THELMA JOHNSON V HURLEY MEDICAL GROUP PC
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STATE OF MICHIGAN
COURT OF APPEALS
THELMA JOHNSON, Personal Representative of
the Estate of CARL JOHNSON, Deceased,
FOR PUBLICATION
April 13, 2006
9:05 a.m.
Plaintiff-Appellant,
v
No. 262143
Genesee Circuit Court
LC No. 00-069254-NH
HURLEY MEDICAL GROUP, P.C., d/b/a
HURLEY MEDICAL CENTER, and DR.
MOONGILMADUGU INBA-VAZHVU,
Defendants-Appellees,
Official Reported Version
and
KENNETH JORDAN, M.D.,
Defendant.
Before: Fort Hood, P.J., and White and O'Connell, JJ.
PER CURIAM.
In this wrongful death, medical malpractice action, plaintiff appeals as of right a circuit
court order granting summary disposition for defendants Hurley Medical Group, P.C., doing
business as Hurley Medical Center; and Dr. Moongilmadugu Inba-Vazhvu. The circuit court
found plaintiff 's complaint time-barred and granted summary disposition under MCR
2.116(C)(7). We reverse.
I
Plaintiff 's decedent, Carl Johnson, went to Hurley Medical Center's emergency room in
Flint at approximately 2:40 p.m. on November 22, 1997, and related complaints of chest pain
that extended to his arms during the previous four to five months, as well as shortness of breath.
Johnson's medical history included high cholesterol, hypertension, and smoking. The medical
center admitted Johnson, and Dr. Kenneth Jordan and other doctors treated Johnson until they
discharged him shortly before 3:00 p.m. on November 23, 1997. According to the complaint,
Johnson received "instructions to continue Zestril, Dyazid and . . . Fenoprophen and to maintain
a low salt, low cholesterol and low sugar diet." Johnson also was advised to visit his primary
physician, Dr. Jordan, within the next week and to see Dr. Inba-Vazhvu for a stress test.
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Plaintiff 's complaint alleges that on November 26, 1997, Dr. Inba-Vazhvu examined
Johnson and scheduled a stress test for the next week, but "did not perform . . . any other
diagnostic tests to evaluate and/or determine the cause/source of [Johnson's] chest pain. Further,
Dr. Inba-Vashvu [sic] did not administer appropriate medical therapy to prevent myocardial
infarction" and did not order "restrictions on [Johnson's] activities . . . ." In the evening of
November 26, 1997, Johnson died from a massive heart attack. After receiving letters of
authority appointing her as personal representative of Johnson's estate on July 31, 1998, plaintiff,
Johnson's widow, gave defendants notice of her intent to pursue medical malpractice claims on
July 17, 2000, and filed this medical malpractice action on December 22, 2000.
Dr. Inba-Vazhvu moved for summary disposition pursuant to MCR 2.116(C)(7) (period
of limitations) and (10), arguing that plaintiff failed to commence the action within the two-year
medical malpractice period of limitations, which expired by November 26, 1999, the second
anniversary of the decedent's death, and, although plaintiff gave defendants notice of her intent to
commence a medical malpractice action as required by MCL 600.2912b on July 17, 2000, within
two years of her appointment as personal representative, the Supreme Court in Waltz v Wyse, 469
Mich 642, 655; 677 NW2d 813 (2004), held that the filing of a medical malpractice notice does
not operate to toll the wrongful death saving period under MCL 600.5856(d). Further, this
Court's decision in Ousley v McLaren, 264 Mich App 486; 691 NW2d 817 (2004), applied Waltz
retroactively. Hurley Medical Center concurred in Dr. Inba-Vazhvu's motion.1
Plaintiff sought to distinguish Waltz and Ousley on the basis that the plaintiffs in those
cases had failed to bring the action within the three-year ceiling of the wrongful death saving
period, MCL 600.5852, whereas plaintiff had brought this action within that period. The circuit
court granted the motion for summary disposition pursuant to MCR 2.116(C)(7), and plaintiff
reasserts her arguments on appeal.
