BETH HOFFMAN V DR PETER BARRETT
Annotate this Case
Download PDF
STATE OF MICHIGAN
COURT OF APPEALS
BETH HOFFMAN, Personal Representative of the
ESTATE OF EDGAR BROWN, Deceased,
FOR PUBLICATION
June 3, 2010
9:00 a.m.
Plaintiff-Appellee,
v
No. 289011
Calhoun Circuit Court
LC No. 2003-003576-NH
DR. PETER BARRETT,
Defendant-Appellant.
Before: DAVIS, P.J., and DONOFRIO and STEPHENS, JJ.
DAVIS, J.
Defendant appeals as of right from the dismissal without prejudice of plaintiff’s medical
malpractice action. Defendant moved for summary disposition, asserting that plaintiff’s notice
of intent and affidavit of merit were deficient. Plaintiff conceded that the affidavit of merit was
defective. The trial court found that the notice of intent “could be better, but [is] adequate,” and
therefore granted summary disposition without prejudice. This Court reviews de novo a trial
court’s interpretation of a statute and decision on a motion for summary disposition. Esselman v
Garden City Hosp, 284 Mich App 209, 215-216; 772 NW2d 438 (2009). Defendant contends
that dismissal should have been with prejudice. We disagree, and we affirm.
Decedent Edgar Brown fell from the roof of his house onto a cement driveway on
January 13, 2001, and he was taken to the emergency room at Battle Creek Health Systems1
(BCHS). Defendant Dr. Peter Barrett was assigned to care for decedent. Decedent’s treatment
entailed, among other things, insertion of a chest tube to re-inflate a lung. Decedent was
discharged home on January 24, 2001. Decedent developed problems at home the next day.
Emergency medical services were summoned, and decedent went into full arrest in the
ambulance. Decedent was pronounced dead at the hospital.
1
Battle Creek Health Systems was originally a named defendant, but was dismissed prior to the
summary disposition order at issue in this appeal.
-1-
This matter has been before this Court previously, in Docket No. 258982. Plaintiff was
appointed personal representative on July 27, 2001. Plaintiff provided defendants2 with notice of
intent to sue, pursuant to MCL 600.2912b(1), on March 3, 2003. Plaintiff commenced the
instant suit on October 16, 2003. On August 27, 2004, the trial court granted a prior summary
disposition motion in favor of defendants because, at the time, this Court had held that our
Supreme Court’s decision in Waltz v Wyse, 469 Mich 642; 677 NW2d 813 (2004), applied
retroactively. Mullins v St Joseph Mercy Hosp (Mullins I), 271 Mich App 503; 722 NW2d 666
(2006), rev’d Mullins v St. Joseph Mercy Hosp (Mullins II), 480 Mich 948; 741 NW2d 300
(2007). Under a retroactive application of Waltz, plaintiff’s suit had been filed after the wrongful
death saving period expired. Hoffman v Barrett, unpublished opinion per curiam of the Court of
Appeals (Docket No. 258982, issued May 22, 2007). Plaintiff applied for leave to appeal to our
Supreme Court, which held the application for leave to appeal in abeyance pending the outcome
of the appeal in Mullins. After Mullins was decided, our Supreme Court reversed the grant of
summary disposition in this matter and remanded for further proceedings. Hoffman v Barrett,
480 Mich 981; 741 NW2d 841 (2007).3
Defendant’s first argument is that this matter should have been dismissed with prejudice,
rather than without prejudice, because plaintiff no longer has time to re-file. While this might be
true for some cases, it is not true here.
The malpractice presumably happened on or before January 24, 2001. There is a twoyear statutory limitations period, and an additional possible three years under the “savings
provision.” The limitations period is tolled if a complaint is filed with a defective affidavit of
merit, but the savings period is not. The limitations period would have expired on, at the latest,
January 24, 2003. Suit was filed on October 16, 2003, so the limitations period had already
expired and could not thereafter be tolled. The “savings period,4” MCL 600.5852, provides an
additional two years after the appointment of a personal representative; plaintiff was appointed
personal representative on July 27, 2001, so the savings period would have expired on July 27,
2003, see generally, Ligons v Crittenton Hosp, 285 Mich App 337, 351-355; 776 NW2d 361
(2009),5 if it had not been tolled by the application of Mullins II. Because Mullins II applies,
2
Battle Creek Health Systems was still a defendant at the time of the prior appeal.
