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NOTICE This opinion is
subject to further editing and modification.
The final version will appear in the bound volume of the official
reports. |
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No. 93-3099
STATE OF WISCONSIN
: IN SUPREME COURT
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Donna L. Johnson, by her Guardian ad Litem, Timothy J.
Adler, Plaintiff-Respondent-Petitioner, v. Dr. Richard Kokemoor, Physicians Insurance Company of
Wisconsin, and Wisconsin Patients Compensation
Fund, Defendants-Appellants-Cross
Petitioners, Sacred Heart Hospital, Wisconsin
Healthcare Liability Plan, Wisconsin Department of Health and Social
Services, and Healthcare Financing Administration, Defendants. |
FILED MAR 20,
1996 Marilyn L. Graves Clerk of Supreme Court Madison, WI |
REVIEW
of a decision of the Court of Appeals. Reversed
and cause remanded.
SHIRLEY S. ABRAHAMSON,
J. This is a review of a published decision of the court of
appeals, Johnson v. Kokemoor, 188 Wis. 2d 202, 525 N.W.2d 71 (Ct.
App. 1994), reversing an order of the circuit court for Chippewa County,
Richard H. Stafford, judge. We reverse
the decision of the court of appeals and remand the cause to the circuit court
for further proceedings on the question of damages.[1]
Donna Johnson (the plaintiff)
brought an action against Dr. Richard Kokemoor (the defendant)[2]
alleging his failure to obtain her informed consent to surgery as required by
Wis. Stat. § 448.30 (1993-94).[3] The jury found that the defendant failed to
adequately inform the plaintiff regarding the risks associated with her
surgery. The jury also found that a
reasonable person in the plaintiff's position would have refused to consent to
surgery by the defendant if she had been fully informed of its attendant risks
and advantages.[4]
The circuit court denied the
defendant's motions to change the answers in the special verdict and, in the
alternative, to order a new trial. In a
split decision, the court of appeals reversed the circuit court's order.
This case presents the issue
of whether the circuit court erred in admitting evidence that the defendant, in
undertaking his duty to obtain the plaintiff's informed consent before
operating to clip an aneurysm, failed (1) to divulge the extent of his experience
in performing this type of operation; (2) to compare the morbidity and
mortality rates[5] for this
type of surgery among experienced surgeons and inexperienced surgeons like
himself; and (3) to refer the plaintiff to a tertiary care center staffed by
physicians more experienced in performing the same surgery.[6] The admissibility of such physician-specific
evidence in a case involving the doctrine of informed consent raises an issue
of first impression in this court and is an issue with which appellate courts
have had little experience.
The court of appeals concluded
that the first two evidentiary matters were admissible but that the third was
not. The court of appeals determined
that evidence about the defendant's failure to refer the plaintiff to more
experienced physicians was not relevant to a claim of failure to obtain the
plaintiff's informed consent. Johnson,
188 Wis. 2d at 223. Furthermore,
the court of appeals held that the circuit court committed prejudicial error in
admitting evidence of the defendant's failure to refer, because such evidence
allowed the jury to conclude that the defendant performed negligently simply
because he was less experienced than other physicians, even though the
defendant's negligence was not at issue in this case. Johnson, 188 Wis. 2d at 224.[7] The court of appeals therefore remanded the
cause to the circuit court for a new trial.[8]
The plaintiff's position is
that the court of appeals erred in directing a new trial. The defendant's position in his
cross-petition is that the circuit court and the court of appeals both erred in
approving the admission of evidence referring to his experience with this type
of surgery and to his and other physicians' morbidity and mortality statistics
in performing this type of surgery.
We conclude that all three
items of evidence were material to the issue of informed consent in this
case. As we stated in Martin v.
Richards, 192 Wis. 2d 156, 174, 531 N.W.2d 70 (1995), "a patient
cannot make an informed, intelligent decision to consent to a physician's
suggested treatment unless the physician discloses what is material to the
patient's decision, i.e., all of the viable alternatives and risks of the
treatment proposed." In this case
information regarding a physician's experience in performing a particular procedure,
a physician's risk statistics as compared with those of other physicians who
perform that procedure, and the availability of other centers and physicians
better able to perform that procedure would have facilitated the plaintiff's
awareness of "all of the viable alternatives" available to her and
thereby aided her exercise of informed consent. We therefore conclude that under the circumstances of this case,
the circuit court did not erroneously exercise its discretion in admitting the
evidence.
I.
We first summarize the facts
giving rise to this review, recognizing that the parties dispute whether
several events occurred, as well as what inferences should be drawn from both
the disputed and the undisputed historical facts.
On the advice of her family
physician, the plaintiff underwent a CT scan to determine the cause of her
headaches. Following the scan, the
family physician referred the plaintiff to the defendant, a neurosurgeon in the
Chippewa Falls area. The defendant
diagnosed an enlarging aneurysm at the rear of the plaintiff's brain and
recommended surgery to clip the aneurysm.[9] The defendant performed the surgery in
October of 1990.
The defendant clipped the
aneurysm, rendering the surgery a technical success. But as a consequence of the surgery, the plaintiff, who had no
neurological impairments prior to surgery, was rendered an incomplete quadriplegic. She remains unable to walk or to control her
bowel and bladder movements.
Furthermore, her vision, speech and upper body coordination are
partially impaired.
At trial, the plaintiff
introduced evidence that the defendant overstated the urgency of her need for
surgery and overstated his experience with performing the particular type of
aneurysm surgery which she required.
According to testimony introduced during the plaintiff's case in chief,
when the plaintiff questioned the defendant regarding his experience, he
replied that he had performed the surgery she required "several"
times; asked what he meant by "several," the defendant said
"dozens" and "lots of times."
In fact, however, the
defendant had relatively limited experience with aneurysm surgery. He had performed thirty aneurysm surgeries
during residency, but all of them involved anterior circulation aneurysms. According to the plaintiff's experts,
operations performed to clip anterior circulation aneurysms are significantly
less complex than those necessary to clip posterior circulation aneurysms such
as the plaintiff's.[10] Following residency, the defendant had
performed aneurysm surgery on six patients with a total of nine aneurysms. He had operated on basilar bifurcation
aneurysms only twice and had never operated on a large basilar bifurcation
aneurysm such as the plaintiff's aneurysm.[11]
The plaintiff also presented
evidence that the defendant understated the morbidity and mortality rate
associated with basilar bifurcation aneurysm surgery. According to the plaintiff's witnesses, the defendant had told
the plaintiff that her surgery carried a two percent risk of death or serious
impairment and that it was less risky than the angiogram procedure she would
have to undergo in preparation for surgery.
