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    "parties": [
      "GLENN D. NETTO, Adm\u2019r of Estate of Katherine Netto, Deceased, Plaintiff-Appellant, v. BRUCE F. GOLDENBERG, Defendant-Appellee."
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        "text": "JUSTICE PECCARELLI\ndelivered the opinion of the court:\nThe plaintiff, Glenn Netto, M.D., administrator of the estate of Katherine Netto (decedent), sued defendants, Rockford Memorial Hospital (Rockford), Bruce Goldenberg, M.D. (defendant), and Peter Marks, M.D., alleging that defendants\u2019 negligence caused decedent\u2019s death. Summary judgment was granted in favor of Rockford and Dr. Marks. The jury found in favor of the defendant on February 10, 1992. This appeal of the judgment on the verdict followed.\nThe plaintiff contends that the trial court erred in (1) denying plaintiff\u2019s pretrial motion to strike defendant\u2019s affirmative defenses; (2) not allowing a board-certified nephrologist to testify to the standard of care applicable to the defendant; (3) refusing to instruct the jury that physicians are liable when their failure to exercise reasonable care is a substantial factor in bringing about the harm allegedly suffered; (4) allowing testimony pertaining to treatment by physicians other than the defendant; (5) allowing impeachment of plaintiff\u2019s witnesses with allegedly consistent prior statements; and (6) instructing the jury that the defendant was not allowed to interview the plaintiff\u2019s treating physicians or nurses. We reverse and remand for a new trial.\nThe plaintiff\u2019s suit arose from the death of the decedent on May 5, 1986. Decedent was a diabetic with a history of chest discomfort and shortness of breath. The decedent was admitted to Rockford on April 29, 1986, complaining of chest pain and died there on May 5, 1986.\nDecedent underwent a quadruple coronary bypass on May 1, 1986. Doctor Marks, a cardiac surgeon, performed the surgery. The defendant, also a cardiac surgeon, assisted Dr. Marks. The plaintiff, a physician, did not participate in the decedent\u2019s care. Surgery began at approximately seven o\u2019clock in the morning. During a coronary bypass a patient\u2019s heart must be stopped; while the heart is stopped, a heart-lung machine sustains the patient\u2019s respiration and circulation. Doctor Marks stopped decedent\u2019s heart, placed her on a heart-lung machine, and performed the quadruple coronary bypass. Initial attempts to restart decedent\u2019s heart failed. Doctor Marks decided to redo the previously completed bypasses. Following this, in an effort to assist decedent\u2019s weakened heart, Dr. Marks inserted an intraaortic balloon pump into decedent\u2019s right femoral artery. Decedent\u2019s heart restarted. She was placed on a ventilator, moved to the surgical intensive care unit, and started convalescing.\nOver the next 21/z days decedent\u2019s condition improved. Doctor Marks slowly weaned her from the intra-aortic pump. The decedent began to breathe on her own with the assistance of a respirator. Improvement in decedent\u2019s condition prompted Dr. Marks to remove the pump on May 3, 1986. This was done at approximately 11:30 in the morning. The decedent tolerated removal well. Her vital signs were stable.\nAfter removing the pump. Dr. Marks travelled to Chicago with his family on May 3, 1986. Prior to leaving, Dr. Marks arranged for the defendant to assume responsibility for decedent\u2019s care in Dr. Marks\u2019 absence. Doctor Marks informed the defendant that the pump had been removed and that the decedent was in stable condition. Doctor Marks also reminded the defendant that the Marks family would be spending the rest of the day in Chicago. Doctor Marks left Rockford at approximately one o\u2019clock that afternoon.\nDecedent\u2019s condition began to deteriorate at approximately 1:40 p.m. on May 3, 1986. A retroperitoneal bleed (a hemorrhage into the space between the abdomen wall and the thin layer of tissue lining the inside of the abdomen) began in the area of the right femoral artery that had accommodated the intra-aortic pump. Decedent\u2019s respiration and pulse suddenly increased. Her blood pressure dropped. She became pale. Nurse Susan Stromquist immediately contacted the defendant by pager. The defendant telephoned the hospital at 1:46 p.m. For the next 30 minutes the defendant directed treatment by giving Nurse Stromquist orders by telephone. The defendant did not arrive at the hospital until approximately 5 p.m.