Nippa v. Botsford General Hospital
Nippa v. Botsford General Hospital
Opinion of the Court
In this medical malpractice action, plaintiff appeals as of right from the trial court’s June 6, 2000, order of involuntary dismissal. We affirm.
Plaintiff initially filed the present action in the Oakland Circuit Court on July 12, 1999, against “Botsford General Hospital Group” alleging that defendant was negligent in its treatment of plaintiff’s decedent, Robert Nippa, following a colonoscopy in April 1998.
As a result of the trial court’s order, plaintiff filed a second amended complaint on October 13, 1999. In the second amended complaint plaintiff alleged that defendant was liable for Dr. Wiley Fan, Dr. Gerald Blackburn, and Dr. Harris Mainster’s negligent treatment of the decedent. Defendant moved for involuntary dismissal of the second amended complaint on April 5, 2000, pursuant to MCR 2.112(L), arguing that dismissal was warranted on the basis of plaintiff’s deficient affidavit of merit. Specifically, defendant contended that the affidavit of merit filed with the original complaint did not comply with MCL 600.2169(1) because Dr. Markowitz was not board certified in either general surgery or infectious diseases. According to the record, both Dr. Fan and Dr. Blackburn are board certified in infectious diseases, and Dr. Mainster is board certified in general surgery. Although Dr. Markowitz specializes in infectious diseases, he is not board certified in this area of medicine.
In response to defendant’s motion, plaintiff argued that pursuant to the plain language of MCL
We review for an abuse of discretion a trial court’s decision to dismiss an action. Vicencio v Jaime Ramirez, MD, PC, 211 Mich App 501, 506; 536 NW2d 280 (1995); Zantop Int’l Airlines, Inc v Eastern Airlines, 200 Mich App 344, 359; 503 NW2d 915 (1993). However, the present appeal also requires us to interpret a statutory provision, a question we review de novo. Donajkowski v Alpena Power Co, 460 Mich 243, 248; 596 NW2d 574 (1999).
The rules of statutory construction are well established. The foremost rule, and [this Court’s] primary task in construing a statute, is to discern and give effect to the intent of the Legislature. Murphy v Michigan Bell Telephone Co, 447 Mich 93, 98; 523 NW2d 310 (1994). See also Nation v WDE Electric Co, 454 Mich 489, 494; 563 NW2d 233 (1997). This task begins by examining the language of the statute*668 itself. The words of a statute provide “the most rehable evidence of its intent . . . .” United States v Turkette, 452 US 576, 593; 101 S Ct 2524; 69 L Ed 2d 246 (1981). If the language of the statute is unambiguous, the Legislature must have intended the meaning clearly expressed, and the statute must be enforced as written. No further judicial construction is required or permitted. Tryc v Michigan Veterans’Facility, 451 Mich 129, 135; 545 NW2d 642 (1996). Only where the statutory language is ambiguous may a court properly go beyond the words of the statute to ascertain legislative intent. Luttrell v Dep’t of Corrections, 421 Mich 93; 365 NW2d 74 (1984). [Sun Valley Foods Co v Ward, 460 Mich 230, 236; 596 NW2d 119 (1999).]
In interpreting statutory language, this Court must consider the “plain meaning of the critical word or phrase” as well as its “ ‘placement and purpose’ ” in the statute. Id. at 237, quoting Bailey v United States, 516 US 137, 145; 116 S Ct 501; 133 L Ed 2d 472 (1995). Further, as Justice Markman, writing for the majority of our Supreme Court recently explained in Robertson v DaimlerChrysler Corp, 465 Mich 732, 748; 641 NW2d 567 (2002), we must construe the statute at issue in a manner that does not ignore, render nugatory, or treat as surplusage specific words in the legislation. See also Brown v Genesee Co Bd of Comm’rs (After Remand), 464 Mich 430, 437; 628 NW2d 471 (2001); Decker v Flood, 248 Mich App 75, 82; 638 NW2d 163 (2001). Likewise, where the statute does not define a word, we are compelled to ascribe to it the common and ordinary meaning. MCL 8.3a; Herald Co v Bay City, 463 Mich 111, 118; 614 NW2d 873 (2000); Massey v Mandell, 462 Mich 375, 380; 614 NW2d 70 (2000). However, where the word is “a legal term of art” that has acquired a particular meaning in the law, we are required to abide by that definition.
