619 N.W.2d 682
20905, 20914Supreme Court of South Dakota.Argued March 21, 2000.
Opinion Filed December 6, 2000.
Appeal from the Second Judicial Circuit, Minnehaha County, SD Hon. Judith K. Meierhenry, Judge, #20905, #20914 — Affirmed
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Michael A. Wilson, Quinn, Day Barker, Rapid City, SD, Attorneys for Appellant Wuest.
James E. McMahon, Lisa Hansen, Marso Boyce, Murphy, McDowell
Greenfield, Sioux Falls, SD, Attorneys for Appellee McKennan Hospital.
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TIMM, Circuit Judge.
[¶ 1] Perry Carver’s guardian ad litem, George Wuest, and Shirley Carver (collectively Carver) filed suit against McKennan Hospital (McKennan) and Perry Carver’s physicians alleging medical negligence. The claim centered on McKennan’s staffing policies and whether Carver’s bathroom door should have been locked. The case was tried before a jury which returned a verdict in favor of all defendants. Carver now appeals only the verdict in favor of McKennan. We affirm on all issues.
FACTS
[¶ 2] On the afternoon of November 19, 1993, Perry Carver walked into the Sioux Falls police station, claiming he was suicidal. Police officers transported him to McKennan’s emergency room, where he was immediately admitted into the hospital’s Acute Adult Unit on a 24-hour mental illness hold. He was diagnosed with depression, suicidal thoughts and alcohol intoxication.
Did the trial court err by refusing to instruct the jury on the adverse inference rule?
Did the trial court err by refusing to instruct the jury on the doctrine of res ipsa loquitur?
Did the trial court fail to clearly instruct the jury regarding liability and causation?
Did the trial court err in replacing a juror with an alternate juror?
Did McKennan’s counsel make unfairly prejudicial statements in its closing argument, thereby requiring a new trial?
ISSUE ONE
[¶ 7] Did the trial court err by refusing to instruct the jury onthe adverse inference rule?
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Wright, 1999 SD 50, 593 N.W.2d 792. To establish error, the appellant must establish that the proffered instruction was a correct statement of the law applicable to the facts. Schaffer v. Edward D. Jones Co., 1996 SD 94, ¶ 19, 552 N.W.2d 801, 808. In addition, it must be established that the “jury might and probably would have returned a different verdict if the proposed instruction had been given.” Bauman v. Auch, 539 N.W.2d 320, 323 (SD 1995).
[¶ 9] During the course of jury instruction settlement, Carver requested an instruction on the adverse inference rule. Carver claims he was entitled to the adverse inference instruction because McKennan destroyed the policy regulating staff to patient ratios for the Acute Adult Unit after Carver hung himself. More significantly, Carver claims McKennan destroyed the policy in spite of knowledge that staffing issues were critical in the events leading to Carver’s hanging. Carver claims such conduct amounted to spoliation[1] and that an adverse inference instruction is appropriate when a party commits spoliation. [¶ 10] McKennan asserts that the policy was destroyed as a matter of business routine after Carver’s hanging, but prior to the commencement of this lawsuit. It argues that since the destruction was due to a matter of routine procedure, the adverse inference instruction was not appropriate.In South Dakota, we recognize and use the “adverse inference rule.” This rule provides that if a party has evidence under its control and does not present that evidence, an inference may be drawn that the evidence would not support that party’s claim. Amert v. Lake County Bd. of Equalization, 1998 SD 66, ¶ 28, 580 N.W.2d 616, 621 (quoting Sabhari v. Sapari, 1998 SD 35, ¶ 14, 576 N.W.2d 886, 891, n 6 (quoting Matters v. Custer County, 538 N.W.2d 533, 536 (SD 1995))). See also Klinker v. Beach, 1996 SD 56, ¶ 15, 547 N.W.2d 572, 576, n 2 (stating that because a relevant document was not offered in support of any claims made by the plaintiff, the court will “assume it would not provide such support”) (citing Matters, 583 N.W.2d at 536).
In re Estate of Klauzer, 2000 SD 7, ¶ 17, 604 N.W.2d 474, 478.