3
In Mullins II, our Supreme Court held that Waltz did not apply to any actions filed after the
decision in Omelenchuk v City of Warren, 461 Mich 567; 609 NW2d 177 (2000), and before 182
days after the decision in Waltz. Omelenchuk was decided on March 28, 2000, and Waltz was
decided on April 14, 2004; the date 182 days later would be October 13, 2004. This matter was
filed between those dates, so Waltz does not apply.
4
“Savings period” or “savings provision” is a term created by our Supreme Court. See, e.g.,
Justice CAVANAGH’s dissenting opinion in Waltz, supra, 469 Mich at 662-672.
5
While we cite to this case for several legal propositions conveniently summarized therein, we
offer no opinion as to the correctness of Ligons. Ligons is not controlling in this matter because
the action in Ligons was filed on April 7, 2006, which, unlike the instant matter, was more than
182 days after Waltz was decided. Therefore, Waltz was applicable in Ligons but is not
applicable here. See footnote 3, supra.
-2-
plaintiff’s notice of intent, filed on March 3, 2003, and which we find valid, tolled the running of
the savings period. This action was therefore timely filed.
We observe that the legal framework established by Waltz and Ligons affirmatively
encourages defendants—who would obviously know if an affidavit of merit is insufficient
simply by casually reading it and determining that they do not see therein all of the required
elements—to engage in delaying tactics until the savings period expires and then simply arrange
to have the matter dismissed on a procedural technicality instead of any substantive basis.
Therefore, this framework runs directly and poisonously contrary to the long-standing policy in
this State and its predecessor legal systems of resolving controversies on substantive grounds,
not procedural gamesmanship and trickery. See, e.g., Walters v O’Keefe, 377 Mich 37, 47; 138
NW2d 751 (1966) (“[t]he trend of our jurisprudence is toward meritorious determination of
issues”); White v Michigan Consol Gas Co, 352 Mich 201, 213; 89 NW2d 439 (1958),
disapproved of on other grounds in Sanford v Ryerson & Haynes, Inc, 396 Mich 630; 242 NW2d
393 (1976), quoting with approval Wilt v Smack, 147 F Supp 700 (ED Pa 1957) (“‘[t]he courts
have construed [statutes of journeys accounts, long-standing statutes enabling plaintiffs to obtain
a new writ within some number of days after an original writ is abated] liberally in furtherance of
their purpose—to enable controversies to be decided upon substantive questions rather than upon
procedural technicalities’”); Crowther v Ross Chemical & Mfg Co, 42 Mich App 426, 430; 202
NW2d 577 (1972) (observing, albeit in a different context, “the policy under modern rules of
procedure to dispose of cases according to their merits, rather than by applying technical rules
formalistically to bar meritorious claims”).
But as observed, this case was filed after Omelenchuk v City of Warren, 461 Mich 567;
609 NW2d 177 (2000), was decided, and the savings period expired before 182 days after Waltz
was decided. Therefore, Waltz does not apply to this case. Mullins II, supra, 480 Mich at 948.
Prior to the decision in Waltz, the savings period was understood to be tolled by filing a notice of
intent exactly the same way in which the statute of limitations would be tolled. Waltz, supra,
469 Mich at 653-654; see also Judge O’CONNELL’s dissenting opinion in McLean v McElhaney,
269 Mich App 196, 206-207; 711 NW2d 775 (2005). Indeed, “it was the Court, and not the
Legislature, that labeled [MCL 600.5852] a ‘saving statute’” instead of a special-purpose
limitations period. Mullins I, supra at 526-527 (MURPHY, J., dissenting). Because Waltz does
not apply, but Omelenchuk does, plaintiff’s filing of the notice of intent tolled the savings period.
As we discuss, the trial court correctly found the notice of intent to be sufficient, so dismissal
without prejudice was proper.
Plaintiff conceded that the affidavit of merit was defective. Nevertheless, filing a
complaint and an affidavit of merit—even a defective one—tolls the limitations period until the
affidavit is successfully challenged. Kirkaldy v Rim, 478 Mich 581, 585-586; 734 NW2d 201
(2007). Subsequent to our Supreme Court’s transmutation of the extended limitations period in
MCL 600.5852 into a “savings period,” see Waltz, supra, 469 Mich at 662-672 (CAVANAGH, J.,
dissenting), the savings period would not be so tolled. Ligons, supra, 285 Mich App at 353-354.
However, again, Waltz does not apply to this matter. Pursuant to Omelenchuck, Mullins II, and a
rational reading of MCL 600.5852 as providing a limitations period, the running of the additional
time provided by that statute would have been tolled here by the filing of the complaint and
affidavit of merit. Filing the notice of intent on March 3, 2003, tolled the “savings period” for
182 days, but there were in addition 146 days remaining in the “savings period” at that time.
