not have been summarized).
POLLOCK, J., writing for a majority of the Court.
This appeal presents two issues. The first is whether the statute of limitations, N.J.S.A. 2A:14-2,
bars a patient's claim for lack of informed consent against an ophthalmologist who implanted an intraocular
lens in the patient's eye, the hospital where the operation took place, and the manufacturer of the lens. The
second is whether federal law preempts the patient's state-law claims against the manufacturer of the
intraocular lens.
In September 1983, Eleanor Baird consulted Dr. Newman, an ophthalmologist, about blurred vision
in her left eye. After an examination, Dr. Newman informed Baird she had a posterior subcapsular cataract
that needed surgical removal and replacement with an implant. That same day, Baird signed a four-page
consent form.
On November 8, 1983, Dr. Newman performed the cataract removal at Valley Hospital. He inserted
an American Medical Optics (AMO) intraocular lens into Baird's left eye.
The 1976 Medical Device Amendments to the Food, Drug and Cosmetic Act, authorize the FDA to
regulate the use of intraocular lenses. At the time of Baird's surgery, the FDA had not approved AMO's
intraocular lens for general marketing to the public, but had granted AMO an investigational device
exemption. Such an exemption permits a manufacturer to conduct a clinical investigation and exempts the
manufacturer from certain requirements of the Medical Device Amendments. In a clinical investigation of a
device subject to an investigational device exemption, the FDA requires that the consent of a participating
patient be informed. The FDA previously found the consent form signed by Baird to satisfy the FDA's
minimum standards for obtaining informed consent. The form described alternative treatments, discussed
the fact that the operation was part of a clinical investigation, explained the procedure, and outlined its risks
and potential complications.
In her deposition, Baird admitted that she signed the consent form, but she did not recall reading it.
She said that Dr. Newman did not explain the consent form, that she did not know she was participating in
an investigational study, or that the FDA had not approved the lens for general marketing to the public.
Although Dr. Newman does not recall the details of his conversation with Baird, he avers that his practice
was to explain to the patient the nature of a cataract, cataract surgery, and an intraocular lens, as well as the
risks and prognosis of surgery.
Following the surgery, Baird remained in the hospital for three days because of "complications." She
had previously been told she could expect to stay overnight. Baird's eyesight worsened, and she returned to
Dr. Newman numerous times. Dr. Newman performed laser surgery in New York in March 1984, but Baird
continued to experience problems, including intermittent pain and severe eye infections. Dr. Newman
referred Baird to Dr. Bastek, a retinal specialist. Dr. Bastek saw Baird in June 1984, and recommended
another procedure -- a vitrectomy -- which involves the removal of the contents of the vitreous chamber and
replacement with a sterile saline solution. Dr. Bastek referred Baird back to Dr. Newman, but Baird
stopped seeing Dr. Newman in August 1984.
Dr. Bastek performed the vitrectomy on Baird's left eye in April 1995. Baird's eyesight, however,
did not improve. Dr. Bastek continued to treat Baird for several months after the surgery, seeing her for the
last time in June 1985. Baird consulted three other ophthalmologists between 1989 and 1993.
On or about March 24, 1991, Baird saw in the Bergen Record an advertisement placed by her
attorney's law firm. The advertisement referred to eye injuries from cataract surgery and described problems
similar to those she experienced following her surgery. On contacting the law firm, she claimed she learned
for the first time that the FDA had not approved AMO's intraocular lens for general marketing to the
public.
Baird's complaint was filed on February 6, 1992, alleging that both Dr. Newman and Valley Hospital
failed to obtain her informed consent to the cataract surgery. She did not allege claims for medical
malpractice. Baird also asserted claims against AMO including product-liability and breach of warranty.
The Law Division granted AMO's motion for summary judgment, reasoning that the 1976 Medical
Device Amendments preempted common-law claims against manufacturers of intraocular lenses to which the
FDA had granted investigational device exemptions. The court denied Dr. Newman's motion for summary
judgment based on federal preemption, but granted the motion in respect of the statute of limitations
defense. The Law Division found that Baird was fully aware she had suffered damages as a result of the
1983 cataract surgery, that a person of reasonable diligence would have known that the damages were caused
by the fault of another, and that her cause of action accrued by 1985 at the latest. The Law Division also
granted Valley Hospital's motion for summary judgment, concluding that the Hospital did not have a duty to
obtain Baird's informed consent.
The Appellate Division reversed. It held that the statute of limitations did not bar Baird's informed
consent claim, since Baird had not learned of the investigational status of AMO's intraocular device until
1991; that a more complete factual record was necessary to resolve Baird's informed consent claim against
Valley Hospital; and that AMO failed to identify how Baird's state-law claims conflicted with any federal
requirement. The Supreme Court granted certification.
HELD: Baird's claim is barred by the two-year statute of limitations period, since Baird clearly knew by 1985
that she had suffered damages because of her surgery.
1. The statute of limitations governing actions for personal injuries requires a plaintiff to commence an
action within two years after the cause of action accrues. N.J.S.A. 2A:14-2. In a medical malpractice action,
a cause of action generally accrues on the date that the alleged act or omission occurred. The discovery rule
delays the accrual of a cause of action until the injured party discovers or by an exercise of reasonable
diligence and intelligence should have discovered that he or she may have a basis for a claim. Baird filed her
action over eight years after Dr. Newman's cataract surgery. Her testimony, however, leaves no doubt that
she knew of the origin and existence of her injuries shortly after her surgery in 1983. (pp. 12-16)
2. Baird maintains that although she knew she had problems from the surgery, she did not know she had a
right to be informed of the investigational status of the intraocular lens until 1991, when she contacted her
attorney. But the statute of limitations starts running on a medical malpractice claim and an informed
consent claim at the same time -- when the injured party knows of injuries and of facts to support the
institution of either claim. Diligence requires an injured party to investigate all potential claims once he or
she knows of one claim against a defendant. Baird knew or should have known of sufficient facts to start the
statute of limitations running on both the medical malpractice and informed consent claims by 1985. (pp. 16-22)
3. The disposition of the appeal by recourse to the statute of limitations obviates the need to determine
whether the 1976 Medical Device Amendments preempt Baird's state common-law claims against AMO.