\nOn May 5,1986, the decedent was seen by a number of specialists. Doctor John Maynard, a nephrologist, was one of these specialists. The decedent died at 11:30 p.m. on May 5, 1986.\nThe defendant argues that this court is without jurisdiction to hear the plaintiff\u2019s appeal. We address this contention first because proper jurisdiction may not be waived and is an absolute prerequisite to appellate review. Essentially, the defendant contends that this court lacks jurisdiction because plaintiff\u2019s notice of appeal cites the trial court\u2019s order denying plaintiff\u2019s post-trial motion, rather than the order entering the judgment itself. We disagree.\nIn jury cases, an appeal from an order denying a post-trial motion is actually an appeal from the underlying judgment. (See Official Reports Advance Sheet No. 26 (December 22, 1993), R. 303(a)(1), eff. February 1, 1994.) An appeal is limited to the issues raised in the post-trial motion. Therefore, a post-trial motion merely serves as a tool to preserve errors for appellate review. It is unimportant whether the notice of appeal cites to the order disposing of the post-trial motion or the order entering the judgment. For jurisdictional purposes, reference to either order will do. We have jurisdiction because a timely notice of appeal was filed.\nThe plaintiff first contends that the trial court committed error when it denied plaintiff\u2019s pretrial motion to strike defendant\u2019s affirmative defenses of contributory negligence. The affirmative defenses claimed that various members of decedent\u2019s family were contributorily negligent in failing to (1) seek, at various critical junctures, second medical opinions regarding decedent\u2019s care; and (2) ask for a change of physician. Evidence pertinent to these affirmative defenses was presented throughout the trial. While discussing jury instructions, the trial court granted plaintiff\u2019s motion for a directed verdict on the affirmative defenses. The court found that as a matter of law neither the plaintiff nor other members of the decedent\u2019s family were under a duty either to seek other medical opinions or ask for a change of physician. Following the directed verdict, the plaintiff did not move to strike the irrelevant testimony or have a curative instruction read to the jury.\nA motion to strike is required to preserve errors in the admission of evidence. If the objectionable nature of evidence is not apparent until after it is admitted, the opponent should move to strike the offending evidence. (People v. Koch (1993), 248 Ill. App. 3d 584, 593, citing People v. Fritz (1981), 84 Ill. 2d 72.) More importantly, a party opposing evidence waives any objection unless a motion to strike is made as soon the objectionable nature of the evidence becomes apparent. Koch, 248 Ill. App. 3d at 593, citing Levin v. Welsh Brothers Motor Service, Inc. (1987), 164 Ill. App. 3d 640, 659.\nThe plaintiff has waived his objection to the testimony pertinent to the affirmative defenses. It became apparent that testimony concerning possible contributory negligence was irrelevant the moment the trial court granted plaintiff\u2019s motion for a directed verdict. Immediately following the court\u2019s ruling, the plaintiff should have moved to strike the previously admitted testimony. Having failed to do so, the plaintiff waived the alleged error and cannot now complain.\nThe plaintiff argues that moving to strike the evidence at the close of the case unfairly draws the jury\u2019s attention to the offending testimony. Further, the plaintiff asserts that a court instruction to disregard the irrelevant testimony would place him \"on the horns of a dilemma not made by his doing.\u201d A motion to strike accompanied by an instruction to disregard the stricken testimony might have highlighted the irrelevant material. However, unless a party affirmatively demonstrates that a jury has considered stricken evidence in reaching its verdict, prompt curative action by a trial court is sufficient to cure any prior error in the admission of evidence. (See People v. Jackson (1981), 84 Ill. 2d 350, 359.) The plaintiff made a tactical decision not to draw attention to the testimony relating to the affirmative defenses. That was his prerogative. As a result, he may not now assert as error a question waived by virtue of his choice of trial tactics.