The plaintiff's witnesses also testified that the defendant had compared
the risks associated with the plaintiff's surgery to those associated with
routine procedures such as tonsillectomies, appendectomies and gall bladder
surgeries.[12]
The plaintiff's neurosurgical
experts testified that even the physician considered to be one of the world's
best aneurysm surgeons, who had performed hundreds of posterior circulation
aneurysm surgeries, had reported a morbidity and mortality rate of
ten-and-seven-tenths percent when operating upon basilar bifurcation aneurysms
comparable in size to the plaintiff's aneurysm. Furthermore, information in treatises and articles which the
defendant reviewed in preparation for the plaintiff's surgery set the morbidity
and mortality rate at approximately fifteen percent for a basilar bifurcation
aneurysm. The plaintiff also introduced
expert testimony that the morbidity and mortality rate for basilar bifurcation
aneurysm operations performed by one with the defendant's relatively limited
experience would be between twenty and thirty percent, and "closer to the
thirty percent range."[13]
Finally, the plaintiff
introduced into evidence testimony and exhibits stating that a reasonable
physician in the defendant's position would have advised the plaintiff of the
availability of more experienced surgeons and would have referred her to
them. The plaintiff also introduced
evidence stating that patients with basilar aneurysms should be referred to
tertiary care centers‑‑such as the Mayo Clinic, only 90 miles away‑‑which
contain the proper neurological intensive care unit and microsurgical
facilities and which are staffed by neurosurgeons with the requisite training
and experience to perform basilar bifurcation aneurysm surgeries.
In his testimony at trial,
the defendant denied having suggested to the plaintiff that her condition was
urgent and required immediate care. He
also denied having stated that her risk was comparable to that associated with
an angiogram or minor surgical procedures such as a tonsillectomy or
appendectomy. While he acknowledged
telling the plaintiff that the risk of death or serious impairment associated
with clipping an aneurysm was two percent, he also claims to have told her that
because of the location of her aneurysm, the risks attending her surgery would
be greater, although he was unable to tell her precisely how much greater.[14] In short, the defendant testified that his
disclosure to the plaintiff adequately informed her regarding the risks that
she faced.
The defendant's expert
witnesses testified that the defendant's recommendation of surgery was
appropriate, that this type of surgery is regularly undertaken in a community
hospital setting, and that the risks attending anterior and posterior
circulation aneurysm surgeries are comparable.
They placed the risk accompanying the plaintiff's surgery at between
five and ten percent, although one of the defendant's experts also testified
that such statistics can be misleading.
The defendant's expert witnesses also testified that when queried by a
patient regarding their experience, they would divulge the extent of that
experience and its relation to the experience of other physicians performing
similar operations.[15]
II.
We now turn to a review of
Wisconsin's law of informed consent.
The common-law doctrine of informed consent arises from and reflects the
fundamental notion of the right to bodily integrity. Originally, an action alleging that a physician had failed to obtain
a patient's informed consent was pled as the intentional tort of assault and
battery. In the typical situation
giving rise to an informed consent action, a patient-plaintiff consented to a
certain type of operation but, in the course of that operation, was subjected
to other, unauthorized operative procedures.
See, e.g., Paulsen v. Gundersen, 218 Wis. 578, 584, 260
N.W. 448 (1935) (when a patient agrees to a "simple" operation and a
physician performs a more extensive operation, the physician is "guilty of
an assault and would be responsible for damages resulting therefrom"); Throne
v. Wandell, 176 Wis. 97, 186 N.W. 146 (1922) (dentist extracting six of the
plaintiff's teeth without her consent has committed a technical assault).
The court further developed
the doctrine of informed consent in Trogun v. Fruchtman, 58 Wis. 2d
569, 207 N.W.2d 297 (1972), stating for the first time that a plaintiff-patient
could bring an informed consent action based on negligence rather than as an
intentional tort.[16] The court clarified Wisconsin's modern
doctrine of informed consent in Scaria v. St. Paul Fire & Marine Ins.
Co., 68 Wis. 2d 1, 227 N.W.2d 647 (1975). Wis. Stat. § 448.30 codifies the common law set forth in Scaria.[17] This statute has recently been interpreted
and applied in Martin, 192 Wis. 2d 156.[18] The
concept of informed consent is based on the tenet that in order to make a
rational and informed decision about undertaking a particular treatment or
undergoing a particular surgical procedure, a patient has the right to know
about significant potential risks involved in the proposed treatment or
surgery. Scaria, 68 Wis. 2d
at 11. In order to insure that a
patient can give an informed consent, a "physician or surgeon is under the
duty to provide the patient with such information as may be necessary under the
circumstances then existing" to assess the significant potential risks
which the patient confronts. Id.
The information that must be
disclosed is that information which would be "material" to a
patient's decision. Martin, 192
Wis. 2d at 174. In the first of
three seminal informed consent decisions relied upon by both the Trogun
and Scaria courts,[19]
the federal court of appeals for the District of Columbia stated that
information regarding risk is material when "a reasonable person, in what
the physician knows or should know to be the patient's position, would be
likely to attach significance to the risk or cluster of risks in deciding
whether or not to forego the proposed therapy." Canterbury v. Spence, 464 F.2d 772, 787 (D.C. Cir. 1972), cert.
denied, 409 U.S. 1064 (1972). The Canterbury
court defined as material and therefore "demanding a communication"
from a physician to a patient all information regarding "the inherent and
potential hazards of the proposed treatment, the alternatives to that
treatment, if any, and the results likely if the patient remains
untreated." Id. at 787-88.[20]
According to both the Scaria
and Martin courts, a physician's reasonable disclosure requires that a
patient be informed regarding available options. A "reasonable disclosure" of "significant