Nonetheless, the Supreme Court notes its general agreement with the Appellate Division that the Medical
Device Amendments do not preempt Baird's claims against AMO. The Court concludes that the legislative
and regulatory history, as well as federal case law, indicate that claims such as Baird's are not preempted.
Because the 1976 Medical Device Amendments do not provide a federal remedy for injured consumers,
preemption of state-law claims would eliminate any remedy for them and effectively immunize manufacturers
of investigational devices from liability. (pp. 22-28)
The judgment of the Appellate Division is MODIFIED.
JUSTICE O'HERN filed a dissenting opinion, expressing the view that the majority has improperly
fused the accrual of two separate claims, thereby avoiding resolution of the factual dispute whether Baird was
informed of the experimental nature of the eye surgery.
CHIEF JUSTICE PORITZ and JUSTICES HANDLER, GARIBALDI, and COLEMAN join in
JUSTICE POLLOCK'S opinion. JUSTICE O'HERN has filed a dissenting opinion in which JUSTICE
STEIN joins.
SUPREME COURT OF NEW JERSEY
A-103/104/
175 September Term 1997
ELEANOR BAIRD,
Plaintiff-Respondent,
and
JOHN BAIRD, her husband,
Plaintiff,
v.
AMERICAN MEDICAL OPTICS, FREDERIC
NEWMAN, M.D. and VALLEY HOSPITAL,
Defendants-Appellants,
and
XYZ COMPANIES #1 through #5 and
JOHN DOES #1 through #5,
Defendants.
Argued February 18, 1998 -- Decided July 15,
1998
On certification to the Superior Court,
Appellate Division, whose opinion is reported
at
301 N.J. Super. 7 (1997).
William A. Feldman argued the cause for
appellant American Medical Optics (Feldman &
Fiorello, attorneys; Mr. Feldman and Melissa
Feldman Michalsky, on the briefs).
Melvin Greenberg argued the cause for
appellant Frederic Newman, M.D. (Greenberg,
Dauber and Epstein, attorneys).
Daniel B. Frier argued the cause for
appellant Valley Hospital (Giblin & Combs,
attorneys).
Richard Galex argued the cause for respondent
(Galex, Tortoreti & Tomes, attorneys).
The opinion of the Court was delivered by
POLLOCK, J.
This appeal presents two issues. The first is whether the
statute of limitations, N.J.S.A. 2A:14-2, bars a patient's claim
for lack of informed consent against an ophthalmologist who
implanted an intraocular lens in the patient's eye, the hospital
at which the implantation took place, and the manufacturer of the
intraocular lens. The second issue is whether federal law
preempts the patient's state-law claims against the manufacturer
of the intraocular lens, American Medical Optics (AMO).
In November 1983, defendant, Dr. Frederick Newman, performed
cataract surgery on plaintiff, Eleanor Baird, and implanted an
intraocular lens in her left eye. The Food and Drug
Administration (FDA) had approved the lens pursuant to an
Investigational Device Exemption, in which AMO, in association
with Valley Hospital and Dr. Newman, was conducting a clinical
investigation of the lens.
After her surgery, Baird experienced multiple complications
and underwent further treatment, including additional surgery.
On February 6, 1992, Baird sued Dr. Newman, AMO, and Valley
Hospital.
The Law Division granted summary judgment for all
defendants. The Appellate Division reversed and remanded the
matter to the Law Division. We granted certification.
151 N.J. 467 (1997). We modify the judgment of the Appellate Division and
remand the matter to the Law Division.
application process.
21 U.S.C. 360e. Instead, the FDA had
granted AMO an Investigational Device Exemption (IDE) for its
IOL.
An IDE permits a manufacturer to conduct a clinical
investigation and exempts the manufacturer from certain MDA
requirements. 21 C.F.R. § 812.1. Pursuant to FDA regulations,
Valley Hospital established an Institutional Review Board to
monitor AMO's investigational study. 21 C.F.R. § 56.102g. Dr.
Newman was an investigator in the study, meaning that he
conducted the clinical investigation of AMO's IOL. He implanted
the IOL in Baird's eye pursuant to that investigation.
In a clinical investigation of a device subject to an IDE,
the FDA requires that the consent of a participating patient be
informed. 21 C.F.R. §§ 50.1 to -.27. To satisfy that
requirement, the investigator must describe the experimental
nature of the treatment, its risks and benefits, and alternative
courses of treatment. 21 C.F.R. § 50.25. Under most
circumstances, moreover, the patient must sign an informed
consent form. 21 C.F.R. § 50.27.
The consent form that Baird signed was entitled Informed
Consent for Cataract Operation and/or Implantation of Intraocular
Lens. Previously, the FDA had found that this form satisfied
the FDA's minimum standards for obtaining informed consent. The
Consent Form described alternative treatments to IOLs, discussed
the fact that the operation was part of a clinical investigation
by the FDA to research the safety and efficacy of IOLs, explained
the nature of the procedure, and outlined its risks and potential
complications.See footnote 1
In her deposition, Baird admitted that she signed the
consent form, but she did not recall reading it. She said that
Dr. Newman did not explain the consent form, that she did not
know she was participating in an investigational study, or that
the FDA had not approved the lens for general marketing to the
public. Baird also stated that she was unaware of the
availability of other IOLs that the FDA had fully approved.
Notwithstanding the cataract in Baird's left eye, nothing in the
record suggests that she could not read the form. Although Dr.
Newman does not recall the details of his conversation with
Baird, he avers that "his practice was to explain to the patient
the nature of a cataract, cataract surgery, and of an intraocular
lens." He also would explain the types of intraocular lenses, as
well as the risks and prognosis of surgery.