[¶ 11] The burden was on the spoliator, McKennan, to show it acted in a non-negligent, good faith manner in destroying the document sought. An adverse inference is not automatic, it simply creates a presumption that the evidence sought would be unfavorable to the spoliator. See DeLaughter, 601 So.2d at 823 (finding that the adverse inference instruction failed to inform the jury that the hospital had the burden to show it did not destroy or misplace the hospital record); 29 Am.Jur.2 Evidence § 244 (1980) (stating any presumption that arises from the spoliation of evidence is rebuttable and open to explanation). The spoliator must provide an explanation for the disappearance of any documentary evidence. A duty is imposed upon a hospital such as McKennan to give an “adequate explanation for the absence of the [staffing procedure policy].” DeLaughter, 601 So.2d at 821. “Therefore, the jury was entitled to be told why the [staffing procedure policy] was missing, . . . a relevant fact.” Id. [¶ 12] The trial court, as gatekeeper of evidence, must use its discretion in deciding whether an adverse inference instruction should be given. The DeLaughter court explained:As with any other evidence, the explanation for the original record’s absence may be fully satisfying either that it was lost through no fault of the hospital, that the hospital deliberately destroyed it, or as in most cases, somewhere in between,
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thereby making it a jury issue. For example, where the evidence is positive that the hospital had been destroyed by fire, such circumstance would adequately account for the loss of the original medical record without fault attributable to the hospital, and there would be no reason for the jury to be instructed on a presumption or inference arising from the loss.
Id. But if the trial court concludes the spoliator maliciously destroyed the document, it is unavailable because of negligence, or for some other reason evidencing a lack of good faith, the jury should be given an adverse inference instruction. Id. at 822. The jury must then determine if the explanation given is reasonable, and if it finds it is reasonable, then the jury may not infer the missing document contained unfavorable information to the opposing party. Id.
[¶ 13] One factor to consider in determining whether a spoliator acted in good faith is an explanation that the evidence sought was destroyed as part of routine destruction in the course of business. McKennan asserts that its policy regulating staff to patient ratios for the Acute Adult Unit was updated as a matter of annual business routine. Many courts provide a safe harbor for a party who destroys a document before litigation commences if the destruction was done in the ordinary course of business, which indicates a degree of good faith so that an adverse inference should not be drawn. Scott M. Kline, Advising Clients on the Destruction of Documents Prepared and Used to Formulate Discovery Responses: Perils and Pitfalls, 11 RevLitig 47 (Winter 1991).[2] [¶ 14] Allowing a defendant business such as McKennan to offer the routine or formal document destruction policy as an explanation for loss of evidence is simply realistic for many companies, especially large corporations who cannot as a practical matter afford the time or expense to retain every single document involved in its business.[3] If a trial court deems an adverse inference instruction is necessary for the jury, then it will be up to the jury to decide whether a defendant’s explanation for loss or destruction of documentary evidence due to bad faith, negligence or routine destruction warrants an adverse inference against the defendant. [¶ 15] Even if it was an abuse of discretion to fail to instruct the jury on the adverse inference rule, it was harmless error based on this Court’s resolution of Issue Three. The appropriate standard of care to which a hospital must comply is primarily “that care which is available atPage 688
hospitals within the same or similar communities.” Shamburger v. Behrens, 418 N.W.2d 299, 306 (SD 1988). In this case, claims that the applicable standard of care can be established by the hospital’s internal policies are marginal. For this reason, Carver failed in his burden of establishing that the “jury might and probably would have returned a different verdict if the proposed instruction had been given.” Bauman, 539 N.W.2d at 323.
ISSUE TWO
[¶ 16] Did the trial court err by refraining from instructing thejury on the doctrine of res ipsa loquitur?
