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        "text": "STEPHENS, Judge.\nBackground\nThis case arises from claims of negligence and loss of consortium brought on 21 May 2008 by Plaintiff Stephen C. Nicholson, administrator of the estate of his wife Geraldine Anne Nicholson (\u201cthe decedent\u201d). Prior to 28 June 2005, at the age of fifty-four, the decedent began experiencing heavy rectal bleeding. It was later discovered that she had a cancerous tumor in her rectum. Plaintiff\u2019s claims stem from a surgical procedure performed by Defendant Arleen Kaye Thom, M.D., to remove the tumor. The surgery was performed at Cape Fear Valley Medical Center (\u201cCape Fear\u201d) on 28 June 2005. At the time of the surgery, Defendant was a general surgeon with special training and experience in performing cancer surgery. In order to remove the tumor, Defendant made a large abdominal incision to expose the decedent\u2019s bowels, a separate incision to completely remove the rectum and anus, and inserted a colostomy bag to allow stool to pass through the abdominal wall.\nThe decedent\u2019s post-surgical treatment included chemotherapy and radiation therapy. Over the next few weeks, as the treatment was beginning, the decedent started to get unusually sick. She had problems with nausea and diarrhea that led to abnormalities with her body chemistry. She got weaker and was readmitted to Cape Fear for weakness, inability to eat, diarrhea, and problems with electrolytes. On 31 August 2005, two months and twenty-six days after the surgery, an X ray revealed a retained surgical sponge in the right lower quadrant of the decedent\u2019s abdomen.\nOne week later, on 7 September 2005, an additional operation was performed to remove the sponge. The middle part of the decedent\u2019s abdomen was reopened, and the sponge was removed. According to expert testimony offered on Plaintiff\u2019s behalf, the surgery revealed that \u201cthere was a perforation of the bowel [and] the [retained sponge] was contaminated with intestinal contents. There was an abscess around [the sponge and] dense adhesions all the way around.\u201d As a result, the surgeon removed a section of the decedent\u2019s bowel, spent forty-five minutes dividing the scar tissue that was nearby, and ultimately removed the sponge. The surgeon did not close the skin around the abdominal wall because of \u201cthe amount of infection that was present.\u201d\nAfter the September surgery, the decedent received additional care for the open wound. She also underwent multiple additional surgeries between September 2005 and February 2006. The first of these additional surgeries was an attempt to close the abdominal wound resulting from the previous surgery. This surgery failed, and another surgery was required to complete that procedure. The decedent also needed a third operation, according to Plaintiff\u2019s expert, \u201cbecause she developed progressive blockage of her intestines from the scar tissue that was related to the sca[r]ring from the sponge.\u201d A fourth operation was later required to repair leakage resulting from the third surgery. Lastly, the decedent required surgery to address an infection of the skin. Plaintiff\u2019s expert testified that all of these surgeries were necessary as a result of the retained sponge.\nThe expert also testified that the decedent was not able to complete her chemotherapy and radiation therapy as a result. The decedent\u2019s cancer returned in July of 2006 and metastasized to her brain. From the date of her admission to Cape Fear on 31 August 2005 to the date of her death in 2006, the decedent changed hospitals, \u201cbut she never left a hospital bed.\u201d She died in 2006 as a result of the cancer.\nIn his complaint, Plaintiff alleged that Defendant negligently failed to remove the surgical sponge from the decedent\u2019s abdomen and, in failing to do so, caused much of \u201cthe damage [] sustained by the dece[dent] prior to her death[.]\u201d Specifically, Plaintiff contended that Defendant\u2019s actions directly and proximately damaged the decedent in the form of medical bills, pain and suffering, scarring and disfigurement, \u201cmultiple additional medical impairments,\u201d \u201cmultiple additional surgical procedures,\u201d 401 days of life spent in the hospital, and an inability to complete recommended cancer treatments leading to a \u201cshortened life expectancy.\u201d Plaintiff also brought a cause of action for loss of consortium, asserting that Defendant\u2019s alleged negligence caused \u201ca loss and disruption of the marital relationship\u201d he had enjoyed with the decedent, including \u201cthe loss and disruption of her marital services, society, affection, companionship and/or sexual relations.\u201d Plaintiff did not bring a cause of action for wrongful death. Defendant denied the material allegations of Plaintiff\u2019s complaint by answer filed 30 July 2008.\nDuring discovery Plaintiff learned that Defendant had been \u201cdisabled\u201d since the middle of August 2005. As a result, Plaintiff served a second request for production of documents on 8 January 2010, seeking a copy of Defendant\u2019s application for disability benefits, correspondence regarding that claim, and a copy of all of Defendant\u2019s medical records \u201cthat relate or pertain to [a disability] in her left arm that she sustained on or about\u201d 17 August 2005. Plaintiff served a third set of interrogatories on Defendant that same day, seeking the \u201cfull details\u201d of the 17 August 2005 injury to Defendant\u2019s arm. Defendant objected to these discovery requests on 10 February 2010. One week later Plaintiff filed a motion to compel Defendant to respond to the challenged discovery requests. In an affidavit filed with the trial court, one of Defendant\u2019s attorneys averred that he believed the requested documents were protected under the physician-patient privilege. The trial court, Judge Ola M. Lewis presiding, granted Plaintiffs motion to compel by order entered 7 April 2010, with the limitation that the requested documents would be disclosed only to Plaintiffs counsel. Defendant appealed that order to this Court.\nFollowing Defendant\u2019s appeal, the trial court entered an order staying discovery until the matter could be reviewed on appeal. Defendant also filed a motion to stay proceedings of the trial court, and that motion was granted on 15 April 2010. Despite the interlocutory nature of Defendant\u2019s appeal, we reviewed the trial court\u2019s order granting Plaintiff\u2019s motion to compel as affecting a substantial right and affirmed the decision of the trial court. Nicholson v. Thom, 214 N.C. App. 561, 714 S.E.2d 868 (2011) (unpublished opinion), available at 2011 WL 3570122, at *2, *8 [hereinafter Nicholson I], disc. review denied, _ N.C. _, 724 S.E.2d 509 (2012). In so holding, we noted that the requested documents were protected by the physician-patient privilege, but pointed out that the trial court is authorized to order the production of documents protected by the physician-patient privilege, in its discretion, when, in the opinion of the judge, they are necessary to serve the proper administration of justice. Id. at *4-*5. Because of \u201cthe potential relevance of the information contained in the disputed records,\u201d we concluded that the trial court did not abuse its discretion by granting Plaintiff\u2019s motion to compel. Id. at *8. As a consequence, Defendant produced copies of the requested records on 29 March 2012.\nOn 14 May 2012, after reviewing the documents, Plaintiff served a third request for production of documents on Defendant. Specifically, Plaintiff sought access to \u201call of\u2019 Defendant\u2019s medical and pharmaceutical records pertaining to: (1) \u201cher cervical spine, cervical disc disease, cervical radiculopathy, cervical stenosis, disc bulge, and laminectomy surgery,\u201d including magnetic resonance imaging scans; (2) \u201cher diagnosis, treatment, and monitoring of sacroiliitis\u201d; (3) \u201cher diagnosis and treatment of depression and/or post-traumatic stress disorder\u201d; (4) \u201cher diagnosis and treatment of Parsonage-Turner Syndrome\u201d; and (5) \u201cthe brachial plexus neuropathy in her left arm that she sustained on . . . [17 August 2005].\u201d Plaintiff also requested a copy of Defendant\u2019s records \u201cfrom Advanced PT Solutions, UNC Chapel Hill (neurosurgery), Dr. Viren Desai, Dr. Pendleton, Dr. Robertson, Dr. Johnson, Dr. Stratus, Dr. Gluck, Dr. Bettendorf, Home Instead, Kohll\u2019s/RxMPSS Pharmacy, CapeFearDiscountDrug, and Walmart Pharmacy.\u201d Defendant objected on grounds that the documents were privileged, irrelevant, and not reasonably calculated to lead to the discovery of admissible evidence, and Plaintiff again moved to compel production.\nOn 7 August 2012, the trial court, Judge James Gregory Bell presiding, allowed Plaintiffs motion to compel. The court concluded that the requested discovery was \u201crelevant and reasonably calculated to lead to the discovery of admissible evidence,\u201d \u201creasonably tailored to address questions raised by the recent production of Defendant\u2019s medical and disability records, . . . not overly burdensome, and its probative value outweighfed] any potential prejudice to . . . Defendant.\u201d The court also concluded that the requested medical records were protected under the physician-patient privilege, but that they \u201cshould be produced because the interests of justice outweigh the protected privilege.\u201d Defendant appealed that order to this Court on 13 August 2012.\nFour days later, on 17 August 2012, Plaintiff served a subpoena and subpoenas duces tecum on counsel for Defendant, seeking to have Defendant appear on 21 August 2012, testify, and produce the following documents: (1) \u201call records requested by Plaintiff in his 3rd [rjequest for [production of documents which were ordered to be produced by . . . Judge Bell on August 7, 2012\u201d and (2) \u201c[t]he original or certified copy of Cape Fear[\u2019s] entire chart for [Defendant].\u201d Defendant filed objections and motions to quash on 21 August 2012.