-3-
When this suit was filed on October 16, 2003, there remained 101 days within which plaintiff
could have filed. Plaintiff still had this time available upon the successful challenge to the
affidavit of merit, and therefore dismissal was properly without prejudice.
Defendant next argues that the notice of intent was insufficient because it fails to contain
a statement explaining the manner in which defendant’s alleged breach of the standard of care
resulted in plaintiff’s decedent’s injuries.6 We agree with the trial court that the notice of intent
could be better, but that it is sufficient.
Under MCL 600.2912b, commencement of a medical malpractice claim requires a
plaintiff to provide an advance “notice of intent” to the intended defendant; that notice must
provide certain specific pieces of information, although no particular format is required. Ligons,
supra, 285 Mich App at 343. The information in the notice of intent must be provided in good
faith, but it need not eventually be proven completely accurate. Boodt v Borgess Medical Ctr,
481 Mich 558, 561; 751 NW2d 44 (2008). Furthermore, the information need only be detailed
enough to “allow the potential defendants to understand the claimed basis of the impending
malpractice action,” particularly given that it is being provided before discovery would
ordinarily have begun. Roberts v Mecosta Co Gen Hosp (after remand), 470 Mich 679, 691,
691-692 n 7; 684 NW2d 711 (2004). A bare statement that the alleged negligence caused the
harm is insufficient, Boodt, supra, 481 Mich at 560, but the entire notice must be read and
considered whole, rather than piecemeal. Ligons, supra, 285 Mich App at 344.
Plaintiff’s notice of intent was, in relevant part, as follows (we have added footnotes
explaining medical terms used7):
SECTION 2912b NOTICE OF INTENT TO FILE CLAIM
RE:
EDGAR BROWN, DECEASED
This Notice is intended to apply to the following healthcare professionals
entities and/or facilities as well as their employees or agents, actual or ostensible,
who were involved in the evaluation, care and/or treatment of EDGAR BROWN,
DECEASED.
DR. PETER BARRETT, BATTLE CREEK HEALTH SYSTEMS, AND
ANY AND ALL PROFESSIONAL CORPORATIONS AND ALL AGENTS
AND EMPLOYEES, ACTUAL OR OSTENSIBLE, THEREOF.
6
Defendant also argues that the notice of intent fails to separate the standards of care applicable
to the different then-named defendants, but because there were only two named defendants, one
of which is no longer a party, and because the only articulated failures pertain to Dr. Barrett, we
do not believe that the notice is deficient on this basis.
7
These definitions have been culled from Stedman’s Medical Dictionary, 26th ed (1995);
Attorneys’ Dictionary of Medicine by J.E. Schmidt, MD (2000 rev, Vol 1); and
http://emedicine.medscape.com
-4-
I.
FACTUAL BASIS OF THE CLAIM
On January 13, 2001, Edgar Brown fell from a ladder and was brought to
Battle Creek Health Systems Emergency Room. He was found to have multiple
rib fractures and a right pneumothorax8. Dr. Peter Barrett was assigned to care for
Mr. Brown and he was admitted to the hospital.
A chest tube was inserted and was removed on January 19, 2001. Mr.
Brown developed an ileus9 and a nasogastric10 tube was inserted. Between the
time of his admission and his discharge, Mr. Brown continued to have diminished
breath sounds. His last chest x-ray was taken on January 19, 2001. Mr. Brown
was discharged home on January 24, 2001. He had a distended abdomen and was
still having difficulty breathing.
Within 24 hours of discharge, Mr. Brown became short of breath while
talking, his abdomen remained distended and his daughter called for an
ambulance. Mr. Brown went into full arrest in the ambulance. The cause of death
was determined to be complications of multiple injuries from. [sic] On autopsy,
Mr. Brown was found to have right pulmonary atelectasis11 and right
empyema12/pleuritis13, as well as an intestinal ileus14.
II.
APPLICABLE STANDARD OF PRACTICE OR CARE ALLEGED
A reasonable and prudent physician and/or hospital staff would have:
a.
Monitored a patient such as Mr. Brown carefully and regularly
including, but not limited to, having performed full diagnostic tests
such as regular chest x-rays and abdominal films when the patient
was exhibiting pulmonary and gastrointestinal problems.
b.
Performed full physical examinations of a patient in circumstances
such as Edgar Brown, including respiratory and abdominal
assessments on a regular basis.
8
Abnormal presence of air inside the pleural cavity, which is the membrane-lined cavity in the
thorax surrounding the lungs.
9
An obstruction or blockage of the intestine or bowel.
10
A tube inserted into the stomach through the nose, used for feeding or for removing fluids.