risks," stated the Scaria court, requires an assessment of and
communication regarding "the gravity of the patient's condition, the
probabilities of success, and any alternative treatment or procedures if such
are reasonably appropriate so that the patient has the information reasonably
necessary to form the basis of an intelligent and informed consent to the
proposed treatment or procedure." Scaria,
68 Wis. 2d at 11.[21] The Martin court, explicitly
recognizing that the statutory doctrine of informed consent in Wisconsin is
"based upon the standard expounded in Canterbury," Martin,
192 Wis. 2d at 173, explained that a patient cannot make an informed decision
to consent to the suggested treatment "unless the physician discloses what
is material to the patient's decision, i.e., all of the viable alternatives and
risks of the treatment proposed." Martin,
192 Wis. 2d at 174.
What constitutes informed consent
in a given case emanates from what a reasonable person in the patient's
position would want to know. Scaria,
68 Wis. 2d at 13; Martin, 192 Wis. 2d at 174. This standard regarding what a physician
must disclose is described as the prudent patient standard; it has been
embraced by a growing number of jurisdictions since the Canterbury
decision.[22]
The Scaria court
emphasized that those "disclosures which would be made by doctors of good
standing, under the same or similar circumstances, are certainly relevant and
material" in assessing what constitutes adequate disclosure, adding that
physician disclosures conforming to such a standard "would be adequate to
fulfill the doctor's duty of disclosure in most instances." Scaria, 68 Wis. 2d at 12. But the evidentiary value of what physicians
of good standing consider adequate disclosure is not dispositive, for
ultimately "the extent of the physician's disclosures is driven . . . by
what a reasonable person under the circumstances then existing would want to
know." Martin, 192
Wis. 2d at 174; see also Scaria, 68 Wis. 2d at 13.[23]
"The information that is
reasonably necessary for a patient to make an informed decision regarding
treatment will vary from case to case."
Martin, 192 Wis. 2d at 175.[24] The standard to which a physician is held is
determined not by what the particular patient being treated would want to know,
but rather by what a reasonable person in the patient's position would want to
know. Scaria, 68 Wis. 2d at
13.
III.
Before addressing the
substantive issues raised by the parties, we briefly outline the standards of
review which we apply to the circuit court's evidentiary ruling admitting the
three items of evidence in dispute in this case.
The defendant argues that the
circuit court erred in admitting the evidence.
He asks the court to declare that the three pieces of evidence at issue
are not admissible as a matter of law in informed consent cases.[25]
The general rule is that a
circuit court's decision with regard to the relevance of proffered evidence is
a discretionary decision. State v.
Pittman, 174 Wis. 2d 255, 267, 496 N.W.2d 74 (1993). Evidence is relevant when it "tends 'to
make the existence of [a material fact] more probable or less probable than it
would be without the evidence.'" In
Interest of Michael R.B., 175 Wis. 2d 713, 724, 499 N.W.2d 641 (1993)
(quoting State v. Denny, 120 Wis. 2d 614, 623, 357 N.W.2d 12 (Ct.
App. 1984)); Wis. Stat. § 904.01.[26] Material facts are those that are of
consequence to the merits of the litigation.
In Interest of Michael R.B., 175 Wis. 2d at 724.
Evidence which is relevant
may nevertheless be excluded if its probative value is substantially outweighed
by the danger of unfair prejudice, confusion of the issues, or misleading the
jury. State v. Patricia A.M.,
176 Wis. 2d 542, 554, 500 N.W.2d 289 (1993); Wis. Stat. § 904.03.[27] It is not enough that the evidence will be
prejudicial; "exclusion is required only if the evidence is unfairly
prejudicial." Patricia A.M.,
176 Wis. 2d at 554.
The question of whether
otherwise admissible evidence is nevertheless unfairly prejudicial rests with
the discretion of the circuit court. Featherly
v. Continental Ins. Co., 73 Wis. 2d 273, 243 N.W.2d 806 (1976). This court will not conclude that a circuit
court erroneously exercised its discretion when there is a reasonable basis for
the circuit court's determination.
Finally, if the circuit court
erred in admitting the evidence, reversal or a new trial is required only if
the improper admission of evidence has affected the substantial rights of the
party seeking relief. Wis. Stat.
§ 805.18(2).[28]
IV.
The defendant contends that
the circuit court erred in allowing the plaintiff to introduce evidence
regarding the defendant's limited experience in operating upon aneurysms
comparable to the plaintiff's aneurysm.
Wisconsin's law of informed consent, the defendant continues, requires a
physician to reveal only those risks inherent in the treatment. Everyone agrees, argues the defendant, that
he advised the plaintiff regarding those risks: the potential perils of death, a stroke or blindness associated
with her surgery.
The defendant argues that the
circuit court's decision to admit evidence pertaining to his surgical
experience confused relevant information relating to treatment risks with
irrelevant and prejudicial information that the defendant did not possess the
skill and experience of the very experienced aneurysm surgeons. Therefore, according to the defendant, the
jury's attention was diverted from a consideration of whether the defendant
made required disclosures regarding treatment to the question of who was
performing the plaintiff's operation.
Thus, the defendant contends, the circuit court transformed a duty to
reasonably inform into a duty to reasonably perform the surgery, even though
the plaintiff was not alleging negligent treatment.
The doctrine of informed
consent should not, argues the defendant, be construed as a general right to
information regarding possible alternative procedures, health care facilities
and physicians. Instead, urges the
defendant, the doctrine of informed consent should be viewed as creating a
"bright line" rule requiring physicians to disclose only significant
complications intrinsic to the contemplated procedure. The defendant interprets Wis. Stat.
§ 448.30 as an embodiment of this more modest definition of informed
consent. In sum, the defendant urges
that the statutory provisions require disclosure of risks associated with
particular "treatments" rather than the risks associated with
particular physicians.[29]
We reject the defendant's
proposed bright line rule that it is error as a matter of law to admit evidence
in an informed consent case that the physician failed to inform the patient
regarding the physician's experience with the surgery or treatment at
issue. The prudent patient standard
adopted by Wisconsin in Scaria is incompatible with such a bright line
rule.
As Scaria states and
as Martin confirms, what a physician must disclose is contingent upon
what, under the circumstances of a given case, a reasonable person in the
patient's position would need to know in order to make an intelligent and
informed decision. Scaria, 68
Wis. 2d at 13; Martin, 192 Wis. 2d at 174. The question of whether certain information
is material to a patient's decision and therefore requires disclosure is rooted
in the facts and circumstances of the particular case in which it arises. Martin, 192 Wis. 2d at 175.
The cases upon which the Trogun
and Scaria courts relied in fashioning Wisconsin's current doctrine of
informed consent rejected the concept of bright line rules. The "scope of the disclosure required
of physicians," stated the California Supreme Court, "defies simple
definition" and must therefore "be measured by the patient's need,
and that need is whatever information is material to the decision." Cobbs v. Grant, 502 P.2d 1, 10, 11
(Cal. 1972). "The amount of
disclosure can vary from one patient to another," stated the Rhode Island
Supreme Court, because "[w]hat is reasonable disclosure in one instance
may not be reasonable in another."