\nBetween August 29 and 31 of 2012, Plaintiff issued fifty-four subpoenas duces tecum to various persons, pharmacies, and corporations, requiring them to produce either Defendant\u2019s \u201centire chart\u201d or her medical and pharmaceutical records from between January and September of 2005. Counsel for Defendant was served with copies of those subpoenas on 12 September 2012: On 18 September 2012, Defendant filed an objection and motion to quash these subpoenas or, in the alternative, for entry of a protective order.\nThe matter came on for trial beginning 1 October 2012 in Robeson County Superior Court, Judge Mary Ann Tally presiding. Following an in camera review of the subpoenaed documents, the trial court denied Defendant\u2019s motion and allowed certain of the documents to be produced to Plaintiff. The documents were not admitted into evidence, but were referenced extensively by counsel for Plaintiff in his questioning of Defendant. Plaintiff\u2019s counsel also questioned Defendant about descriptions of Defendant\u2019s medical condition from sealed affidavits submitted to the trial court in March of 2010. The affidavits, which concerned the state of Defendant\u2019s health at that time, had been submitted by two of Defendant\u2019s health care providers in support of her request to refrain from attending the trial, which at that time was scheduled to occur in 2010.\nOther evidence admitted at trial described the course of the decedent\u2019s cancer treatment. In addition, Plaintiff introduced a summary of the decedent\u2019s medical bills, totaling $1,219,660.36, approximately $860,000 of which was considered a \u201cwrite-off[]\u201d by the Cumberland County Hospital System and had not been paid by any source.\nAt the conclusion of the trial, the jury returned verdicts' awarding $5,050,000 to the estate and $750,000 to Plaintiff, individually, for a total award of $5,800,000. The trial court reduced that amount by $1,150,000 pursuant to Plaintiff\u2019s settlement with \u201cother defendants in another case\u201d and entered judgment against Defendant on 16 October 2012 for a total amount of $4,650,000. On 19 October and 21 November 2012, respectively, Defendant filed motions for \u201cAmendment of Judgment (Remittitur) or New Trial\u201d pursuant to Rule 59(a) and \u201cRelief from Judgment\u201d pursuant to Rule 60(b). The trial court denied those motions by order filed on 19 December 2012. Defendant appealed that order and the trial court\u2019s judgment entered upon the jury\u2019s verdict to this Court on 15 January 2013.\nDiscussion\nOn appeal, Defendant argues that the trial court erred by: (1) denying her motion to quash the subpoenas duces tecum or, alternatively, for entry of a protective order; (2) providing her medical records to counsel for Plaintiff; (3) allowing counsel for Plaintiff to question her concerning her health and her medical records for the purpose of suggesting that she was impaired during the surgery she performed on the decedent; (4) allowing counsel for Plaintiff to question her and other witnesses about the propriety of advising the decedent of the medications Defendant was taking at the time of the operation; (5) allowing counsel for Plaintiff to introduce evidence of medical bills \u201cwhich were not actually incurred or paid by [Plaintiff]... or any other entity\u201d; (6) instructing the jury on permanent injury; and (7) denying Defendant\u2019s motion for amendment of judgment (remittitur) or new trial. As discussed below, we find no error in part, but remand for a new trial on damages.\nI. Defendant\u2019s Medical and Pharmacy Records\nA. Mootness\nAs a preliminary matter, we address Plaintiff\u2019s argument that Defendant\u2019s appeal from the trial court\u2019s order denying her motion to quash and allowing the production of her medical and pharmaceutical records is moot because the subpoenaed documents were never entered into evidence. We disagree.\nIn North Carolina, an issue is moot\n[w]henever[] during the course of litigation it develops that the relief sought has been granted or that the questions originally in controversy between the parties are no longer at issue[. In those circumstances,] the case should be dismissed [as moot], for courts will not entertain or proceed with a cause merely to determine abstract propositions of law.\nIn re Hamilton, _ N.C. App. _, _, 725 S.E.2d 393, 396 (2012) (citation omitted).\nIn this case Defendant requests that this Court determine the validity of the trial court\u2019s rulings because she contests the result stemming from the production of her records to Plaintiff \u2014 the extensive use of those documents by Plaintiff during questioning of Defendant. This issue remains in controversy between the parties and, therefore, would not require this Cotut to merely determine an abstract proposition of law. Therefore, the issue of the validity of the trial court\u2019s ruling on the production and use of Defendant\u2019s medical and pharmaceutical records is not moot. Accordingly, Plaintiff\u2019s argument is overruled, and we proceed with a review of Defendant\u2019s arguments on the merits.\nB. Standard of Review\n\u201cWhen the propriety of a subpoena duces tecum is challenged, it is . . . addressed to the sound discretion of the court in which the action is pending.\u201d Vaughn v. Broadfoot, 267 N.C. 691, 697, 149 S.E.2d 37, 42 (1966). \u201cIt is well established that where matters are left to the discretion of the trial court, appellate review is limited to a determination of whether there was a clear abuse of discretion.\u201d White v. White, 312 N.C. 770, 777, 324 S.E.2d 829, 833 (1985). \u201cA trial court may be reversed for abuse of discretion only upon a showing that its actions are manifestly unsupported by reason... [or] upon a showing that [the trial court\u2019s ruling] was so arbitrary that it could not have been the result of a reasoned decision.\u201d Id.\nWith regard to the production and use of contested medical records, a trial court\u2019s determination regarding the applicability of the physician-patient privilege is a legal question, which is reviewed de novo on appeal. See Nicholson I, 2011 WL 3570122 at *3. However,\n[t]he decision as to whether disclosure of information protected by the physician-patient privilege is required to serve the proper administration of justice is one made in the discretion of the trial judge, and the appellant must show an abuse of discretion in order to successfully challenge the ruling.\nId. at *8. Here, the parties do not dispute the fact that Defendant\u2019s medical records are protected by the physician-patient privilege. Rather, Defendant contests the validity of the trial court\u2019s decisions to produce those documents to Plaintiff and allow Plaintiff to use the documents during questioning of Defendant. Accordingly, the standard of review for each of these issues is abuse of discretion.\nC. Subpoenas Duces Tecum\nDefendant contends that the trial court abused its discretion in overruling her objection and denying her motion to quash Plaintiffs subpoenas duces tecum or, in the alternative, for entry of a protective order because the subpoenas were improperly used for purposes of discovery and their issuance violated the Health Insurance Portability and Accountability Act (\u201cHIPAA\u201d). In response, Plaintiff contends the subpoenas were not issued for the purpose of discovery and Defendant was properly given notice of their issuance and an opportunity to object. We find no error.\ni. The Purpose of the Subpoenas Duces Tecum\nThe subpoena duces tecum... is the process by which a court requires the production at the trial of documents, papers, or chattels material to the issue....\nAnything in the nature of a mere fishing expedition is not to be encouraged. A party is not entitled to have brought in a mass of books and papers in order that he may search them through to gather evidence.\nThe law recognizes the right of a witness subpoenaed duces tecum to refuse to produce documents which are not material to the issue or which are of a privileged character. Nevertheless, whether a witness has a reasonable excuse for failing to respond to a subpoena duces tecum is to be judged by the court and not by the witness. Though he may have [a] valid excuse for not showing... the document in evidence, yet he is bound to produce it, which is a matter for the judgment of the court and not the witness.\n.... [On a motion to quash] a subpoena duces tecum ..., the court... examine [s] the issues raised by the pleadings and, in the light of that examination,. . . determine [s] the apparent relevancy of the documents or the right of the witness to withhold production upon other grounds. An adverse ruling upon [the] movant\u2019s motion to quash... gives counsel [for the respondent] no right to inspect the books, documents, or chattels ordered to be produced at the trial, nor does it determine the admissibility of [those] items at the trial. The subpoena merely requires the witness to bring them in so that the court, after inspection, may determine their materiality and competency, or so that the witness, by reference to the books or papers, can answer any questions pertinent to the inquiry.\nVaughn, 267 N.C. at 695-97, 149 S.E.2d at 40-42 (citations, internal quotation marks, parentheses, and an ellipsis omitted).\nDefendant contends that Plaintiff\u2019s subpoenas duces tecum were improper because they \u201cwere not issued to secure evidence for presentation for trial, as proven by the fact that none of the documents were offered into evidence.\u201d Rather, Defendant contends, \u201cthey were simply an improper form of discovery.\u201d We disagree.