Dr. Newman also told Baird that, following the cataract
surgery, she should expect to stay overnight at Valley Hospital.
After surgery, however, Dr. Newman informed Baird of
complications, and she remained in the hospital for three days.
Baird's eyesight worsened, and she returned to Dr. Newman's
office numerous times. She stated that "I was in a lot of pain,
I just knew there was something not right." She thought Dr.
Newman "was a good doctor," and continued to consult him after
the surgery, but never asked him the cause of her difficulties.
Because of Baird's complications, on March 9, 1984, Dr.
Newman performed laser surgery on her left eye at the New York
Eye and Ear Infirmary. Baird continued to experience problems
with her left eye, including photophobia (an unusual intolerance
to light), intermittent pain, and severe eye infections. She
stated that after laser surgery her eyesight was terrible, and
was worse than before laser surgery.
Dr. Newman then referred Baird to Dr. James Bastek, a
retinal specialist. According to Baird, she was having a lot of
pain, you know, and I had those infections, but my eye always
hurt me and it would swell. She could see only a slight amount
of light through her left eye.
On June 5, 1984, when Dr. Bastek first saw Baird, he
diagnosed pseudopathic vitritis of her left eye and cystoid
macular edema. Vitritis is an inflammation of the fluid that
collects in the back of the lens of the eye. Cystoid macular
edema is a cystic degeneration of the retina that may occur after
cataract extraction. Dr. Bastek advised Baird that a vitrectomy
would most likely be needed, but that he would first administer
Kenalog injections to increase her vision. A vitrectomy is a
procedure involving the removal of the contents of the vitreous
chamber and replacement with a sterile saline solution. Kenalog
is the trade name for a synthetic glucuosteroid. Dr. Bastek
referred Baird back to Dr. Newman and asked her to return in one
month.
Baird, however, left Dr. Newman's care on August 9, 1984.
Although Dr. Newman expected her to return to him for additional
treatment, Baird stopped seeing Dr. Newman [b]ecause I wasn't
getting any results in my eyesight and I figured all those
operations, I didn't want to go through any more operations
because it wasn't making my eyesight any better, it was just
steadily getting worse. She felt very disillusioned about
[t]he whole thing.
Dr. Bastek performed the vitrectomy on Baird's left eye on
April 15, 1985. Her eyesight, however, did not improve. Dr.
Bastek continued to treat Baird for several months after the
surgery, seeing her for the last time on June 6, 1985. Although
Dr. Bastek expected her to return to him, she never did. After
leaving Dr. Bastek's care, Baird consulted three other
ophthalmologists between 1989 and 1993.
On or about March 24, 1991, Baird saw in the Bergen Record
an advertisement placed by her attorney's law firm. The
advertisement referred to eye injuries from cataract surgery.
Baird concluded that her problems following the implantation of
the IOL in 1983 were similar to the problems described in the
advertisement. On contacting the law firm, she claimed she
learned for the first time that the FDA had not approved AMO's
IOL for general marketing to the public.
Other portions of her testimony reveal that she was aware
that the lens was the cause of her problems. At her deposition,
Baird testified, I had nothing, but problems from the first day
I went to that hospital and even after I had the vitrectomy it
just seemed to get worse and worse. She also indicated that she
just knew that the IOL Dr. Newman implanted in her eye was the
source of her problems because of the infections and the need for
additional surgery. Baird started to think that Dr. Newman's
surgery was the source of her problems right after he performed
the cataract surgery. As Baird stated, I felt that my problems
started right from the very beginning when he first did my
cataract surgery. I hadn't had any problem like that before.
At the Lopez hearing, see Lopez v. Swyer,
62 N.J. 267 (1973),
Baird also indicated that, even before she saw the newspaper
advertisement, I felt that [my problems with my eyesight] must
have been caused by the lens because I didn't have that problem
before, the infection and all that I had after the surgery.
Baird's complaint alleged that both Dr. Newman and Valley
Hospital failed to obtain her informed consent to the cataract
surgery. She did not allege claims for medical malpractice or
battery against the doctor or the hospital. Baird also asserted
claims against AMO for product-liability, breach-of-warranty,
fraudulent misrepresentation, failure-to-warn, and failure to
obtain her informed consent.
On April 20, 1994, the Law Division decided motions for
summary judgment filed by defendants AMO and Dr. Newman. It
granted AMO's motion for summary judgment, reasoning that
21 U.S.C. 360k preempted common-law claims against manufacturers of
IOLs to which the FDA has granted IDEs. The court denied Dr.
Newman's motion for summary judgment based on federal preemption.
Dr. Newman then moved for summary judgment based on the
applicable statute of limitations, N.J.S.A. 2A:14-2. At the
conclusion of a Lopez hearing, the Law Division ruled that the
statute of limitations barred Baird's complaint. The court found
that Baird was fully aware that she suffered damages as a
result of the 1983 cataract surgery; that a person of reasonable
diligence would have known that her damages were caused by the
fault of another; that her cause of action accrued by 1985 at the
latest; and, consequently, that the statute tolled at least no
later than 1987.
Finally, on May 12, 1994, Valley Hospital filed a motion for
summary judgment. It argued, among other things, that the
physician, not the hospital, has the duty to obtain a patient's
informed consent to a particular procedure. On July 8, 1994, the
Law Division granted Valley Hospital's motion, concluding that
Valley Hospital did not have a duty to obtain Baird's informed
consent.
The Appellate Division reversed the summary judgment in
favor of all three defendants.
301 N.J. Super. 7 (App. Div.
1997). Relying on Lombardo v. Borsky,
298 N.J. Super. 658 (App.
Div.), certif. granted,
150 N.J. 28 (1997), and appeal dismissed,
153 N.J. 44 (1998), the Appellate Division held that the statute
of limitations did not bar Baird's informed consent claim against
Dr. Newman. The court reasoned that Baird had not learned of the
investigational status of AMO's IOL until 1991. Id. at 11.
