Wissell v. Fletcher Allen Health Care, Inc., No. 232-2-12 Cncv (Grearson, J., May 22, 2014)

[The text of this Vermont trial court opinion is unofficial. It has been reformatted from the original. The accuracy of the text and the
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                                                       STATE OF VERMONT

SUPERIOR COURT                                                                                         CIVIL DIVISION
Chittenden Unit                                                                                        Docket No. 232-2-12 Cncv


HEATHER WISSELL, Individually, and as
Administratrix for the Estate of Dylan M. Wissell
      Plaintiff

           v.

FLETCHER ALLEN HEALTH CARE, INC.
     Defendant


DECISION AND ORDER ON DEFENDANT’S MOTION FOR SUMMARY JUDGMENT

       Plaintiff Heather Wissell brought a medical malpractice action against Defendant
Fletcher Allen Health Care (“FAHC”) after her son, Dylan Wissell, died as a result of
complications from a surgical procedure. The sole remaining claim is based on lack of informed
consent, pursuant to 12 V.S.A. § 1909. Plaintiff claims that Defendant failed to provide informed
consent prior to the surgery under two separate provisions of the statute. Plaintiff alleges that Dr.
Joseph Schmoker, who performed the surgery at FAHC, (1) failed to disclose the alternatives to
the surgery and the reasonably foreseeable risks and benefits involved in a manner permitting
Dylan to make a knowledgeable evaluation pursuant to 12 V.S.A. § 1909(a)(1); and (2) failed to
provide a reasonable answer to a request for information pursuant to § 1909(d). Plaintiff is
represented by Thomas Sherrer, Esq., and Defendant is represented by S. Crocker Bennett II,
Esq. Defendant has moved for summary judgment pursuant to Vermont Rule of Civil Procedure
56. For the reasons stated below, Defendant’s motion for summary judgment is denied.

                                     STANDARD FOR SUMMARY JUDGMENT

       In addressing a motion for summary judgment, the Court derives the undisputed facts
from the parties’ statements of fact under V.R.C.P. 56(c). Facts in the moving party's statement
are deemed undisputed when supported by the record and not controverted by facts in the
nonmoving party's statement. Boulton v. CLD Consulting Eng’rs, Inc., 2003 VT 72, ¶ 29, 175 Vt.
413 (quoting Richart v. Jackson, 171 Vt. 94, 97 (2000)).

        Summary judgment under V.R.C.P. 56 is appropriate when there is no genuine issue of
material fact and the moving party is entitled to judgment as a matter of law. Guiel v. Allstate
Ins. Co., 170 Vt. 464, 467 (2000). “A fact is material when it affects the outcome of the suit
under the governing law, and a dispute is genuine if the evidence is such that a reasonable jury
could return a verdict for the non-moving party.” Howard Opera House Assocs. v. Urban
Outfitters, 166 F. Supp. 2d 917, 926 (D. Vt. 2001). “Only disputes over facts that might affect
the outcome of the suit under the governing law will properly preclude the entry of summary
judgment.” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248 (1986). In determining if there is
a genuine issue as to any material fact, the Court “will accept as true the allegations made in
opposition to the motion for summary judgment, so long as they are supported by affidavits or
other evidentiary material.” Robertson v. Mylan Labs., Inc., 2004 VT 15, ¶ 15, 176 Vt. 356, 362–
63. The Court will also “give the nonmoving party the benefit of all reasonable doubts and
inferences.” Fireman’s Fund Ins. Co. v. CNA Ins. Co., 2004 VT 93, ¶ 8, 177 Vt. 215 (quoting
Chamberlain v. Metro. Prop. & Cas. Ins. Co., 171 Vt. 513, 514 (2000) (mem.)). However, the
nonmoving party may not “rely on bare allegations alone to meet the burden of demonstrating a
disputed issue of fact.” Webb v. Leclair, 2007 VT 65, ¶ 14, 182 Vt. 559 (mem.). Facts discussed
herein are therefore deemed to be undisputed, except as noted or otherwise qualified.

                                            FACTS

       This action is brought by plaintiff Heather Wissell, Dylan’s mother and personal
representative. Plaintiff initially alleged two counts of negligence: (1) lack of informed consent
pursuant to 12 V.S.A. § 1909; and (2) negligence in the performance of the surgery and/or
postoperative treatment pursuant to 12 V.S.A. § 1908. Compl. 5–6 (filed Feb. 27, 2012); First
Am. Compl. 5–6 (filed May 24, 2012). Plaintiff moved for voluntary dismissal of her § 1908
claim, which the Court granted on September 23, 2013. Hence, the only remaining claim is for
medical malpractice based on lack of informed consent pursuant to § 1909.

       In December 2009, Plaintiff’s son Dylan Wissell was a 19 year old male who suffered
from a heart defect, “aortic insufficiency with bicuspid aoritic valve.” Pl.’s Stmt. of Disputed
Mat. Facts (“PSMF”) ¶ 1; Def.’s Stmt. of Undisputed Mat. Facts (“DSMF”) ¶ 1. On February 16,
2010, Dylan underwent an aortic valve surgery known as the “Ross Procedure.” DSMF ¶ 1. The
procedure was performed by cardiothoracic surgeon Joseph Schmoker, M.D. at Fletcher Allen
Hospital in Burlington, Vermont. DSMF ¶ 1. Dylan died on February 28, 2010 as a result of a
surgery-related complication (bleeding along the pulmonary autograft suture line). DSMF ¶ 1.

        During the period leading up to and during the surgery, Dylan was under the care and
treatment of David Stifler, M.D., a general practitioner; Adam Kunin, M.D., a cardiologist; and
Dr. Schmoker, a cardiothoracic surgeon. PSMF ¶ 1. Dylan was originally scheduled to undergo
surgery in October 2009, but changed his mind and cancelled that surgery, apparently because he
“did not feel . . . ready to undergo the procedure yet.” PSMF ¶ 1; Letter from Dr. Kunin to Dr.
Stifler with CC to Dr. Schmoker 1 (Dec. 16, 2009) (on file with Court as Ex. 1 to PSMF)
(hereinafter “Letter from Dr. Kunin”). At that time, Dylan’s condition remained “essentially
asymptomatic,” and future plans involved Dr. Kunin seeing him again in six months for further
testing. PSMF ¶ 1; Letter from Dr. Kunin 1–2 (Ex. 1 to PSMF). Dr. Kunin’s recommendation
was that Dylan was indeed ready for surgery, but that the option of delaying the surgery was
“certainly a viable second choice option” and not an “absolutely wrong strategy.” PSMF ¶ 1;
Letter from Dr. Kunin 2 (Ex. 1 to PSMF).

        Dylan eventually elected to go ahead with the surgery, and he and his mother met with
Dr. Schmoker for a preoperative visit on February 10, 2010. PSMF ¶ 2; Letter from Dr.
Schmoker to Dr. Stifler with CC to Dr. Kunin (Feb. 10, 2010) (Ex. 2 to PSMF) (hereinafter
“Letter from Dr. Schmoker”). Dylan remained very anxious about the procedure and asked for an

                                          Page 2 of 23
increase in “clonazepam,” which was declined by Dr. Schmoker. PSMF ¶ 2; Letter from Dr.
Schmoker (Ex. 2 to PSMF). During this meeting, Dr. Schmoker discussed Dylan’s surgical
options with both Dylan and his mother. PSMF ¶ 2; Letter from Dr. Schmoker (Ex. 2 to PSMF).
Dylan’s mother (Plaintiff) was present with Dylan during his preoperative visits with Dr.
Schmoker and did most of the talking with Dr. Schmoker. PSMF ¶ 5; DSMF ¶ 3. It was
determined that a pulmonary autograft replacement of Dylan’s aortic valve with placement of a
pulmonary homograft in the pulmonary outflow tract (Ross Procedure) was the most likely
option, and that the option of an aortic valve sparing root replacement was unlikely because of
the severity of Dylan’s bicuspid valve, but that this would need to be determined at the time of
operation. Letter from Dr. Schmoker (Ex. 2 to PSMF).

        Dr. Schmoker explained to Dylan and Plaintiff that the Ross Procedure presented a risk
of major complications including bleeding, myocardial infarction, renal failure, and death, and
that the risk of such major complications was one to two percent. DSMF ¶ 8; PSMF ¶ 2;
Deposition of Joseph Schmoker 45–46 (Jan. 17, 2013) (on file with Court as Ex. C to DSMF);
Deposition of Heather Wissell 115–16, 142 (May 15, 2013) (Ex. E to DSMF). Dr. Schmoker also
told Dylan and Plaintiff that the risk presented by the surgical options other than the Ross
Procedure (i.e., mechanical or bioprosthetic valve) was at most one percent. Deposition of
Joseph Schmoker 46–47 (Ex. 8 to PSMF); PSMF ¶ 10. Dr. Schmoker testified in deposition that
Dylan and his mother struggled with whether to have the surgical procedure and which surgical
procedure to have. Deposition of Joseph Schmoker 47 (Ex. 8 to PSMF).

        Plaintiff’s liability expert, Dr. Paul Stelzer, testified that it would have been reasonable to
quantify Dylan’s risk of all major complications (fatal and non-fatal) as five percent, but not
lower. DSMF ¶ 9; Deposition of Paul Stelzer 107–08 (Ex. B to DSMF). Dr. Stelzer indicated that
one to two percent was an accurate mortality rate, but not an accurate quantification of all major
fatal and non-fatal complications. DSMF ¶ 9; Deposition of Paul Stelzer 107–08 (Ex. B to
DSMF).