Moreover, in Brown, supra at 437, our Supreme Court, quoting its earlier decision in Tyler v Livonia Public Schools, 459 Mich 382, 390-391; 590 NW2d 560 (1999), recently instructed lower courts to ascertain the meaning of a word by examining it carefully in its proper context in the statute: “Contextual understanding of statutes is generally grounded in the doctrine of noscitur a sociis: ‘[i]t is known from its associates,’ see Black’s Law Dictionary (6th ed) p 1060. This doctrine stands for the principle that a word or phrase is given meaning by its context or setting.” The pertinent statutes at issue ar.e found in the Revised Judicature Act (RJA), MCL 600.101 et seq. As relevant to the present appeal, MCL 600.2912d(l) provides:
Subject to subsection (2), the plaintiff in an action alleging medical malpractice or, if the plaintiff is represented by an attorney, the plaintiff’s attorney shall file with the complaint an affidavit of merit signed by a health professional who the plaintiff’s attorney reasonably believes meets the requirements for an expert witness under [MCL 600.2169]. The affidavit of merit shall certify that the health professional has reviewed the notice and all medical records supplied to him or her by the plaintiff’s attorney concerning the allegations contained in the notice and shall contain a statement of each of the following:
(a) The applicable standard of practice or care.
(b) The health professional’s opinion that the applicable standard of practice or care was breached by the health professional or health facility receiving the notice.
*670 (c) The actions that should have been taken or omitted by the health professional or health facility in order to have complied with the applicable standard of practice or care.
(d) The manner in which the breach of the standard of practice or care was the proximate cause of the injury alleged in the notice.
The statutory provision governing the admission of expert evidence in medical malpractice actions is found in Chapter 21 of the ría. MCL 600.2169
(1) In an action alleging medical malpractice, a person shall not give expert testimony on the appropriate standard of practice or care unless the person is licensed as a health professional in this state or another state and meets the following criteria:
(a) If the party against whom or on whose behalf the testimony is offered is a specialist, specializes at the time of the occurrence that is the basis for the action in the same specialty as the party against whom or on whose behalf the testimony is offered. However, if the party against whom or on whose behalf the testimony is offered is a specialist who is board certified, the eocpert witness must be a specialist who is board certified in that specialty.
(b) Subject to subdivision (c), during the year immediately preceding the date of the occurrence that is the basis for the claim or action, devoted a majority of his or her professional time to either or both of the following:
(i) The active clinical practice of the same health profession in which the party against whom or on whose behalf the testimony is offered is licensed and, if that party is a specialist, the active clinical practice of that specialty.
(ii) The instruction of students in an accredited health professional school or accredited residency or clinical research program in the same health profession in which the party against whom or on whose behalf the testimony*671 is offered is licensed and, if that party is a specialist, an accredited health professional school or accredited residency or clinical research program in the same specialty.
(c) If the party against whom or on whose behalf the testimony is offered is a general practitioner, the expert witness, during the year immediately preceding the date of the occurrence that is the basis for the claim or action, devoted a majority of his or her professional time to either or both of the following:
(1) Active clinical practice as a general practitioner.
(it) Instruction of students in an accredited health professional school or accredited residency or clinical research program in the same health profession in which the party against whom or on whose behalf the testimony is offered is licensed.
(2) In determining the qualifications of an expert witness in an action alleging medical malpractice, the court shall, at a minimum, evaluate all of the following:
(a) The educational and professional training of the expert witness.
(b) The area of specialization of the expert witness.
(c) The length of time the expert witness has been engaged in the active clinical practice or instruction of the health profession or the specialty.
(d) The relevancy of the expert witness’s testimony.
(3) This section does not limit the power of the trial corut to disqualify an expert witness on grounds other than the qualifications set forth in this section.
(4) In an action alleging medical malpractice, an expert witness shall not testify on a contingency fee basis. A person who violates this subsection is guilty of a misdemeanor.