Next, the Appellate Division concluded that a more complete
factual record was necessary to resolve Baird's informed consent
claim against Valley Hospital. Id. at 12. Finally, relying on
Medtronic v. Lohr, U.S. ,
116 S. Ct. 2240,
135 L. Ed.2d 700 (1996)
, the Appellate Division reversed the lower court's
dismissal of Baird's complaint against AMO. Id. at 18. The
Appellate Division read Medtronic to hold that the MDA preempts
state common-law claims only to the extent that the FDA has
adopted a regulation inconsistent with or in conflict with a
requirement of state law. Id. at 15. Because AMO failed to
identify how Baird's state-law claims conflicted with any federal
law requirement, the Appellate Division held that federal law did
not preempt Baird's common-law claims. Id. at 18.
years after the cause of action shall have accrued. N.J.S.A.
2A:14-2.See footnote 2 The statute, however, is silent on when a cause of
action will be deemed to have accrued. Consequently, the
determination of the accrual of a cause of action is an issue for
the court. Fernandi v. Strulli,
35 N.J. 434, 439 (1961). In the
context of a medical malpractice action, a cause of action
generally accrues on the date that the alleged act or omission
occurred. Bauer v. Bowen,
63 N.J. Super. 225, 230 (App. Div.
1960).
To ameliorate the often harsh and unjust results which flow
from a rigid and automatic adherence to a strict rule of law,
courts have developed the discovery rule. Lopez, supra, 62 N.J.
at 273-74. The discovery rule delays the accrual of a cause of
action until the injured party discovers, or by an exercise of
reasonable diligence and intelligence should have discovered that
he may have a basis for an actionable claim. Id. at 272.
Critical to the running of the statute is the injured
party's awareness of the injury and the fault of another. Savage
v. Old Bridge-Sayreville Medical Group, P.A.,
134 N.J. 241, 243
(1993). The discovery rule prevents the statute of limitations
from running when injured parties reasonably are unaware that
they have been injured, or, although aware of an injury, do not
know that the injury is attributable to the fault of another.
Tevis v. Tevis,
79 N.J. 422, 432 (1979).
hospital, Dr. Newman told her of complications or a problem.
She stated that he did not explain the problem to her, and that
she did not inquire of him. Yet, she later overheard Dr. Newman
tell Dr. Bastek that he was referring her to him because there
was a problem. Dr. Bastek confirmed that she had a problem,
and that he needed to perform a vitrectomy. As Baird testified:
Q: Did you think [Dr. Newman] had done something
wrong?
A: I figured that there had to be a problem of
some kind from the surgery.
Baird treated with Dr. Newman from September 23, 1983, to
August 9, 1984. She returned to him after cataract surgery
because she thought he was a good doctor. As her complications
continued, however, she became disillusioned with his treatment.
Q: Why did you stop seeing Dr. Newman?
A: Because I wasn't getting any results in my
eyesight and I figured all those operations,
I didn't want to go through any more
operations because it wasn't making my
eyesight any better, it was just steadily
getting worse.
Baird treated with Dr. Bastek between June 1984 and June 1985.
Although her eyesight never improved after Dr. Newman's 1983
surgery, she did not consult a physician other than Dr. Bastek
until 1989.
Hence, Baird's own testimony establishes that no later than
1985 she knew enough to discover her cause of action against Dr.
Newman. Baird believed that she had been injured by Dr. Newman's
surgery, that she knew who had performed the surgery, that her
eyesight worsened as a result of the surgery, and that she became
dissatisfied with Dr. Newman's treatment and switched to another
physician. Under the standard set forth in Lopez, Baird knew at
least by 1985 of facts that would have alerted a reasonable
person that her eye injuries were possibly, if not probably,
caused by the fault of another.
Baird, however, maintains that she was not aware of the
investigational status of AMO's IOL until 1991, when she read her
attorney's advertisement in the Bergen Record. Until then, she
contends, although she knew she had problems from the surgery,
she did not know she had a right to be informed of the
investigational status of the IOL.
In effect, she concludes that her complaint was timely
because she did not discover the legal theory - lack of informed
consent - against Dr. Newman until at least 1991. As the Law
Division noted, however, the question is not whether Baird could
articulate a specific cause of action before 1991. For the
statute of limitations to run, the injured party need not know
the state of the law positing a right of recovery upon the
facts. Burd v. New Jersey Tele. Co.,
76 N.J. 284, 291-92
(1978). Instead, the statute of limitations runs when the
injured party possesses actual or constructive knowledge of that
state of facts which may equate in law with a cause of action.
Id. at 291 (emphasis in original). The basis of such a cause
of action, is, of course, constituted solely by the material
facts of the case. Id. at 292. Thus, the statute of
limitations begins to run when the plaintiff is aware, or
reasonably should be aware, of facts indicating that she has been
injured through the fault of another, not when a lawyer advises
her that the facts give rise to a legal cause of action.
Hence, the pertinent inquiry is when did Baird become aware
that she had sustained damages as the result of the fault of an
identifiable person. Shortly after she began to experience
difficulties with her left eye, Baird knew her injury was related
to Dr. Newman's implantation of the lens. That knowledge
required Baird to take steps to investigate whether she had any
claim against Dr. Newman or any other party, for medical
malpractice or the failure to obtain a consent from her that was
informed.
In holding that the statute of limitations did not bar
Baird's informed consent claim against Dr. Newman, the Appellate
Division panel relied on its earlier decision in Lombardo v.
Borsky, supra,
298 N.J. Super. 658. Lombardo, like the instant
case, arose from the 1982 implantation of an IOL that was subject
to an IDE. Id. at 661-63. Soon after the defendant, Dr. Borsky,
performed surgery, Lombardo experienced various problems,
including pain and loss of vision. Id. at 662. Dr. Borsky had
not warned Lombardo of the complications, and she suspected that
the lens and surgery had caused her injury. Ibid. Lombardo
consulted other doctors over the following five years and
underwent additional surgery. Although Lombardo thought Dr.