\nThe subpoenaed documents were not offered into evidence during the trial because the trial court determined in apre trial, in camera hearing that they could not be admitted into evidence. This fact was already established by the time the trial began and has no bearing on whether the subpoenas were issued for purposes of engaging in an improper fishing expedition. Indeed, as Plaintiff notes in his brief, his attorneys were never given an opportunity to inspect the subpoenaed documents prior to their' production. They were sealed, sent directly to the courthouse, and ultimately inspected by the trial court, which determined that some of the documents should be produced to Plaintiffs counsel for use during the trial, and some should not. Plaintiff was never allowed to fish through the documents to gather evidence and, thus, was not engaging in discovery. Moreover, in light of our opinion in Nicholson I, we believe the trial court\u2019s decision that some of the requested records were sufficiently relevant to require production to Plaintiff, but not so relevant as to be admitted as substantive evidence, was neither arbitrary nor manifestly unsupported by reason. See 2011 WL 3570122 at *8 (\u201cIn view of the potential relevance of the information contained in the disputed records, we are unable to conclude that the trial court abused its discretion by ordering Defendant to produce the requested materials in the interest of justice.\u201d). Accordingly, Defendant\u2019s argument is overruled.\nii. HIPAA\nIn the alternative, Defendant contends that Plaintiff\u2019s subpoenas duces tecum violated HIPAA because they were not accompanied by a court order showing that \u201creasonable efforts have been made to ensure that [Defendant was] ... given notice of the request and an opportunity to object or that efforts have been made to obtain a protective order prohibiting the use of the records for any use other than the proceeding,\u201d citing 45 C.F.R. \u00a7 164.512(e)(l)(ii). Defendant contends that the alleged violation was prejudicial because her objections would have been heard prior to the issuance of the subpoenas \u201c[h]ad . . . Plaintiff[] sought the order [as] required by HIPAA.\u201d Therefore, Defendant alleges, \u201c[t]he trial judge . .. [denied] defense counsel any opportunity to review [the subpoenaed documents] and assert appropriate objections prior to their production.\u201d We are unpersuaded.\nSection 164.512 of Subchapter C of Title 45, Subtitle A, of the Code of Federal Regulations provides in pertinent part that, under HIPAA:\nA covered entity may use or disclose protected health information without the written authorization of the individual ... or the opportunity for the individual to agree or object. . . subject to the applicable requirements of this section....\n(e) Standard: Disclosures for judicial and administrative proceedings \u2014 (1) Permitted disclosures. A covered entity may disclose protected health information in the course of any judicial or administrative proceeding:\n(ii) In response to a subpoena, discovery request, or other lawful process, that is not accompanied by an order of a court or administrative tribunal, if:\n(A) The covered entity receives satisfactory assurance ... from the party seeking the information that reasonable efforts have been made by such party to ensure that the individual who is the subject of the protected health information that has been requested has been given notice of the request; or\n(B) The covered entity receives satisfactory assurance... from the party seeking the information that reasonable efforts have been made by such party to secure a qualified protective order....\n45 C.F.R. 164.512 (2013). Section 160.102 of Subchapter C also states that:\n(a) Except as otherwise provided, the standards, requirements, and implementation specifications adopted under this subchapter apply to the following entities:\n(1) A health plan.\n(2) A health care clearinghouse.\n(3) A health care provider who transmits any health information in electronic form in connection with a transaction covered by this subchapter.\n45 C.F.R. 160.102 (2013).\nTo the extent Plaintiff\u2019s subpoenas did not comply with the regulations cited above, such violation should be charged against the covered entities that provided those records, not against Plaintiff. Section 160.102 clearly states that Subchapter C of HIPAA applies to health plans, health care clearinghouses, and certain health care providers. Plaintiff is none of these things. Assuming without deciding that the subpoenaed entities in this case qualify as \u201ccovered entities,\u201d it was their obligation to refrain from producing the requested documentation when they received Plaintiff\u2019s subpoenas if they determined that the subpoenas did not comply with HIPAA. Because Plaintiff is not a \u201ccovered entity\u201d -within the meaning of section 160.512, he cannot be held liable under Subchapter C of HIPAA. for the subpoenaed entities\u2019 production of the requested documents. Therefore, the requirements cited by Defendant have no bearing on whether Plaintiff\u2019s subpoenas duces tecum were properly issued. Accordingly, Defendant\u2019s argument is overruled.\nD. Providing Defendant\u2019s Records to Plaintiff\nDefendant next argues that the trial court erred by providing Plaintiff with medical and pharmaceutical records that did not comply with its own order. Specifically, Defendant alleges that the trial court provided Plaintiff with records created after 28 June 2005, despite its explicit statement at trial that documents generated after that date should not be produced to Plaintiff. In response, Plaintiff asserts that \u201cthe documents provided to this Court ... [by Defendant] were not properly preserved for appeal\u201d because Defendant did not take the opportunity to preserve a copy of the documents at trial and the documents merely constitute those documents that Defendant \u201cbelieves may have been provided to Plaintiffs trial counsel at trial.\u201d (Emphasis in original). Alternatively, Plaintiff asserts that the documents provided to counsel caused Defendant no harm because Plaintiff already knew about her use of pain medications. We find no error.\nRule 11(c) of the North Carolina Rules of Appellate Procedure provides that, when settling the record on appeal,\n[i]f any party to the appeal contends that materials proposed for inclusion in the record or for filing ... were not filed, served, submitted for consideration, admitted, or made the subject of an offer of proof, or that a statement or narration permitted by these rules is not factually accurate, then that party, within ten days after expiration of the time within which the appellee last served with the appellant\u2019s proposed record on appeal might have served amendments, objections, or a proposed alternative record on appeal, may in writing request that the judge from whose judgment, order, or other determination appeal was taken settle the record on appeal. A copy of the request, endorsed with a certificate showing service on the judge, shall be filed forthwith in the office of the clerk of the superior court and served upon all other parties. Each party shall promptly provide to the judge a reference copy of the record items, amendments, or objections served by that party in the case.\nThe judge shall send written notice to counsel for all parties setting a place and time for a hearing to settle the record on appeal. The hearing shall be held not later than fifteen days after service of the request for hearing upon the judge. The judge shall settle the record on appeal by order entered not more than twenty days after service of the request for hearing upon the judge....\nIf any appellee timely serves amendments, objections, or a proposed alternative record on appeal, and no judicial settlement of the record is timely sought, the record is deemed settled at the expiration of the ten day period within which any party could have requested judicial settlement of the record on appeal under this Rule 11(c).\nN.C.R. App. P. 11(c).\nCiting Rule 11(c), Defendant has provided this Court with a number of documents that she believes were produced to Plaintiff during the trial. In an attached letter to the trial judge, Defendant requested confirmation that the documents submitted to this Court represent those produced to Plaintiff. Plaintiff\u2019s attorneys were provided with a copy of the letter, but not with a copy of the proposed documents. There is no indication in the record before this Court that the accuracy of the documents provided by Defendant was ever verified by the trial judge or that further action was taken to settle the record on appeal with regard to this question.\nAs described above, Rule 11(c) operates to settle the record on appeal in accordance with the objections of the appellee when no judicial settlement is timely sought at the expiration of the requisite time period. Id.) see also Johnson v. Nash Comm. Coll., 203 N.C. App. 572, 692 S.E.2d 890 (2010) (unpublished opinion), available at 2010 WL 1542534 (\u201cWhen the [appellee] objected to [the appellant\u2019s] proposed record on appeal. . . , [the appellant] filed a statement that he was not requesting judicial settlement. The record on appeal was, therefore, deemed settled in accordance with the [appellee\u2019s] objections by operation of Rule 11(c) ... .\u201d). Rule.11(c) makes no provision, however, for the requirements for settling the record on appeal when the appellant is admittedly unsure about the nature of the proposed supplement to the record, requests judicial settlement, does not serve the proposed documentation on the appellee, and judicial settlement never occurs. In that circumstance, we must default to the broader requirements of Rule 9(a).\nRule 9(a) states in pertinent part that \u201creview is solely upon the record on appeal.\u201d N.C.R. App. R 9(a).\nThis Court has held that where certain exhibits presented to the trial court were not included in the record on appeal, those exhibits could not be considered on review to this Court. To raise the issue of the sufficiency of the evidence to support that finding on appeal, [the] defendant must preserve the record for appeal. Where the record is silent[,] we will presume the trial court acted correctly.\nState v. Reaves, 132 N.C. App. 615, 619-20, 513 S.E.2d 562, 565 (citations and internal quotation marks omitted), disc. review denied, 350 N.C. 846, 539 S.E.2d 4 (1999). When the record is \u201cnot completely silent,\u201d but fails to include the information necessary for appellate review, \u201cwe presume the correctness of the trial court\u2019s decision.\u201d See id. at 620, 513 S.E.2d at 565 (presuming the correctness of the trial court\u2019s decision to order the defendant to produce a report, which the defendant argued was protected work product, when the record on appeal included references to the content of the report, but did not include the report itself).