(CORRECTED OPINION OF 6/18/02)
SYLLABUS
(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).
Joseph Howard v. University of Medicine and Dentistry of New Jersey, et. Als.
(A-100-00)
Argued January 2, 2002 -- Decided June 18, 2002
LaVECCHIA, J., writing for a unanimous Court.
The Court addresses the possible causes of action available to an injured party
who claims that a physician misrepresented his credentials and experience at the time
he obtained the claimant=s consent to surgery.
Joseph Howard came under the care of Dr. Robert Heary in February 1997
for neck pain and related claims. Howard had a history of cervical spine
disease. Following a 1991 car accident, Howard was examined by doctors who determined
that he had severe spinal stenosis and recommended that he undergo surgery, which
Howard declined to do, even though the condition was worsening progressively.
In January of 1997, Howard was involved in another car accident causing, among
other things, a cervical and low back injuries. Howard sought the care of
Dr. Boston Martin, who had treated him after the 1991 accident. Dr. Martin
concluded that Howard=s spinal condittion had worsened significantly and recommended that he be
seen at the University of Medicine and Dentistry of New Jersey (UMDNJ) by
Dr. Heary, a Professor of Neurology and the Director of UMDNJ=s Spine Center
of New Jersey.
Dr. Heary had two pre-operative consultations with Howard. In the first consultation, Dr.
Heary determined that Mr. Howard needed surgery to correct a cervical myelopathy secondary
to cervical stenosis and a significantly large C3-C4 disc herniation. Because of the
serious nature of the surgery, Dr. Heary recommended that Mrs. Howard attend a
second consultation. What transpired during that meeting is in dispute. Dr. Heary claims
that he informed the Howards of the significant risks of the surgery, including
paralysis. The Howards deny that they were informed of such risks. In addition,
the Howards contend that Dr. Heary told them that he was Board Certified
and that he had performed approximately sixty corpectomies each year in the past
eleven years. Mrs. Howard claims that she was opposed to the surgery but
that she and her husband decided to go through with it based on
Dr. Heary=s specific claims of skill and experience. Dr. Heary denies that he
represented that he was Board Certified in Neurosurgery and that he claimed to
have performed sixty corpectomies per year for eleven years.
Dr. Heary performed the surgical procedure on March 5, 1997, but it was
unsuccessful. The Howard=s filed a malpractice action alleging that Mr. Howard was rendered
a quadriplegic as a result of Dr. Heary=s negligence. The Howard=s moved to
amend their complaint to add a count of fraud based on Dr. Heary=s
alleged misrepresentation of his experience and credentials. The trial court denied the motion,
finding that a fraud count would cloud the issues presented.
The Appellate Division granted leave to appeal and reversed and remanded with the
direction to the trial court to allow amendment of the complaint to allege
a deceit-based claim. The Appellate Division held that the denial of the motion
to amend the complaint violated the interests-of-justice standard. Further, the panel disagreed that
the Howard=s would be required to prove negligent performance of the surgery in
order to recover damages under the deceit-based claim. The Appellate Division likened the
claim for fraudulent misrepresentation to a claim for battery, when a doctor, other
than the one authorized under principles of informed consent, performs the surgery. In
such circumstances, proof of negligent performance by the doctor would not be required.
The Supreme Court granted Dr. Heary=s motion for leave to appeal.
HELD: A fraud or deceit-based claim is unavailable to address the claim that the
physician misrepresented his skill and credentials during the pre-surgery consultation. However, The Howards
may attempt to prove that Dr. Heary=s alleged misrepresentations about his credentials and
experience presents a claim based on lack of informed consent to the surgical
procedure.
1. A plaintiff has several avenues of relief against a doctor: 1) deviation
from the standard of care (medical malpractice); 2) lack of informed consent; and
3) battery. The Howards= motion to amend the complaint raises the question whether
a patient=s consent to surgery obtained through alleged misrepresentations about the doctor=s professional
experience and credentials is properly addressed in a claim of lack of conformed
consent, battery, or whether it should constitute a separate and distinct claim based
on fraud. (Pp. 7)
2.. A plaintiff seeking to recover under a theory of lack of informed
consent must prove that a reasonably prudent patient in his or her position,
if apprised of the material risks, would have elected a different course of
treatment or care. In addition, the claimant must meet a two-pronged test of
causation: 1) that the undisclosed risk actually materialized; and 2) that it was
medically caused by the treatment. (Pp. 8-13)
3. A medical battery cause of action exists where a doctor performs surgery
without consent, rendering the surgery an unauthorized touching. A battery exists where the
patient consents to one type of operation but the physician performs a substantially
different one from the one for which consent was obtained or where no
consent is obtained. AGhost surgery@ has also been considered a battery where one
surgeon obtains the informed consent from the patient and another surgeon performs the
operation without the knowledge of the patient. (Pp. 13-17)
4. Common law should not be extended to allow a novel fraud or
deceit-based cause of action in this doctor-patient context that would allow for the
possibility of punitive damages and would circumvent the requirements for proof of both
causation and damages imposed in a traditional informed consent setting. This is especially
so when the damages from this alleged fraud arise exclusively from the doctor-patient
relationship involving the corpectomy procedure. (Pp. 17-20)
5. In certain circumstances, a serious misrepresentation concerning the quality or extent of
a physician=s professional experience, viewed from the perspective of the reasonably prudent patient
assessing the risks associated with a medical procedure, can be material to the
grant of intelligent and informed consent to the procedure. Howard claims that Dr.