Borsky had done something wrong, she returned to his care in
1988. Ibid. In late 1990, after a family member read an article
concerning investigational IOLs, Lombardo learned for the first
time that she had participated in an investigational study of an
IOL. Id. at 665. Dr. Borsky admitted that he had no basis for
suggesting that she knew earlier of the investigational status of
the IOL. Id. at 667. Lombardo asserted a claim against Dr.
Borsky for failure to obtain her informed consent, but not one
for medical malpractice. Id. at 663.
At the conclusion of a Lopez hearing, the Law Division
determined that Lombardo knew by 1988 that she had a serious eye
problem, that Dr. Borsky had not told her about any risks from
the defective lens, and that the lens he had implanted was
causing Lombardo's problems. Id. at 663. Accordingly, the Law
Division concluded that the statute of limitations barred
Lombardo's action. Ibid.
The Appellate Division reversed. Although it recognized
that Lombardo knew enough to file a medical malpractice claim
earlier, the court held that Lombardo's informed consent claim
did not accrue until she became aware of the IOL's
investigational status in late 1990. Id. at 667. The issue,
according to the court, was not when a cause of action accrued
against Dr. Borsky with respect to a medical malpractice case,
but rather when a cause of action accrued based on a lack of
informed consent. Id. at 663. Thus, Lombardo's informed consent
complaint could not be dismissed when there is no contention she
earlier knew or reasonably should have known the implanted lens
was experimental. Id. at 667.
Recently, another panel of the
Appellate Division disagreed with the holding in Lombardo and the
decision under review in this appeal. Bennett v. Surgical Corp.,
No. A-2019-96, 1
998 WL 241723, at *2 (App. Div. May 15, 1998).
Underlying Lombardo is the premise that a medical
malpractice claim differs so fundamentally from one based on the
failure to obtain a patient's informed consent that the statute
of limitations on the consent claim should start running on a
date different from that applicable to the malpractice claim.
Like an action for medical malpractice, one based on the failure
to obtain an informed consent, however, is based on negligence.
Perna v. Pirozzi,
92 N.J. 446, 459 (1983); Lugenbuhl v. Dowling,
701 So.2d 447, 452 (La. 1997); see also W. Page Keeton, et al.,
Prosser and Keeton on the Law of Torts 190 (5th ed. 1984)
(stating that negligence has replaced battery as the basis of a
lack-of-informed-consent action); 1 Fowler V. Harper, et al., The
Law of Torts § 310 n. 20 (2d ed. 1988) ("Most authorities . . .
prefer to treat informed consent liability solely as an aspect of
malpractice or negligence, rather than battery. . . . [T]he
problem of informed consent is essentially one of professional
responsibility, not intentional wrongdoing, and can be handled
more coherently within the framework of negligence law than as an
aspect of battery"). The negligence lies in the physician's
failure to disclose sufficient information for the patient to
make an informed decision about the comparative risks of various
treatment options. Perna, supra, 92 N.J. at 459; Skripek v.
Bergamo,
200 N.J. Super. 620, 633 (App. Div.), certif. denied,
102 N.J. 303 (1985).
Plaintiffs who are aware that they have been injured due to
the fault of another should not be able to postpone the
institution of a timely action merely by picking one theory of
recovery over another. Lombardo inappropriately shifts the
emphasis from awareness of injury due to the fault of another to
awareness of sufficient facts to support all possible theories of
recovery. In most cases, medical malpractice and informed
consent claims will conform so closely that knowledge of facts
sufficient to start the statute of limitations on one claim
should start running on the other. The statute should start
running on both claims when injured parties know of their
injuries and of facts sufficient to support the institution of
either claim. A rule that would permit different periods of
limitations would fragment the two claims. Diligence requires an
injured party, once he or she knows of one claim against a
defendant, to investigate other related claims. Accordingly, we
take this occasion to overrule Lombardo.
In the rare case when the claims are not congruent, the
plaintiff may look to the discovery rule for relief. Unlike the
cases cited by the dissent, post at (slip op. at 2-4), the
present case does not involve the commission of fraud on elderly,
uneducated nursing home patients by inserting experimental IOLs
"under the ruse of removing cataracts," Anderson v. George H.
Lanier Memorial Hosp.,
982 F.2d 1513, 1519 (11th Cir. 1993); an
orthopedist's fraudulent concealment of the use of experimental
screws by misrepresenting that the patient's complications were
part of the healing process, Shadrick v. Coker,
963 S.W.2d 726,
736 (Tenn. 1998); or a conspiracy to conceal chemical tests on
human subjects, Barrett v. United States,
689 F.2d 324 (2d Cir.
1982), cert. denied,
462 U.S. 1131,
103 S. Ct. 3111,
77 L. Ed.2d 1366 (1983). In such cases, the equitable principles underlying
the discovery rule may allow tolling of the statute of
limitations.
Baird, however, knew or should have known of sufficient
facts to start the statute of limitations running on both the
medical malpractice and informed consent claims. She experienced
multiple complications with her eye, which she related to the
lens implant. Although the Appellate Division concluded that
"[i]t is undisputed that plaintiff was not aware the implanted
lens was an experimental IOL until March 1991," 301 N.J. Super.
at 11, the record does not support that conclusion. Dr. Newman
proceeded only after Baird signed a detailed consent form that
described the investigational status of the IOL.
Contrary to the dissent, post at (slip op. at 7), our
holding turns not on the preclusive effect of the consent signed
by plaintiff, but on her failure to institute a timely action.
The point is not that the execution of the form necessarily
establishes that plaintiff's consent was informed, but that she
must institute a timely action in which that issue may be
resolved. The Law Division has already conducted a Lopez hearing
in which it has determined that plaintiff knew that she had
suffered damages because of her surgery in 1983 and that the
statute ran on her claims no later than 1987. Consequently, no
further hearing is necessary on the dismissal of plaintiff's
claim against Dr. Newman.
Because of our disposition of Baird's claim against Dr.