       Also during a preoperative visit, Plaintiff asked Dr. Schmoker about his experience with
the Ross Procedure.1 Dr. Schmoker responded that he was “very experienced”:

        Q. Can you remember any questions that you asked Dr. Schmoker?
        A. Yes.
        Q. What did you ask him?
        A. I asked him what his experience was doing the Ross procedure?
        Q. What did he tell you?
        A. Dr. Schmoker told me that he was very experienced in doing the Ross
        procedure and that we didn’t need to worry about that.
        Q. That’s his exact language?
        A. Yeah, exact.


1
  Although Defendant does not necessarily admit that Plaintiff asked Dr. Schmoker a “question about Dr.
Schmoker’s experience with the Ross Procedure,” DSMF ¶ 4, Plaintiff has submitted evidence supporting this fact.
See PSMF ¶ 6; Deposition of Heather Wissell 112 (May 15, 2013) (on file with Court as Ex. 6 to PSMF). Therefore,
the Court will accept this allegation as true for the purposes of this motion. See Robertson, 2004 VT 15, ¶ 15.

                                                Page 3 of 23
Deposition of Heather Wissell 112 (May 15, 2013) (on file with Court as Ex. E to DSMF).2
Neither Plaintiff nor Dylan asked any further questions as to the number of procedures Dr.
Schmoker had performed, Dr. Schmoker’s statistical success/complication rates, whether there
were other surgeons more experienced than Dr. Schmoker in the procedure, and whether there
were other regional medical facilities better equipped than Fletcher Allen to accommodate Ross
Procedure patients. DSMF ¶¶ 4, 6.

        At the time of Dylan’s surgery, Dr. Schmoker had previously performed a total of nine
Ross Procedures at Fletcher Allen since 2004, two of which had resulted in complications.3
PSMF ¶ 7; DSMF ¶ 5 n.1. One complication involved a “small embolus” to the patient’s retinal
artery, causing a “very minor visual field defect,” meaning a “loss of sight in . . . part of his
peripheral vision.” Deposition of Joseph Schmoker 28 (on file with Court as Ex. 8 to PSMF).
The second complication involved the patient developing a “Dressler’s Syndrome, which is a
post-inflammatory syndrome with fluid buildup in the lungs and around the heart,” which
“required drainage of fluid and treatment with anti-inflammatory medications.” Id. This
information about Dr. Schmoker’s previous Ross Procedures—including the number of Ross
Procedures Dr. Schmoker had performed and the fact of the two complications—was not
communicated to Plaintiff or Dylan before Dylan’s surgery. PSMF ¶ 7; Deposition of Heather
Wissell 209–10 (on file with Court as Ex. 6 to PSMF).

         Plaintiff’s liability expert opines that, regarding the Ross Procedure, “there is a direct
relationship between risks and the amount of experience of the individual surgeon,” and that any
representation that Dr. Schmoker was “very experienced” or even “experienced” would be a
“misrepresentation of his experience with the Ross Procedure. Affidavit of Paul Stelzer ¶¶ 8, 10
(on file with Court as Ex. 4 to Pl.’s Resp. to Def.’s Mot. For Summ. J. (“PR”)). Although Dr.
Stelzer did not offer an opinion as to whether Dr. Schmoker deviated from the standard of care in
performing the Ross Procedure on Dylan, he opined that Dr. Schmoker’s performance “did
reflect his lack of experience with the procedure,” noting that the stitch spacing was inadequate,
the procedure was completed in less time than it normally takes an “experienced” surgeon to
perform, and that Dr. Schmoker failed to follow up on a “questionable x-ray” and order an
echocardiogram that “may very well have identified the bleeding prior to Dylan’s discharge.” Id.
¶ 11. Dr. Stelzer also offered his opinion that the Ross Procedure was indeed the “best option”
for Dylan, and that Dr. Schmoker was capable and qualified to perform the Ross Procedure.
DSMF ¶¶ 10–11. According to Dr. Stelzer, Dr. Schmoker’s training was “as good as you could
get, at that point in time.” Id. ¶ 11.




2
  Although Defendant denies that Dr. Schmoker responded that he was “very experienced,” Defendant is willing to
stipulate to that fact for the purposes of this motion only. Def.’s Mot. Summ. J. 7 n.5.
3
  Defendant contends that this figure does not include several Ross Procedures that Dr. Schmoker performed during
his fellowship. DSMF ¶ 5 n.1. Dr. Schmoker’s deposition testimony indicates that he performed six Ross Procedures
himself while in training between 1995 and 1998, and that he also assisted on at least four Ross Procedures during
this period. Deposition of Joseph Schmoker, M.D. 7–13 (Jan. 17, 2013) (on file with Court as Ex. 8 to PSMF).

                                                 Page 4 of 23
                                  CONCLUSIONS OF LAW

       Vermont statute provides that in a medical malpractice action, the plaintiff has the burden
of proving the following elements:

       (1) The degree of knowledge or skill possessed or the degree of care ordinarily
       exercised by a reasonably skillful, careful, and prudent health care professional
       engaged in a similar practice under the same or similar circumstances whether or
       not within the state of Vermont.

       (2) That the defendant either lacked this degree of knowledge or skill or failed to
       exercise this degree of care; and

       (3) That as a proximate result of this lack of knowledge or skill or the failure to
       exercise this degree of care the plaintiff suffered injuries that would not otherwise
       have been incurred.

12 V.S.A. § 1908. These statutory elements are consistent with the general elements required in a
tort claim based on negligence. See, e.g., Zukatis by Zukatis v. Perry, 165 Vt. 298, 301 (1996)
(citing O'Connell v. Killington, Ltd., 164 Vt. 73, 76 (1995)) (“Common law negligence has four
elements: a legal duty owed by defendant to plaintiff, a breach of that duty, actual injury to the
plaintiff, and a causal link between the breach and the injury.”).

       At the same time that § 1908 was added, the legislature also added § 1909 (originally
enacted as “§ 1910” but later renumbered to “§ 1909”), which was titled “Limitation of medical
malpractice action based on lack of informed consent.” See 1975 Vt. Acts & Resolves 368, No.
250, § 3 (Adj. Sess.). Section 1909 defines “lack of informed consent as either:

       (1) The failure of the person providing the professional treatment or diagnosis to
       disclose to the patient such alternatives thereto and the reasonably foreseeable
       risks and benefits involved as a reasonable medical practitioner under similar
       circumstances would have disclosed, in a manner permitting the patient to make a
       knowledgeable evaluation; or

       (2) The failure to disclose the information required by subsection (d) of this
       section.

12 V.S.A. § 1909(a). Subsection (d) of Section 1909 provides that “[a] patient shall be entitled to
a reasonable answer to any specific question about foreseeable risks and benefits, and a medical
practitioner shall not withhold any requested information.” Id. at § 1909(d). The statute provides
an affirmative defense where a “reasonably prudent person in the patient's position would have
undergone the treatment or diagnosis if he or she had been fully informed.” Id. at § 1909(c)(4).
The statute also requires judgment for the defendant as to any medical malpractice action based
solely on informed consent if, at the end of plaintiff’s case, “the plaintiff has failed to adduce
expert medical testimony in support of the allegation that he or she was not provided sufficient
information as required by [Section 1909(a)(1)]. Id. at § 1909(e).

                                           Page 5 of 23
         In moving for summary judgment, Defendant argues three points: (1) that Plaintiff
produced no evidence that Dylan would have declined the Ross Procedure had he been informed
of the alleged undisclosed risks; (2) that “physician-specific” information—such as a physician’s
statistical success/complication rate for a particular procedure and whether there are more
experienced surgeons at other medical facilities who could perform that procedure—cannot form
the basis of an informed consent claim under 12 V.S.A. § 1909; and (3) that a reasonable patient
in Dylan’s position would not have changed his mind based on a risk level of 5%, after
consenting to the procedure based on a risk level of 2%, or no reasonable jury could so conclude.

        Plaintiff counters that (1) as a matter of law, Plaintiff need not establish that Dylan would
have declined the Ross Procedure if informed of the alleged undisclosed risks and, alternatively,
Plaintiff has established that Dylan would have declined the procedure if properly informed; (2)
Dylan was entitled to a reasonable answer when Plaintiff asked the doctor about his experience
with the Ross Procedure, and the doctor’s answer that he was “very experienced” and “not to
worry” about that was inaccurate, misleading, and amounted to a withholding of requested
information; and (3) an individual’s decision to knowingly consent to major surgical procedure is
a product of numerous factors, including the surgeon’s experience, accurate information
regarding the risks of various surgical options, and an accurate description of the reasonable
alternatives, and that therefore a reasonable person in Dylan’s position would have changed his
mind if fully informed. The Court addresses each of these arguments in turn.

   I.      Subjective or “Particular Patient” Causation

        Defendant’s first basis for summary judgment raises the issue of causation, specifically
whether the plaintiff must prove subjective (particular patient) causation in a medical malpractice
action based on lack of informed consent in Vermont. The Court concludes that in an informed
consent action, subjective causation is part of the plaintiff’s burden of proof. Therefore, the
plaintiff must prove as part of the prima facie case that the particular patient (here, Dylan) would
have declined the procedure if he had been adequately informed about the benefits, risks, and
alternatives. In the instant case, the Court also concludes that Plaintiff has met her burden as to
this element because genuine issues of material fact exist as to whether Dylan would have
declined the procedure if adequately informed.