Wilkinson v. Vesey, 295 A.2d 676, 687-88 (R.I. 1972). Finally, the Canterbury court's
decision‑‑which, as the Martin court underscored last term,
provides the basis for Wisconsin's doctrine of informed consent, Martin,
192 Wis. 2d at 173‑‑states explicitly that under the doctrine
of informed consent, "[t]here is no bright line separating the significant
from the insignificant." Canterbury,
464 F.2d at 788.
Wisconsin Stat. § 448.30
explicitly requires disclosure of more than just treatment complications
associated with a particular procedure.
Physicians must, the statute declares, disclose "the availability
of all alternate, viable medical modes of treatment" in addition to
"the benefits and risks of these treatments."
The Martin court
rejected the argument that Wis. Stat. § 448.30 was limited by its plain
language to disclosures intrinsic to a proposed treatment regimen. The Martin court stated that Wis.
Stat. § 448.30 "should not be construed so as to unduly limit the
physician's duty to provide information which is reasonably necessary under the
circumstances." Martin, 192
Wis. 2d at 175.[30] "There can be no dispute," the Martin
court declared, "that the language in Scaria . . . requires that a
physician disclose information necessary for a reasonable person to make an
intelligent decision." Id.
In this case, the plaintiff
introduced ample evidence that had a reasonable person in her position been
aware of the defendant's relative lack of experience in performing basilar
bifurcation aneurysm surgery, that person would not have undergone surgery with
him. According to the record the
plaintiff had made inquiry of the defendant's experience with surgery like
hers. In response to her direct
question about his experience he said that he had operated on aneurysms
comparable to her aneurysm "dozens" of times. The plaintiff also introduced evidence that surgery
on basilar bifurcation aneurysms is more difficult than any other type of
aneurysm surgery and among the most difficult in all of neurosurgery. We conclude that the circuit court did not
erroneously exercise its discretion in admitting evidence regarding the
defendant's lack of experience and the difficulty of the proposed
procedure. A reasonable person in the
plaintiff's position would have considered such information material in making
an intelligent and informed decision about the surgery.
We also reject the
defendant's claim that even if this information was material, it should have
been excluded because its prejudicial effect outweighed its probative
value. The defendant contends that the
admission of such evidence allowed the jury to infer that the plaintiff's
partial paralysis was a product of the defendant's lack of experience and skill
rather than a consequence of his alleged failure to inform.
We disagree with the
defendant's claim that evidence pertaining to the defendant's experience was
unduly and unfairly prejudicial. While
a jury might confuse negligent failure to disclose with negligent treatment,[31]
the likelihood of confusion is nonexistent or de minimis in this case. The plaintiff dismissed her negligent
treatment claim before trial. It is
thus unlikely that the jury would confuse an issue not even before it with the
issue that was actually being tried. We
therefore conclude that the defendant was not unduly or unfairly prejudiced by
the admission of evidence reflecting his failure to disclose his limited prior
experience in operating on basilar bifurcation aneurysms.
V.
The defendant next argues
that the circuit court erred in allowing the plaintiff to introduce evidence of
morbidity and mortality rates associated with the surgery at issue. The defendant particularly objects to
comparative risk statistics purporting to estimate and compare the morbidity
and mortality rates when the surgery at issue is performed, respectively, by a
physician of limited experience such as the defendant and by the acknowledged
masters in the field. Expert testimony
introduced by the plaintiff indicated that the morbidity and mortality rate
expected when a surgeon with the defendant's experience performed the surgery
would be significantly higher than the rate expected when a more experienced
physician performed the same surgery.
The defendant asserts that
admission of these morbidity and mortality rates would lead the jury to find
him liable for failing to perform at the level of the masters rather than for
failing to adequately inform the plaintiff regarding the risks associated with
her surgery. Furthermore, contends the
defendant, statistics are notoriously inaccurate and misleading.
As with evidence pertaining
to the defendant's prior experience with similar surgery, the defendant
requests that the court fashion a bright line rule as a matter of law that
comparative risk evidence should not be admitted in an informed consent
case. For many of the same reasons
which led us to conclude that such a bright line rule of exclusion would be
inappropriate for evidence of a physician's prior experience, we also reject a
bright line rule excluding evidence of comparative risk relating to the
provider.
The medical literature
identifies basilar bifurcation aneurysm surgery as among the most difficult in
neurosurgery. As the plaintiff's
evidence indicates, however, the defendant had told her that the risks associated
with her surgery were comparable to the risks attending a tonsillectomy,
appendectomy or gall bladder operation.
The plaintiff also introduced evidence that the defendant estimated the
risk of death or serious impairment associated with her surgery at two percent. At trial, however, the defendant conceded
that because of his relative lack of experience, he could not hope to match the
ten-and-seven-tenths percent morbidity and mortality rate reported for large
basilar bifurcation aneurysm surgery by very experienced surgeons.
The defendant also admitted
at trial that he had not shared with the plaintiff information from articles he
reviewed prior to surgery. These
articles established that even the most accomplished posterior circulation
aneurysm surgeons reported morbidity and mortality rates of fifteen percent for
basilar bifurcation aneurysms.
Furthermore, the plaintiff introduced expert testimony indicating that
the estimated morbidity and mortality rate one might expect when a physician
with the defendant's relatively limited experience performed the surgery would
be close to thirty percent.
Had a reasonable person in
the plaintiff's position been made aware that being operated upon by the
defendant significantly increased the risk one would have faced in the hands of
another surgeon performing the same operation, that person might well have
elected to forego surgery with the defendant.
Had a reasonable person in the plaintiff's position been made aware that
the risks associated with surgery were significantly greater than the risks
that an unclipped aneurysm would rupture, that person might well have elected
to forego surgery altogether. In short,
had a reasonable person in the plaintiff's position possessed such information
before consenting to surgery, that person would have been better able to make
an informed and intelligent decision.
The defendant concedes that
the duty to procure a patient's informed consent requires a physician to reveal
the general risks associated with a particular surgery. The defendant does not explain why the duty
to inform about this general risk data should be interpreted to categorically
exclude evidence relating to provider-specific risk information, even when that
provider-specific data is geared to a clearly delineated surgical procedure and
identifies a particular provider as an independent risk factor. When different physicians have substantially
different success rates, whether surgery is performed by one rather than
another represents a choice between "alternate, viable medical modes of
treatment" under § 448.30.