II
Whether a period of limitations applies in particular circumstances and whether the
doctrine of equitable or judicial tolling should apply given the facts of this case constitute legal
questions that this Court considers de novo. Bryant v Oakpointe Villa Nursing Centre, Inc, 471
Mich 411, 418-419, 432-433; 684 NW2d 864 (2004); Detroit v 19675 Hasse, 258 Mich App
438, 444-445; 671 NW2d 150 (2003).
We first observe that a panel of this Court has rejected the distinction plaintiff seeks to
draw between the Waltz and Ousley cases and this case, which distinction is based on the
distinction between the two-year and three-year provisions of the saving statute. In Farley v
Advanced Cardiovascular Health Specialists, PC, 266 Mich App 566, 574-575; 703 NW2d 115
(2005), the Court stated:
1
In September 2002, pursuant to the parties' stipulation, the circuit court dismissed Dr. Kenneth
Jordan from the action.
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Farley argues that neither Waltz nor Ousley addressed whether a suit is
timely when, as here, the personal representative filed suit within three years after
the two-year medical malpractice limitations period (MCL 600.5805) had expired,
and therefore those cases do not determine the outcome here. It is true that, in
Waltz and Ousley, the personal representative filed suit after both the two-year
malpractice limitations period (MCL 600.5805) and the three-year ceiling set
forth in the wrongful death saving provision (MCL 600.5852) had passed.
However, this factual distinction makes no difference. As noted, the three-year
ceiling in the wrongful death saving provision is not an independent period in
which to file suit: it is only a limitation on the two-year saving provision itself.[2]
Thus, plaintiff 's effort to distinguish Waltz on this basis must fail.
III
Plaintiff asserts that the Supreme Court's holding in Waltz, decided on April 14, 2004, has
no applicability to this case because the relevant procedural events occurred before the issuance
of the Waltz decision. In Ousley, supra at 486, this Court rejected the plaintiff 's argument that
Waltz should be applied only prospectively. However, in Mullins v St Joseph Mercy Hosp, 269
Mich App 586, 591; ___ NW2d ___ (2006), a panel of this Court declared a conflict with Ousley
pursuant to MCR 7.215(J), and this Court subsequently convened a special panel to resolve the
conflict. The outcome of that case will determine this issue.3
IV
Plaintiff also argues that if defendants' and Farley's interpretations of Waltz are correct,
equity demands the application of judicial tolling because plaintiff was required to file the notice
of intent under MCL 600. 2912 and she relied on Omelenchuk v Warren, 461 Mich 567; 609
NW2d 177 (2000), clarified and overruled in part in Waltz, supra at 652-655, in filing her claim
2
The Farley Court also stated:
We note that the three-year ceiling in this provision does not establish an
independent period during which a personal representative may bring suit.
Specifically, it does not authorize a personal representative to file suit at any time
within three years after the period of limitations has run. Rather, the three-year
ceiling limits the two-year saving period to those cases brought within three years
of when the malpractice limitations period expired. As a result, while the threeyear ceiling can shorten the two-year window during which a personal
representative may file suit, it cannot lengthen it. [Farley, supra at 573 n 16
(emphasis in original).]
3
We do not reverse on the basis of the rule set forth in Pohutski v City of Allen Park, 465 Mich
675, 695-696; 641 NW2d 219 (2002), as suggested by Judge O'Connell in his concurring
opinion, because this is the precise issue to be determined by the conflict panel.
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when she did. In Mazumder v Univ of Michigan Bd of Regents, 270 Mich App 42; ___ NW2d
___ (2006), a panel of this Court agreed that, separate and apart from the pure retroactivity
question decided in Ousley, the doctrine of equitable or judicial tolling applies in situations such
as that involved here. Because this issue is dispositive regardless of the decision of the conflict
panel, we reverse and remand for further proceedings.
Reversed and remanded for further proceedings. We do not retain jurisdiction.
/s/ Karen M. Fort Hood
/s/ Helene N. White
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