        The parties agree that the Vermont informed consent statute designates the lack of
objective causation as an affirmative defense. This is clear from the statutory language. See 12
V.S.A. § 1909(c)(4) (“It shall be a defense to any action for medical malpractice based upon an
alleged failure to obtain such an informed consent that . . . [a] reasonably prudent person in the
patient's position would have undergone the treatment or diagnosis if he or she had been fully
informed.”); see also Lubinsky v. Fair Haven Zoning Bd., 148 Vt. 47, 49 (1986) (court
effectuates legislative intent by first “examin[ing] the plain meaning of the language used in light
of the statute's legislative purpose”).

       Because the objective “reasonably prudent patient” standard is an affirmative defense, it
cannot also be a required element of the plaintiff’s action. If that were the case, plaintiff would
be required to prove—in order to satisfy the proximate cause element—that a reasonable person

                                           Page 6 of 23
in the patient’s position would not have undergone the treatment if adequately informed. If
plaintiff meets this burden, then according to Section 1909(c)(4), the defendant then has an
opportunity to reargue the same issue, to prove that a reasonable person in the patient’s position
would have undergone the treatment. Such a redundant situation would be nonsensical and
absurd, which is presumably why neither party has advanced that particular argument. See Delta
Psi Fraternity v. City of Burlington, 2008 VT 129, ¶ 7, 185 Vt. 129 (court will not interpret
statute so as to produce unreasonable or irrational results).

        The fact that the objective standard of causation is not an element of the plaintiff’s action
means that, following Plaintiff’s argument to its logical conclusion, the element of decisional
causation4 in a medical malpractice suit based on lack of informed consent would be effectively
eliminated. Such a result is contrary to the plain language of Sections 1908 and 1909, the
legislative intent behind those statutes, and basic principles of tort law. See Long Trail House
Condo. Ass'n v. Engelberth Const., Inc., 2012 VT 80, ¶ 26, 192 Vt. 322 (rejecting Maryland
court’s approach for “inconsisten[ce] with basic negligence principles”); Endres v. Endres, 2008
VT 24, ¶ 13, 185 Vt. 63 (2008) (noting that its approach in requiring plaintiff to show
defendant’s actual or constructive knowledge of STD infection was in “keeping with the general
principles underlying common-law negligence”). Section 1909 must be read in conjunction with
Section 1908, which was part of the same legislative enactment. See Christman v. Davis, 2005
VT 119, ¶¶ 8–10, 179 Vt. 99 (reading §§ 1908 and 1909 together in determining whether
medical malpractice statutes preempted a medical battery claim); Delta Psi Fraternity, 2008 VT
129, ¶ 7 (quoting Lubinsky, 148 Vt. at 50) (“The legislative ‘intent is most truly derived from a
consideration of not only the particular statutory language, but from the entire enactment, its
reason, purpose and consequences.’”). Section 1909 governs medical malpractice actions “based
on lack of informed consent,” and Section 1908 contains a clear subjective causation element.
There is no indication or suggestion that Section 1909 should be read to have eliminated or
somehow relaxed that element in informed consent cases.5 Therefore, the Court concludes that to
be successful in this action, Plaintiff must prove that the lack of informed consent was a

4
  “Decisional” causation is to be distinguished from “injury” causation. Both types of causation are required in an
informed consent claim. Decisional causation means that the patient would not have undergone the procedure if
fully informed of the risks (i.e., the lack of informed consent caused the patient to decide to undergo the procedure).
Injury causation, on the other hand, means that the patient’s injuries resulted from the actual procedure, rather than
from some other or superseding cause, and is generally an element of any negligence claim. See, e.g., Long Trail
House Condo. Ass'n v. Engelberth Const., Inc., 2012 VT 80, ¶ 26, 192 Vt. 322 (noting that an element of common
law negligence is a “causal link between the breach and the injury”). The Court makes this distinction simply to
clarify that “injury” causation, although a required element of Plaintiff’s case, is not a contested issue for the
purposes of this motion. Only the “decisional” aspect of the causation element is addressed here.
5
  Plaintiff spends a considerable number of pages detailing the legislative history of Sections 1908 and 1909,
essentially arguing that the law on informed consent is set forth only in § 1909, and that because the element of
particular patient causation is not explicitly provided in § 1909, the legislative intent must have been to eliminate
that element from an informed consent claim. See Pl.’s Resp. to Def.’s Mot. Summ. J. 6–10 and Exs. 11–15.
Plaintiff’s argument is unpersuasive. The Court observes that § 1909 also does not explicitly provide for the element
of injury causation. Does Plaintiff mean to suggest, then, that she need not prove that the patient’s injury resulted
from the procedure to which the patient consented? Section 1909 also does not explicitly provide for the element of
harm. Does Plaintiff similarly contend that she need not prove that the patient suffered any actual harm, a basic
element of any tort claim? Plaintiff’s argument, taken to its logical conclusion, is completely nonsensical, and
ignores basic principles of statutory interpretation. See, e.g., Delta Psi Fraternity, 2008 VT 129, ¶ 7.


                                                   Page 7 of 23
proximate cause of Dylan’s death, by showing that Dylan would not have undergone the Ross
Procedure if he had been fully informed.6

        Although Vermont case law has not directly addressed this issue, to the extent it has, it
either supports this Court’s conclusion or is not inconsistent. The Vermont Supreme Court stated
in Small v. Gifford Memorial Hospital that “the evidence relative to the differing response by the
particular patient had he or she received the information as to the risks involved has relevance as
to proof of causation, necessary to support recovery.” 133 Vt. 552, 558 (1975). The Court further
declared that the physician’s failure to furnish material information is “causative if it results in
consent otherwise not forthcoming.” Id. The Small decision clearly indicates that a subjective
standard of causation is required in an informed consent action.

        In a later case, Macey v. James, the Court rejected the plaintiff’s proposed jury charge as
to the causation element. 139 Vt. 270, 272 (1981). In affirming the trial court’s refusal to charge
the jury as requested by plaintiff, the Court explained that in a medical malpractice action based
on lack of informed consent:

        the patient must show that the injuries he has suffered were caused by the
        physician's failure to disclose the risks associated with the procedure. This usually
        means that the plaintiff must show that a reasonable person would not have
        consented to the procedure if he had known of the risks involved. The charge
        offered by the plaintiff was incorrect because it did not require the plaintiff to
        show that his injuries were caused by the defendant's failure to warn of the risks
        of the angiogram.

        Id. (internal citations omitted) (emphasis added). Although the Court suggested here that
objective causation was a required element of the plaintiff’s case—which seems contrary to
Small—the Court’s holding in Macey was based on New Hampshire law at the time, which the
parties had agreed was controlling in that case. Id.

       The third major Vermont case on informed consent dealt with wrongful conception
following a vasectomy. See Begin v. Richmond, 150 Vt. 517 (1988).7 Plaintiffs husband and wife

6
  The Court notes that, although model jury instructions are “not blessed with any special precedential or binding
authority,” McDowell v. Calderon, 130 F.3d 833, 840 (9th Cir. 1997), they can be quite instructive, and indeed the
Vermont Supreme Court has cited to model instructions as persuasive support. See, e.g., Barber v. LaFromboise,
2006 VT 77, ¶ 16, 180 Vt. 150 (citing to Dinse et al., Vermont Jury Instructions: Civil and Criminal § 7.28, at 7–79
(1993), for proposition that court must instruct on defendant’s burden of proof regarding comparative negligence).
For whatever precedential value it may be worth, the Court observes that at least two sets of model jury instructions
require a subjective “particular patient” causation standard in a medical malpractice action based on lack of
informed consent. See Vermont Bar Association, Vermont Civil Jury Instruction Committee, Plain English Jury
Instructions § 7.4 (updated Nov. 1, 2007) (“To win this claim, [name of plaintiff] must prove all three of the
following: . . . (2) If [name of plaintiff] had known about these risks, benefits and alternatives, [he/she] probably
would not have agreed to have the [treatment/procedure]”); Vermont Trial Lawyers Association, Vermont Pattern
Jury Instructions for Personal Injury Cases § 3.6(a) (1995) (“Furthermore, [he][she] must show that if [he][she] had
been given the required information [he][she] would not have proceeded.”) (italics in original).
7
 Another Vermont Supreme Court decision, issued between Macey and Begin, briefly discussed informed consent.
See Perkins v. Windsor Hosp. Corp., 142 Vt. 305 (1982). However, to the extent Perkins dealt with informed

                                                  Page 8 of 23
sued the doctor, alleging that he was negligent in failing to warn of the possibility of
recanalization after the eighth month following the surgery, and that they had relied on his
statements that the vasectomy was a total success by discontinuing other contraception methods.
Id. at 519. The trial court ruled that this was not an informed consent case, however, partly
because plaintiffs had not pled that theory, and therefore the case was charged to the jury as a
standard medical malpractice case with the elements provided in 12 V.S.A. § 1908 rather than an
informed consent case with the elements of § 1909. Id. at 520. The Supreme Court held that
plaintiffs made a sufficient showing to go to the jury on a traditional medical malpractice theory.
Id. at 521.