For example, while there may
be a general risk of ten percent that a particular surgical procedure will
result in paralysis or death, that risk may climb to forty percent when the
particular procedure is performed by a relatively inexperienced surgeon. It defies logic to interpret this statute as
requiring that the first, almost meaningless statistic be divulged to a patient
while the second, far more relevant statistic should not be. Under Scaria and its progeny as well
as the codification of Scaria as Wis. Stat. § 448.30, the second
statistic would be material to the patient's exercise of an intelligent and
informed consent regarding treatment options.
A circuit court may in its discretion conclude that the second statistic
is admissible.
The doctrine of informed
consent requires disclosure of "all of the viable alternatives and risks
of the treatment proposed" which would be material to a patient's
decision. Martin, 192
Wis. 2d at 174. We therefore
conclude that when different physicians have substantially different success
rates with the same procedure and a reasonable person in the patient's position
would consider such information material, the circuit court may admit this
statistical evidence.[32]
We caution, as did the court
of appeals, that our decision will not always require physicians to give patients
comparative risk evidence in statistical terms to obtain informed consent.[33] Rather, we hold that evidence of the
morbidity and mortality outcomes of different physicians was admissible under
the circumstances of this case.
In keeping with the
fact-driven and context-specific application of informed consent doctrine,
questions regarding whether statistics are sufficiently material to a patient's
decision to be admissible and sufficiently reliable to be non-prejudicial are
best resolved on a case-by-case basis.
The fundamental issue in an informed consent case is less a question of
how a physician chooses to explain the panoply of treatment options and risks
necessary to a patient's informed consent than a question of assessing whether
a patient has been advised that such options and risks exist.
As the court of appeals
observed, in this case it was the defendant himself who elected to explain the
risks confronting the plaintiff in statistical terms. He did this because, as he stated at trial, "numbers giv[e]
some perspective to the framework of the very real, immediate, human threat
that is involved with this condition."
Because the defendant elected to explain the risks confronting the
plaintiff in statistical terms, it stands to reason that in her effort to
demonstrate how the defendant's numbers dramatically understated the risks of
her surgery, the plaintiff would seek to introduce other statistical
evidence. Such evidence was integral to
her claim that the defendant's nondisclosure denied her the ability to exercise
informed consent.
VI.
The defendant also asserts
that the circuit court erred as a matter of law in allowing the plaintiff to
introduce expert testimony that because of the difficulties associated with
operating on the plaintiff's aneurysm, the defendant should have referred her
to a tertiary care center containing a proper neurological intensive care unit,
more extensive microsurgical facilities and more experienced surgeons. While evidence that a physician should have
referred a patient elsewhere may support an action alleging negligent
treatment, argues the defendant, it has no place in an informed consent
action.
The court of appeals agreed
with the defendant that this evidence should have been excluded, and it further
concluded that admission of this evidence created "a serious danger [that]
the jury may confuse a duty to provide average quality care with a duty to
adequately inform of medical risks."
Johnson, 188 Wis. 2d at 224.
We share the concern
expressed by the court of appeals and underscored by the defendant, but their
concern is misplaced in this case.
Here, the plaintiff was not asserting a claim for negligent performance. Just because expert testimony is relevant to
one claim does not mean that it is not relevant to another.
When faced with an allegation
that a physician breached a duty of informed consent, the pertinent inquiry
concerns what information a reasonable person in the patient's position would
have considered material to an exercise of intelligent and informed
consent. Scaria, 68 Wis. 2d
at 13; Martin, 192 Wis. 2d at 174.
Under the facts and circumstances presented by this case, the circuit
court could declare, in the exercise of its discretion, that evidence of referral
would have been material to the ability of a reasonable person in the
plaintiff's position to render informed consent.
The plaintiff's medical
experts testified that given the nature and difficulty of the surgery at issue,
the plaintiff could not make an intelligent decision or give an informed
consent without being made aware that surgery in a tertiary facility would have
decreased the risk she faced. One of
the plaintiff's experts, Dr. Haring J.W. Nauta, stated that "it's not fair
not to bring up the subject of referral to another center when the problem is
as difficult to treat" as the plaintiff's aneurysm was. Another of the plaintiff's experts, Dr.
Robert Narotzky, testified that the defendant's "very limited"
experience with aneurysm surgery rendered reasonable a referral to
"someone with a lot more experience in dealing with this kind of
problem." Dr. Fredric Somach, also
testifying for the plaintiff, stated as follows:
[S]he should have been told that this was an
extremely difficult, formidable lesion and that there are people in the
immediate geographic vicinity that are very experienced and that have had a
great deal of contact with this type of aneurysm and that she should consider
having at least a second opinion, if not going directly to one of these other
[physicians].
Articles from the medical literature introduced by the plaintiff also
stated categorically that the surgery at issue should be performed at a
tertiary care center while being "excluded" from the community setting
because of "the limited surgical experience" and lack of proper
equipment and facilities available in such hospitals.
Scaria instructs us
that "[t]he disclosures which would be made by doctors of good standing,
under the same or similar circumstances, are certainly relevant and
material" to a patient's exercise of informed consent. Scaria, 68 Wis. 2d at 12. Testimony by the plaintiff's medical experts
indicated that "doctors of good standing" would have referred her to
a tertiary care center housing better equipment and staffed by more experienced
physicians. Hence under the materiality
standard announced in Scaria, we conclude that the circuit court
properly exercised its discretion in admitting evidence that the defendant
should have advised the plaintiff of the possibility of undergoing surgery at a
tertiary care facility.
The defendant asserts that
the plaintiff knew she could go elsewhere.
This claim is both true and beside the point. Credible evidence in this case demonstrates that the plaintiff
chose not to go elsewhere because the defendant gave her the impression that
her surgery was routine and that it therefore made no difference who performed
it. The pertinent inquiry, then, is not
whether a reasonable person in the plaintiff's position would have known
generally that she might have surgery elsewhere, but rather whether such a
person would have chosen to have surgery elsewhere had the defendant adequately
disclosed the comparable risks attending surgery performed by him and surgery
performed at a tertiary care facility such as the Mayo Clinic, only 90 miles
away.