(5) In an action alleging medical malpractice, all of the following limitations apply to discovery conducted by opposing counsel to determine whether or not an expert witness is qualified:
(a) Tax returns of the expert witness are not discoverable.
(b) Family members of the expert witness shall not be deposed concerning the amount of time the expert witness*672 spends engaged in the practice of his or her health profession.
(c) A personal diary or calendar belonging to the expert witness is not discoverable. As used in this subdivision, “personal diary or calendar” means a diary or calendar that does not include listings or records of professional activities. [Emphasis supplied.]
On appeal, plaintiff raises a novel, yet ultimately unsuccessful, legal argument concerning the proper interpretation of the word “party” in § 2169. Put rather simply, the thrust of plaintiff’s argument is that the word “party” refers only to those litigants who are parties of record. Therefore, according to plaintiff, because the board-certified physicians who treated plaintiff’s decedent are not named in the action, plaintiff, by virtue of her artful drafting of the second amended complaint, is absolved from complying with the requirements of § 2169. On the other hand, defendant asserts that plaintiff’s argument is merely an attempt to circumvent MCL 600.2169. Defendant further contends that to interpret the statute in the manner plaintiff suggests would render an absurd result.
In Tate v Detroit Receiving Hosp, 249 Mich App 212, 218-219; 642 NW2d 346 (2002), this Court,
The Legislature enacted § 2169 to “make sure that expert witnesses actually practice or teach medicine. In other words, to make sure that experts will have firsthand practical expertise in the subject matter about which they are testifying. In particular, with the malpractice crisis facing high-risk specialists, such as neurosurgeons, orthopedic surgeons and ob/gyns, this reform is necessary to insure that in malpractice suits against specialists the expert witnesses actually practice in the same specialty. This will protect the integrity of our judicial system by requiring real experts instead of ‘hired guns.’ ” [Quoting McDougall v Eliuk, 218 Mich App 501, 509, n 1; 554 NW2d 56 (1996) (McDougall I) (Taylor, P.J., dissenting), rev’d 461 Mich 15; 597 NW2d 148 (1999).]
The Tate Court also observed that by its plain terms, “§ 2169 requires an expert witness to possess the same specialty as that engaged in by the defendant physician during the course of the alleged malpractice.” Tate, supra at 220. See also VandenBerg v VandenBerg, 231 Mich App 497, 502; 586 NW2d 570 (1998) (Observing that § 2912d, requiring filing of affidavit of merit with complaint to commence medical malpractice suit, was designed to “deter frivolous medical malpractice claims.”).
MCL 600.2169 does not define the word “party.” However, we are not persuaded by plaintiff’s argument that we should interpret the word “party” narrowly to denote solely a party to the record proceeding. Indeed, it is well settled that we are to liberally and broadly construe the provisions of the rja to effectuate its remedial purposes. MCL 600.102;
A person concerned or having or taking part in any affair, matter, transaction, or proceeding, considered individually. A party to an action is a person whose name is designated on record as plaintiff or defendant. Term, in general, means one having right to control proceedings, to make defense, to adduce and cross-examine witnesses, and to appeal from judgment.
Party is a technical word having a precise meaning in legal parlance; it refers to those by or against whom a legal suit is brought, whether in law or in equity, the party plaintiff or defendant, whether composed of one or more individuals and whether natural or legal persons; all others who may be affected by the suit, indirectly or consequently, are persons interested but not parties. [Emphasis supplied; citations and internal quotation marks omitted.]
See Dearborn Heights School Dist No 7 v Wayne Co MEA/NEA, 233 Mich App 120, 127; 592 NW2d 408 (1998) (“A party is one who was directly interested in the subject matter, and who had a right to defend in, or control, the proceedings, and who had a right to appeal from the judgment.”); In re Lafayette Towers,
In spite of the unique meaning the word “party” has acquired in the law, we do not agree with plaintiff that by referring to “party,” the Legislature indicated its intention that the requirement that an expert witness share the same board certification as one he intends to testify against extend only to named parties to the record. In the instant case, a careful review of the second amended complaint reflects that plaintiff is alleging liability on the part of defendant under a theory of vicarious liability. As our Supreme Court observed in Theophelis v Lansing General Hosp, 430 Mich 473, 483; 424 NW2d 478 (1988) (Griffin, J.), “ [vicarious liability is indirect responsibility imposed by operation of law.” Further, a master may not be held liable under a vicarious liability theory where the servant is not liable. Rogers v J B Hunt Transport, Inc, 244 Mich App 600, 608; 624 NW2d 532 (2001), lv gtd 465 Mich 902 (2001). This is because the principal has not committed a tortious act, and is therefore not a “tortfeasor.” Theophelis, supra at 483.