        The defendant’s main argument in Begin, however, was that plaintiffs’ case was
governed by the informed consent statute and not the general malpractice statute, “because the
informed consent statute covers any claim based on a ‘failure to disseminate proper information
with regard to medical procedures.’” Id. at 522. This argument, held the Court, misapprehended
the nature of the theory of informed consent. Id. Writing for the Court, Justice Dooley explained
that the doctrine of informed consent was first recognized in Vermont in Small v. Gifford “as an
addition to the then-existing theories on which a medical care provider could be found liable for
malpractice. . . . in order to get around the often insurmountable obstacle of producing expert
testimony to show the defendant was negligent.” Id. The legislature then codified the doctrine of
informed consent “in part to freeze its development well short of strict liability.” Id. at 523.
Therefore, the Court concluded, the informed consent statute does not foreclose a traditional
medical malpractice action pursuant to 12 V.S.A. § 1908 based on failure to disseminate proper
information regarding medical procedures. Id. at 523–24.

        Although the Court’s main focus in Begin was the scope of a traditional malpractice
action under § 1908, it briefly discussed the causation element of § 1909. “Like the common law
rule announced in Small, a prerequisite to liability [under the statute] is that a reasonable patient
would not have given consent to the medical procedure if he had fully known of the risks.” Id.
(citing 12 V.S.A. § 1909(c)(4); Macey, 139 Vt. at 272). The Court further clarified in a footnote
that:

        There is one difference between the common law as announced in Macey v.
        James and Small and the requirements of the statute. Under the cases, the non-
        consent element is part of the plaintiff's burden. See Macey v. James, 139 Vt. at
        272. The statute makes nonconsent by the fully informed reasonably prudent
        patient an affirmative defense. 12 V.S.A. § 1909(c)(4).

Begin, 150 Vt. 517, 523 n.2. Although Begin explicitly states that objective causation (or the
absence thereof) is an affirmative defense under the statute and part of the plaintiff’s burden
under the common law, see id. at 523 n.2, it does not directly address whether a subjective non-
consent element is part of the plaintiff’s burden. However, it makes clear that the objective
standard of causation is the defendant’s burden rather than the plaintiff’s, meaning that there


consent, it dealt only with the sufficiency of expert medical evidence to support an informed consent claim. Id. at
308–10; see also 12 V.S.A. § 1909(e) (requiring plaintiff to “adduce expert medical testimony in support of the
allegation that he or she was not provided sufficient information as required by [Section 1909(a)(1)]”).

                                                  Page 9 of 23
must be a subjective test of causation that is part of the plaintiff’s case; otherwise, the element of
decisional causation in the prima facie case would be non-existent.8 9

        Plaintiff expresses concern that requiring particular patient causation is a minority
position. It is true that most jurisdictions employ an objective standard, and some courts have
expressly rejected subjective causation in favor of objective causation. Those courts have
contended that subjective causation would be “based solely on the plaintiff’s testimony,” and that
testimony would be “unreliable due to its speculative nature, hindsight, bitterness, and bias.” See
Evelyn M. Tenenbaum, Revitalizing Informed Consent and Protecting Patient Autonomy: An
Appeal to Abandon Objective Causation, 64 Okla. L. Rev. 697, 728 (2012) (citing Canterbury v.
Spence, 464 F.2d 772, 791 (D.C. Cir. 1972); McPherson v. Ellis, 287 S.E.2d 892, 896 (N.C.
1982). The plaintiff would give “a speculative answer to a hypothetical question” as to whether
he would have “decided differently knowing something he did not know,” and some courts have
found this testimony to have “so much uncertainty that its credibility is minimal.” Id. (quoting
Canterbury, 464 F.2d at 791; Roybal v. Bell, 778 P.2d 108, 117 (Wyo. 1989) (Urbigkit, J.,
dissenting)). Additionally, courts have observed that subjective causation could preclude
recovery if the patient died prior to trial, because after death, the patient obviously cannot testify
as to what he would have decided if fully informed. See Ashe v. Radiation Oncology Associates,
9 S.W.3d 119, 122 (Tenn. 1999); Roybal, 778 P.2d 108, 112; Fain v. Smith, 479 So.2d 1150,
1155 (Ala. 1985). This latter point is Plaintiff’s primary concern, because here the patient has
died and thus cannot testify. The Court first notes that the patient’s testimony is not the sole
means by which a patient can prove subjective decisional causation. Cf. Wilkins v. Lamoille
County Mental Health Services, Inc., 2005 VT 121, ¶ 12, 179 Vt. 107. Like intent in criminal
cases, decisional causation can be also proven by the surrounding circumstances. See, e.g., State
v. Johnson, 2013 VT 116, ¶¶ 29–30; State v. Cole, 150 Vt. 453, 456 (1988). Moreover, this Court
will not relax the decisional causation element because the patient’s death has created a potential
barrier to proof. That is a matter involving public policy considerations best addressed by the
legislature. See Wilkins, 2005 VT 121, ¶ 10–12 (“We recognize . . . the difficulties of proof that
may inhere in meeting the traditional causation standard in malpractice cases, and the potentially

8
  Another reasonable inference as to the Supreme Court’s position on this issue results from an omission in Begin.
Although the Court summarized the defendant’s argument to the trial court as to why a directed verdict motion
should have been granted, including defendant’s contention that plaintiffs did not meet the elements of 12 V.S.A. §
1909 “because they failed to show that [husband] would not have had the vasectomy operation if he knew the
omitted facts,” the Court did not comment on defendant’s assertion that the informed consent statute included a
subjective non-consent element as part of the plaintiff’s burden. Begin, 150 Vt. at 519–20. It was not necessary to
address this point because, as discussed above, the main issue in Begin involved the application of the standard
medical malpractice elements in § 1908 (rather than the informed consent elements in § 1909) to plaintiffs’ wrongful
conception claim. Id. at 522–24. Nonetheless, the Court’s failure to comment on or otherwise qualify defendant’s
assertion that § 1909 contains a subjective causation element raises, at the very least, a reasonable inference that
defendant’s subjective causation assertion was an accurate statement of the law.
9
  The Federal District Court for the District of Vermont also briefly discussed § 1909 in Short v. United States, 908
F.Supp. 227, 237-38 (Vt. 1995). The court concluded that the evidence did not support plaintiff’s informed consent
claim because a reasonable patient presented with the doctor’s preliminary diagnosis would have chosen the same
treatment option of watchful waiting. Id. at 238. However, the court’s decision is of little guidance because it
contained virtually no analysis for this conclusion. Although decisions of federal district courts are not binding on
state courts, see, e.g., State v. Cate, 165 Vt. 404, 414-415 (1996); State v. Austin, 165 Vt. 389, 393-394 (1996), this
Court does note the district court’s general statement that it “does not interpret § 1909 as imposing on a physician a
general duty to inform a patient of each and every possible risk of treatment.” Short, 908 F.Supp. at 238.

                                                   Page 10 of 23
harsh outcomes that may result. . . . Such complexity does not, however, militate in favor of
lowering the causation threshold.”); see also Smith v. Parrott, 2003 VT 64, ¶¶ 12–14, 175 Vt.
375.

        Additionally, courts and commentators have described policy considerations that
advocate subjective causation and oppose objective causation. The objective test of causation,
“denying recovery unless reasonable people would have refused the operation—is more or less
unique to the medical informed consent cases,” although it seems to be followed in most states.
Dan Dobbs, The Law of Torts § 250, at 657 (2001); see also Tenenbaum, supra at 716 n.109
(collecting cases and statutes, and listing only four states that explicitly follow a subjective
standard in informed consent cases: New Hampshire, Rhode Island, Oklahoma, and Oregon).
The rule is unique because it “does not reflect the causation requirement” but imposes an
“additional and most unusual obstacle.” Id. Dobbs explains that the rule’s real effect is to “limit
the defendant’s duty of disclosure for the protection of patients who have the same feelings about
the risks and advantages of the operation that the mainstream of reasonable people would have.”
Id. Thus, “[t]he special concerns of an individual get no protection under this rule and ‘a
patient’s right of self-determination is irrevocably lost.’ The underlying right of the patient to
decide for herself becomes a right to decide only so long as people in general would think her
decisions reasonable.” Id. Another commentator writes that objective causation is “unfaithful” to
the “underlying ideals” and “primary purpose” of informed consent laws, namely individual
patient autonomy. Tenenbaum, supra at 718–19; see also Scott v. Bradford, 606 P.2d 554, 559
(Okla. 1979) (observing that the “‘reasonable man’ approach has been criticized by some
commentators as backtracking on its own theory of self-determination. [It] certainly severely
limits the protection granted an injured patient.”).

        The Court further observes that, although the vast majority of states follow an objective
standard, even those states differ in the objective standard’s precise application. Some courts and
legislatures have added a subjective component to an otherwise objective causation standard in
order to allow juries to take the individual’s patient’s needs into account. See Tenenbaum, supra
at 725–27 n.155–66 (collecting cases and statutes); see also Alan J. Weisbard, Informed
Consent: The Law's Uneasy Compromise with Ethical Theory, 65 Neb. L. Rev. 749, 758 (1986).
For example, while some jurisdictions suggest that a particular patient’s testimony as to whether
he or she would have consented is irrelevant to the objective standard, see, e.g., Schreiber v.
Physicians Ins. Co. of Wis., 588 N.W.2d 26, 33 (Wis. 1999) (“The objective test . . . focuses on
what the attitudes and actions of the reasonable person in the position of the patient would have
been rather than on what the attitudes and actions of the particular patient of the litigation
actually were.”), other jurisdictions provide that a particular patient’s testimony is relevant,
although not determinative. See, e.g., Boone v. Goldberg, 396 Md. 94, 124 (2006) (under the
objective standard, “the patient’s hindsight testimony as to what he would have hypothetically
done, though relevant, is not determinative of the issue”); Funke v. Fieldman, 512 P.2d 539, 550
(Kan. 1973) (patient’s testimony is relevant as to objective causation, “but should not be
controlling”); Roybal v. Bell, 778 P.2d 108, 112 (Wyo. 1989) (“Under the objective test, the
patient's hindsight testimony is relevant but not controlling.”).