The defendant also argues
that evidence of referral is prejudicial because it might have affected the
jury's determination of causation. The
court of appeals reasoned that if a complainant could introduce evidence that a
physician should have referred her elsewhere, "a patient so informed would
almost certainly forego the procedure with that doctor." Johnson, 188 Wis. 2d at 224.[34]
The court of appeals
concluded that admitting evidence regarding a physician's failure to refer was
prejudicial error because it probably affected the jury's decision about causation
in favor of the plaintiff.[35] Contending that a causal connection between
his failure to divulge and the plaintiff's damage is required, the defendant
seems to assert that the plaintiff has offered no evidence that the defendant's
failure to disclose his relevant experience or his statistical risk harmed the
plaintiff. Even had the surgery been
performed by a "master," the defendant argues, a bad result may have
occurred.[36]
The defendant appears to
attack the basic concept of causation applied in claims based on informed
consent. As reflected in the informed
consent jury instruction (Wis JI—Civil 1023.3 (1992)), which the defendant himself
proposed and which was given at trial, the question confronting a jury in an
informed consent case is whether a reasonable person in the patient's position
would have arrived at a different decision about the treatment or surgery had
he or she been fully informed. As
reflected in the special verdict question in this case, that question asked
whether "a reasonable person in Donna Johnson's position [would] have
refused to consent to the surgery by Dr. Richard Kokemoor had she been fully
informed of the risks and advantages of surgery." If the defendant is arguing here that the
standard causation instruction is not applicable in a case in which
provider-specific evidence is admitted, this contention has not been fully
presented and developed.
Finally, the defendant argues
that if his duty to procure the plaintiff's informed consent includes an
obligation to disclose that she consider seeking treatment elsewhere, then
there will be no logical stopping point to what the doctrine of informed
consent might encompass. We disagree
with the defendant. As the plaintiff
noted in her brief to this court, "[i]t is a rare exception when the vast
body of medical literature and expert opinion agree that the difference in
experience of the surgeon performing the operation will impact the risk of
morbidity/mortality as was the case here," thereby requiring
referral. Brief for Petitioner at
40. At oral argument before this court,
counsel for the plaintiff stated that under "many circumstances" and
indeed "probably most circumstances," whether or not a physician
referred a patient elsewhere would be "utterly irrelevant" in an
informed consent case. In the vast
majority of significantly less complicated cases, such a referral would be
irrelevant and unnecessary.
Moreover, we have already
concluded that comparative risk data distinguishing the defendant's morbidity
and mortality rate from the rate of more experienced physicians was properly
before the jury. A close link exists
between such data and the propriety of referring a patient elsewhere. A physician who discloses that other
physicians might have lower morbidity and mortality rates when performing the
same procedure will presumably have access to information regarding who some of
those physicians are. When the duty to
share comparative risk data is material to a patient's exercise of informed
consent, an ensuing referral elsewhere will often represent no more than a
modest and logical next step.[37]
Given the difficulties
involved in performing the surgery at issue in this case, coupled with evidence
that the defendant exaggerated his own prior experience while downplaying the
risks confronting the plaintiff, the circuit court properly exercised its
discretion in admitting evidence that a physician of good standing would have
made the plaintiff aware of the alternative of lower risk surgery with a
different, more experienced surgeon in a better-equipped facility.
For the reasons set forth, we
conclude that the circuit court did not erroneously exercise its discretion in
admitting the evidence at issue, and accordingly, we reverse the decision of
the court of appeals and remand the cause to the circuit court for further
proceedings consistent with this opinion.
By the Court.—The decision of the court of appeals is reversed
and the cause is remanded to the circuit court with directions.
Justice Ann Walsh Bradley did
not participate.
SUPREME
COURT OF WISCONSIN
Case No.: 93-3099
Complete Title
of Case: Donna L. Johnson, By her Guardian Ad Litem,
Timothy J. Adler,
Plaintiff-Respondent-Petitioner,
v.
Dr. Richard Kokemoor, Physicians Insurance
Company of Wisconsin and Wisconsin Patients
Compensation Fund,
Defendants-Appellants-Cross
Petitioners,
Sacred Heart Hospital, Wisconsin Healthcare
Liability Plan, Wisconsin Department of
Health and Social Services and Healthcare
Financing Administration,
Defendants.
______________________________________________
REVIEW OF A DECISION OF THE COURT OF APPEALS
Reported at: 188 Wis. 2d
202, 525 N.W.2d 71
(Ct. App. 1994)
PUBLISHED
Opinion Filed: March 20, 1996
Submitted on Briefs:
Oral Argument: November
1, 1995
Source of APPEAL
COURT: Circuit
COUNTY: Chippewa
JUDGE: RICHARD STAFFORD
JUSTICES:
Concurred:
Dissented:
Not Participating: BRADLEY, J., did not
participate
ATTORNEYS: For the plaintiff-respondent-petitioner
there were briefs by D. Charles Jordan, Dana J. Wachs, Heidi L. Atkins
and Jordan & Wachs, Eau Claire and oral argument by D. Charles
Jordan.
For the
defendants-appellants-cross petitioners there were briefs by Douglas J.
Klingberg, James F. Harrington and Ruder, Ware & Michler, S.C.,
Wausau and oral argument by Douglas J. Klingberg.
Amicus
curiae brief was filed by Nancy M. Rottier, counsel, Madison and Dean
P. Laing and O'Neil, Cannon & Hollman, S.C., Milwaukee for the
Wisconsin Academy of Trial Lawyers.
[1] The trial was bifurcated at the circuit court. The jury decided only the liability issue; the issue of damages has not been tried.
[2] While there are other defendants in this case, in the interest of clarity we refer only to Dr. Kokemoor as the defendant.
[4] The
parties agreed to a special verdict form requiring the jury to answer the
following two questions:
(1) Did Dr. Richard Kokemoor fail to adequately
inform Donna Johnson of the risks and advantages of her surgery?
(2) If you have answered Question 1
"yes", then and then only answer this question: Would a reasonable person in Donna Johnson's
position have refused to consent to the surgery by Dr. Richard Kokemoor had she
been informed of the risks and advantages of the surgery?
The jury answered "yes" to both questions.
[5] As used by the parties and in this opinion, morbidity and mortality rates refer to the prospect that surgery may result in serious impairment or death.
[6] In a motion brought prior to trial, the defendant attempted to bar testimony and argument relating to his personal experience with aneurysm surgery and to the relative experience of other surgeons available to perform such surgery. The defendant argued that such disclosures are not material to the issue of informed consent. The circuit court denied the defendant's motion and also ruled that the plaintiff could present expert testimony that the defendant should have advised her of and referred her to more experienced neurosurgeons.
[7] Prior to trial, the plaintiff had voluntarily dismissed a cause of action alleging that the defendant was negligent in performing the surgery.
[8] Given the "overwhelming" evidence "that Kokemoor did not adequately inform Johnson," Johnson v. Kokemoor, 188 Wis. 2d 202, 227, 525 N.W.2d 71 (Ct. App. 1994), the court of appeals left to the circuit court's discretion whether it need retry the issue of the defendant's alleged failure to obtain the plaintiff's informed consent or whether it need retry only the causation issue.