\nThe plaintiff also argues that the trial court erred in not allowing a board-certified nephrologist to testify to the standard of care applicable to the defendant, a cardiac surgeon. A physician wishing to testify to the standard of care applicable to another physician must first qualify as an expert on that standard of care. A proponent of an expert witness must establish that the physician (1) is a licensed member of the school of medicine about which the physician will testify and (2) that the physician is familiar with procedures, treatments, and methods observed by other physicians in the defendant physician\u2019s community or a similar community. (Purtill v. Hess (1986), 111 Ill. 2d 229, 243.) Once this foundation is laid, it is within the trial court\u2019s discretion to decide whether the witness is qualified to state an opinion on the standard of care. Purtill, 111 Ill. 2d at 243.\nThe foundational requirements are subject to qualification. First, membership in the defendant\u2019s specialty or subspecialty is not required; a physician may testify to the standard of care if the \"allegations of negligence concern matters within [the physician\u2019s] knowledge and observation.\u201d (Jones v. O\u2019Young (1992), 154 Ill. 2d 39, 43.) Second, physicians may be qualified even if they are not familiar with the defendant physician\u2019s community or a similar community; if the procedure, treatment, or method at issue is subject to a minimum uniform standard, physicians are qualified if they are familiar with that standard. Purtill, 111 Ill. 2d at 243.\nThe trial court granted defendant\u2019s motion in limine, preventing nephrologist John Maynard from testifying to the standard of care owed by the defendant. The plaintiff argues that at the time of trial, before Jones was decided, Dr. Maynard was qualified to testify to the standard of care owed by the defendant, because defendant\u2019s alleged negligence concerned matters within Dr. Maynard\u2019s knowledge and observation. Essentially, the plaintiff contends that Jones did not announce new law on qualifying an expert witness, but was a mere restatement of the law in force at the time of trial. We agree.\nThe trial court erred in granting defendant\u2019s motion in limine. In Jones, the Illinois Supreme Court stated:\n\"Restricting the qualification of experts to those physicians who are members of the same specialty or subspecialty as the defendant would only upset the balance necessary to an adversarial system without any compensating benefit. Accordingly, we reaffirm this court\u2019s position in Purtill without qualification.\u201d (Emphasis added.) (Jones, 154 Ill. 2d at 44.)\nThe implication of this passage is that at the time Purtill was decided, and the trial court granted defendant\u2019s motion in limine, a physician was permitted to testify to the standard of care owed by a defendant physician if the alleged negligence concerned matters within the knowledge and observation of the testifying witness. (See Gill v. Foster (1993), 157 Ill. 2d 304, 316.) Doctor Maynard\u2019s standard of care testimony should not have been excluded because he was not a cardiac surgeon. The question was whether it was within Dr. Maynard\u2019s knowledge and observation whether a physician should come to the bedside to assess a patient\u2019s condition, when that patient\u2019s vital signs deteriorate. That question was never addressed by the trial court. We hold that this was error.\nThe third argument raised by the plaintiff addresses the trial court\u2019s refusal to give plaintiff\u2019s instruction No. 16, a non-Illinois Pattern Jury Instruction (IPI). Instruction No. 16 concerned when a physician is liable for a failure to exercise reasonable care. Plaintiff\u2019s instruction No. 16 stated:\n\"A physician who undertakes to render care to a patient is liable for the physical harm resulting from his failure to exercise reasonable care if that failure was a substantial factor in bringing about the resultant harm.