       In the end, however, the Court’s legal conclusion that Plaintiff must prove subjective
causation as an element of her case-in-chief does not mandate summary judgment for Defendant,

                                          Page 11 of 23
because the Court finds that Plaintiff has demonstrated that genuine issues of material fact exist
as to whether Dylan would have undergone the Ross procedure if fully informed. Plaintiff has
submitted evidence showing that Dylan had cancelled a previously scheduled Ross Procedure in
October 2009. See PSMF ¶ 14. Dylan remained “very anxious” about the procedure in February
2010, and asked Dr. Schmoker for an increase in his anxiety medication. PSMF ¶ 14. Dylan and
mother struggled with whether to undergo the surgical procedure, and which procedure to
undergo. Deposition of Joseph Schmoker 47 (Ex. 8 to PSMF). This evidence tends to show that
Dylan was on the fence about whether to undergo the procedure, and was therefore more likely
than not to have decided against undergoing the procedure if fully informed of the risk level and
Dr. Schmoker’s experience, or so a jury could reasonably conclude. This is enough to avoid
summary judgment as to the subjective causation element. Additionally, Dylan and Plaintiff
would write notes back and forth to each other during medical appointments, and Plaintiff
apparently spoke for Dylan much of the time. PSMF ¶ 14. This special relationship between
Dylan and Plaintiff tends to support Plaintiff’s testimony that had she been fully informed about
Dr. Schmoker’s experience with the Ross procedure, neither she nor Dylan would have
consented to the procedure. PSMF ¶ 14. Although Plaintiff’s testimony in this regard is indeed
speculative and would not be enough, by itself, to survive summary judgment, the evidence of
Plaintiff’s relationship with Dylan gives it a bit more weight than it would otherwise have, and
buttresses this Court’s denial of summary judgment as to subjection causation.

        The ultimate credibility of the evidence detailed above is not for the Court to determine,
but for the jury as finders of fact. In determining a summary judgment motion, the court must
draw all reasonable inferences in favor of the non-moving party. Based on the evidence
presented, a jury could reasonably conclude that Dylan would not have undergone the Ross
Procedure if fully informed. Although Dylan’s death obviously prevents him from testifying as
to what he would have done, the evidence of his emotional effect at the time of consent is
relevant circumstantial evidence as to whether he would have declined the procedure with
additional information, and is enough to avoid summary judgment. Therefore, summary
judgment is denied as to Plaintiff’s claim under either § 1909(a)(1) or § 1909(d) in response to
Defendant’s first argument regarding the element of subjective causation.

   II.     Duty to Provide Physician-Specific Information

        Defendant’s second argument for summary judgment raises two distinct issues: (1)
whether Defendant had an affirmative duty under 12 V.S.A. § 1909(a)(1) to disclose “physician-
specific” information to the patient, such as Defendant’s success/complication rate with the Ross
Procedure, and the availability of other facilities or more experienced surgeons who could have
performed the procedure; and (2) whether Defendant had a responsive duty under § 1909(d) to
disclose such information as a result of Plaintiff’s question about Defendant’s experience. These
are both issues of first impression in Vermont. The Court addresses each issue in turn.

   A. Affirmative Duty under § 1909(a)(1)

        The Court holds that “physician-specific” information cannot form the basis for an
informed consent claim under 12 V.S.A. § 1909(a)(1). Section 1909(a)(1) limits the required
disclosure to the reasonably foreseeable risks and benefits of the treatment and alternatives
thereto, and physician-specific information (i.e., a physician’s experience, success/complication
                                          Page 12 of 23
rate, etc.) is precluded from an informed content claim because the duty to disclose under
Vermont’s statute is based on a “reasonable physician standard” rather than a “reasonable patient
standard.” As a matter of law, physicians do not have an affirmative duty to disclose such
“physician-specific” information to the patient. Here, therefore, Dr. Schmoker did not have a
duty to affirmatively disclose his experience with the Ross Procedure to Dylan under §
1909(a)(1).

        Vermont’s informed consent statute employs a “professional” duty standard, as opposed
to a patient-centered standard. Physicians have a duty to disclose “as a reasonable medical
practitioner under similar circumstances would have disclosed, in a manner permitting the
patient to make a knowledgeable evaluation.” 12 V.S.A. § 1909(a)(1). Although the Vermont
Supreme Court has not addressed whether this duty to disclose under § 1909(a)(1) encompasses
so-called “physician-specific” information, New York’s informed consent statute is similar to the
Vermont statute, see N.Y. Pub. Health Law § 2805-d (McKinney's),10 and New York courts have
barred physician-specific information from forming the basis for an informed consent claim,
holding that informed consent does not require disclosure of the qualifications of personnel
providing the professional treatment. See, e.g., Johnson v. Jacobowitz, 884 N.Y.S.2d 158,

10
     The full text of New York’s informed consent statute reads as follows:

           1. Lack of informed consent means the failure of the person providing the professional treatment
           or diagnosis to disclose to the patient such alternatives thereto and the reasonably foreseeable risks
           and benefits involved as a reasonable medical, dental or podiatric practitioner under similar
           circumstances would have disclosed, in a manner permitting the patient to make a knowledgeable
           evaluation.

           2. The right of action to recover for medical, dental or podiatric malpractice based on a lack of
           informed consent is limited to those cases involving either (a) non-emergency treatment,
           procedure or surgery, or (b) a diagnostic procedure which involved invasion or disruption of the
           integrity of the body.

           3. For a cause of action therefor it must also be established that a reasonably prudent person in the
           patient's position would not have undergone the treatment or diagnosis if he had been fully
           informed and that the lack of informed consent is a proximate cause of the injury or condition for
           which recovery is sought.

           4. It shall be a defense to any action for medical, dental or podiatric malpractice based upon an
           alleged failure to obtain such an informed consent that:

                    (a) the risk not disclosed is too commonly known to warrant disclosure; or
                    (b) the patient assured the medical, dental or podiatric practitioner he would undergo the
                    treatment, procedure or diagnosis regardless of the risk involved, or the patient assured
                    the medical, dental or podiatric practitioner that he did not want to be informed of the
                    matters to which he would be entitled to be informed; or
                    (c) consent by or on behalf of the patient was not reasonably possible; or
                    (d) the medical, dental or podiatric practitioner, after considering all of the attendant facts
                    and circumstances, used reasonable discretion as to the manner and extent to which such
                    alternatives or risks were disclosed to the patient because he reasonably believed that the
                    manner and extent of such disclosure could reasonably be expected to adversely and
                    substantially affect the patient's condition.

N.Y. Pub. Health Law § 2805-d (McKinney's).

                                                     Page 13 of 23
162 (N.Y. App. Div. 2d Dep’t 2009) (court correctly precluded evidence that surgeon did not
have proper credentials to perform heartport procedure, because informed consent does not
require disclosure of treatment provider’s qualifications); Abram v. Children's Hosp. of Buffalo,
542 N.Y.S.2d 418–19 (N.Y. App. Div. 4th Dep’t 1989) (plaintiffs could not proceed in informed
consent action on ground that patient was never fully or properly informed that nurse
anesthesiologist, student physician, and/or obstetrics/gynecology resident were to “participate
vitally in administration of anesthetic during her surgery,” because statutory definition of
informed consent “covers disclosure of alternatives to treatment, and risks and benefits involved
in treatment; it cannot reasonably be read to require disclosure of qualifications of personnel
providing that treatment”); Zimmerman v. New York City Health and Hospitals Corp., 458
N.Y.S.2d 552, 554 (N.Y. App. Div. 1983) (jury instructions were improper insofar as they could
have been interpreted as suggesting that “a failure to state explicitly details as to surgeon's
training and experience was a factor that might properly be considered” in determining whether
there was informed consent to operation); Henry v. Bronx Lebanon Medical Center, 385
N.Y.S.2d 772, 775 (N.Y. App. Div. 1976) (issue of alleged failure to obtain patient’s consent to
have resident deliver her baby under direct supervision of physician should not have been given
to the jury, where it was hospital’s custom for all obstetricians to allow residents in their training
to handle complicated deliveries); Cipriano v. Ho, 908 N.Y.S.2d 552, 554–55 (N.Y. Sup. 2010)
(failure to disclose professional misconduct determination or related penalty cannot support
informed consent action, even if expert opinion that failure to disclose constitutes departure from
good and accepted medical practice).