Newman, we remand the matter to the Law Division so Valley
Hospital and AMO similarly may move for dismissal on the basis of
the statute of limitations.
Division that the MDA does not preempt Baird's claims against
AMO.
Notwithstanding our abstention from a detailed discussion of
the issue of the MDA's preemptive effect, some additional
comments are appropriate. At the heart of the preemption
analysis is the fractured opinion of the U.S. Supreme Court in
Medtronic, Inc. v. Lohr, U.S. ,
116 S. Ct. 2240,
135 L.
Ed.2d 700 (1996), in which the court considered the MDA's
express preemption provision.See footnote 3 Although badly divided, a
majority of the Medtronic Court nonetheless held that the MDA did
not preempt the plaintiff's state common-law claims for defective
design, defective manufacture, failure-to-warn, and failure to
comply with FDA standards. Medtronic, supra, U.S. at ,
115 S. Ct. at 2254-2258.
One difference between Medtronic and the present case is
that Medtronic dealt with a provision of the MDA stating that
devices "substantially equivalent" to devices that preexisted the
MDA's enactment are exempt from the rigorous PMA review. Id. at
, 116 S. Ct. at 2247 (citing
21 U.S.C. 360e(b)(1)(B)). In
comparison, the FDA approved the subject IOL pursuant to an IDE.
Although both "substantially equivalent" devices and those
approved pursuant to an IDE are exempt from the PMA process, the
FDA's review of IDE applications is somewhat more intensive.
The opinions in Medtronic, although various, permit us to
distill some general principles. First, the MDA may preempt a
state-law tort claim, as well as a claim based on a state statute
or regulation. Id. at , 116 S. Ct. at 2259-60 (Breyer, J.,
concurring in part and concurring in judgment); id. at , 116
S. Ct. at 2262-63 (O'Connor, J., concurring in part and
dissenting in part). To preempt a state-law claim, the federal
requirement must specifically apply to a particular medical
device, the state requirement must also apply specifically, and
the state requirement must add to or be different from the
federal requirement. Id. at , 116 S. Ct. at 2257-58
(plurality opinion).
When interpreting Medtronic, state and federal courts have
reached conflicting conclusions concerning the MDA's preemptive
effect on claims for injuries caused by devices that are the
subject of an IDE. Compare Oja v. Howmedica, Inc.,
111 F.3d 782
(10th Cir. 1997) (holding that plaintiff's failure-to-warn cause
of action against manufacturer of investigational hip prothesis
not preempted); Shea v. Oscor Medical Corp.,
950 F. Supp. 246
(N.D. Ill. 1996) (holding that plaintiff's strict products
liability cause of action against manufacturer of cardiac
fibrillator not preempted); Niehoff v. Surgidev Corp., 950 S.W.2d 816 (Ky. 1997) (holding that plaintiff's strict liability and negligence causes of action against manufacturer of investigative IOL not preempted), cert. denied, U.S. , 118 S. Ct. 1187 (1998); Connelly v. Iolab Corp., 927 S.W.2d 848 (1996) (holding that plaintiff's negligence, strict liability, failure-to-warn, lack of informed consent, and fraud claims against manufacturer of investigative IOL not preempted), cert. dismissed sub. nom. Lolab Corp. v. Hunter, U.S. , 117 S. Ct. 2429, 138 L. Ed.2d 191 (1997) with Chambers v. Osteonics Corp., 109 F.3d 1243 (7th Cir. 1997) (holding that state common-law claims for strict liability and implied warranty of merchantability against manufacturer of IDE device preempted; negligent manufacturing claim that alleged that manufacturer had not complied with FDA requirements not preempted); Martin v. Teletronics Pacing Sys., Inc., 105 F.3d 1090 (6th Cir. 1997) (holding that plaintiff's manufacturing defect, design defect, inadequate warning, and breach of warranty causes of action against manufacturer of investigational pacemaker preempted), cert. denied, U.S. , 118 S. Ct. 850, 139 L. Ed.2d 751 (1998); Chmielewski v. Stryker Sales Corp., 966 F. Supp. 839 (D. Minn. 1997) (holding that plaintiff's negligent design, failure to warn, and strict liability claims preempted); Berish v. Richards Medical Co., 937 F. Supp. 181 (N.D.N.Y. 1996) (holding that plaintiff's negligence and strict liability causes of action against manufacturer of investigative prosthetic hip preempted, but action for negligent
manufacture not preempted to extent it alleged failure to comply
with federal regulations).
Much of the conflict centers on Medtronic's requirement that
the state-law claim apply specifically to medical devices.
Compare Oja, supra, 111 F.
3d at 789 (noting that duties imposed
by Oja's negligent failure to warn claim do not constitute
positive enactments of state law sufficient to constitute a state
requirement developed 'with respect to' medical device; instead
it's a 'general duty to warn');
Niehoff, supra, 950 S.W.
2d at
822 (stating that Kentucky's strict liability case law and
statutes are laws of general applicability and fall beyond the
scope of the federal preemption under § 360k) with Martin,
supra, 105 F.
3d at 1099-1100 (reasoning that, though plaintiff's
causes of action were not specifically developed with regard to
medical devices, such statutes would impede implementation and
enforcement of specific federal requirements and would thwart
the goals of the IDE exemption);
Chmielewski, supra, 966 F.