\nRegarding the documents produced to Plaintiff in this case, the trial court ruled as follows:\nTHE COURT:....\nI have reviewed the medical records and information of [Defendant] that was provided pursuant to the subpoenas. And after reviewing that information, I find that it\u2019s in the interest of justice and outweighs the privilege for certain information to be turned over to Plaintiff\u2019s counsel. The information is contained in this material that I have in my hand.\nFor the record, basically, what I have done is delineated information concerning [Defendant] that may have some bearing on issues in this case using the date of June 28, 2005, as the cutoff date. I am withholding and upholding the privilege with regard to any medical information that has to do with dates and times after June 28, 2005.\nOn appeal, we have no way to ascertain whether the documents submitted in Defendant\u2019s supplement to the record are the same documents that the trial court turned over to Plaintiff at trial. Defendant avers that she believes they are, but there is no evidence that the trial court ever settled this matter. Therefore, we must presume that the trial court correctly produced documents to Plaintiff in accordance with the court\u2019s order. See id. at 619-20, 513 S.E.2d at 565. Accordingly, Defendant\u2019s argument is overruled.\nE. Plaintiff\u2019s Questions Regarding Defendant\u2019s Records\nDefendant next argues that the trial court erred in allowing counsel for Plaintiff to question her (1) concerning the information contained in Defendant\u2019s medical records that the trial court ordered produced to counsel for Plaintiff, as well as the sealed affidavits provided by Defendant, and (2) with regard to Defendant\u2019s alleged \u201clegal duty\u201d to advise the decedent that Defendant was taking medications at the time of the operation. Defendant contends that certain of those questions were irrelevant, highly prejudicial, improper without the support of medical expert testimony, and inadmissible hearsay. We find no error.\ni. Legal Background and Standards of Review\nRule 401 of the North Carolina Rules of Evidence establishes that evidence is \u201crelevant\u201d if it has \u201cany tendency to make the existence of any fact that is of consequence to the determination of the action more probable or less probable than it would be without the evidence.\u201d N.C. Gen. Stat. \u00a7 8C-1, Rule 401 (2013). Afi relevant evidence is admissible unless otherwise provided by rule or law. N.C. Gen. Stat. \u00a7 8C-1, Rule 402. \u201cEvidence which is not relevant is not admissible.\u201d Id. \u201cAlthough the trial court\u2019s rulings on relevancy technically are not discretionary and therefore are not reviewed under the abuse of discretion standard .. ., such rulings are given great deference on appeal.\u201d Dunn v. Custer, 162 N.C. App. 259, 266, 591 S.E.2d 11, 17 (2004) (citation and internal quotation marks omitted).\nRule 403 of the North Carolina Rules of Evidence provides that relevant evidence may nonetheless \u201cbe excluded if its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading of the jury, or by considerations of undue delay, waste of time, or needles presentation of cumulative evidence.\u201d N.C. Gen. Stat. \u00a7 8C-1, Rule 403. We review a trial court\u2019s decision regarding whether to exclude evidence under Rule 403 for abuse of discretion. Wolgin v. Wolgin, 217 N.C. App. 278, 283, 719 S.E.2d 196, 200 (2011).\nRule 611 of the North Carolina Rules of Evidence provides the following direction with regard to the manner and order of questioning and the presentation of evidence at trial:\n(a) Control by court. \u2014 The court shall exercise reasonable control ... so as to (1) make the interrogation and presentation effective for ascertainment of the truth, (2) avoid needless consumption of time, and (3) protect witnesses from harassment or undue embarrassment.\n(b) Scope of cross-examination. \u2014 A witness may be cross-examined on any matter relevant to any issue in the case, including credibility.\n(c) Leading questions. \u2014 Leading questions should not be used on direct examination of a witness except as may be necessary to develop his testimony. Ordinarily leading questions should be permitted on cross-examination. When a party calls a hostile witness, an adverse party, or a witness identified with an adverse party, interrogation may be by leading questions.\nN.C. Gen. Stat. \u00a7 8C-1, Rule 611. This Court has determined that the trial court\u2019s rulings regarding questioning by an attorney on direct examination and cross-examination under Rule 611 is reviewed for abuse of discretion. State v. Thompson, 22 N.C. App. 178, 180, 205 S.E.2d 772, 774 (1974) (holding that the trial court did not abuse its discretion in allowing the prosecutor to ask his own witness leading questions relating to matters not giving rise to the charge); Williams v. CSX Transp., Inc., 176 N.C. App. 330, 336, 626 S.E.2d 716, 723 (2006) (\u201cThe trial court is vested with broad discretion in controlling the scope of cross-examination[,] and a ruling by the trial court should not be disturbed absent an abuse of discretion and a showing that the ruling was so arbitrary that it could not have been the result of a reasoned decision.\u201d).\nWe also note that, when considering alleged evidentiary errors in civil cases, \u201c[n]o error ... is ground for granting a new trial or for setting aside a verdict or for vacating, modifying, or otherwise disturbing a judgment or order, unless refusal to take such action amounts to the denial of a substantial right.\u201d N.C. Gen. Stat. \u00a7 1A-1, Rule 61 (2013). An error affects a substantial right of the appellant when it prejudiced her and, thus, when \u201cit is likely that a different result would have ensued had the error not been committed.\u201d In re Chasse, 116 N.C. App. 52, 60, 446 S.E.2d 855, 859 (1994) (citation omitted).\nii. On the Issue of Impairment During Surgery\nDefendant argues that the trial court erred in allowing counsel for Plaintiff to question her about information contained in Defendant\u2019s medical and pharmaceutical records as well as the sealed affidavits she provided to the trial court in 2010 because such information was not relevant and was \u201chighly prejudicial\u201d in nature. Specifically, Defendant contends that this line of questioning \u201cinevitably tainted the entire trial\u201d and that Plaintiff exceeded the bounds of permissible examination by asking about side effects discussed in affidavits submitted by Defendant\u2019s health care providers in 2010. Lastly, Defendant asserts that the trial court erred by permitting this testimony because a party must present \u201cmedical expert testimony\u201d whenever cross-examining another party regarding \u201cthe potential side effects of medications being taken by that party.\u201d We are unpersuaded.\nAs a preliminary matter, we note that Defendant was called and questioned by counsel for Plaintiff as a part of Plaintiffs case in chief. The questioning Defendant refers to as impermissible occurred entirely on direct and redirect examination of Defendant, an adverse party. Therefore, pursuant to Rule 611, leading questions were permissible. N.C. Gen. Stat. \u00a7 8C-1, Rule 611(c). In addition, it is helpful to understand that this case was tried under a theory of negligence as established by the doctrine of res ipsa loquitur.\nUniformly, in this and other courts, res ipsa loquitur has been applied to instances where foreign bodies, such as sponges..., are introduced into the patient\u2019s body during surgical operations and left there.\n. . . [T]he well-settled law in this jurisdiction is and has been that a surgeon is under a duty to remove all harmful and unnecessary foreign objects at the completion of the operation. Thus the presence of a foreign object raises an inference of a lack of due care. When a surgeon relies upon nurses or other attendants for accuracy in the removal of sponges from the body of his patient, he does so at his peril....\n. . . The application of res ipsa loquitur allows the issue of whether [the] defendant has complied with the statutory standard to be submitted to the jury for its determination. Although the application of the doctrine requires the submission of the issue to the jury, the burden remains upon the plaintiff to satisfy the jury that the defendant has failed to comply with the statutory standard. [The defendant's evidence that he complied with the statutory standard does not remove the case from the jury\u2019s determination. As the trier of the facts, the jury remains free to accept or reject the testimony of [the] defendant\u2019s witnesses.\nTice v. Hall, 310 N.C. 589, 592-94, 313 S.E.2d 565, 567-68 (1984) (citations and internal quotation marks omitted; emphasis and certain italics added). Therefore, the testimony of Defendant, elicited on direct examination by Plaintiff\u2019s counsel, is relevant and admissible to the extent that it makes the existence of any fact that is of consequence to the jury\u2019s determination more or less likely to be true and is not otherwise inadmissible.\nOn direct examination of Defendant, counsel for Plaintiff questioned her extensively about whether she had taken narcotic and non-narcotic pain medications leading up to and during the surgery. Defendant responded that she was taking narcotic pain medications leading up to the surgery, but that she only took non-narcotic pain medications during the surgery. Defendant also stated that side effects from the narcotic pain medications were not present at the time of the surgery.\nPlaintiff questioned Defendant further about information contained in sealed affidavits that Defendant provided to the trial court in 2010. Counsel for Plaintiff did not reference the affiants or their affidavits, but used the information contained therein to question Defendant about side effects that she experienced after the surgery when taking the same narcotic medications that she admitted to taking before the surgery. Though Defendant acknowledged that she took the same narcotic medications before and after the surgery, she only admitted to experiencing side effects after the surgery.