11
A collapsed lung.
12
An accumulation of pus in the body cavity.
13
An inflammation of the lining around the lungs.
14
Again, an obstruction or blockage of the intestine.
-5-
c.
Adequately assessed and intervened for respiratory compromise in
a patient such as Edgar Brown.
d.
Refrained from discharging a patient such as Edgar Brown without
having performed a complete, full and adequate assessment,
including all diagnostic tests to make sure that his pulmonary
status and gastrointestinal status were stable.
e.
Refrained from discharging a patient in the condition of Edgar
Brown.
f.
Refrained from discharging a patient such as Edgar Brown without
appropriate home care follow-up and equipment, including, but not
limited to, oxygen.
g.
Provided appropriate treatment for a patient such as Edgar Brown
who obviously, while in the hospital, continued to have respiratory
distress and gastrointestinal problems.
III.
THE MANNER IN WHICH IT IS CLAIMED THAT THE STANDARDS
OF PRACTICE OR CARE WERE BREACHED
The defendant physician and/or hospital staff did not:
a.
Monitor a patient such as Mr. Brown carefully and regularly,
including, but not limited to, perform full diagnostic tests such as a
regular chest x-rays [sic] and abdominal films when the patient
was exhibiting pulmonary and gastrointestinal problems.
b.
Perform full physical examinations of a patient in circumstances
such as Edgar Brown, including respiratory and abdominal
assessments on a regular basis.
c.
Adequately assess and intervene for respiratory compromise in a
patient such as Edgar Brown.
d.
Refrain from discharging a patient such as Edgar Brown without
having performed a complete, full and adequate assessment,
including all diagnostic tests to make sure that his pulmonary
status and gastrointestinal status were stable.
e.
Refrain from discharging a patient in the condition of Edgar
Brown.
f.
Refrain from discharging a patient such as Edgar Brown without
appropriate home care follow-up and equipment, including, but not
limited to, oxygen.
-6-
g.
Provide appropriate treatment for a patient such as Edgar Brown
who obviously, while in the hospital, continuing [sic] to have
respiratory distress and gastrointestinal problems.
IV.
THE ACTION THAT SHOULD HAVE BEEN TAKEN TO ACHIEVE
COMPLIANCE WITH THE STANDARD OF PRACTICE OR CARE
A reasonable and prudent physician and/or hospital staff should have:
a.
Monitored a patient such as Mr. Brown carefully and regularly,
including, but not limited to, having performed full diagnostic tests
such as a regular chest x-rays and abdominal films when the
patient was exhibiting pulmonary and gastrointestinal problems.
b.
Performed full physical examinations of a patient in circumstances
such as Edgar Brown, including respiratory and abdominal
assessments on a regular basis.
c.
Adequately assessed and intervened for respiratory compromise in
a patient such as Edgar Brown.
d.
Refrained from discharging a patient such as Edgar Brown without
having performed a complete, full and adequate assessment,
including all diagnostic tests to make sure that his pulmonary
status and gastrointestinal status were stable.
e.
Refrained from discharging a patient in the condition of Edgar
Brown.
f.
Refrained from discharging a patient such as Edgar Brown without
appropriate home care follow-up and equipment, including, but not
limited to, oxygen.
g.
Provided appropriate treatment for a patient such as Edgar Brown
who obviously, while in the hospital, continuing [sic] to have
respiratory distress and gastrointestinal problems.
V.
THE MANNER IN WHICH THE BREACH WAS THE PROXIMATE
CAUSE OF CLAIMED INJURY
As a proximate result of the defendants’ conduct, Edgar Brown died
prematurely from his injuries.
When the final statement is viewed in isolation, it does in fact amount to no more than a bare
statement that the alleged negligence caused the decedent’s injuries. However, the proper way to
review the notice of intent is whole, rather than viewing one part in isolation. Ligons, supra, 285
Mich App at 344. Significantly, a notice of intent is insufficient if it “only provides notice or
only provides ‘a statement[;]’ [i]t must do both.” Esselman, supra, 284 Mich App at 220
-7-
(emphasis in original). The required notification needs only to be set forth with the same level of
specificity as “would be required in a complaint or other pleading: [the statement] must only
give fair notice to the other party.” Id. at 219.