In our view, the acceptance of plaintiff’s interpretation of the statute would “effectively repeal” § 2169, rendering it nugatory and meaningless, an interpretation that this Court must avoid. Scarsella v Pollak, 461 Mich 547, 550; 607 NW2d 711 (2000). Similarly, if we were to accept plaintiff’s argument, plaintiffs in medical malpractice actions could routinely avoid the requirements of § 2169 by declining to name individual physicians as defendants. In a different context, our Supreme Court has expressed its dissatisfaction with such gamesmanship, specifically where parties
Further, we believe that if the Legislature had intended to strictly limit the definition of the word “party” to parties of record as that word is generally defined in the law, it could have so stated. “ ‘It is a well-known principle that the Legislature is presumed to be aware of, and thus to have considered the effect on, all existing statutes when enacting new laws.’ ” Stone v Michigan, 247 Mich App 507, 521, n 31; 638 NW2d 417 (2001), quoting Walen v Dep’t of Corrections, 443 Mich 240, 248; 505 NW2d 519 (1993). For example, in other provisions of the RJA, the Legislature has expressly provided that the term “party” refers only to named parties to the proceedings. See, e.g., MCL 600.2159 (“[T]he parties to any such suit or proceeding named in the record, and persons for whose benefit such suit or proceeding is prosecuted, or defended, may be witnesses therein ....”) (emphasis supplied); MCL 600.2162(3)(f) (“In a case in which the husband or wife is a party to the record in a suit, action, or proceeding . . . .”) (emphasis supplied). Particularly worthy of note is MCL 600.2421b(2), part of Chapter 24 of the RJA dealing with costs, which provides that “ ‘[p]arty’ means a named plaintiff or defendant involved in the particular civil action . . . .” (Emphasis supplied.)
Moreover, our conclusion that the Legislature’s use of the word “party” does not refer solely to named parties of record is supported by our Supreme Court’s decision in Caswell v Smith’s Estate, 263 Mich 390,
Finally, plaintiff argues that her failure to provide an affidavit from a physician board certified in infectious diseases is excusable, given her reasonable belief at the time she filed the affidavit that the statute imposing such requirements was unconstitutional. In the lower court, plaintiff presented the affidavit of her attorney, Richard B. Worsham. In the affidavit,
As relevant to plaintiff’s argument, MCL 600.2912d(l) provides:
Subject to subsection (2), the plaintiff in an action alleging medical malpractice or, if the plaintiff is represented by an attorney, the plaintiff’s attorney shall file with the complaint an affidavit of merit signed by a health professional who the plaintiff’s attorney reasonably believes meets the requirements for an expert witness under [MCL 600.2169],
Under the particular circumstances of this case, we reject plaintiff’s contention that involuntary dismissal
Further, once plaintiff filed the first and second amended complaints, these amended pleadings superseded the original complaint. MCR 2.118(A)(4); Grzesick v Cepela, 237 Mich App 554, 562; 603 NW2d 809 (1999).
“§ 838. An amended pleading that is complete in itself and does not refer to or adopt a former pleading as a part of it supersedes or supplants the former pleading, and the prior pleading is considered abandoned and withdrawn. The purpose of this rule [is] to ensure that the court and the opposing parties will be aware of the points at issue.
“§ 839. The original pleading is abandoned and withdrawn by an amendment thereto, and is no longer a part of the pleader’s averments. The plaintiff cannot avail himself or herself of the allegations contained in the superseded pleading, unless they are set out or referred to in the amended pleading. This rule applies not only to factual allegations but also to theories of recovery.” [Id., quoting 61B Am Jur 2d, Pleading, pp 92-93.]
Affirmed.