Heary=s misrepresentations induced him to consent to the procedure, and its risk of
paralysis, that he would not have undergone had he known the truth about
Dr. Heary=s qualifications. This claim is founded on a lack of informed consent.
However, the Howards must prove that the additional undisclosed risk posed by Dr.
Heary=s level of qualifications and experience increased the risk of paralysis from the
corpectomy procedure. (Pp. 20-26)
6. Misrepresented or exaggerated physician experience would have to significantly increase the risk
of a procedure in order for it to affect the judgment of a
reasonably prudent patient in an informed consent case. The proximate cause analysis will
involve a two step inquiry. First, whether the more limited experience or credentials
possessed by Dr. Heary could have substantially increased Mr. Howard=s risk of paralysis
from undergoing the corpectomy procedure. Expert testimony would be required for such a
showing. The second inquiry would be whether that substantially increased risk would cause
a reasonably prudent patient not to consent to the procedure. To satisfy the
damages element, the plaintiff would have to show a causal connection between the
inadequately undisclosed risk of the procedure and the injury sustained. (Pp. 26-29)
Judgment of the Appellate Division is REVERSED IN PART and AFFIRMED IN PART.
The matter is REMANDED to the trial court to allow the Howards the
opportunity to amend the complaint to allege lack of informed consent.
CHIEF JUSTICE PORITZ and JUSTICES STEIN, COLEMAN, LONG, VERNIERO, and ZAZZALI join in
JUSTICE LaVECCHIA = S opinion.
SUPREME COURT OF NEW JERSEY
A-
100 September Term 2000
JOSEPH HOWARD and MARIE
HOWARD,
Plaintiffs-Respondents,
v.
UNIVERSITY OF MEDICINE AND
DENTISTRY OF NEW JERSEY, DR.
C. RUEBENACKER, DR. C.
VAICYS, DR. GRIGORIAN, M.
FELIX, KRISTIN SCHWERZER, J.
ESPOSITO, E. WHEELER,
JONATHAN DALMER, JOHN DOES 1-
25 (fictitious names), JANE
DOES 1-25 (fictitious names),
JIM DOES 1-25 (fictitious
names), BETTY DOES 1-25
(fictitious names), and ABC
CORPS., 1-20 (fictitious
names),
Defendants,
and
DR. ROBERT HEARY and KAREN
ROMANO,
Defendants-Appellants.
______________________________
Argued January 2, 2002 -- Decided June 18, 2002
On appeal from the Superior Court, Appellate Division, whose opinion is reported at
338 N.J. Super. 33 (2001).
R. Scott Eichhorn argued the cause for appellants (McDonough, Korn & Eichhorn, attorneys;
Matthew S. Schorr, of counsel; Mr. Schorr and William S. Mezzomo, on the
briefs).
Bruce H. Nagel argued the cause for respondents (Nagel Rice Dreifuss & Mazie,
attorneys; Mr. Nagel, Robert H. Solomon and Adam M. Slater, of counsel; Mr.
Nagel, Mr. Solomon and Mr. Slater, on the briefs).
Joel M. Silverstein submitted a brief on behalf of amicus curiae Medical Society
of New Jersey (Stern, Greenberg & Kilcullen, attorneys).
Kevin McNulty submitted a brief on behalf of amicus curiae University Physician Associates
of New Jersey, Inc. (Gibbons, Del Deo, Dolan, Griffinger & Vecchione, attorneys).
The opinion of the Court was delivered by
LaVECCHIA, J.
In this appeal we consider what causes of action will lie when a
plaintiff contends that a physician misrepresented his credentials and experience at the time
he obtained the plaintiff=s consent to surgery.
I.
Plaintiff, Joseph Howard, came under the care of defendant, Dr. Robert Heary, in
February 1997 for neck pain and related complaints. He had a history of
cervical spine disease. Following a car accident in 1991, he was diagnosed with
spondyliosis, with spinal cord compression extending from the C3 to C7 cervical discs.
According to various doctors who examined him at that time he had severe
cervical spinal stenosis, and he was advised to undergo a Adecompressive cervical laminectomy
because of the extent of his cervical pathology.@ Although the condition was Aworsening
progressively,@ plaintiff decided to forego surgery.
In January 1997, another automobile accident caused plaintiff injuries that included a cerebral
concussion, cervical syndrome with bilateral radiculopathies, and low back syndrome with bilateral radiculopathies.
Plaintiff sought the care of Dr. Boston Martin, who had treated him after
the 1991 accident. Dr. Martin concluded that plaintiff=s spinal condition had worsened significantly
and recommended that plaintiff be seen at the University of Medicine and Dentistry
of New Jersey (UMDNJ) by Dr. Heary, a Professor of Neurosurgery and the
Director of UMDNJ=s Spine Center of New Jersey.
Dr. Heary had two pre-operative consultations with plaintiff. In the first consultation, Dr.
Heary determined that plaintiff needed surgery to correct a cervical myelopathy secondary to
cervical stenosis and a significantly large C3-C4 disc herniation. Because of the serious
nature of the surgery, Dr. Heary recommended that plaintiff=s wife attend a second
consultation. The doctor wanted to explain again the risks, benefits, and alternatives to
surgery, and to answer any questions concerning the procedure.