Supp. at 842 ([T]he fact that plaintiffs' claims are based on
general common law duties does not save them from being
preempted, if a conflicting device-specific federal regulation
exists); Berish, supra, 937 F. Supp. at 185 (noting that IDEs
are subject to specific regulations, and state common-law tort
claims would impose additional requirements on IOLs subject to
IDEs). Courts considering medical devices approved pursuant to
the PMA process also have struggled with Medtronic's
device-specific state law requirement. See, e.g., Armstrong v. Optical
Radiation Corp.,
50 Cal. App. 4th 580, 594-95 (1996) (holding
that state law requirements imposed by negligence and strict
liability theories are based on general principles of state tort
law which were not specifically developed with respect to medical
devices); Kernats by Kernats v. Smith Indus. Medical Sys., Inc.,
669 N.E.2d 1300, 1309 (Ill. App. Ct.) (stating that plaintiff's
common-law claims based on the manufacture of the CVS catheter,
the failure to warn, and inadequate instructions, are also
'general obligations' applicable to all manufacturers and, under
the holding in Medtronic, are not requirements specifically
established for medical devices), appeal denied,
675 N.E.2d 634
(Ill. 1996) and cert. denied, U.S. ,
118 S. Ct. 684
(1998); Walker v. Johnson & Johnson Vision Prod., Inc.,
552 N.W.2d 679, 689 (Mich. Ct. App. 1996) (noting that [s]tate
common law is a law of general applicability); Wutzke v.
Schwaegler,
940 P.2d 1386, 1391 (Wash. Ct. App. 1997) (stating
that Washington's product liability law contains 'requirements
of general applicability where the purpose of the requirement
relates . . . to other procedures in addition to devices'")
(quoting 21 C.F.R. § 808.1(d)(1)), rev. denied,
953 P.2d 96
(Wash. 1998).
After the Appellate Division rendered its opinion, the FDA
proposed regulations that clarify that the MDA generally does not
preempt state-law claims. Specifically, the proposed regulations
state that they seek to elucidate the FDA's longstanding
interpretation of section [360k(a)] . . . as generally not
preempting available legal remedies, including state common-law
claims.
62 Fed. Reg. 65387 (1997) (to be codified at 21 C.F.R.
pt. 808)(proposed Dec. 12, 1997).
Our reading of Medtronic and the proposed FDA regulations
leads us to conclude that the United States Supreme Court,
Congress, and the FDA do not intend that claims such as
plaintiff's should be preempted. Those authorities must speak
more clearly if they wish to prevent consumers who have been
injured by experimental medical devices from maintaining state
law claims to recover for their injuries.
Because the MDA does
not provide a federal remedy for injured consumers, preemption of
state-law claims would eliminate any remedy for them and
effectively immunize manufacturers of investigational devices
from liability.
The judgment of the Appellate Division is modified, and the
matter is remanded to the Law Division.
CHIEF JUSTICE PORITZ and JUSTICES HANDLER, GARIBALDI, and
COLEMAN join in JUSTICE POLLOCK's opinion. JUSTICE O'HERN has
filed a separate dissenting opinion, in which JUSTICE STEIN
joins.
SUPREME COURT OF NEW JERSEY
A-103/104/
175 September Term 1997
ELEANOR BAIRD,
Plaintiff-Respondent,
and
JOHN BAIRD, her husband,
Plaintiff,
v.
AMERICAN MEDICAL OPTICS, FREDERIC
NEWMAN, M.D. and VALLEY HOSPITAL,
Defendants-Appellants,
and
XYZ COMPANIES #1 through #5 and
JOHN DOES #1 through #5,
Defendants.
O'HERN, J., dissenting.
Only one such as Anatole FranceSee footnote 4 could adequately capture the irony in the Court's judgment. A sight-impaired woman has lost her claim that she was the unwitting subject of experimental eye surgery in part because she should have more carefully read the release form that she signed before undergoing the surgery. Ante at ___ (slip op. at 23). In order to reach that result the
Court has improperly fused the accrual of two separate claims and
thereby avoids resolution of a factual dispute whether plaintiff
was informed of the experimental nature of the eye surgery.
I have found no jurisdiction in which a subject of a medical experiment has had an informed consent claim dismissed without resolution of the question of when the patient had been informed of the experimental nature of the procedures involved. In Anderson v. George H. Lanier Memorial Hospital, 982 F.2d 1513, 1519 (11th Cir. 1993), the medical provider argued that the nondisclosure claims were "intertwined with medical malpractice claims" and that the statute of limitations governing the malpractice claims should bar the informed-consent claims. The court disagreed. It found the claim that the patients alleged was that the hospital "did not obtain their informed consent concerning an experimental procedure." Id. at 1519. The court observed: "The appellants may have been put on notice that [the physician] negligently performed their eye surgeries. The appellants, however, were not placed on notice that they were the victims of an experimental procedure." Id. at 1520. In Shadrick v. Coker, 963 S.W.2d 726 (Tenn. 1998), an orthopedic patient was never told that a certain type of screw put in his back was experimental. He was well aware that the operation was
unsuccessful. For over three years following removal of the
screws, he continued to have pain in his back. Id. at 729. It
was not until December 17, 1993, that he saw a television program
("20-20") containing a segment on pedicle screws. He learned
from that program that the screws were experimental and had not
been approved by the Food and Drug Administration for use in the
spine. The television show also informed him that such screws
had been found to cause a number of problems to patients. Id. at
729. The Tennessee court observed that the cause of action based
on the lack of informed consent "stems from the premise that a
competent patient should be allowed to formulate an intelligent,
informed decision about surgical or other treatment procedures
the patient undertakes." Id. at 731. It found that the cause of
action based on the lack of informed consent did not accrue until
the patient viewed the 1993 television program disclosing the
experimental nature of the treatment. It reached that conclusion
even though Mr. Shadrick knew when he woke up from the surgery
that screws had been implanted without his consent, and even
though he learned just a few months later that one of the screws
had broken. Id. at 734; see also Barrett v. United States,
689 F.2d 324, 328-29 (2nd Cir. 1982) (distinguishing claim based on
negligent administration of a drug from claim based on
concealment of fact that Army used decedent as a "human guinea
pig," and finding factual dispute as to when the latter claim
accrued under the "diligence-discovery" rule).
The majority reasons that the statute of limitations should
start running on both claims when injured parties know of their
injuries and of facts sufficient to support the institution of
either a medical malpractice or an informed consent claim. Ante
at ___ (slip op. at 22). The homogenization of the two claims is
flawed.