        New York’s treatment of physician-specific information as to informed consent claims is
in line with a number of other jurisdictions. See, e.g., Whiteside v. Lukson, 89 Wash. App. 109,
110–11 (1997) (Washington courts have not adopted the more expansive construction of the
physician’s duty to disclose; therefore, following traditional approach, “a surgeon's lack of
experience in performing a particular surgical procedure is not a material fact for purposes of
finding liability predicated on failure to secure an informed consent”); Foard v. Jarman, 326
N.C. 24, 31 (N.C. 1990) (North Carolina statute imposed no affirmative duty on provider to
discuss his or her experience, and court refused to impose such a duty “where plaintiff's
allegations are founded on her speculative and erroneous assumptions about the location of
defendant's surgical experience”); Wlosinski v. Cohn, 269 Mich. App. 303, 308-09 (2005) (“As a
matter of law, . . . a physician's raw success rates do not constitute risk information reasonably
related to a patient's medical procedure.”); Ditto v. McCurdy, 86 Haw. 84, 90 (1997) (informed
consent does not require physicians to affirmatively disclose their qualifications or lack thereof
to a patient). There are legitimate public policy concerns surrounding the concept of required
disclosure of physician-specific information. As one court has explained, “[u]nder this expansive
approach, facts such as the physician's statistical success rate, or history of malpractice claims,
could also be considered material. . . . In theory, the physician's own health, financial situation,
even medical school grades, could be considered material facts a patient would want to consider
in consenting to treatment by that physician.” Whiteside, 89 Wash. App. at 112 (citing 48 Okla.
L.Rev. at 751; Aaron D. Twerski, Comparing Medical Providers: A First Look at the New Era of
Medical Statistics, 58 Brook. L.Rev. 5, 28-29 (1992)); see also Willis v. Bender, 596 F.3d 1244,
1256 (10th Cir. 2010) (predicting that “Wyoming would find such an expansion of a physician’s
informed consent duties to be overly burdensome to physicians”).



                                           Page 14 of 23
         This Court finds the reasoning of these other jurisdictions’ decisions logical and
persuasive, and finds the New York courts’ decisions particularly instructive considering the
similarity between N.Y. Pub. Health Law § 2805-d(1) and 12 V.S.A. § 1909(a)(1). In fact, the
language of Subsection 1 of the New York statute and Subsection (a)(1) of the Vermont statute
are virtually identical such that, in the absence of Vermont case law regarding physician-specific
information in informed consent claims, this Court adopts the New York courts’ reasoning. See
Human Rights Comm'n v. Benevolent & Protective Order of Elks, 2003 VT 104, ¶ 13, 176 Vt.
125 (“[w]here there are similar statutes in other jurisdictions, we are also guided by the
interpretations of those statutes”). Physicians and medical practitioners do not have an
affirmative duty to disclose physician-specific information to the patient, such as a physician’s
statistical success/complication rate concerning a particular procedure, the existence of more
experienced physicians who could perform the procedure, or the availability of other facilities
better equipped to handle the procedure. Plaintiff has not articulated why § 1909(a)(1) should be
interpreted any differently than the identical New York statute, and the Court sees no reason to
do so. Here, because the information about Dr. Schmoker’s personal experience in performing
the Ross Procedure, by itself, is not related to a reasonably foreseeable risk inherent to the actual
procedure, Dr. Schmoker had no affirmative duty to disclose such information to Dylan under §
1909(a)(1).

        To be sure, there is contrary authority. As observed by Dan Dobbs, “[e]xperience and
success rate of the physician or surgeon are relevant, not to the decision to accept treatment, but
to the decision to accept it at the hands of the defendant.” Dobbs, The Law of Torts § 251 at 660
(2001). Some authority has declared that patients are “entitled to information concerning the
treating physician’s experience with the particular procedure,” or at least are so entitled “under
particular circumstances.” Id. at 661 (citing Hales v. Pittman, 118 Ariz. 305, 312 (1978)
(physician’s prior surgical results were relevant to informed consent issue of battery claim);
Bloskas v. Murray, 646 P.2d 907, 914–15 (Colo. 1982) (in misrepresentation claim analogous to
informed consent claim, evidence that surgeon told patient he had performed ankle replacements
when he had not was sufficient for jury)). The Arizona Supreme Court has explained this
position as follows:

       To properly weigh the advantages of elective surgery with its attributable
       disadvantages, a person needs information not only concerning the statistical
       probabilities of various adverse results which have been encountered by other
       physicians, but also one is entitled to information concerning the treating
       physician's experience with the particular procedure. For example, assume that as
       a reasonable medical probability only three percent of all patients die during a
       given procedure. The meaning of this statistic becomes quite another matter if Dr.
       “A” has never attempted the operation; Dr. “B” has performed 100 operations
       with a one percent mortality rate and Dr. “C” has encountered a 15 percent
       mortality rate in his 40 operations. Yet, if the only information given the patient
       was the general statistical abstract for the United States, how could that person
       intelligently determine which, if any, of these physicians to choose?

Hales, 118 Ariz. at 312. The Tenth Circuit also listed a number of cases concluding that
“physician-specific information such as experience is relevant to the informed consent issue and

                                           Page 15 of 23
physicians have a duty to voluntarily disclose such information prior to obtaining a patient’s
consent.” Willis v. Bender, 596 F.3d 1244, 1255 (10th Cir. 2010) (citing Moore v. Regents of the
Univ. of Cal., 51 Cal.3d 120, 271 Cal.Rptr. 146, 151-52 (1990) (failure to inform patient of
physician's research and economic interests in procedure prior to conducting it); Barriocanal v.
Gibbs, 697 A.2d 1169, 1170, 1173 (Del. 1997) (failure to disclose that physician had not recently
performed aneurism surgery and there were other nearby hospitals that specialized in aneurism
surgery); Hidding v. Williams, 578 So.2d 1192, 1198 (La. Ct. App. 1991) (failure to inform
patient that physician suffered from alcohol abuse at the time of the proposed surgery); Goldberg
v. Boone, 396 Md. 94, 912 A.2d 698, 717 (2006) (failure to inform patient there were other more
experienced surgeons in the region that could perform the proposed procedure); Johnson v.
Kokemoor, 199 Wis.2d 615, 545 N.W.2d 495, 504-08 (1996) (failure to disclose to patient there
are substantially different morbidity and mortality rates of the proposed procedure depending on
the physician's experience, for example, an unusually complicated and dangerous brain surgery)).
But, as the Tenth Circuit observed, the above cases utilize a reasonable patient standard in
determining the scope of a physician’s informed consent disclosure, “looking to whether a
reasonable person in the patient’s position would consider the information material to his
decision” to undergo the procedure. See Willis, 596 F.3d at 1255-56 (citing Moore, 271 Cal.Rptr.
at 150; Barriocanal, 697 A.2d at 1172-73; Hidding, 578 So.2d at 1195; Goldberg, 912 A.2d at
716; Howard v. Univ. of Med. & Dentistry of N.J., 172 N.J. 537, 554–57 (2002); Johnson, 545
N.W.2d at 501-02). The scope of disclosure is different in a jurisdiction applying a traditional or
professional standard, such as New York or Vermont, “asking what a reasonable practitioner of
like training would have disclosed in the same or similar circumstances.” Id.

        The Court’s legal conclusion, however, does not mandate summary judgment as to
Plaintiff’s claim under § 1909(a)(1). Plaintiff can still prove her § 1909(a)(1) claim by showing
that Dr. Schmoker failed to disclose an accurate risk level of the Ross Procedure, which is not
physician-specific information. An inaccurate representation of the risk level of a particular
procedure can certainly fall within the scope of a “failure . . . to disclose to the patient . . . the
reasonably foreseeable risks . . . involved as a reasonable medical practitioner under similar
circumstances would have disclosed,” 12 V.S.A. § 1909(a)(1), and Defendant appears to concede
that this particular subject matter is appropriate for a claim under § 1909(a)(1). See Def.’s Mot.
Summ. J. (“DMSJ”) 13–14. Plaintiff has submitted expert medical evidence to support this claim
as required by § 1909(e); therefore, summary judgment is not appropriate for Plaintiff’s §
1909(a)(1) claim in response to Defendant’s argument that there was no duty to disclose
physician-specific information.

   B. Responsive Duty under § 1909(d)

        The second issue is—even if there is no affirmative duty under § 1909(a)(1)—whether a
physician’s statutory responsive duty under § 1909(d) encompasses physician-specific
information. In the present case, two considerations are particularly persuasive. First, Vermont’s
informed consent statute adds a subjective element to the physician’s duty to disclose by
requiring the physician to provide a reasonable answer to any specific question posed by the
patient. See 12 V.S.A. § 1909(d). Although § 1909(a)(1) limits the required disclosure to risks
and benefits inherent to the treatment or procedure, see supra, the scope of disclosure required
by § 1909(d) clearly goes further. Second, Plaintiff has submitted expert evidence tending to

                                           Page 16 of 23
show that Dr. Schmoker’s alleged lack of experience increased the risk for Dylan in undergoing
the procedure, unlike cases from other jurisdictions where no such evidence was offered. See
infra. So-called “physician-specific information” can fall within the scope of § 1909(d).
Therefore, Plaintiff’s claim under § 1909(d) is not barred as a matter of law simply because it is
based on physician-specific information.

         Although the Vermont and New York informed consent statutes are similar, they are not
fully identical. Vermont’s statute is unique in that it also defines “lack of informed consent” as a
failure by a medical practitioner to provide a “reasonable answer to any specific question about
foreseeable risks and benefits.” 12 V.S.A. § 1909(d). Furthermore, “a medical practitioner shall
not withhold any requested information.” Id. New York’s informed consent statute contains no
similar provision. See N.Y. Pub. Health Law § 2805-d (McKinney's). Therefore, although
Defendant does not have a duty to affirmatively disclose physician-specific information
regarding his experience and whether there were more experienced surgeons or other medical
facilities in the region, he may have a duty to disclose this information in response to Plaintiff’s
question regarding his experience, depending on the question.