\u201d\nPlaintiffs in medical negligence cases do not have to prove that they would have had a better result absent the alleged negligence. (Borowski v. Von Solbrig (1975), 60 Ill. 2d 418, 424.) It must be shown that it is more probably true than not that the defendant\u2019s negligence was one of the proximate causes of the plaintiff\u2019s injury. (Von Solbrig, 60 Ill. 2d at 424; Pumala v. Sipos (1987) 163 Ill. App. 3d 1093, 1098.) The plaintiff, however, argues that physicians are liable whenever their \"failure to exercise reasonable care is a substantial factor in bringing about harm to [their] patient[s].\u201d We disagree.\nThe plaintiff\u2019s non-IPI instruction set out a reduced standard of physician liability. The plaintiff based instruction No. 16 on two first district cases, Chambers v. Rush-Presbyterian-St. Luke\u2019s Medical Center (1987), 155 Ill. App. 3d 458, and Northern Trust Co. v. Louis A. Weiss Memorial Hospital (1986), 143 Ill. App. 3d 479. In Chambers and Northern Trust Co., the Appellate Court, First District, adopted the Pennsylvania Supreme Court\u2019s application of section 323 of the Restatement (Restatement (Second) of Torts \u00a7 323 (1965)) for use in medical negligence actions. The first district stated that physicians were liable if (1) plaintiffs showed that physician negligence increased the risk of harm to a person in plaintiffs\u2019 position, (2) plaintiffs proved they suffered the harm, and (3) the jury determined that the increased risk was a substantial factor in producing the harm. (Northern Trust Co., 143 Ill. App. 3d at 487, quoting Hamil v. Bashline (1978), 481 Pa. 256, 269, 392 A.2d 1280, 1286.) This formulation could only be applied when direct proof of causation was not available. (Chambers, 155 Ill. App. 3d at 464.) Essentially, the Northern Trust Co. and Chambers courts removed the proximate cause element from medical negligence actions.\nWe refuse to adopt plaintiff\u2019s reduced standard for physician liability. In reconsidering Chambers, the first district stated that, under Von Solbrig, a plaintiff must \"prove that the doctor\u2019s negligence was more probably than not a proximate cause of the decedent\u2019s death.\u201d (Hare v. Foster G. McGaw Hospital (1989), 192 Ill. App. 3d 1031, 1038.) We, like the first district in Hare, may not overrule or modify the decisions of the Illinois Supreme Court. (Rickey v. Chicago Transit Authority (1983), 98 Ill. 2d 546, 552.) We hold that plaintiffs in medical negligence actions must prove that their injuries were proximately caused by physician negligence. Physicians are not liable if plaintiffs only prove that negligence was a substantial factor in causing their injuries. In light of the preceding, the trial court did not commit error in refusing to give plaintiff\u2019s instruction No. 16.\nThe plaintiff\u2019s fourth contention is that the trial court should not have allowed testimony pertaining to treatment by physicians other than the defendant. This is premised on an agreed order in limine. The order read in pertinent part:\n\"Neither party, their attorney or [szc] witnesses shall state, suggest or imply *** any qualified witness has an opinion that a physician deviated from the applicable standard of care where such deviation was not a proximate cause of the decedent\u2019s death.\u201d\nDefendant\u2019s medical expert, Robert Breyer, M.D., testified critically concerning Dr. Marks\u2019 treatment decisions. In plaintiff\u2019s brief much is made of Dr. Breyer\u2019s inability to state affirmatively that Dr. Marks\u2019 decisions were the proximate cause of decedent\u2019s death. Because Dr. Breyer could not state that Dr. Marks\u2019 decisions were the proximate cause of death, the plaintiff\u2019s argument runs, the terms of the agreed order in limine prohibited Dr. Breyer from offering his opinion on whether Dr. Marks\u2019 decisions were a deviation from the applicable standard of care. We disagree.