It is shattering to think that a person who was essentially
a guinea pig should be deprived of her cause of action based on
absence of informed consent because she knew something was wrong
with her eyes after the surgery. The majority reasons that
"diligence requires an injured party, once he or she knows of
one claim against the defendant, to investigate all other related
claims." Ante at ___ (slip op. at 22). The proposition may be
valid in other contexts, but its relevance to this case rests
shakily on the unstated premise that plaintiff's malpractice and
informed consent claims are inextricably related. I cannot
accept that premise because the two claims share neither a legal
nor a factual relationship. Legally, plaintiff's informed
consent action derives from her rights of self-determination and
personal integrity. Largey v. Rothman,
110 N.J. 204, 209 (1988).
It is a dignitary tort. Unlike the malpractice claim, a
plaintiff suing under the informed consent theory may prevail
without proving physical damage. Lugenbuhl v. Dowling,
701 So.2d 447, 455 (La. 1997). Factually, the informed consent action
arises out of the alleged lack of disclosure prior to plaintiff's
eye surgery. The malpractice claim on the other hand arises out
of the operation itself. It is one thing to draw an inept
surgeon. It is another thing to be treated as a human guinea
pig.
A most unfortunate example of such experimental medicine is
that of the Tuskegee volunteers. In that case, the federal
government withheld treatment from 400 men suffering from
syphilis. Researchers had discovered that penicillin treated
syphilis effectively, but government health officials, interested
in tracking the natural course of the disease, treated the
unwitting participants with placebos. See generally James H.
Jones, Bad Blood: The Tuskegee Syphilis Experiment (1981). Let
us assume that the victims of the placebo treatment knew that
their condition was worsening, knew that something was going
dreadfully wrong. Would their cause of action based on a lack of
informed consent accrue when they first believed that their
treatment was not working or would it accrue when they learned
that important information concerning their health choices had
been withheld from them? I would certainly hope that it would be
the latter.
I therefore would follow the panel of the Appellate Division
that twice held that a cause of action for lack of informed
consent to experimental medical treatment accrues when the
plaintiff learns that the surgery was experimental, not when the
plaintiff discovers that something is wrong with his or her
physical condition. Baird v. American Med. Optics,
301 N.J.
Super. 7, 11-12 (App. Div.), certif. granted,
151 N.J. 467
(1997); Lombardo v. Borsky,
298 N.J. Super. 658, 667 (App. Div.),
certif. granted,
150 N.J. 28 (1997), appeal dismissed,
153 N.J. 44 (1998).See footnote 5
The majority notes that plaintiff cannot establish a lack of
informed consent because she signed a consent form that described
the experimental nature of the intraocular lens (IOL).
Baird signed a detailed consent form that
described the investigational status of the
IOL. Although the Appellate Division
concluded that "[i]t is undisputed that
plaintiff was not aware the implanted lens
was an experimental IOL until March 1991,"
301 N.J. Super. at 11, the record does not
support that conclusion. Dr. Newman
proceeded only after Baird signed a detailed
consent form that described the
investigational status of the IOL.
Of course, if malpractice and informed consent accrue
simultaneously, it is unnecessary to discuss when plaintiff's
informed consent claim arose. A reader might conclude that the
Court's reference to the consent form arises from doubt about the
fairness of its statute-of-limitations holding. Be that as it
may, if the majority wishes to discuss the consent form that its
holding renders moot, it should not draw incorrect inferences
about the legal effect of that form. It is simply not the law of
New Jersey that because a person has signed a form the person is
bound by the form or informed of its contents. Dancy v. Popp,
114 N.J. 570, 572 (1989). Although a party is ordinarily bound
by an instrument that he or she signs, she is not bound if there
is evidence that she was misled or that provisions of the
document were not adequately called to her attention. See John
D. Calamari, Duty to Read--A Changing Concept,
43 Fordham L. Rev.
341, 342-49 (1974).
In this case plaintiff vigorously denies that she was aware
of the investigational status of the IOL until many years after
it was implanted, and she contends that her doctor made no effort
to inform her that the implantation would be an experiment.
There is a factual dispute on that issue. Because the dispute
arises on a motion for summary judgment, and because as far as we
can see there is no "single, unavoidable resolution of the
alleged disputed issue of fact," we would have to resolve the
dispute in plaintiff's favor, had the court not erroneously
dismissed her case on statute-of-limitations grounds. Brill v.
Guardian Life Ins. Co. of Am.,
142 N.J. 520, 540 (1995). Denying
plaintiff the benefit of the doubt, as the majority suggests it
would do, conflicts not only with our summary judgment law, but
also with the spirit of the Medical Device Act (MDA). Senator
Edward Kennedy, in introducing the MDA, explained to his
colleagues that "the legislation is written so that the benefit
of the doubt is always given to the consumer. After all it is
the consumer who pays with his health and his life for medical
device malfunctions."
121 Cong. Rec. 10,688 (1975). Eleanor
Baird is being asked to pay with her health for experimentation
on the IOL.
Because plaintiff's informed consent claim is distinct from
her treatment claim, plaintiff is entitled to a factual hearing
on whether her doctor was reasonably diligent in determining
whether plaintiff understood that she was to be a laboratory
animal in the service of medical science--whether she understood
that the development of the IOL was still in the "anything can
happen" stage. Michael E. Petrella, License to Maim: Federal
Pre-emption and the medical Device Amendments of 1976,
6 Health
Matrix 349 (1996). Her signature on the consent form would serve
as evidence at that hearing. It might in fact prevent her from
prevailing. But at the summary judgment stage, her signature
should not serve to deny her the opportunity to prove her case,
as the majority suggests it would. Her entitlement to a hearing
seems elementary to me and is not too much to ask for a woman who
has lost her eyesight in a case of experimental surgery.
Justice Stein joins in this opinion.
NO. A-103/104/175 SEPTEMBER TERM 1997
ON APPEAL FROM
ON CERTIFICATION TO Appellate Division, Superior Court
ELEANOR BAIRD,
Plaintiff-Respondent,
and
JOHN BAIRD, her husband,
Plaintiff,