Plaintiff returned with his wife for a second consultation, but what transpired is
disputed. An AOffice Note@ written by Dr. Heary detailing the contents of the
consultation states that A[a]ll alternatives have been discussed and patient elects at this
time to undergo the surgical procedure, which has been scheduled for March 5,
1997.@ Dr. Heary asserts that he informed plaintiff and his wife that the
surgery entailed significant risks, including the possibility of paralysis. Plaintiffs dispute that they
were informed of such risks. Further, they contend that during the consultation plaintiff=s
wife asked Dr. Heary whether he was Board Certified and that he said
he was. Plaintiffs also claim that Dr. Heary told them that he had
performed approximately sixty corpectomies in each of the eleven years he had been
performing such surgical procedures. According to Mrs. Howard, she was opposed to the
surgery and it was only after Dr. Heary=s specific claims of skill and
experience that she and her husband decided to go ahead with the procedure.
Dr. Heary denies that he represented that he was Board Certified in Neurosurgery.
See footnote 1
He also denies that he ever claimed to have performed sixty corpectomies per
year for the eleven years he had practiced neurosurgery.
Dr. Heary performed the surgical procedure on March 5, 1997, but it was
unsuccessful. A malpractice action was filed alleging that Mr. Howard was rendered quadriplegic
as a result of Dr. Heary=s negligence.
During pretrial discovery, Dr. Heary and Mr. and Mrs. Howard were deposed. Plaintiffs
claim that they learned from Dr. Heary=s deposition that he had misrepresented his
credentials and experience during the pre-surgery consultation. In his deposition Dr. Heary stated
that he was not Board Certified at the time of the surgery, and
that he had performed approximately Aa couple dozen@ corpectomies during his career. Based
on that allegedly new information, plaintiffs moved unsuccessfully to amend their original complaint
to add a fraud count.
In denying the motion, the trial court reasoned that Athe plaintiff can get
before the jury everything that is necessary without clouding the issue [with] is
there a fraud here against the doctor . . . . I have
to agree with counsel for defendant that that, in essence, is not the
nexus of malpractice.@ The court added that the fraud count would be duplicative,
because if it were true that the doctor had misrepresented his credentials and
experience plaintiffs still would be required to prove that Dr. Heary deviated from
the acceptable standard of care to be entitled to recovery.
On leave to appeal the interlocutory order, the Appellate Division reversed and remanded
with direction to the trial court to permit amendment of the complaint to
include a Adeceit based claim.@ Howard v. University of Medicine and Dentistry,
338 N.J. Super. 33, 39 (2001). Rejecting the contention that the amended complaint caused
undue prejudice to defendant, the Appellate Division held that the denial of the
motion for leave to amend did not comport with the interests-of-justice standard. Id.
at 38. In respect of the merits of the newly pled claim based
on deceit, the panel disagreed that plaintiff would be required to prove negligent
performance of the surgery in order to recover damages. Ibid. The Appellate Division
likened the claim for fraudulent misrepresentation to a claim for battery, when a
doctor, other than the one authorized under principles of informed consent, performs the
surgery. Id. at 39. In such circumstances, proof of negligent performance by the
doctor would not be required. Ibid.
We granted defendant=s motion for leave to appeal,
168 N.J. 287 (2001).
II.
Presently, a patient has several avenues of relief against a doctor: (1) deviation
from the standard of care (medical malpractice); (2) lack of informed consent; and
(3) battery.
Colucci v. Oppenheim,
326 N.J. Super. 166, 180 (App. Div. 1999),
certif. denied,
163 N.J. 395 (2000) (citations omitted). Although each cause of action
is based on different theoretical underpinnings, Ait is now clear that deviation from
the standard of care and failure to obtain informed consent are simply sub-groups
of a broad claim of medical negligence.@
Teilhaber v. Greene,
320 N.J. Super. 453, 463 (App. Div. 1999) (citations omitted). The original complaint in this case
alleged a standard medical malpractice claim of deviation from the standard of care.
Plaintiffs= motion to amend the complaint to add a fraud claim raises the
question whether a patient=s consent to surgery obtained through alleged misrepresentations about the
physician=s professional experience and credentials is properly addressed in a claim of lack
of informed consent, or battery, or whether it should constitute a separate and
distinct claim based on fraud.
A.
We focus first on the distinction between lack of informed consent and battery
as they are recognized in New Jersey. The doctrine of informed consent was
tied initially to the tort of battery, but its evolution has firmly established
it as a negligence concept. See
Largey v. Rothman,
110 N.J. 204, 207-08
(1988) (tracing history of theory of informed consent). Early cases recognized a cause
of action for an Aunauthorized touching@ or Abattery@ if a physician did not
obtain consent to perform a medical procedure.
See, e.g., Mohr v. Williams,
104 N.W. 12, 14-15 (Minn. 1905) (finding physician liable for operating on left ear
when permission given only for surgery on right ear);
Schloendorff v. Society of
New York Hosp., 105
N.E. 92, 93 (N.Y. 1914) (citations omitted) (declaring importance of
personal autonomy in medical setting: AEvery human being of adult years and sound
mind has a right to determine what shall be done with his own
body; and a surgeon who performs an operation without his patient=s consent commits
an assault for which he is liable in damages.@). Because doctors ordinarily lacked
the Aintent@ to harm normally associated with the tort of battery, however, courts
examining the nuances of the doctor-patient relationship realized that conceptually a cause of
action based on lack of patient consent fit better into the framework of
a negligence cause of action. See Marjorie Maguire Shultz,
From Informed Consent to
Patient Choice: A New Protected Interest, 95
Yale L.J. 219, 225 (1985) (AGiven
the absolute nature of battery, the narrowness of its defenses, and the breadth
of its remedies, doctors could end up paying significant damages after providing faultless
medical treatment, simply because some minor informational aspect of the consent process was
questioned.@).