\nAn order in limine that attempts to prohibit testimony of any deviation from the applicable standard of care, on the basis that the deviation was not a proximate cause of death, is meaningless because a determination of what proximately caused death is a prerequisite to enforcing the order. Proximate cause is a question for the trier of fact. (Scott & Fetzer Co. v. Montgomery Ward & Co. (1986), 112 Ill. 2d 378, 393.) Until the jury reached their verdict, it was not known whether the conduct of any physician was the proximate cause of decedent\u2019s death. It was impossible for the trial court to enforce the agreed order in limine without knowing the proximate cause of decedent\u2019s death. Because it was unenforceable as written, the portion of the order in limine relied on by the plaintiff was a nullity.\nThe trial court did not err in allowing the testimony of treatment by physicians other than the defendant. Because the order in limine was a nullity, the admission of testimony concerning treatment of the decedent by other physicians was a question of relevancy. Determining the relevancy of evidence is left to the sound discretion of the trial court. (People v. Boclair (1989), 129 Ill. 2d 458, 476, cert. denied (1992), 503 U.S. 962, 118 L. Ed. 2d 213, 112 S. Ct. 1567.) An evidentiary ruling should only be disturbed if the trial court abused its discretion. (Boclair, 129 Ill. 2d at 476.) The trial court\u2019s admission of testimony of treatment by physicians other than defendant was justified by the possibility that the act or omission of someone other than the defendant caused decedent\u2019s death. (See Lindenmier v. City of Rockford (1987), 156 Ill. App. 3d 76, 85.) Admitting such evidence was not an abuse of discretion.\nThe plaintiff\u2019s fifth argument is that the trial court allowed the plaintiff\u2019s witnesses to be impeached with allegedly consistent prior statements. The plaintiff contends this occurred in exchanges between defense counsel and Nurse Stromquist and plaintiff\u2019s expert, Dr. Kenneth Barron. After examining the record, we find that the trial court did not abuse its discretion in allowing Dr. Barron and Nurse Stromquist to be impeached with their prior statements. See Boclair, 129 Ill. 2d at 476.\nFinally, the plaintiff contends that the trial court erred when it instructed the jury that the defendant was not allowed to interview plaintiff\u2019s treating physicians or nurses. Illinois Pattern Jury Instruction Civil 3d No. 2.06 states:\n\"An attorney has a right to interview a witness for the purpose of learning what testimony the witness will give. The fact that the witness has talked to an attorney and told him what he would testify to does not, by itself, reflect adversely on the truth of the testimony of the witness.\u201d (Illinois Pattern Jury Instructions, Civil, No. 2.06 (3d ed. 1989) (hereinafter IPI Civil 3d).)\nThe plaintiff argues that IPI Civil 3d No. 2.06 should have been given to the jury without modification. Instead, the trial court gave defendant\u2019s instruction No. 6, a modified version of IPI Civil 3d No. 2.06. Instruction No. 6 stated:\n\"An attorney has the right to interview a witness for the purpose of learning what testimony the witness will give. The fact that the witness has talked to the attorney and told him what he would testify to does not, by itself, reflect adversely on the truth of the testimony of the witness. However, the defendant\u2019s attorney cannot interview the plaintiff\u2019s treating physicians or nurses.\u201d (Emphasis added.)\nThis was done because the physician-patient privilege prohibits ex parte contact between defense counsel and plaintiff\u2019s treating physician or nurse. (See Petrillo v. Syntex Laboratories, Inc. (1986), 148 Ill. App. 3d 581.) We agree with the plaintiff that the court erred in giving IPI Civil 3d No. 2.06 as modified.\nHaving the jury informed of the applicable legal principles, issues presented, and facts which must be proven to support a verdict is the right of each party. (Korpalski v. Lyman (1983), 114 Ill. App. 3d 563, 568.) An IPI instruction must be given unless the trial court determines that the IPI instruction does not accurately state the law. 134 Ill. 2d R. 239(a).