Plaintiff’s decedent died in July 1998.
It appears from a review of the transcript of the May 12, 2000, hearing that the period of limitation controlling plaintiffs medical malpractice claim had not expired at the time of the hearing. Moreover, the trial court noted that plaintiff was free to refile her claim with the appropriate affidavit of merit.
The Legislature amended MCL 600.2169 in 1993. See 1993 PA 78.
As an initial matter, we note that our Supreme Court has cautioned that the use of the “absurd result” rule of statutory construction is inappropriate where the language of a statute is unambiguous. People v McIntire, 461 Mich 147, 155-158; 599 NW2d 102 (1999); Stone v Michigan, 247 Mich App 507, 525, n 37; 638 NW2d 417 (2001).
The statute at issue in Caswell, 1929 CL 14219, provided in pertinent part:
When a suit or proceeding is prosecuted or defended by the heirs, assigns, devisees, legatees, or personal representatives of a deceased person, the opposite party, if examined as a witness in his own behalf, shall not be admitted to testify at all to matters which, if true must have been equally within the knowledge of such deceased person. [Emphasis supplied.]
This statutory language was included in the rja of 1961. See 1961 PA 236, § 2160, but repealed in 1967, when the Legislature enacted MCL 600.2166. See 1967 PA 263; See also MCL 600.2166(1).
See McDougall I; Golden v Baghdoian, 222 Mich App 220; 564 NW2d 505 (1997). The Golden, Court followed McDougall I only because of its “obligation, under Administrative Order No. 1996-4,” which required a panel of the Court of Appeals to follow a prior published opinion of another panel issued after November 1, 1990. Golden, supra at 224; see also MCR 7.215(I)(1). Although in McDougall II, supra, our Supreme Court did not expressly overrule Golden, we note that the Golden decision, adhering to the holding of McDougall I, is of limited value in light of the Supreme Court’s pronouncement that subsection 2169(1) is constitutional.
Moreover, plaintiff does not address the issue of retroactivity in her brief on appeal.
Dissenting Opinion
(dissenting). I respectfully dissent. In my view, the majority disregards the plain language of the law in order to avoid reaching what it considers to be an absurd result. Because the rele
I. BASIC FACTS AND PROCEDURAL HISTORY
As the majority opinion indicates, Sally Nippa (Nippa) sued Botsford General Hospital, and only Botsford General Hospital, in her capacity as the personal representative of Robert Nippa’s estate. In her second amended complaint, Nippa alleged that Bots-ford was liable for the negligent treatment Drs. Wiley Fan, Gerald Blackburn, and Harris Mainster rendered to Robert Nippa. With her original complaint, Nippa filed an affidavit of merit from Dr. Arnold Markowitz. Botsford sought dismissal under MCR 2.112(L). Although Dr. Markowitz is board certified in internal medicine, Botsford pointed out that Drs. Fan and Blackburn are board certified in infectious diseases and Dr. Mainster is board certified in general surgery; accordingly, Dr. Markowitz’s board-certified specialty is not the same as those of Drs. Fan, Blackburn, and Mainster. In essence, Botsford argued that while Drs. Fan, Blackburn, and Mainster were themselves not parties, it was their alleged negligence that was being imputed to the hospital under a theory of vicarious liability. Therefore, Botsford argued, MCL 600.2169(l)(a) required Dr. Markowitz’ board-certified specialties to match those of the allegedly offending physicians. The trial court agreed.
Two subsections of MCL 600.2169 are at issue here. Subsection 1 provides:
In an action alleging medical malpractice, a person shall not give expert testimony on the appropriate standard of practice or care unless the person is licensed as a health professional in this state or another state and meets the following criteria:
(a) If the party against whom or on whose behalf the testimony is offered is a specialist, specializes at the time of the occurrence that is the basis for the action in the same specialty as the party against whom or on whose behalf the testimony is offered. However, if the party against whom or on whose behalf the testimony is offered is a specialist who is board certified, the expert witness must be a specialist who is board certified in that specialty.[1]
Subsection 2 of this same statute provides:
In determining the qualifications of an expert witness in an action alleging medical malpractice, the court shall, at a minimum, evaluate all of the following:
(a) The educational and professional training of the expert witness.