        Like the affirmative duty issue discussed above, Vermont courts have not addressed
whether physician-specific information can form the basis for a claim under the responsive duty
of § 1909(d). As to other jurisdictions, “[o]nly a few courts have addressed this question, and . . .
there is a split of authority.” Willis, 596 F.3d at 1256. Courts in Wisconsin, New Jersey, and
Minnesota, as well as the Tenth Circuit in applying Wyoming law, have concluded that
physicians have a duty to truthfully answer a patient’s question regarding physician-specific
information, while courts in Connecticut and Pennsylvania have gone the other way. This Court
briefly addresses each of those decisions in turn, and finds that they provide further support for
this Court’s conclusion.

        In Johnson v. Kokemoor, the plaintiff allegedly questioned the defendant surgeon about
his experience, and he responded that he had performed the surgery “several times.” 199 Wis.2d
615, 624 (1996). When she asked what he meant by “several,” he said “dozens” and “lots of
times.” Id. It turned out that he actually had relatively little experience with the type of procedure
performed on plaintiff. Id. at 624–25. The Wisconsin Supreme Court concluded that evidence of
the surgeon’s limited experience was properly admitted because “[a] reasonable person in the
plaintiff’s position would have considered such information material in making an intelligent and
informed decision about the surgery.” Id. at 641.

        In Howard v. Univ. of Med. & Dentistry of N.J., prior to the surgery, the patient’s wife
had asked the defendant surgeon whether he was board-certified, to which the defendant
responded in the affirmative. 172 N.J. 537, 543 (2002). He also told them he had substantial
experience with the proposed surgery, performing approximately 60 corpectomies in each of the
last 11 years. Id. According to the patient’s wife, it was only after the defendant’s claim of skill
and experience that she and her husband consented to the surgery. Id. at 543–44. In fact, the
defendant was not board-certified and he had significantly overrepresented his experience with
the surgery, apparently having performed only “a couple dozen” during his career. Id. at 544.
The New Jersey Supreme Court concluded that the Howards had stated a lack of informed
consent claim, and explained that while a doctor does not have a duty to detail his background

                                           Page 17 of 23
and experience to obtain the patient’s consent, a doctor’s “significant misrepresentations
concerning [his] qualifications can affect the validity of the consent obtained.” Id. at 555. The
defendant’s misrepresentations induced plaintiff to consent to a procedure that he would not have
undergone if truthfully informed about the doctor’s qualifications; “[s]tripped to its essentials,
plaintiff’s claim is founded on lack of informed consent.” Id. at 556. See also Paulos v. Johnson,
597 N.W.2d 316, 320 (Minn. Ct. App. 1999) (observing that, because defendant misrepresented
his status as a board-certified physician as a precursor to patient’s surgery, “the claims present a
pure informed consent issue”).

        The Supreme Court of Pennsylvania reached the opposite conclusion in Duttry v.
Patterson, 565 Pa. 130 (2001). In Duttry, a patient sued a surgeon, alleging that the surgeon, in
response to pre-surgery queries, exaggerated his experience in performing the surgical procedure
in question. Id. at 133. The doctor allegedly told the patient that he had performed this particular
procedure approximately once every month, although he had apparently performed this
procedure only nine times in the preceding five years, “a frequency far below the once a month
figure he allegedly gave Duttry.” Id. On appeal, the Supreme Court of Pennsylvania held that
evidence of the doctor’s prior experience was inadmissible at trial, because “information
personal to the physician, whether solicited or not, is irrelevant to the doctrine of informed
consent.” Id. at 137. The court explained:

       Furthermore, we note that this holding does not shift depending upon whether a
       patient inquires as to the physician's experience. We find the Superior Court's
       rationale that evidence of the physician's personal characteristics is relevant to an
       informed consent claim whenever the particular patient requests such information
       to be highly problematic. The Superior Court's reasoning on this point is divorced
       from the fundamental principle of the informed consent doctrine that information
       is material to the procedure at hand, and therefore must be divulged in order to
       obtain the patient's informed consent, if a reasonable person would wish to know
       it. This is an objective, rather than subjective, analysis; its calculus does not shift
       depending on how inquisitive or passive the particular patient is.

Duttry, 565 Pa. 130, 136–37 (emphasis in original). The Duttry court went on to acknowledge
that other states have “broadened their concept of the informed consent doctrine,” but it saw “no
compelling reason to follow a similar course. . . . Plaintiffs . . . have recourse against allegedly
inexperienced and deceptive physicians via other causes of action.” Id. at 137 n.2. The court
suggested that in that particular case, the plaintiff may have a cause of action for
misrepresentation. Id. at 137.

       The Supreme Court of Connecticut reached a similar result in Duffy v. Flagg, 279 Conn.
682 (2006). In Duffy, the patient asked the physician whether she had encountered any difficulty
with the procedure to be performed, known as “vaginal birth after cesarean section delivery.” Id.
at 685. The physician responded that there had been “a bad outcome” because of a uterine
rupture. Id. The patient did not inquire further, and the physician did not explain that the baby
had died as a result of that uterine rupture. Id. The patient then decided to attempt this type of
delivery, and the patient’s baby died from complications during the birth. Id. at 685–86.



                                           Page 18 of 23
        The Connecticut court concluded that Dr. Flagg’s prior experience with vaginal birth
after cesarean section did not become relevant to informed consent just because the patient asked
about it. Id. at 693. First, the court reasoned, that claim ran afoul of Connecticut’s objective
standard of disclosure: “[w]e do not require a physician to disclose information that a particular
patient might deem material to his or her decision, but, rather, limit the information to be
disclosed to that which a reasonable patient would find material.” Id. Second, the information
sought by plaintiff “did not relate to any of the four specific factors encompassed by informed
consent [as defined in Connecticut].” Id. Those four factors are: (1) the nature of the procedure;
(2) the risks and hazards of the procedure; (3) the alternatives to the procedure; and (4) the
anticipated benefits of the procedure. Id. at 692. The plaintiff offered “absolutely no evidence
that Flagg’s prior experience with vaginal birth after cesarean section had any bearing on the
risks to the plaintiff from the procedure or that it was otherwise relevant to any of the four
established elements of informed consent.” Id. at 696.11

        Most recently, the U.S. Court of Appeals for the Tenth Circuit addressed this question in
predicting the application of Wyoming law. In Willis v. Bender, 596 F.3d 1244 (10th Cir. 2010),
the patient Willis asked Dr. Bender

        about his experience and track record with the laparoscopic procedure, whether he
        had ever been sued and whether he had ever had any problems with his medical
        license. Bender told Willis he had never been sued, never had any problems with
        his medical license and his success rate with the laparoscopic procedure was
        “99.9% right on the mark.”

Willis, 596 F.3d at 1247. The Tenth Circuit predicted that Wyoming law does not impose a duty
on physicians to voluntarily disclose physician-specific information, because (1) Wyoming
applies the “traditional or professional standard” in determining the scope of a physician’s
informed consent disclosure, and (2) such an expansion of a physician’s informed consent duties
would be “overly burdensome to physicians.” Id. at 1255–56. However, the court predicted that
under Wyoming law, a physician does have a duty to truthfully answer a patient’s physician-
specific questions:

        We emphasize we are not saying Wyoming would impose upon physicians an
        affirmative duty to voluntarily disclose physician-specific information or to obtain
        the approval of a patient's regular physician prior to obtaining consent. Our
11
   In reaching this conclusion, the Connecticut Supreme Court distinguished the Connecticut Appellate Court’s
decision in DeGennaro v. Tandon, 89 Conn. App. 183 (2005). In DeGennaro, the defendant Dentist failed to inform
plaintiff of her inexperience with certain equipment to be used in the procedure, that defendant usually had an
assistant present during this type of procedure but would not have one present during plaintiff’s procedure, and that
defendant’s office was not officially open for business at the time the procedure was performed. Id. at 185–87. The
Appellate Court concluded there was sufficient evidence for the jury to determine a lack of informed consent, and
that such information should not be excluded from the dentist’s duty to inform “simply because that information was
provider specific as opposed to procedure specific.” Id. at 191. In DeGennaro, the provider specific information was
related to “the risks posed by the circumstances under which the defendant performed the procedure,” and was
therefore relevant to one of the four established elements of informed consent in Connecticut. Id. This fact was
distinguishable from Duffy, where the physician’s prior experience was not related to the risks of the procedure.
Duffy, 279 Conn. at 696.


                                                  Page 19 of 23
       decision is quite narrow. We only predict the Wyoming Supreme Court would
       allow an informed consent claim where a physician lies to a patient as to
       physician-specific information in direct response to a patient's questions
       concerning the same in the course of obtaining the patient's consent and the
       questions seek concrete verifiable facts, not the doctor's subjective opinion or
       judgment as to the quality of his performance or abilities.