By the mid-twentieth century, as courts began to use a negligence theory to
analyze consent causes of action, the case law evolved from the notion of
consent to
informed consent, balancing the patient=s need for sufficient information with the doctor=s
perception of the appropriate amount of information to impart for an informed decision.
See
Largey,
supra, 110
N.J. at 208 (quoting
Salgo v. Leland Stanford Jr.
Univ. Bd. of Trustees,
317 P.2d 170, 181 (Cal. App. 1957) (A[a] physician
violates his duty to the patient and subjects himself to liability if he
withholds any facts which are necessary to form the basis of an intelligent
consent by the patient to the proposed treatment.@)).
The doctrine of informed consent continued to be refined. See
Natanson v. Kline,
350 P.2d 1093, 1106,
modified on other grounds,
354 P.2d 670 (Kan. 1960)
(holding that doctor=s required disclosure was Alimited to those disclosures which a reasonable
medical practitioner would make under the same or similar circumstances,@ known as the
Aprofessional standard@). Eventually, the Aprudent patient,@ or Amateriality of risk@ standard was introduced.
Canterbury v. Spence,
464 F.2d 772, 786-88 (D.C. Cir. 1972),
cert. denied,
409 U.S. 1064,
93 S. Ct. 560,
34 L. Ed.2d 518 (1972). That
patient-centered view of informed consent stresses the patient=s right to self-determination, and the
fiduciary relationship between a doctor and his or her patients.
Id. at 781-82. The
standard balances the patient=s need for material information with the discretion to be exercised
by the doctor, and requires a physician to disclose material information to the
patient even if the patient does not ask questions.
Ibid. AA risk would
be deemed >material= when a reasonable patient, in what the physician knows or
should know to be the patient=s position, would be >likely to attach significance
to the risk or cluster of risks= in deciding whether to forgo the
proposed therapy or to submit to it.@
Largey,
supra, 110
N.J. at 211-212 (quoting
Canterbury,
supra, 464
F.
2d at 787).
In New Jersey, as in most jurisdictions, informed consent is Aa negligence concept
predicated on the duty of a physician to disclose to a patient information
that will enable him to >evaluate knowledgeably the options available and the risks
attendant upon each= before subjecting that patient to a course of treatment.@
Perna
v. Pirozzi,
92 N.J. 446, 459 (1983) (quoting
Canterbury,
supra, 464
F.2d at
780). Although we originally followed the Aprofessional@ standard for assessing claims of informed
consent,
Kaplan v. Haines,
96 N.J.Super. 242, 257 (App. Div. 1967),
aff=d o.b.,
51 N.J. 404 (1968), that standard was replaced by the Aprudent patient@ standard
set forth in
Canterbury.
Largey,
supra, 110
N.J. at 216.
Thus, to sustain a claim based on lack of informed consent, the patient
must prove that the doctor withheld pertinent medical information concerning the risks of
the procedure or treatment, the alternatives, or the potential results if the procedure
or treatment were not undertaken.
Perna,
supra, 92
N.J. at 460 (citation omitted).
See also
Matthies v. Mastromonaco,
160 N.J. 26, 34-35 (1999) (noting requirement of exploring medically
reasonable invasive and noninvasive alternatives, including risks and likely outcomes of both). The
information a doctor must disclose depends on what a reasonably prudent patient would
deem significant in determining whether to proceed with the proposed procedure.
Largey,
supra,
110
N.J. at 211-212.
A plaintiff seeking to recover under a theory of lack of informed consent
also must prove causation,
id. at 215, thereby requiring a plaintiff to prove
that a reasonably prudent patient in the plaintiff=s position would have declined to
undergo the treatment if informed of the risks that the defendant failed to
disclose.
Canesi v. Wilson,
158 N.J. 490, 504-05 (1999) (citation omitted). If the plaintiff
would have consented to the proposed treatment even with full disclosure, the burden
of proving causation is not met.
Largey,
supra, 110
N.J. at 215-16. Accordingly,
[t]o establish a
prima facie case for medical negligence premised on a theory
of liability for lack of informed consent, a plaintiff must show A(1) the
physician failed to comply with the [reasonably- prudent-patient] standard for disclosure; (2)
the
undisclosed risk occurred and harmed the plaintiff; (3) a reasonable person under the
circumstances would not have consented and submitted to the operation or surgical procedure
had he or she been so informed; and (4)
the operation or surgical
procedure was a proximate cause of plaintiff=s injuries.@
[
Teilhaber,
supra, 320
N.J. Super. at 465 (citations omitted) (emphasis added).]