(b) The area of specialization of the expert witness.
(c) The length of time the expert witness has been engaged in the active clinical practice or instruction of the health profession or the specialty.
(d) The relevancy of the expert witness’s testimony.
m. STANDARD OF REVIEW
Here, we are interpreting statutory provisions. Therefore, our review is de novo.
The Michigan Supreme Court has recently rearticulated the principles that courts should apply in interpreting statutes. In Roberts v Mecosta Co General Hosp,
To do so, we begin with an examination of the language of the statute. Wickens v Oakwood Healthcare System, 465 Mich 53, 60; 631 NW2d 686 (2001). If the statute’s language is clear and unambiguous, then we assume that the Legislature intended its plain meaning and the statute is enforced as written. People v Stone, 463 Mich 558, 562; 621 NW2d 702 (2001).[4]
A clear and unambiguous statute requires full compliance with its provisions as written. Northern Concrete Pipe, Inc v Sinacola Companies-Midwest, Inc, 461 Mich 316, 320; 603 NW2d 257 (1999).[5]
* * *
It is well settled that when a statute provides a remedy, a court should enforce the legislative remedy rather than one the court prefers. Senters v Ottawa Savings Bank, 443 Mich 45, 56; 503 NW2d 639 (1993).[6]
[w]hen parsing a statute, we presume every word is used for a purpose. As far as possible, we give effect to every clause and sentence. “The Court may not assume that the Legislature inadvertently made use of one word or phrase instead of another.” Robinson v Detroit, 462 Mich 439, 459; 613 NW2d 307 (2000). Similarly, we should take care to avoid a construction that renders any part of the statute surplusage or nugatory. In re MCI [Telecommunications Complaint, 460 Mich 396, 414; 596 NW2d 164 (1999)].
In Robertson v DaimlerChrysler Corp,
[T]he “fundamental principles” that we see at stake here implicate the role of this Court in the constitutional separation of powers. That is, we believe that it is the constitutional duty of this Court to interpret the words of the lawmaker, in this case the Legislature, and not to substitute our own policy preferences in order to make the law less “illogical.”[9]
In commenting on the dissent’s reading of subsection 301(2) of the worker’s compensation act, Justice Markman observed:
*685 The dissent interprets section § 301(2) as if these words did not exist, as if they were not there at all. The dissent ignores these words apparently because it disagrees with the limitations that these words impose upon worker’s compensation benefits. Thus, the dissent chooses to amend § 301(2) by summarily reading these words out of the law. In doing so, the dissent ignores the compromises and negotiations that may have preceded the inclusion of these words in the law, it ignores the concerns of the Legislature in avoiding abuse of the worker’s compensation system that may have motivated such language, and it ignores the majorities of each house of the Legislature, and the Governor, who approved these words, not those that the dissent prefers. However, our judicial role “precludes imposing different policy choices than those selected by the Legislature . . . .” People v Sobczak-Obetts, 463 Mich 687, 694-695; 625 NW2d 764 (2001).[10]
Summarized, then, the Supreme Court has articulated a rather clear philosophy of statutory interpretation. The elements of this philosophy are: that if the Legislature uses language that is clear and unambiguous, courts should enforce the statute as written; that every word is used for a purpose and, as far as possible, we give effect to every clause and sentence; that we are not to assume that the Legislature inadvertently made use of one word or phrase instead of another and we should take care to avoid a construction that renders any part of the statute surplusage or nugatory; that we interpret the words of the Legislature and do not substitute our own policy preferences in order to make the law less “illogical”; and that we do not amend the statute by reading words out of (or, by logical extension, into) the law in order to impose different policy choices than those the Legislature
V. INTERPRETING CLEAR AND UNAMBIGUOUS LANGUAGE
The critical word at issue in this case is “party” in MCL 600.2169(l)(a). The majority states, accurately, that Nippa contends that this word refers only to those litigants actually a party to the record.