[¶ 19] Carver’s own experts testified that suicides occur in hospitals and that patients commit suicide in the absence of a hospital’s or physician’s negligence. Carver failed to establish that the suicide attempt was such that, according to knowledge and experience, does not happen if those having management or control had not been negligent. Therefore, the proposed instruction was not supported by the facts and was properly refused.The three essential elements which must be present to warrant application of the doctrine of res ipsa loquitur are: (1) the instrumentality which caused the injury must have been under the full management and control of the defendant or his servants; (2) the accident was such that, according to knowledge and experience, does not happen if those having management or control had not been negligent; and (3) the plaintiff’s injury must have resulted from the accident. Fleege v. Cimpl, 305 N.W.2d 409 (SD 1981); Kramer v. Sioux Transit, Inc., 85 S.D. 232, 180 N.W.2d 468
(1970). Also, the doctrine of res ipsa loquitur is to be utilized sparingly and only when the facts and demands of justice make its application essential. Shipley v. City of Spearfish, 89 S.D. 559, 235 N.W.2d 911
(1975); Barger v. Chelpon, 60 S.D. 66, 243 N.W. 97
(1932).
In cases involving medical negligence, which is the cause of action pleaded here, an additional element is required for the doctrine of res ipsa loquitur to be applied: namely, negligence must be established by the testimony of medical experts, unless the kind of negligence involved is within the realm of laymanistic comprehension. Block v. McVay, 80 S.D. 469, 126 N.W.2d 808
(1964); Lundgren v. Minty, 64 S.D. 217, 266 N.W. 145
(1936); Bennett v. Murdy, 61 S.D. 471, 249 N.W. 805
(1933); Myrlie v. Hill, 58 S.D. 330, 236 N.W. 287 (1931).
ISSUE THREE
[¶ 20] Did the trial court fail to clearly instruct the juryregarding liability and causation?
McKennan Hospital had the duty to provide medical care to Mr. Carver which was commensurate with standard medical care available in the same or similar communities or in hospitals generally. You may take into consideration the hospital’s own standards when determining standard of care. The failure to perform such duty is negligence.
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Carver alleges McKennan violated its policy that required the bathroom door to be locked when not in immediate use. Carver argues the trial court erred by failing to clearly instruct that a violation of hospital policy was evidence of negligence. The instruction given according to Carver simply advised the jury to consider these policies when determining standard of care.
[¶ 23] We find no error in the given instruction. The standard of care to which a hospital must comply is to provide that care which is available at hospitals within the same or similar communities. Shamburger v. Behrens, 418 N.W.2d 299, 306 (SD 1988). Public policy encouraging standards higher than generally employed in the community dictates that individual hospital policies are not determinative of the standard of care. In this case, testimony revealed that McKennan’s bathroom door policy was above the required community standard of care. Therefore, the given instruction correctly stated the law and allowed the jury to consider the standard of care and balance McKennan’s policy with those of the same or similar hospitals in the community. [¶ 24] With regard to causation the jury was instructed:[¶ 25] We approved this statement of the law in Musch v. H-D Co-op Inc., 487 N.W.2d 623 (SD 1992). Carver’s contention that the instruction is unclear and confusing is without merit. The causation instruction correctly stated the law and informed the jury.When the expression “proximate cause” is used, it means an immediate cause of any injury, which, in natural or probably sequence, produces the injury complained of. Without the proximate cause, the injury would not occur. The proximate cause need not be the only cause, nor the last or nearest cause. It is sufficient if it concurs with some other cause acting at the same time, which in combination with it causes the injury.
For proximate cause to exist, you must find that the harm suffered was a foreseeable consequence of the act complained of.
ISSUE FOUR
[¶ 26] Did the trial court err in replacing a juror with analternate juror?
The Court: The bailiff indicated to me that you had some concerns that you voiced to him. Do you want to share — you feel comfortable sharing those?
Juror: Yeah, the night before last my brother tried to commit suicide so — I don’t think it’s going to affect my judgment on this, but I just thought you should know.
Counsel for McKennan: Can we ask?
The Court: Sure.
Counsel for McKennan: I don’t want to pry, but where was this?
Juror: Up in northern Minnesota.
Counsel for McKennan: You say “tried.” I’m assuming he was not successful.
Juror: No.
Counsel for McKennan: Is he in the hospital or something now?
Juror: He’s in jail right now.
Counsel for McKennan: Okay. That’s all I wanted to know. Thank you.
Counsel for Dr. Hill: I just want to be sure you are comfortable.
Juror: I mean, it’s just hard to talk about right now.