[9] The defendant acknowledged at trial that the aneurysm was not the cause of the plaintiff's headaches.
[10] The plaintiff's aneurysm was located at the bifurcation of the basilar artery. According to the plaintiff's experts, surgery on basilar bifurcation aneurysms is more difficult than any other type of aneurysm surgery.
[11] The defendant testified that he had failed to inform the plaintiff that he was not and never had been board certified in neurosurgery and that he was not a subspecialist in aneurysm surgery.
[12] The defendant testified at trial that he had informed the plaintiff that should she decide to forego surgery, the risk that her unclipped aneurysm might rupture was two percent per annum, cumulative. Since he informed the plaintiff that the risk accompanying surgery was two percent, a reasonable person in the plaintiff's position might have concluded that proceeding with surgery was less risky than non-operative management.
[13] The plaintiff introduced into evidence as exhibits articles from the medical literature stating that there are few areas in neurosurgery where the difference in results between surgeons is as evident as it is with aneurysms. One of the plaintiff's neurosurgical experts testified that experience and skill with the operator is more important when performing basilar tip aneurysm surgery than with any other neurosurgical procedure.
[14] The defendant maintained that characterizing the risk as two percent was accurate because the aggregate morbidity and mortality rate for all aneurysms, anterior and posterior, is approximately two percent. At the same time, however, the defendant conceded that in operating upon aneurysms comparable to the plaintiff's aneurysm, he could not achieve morbidity and mortality rates as low as the ten-and-seven-tenths percent rate reported by a physician reputed to be one of the world's best aneurysm surgeons.
[15] The
defendant's expert witness Dr. Patrick R. Walsh testified:
In my personal practice, I typically outline my
understanding of the natural history of aneurysms, my understanding of the
experience of the neurosurgical community in dealing with aneurysms and then
respond to specific questions raised by the patient. If a patient asks specifically what my experience is, I believe
it is mandatory that I outline that to him as carefully as possible.
Dr.
Walsh also stated that "[i]t certainly is reasonable for [the defendant]
to explain to [the plaintiff] that other surgeons are available."
Dr. Douglas E. Anderson, who also testified for the defense, stated that "if the patient is asking issues about prior experience, it is reasonable . . . to proceed with a discussion of your prior experience." Dr. Anderson also stated that "if the patient asks a surgeon if there is someone who has performed more surgeries than he, it is reasonable to tell the truth."
[16] Although an action alleging a physician's failure to adequately inform is grounded in negligence, it is distinct from the negligence triggered by a physician's failure to provide treatment meeting the standard of reasonable care. The doctrine of informed consent focuses upon the reasonableness of a physician's disclosures to a patient rather than the reasonableness of a physician's treatment of that patient.
[17] See
Martin v. Richards, 192 Wis. 2d 156, 174, 531 N.W.2d 70 (1995)
(discussing the legislative history of Wis. Stat. § 448.30).
Wisconsin Stat. § 448.30 requires that
a physician inform a patient about the availability of all alternate, viable
medical modes of treatment and about the benefits and risks attending these
treatments. The informed consent
statute reads as follows:
448.30
Information on alternate modes of treatment.
Any physician who treats a patient shall inform
the patient about the availability of all alternate, viable medical modes of
treatment and about the benefits and risks of these treatments. The physician's duty to inform the patient
under this section does not require disclosure of:
(1) Information beyond what a reasonably
well-qualified physician in a similar medical classification would know.
(2) Detailed technical information that in all probability
a patient would not understand.
(3) Risks apparent or known to
the patient.
(4) Extremely remote possibilities that might
falsely or detrimentally alarm the patient.
(5) Information in emergencies where failure to
provide treatment would be more harmful to the patient than treatment.
(6) Information in cases where the patient is incapable of consenting.
[19] Canterbury v. Spence, 464 F.2d 772 (D.C. Cir. 1972), cert. denied, 409 U.S. 1064 (1972); Cobbs v. Grant, 502 P.2d 1 (Cal. 1972); Wilkinson v. Vesey, 295 A.2d 676 (R.I. 1972).
[20] See also Miles J. Zaremski & Louis S. Goldstein, 1 Medical and Hospital Negligence § 15.05 at 17 (1988-90) (stating that "[m]ateriality is the touchstone for determining the adequacy of the disclosure . . . the crux of the issue is the effect of the nondisclosure on the patient's ability to make an intelligent choice").
[21] For a discussion of informed consent from the legal and medical perspectives, see also Paul S. Applebaum, Charles W. Lidz, & Alan Meisel, Informed Consent: Legal Theory and Clinical Practice (1987).
[22] Wisconsin's adoption of this standard in Scaria is discussed in Medical Malpractice: Concepts and Wisconsin Cases, Staff Paper #2 of the Medical Malpractice Committee, Wisconsin Legislative Council Reports 1, 2 (1976); John S. Schliesmann, Torts, 59 Marq. L. Rev. 417, 417-19 (1976). For a more general overview of the history of and distinctions between the traditional professional physician standard and the prudent patient standard, see Applebaum, supra, 41-49; David W. Louisell & Harold Williams, 2 Medical Malpractice § 22.05 (2d ed. 1987) (pointing out that the professional physician standard has been criticized for being vague and thereby conferring almost unlimited discretion on the treating physician); Zaremski & Goldstein, supra, § 15.03 & nn.18-20 (collecting cases).
[23] We
recognize, as did the Scaria court, that there must be some limitation
upon the doctor's duty to disclose risks involved. In Scaria, we cautioned:
A doctor should not be required to give a
detailed technical medical explanation that in all probability the patient
would not understand. He should not be
required to discuss risks that are apparent or known to the patient. Nor should he be required to disclose
extremely remote possibilities that at least in some instances might only serve
to falsely or detrimentally alarm the particular patient. Likewise, a doctor's duty to inform is
further limited in cases of emergency or where the patient is a child, mentally
incompetent or a person is emotionally distraught or susceptible to
unreasonable fears.
Scaria, 68 Wis. 2d at 12-13 (note omitted). Similar limitations on a physician's duty to disclose were subsequently incorporated into Wis. Stat. § 448.30.
[24] See also Zaremski & Goldstein, supra, § 15.01 at 3 ("the scope of the disclosure is to be viewed in conjunction with the circumstances of each individual case").