Willis, 596 F.3d at 1260 (emphasis in original). The Tenth Circuit thoroughly summarized the
previous caselaw regarding the duty to disclose physician-specific information in order to obtain
informed consent. Id. at 1256–58; see also supra. It concluded that, while the cases are
conflicting, the Wyoming Supreme Court would likely follow Johnson, Howard, and Paulos—
rather than Duttry and Duffy—because the former are “better reasoned.” Willis, 596 F.3d at 1258.
It further explained:

       Bender's alleged misrepresentations to Willis in response to her direct questions
       allegedly induced her to consent to the surgery and its risks. Under these
       circumstances, if proved, her consent can hardly be considered “informed.” We
       recognize Duffy and Duttry did not entirely foreclose an action against a physician
       who lies to a patient in response to questions asked in the course of obtaining
       consent, stating the patient may have a misrepresentation claim. . . . [W]hen the
       misrepresentation occurs during the physician-patient relationship and in the
       course of a physician obtaining the patient's consent to a proposed treatment or
       procedure, we see no reason why Wyoming would limit the patient's claim to the
       more generic negligent misrepresentation tort, especially since it is doubtful
       whether a negligent misrepresentation claim is an avenue of relief available to
       most patients in Wyoming.

Id. at 1258–59.

        In rejecting the reasoning of the Duffy and Duttry courts, the Tenth Circuit argued that its
holding would not confuse physicians as to the scope of their disclosure because requiring
physicians to honestly answer a patient’s questions is a “bright-line rule not subject to conflicting
interpretations.” Id. at 1259. Further, such a requirement would not burden patients with
immaterial information because “they would only receive that information they found material
enough to request from the physician.” Id. And the physician, if he thought the requested
information was not pertinent, “could simply say so and refuse to answer.” Id. at 1260.
Additionally, the Tenth Circuit found that Wyoming’s application of the “traditional or
professional standard” of disclosure does not require a different conclusion:

       That standard has only been applied to determine what information a physician is
       required to voluntarily disclose to a patient prior to obtaining his consent. It would
       appear to have no applicability to determining whether a doctor may lie to a
       patient in direct response to the patient's questions in the course of obtaining the
       patient's consent. In any event, one would be hard pressed to argue a reasonable
       physician of like training would lie to a patient in obtaining consent.



                                           Page 20 of 23
Willis, 596 F.3d at 1260 (emphasis added).

         This Court finds the Tenth Circuit’s opinion in Willis to be logical, well-reasoned, and
highly persuasive, and agrees that the Duttry and Duffy decisions are easily distinguishable.
While Duffy involved absolutely no evidence that the doctor’s level of experience affected the
actual procedure, such evidence has been submitted in the present case. See Affidavit of Paul
Stelzer ¶¶ 8, 10 (Ex. 4 to PR). Similarly, although Duttry concluded that physician-specific
information was irrelevant to informed consent whether solicited or not because Pennsylvania’s
common law employed an objective disclosure duty, that conclusion is inapposite to Vermont’s
statute, which contains a specific, subjective provision regarding the physician’s responsive duty,
and does not include the traditional or professional standard as provided in § 1909(a)(1). See 12
V.S.A. § 1909(d). The rationales utilized in Duttry and Duffy are unpersuasive and inapplicable
to Vermont’s unique informed consent statute.

Specific Question and Reasonable Answer

        Since Plaintiff’s claim under § 1909(d) is not barred as a matter of law simply because it
is based on physician-specific information, the Court must next consider whether Plaintiff’s
question about Defendant’s experience gave rise to a duty to disclose. In response to Defendant’s
contention that Plaintiff’s question was not “specific” as required by the statute, the Court
declines to find that Plaintiff’s question was not “specific” as a matter of law. In Willis, as
explained above, the Tenth Circuit held that such questions are actionable under the informed
consent doctrine where “the questions seek concrete verifiable facts, not the doctor's subjective
opinion or judgment as to the quality of his performance or abilities.” Willis, 596 F.3d at 1260
(emphasis in original). The Tenth Circuit further clarified its reference to “concrete verifiable
facts” as follows:

       For instance, Willis' questions in this case concerning Bender's experience and
       track record with the laparoscopic procedure, whether he had ever been sued or
       had any problems with his medical license, and whether he consulted with and
       obtained the approval of Dr. Fleck, are verifiable and fact-based. They do not call
       for Bender's subjective opinion or judgment. Questions such as “how good of a
       surgeon are you?” are not readily verifiable and call for the doctor's subjective
       opinion. Such questions are not within the scope of our narrow holding. Whether
       questions posed to a doctor are actionable are legal questions or at least, mixed
       questions of law and fact, for the judge to decide, perhaps after a hearing, before
       sending the issue to the jury.

Id. at 1260 n.10. In the present case, although Plaintiff’s alleged question about Dr. Schmoker’s
experience with the Ross Procedure appears not to have been as specifically phrased as the
questions at issue in Willis, Plaintiff’s question is clearly more specific than the example given
by the Tenth Circuit of what is not readily verifiable. See id. (“how good of a surgeon are
you?”). While asking someone “how good” they are at something might call for a subjective
opinion as to one’s skill, asking someone about their experience may call for concrete, verifiable
facts explaining that experience. Drawing all reasonable inferences in favor of Plaintiff, the non-

                                          Page 21 of 23
moving party, a reasonable jury could conclude that by asking Dr. Schmoker about his
experience, Plaintiff sought nothing other than information about the outcomes of Dr.
Schmoker’s prior Ross Procedures. Therefore, this matter is best left to the jury for
determination.

       Likewise, the Court declines to find that Dr. Schmoker’s answer to Plaintiff’s question
was “reasonable as a matter of law.” This inquiry is necessarily dependent upon the specificity of
the question. Again, drawing all reasonable inferences in favor of Plaintiff, a jury could
reasonably find that Dr. Schmoker’s response was inadequate given the question posed.

        Defendant contends that Dr. Schmoker’s answer “fairly and reasonably met the substance
of the question” and “neither Plaintiff nor the decedent bothered to ask any follow-up questions
regarding Schmoker’s experience, qualifications, or performance rates.” Def.’s Reply Supp. Mot.
Summ. Judg. at 11. However, a reasonable jury could find that the response of “very
experienced” did not sufficiently address Plaintiff’s question about the doctor’s experience, when
Dr. Schmoker had performed nine Ross Procedures at Fletcher Allen, two of which resulted in
some level of complications. Based on the circumstances, a jury might reasonably conclude that
Dr. Schmoker’s response was dismissive or evasive. And although Plaintiff does admit that
neither she nor Dylan asked any additional follow-up questions as to Dr. Schmoker’s experience,
qualifications, or performance rates, a jury is best-suited to hear that evidence and make a
determination as to whether Dr. Schmoker’s answer was reasonable under the circumstances.
Thus, in response to Defendant’s argument that Plaintiff’s question was not specific and that Dr.
Schmoker’s answer was reasonable as a matter of law, summary judgment is denied as to
Plaintiff’s claim under § 1909(d).

   III.    Objective or “Reasonable Person” Causation

        Finally, Defendant contends it is entitled to summary judgment because a reasonable
patient in Dylan’s position—a patient “with progressive and life-threatening heart disease”—
would not have changed his mind and declined to undergo the procedure if informed that the risk
level for the procedure was five percent rather than one to two percent. See DMSJ 13. Plaintiff
responds that Defendant misstates the operative inquiry and the material facts. Plaintiff contends
that, contrary to Defendant’s assertions, Dylan did not have a “progressively worsening heart
condition,” and that he had more potential options than Defendant claims. Pl.’s Resp. to DMSJ
19–20.

        The affirmative defense requires Defendant to show not only that a reasonably prudent
person would not have changed his mind and declined the procedure if fully informed of the
risks and alternatives, but that a “reasonably prudent person in the patient’s position” would have
done so. 12 V.S.A. § 1909(c)(4) (emphasis added). Therefore, the status of Dylan’s condition at
the time he consented to Dr. Schmoker performing the Ross Procedure is a particularly relevant
and important inquiry. There are disputed material facts as to whether Dylan’s condition at that
time was “life-threatening” and exactly how soon the surgery was needed. For example, while
Defendant portrays Dylan’s condition as “progressive” and “life-threatening,” see DSMF ¶ 1,
Plaintiff submitted evidence tending to show that Dylan’s condition was not necessarily



                                          Page 22 of 23
immediately serious and that waiting several more months before surgery was a reasonable
second option. See PSMF ¶ 1; Letter from Dr. Kunin 1-2 (Ex. 1 to PSMF).

        As Defendant concedes, “the issue of whether a reasonably prudent patient would or
would not have consented to a procedure if adequately informed is generally one for a jury to
resolve.” DMSJ 14. The Court does not believe this case falls within the exception to that general
rule, where proximate causation “may be decided as a matter of law where the proof is so clear
that reasonable minds cannot draw different conclusions or where all reasonable minds would
construe the facts and circumstances one way.” Collins v. Thomas, 2007 VT 92, ¶ 8, 182 Vt. 250
(quoting Estate of Sumner v. Dep’t of Soc. and Rehab. Serv’s, 162 Vt. 628, 629 (1994)). The
proof is not “so clear” in this case. Despite Defendant’s characterization of the alleged three
percent difference in risk quantification as “de minimus,” a jury could reasonably conclude that,
depending on the seriousness of Dylan’s heart condition at the time of consent, a reasonable
person in Dylan’s position may have changed his mind and declined the procedure if informed
that the risk level for all major complications was five percent or more, as opposed to one or two
percent. Because of the existence of disputed material facts, this question is appropriate for a jury
to decide.

                                             ORDER

       For the foregoing reasons, Defendant’s Motion for Summary Judgment is denied.

       So Ordered.

       Dated at Burlington, Vermont, May 20, 2014.


                                                              ___________________
                                                              Brian J. Grearson
                                                              Superior Court Judge




                                           Page 23 of 23