As was the situation in Esselman, the statement here is not sufficient to provide the
requisite notice all by itself, but it is also not a tautology. See id. at 217. A plain reading of
plaintiff’s notice of intent as a whole does not leave the reader guessing as to how the decedent
came to be dead as a proximate result of defendant’s alleged inaction, at least when some of the
technical medical terms are explained. The decedent, while under defendant’s care, was
suffering from readily-diagnosable life-threatening conditions that inevitably became fatal
because defendant simply failed to do anything about those conditions. The manner in which the
breach of the standard of care proximately caused the harm is just that simple and
straightforward: defendant did not investigate the significance of the decedent’s symptoms and
did not discover or properly deal with the causes of those symptoms, and because those causes
were fatal if not dealt with, the decedent died. All of the required information is plainly apparent
from reading the notice of intent as a whole.
Defendant finally argues that plaintiff’s expert is not qualified to sign the affidavit of
merit or render standard-of-care testimony against him.15 Defendant bases this argument on the
fact that he is a board-certified general surgeon and a board-certified thoracic surgeon, whereas
plaintiff’s expert is only board-certified in general surgery. We decline to address whether
plaintiff’s expert is qualified to render standard-of-care testimony at trial, such considerations
being premature at an affidavit-of-merit stage of proceedings. Grossman v Brown, 470 Mich
593, 600; 685 NW2d 198 (2004). We conclude that plaintiff’s expert was qualified to sign the
affidavit of merit.
Pursuant to MCL 600.2912d(1) and MCL 600.2169, a plaintiff must “file an affidavit of
merit signed by a physician who counsel reasonably believes specializes in the same specialty as
the defendant physician,” including a reasonable belief that the expert holds an identical board
certification as the defendant physician, if the defendant physician is so certified. Grossman,
supra, 470 Mich at 596. Dr. Barrett is board-certified by the American Board of Thoracic
Surgery, which defines its specialty as “the operative, perioperative, and surgical critical care of
patients with acquired and congenital pathologic conditions within the chest,” including the
heart, lungs, airways, and chest injuries.16 Plaintiff’s expert is not.
However, “[a]lthough all specialties and board certificates must match, not all specialties
and board certificates must match.” Woodard v Custer, 476 Mich 545, 558; 719 NW2d 842
(2006) (emphasis in original). Because irrelevant testimony is generally inadmissible anyway,
id. at 568-572, the plaintiff’s expert need only specialize or be certified in sub-fields relevant to
15
This issue is moot as to the instant appeal, given plaintiff’s concession that the affidavit of
merit was otherwise defective, but we address the matter because it will become relevant upon
plaintiff re-filing.
16
http://www.abts.org/sections/Definition_of_Thorac/index.html
-8-
the expert’s intended testimony. Id. at 559. Therefore, a plaintiff’s expert need only match “the
specialty engaged in by the defendant physician during the course of the alleged malpractice,
and, if the defendant physician is board certified in that specialty, the plaintiff’s expert must also
be board certified in that specialty.” Id. at 560; see also Gonzalez v St John Hosp & Medical Ctr,
275 Mich App 290, 302-303; 739 NW2d 392 (2007). The mere fact that defendant physician has
a specialty that plaintiff’s expert lacks does not automatically disqualify plaintiff’s expert from
properly signing plaintiff’s affidavit of merit.
Defendant’s position seems superficially meritorious, because the decedent did suffer
injuries to his ribs, decedent was later determined to have a collapsed lung, and the pleural
cavity, from which 850ml17 of brown pus was removed, surrounds the lungs. A significant
portion of the decedent’s injuries were indeed located in a part of the body that would fall in the
“thoracic” category. However, the decedent was also found to have a lacerated spleen, a
necrotic18 gallbladder, a necrotic liver, intestinal ileus, and acalculous cholecystitis.19 Clearly, a
significant portion of the decedent’s injuries did not fall under the thoracic category. Moreover,
the obvious import of the affidavit of merit is not that defendant failed to do anything particularly
relevant to thoracic surgery or medicine, but that defendant failed generally to treat the decedent
properly.
At least on the basis of the affidavit of merit, the claims against defendant do not appear
to require any specialized testimony pertaining to thoracic surgery. Therefore, plaintiff’s expert
was qualified to sign the affidavit of merit.
Affirmed.
/s/ Alton T. Davis
/s/ Pat M. Donofrio
/s/ Cynthia Diane Stephens
17
Slightly less than three and two-thirds cups.
18
Necrosis refers to localized death of cells or tissue due to injury or disease, rather being due to
natural causes.
19
Cholecystitis is an inflammation of the gallbladder, acalculous refers to the absence of stones.
Acalculous cholecystitis apparently has a relatively high mortality rate and is commonly
observed in patients who have suffered trauma.
-9-
Some case metadata and case summaries were written with the help of AI, which can produce inaccuracies. You should read the full case before relying on it for legal research purposes.
This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.