[25] Under
Wisconsin's doctrine of informed consent, whenever the determination of what a
reasonable person in the patient's position would want to know is open to
debate by reasonable people, the issue of informed consent is a question for
the jury. Martin, 192
Wis. 2d at 172-73; Platta, 68 Wis. 2d at 60; see also Canterbury,
464 F.2d at 788.
In Martin, we upheld that part of a court of appeals decision reversing the circuit court's exclusion as a matter of law of certain evidence relating to the physician's failure to disclose a one-to-three-percent chance that the plaintiff might suffer intracranial bleeding following a serious head injury. The circuit court had determined that the disputed information involved "extremely remote possibilities" and was therefore not subject to disclosure under Wis. Stat. § 448.30(4) as a matter of law. Instead, we noted that while the undisclosed risk may have been small, "such risk may be significant to a patient's decision in light of the potentially severe consequences" and therefore should have been admitted. Martin, 192 Wis. 2d at 168.
[26] Wis.
Stat. § 904.01 provides as follows:
Definition of "relevant evidence." "Relevant evidence" means evidence having any 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."
[27] Wis.
Stat. § 904.03 provides as follows:
Exclusion of relevant evidence on grounds of prejudice, confusion, or waste of time. Although relevant, evidence may be excluded if its probative value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or misleading the jury, or by considerations of undue delay, waste of time, or needless presentation of cumulative evidence.
[28] Wis.
Stat. § 805.18(2) provides as follows:
No judgment shall be reversed or set aside or new trial granted in any action or proceeding on the ground of drawing, selection or misdirection of jury, or the improper admission of evidence, or for error as to any matter of pleading or procedure, unless in the opinion of the court to which the application is made, after an examination of the entire action or proceeding, it shall appear that the error complained of has affected the substantial rights of the party seeking to reverse or set aside the judgment, or to secure a new trial.
[29] The
defendant also argues that the plaintiff is trying to disguise what is actually
a negligent misrepresentation claim as an informed consent claim so that she
might bring before the jury otherwise inadmissible evidence regarding the
defendant's experience and relative competence.
The tort of negligent misrepresentation
occurs when one person negligently gives false information to another who acts
in reasonable reliance on the information and suffers physical harm as a
consequence of the reliance. Restatement
(Second) of Torts, § 311(1) (1965).
An overlap exists between a claim pleading this tort and one alleging a
failure to provide informed consent. As
the commentary to § 311 of the Restatement points out:
The rule stated in this Section finds particular
application where it is a part of the actor's business or profession to give
information upon which the safety of the recipient or a third person
depends. Thus it is as much a part of
the professional duty of a physician to give correct information as to the
character of the disease from which his plaintiff is suffering, where such knowledge
is necessary to the safety of the patient or others, as it is to make a correct
diagnosis or to prescribe the appropriate medicine.
Restatement
(Second) of Torts, § 311(1)
cmt. b (1965).
Because of this overlap between negligent misrepresentation and informed consent, it is not surprising that allegations made and evidence introduced by the plaintiff might have fit comfortably under either theory. But this overlap does not preclude the plaintiff from making allegations and introducing evidence in an informed consent case which might also have been pled in a negligent misrepresentation case. This case was pled and proved under the tort of failure to procure informed consent.
[30] Ruling
before the publication of Martin on the admissibility of evidence
pertaining to the defendant's experience, the circuit court made a similar
point:
I've also looked at the informed consent instruction, 1023.2, and it says that the doctor or physician is under a duty to make such disclosures that will enable a reasonable person under the circumstances confronting the patient to exercise the patient's right to make a proper consent, so I don't think that‑‑that we're limited to the references made in the statute. I think that anything that's necessary to a reasonable person to arrive at an informed and reasonable consent is allowable evidence, so clearly the six times [i.e. the six post-residency aneurysm operations which the defendant had performed] is allowable evidence and the fact that he made a statement that he had done this lots of time, there's nothing wrong with that [being admitted].
[31] See Marjorie Maguire Schultz, From Informed Consent to Patient Choice: A New Protected Interest, 95 Yale L.J. 219, 228-29 (1985). One could only completely eliminate the potential that such confusion might arise by categorically prohibiting all actions predicated on an alleged failure to procure informed consent.
[32] See
Aaron D. Twerski & Neil B. Cohen, Comparing Medical Providers: A First Look at the New Era of Medical
Statistics, 58 Brook. L. Rev. 5 (1992).
Professors Twerski and Cohen note that the development of sophisticated
data regarding risks of various procedures and statistical models comparing the
success rates of medical providers signal changes in informed consent law. Specifically, they state:
The duty to provide information may require more
than a simple sharing of visceral concerns about the wisdom of undertaking a
given therapeutic procedure. Physicians
may have a responsibility to identify and correlate risk factors and to
communicate the results to patients as a predicate to fulfilling their
obligation to inform.
Id. at 6.
See also Douglas Sharrott, Provider-Specific Quality-of-Care Data: A Proposal for Limited Mandatory Disclosure, 58 Brook L. Rev. 85 (1992) (stating that it is difficult to refute the argument that provider-specific data, once disclosed to the public by the government, should also be disclosed to patients because the doctrine of informed consent requires a physician to inform a patient of both material risks and alternatives to a proposed course of treatment).
[33] For criticisms of medical performance statistics and cautions that provider-specific outcome statistics must be carefully evaluated to insure their reliability and validity when used as evidence, see, e.g., Jesse Green, Problems in the Use of Outcome Statistics to Compare Health Care Providers, 58 Brook. L. Rev. 55 (1992); Paul D. Rheingold, The Admissibility of Evidence in Malpractice Cases: The Performance Records of Practitioners, 58 Brook. L. Rev. 75, 78-79 (1992); Sharrott, supra, at 92-94, 120; Twerski & Cohen, supra, at 8-9.
[34] The court of appeals expressed concern that the plaintiff's evidence regarding the defendant's failure to refer might cause the jury to confuse a physician's duty to procure a patient's informed consent with a separate and distinct tort establishing a physician's duty to refer. While acknowledging that other jurisdictions had recognized a distinct duty to refer, the court of appeals observed that Wisconsin has never done so. Nor does the court do so today. We merely hold that a physician's failure to refer may, under some circumstances, be material to a patient's exercise of an intelligent and informed consent.
[37] The Canterbury court included a duty to refer among its examples of information which, under the facts and circumstances of a particular case, a physician might be required to disclose in order to procure a patient's informed consent. The court stated: "The typical situation is where a general practitioner discovers that the patient's malady calls for specialized treatment, whereupon the duty generally arises to advise the patient to consult a specialist." Canterbury, 464 F.2d at 781 n.22.