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[¶ 28] The following Monday, McKennan moved to have the juror replaced by alternate. This motion was taken under advisement by the Court. At the trial’s conclusion, the trial judge granted the motion. [¶ 29] SDCL 15-6-47(b) provides, in part, that “[A]lternate jurors . . . shall replace jurors who, prior to the time the jury retires to consider the verdict, become or are found to be unable or disqualified to perform their duties.” There is no case law in South Dakota that lends definition to this rule. However, when South Dakota adopted this rule in 1939, the same rule existed in both the Federal Rules of Civil and Criminal Procedure.[5] It is therefore proper to look to federal courts for guidance in determining if the trial court acted appropriately in replacing a seated juror with an alternate under the circumstances of this case. See State v. Wright, 1999 SD 50, 593 N.W.2d at 798 fn 4; Sander v. Geib, Elston, Frost Prof’l Ass’n, 506 N.W.2d 107, 122-23 (SD 1993). [¶ 30] Under Rule 24(c) of the Federal Rules of Criminal Procedure, it is well settled that a trial court has broad discretion to replace a juror with an alternate. United States v. Brown, 540 F.2d 364, 379 (1976); U.S. v. Gambino, 951 F.2d 498, 503 (2nd Cir. 1991), cert. denied, 504 U.S. 918, 112 S.Ct. 1962, 118 L.Ed.2d 563 (1992); U.S. v. McAnderson, 914 F.2d 934 (7th Cir. 1990); U.S. v. Corsino, 812 F.2d 26, 33 (1st Cir. 1987); United States v. Fajardo, 787 F.2d 1523 (11th Cir. 1986). That discretion is properly exercised when there are facts presented which convince the trial court that a juror’s ability to perform his duty is impaired. United States v. Smith, 550 F.2d 277, 285, fn1 (1977) (quoting United States v. Cameron, 464 F.2d 333, 335 (3rd Cir. 1972)), cert. denied, 434 U.S. 841, 98 S.Ct. 138, 54 L.Ed.2d 105 (1977). The trial court’s discretion will not be disturbed “absent a showing of bias to the defendant . . . or to any other party.” United States v. Rodriguez, 573 F.2d 330, 332 (5th Cir. 1978). Prejudice includes the “[d]ismissal of a juror for want of any factual support, or for a legally irrelevant reason.” Id. 573 F.2d at 332. [¶ 31] Where it is clear that a juror’s ability to carry out his duties is impaired, a separate hearing is not required. A court may assume, for example, if a juror has suffered a heart attack, or received word of a parent’s death during trial, or has fallen asleep in open court that the juror is unable to discharge their duties. Green, 715 F.2d at 555-58. Where the juror’s impairment is less obvious or less certain, “some hearing or inquiry is appropriate to the proper exercise of judicial discretion.” Id. at 556. [¶ 32] This trial focused on the severe brain damage suffered by Perry Carver when his suicide attempt failed. The duty of the jury was to determine whether the defendants were at fault for the injury to Carver. In this context the trial court was faced with the question of whether to replace a juror whose brother attempted suicide during the course of the trial. The trial judge had the opportunity to observe the juror in chambers when she reported the suicide attempt and indicated that itCounsel for Dr. Hill: It would be. And as long as you’re comfortable with it. But it’s not something you have to do if you think —
Juror: I would just as soon stay on, if that would be okay.
Counsel for Plaintiff: I appreciate you bringing that to our attention.
The Court: You did the right thing. Thank you very much.
Juror: I just wanted to make sure everybody knew about it.
The Court: Okay.
(Juror leaves chambers)
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was “hard to talk about” and that she didn’t think it would affect her judgment. Apparently the trial court found the latter representation to lack credibility given the traumatic nature of such an event and the subject matter of the trial. We concede the trial court’s superior vantagepoint in judging a juror’s credibility. See United States v. Smith, 918 F.2d 1501, 1512 (11th Cir. 1990). We conclude that replacing the juror whose brother attempted suicide during trial with an alternate juror was not an abuse of discretion.
ISSUE FIVE
[¶ 33] Did McKennan’s counsel make unfairly prejudicial statementsin its closing argument, thereby requiring a new trial?
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