\nThe questions asked by counsel for Plaintiff sought to elicit and did elicit relevant testimony. Whether Defendant was using pain medication in the period of time leading up to and during the surgery addresses whether she may have breached her duty of care during the surgery. As Defendant admitted, the side effects from some of her medications \u201cmight\u201d have had an effect on a doctor\u2019s capabilities. Moreover, the extent to which' those same medications may have caused Defendant to experience confusion and impairment of cognitive function at a later point in time is relevant to whether those admittedly appreciable side effects occurred prior to and during the surgery. Defendant\u2019s responses to Plaintiff\u2019s questions dealt with these issues. As a result, her testimony had some tendency to make consequential facts more or less likely to be true and, therefore, was relevant. In addition, given our opinion in Nicholson I, which concluded that certain of Defendant\u2019s medical records could be relevant, and considering Plaintiff\u2019s burden of establishing not only that the sponge was left in the decedent\u2019s body, but of satisfying the jury that Defendant failed to comply with her duty of care in allowing the sponge to be left in the decedent\u2019s body, we conclude that it was not an abuse of discretion for the trial court to decline to exclude this line of questioning under Rule 403. Accordingly, Defendant\u2019s argument is overruled to the extent that it relates to relevance and prejudice.\nDefendant argues further, however, that Plaintiff\u2019s questions regarding the side effects of the medications were inappropriate because (1) the questions were not supported by expert testimony as to the side effects, and (2) Plaintiff\u2019s reference to the side effects as coming from a \u201cprescription warning that I obtained from a local pharmacist\u201d was inadmissible hearsay. Again, we are unpersuaded.\nDefendant\u2019s argument is based on the following questioning of Defendant by counsel for Plaintiff:\nQ. You said earlier as far as the Cymbalta[,] that you were taking that at the time you performed surgery on [the decedent], correct?\nA. I believe so.\nQ. Again, this is another prescription warning that I obtained from a local pharmacist.\nA. Uh-huh.\nQ. I want to read this and ask if you are familiar with this warning as it relates to the medication especially with you being a physician.\nA. Uh-huh.\nQ. This drug . . . may . . . make you dizzy or drowsy. Do not drive, use machinery, or do any activity that requires alertness.\nDo you agree or disagree with the warning that goes with that medication?\nA. I agree. If you have \u2014 if you\u2019re taking this medication and you have any dizziness or drowsiness as a side effect of that medication, then you should refrain from driving. But not everybody reacts to the medications the same way, and not everybody has the same side effects. But certainly, if you have those side effects, you should warn \u2014 you should heed those warnings. I do not have those side effects.\nQ. Well, the warning says that the medication can affect your alertness. Now, number one, do you need to be alert in a long and complicated surgical procedure?\nA. Yes, you do.\nQ. In your opinion \u2014 even though you are aware of these warnings you take the medication. In your opinion, does it affect your alertness?\nA. The Cymbalta?\nQ. Yes.\nA. No.\nQ. Has it ever affected your alertness?\nA. No.\nQ. Has it ever made you drowsy?\nA. No.\nQ. So you\u2019ve not had any problem with the warnings that they give?\nA. Correct.\nQ. That doesn\u2019t mean that you can\u2019t have those problems. I mean, certainly, you can; is that correct?\nA. Usually, if you\u2019re going to have those side effects, you experience them early on when you\u2019re given the prescription.\nDefendant first argues that the above questioning was improper because it was not supported by expert testimony as required by Smith v. Axelbank, N.C. App. _, 730 S.E.2d 840 (2012) and Anderson v. Assimos, 146 N.C. App. 339, 553 S.E.2d 63 (2001), vacated in part and appeal dismissed on other grounds, 356 N.C. 415, 572 S.E.2d 101 (2002). We disagree.\nThe plaintiff in Axelbanlc, after experiencing deleterious side effects from a drug prescribed by her doctor, brought suit for medical malpractice or, alternatively, for negligence under a theory of res ipsa loquitur. _ N.C. App. at _, 730 S.E.2d at 842. Her complaint did not include certification by a medical expert pursuant to Rule 9(j) of the North Carolina Rules of Civil Procedure. Id.\nRule 9(j) states that a complaint alleging medical malpractice shall be dismissed unless a plaintiff asserts in her complaint that her medical care has been reviewed by a person who is willing to testify that the medical care did not comply with the applicable standard of care, and that this person must be reasonably expected to qualify as an expert witness under . . . Rule 702 or must be a person the plaintiff will seek to have qualified as an expert.... Alternatively, a plaintiff must allege facts establishing negligence under the doctrine of res ipsa loquitur.\nId. On appeal, we held that the trial court properly dismissed the plaintiff\u2019s complaint for failure to state a claim because she did not include certification under Rule 9(j) and she failed to allege facts establishing negligence under the doctrine of res ipsa loquitur. _ N.C. App. at _, 730 S.E.2d at 842-43 (\u201cHere, a layperson would not be able to determine that [the] plaintiff\u2019s injury was caused by [the drug] or be able to determine that [the doctor] was negligent in prescribing the medication to [the] plaintiff without the benefit of expert testimony.\u201d).\nIn Assimos, the plaintiff brought suit against her doctor for medical malpractice under a theory of res ipsa loquitur due to side effects she experienced as a result of the doctor\u2019s alleged \u201cfailure to adequatelyf,] properly[,] and fully inform her of the risks known to be associated with the administration of [a] drug . . . given to [her] during her treatment.\u201d 146 N.C. App. at 340, 553 S.E.2d at 65. The plaintiff\u2019s complaint did not include a Rule 9(j) certification. Id. at 342, 553 S.E.2d at 66. Relevant to the issues we are considering in this case, we held that the trial court did not err in dismissing the plaintiff\u2019s medical malpractice action for failure to state a claim of negligence under the doctrine of res ipsa loquitur. Id. at 343, 553 S.E.2d at 67. We noted that the side effects of the drug were not within the jury\u2019s common knowledge, and, therefore, expert testimony was necessary to establish the relevant standard of care. Id.\nAxelbank and Assimos address a plaintiff\u2019s obligation to include medical expert certification with her complaint when the doctrine of res ipsa loquitur does not apply to establish an inference of negligence. Here, however, the. parties are not at the pleading stage, and the applicability of the doctrine of res ipsa loquitur is not at issue. Our Supreme Court has already made clear that there is a defined standard of care in cases involving foreign objects left in the body and that the legal doctrine of res ipsa loquitur is applicable on the issue of breach of that standard of care. Tice, 310 N.C. at 592-94, 313 S.E.2d at 567-68. The questions regarding the side effects from Defendant\u2019s medications were asked to confirm the inference that Defendant was negligent while performing the surgery. Indeed, when the standard of care is established pursuant to the doctrine of res ipsa loquitur, as here, our opinions in Axelbank and Assimos indicate that expert testimony is not necessary to establish the relevant standard of care. Accordingly, Defendant\u2019s argument is overruled as it relates to whether expert testimony was required to establish the side effects of the drugs taken by Defendant.\nDefendant also argues that the challenged questioning was improper because Plaintiff\u2019s reference to the warning Plaintiff\u2019s counsel obtained from the local pharmacist constitutes inadmissible hearsay with regard to the side effects of the medications she was taking. We disagree.\nHearsay is \u201ca statement, other than one made by the declarant while testifying at the trial or hearing, offered in evidence to prove the truth of the matter asserted.\u201d N.C. Gen. Stat. \u00a7 8C-1, Rule 801. Subject to a number of well-defined exceptions, hearsay is inadmissible. N.C. Gen. Stat. \u00a7 8C-1, Rule 802. In this case, Plaintiff\u2019s questions were not asked to establish the truth of the warnings obtained from the pharmacist nor to prove the particular side effects of the medications Defendant was taking. Rather, they were asked to elicit Defendant\u2019s testimony regarding the extent to which her medications might have affected her judgment during the surgery. Therefore, this line of questions did not constitute inadmissible hearsay. Accordingly, Defendant\u2019s argument is overruled.\nHi. On the Issue of Defendant\u2019s Alleged Duty to Advise\nDefendant next argues that the trial court erred by allowing counsel for Plaintiff to ask Defendant whether she had a \u201clegal duty\u201d to advise the decedent regarding Defendant\u2019s use of medications prior to the surgery. Citing this Court\u2019s opinion in Atkins v. Mortenson, 183 N.C. App. 625, 644 S.E.2d 625 (2007), Defendant contends that such questioning should have been supported by expert testimony establishing the relevant standard of care. We disagree.\nIn Atkins, we affirmed the trial court\u2019s award of summary judgment to the defendant doctor in the plaintiff\u2019s medical malpractice action for failure of the doctor to recognize symptoms of illness and recommend appropriate treatment. Id. at 630, 644 S.E.2d at 628. In so holding we pointed out that, in medical malpractice cases, the standard of care \u201cgenerally involves specialized knowledge\u201d and, therefore, expert testimony is necessary to show a breach of the standard. Id. at 630, 644 S.E.2d at 629. Atkins does not, however, stand for the proposition that an attorney is obligated in a res ipsa loquitur case, in order to support direct examination of the defendant physician, to offer expert testimony regarding the standard of care for that physician\u2019s disclosure to her patient of information regarding the physician\u2019s use of medications. Rather, it addresses whether the plaintiff in that particular case was able to forecast sufficient evidence to withstand summary judgment.