The damages analysis in an informed consent case involves a comparison between the
condition a plaintiff would have been in had he or she been properly
informed and not consented to the risk, with the plaintiff=s impaired condition as
a result of the risk=s occurrence. Canesi, supra, 158 N.J. at 505 (citations
omitted) (noting that Athere must be medical causation [from the procedure], that is,
a causal connection between the undisclosed risk [of the procedure performed] and the
injury ultimately sustained@). Our case law does not require a plaintiff to prove
that the physician deviated from the standard of care in performing the operation
or procedure; the physician=s negligence is in the inadequate disclosure and the damages
claimed derive from the harm to the patient caused by a procedure that
would not have occurred if the disclosure had been adequate. Id. at 506
(analyzing causation requirements of informed consent and wrongful birth actions; although both require
disclosure of risks that reasonably prudent patient would consider material, informed consent action
requires plaintiff to demonstrate that undisclosed risk materialized and injury to patient resulted
from treatment provided). In summary, in an action based on lack of informed
consent,
the plaintiff must prove not only that a reasonably prudent patient in [his
or] her position, if apprised of all material risks, would have elected a
different course of treatment or care. In an informed consent case, the plaintiff
must additionally meet a two-pronged test of proximate causation: [he or] she must
prove that the undisclosed risk actually materialized and that it was medically caused
by the treatment.
[Ibid.]
B.
Our common law also authorizes a medical battery cause of action where a
doctor performs a surgery without consent, rendering the surgery an unauthorized touching.
Perna,
supra, 92
N.J. at 460-61. Because battery is an intentional tort, it is
reserved for those instances where either the patient consents to one type of
operation but the physician performs a substantially different one from that for which
authorization was obtained, or where no consent is obtained.
Matthies,
supra, 160
N.J.
at 35 (citing 3 David W. Louisell & Harold Williams,
Medical Malpractice ''
22.02, 22.03 (1999));
Samoilov v. Raz,
222 N.J. Super. 108, 119 (App. Div.
1987).
In circumstances where the surgery that was performed was authorized with arguably inadequate
information, however, an action for negligence is more appropriate.
Tonelli v. Khanna, 238
N.J. Super. 121, 126-27 (App. Div.),
certif. denied,
121 N.J. 657 (1990). Battery actions
are less readily available in part because of the severity of their consequences.
In an action for battery, a patient need not prove that the physician
deviated from either the applicable standard for disclosure or the standard for performance
of the operation.
Perna,
supra, 92
N.J. at 460-61. Accordingly, A[a]n operation undertaken
without [any] consent (battery) even if perfectly performed with good medical results may
entitle a plaintiff to at least nominal and even punitive damages.@
Whitley-Woodford v.
Jones, 253
N.J. Super. 7, 11 (App. Div. 1992) (citations omitted).
The decision in
Perna represents the unusual circumstance where the consent granted was
vitiated, rendering the circumstances the equivalent of an unauthorized touching -- in other
words, a battery. In that matter, the defendant urologists were part of a
medical group that operated as a self-described "team."
Perna,
supra, 92
N.J. at 451.
Their method of operation included a decision made immediately prior to a surgical
procedure designating the specific member of the group who was to perform the
surgery. Unaware of that practice, the plaintiff entered the hospital on the advice
of his family physician for tests and a urological consultation. In the hospital,
the plaintiff was examined by one physician member of the practice group who
previously had treated the plaintiff for a bladder infection.
Ibid. The doctor recommended
the removal of kidney stones and the plaintiff signed a consent form naming
that physician as the surgeon. The operation ultimately was performed by two other
physicians from the practice group, both of whom were unaware that only the
original doctor=s name appeared on the consent form.
Id. at 452. Postsurgical complications
developed and the plaintiff became aware of the substitution of doctors.
Ibid.
Plaintiff sued based on lack of informed consent.
Perna,
supra, 92
N.J. at
452. The court instructed the jury that the plaintiff could recover only if
the substitution of surgeons caused his damages.
Id. at 453. The jury found
for the defendants, and on appeal the Appellate Division affirmed.
Id. at 450.
On certification to this Court, the matter was reversed and remanded.
Id. at
465-66. The Court referred to the substitution of surgeons as "ghost surgery" because
the doctor to whom informed consent was given was not the surgeon who
performed the surgery. In that circumstance, the Court concluded that that surgeon did
not have the plaintiff=s informed consent.
Id. at 463 n.3, 464-465 (citing
Judicial
Council of the American Medical Ass=n, Op. 8.12 (1982)). Denominating the matter a
battery, the Court held that the plaintiff was entitled to "recover for all
injuries proximately caused by the mere performance of the operation, whether the result
of negligence or not.@
Perna,
supra, 92
N.J. at 460-61. The Court held
that if the patient suffers no injuries except those that may be foreseen
from the operation, he then is entitled at least to nominal damages and,
in an appropriate case, may be entitled to damages for mental anguish resulting
from the belated knowledge that the operation was performed by a doctor to
whom he had not given consent.
Id. at 461.
Thus, although a claim for battery will lie where there has been Aghost
surgery@ or where no consent has been given for the procedure undertaken, if
consent has been given for the procedure only a claim based on lack
of informed consent will lie. A claim based on lack of informed consent
properly will focus then on the adequacy of the disclosure, its impact on
the reasonable patient=s assessment of the risks, alternatives, and consequences of the surgery,
and the damages caused by the occurrence of the undisclosed risk. See W.
Page Keeton, et al.,
Prosser and Keeton on Torts ' 32 at 190
(5th ed. 1984).
III.
A.