\nPetrillo does not support the giving of defendant\u2019s modified IPI Civil 3d No. 2.06. While discussing proposed jury instructions, defense counsel opined that IPI Civil 3d No. 2.06 was unfair because it gave the impression that plaintiff\u2019s treating physicians and nurses were equally accessible to both sides. This concern is inappropriate to determining whether IPI Civil 3d No. 2.06 correctly states the law. The \"single purpose\u201d of IPI Civil 3d No. 2.06 is to ensure that juries do not discount a witness\u2019 testimony only because the witness has spoken to an attorney for one of the litigants. (Testin v. Dreyer Medical Clinic (1992), 238 Ill. App. 3d 883, 892, quoting Petrillo, 148 Ill. App. 3d at 602.) This is demonstrated by the commentary to IPI Civil 3d No. 2.06 that the commentary, while making note of Petrillo, does not modify the instruction in situations covered by the ex parte communication prohibition. (See IPI Civil 3d No. 2.06.) We hold that IPI Civil 3d No. 2.06 should not be modified in cases governed by Petrillo.\nThe modified instruction given by the trial court was misleading. In his brief, the defendant draws a distinction between depositions and interviews. This distinction is not well taken. Certainly, attorneys understand that a deposition is far removed from a free ranging, ex parte interview. Attorneys also understand that there is a great difference between not being allowed to interview a potential witness and not being allowed to depose that same witness. The pertinent question, however, is whether that difference would be understood by a jury of laypersons reading the modified IPI Civil 3d No. 2.06. We think not. The modified version of IPI Civil 3d No. 2.06 clearly implies that the plaintiff was allowed to learn, before trial, what testimony his treating physicians and nurses would give, while the defendant was denied this opportunity. This was not the case. (See 134 Ill. 2d Rules 204(a) (compelling appearance of deponent), (c) (depositions of physicians and surgeons).) A jury instruction is proper if it does not mislead. (Nicholl v. Scaletta (1982), 104 Ill. App. 3d 642, 646.) In deciding whether an instruction is misleading, it must be viewed in context with all the given instructions. (Nicholl, 104 Ill. App. 3d at 646.) Modified IPI Civil 3d No. 2.06 was the only instruction addressing the question of attorney contact with witnesses. No other instruction cured the error presented by the modified instruction. Because of this, we hold that the jury was misinformed of the defendant\u2019s ability to communicate with plaintiff\u2019s treating physicians and nurses before trial.\nWhen viewed separately, the trial court\u2019s errors do not mandate a new trial; when considered jointly, these erroneous rulings require that the plaintiff be given another opportunity to present his case. Reviewing courts are not concerned that parties receive error-free trials. (A. W. Wendell & Sons, Inc. v. Qazi (1993), 254 Ill. App. 3d 97, 119.) Our concern is whether the plaintiff received a fair trial, one free of substantial prejudice. A new trial is necessary when the cumulative effect of trial errors so deprives a party of a fair trial that the verdict might have been affected. (See Salmen v. Kamberos (1990), 206 Ill. App. 3d 686, 698.) The plaintiff\u2019s right to a fair trial has been compromised. Upon reviewing the record, we cannot say that the errors did not affect the verdict. We conclude that the cumulative effect of the trial court\u2019s errors deprived the plaintiff of a fair trial and might have affected the verdict. Accordingly, we reverse the circuit court\u2019s judgment and remand the cause for a new trial.\nReversed and remanded.\nINGLIS, P.J., and BOWMAN, J., concur.",
        "type": "majority",
        "author": "JUSTICE PECCARELLI"
      }
    ],
    "attorneys": [
      "Peter R. Coladarci, of Chicago, for appellant.",
      "Douglas J. Pomatto, of Heyl, Royster, Voelker & Allen, of Rockford, Karen L. Kendall, of Heyl, Royster, Voelker & Allen, of Peoria, and Patrick J. Kenneally, of Patrick J. Kenneally, Ltd., of Chicago, for appellee."
    ],
    "corrections": "",
    "head_matter": "GLENN D. NETTO, Adm\u2019r of Estate of Katherine Netto, Deceased, Plaintiff-Appellant, v. BRUCE F. GOLDENBERG, Defendant-Appellee.\nSecond District\nNo. 2 \u2014 93\u20140312\nOpinion filed September 2, 1994.\nRehearing denied November 1, 1994.\nPeter R. Coladarci, of Chicago, for appellant.\nDouglas J. Pomatto, of Heyl, Royster, Voelker & Allen, of Rockford, Karen L. Kendall, of Heyl, Royster, Voelker & Allen, of Peoria, and Patrick J. Kenneally, of Patrick J. Kenneally, Ltd., of Chicago, for appellee."
  },
  "file_name": "0174-01",
  "first_page_order": 192,
  "last_page_order": 202
}