\nHere, unlike Atkins, an inference of a lack of due care was raised because a foreign object \u2014 the sponge \u2014 was left in the decedent\u2019s body. See Tice, 310 N.C. at 594, 313 S.E.2d at 568. Therefore, as discussed above, expert testimony was not necessary as \u201cthe presence of a foreign object raises an inference of a lack of due care\u201d sufficient to submit the case to the jury for determination of whether Defendant breached her duty. See id. at 593, 313 S.E.2d at 567. Furthermore, the cited portions of the transcript do not indicate that counsel for Plaintiff ever used the phrase \u201clegal duty\u201d when examining Defendant. Rather, counsel asked Defendant, for example, whether she felt \u201cit necessary to tell any of [her] patients or to inform any of [her] patients [about her use of medications] so they [would] have an opportunity to decide for themselves whether or not they want[ed her] doing the surgery.\u201d Under the circumstances of this case, Atkins is unavailing. Accordingly, Defendant\u2019s argument is overruled.\nII. Evidence of the Decedent\u2019s Medical Bills\nDefendant also argues that the trial court erred in allowing Plaintiff to present evidence of the decedent\u2019s medical bills \u2014 totaling $1,219,660.36 \u2014 because approximately $860,000 of that total was \u201cwritten off\u2019 by the Cumberland County Hospital System and never paid by any party. \u201cBy allowing Plaintiff[] to contend [that the decedent\u2019s] medical expenses totaled [over $1,000,000.00], rather than the true amount her estate was obligated to pay,\u201d Defendant argues, \u201cthe court [erroneously] permitted Plaintiff[] to substantially inflate the value of [his] claim in the minds of the jurors.\u201d Alternatively, Defendant contends that, if the introduction of these bills was proper, she should have been allowed to introduce evidence of the fact that a substantial portion of the bills was written off by the hospital. Plaintiff responds that the medical bills were admissible, but the write-offs were not, pursuant to the collateral source rule. We conclude that the collateral source rule is not applicable here and, as a result, hold that the trial court erred by failing to admit evidence of the hospital system\u2019s write-offs.\nFor cases filed before 1 October 2011, the admissibility of evidence of medical expenses is governed by the common law collateral source rule. According to that rule,\nevidence of a plaintiffs receipt of benefits for his or her injury or disability from sources collateral to [the] defendant generally is not admissible. These benefits include payments from both public and private sources. This rule gives force to the public policy which prohibits a tortfea-sor from reducing [its] own liability for damages by the amount of compensation the injured party receives from \u00e1n independent source. Evidence of collateral source payments violate the rule whether admitted in the defendant\u2019s case-in-chief or on cross [-] examination of the plaintiff\u2019s witness. The erroneous admission of collateral source evidence often must result in a new trial.\nBadgett v. Davis, 104 N.C. App. 760, 763, 411 S.E.2d 200, 202 (1991) (citations, internal quotation marks, and brackets omitted), disc. review denied, 331 N.C. 284, 417 S.E.2d 248 (1992).\nThe purpose of the collateral source rule is to exclude evidence of payments made to the plaintiff by sources other than the defendant when the evidence is offered for the purpose of diminishing the defendant tortfeasor\u2019s liability to the injured plaintiff.... The rule is punitive in naturef] and is intended to prevent the tortfeasor from a windfall when a portion of the plaintiffs damages have been paid by a collateral source.\nWilson v. Burch Farms, Inc., 176 N.C. App. 629, 638-39, 627 S.E.2d 249, 257 (2006) (citations, internal quotation marks, and certain brackets omitted). In the context of medical malpractice, our Supreme Court has indicated that a source collateral to the defendant can include \u201ca beneficial society, the plaintiff\u2019s family or employer, or an insurance company.\u201d Cates v. Wilson, 321 N.C. 1, 5, 361 S.E.2d 734, 737 (1987) (citation and internal quotation marks omitted). When payment comes from such a source, \u201can injured plaintiff is entitled to recovery for reasonable medical, hospital, or nursing services rendered [her], whether these are rendered ... gratuitously or paid for by [her] employer.\u201d Id. (citations, internal quotation marks, and ellipsis omitted). \u201cIn summary, the collateral source rule excludes evidence of payments made to the plaintiff by sources other than the defendant when this evidence is offered for the purpose of diminishing the defendant tortfeasor\u2019s liability to the injured plaintiff.\u201d Badgett, 104 N.C. App. at 764, 411 S.E.2d at 203.\nPlaintiff relies on our opinion in Badgett to support his argument that the collateral source rule is applicable in this case. We disagree. In Badgett, the plaintiff sued his doctor in negligence for knowingly prescribing a drug to which the plaintiff was allergic. Id. at 761, 411 S.E.2d at 201. The plaintiff became ill and was treated at a hospital. Id. At trial, the court admitted evidence of the plaintiffs total hospital and doctor\u2019s bills, evidence that a portion of the bills had been paid by Medicare, and evidence that, \u201caccording to the hospital\u2019s contract with Medicare, the unpaid balance was written off and could not thereafter be collected from the plaintiff.\u201d Id. at 762, 411 S.E.2d at 201-02. On appeal, we held that the admission of the Medicare payments and contractual write-offs, which we referred to as \u201cgratuitous government benefits,\u201d was prejudicial and in violation of the rule. Id. at 764, 411 S.E.2d at 203.\nIn this case, unlike Badgett, the hospital bills were not paid by an independent third party. There is no evidence in the record that Medicare, Medicaid, some other insurance company, a beneficial society, Plaintiff\u2019s family, or Plaintiff\u2019s employer paid a portion of the decedent\u2019s medical bills and/or procured the write-offs. Rather, the bills appear to have been forgiven by the hospital of its own accord as a business loss. In an affidavit obtained by Defendant and not admitted into evidence, the hospital\u2019s custodian of records characterized the unpaid medical bills as \u201c \u2018[r]isk [m]anagement\u2019 write-offs,\u201d which \u201cwere not paid by any source (including the patient or insurance company).\u201d In addition, the evidence in the record indicates that the hospital was also a defendant in a separate suit brought by Plaintiff arising out of the same facts. The hospital ultimately settled that lawsuit, and the amount of that settlement was applied to reduce Plaintiff\u2019s verdict in this case.\nWe can find no cases in this jurisdiction directly addressing the situation in which a defendant doctor in a medical malpractice case attempts to introduce evidence that a hospital, which has settled with the plaintiff in a separate action arising from the same facts, reduced the plaintiffs medical bills pursuant to \u201crisk management\u201d practices and not pursuant to a contract with a government entity like Medicare or with some other insurance company. Moreover, we have been unable to find any cases from other jurisdictions dealing with this particular, narrow factual scenario. Nevertheless, a number of courts have held, like Badgett, that the costs written off by a contract between a non-tortfeasor hospital and a government-funded assistance program like Medicare are not admissible under the collateral source rule. See, e.g., Pipkins v. TA Operating Corp., 466 F. Supp. 2d 1255 (D.N.M. 2006) (holding thatthe collateral source rule applied to contractual Medicare write-offs made by the injured plaintiff\u2019s health care provider). When the hospital is a separate tortfeasor and writes off medical expenses pursuant to an agreement with a third party, however, other courts have concluded that the collateral source rule is not applicable. See, e.g., Rose v. Via Christi Health Sys., Inc./St. Francis Campus, 279 Kan. 523, 529, 113 P.3d 241, 246 (2005) (\u201cUnder the facts of this case, the source of the $154,000 of medical services not reimbursed by Medicare was [the hospital], the tortfeasor, not an independent source.\u201d); Williamson v. St. Francis Med. Ctr., Inc., 559 So.2d 929, 934 (La. App. 2 Cir. 1990) (holding that the collateral source rule did not apply to allow the plaintiffs to recover medical bills cancelled by the hospital pursuant to an agreement with Medicare because \u201cthe hospital, to whom the bill was owed, was also a tort[]feasor\u201d and, therefore, the benefit to the plaintiffs resulted from the hospital\u2019s own \u201cprocuration or contribution\u201d).\nHere, the record does not indicate that the decedent\u2019s medical bills were written off pursuant to an agreement with an independent party. Rather, they were discharged by the hospital, also an alleged tortfeasor, which ultimately settled with Plaintiff. Unlike Badgett, the paying party in this case was not independent and not collateral to this matter. The payment was made by a separate, alleged tortfeasor and not pursuant to an agreement with a separate, collateral source. Therefore, we hold that the collateral source rule is not applicable to bar evidence of the hospital bills that were written off by the Cumberland County Hospital System. Accordingly, Plaintiff was entitled to introduce evidence of the decedent\u2019s medical bills, but Defendant was also entitled to introduce evidence that some of those bills were written off by the hospital. As a result, we hold that the trial court erred in denying Defendant\u2019s motion to introduce evidence of the write-offs and, therefore, abused its discretion in denying her Rule 60(b) motion for a new trial as it relates to the issue of damages. See generally Sink v. Easter, 288 N.C. 183, 198, 217 S.E.2d 532, 541 (1975) (\u201c[A] motion for relief under Rule 60(b) is addressed to the sound discretion of the trial court[,] and appellate review is limited to determining whether the court abused its discretion.