In finding that a deceit-based claim was appropriate in this matter, the Appellate
Division analogized the allegations concerning Dr. Heary=s misrepresentations about his credentials and experience
to the Aghost surgery@ situation discussed in
Perna.
Howard,
supra, 338
N.J. Super.
at 38-39. At the outset, we note that this case is not factually
analogous to
Perna where a different person from the one to whom consent
was given actually performed the procedure. 92
N.J. at 451-52. Nor is this
a case where someone impersonating a doctor actually touched a patient. See
Taylor
v. Johnston,
985 P.2d 460, 465 (Alaska 1999) (noting that Abattery claim may
lie if a person falsely claiming to be a physician touches a patient,
even for the purpose of providing medical assistance@). Here, defendant explained the procedure,
its risks and benefits, and the alternatives to the surgery. He then performed
the procedure; another person did not operate in his stead as in the
Aghost surgery@ scenario. See Thomas Lundmark,
Surgery by an Unauthorized Surgeon as a
Battery,
10 J.L. & Health 287 (1995-1996) (defining ghost surgery as Asurgery by
a surgeon [to whom] the patient has not consented@). The facts in
Perna
simply are not helpful here.
Few jurisdictions have confronted the question of what cause of action should lie
when a doctor allegedly misrepresents his credentials or experience. Research has revealed only
one jurisdiction that has allowed a claim based on lack of informed consent
under similar circumstances. See
Johnson v. Kokemoor,
545 N.W.2d 495, 498 (Wis. 1996)
(analyzing doctor=s affirmative misrepresentation as claim for lack of informed consent and finding
that reasonable person would have considered information regarding doctor's relative lack of experience
in performing surgery to have been material in making intelligent and informed decision).
Although some suggest that a claim based in fraud may be appropriate if
a doctor actively misrepresents his or her background or credentials, we are aware
of no court that has so held.
See, e.g.,
Bethea v. Coralli,
546 S.E.2d 542, 544 (Ga. Ct. App. 2001) (holding that patient may not bring
claim for fraud independent of claim of medical malpractice);
Ditto v. McCurdy,
947 P.2d 952, 958 (Hawaii 1997) (holding that failure to disclose lack of board
certification as plastic surgeon, as opposed to other board certifications possessed, did not
violate requirements for informed consent or render doctor liable for fraud);
Paulos v.
Johnson,
597 N.W.2d 316, 320 (Minn. Ct. App. 1999) (allegation of misrepresentation is
not actionable as independent fraud claim);
Spinosa v. Weinstein,
571 N.Y.S.2d 747, 751-54
(N.Y. App. Div. 1991) (holding that fraudulent representations made to plaintiff did not
render her consent to foot surgery equivalent to absence of consent; rather, claim
had to do with whether there was failure to obtain informed consent);
cf.
Duttry v. Patterson,
771 A.2d 1255, 1259 (Pa. 2001) (holding that alleged affirmative
misstatement of credentials does not support claim for lack of informed consent, but
suggesting that claim for misrepresentation may be appropriate).
The thoughtful decision of the Appellate Division notwithstanding, we are not convinced that
our common law should be extended to allow a novel fraud or deceit-based
cause of action in this doctor-patient context that would admit of the possibility
of punitive damages, and that would circumvent the requirements for proof of both
causation and damages imposed in a traditional informed consent setting. We are especially
reluctant to do so when plaintiff=s damages from this alleged Afraud@ arise exclusively
from the doctor-patient relationship involving plaintiff=s corpectomy procedure. See
Spinosa,
supra,
571 N.Y.S 2d
at 753 (citations omitted) (holding that concealment or failure to disclose doctor=s own
malpractice does not give rise to claim of fraud or deceit independent of
medical malpractice, and noting that intentional tort of fraud actionable A>only when the
alleged fraud occurs separately from and subsequent to the malpractice . . .
and then only where the fraud claim gives rise to damages separate and
distinct from those flowing from the malpractice=@). Accordingly, we hold that a fraud
or deceit-based claim is unavailable to address the wrong alleged by plaintiff. We
next consider whether a claim based on lack of informed consent is the
more appropriate analytical basis for the amendment to the complaint permitted by the
Appellate Division.
B.
Our case law never has held that a doctor has a duty to
detail his background and experience as part of the required informed consent disclosure;
nor are we called on to decide that question here. See
In re
Conroy,
98 N.J. 321, 346 (1985) (stating that informed consent doctrine anticipates Aa
patient=s consent, obtained after explanation of the nature of the treatment, substantial risks,
and alternative therapies.@) (quoting Norman L. Cantor,
A Patient=s Decision to Decline Life-Saving
Medical Treatment: Bodily Integrity Versus the Preservation of Life,
26
Rutgers L. Rev.
228, 346 (1973));
Matthies,
supra, 160
N.J. at 36-41.
See generally 3 David
W. Louisell & Harold Williams,
Medical Malpractice ' 22.04(3)(a) (1998) (noting that ordinary
scope of disclosure involves Ainformation concerning (1) the diagnosis; (2) the general nature
of the contemplated procedure; (3) the risks involved; (4) the prospects of success;
(5) the prognosis if the procedure is not performed; and (6) alternative medical
treatments@). Courts generally have held that claims of lack of informed consent based
on a failure to disclose professional-background information are without merit.
See, e.g.,
Ditto,
supra, 947
P.