“[p]arty is a technical word having a precise meaning in legal parlance; it refers to those by or against whom a legal suit is brought, whether in law or in equity, the party plaintiff or defendant, whether composed of one or more individuals and whether natural or legal persons; all others who may be affected by the suit, indirectly or consequently, are persons interested but not parties.”[14]
In this case, the “party defendant” is undeniably Botsford. Drs. Fan, Blackburn, and Mainster may be interested persons. They may be Botsford’s agents. But they are not parties. Therefore, under the clear
VI. GIVING EFFECT TO EVERY CLAUSE AND SENTENCE
The majority concludes, however, that accepting this plain meaning interpretation of the statute would “ ‘effectively repeal’ ” MCL 600.2169, “rendering it nugatory and meaningless . . . .”
Secondly, the majority simply ignores the balance of the statute. MCL 600.2169(2) sets out extensive standards by which trial courts are to evaluate the qualifications of an expert witness in an action alleging medical malpractice. Thus, under the statutory scheme that the Legislature actually enacted — and not the one the majority wishes it had enacted — a plaintiff who sues only a hospital does not avoid the requirement of an affidavit of merit. Rather, that plaintiff must show that the physician signing the affidavit of merit, while not necessarily board certified, meets all the standards in MCL 600.2169(2). The majority’s approach here quite clearly fails to give any effect to the standards in MCL 600.2169(2). It is difficult for me to see, therefore, how the majority’s interpretation of the statute gives meaning to every clause and sentence. Indeed, under the majority’s approach, it appears that MCL 600.2169(2) does not even exist. It is, under this interpretation, MCL 600.2169(2) that is rendered “nugatory,” “meaningless,” and “surplusage.”
If, however, the provisions of MCL 600.2169(2) were to be taken into account, the result would be
VH SUBSTITUTING POLICY PREFERENCES
The majority cites Dorris v Detroit Osteopathic Hosp Corp
Vm. AMENDING THE STATUTE
The majority states that “if the Legislature had intended to strictly limit the definition of the word ‘party’ to parties of record as that word is generally defined in the law, it could have so stated.”
As I noted above, such an amended statute would be logical, fair, and, I would hope, workable. Perhaps the Legislature will enact such an amendment. As yet, however, it has not. There is nothing in our judicial commissions or anywhere to be found in the concept of the separation of powers that empowers us to perform this task as the Legislature’s surrogate. It is not within our judicial responsibilities to undertake to do what the Legislature should have done, but did not do. The majority chooses to embark on just such an undertaking. I do not. I would, therefore, reverse.
1 Emphasis supplied.
Donajkowski v Alpena Power Co, 460 Mich 243, 248; 596 NW2d 574 (1999).
Roberts v Mecosta Co General Hosp, 466 Mich 57, 63; 642 NW2d 663 (2002).
4 Id.
5 Id. at 66.
6 Id. at n 5.
Pohutski v City of Allen Park, 465 Mich 675, 684; 641 NW2d 219 (2002).
Robertson v DaimlerChrysler Corp, 465 Mich 732, 758; 641 NW2d 567 (2002).
9 Emphasis in original.
10 Id. at 758-759 (emphasis in original).
Nippa states in her brief that, “Undeniably and conspicuously, plaintiffs action for medical malpractice was not brought against any ''party ’ who was a specialist, nor was it brought against a 'party' who was board certified in any area of medicine.”
Ante at 673.
Ante at 674.
14 Ante at 674 (emphasis supplied).
I recognize, as I noted above, that Dr. Markowitz is board certified in internal medicine. Botsford’s argument, which the majority accepts, is that Dr. Markowitz’ board-certified specialties must match those of Drs. Fan, Blackburn, and Mainster. My contention is that, because Botsford is the only “party defendant” and because it cannot by definition be board certified in any specialty, the affidavit Nippa submitted did not need to be signed by a board-certified specialist.
Ante at 675.
MCL 600.2169(l)(a) (“[/]/the party against whom or on whose behalf the testimony is offered is a specialist who is board certified, the expert witness must be a specialist who is board certified in that specialty.”) (emphasis added).
Dorris v Detroit Osteopathic Hosp Corp, 460 Mich 26, 43-47; 594 NW2d 455 (1999).
Ante at 675.
Ante at 676.
Using the amendatory bill format.
Reference
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- Nippa v. Botsford General Hopsital
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