\u201d).\nIII. Instruction on Permanent Injury\nThough we have already determined that Defendant is entitled to a new trial on damages, we address Defendant\u2019s argument that the trial court erred by instructing the jury on \u201cpermanent injury\u201d in the interests of judicial economy and for the purpose of avoiding further appeal regarding the propriety of the trial court\u2019s jury instructions on damages. Defendant contends that the trial court erred by instructing on permanent injury because the purpose of the permanent injury jury instruction \u201cis to guide the jury in how it should determine the value of future damages [to the injured party] at the time of trial\u201d and the decedent was not alive at that time. (Emphasis added). In response, Plaintiff asserts that the instruction was proper because it was \u201cabundantly clear\u201d from the evidence that Plaintiff was only seeking damages for the decedent\u2019s personal injuries and his own loss of consortium, not for the decedent\u2019s life expectancy. We agree with Defendant.\nAs a preliminary matter, we note that Plaintiff brought no action for wrongful death. Therefore, the trial court\u2019s permanent injury instruction was only relevant to Plaintiff\u2019s actions seeking personal injury damages. In that context, the trial court instructed on permanent injury, in near word-for-word compliance with our pattern jury instructions, as follows:\nDamages for personal injury also include fair compensation for permanent injury incurred by the plaintiff as a proximate result of the negligence of the defendant. An injury is permanent when any of its effects continued throughout the plaintiff\u2019s life. These effects may include medical expenses, pain and suffering, scarring and disfigurement, partial loss of use of part of the body incurred or experienced by the plaintiff over her life expectancy.\nOnce again, however, the plaintiff is not entitled to recover twice for the same element of damages; therefore, you should not include any amount you\u2019ve already allowed for medical expenses, pain and suffering, and scarring or disfigurement or partial loss of use of part of the body because of permanent injury.\nLife expectancy is the period of time the plaintiff may reasonably have been expected to live.\nAfter its definition of life expectancy, the trial court moved on to a discussion of negligence. The trial court omitted the following additional language from our pattern jury instructions:\n[The life expectancy tables are in evidence.] [The court has taken judicial notice of the life expectancy tables.] They show that for someone of the plaintiff\u2019s present age, (state present age), his life expectancy is {state expectancy) years.\nIn determining the plaintiffs life expectancy, you will consider not only these tables, but also all other evidence as to his health, his constitution and his habits.\nN.C.P.I. \u2014 Civil 810.14 (June 2012) (emphasis in original).\nBeyond the alternative sentences set off in brackets, our pattern jury instructions do not indicate that the omitted text is optional. Though the charge conference does not disclose the court\u2019s rationale for omitting this text, the likely reason is that the decedent was not alive at the time of trial. It is entirely nonsensical to admit life expectancy tables and thereafter instruct the jury on the decedent\u2019s life expectancy when she is no longer living and no claim for wrongful death is being brought. The omitted language reveals, therefore, that the permanent injury jury instruction, in the context of Plaintiff\u2019s actions for personal injury damages, is not intended to cover past damages. Past damages can be addressed, as they were in this case, by instructions on other forms of damages. The purpose of the permanent injury instruction, however, is to compensate the plaintiff for additional future harm that she is expected to experience because of a permanent injury that she suffered as a proximate result of the defendant\u2019s conduct. See generally David A. Logan & Wayne A. Logan, North Carolina Torts 182 (1996) (\u201cPlaintiffs are 'entitled to recover for the future damages associated with permanent injuries.\u201d) (emphasis added); William S. Haynes, North Carolina Tort Law 907-08 (1989) (\u201cThe term \u2018permanent injuries,\u2019 may be defined as those injuries that are reasonably certain to be followed by permanent impairment to earn money, or producing permanent and irremediable pain. . . . Damages for permanent disability are, therefore, addressed in the elements of damage referred to as loss of future earning capacity or future pain and suffering, as opposed to being recoverable in and of themselves. It logically follows that where permanent injuries exist the proper element of damages into which such injuries fall are a permanent impairment or diminution of the plaintiff\u2019s earning ability or power.\u201d). In light of the fact that the decedent was not alive at the time of the trial and Plaintiff did not bring suit for wrongful death, we conclude that the trial court\u2019s instruction on permanent injury was erroneous.\nConclusion\nFor the foregoing reasons, we find no error in the trial of this case on the negligence issues. We remand for a new trial on damages.\nNO ERROR in part; NEW TRIAL on damages.\nJudges BRYANT and DILLON concur.\n. The expert testified that an abscess is \u201cthe combination of bacteria together with the body\u2019s inflammatory cells.\u201d\n. An adhesion is \u201cscar tissue.\u201d\n. Specifically, the surgeon \u201cwas able to close the inner layer [of the abdominal wound, but] he was not able to close the subcutaneous fat and the skin....\u201d\n. In his brief, Plaintiff appears to refer to these interrogatories as his \u201c[s]econd [s]et of [\u00a1Interrogatories.\u201d The supplemental record indicates, however, that the interrogatories at issue were Plaintiff\u2019s \u201cthird set,\u201d not his second.\n. Plaintiff alleges in his brief that, despite this order, Defendant failed to respond to his \u201c[s]econd\u201d set of interrogatories. As we noted in footnote 5, it is unclear whether Plaintiff is actually referring to his third set of interrogatories, the subject of the litigation at issue on appeal, or whether he is referring to a separate, second set of interrogatories, which are not included in the record on appeal.\n. The record does not indicate that the trial court entered an order staying the proceedings below or that Defendant sought such a stay pending review by this Court. Nonetheless, there is no evidence that Defendant produced the requested discovery. Rather, the parties proceeded toward trial. Following the trial, Plaintiff moved to dismiss the appeal as moot, and this Court granted that motion.\n. On 31 August 2012, Plaintiff also served a subpoena duces tecum on Cape Fear, again seeking production of Defendant\u2019s \u201centire chart.\u201d Cape Fear filed a motion to quash, and the trial court denied that motion on 1 October 2012. Defendant appealed that order to this Court on 30 October 2012, but eventually withdrew that appeal.\n. Counsel for Defendant lodged a continuing objection to this line of questioning at the beginning of Defendant\u2019s testimony.\n. The trial court\u2019s 16 October 2012 judgment does not indicate the name of the other defendants. Other sections of the record on appeal and portions of the trial transcript, however, indicate that the other defendants included the Cumberland County Hospital System, Inc., d/b/a Cape Fear Valley Medical Center.\n. Defendant argues in her brief that the standard of review in this context is de novo. At oral argument, however, counsel for Defendant conceded that the proper standard of review is abuse of discretion.\n. To the extent this paragraph might be read to allow fishing expeditions under certain circumstances, we note this Court\u2019s clarification that such ventures are prohibited in their entirety. State v. Newell, 82 N.C. App. 707, 709, 348 S.E.2d 158, 160 (1986).\n. We offer no opinion as to whether they did.\n. These documents were not included in the record on appeal. Rather, they were submitted to this Court, under seal, pursuant to Rule 11(c) of the North Carolina Rules of Appellate Procedure. Plaintiff was not served with a copy.\n. Johnson is an unpublished opinion and, therefore, has no precedential value. N.C.R. App. P. 30(e). Nevertheless, case law on Rule 11(c) is scant, and our opinion in Johnson provides a helpful example of the practical application of this rule.\n. Defendant was prescribed an increased amount of one of those medications during this time.\n. Counsel for Plaintiff later asked one of Defendant\u2019s expert witnesses whether \u201cthere is ... [a] legal or ethical obligation on the part of the doctor, or in this case a surgeon, to inform [her] patient prior to surgery that the physician is taking pain medication [including narcotics],\u201d but that question is not challenged on appeal.\n. In her brief, Defendant cites Plaintiffs Exhibit 3 for the fact that the medical bills totaled \u201c$1,019,467.11.\u201d The copy of Plaintiffs Exhibit 3 submitted to this Court, however, states that the medical bills actually amounted to $1,219,660.36. Accordingly, we use the latter figure.\n. In 2011, the collateral source rule was abrogated by Rule 414 of the North Carolina Rules of Evidence with regard to evidence of past medical expenses. N.C. Gen. Stat. \u00a7 8C-1, Rule 414. Rule 414 is not applicable in this case, however, because Plaintiff\u2019s action was commenced in 2008, before the effective date of this new rule. See 2011 N.C. Sess. Law 283, sec. 4.2 (stating that Rule 414 applies to actions commenced on or after 1 October 2011).\n. Defendant submitted the affidavit to the trial court as an offer of proof, however.\n. For the reasons discussed in the foregoing sections, we hold that the trial court did not otherwise abuse its discretion in failing to grant Plaintiffs\u2019 motions for remittitur and for a new trial.",
        "type": "majority",
        "author": "STEPHENS, Judge."