2d at 958 (holding that informed consent does not require doctor
to Aaffirmatively disclose his or her [professional] qualifications or lack thereof to a
patient@);
Foard v. Jarman,
387 S.E.2d 162, 167 (N.C. 1990) (finding that because
informed consent statute imposed no affirmative duty to discuss experience, facts presented Ano
genuine issue regarding defendant=s experience which [bore] on the issue of informed consent@).
Although personal credentials and experience may not be a required part of an
informed consent disclosure under the current standard of care required of doctors, the
question raised in this appeal is whether significant misrepresentations concerning a physician=s qualifications
can affect the validity of consent obtained. The answer obviously is that they
can.
In certain circumstances, a serious misrepresentation concerning the quality or extent of a
physician=s professional experience, viewed from the perspective of the reasonably prudent patient assessing
the risks attendant to a medical procedure, can be material to the grant
of intelligent and informed consent to the procedure. See 1 Dan B. Dobbs,
The Law of Torts, ' 251 at 660-61 (2001) (citing
Kokemoor,
supra, and
discussing that some authority has begun to suggest that patient is entitled to
information concerning doctor=s experience in performing specific surgery). In
Kokemoor,
supra, the Supreme
Court of Wisconsin reviewed a case in which the plaintiff alleged that her
surgeon did not obtain her informed consent to perform a surgical procedure because
he had misrepresented his experience in response to a direct question during a
pre-operative consultation. 545
N.W.
2d at 505. At trial, evidence was introduced suggesting
that the type of surgery performed -- basilar bifurcation aneurysm -- was Aamong
the most difficult in all of neurosurgery.@
Ibid. The court found that evidence
of the defendant=s lack of experience was relevant to an informed consent claim
because A[a] reasonable person in the plaintiff=s position would have considered such information
material in making an intelligent and informed decision about the surgery.@
Ibid. See
also Bethea,
supra, 546
S.E.
2d at 544 (recognizing that fraudulent misrepresentation of facts
material to consent may support claim based on lack of informed consent);
Paulos,
supra, 597
N.W.
2d at 320 (suggesting misrepresentation by doctor that he was board
certified in plastic surgery may present issue of informed consent).
The allegation here is that defendant=s misrepresentations concerning his credentials and experience were
instrumental in overcoming plaintiff=s reluctance to proceed with the surgery. The theory of
the claim is not that the misrepresentation induced plaintiff to proceed with unnecessary
surgery. See
Tonelli,
supra, 238
N.J. Super. at 128 (noting that plaintiff alleged
that doctor performed unnecessary surgery for personal gain). Rather, plaintiff essentially contends that
he was misled about material information that he required in order to grant
an intelligent and informed consent to the performance of the procedure because he
did not receive accurate responses to questions concerning defendant=s experience in performing corpectomies
and whether he was ABoard Certified.@ Plaintiff allegedly was warned of the risk
of paralysis from the corpectomy procedure; however, he asserts that if he had
known the truth about defendant=s qualifications and experience, it would have affected his
assessment of the risks of the procedure. Stated differently, defendant=s misrepresentations induced plaintiff
to consent to a surgical procedure, and its risk of paralysis, that he
would not have undergone had he known the truth about defendant=s qualifications. Stripped
to its essentials, plaintiff=s claim is founded on lack of informed consent.
As noted earlier, a patient-specific standard of what is material to a full
disclosure does not apply in a claim based on lack of informed consent.
Thus, plaintiff=s subjective preference for a Board Certified physician, or one who had
performed more corpectomies than defendant had performed, is not the actionable standard. Nonetheless,
assuming the misrepresentations are proved, if an objectively reasonable person could find that
physician experience was material in determining the medical risk of the corpectomy procedure
to which plaintiff consented, and if a reasonably prudent person in plaintiff=s position
informed of the defendant=s misrepresentations about his experience would not have consented, then
a claim based on lack of informed consent may be maintained.
Modern advances in medicine coupled with the increased sophistication of medical consumers require
an evolving notion of the reasonably prudent patient when assessing a claim based
on lack of informed consent. See Schultz,
supra, 95
Yale L.J. at 221-22.
That said, most informed consent issues are unlikely to implicate a setting in
which a physician=s experience or credentials have been demonstrated to be a material
element affecting the risk of undertaking a specific procedure. The standard requires proof
on which an objectively reasonable person would base a finding that physician experience
could have a causal connection to a substantial risk of the procedure.
Largey,
supra, 110
N.J. at 213-15; 3 David W. Louisell & Harold Williams,
Medical
Malpractice ' 22.05(3) (2001).
The alleged misrepresentations in this case about Aphysician experience@ (credentials and surgical experience)
provide a useful context for demonstrating the difficulty inherent in meeting the materiality
standard required in order for physician experience to have a role in an
informed consent case. We recognize that a misrepresentation about a physician=s experience is
not a perfect fit with the familiar construct of a claim based on
lack of informed consent. The difficulty arises because physician experience is not information
that directly relates to the procedure itself or one of the other areas
of required medical disclosure concerning the procedure, its substantial risks, and alternatives that
must be disclosed to avoid a claim based on lack of informed consent.
But the possibility of materiality is present. If defendant=s true level of experience
had the capacity to enhance substantially the risk of paralysis from undergoing a
corpectomy, a jury could find that a reasonably prudent patient would not have
consented to that procedure had the misrepresentation been revealed. That presumes that plaintiff
can prove that the actual level of experience possessed by defendant had a
direct and demonstrable relationship to the harm of paralysis, a substantial risk of
the procedure that was disclosed to plaintiff. Put differently, plaintiff must prove that
the additional undisclosed risk posed by defendant=s true level of qualifications and experience
increased plaintiff=s risk of paralysis from the corpectomy procedure.
The standard for causation that we envision in such an action will impose
a significant gatekeeper function on the trial court to prevent insubstantial claims concerning
alleged misrepresentations about a physician=s experience from proceeding to a jury. We contemplate
that misrepresented or exaggerated physician experience would have to significantly increase a risk
of a procedure in order for it to affect the judgment of a
reasonably prudent patient in an informed consent case. As this case demonstrates, the
proximate cause analysis will involve a two-step inquiry.
The first inquiry should be, assuming a misrepresentation about experience, whether the more
limited experience or credentials possessed by defendant could have substantially increased plaintiff=s risk
of paralysis from undergoing the corpectomy procedure. We envision that expert testimony would
be required for such a showing. The second inquiry would be whether that
substantially increased risk would cause a reasonably prudent person not to consent to
undergo the procedure. If the true extent of defendant=s experience could not affect
materially the risk of paralysis from a corpectomy procedure, then the alleged misrepresentation
could not cause a reasonably prudent patient in plaintiff=s position to decline consent
to the procedure. The court=s gatekeeper function in respect of the first question
will require a determination that a genuine issue of material fact exists requiring
resolution by the factfinder in order to proceed to the second question involving
an assessment by the reasonably prudent patient. Further, the trial court must conclude
that there is a genuine issue of material fact concerning both questions in
order to allow the claim to proceed to trial.
Finally, to satisfy the damages element in a claim based on lack of
informed consent, a plaintiff typically has to show a causal connection between the
inadequately disclosed risk of the procedure and the injury sustained.
Canesi,
supra, 158
N.J. at 505. If that risk materialized and harmed plaintiff, damages for those
injuries are awarded.
Ibid. Here, if successful in his claim based on lack
of informed consent, plaintiff may receive damages for injuries caused by an inadequately
disclosed risk of the corpectomy procedure. However, as noted, to be successful plaintiff
must prove that defendant=s allegedly misrepresented qualifications and experience can satisfy the stringent
test for proximate causation that is required for physician experience to be material
to the substantial risk of the procedure that occurred (paralysis) and injured plaintiff.
If he can, then plaintiff may be compensated for that injury caused by
the corpectomy irrespective of whether defendant deviated from the standard of care in
performing the surgical procedure.
In conclusion, plaintiff=s medical malpractice action will address any negligence in defendant=s performance
of the corpectomy procedure. We hold that in addition plaintiff may attempt to
prove that defendant=s alleged misrepresentation about his credentials and experience presents a claim
based on lack of informed consent to the surgical procedure, consistent with the
requirements and limitations that we have imposed on such a claim.
IV.
We reverse that portion of the decision below that would permit a separate
action for fraud in view of our conclusion that misrepresentations concerning a physician=s
credentials and experience ordinarily are to be cognizable in a claim based on
lack of informed consent. All aspects of plaintiff=s complaint against defendant arise out
of plaintiff=s consent to a medical procedure and defendant=s performance of that procedure.
Permitting a cause of action based on lack of informed consent, in addition
to the malpractice action, is all that is required and appropriate to address
plaintiff=s allegations.
The judgment of the Appellate Division is affirmed in part, and reversed in
part. The matter is remanded to the trial court to allow plaintiff the
opportunity to amend his complaint to allege lack of informed consent, consistent with
the requirements for prevailing on that claim as set forth in this opinion.
CHIEF JUSTICE PORITZ and JUSTICES STEIN, COLEMAN, LONG, VERNIERO, and ZAZZALI join in
JUSTICE LaVECCHIA=s opinion.
SUPREME COURT OF NEW JERSEY
NO. A-100 SEPTEMBER TERM 2000
ON APPEAL FROM Appellate Division, Superior Court
ON CERTIFICATION TO
JOSEPH HOWARD and MARIE
HOWARD,
Plaintiffs-Respondents,
v.
UNIVERSITY OF MEDICINE AND
DENTRISTRY OF NEW JERSEY,
et al.,
Defendants,
and
DR. ROBERT HEARY and KAREN
ROMANO,
Defendants-Appellants.
DECIDED June 18, 2002
Chief Justice Poritz PRESIDING
OPINION BY Justice LaVecchia
CHECKLIST
AFFIRM IN PART/REVERSE IN PART AND REMAND
CHIEF JUSTICE PORITZ
X
JUSTICE STEIN
X
JUSTICE COLEMAN
X
JUSTICE LONG
X
JUSTICE VERNIERO
X
JUSTICE LaVECCHIA
X
JUSTICE ZAZZALI
X
TOTALS
7
Footnote: 1
Although he was Board Eligible at the time of Mr. Howard=s surgery,
Dr. Heary did not become Board Certified in Neurosurgery until November 1999. AA
physician is considered to be a surgical specialist if the physician: (1) Is
certified by an American surgical specialty board approved by the American Board of
Medical Specialties; or (2) Has been judged eligible by such a board for
its examination by reason of education, training and experience.@ American College of Surgeons
Statements on Principles, Section II.A.