      }
    ],
    "attorneys": [
      "Comerford & Britt, L.L.P., by John A. Chilson and Clifford Britt, and Musselwhite, Musselwhite, Branch & Grantham, by James W. Musselwhite, for Plaintiff",
      "Yates McLamb and Weyher, L.L.P., by Dan McLamb and Andrew C. Buckner, for Defendant."
    ],
    "corrections": "",
    "head_matter": "STEPHEN C. NICHOLSON, Individually and as Administrator of the Estate of Geraldine Anne Nicholson, Plaintiff v. ARLEEN KAYE THOM, M.D., Defendant\nNo. COA13-1053\nFiled 16 September 2014\n1. Appeal and Error\u2014mootness\u2014production of medical records\u2014not introduced\u2014used during questioning\nIn a negligence action against a surgeon who had suffered a back and arm injury, defendant\u2019s appeal from a trial court order allowing the production of her medical and pharmaceutical records was not moot even though the subpoenaed documents were never entered into evidence. The result of the production of defendant\u2019s records was the extensive use of those documents during plaintiff\u2019s questioning of defendant, which remained in controversy between the parties.\n2. Appeal and Error\u2014standard of review\u2014use of material protected by physician-patient privilege\u2014abuse of discretion\nIn a negligence action against a surgeon who had suffered a back and arm injury, the standard of review for issues involving the production and use of the surgeon\u2019s medical records was abuse of discretion. The parties did not dispute the protection of the records by the physician-patient privilege, which would have meant de novo review, but contested the trial court\u2019s decisions concerning the production and use of those documents during the questioning of defendant. Challenging a trial court\u2019s decision that the administration of justice requires the disclosure of information protected by the physician-patient privilege requires a showing of abuse of discretion.\n3. Discovery\u2014motion to quash\u2014subpoenas duces tecum\u2014not improper discovery\nSubpoenas duces tecum for the medical records of a surgeon were not issued for an improper fishing expedition where the documents produced were not introduced at trial in a negligence action against the surgeon. The trial court had determined in a pre-trial hearing that the records would not be admitted, plaintiff\u2019s attorneys did not have the opportunity to inspect the documents before the trial\u2019s court\u2019s determination that some should be produced, and the trial court\u2019s decision that some of the requested records were sufficiently relevant to require production to plaintiff but not admission as substantive evidence was neither arbitrary nor manifestly unsupported by reason.\n4. Discovery\u2014subpoenas duces tecum\u2014defendant\u2019s medical records\u2014HIPPA violations\nTo the extent plaintiff\u2019s subpoenas duces tecum for the medical records of a surgeon in a negligence action did not comply with the HIPPA regulations, those violations should be charged against the covered entities that provided those records, not against plaintiff.\n5. Appeal and Error\u2014settlement of record\u2014presumption of correctness\nIn an appeal that involved the discovery of a surgeon\u2019s medical records, the trial corut was presumed to have correctly produced documents to plaintiff where the settlement of the record left no way to determine whether the documents in defendant\u2019s supplement to the record were the same documents that the trial court turned over to plaintiff at trial.\n6. Evidence\u2014medical negligence\u2014physician\u2019s use of pain killers\u2014relevant and not prejudicial\nThe trial court did not abuse its discretion on relevance or prejudice issues in a medical negligence case where it allowed a line of questions about a surgeon\u2019s use of prescription drugs after an injury, with her medical records used as a basis for the questions. Plaintiffs questions elicited relevant testimony concerning defendant surgeon\u2019s use of pain medicines and their side effects.\n7. Medical Malpractice\u2014surgeon\u2019s medications\u2014side effects\u2014 expert testimony\u2014not needed\nExpert testimony was not required in a medical negligence action to establish the side effects of drugs taken by defendant surgeon after an injury and during the general time period when this surgery occurred. A sponge was left in decedent\u2019s abdominal cavity after the surgery; when the standard of care is established pursuant to res ipsa loquitur, as here, expert testimony is not necessary to establish the relevant standard of care.\n8. Evidence\u2014hearsay\u2014information told to counsel by pharmacist\u2014not used to prove the truth of the matter\nIn a negligence action against a surgeon who took medications after an injury, plaintiff\u2019s reference when questioning defendant to information plaintiff\u2019s counsel had obtained from the local pharmacist about side effects did not constitute inadmissible hearsay. Plaintiff\u2019s questions were not asked to establish the truth of the warnings obtained from the pharmacist but to elicit defendant\u2019s testimony regarding the extent to which her medications might have affected her judgment during the surgery.\n9. Medical Malpractice\u2014standard of care\u2014expert testimony\u2014 not required\u2014sponge left inside body\nIn a negligence action against a surgeon, expert testimony about the standard of care was not necessary when plaintiff asked the surgeon whether she had a \u201clegal duty\u201d to advise the decedent regarding defendant\u2019s use of medications prior to the surgery. In this case, an inference of a lack of due care was raised because a sponge was left in the decedent\u2019s body; furthermore, the cited portions of the transcript did not indicate that counsel for plaintiff ever used the phrase \u201clegal duty\u201d when examining defendant.\n10. Evidence\u2014collateral source rule\u2014voluntary forgiveness of debt by hospital\u2014rule not applicable\nThe collateral source rule was not applicable in a medical malpractice action and the trial court erred by failing to admit evidence of the hospital system\u2019s write-offs. The bills were forgiven by the hospital of its own accord as a business loss; the paying party was not independent and not collateral to the matter. It was noted that this action was begun in 2008, before the effective date of N.C.G.S. \u00a7 8C-1, Rule 414, which abrogated the collateral source rule.\n11. Damages and Remedies\u2014instructions\u2014permanent injury\u2014 improper for deceased victim\nIt was noted that the trial court\u2019s instruction on permanent injury in a medical malpractice action was erroneous in light of the fact that the decedent was not alive at the time of the trial and plaintiff (her estate) did not bring suit for wrongful death. The purpose of the permanent injury instruction is to compensate the plaintiff for additional future harm such as impaired earning capacity or pain.\nAppeal by Defendant from Judgment entered 16 October 2012 and Order entered 19 December 2012 by Judge Mary Ann Tally in Robeson County Superior Court. Heard in the Court of Appeals 19 February 2014.\nComerford & Britt, L.L.P., by John A. Chilson and Clifford Britt, and Musselwhite, Musselwhite, Branch & Grantham, by James W. Musselwhite, for Plaintiff\nYates McLamb and Weyher, L.L.P., by Dan McLamb and Andrew C. Buckner, for Defendant.\n. Different counsel represented Defendant at trial."
  },
  "file_name": "0308-01",
  "first_page_order": 316,
  "last_page_order": 348
}
