[Cite as Groves v. Ihsanullah, 2016-Ohio-7703.]



                 Court of Appeals of Ohio
                               EIGHTH APPELLATE DISTRICT
                                  COUNTY OF CUYAHOGA


                              JOURNAL ENTRY AND OPINION
                                      No. 103404




                                    KRISTIE GROVES
                                                        PLAINTIFF-APPELLANT

                                                  vs.


         SAHIBZADAH A. IHSANULLAH, M.D., ET AL.
                                                        DEFENDANTS-APPELLEES




                                   JUDGMENT:
                             REVERSED AND REMANDED


                                     Civil Appeal from the
                            Cuyahoga County Court of Common Pleas
                                   Case No. CV-14-820538

        BEFORE: Laster Mays, J., Blackmon, P.J., and Celebrezze, J.

        RELEASED AND JOURNALIZED: November 10, 2016
                               -i-
ATTORNEYS FOR APPELLANT

Barry T. Doyle
The Doyle Law Firm
23811 Chagrin Boulevard, Suite 227
Beachwood, Ohio 44122

Justin P. Care
Paul W. Flowers
Paul W. Flowers Co. L.P.A.
Terminal Tower, Suite 1910
50 Public Square
Cleveland, Oh 44113

Lawrence F. Peskin
10114 Empyrean Way, Apt. 204
Los Angeles, California 90067


ATTORNEYS FOR APPELLEES

Kevin M. Norchi
Norchi Forbes, L.L.C.
23240 Chagrin Boulevard, Suite 210
Cleveland, Ohio 44122

FOR MARYMOUNT HOSPITAL

Brian T. Gannon
William A. Meadows
James O’Connor
Reminger Co., L.P.A.
1400 Midland Building
101 Prospect Avenue West
Cleveland, Ohio 44115
ANITA LASTER MAYS, J.:

      {¶1}    Plaintiff-appellant Kristie Groves (“Groves”), administrator of the estate of

her late son, Benjamin Cannon IV (“Cannon”), appeals the jury verdict in favor of

defendants-appellees Sahibzadah A. Ihsanullah, M.D. (“Dr. Ihsanullah”), Emergency

Care Specialists, Inc., and Marymount Hospital (“Marymount”) in this wrongful death

and medical malpractice action. We vacate and remand for a new trial.

I.    BACKGROUND AND FACTS

      A.      History

      {¶2} Cannon, 21 years old, resided with Groves, who holds a degree in social

work from Cleveland State University. Groves spoke briefly with Cannon when she

returned home from work at about 5:30 p.m. on May 12, 2011. Cannon left the house

and appeared at the home of his grandmother, Dorothy Groves (“Dorothy”) later that

evening.

      {¶3} Cannon told Dorothy that he was not feeling well, and that he may have

taken too much pain medication that was prescribed for pain management as the result of

a prior knee injury. Dorothy had Cannon sit at the table and placed a plate of food before

him. When she turned to check on Cannon, his head was tilted back and eyes open.

Dorothy contacted Groves who picked Cannon up and took him to the emergency room at
Marymount. Cannon complained on the way to the hospital that his knees hurt. His

speech was slurred and he was not making sense.

        {¶4} Cannon was triaged by Cynthia Pawlak, R.N. (“Nurse Pawlak”). Groves

informed her, and Nurse Pawlak recorded, that she believed Cannon had taken too much

pain medication, and Nurse Pawlak noted that on the chart. She also recorded that

Cannon’s “chief complaint” was “pain in both knees and lower back,” and that Cannon

previously had arthroscopic surgery on his left knee, and suffered from chronic low back

pain.

        {¶5}   Cannon was lethargic and kept falling asleep, even while talking.

Cannon’s oxygen saturation level was at 95 percent, while a healthy range is 97 percent to

99 percent. On the five-level triage scale with one being the most urgent, Nurse Pawlak

ranked Cannon at level four.       Nurse Pawlak also recorded that Cannon’s “current

medications include Methadone, Methocarbamol, and Vicodin.”

        {¶6} Dr. Ihsanullah saw Cannon at 10:08 p.m. Dr. Ihsanullah was aware of the

family’s concern about pain medication. A computer tomographic (“CT”) scan was

ordered due to Cannon’s lethargy, drowsiness, and blood oxygen level, indicating central

nervous system depression.      The radiology form reflects the study ordered as “CT

Brain,” the indications as “Alt[ered] St[ate of] Awareness,” and under “what are you

looking for,” the box next to “intracranial bleed” is checked.

        {¶7}   Dr. Ihsanullah checked on Cannon at 5:00 a.m., prescribed Zofran, and

authorized his discharge.    Dr. Ihsanullah indicated on the emergency room medical
report that range of motion for Cannon’s knee was normal but somewhat painful. Cannon

became more alert with the IV fluids and Zofran.

      {¶8} The report concluded that:

      There is nothing specific wrong with the knee and there are no infection
      cellulitis or other abnormalities. The mother is also concerned about the fact
      that he is getting too many medications. I told her that she should discuss
      this with his doctor because he is already on Methadone, Vicodin, and
      muscle relaxant. Eventually, he was discharged in good condition to
      follow with his own regular doctor. No specific other abnormality was
      found.

The report also indicated, “Impression:   Narcotic side effect.”

      {¶9}    Abigael Kaszar, R.N. (“Nurse Kaszar”) attended to Cannon until discharge.

At discharge, Cannon’s oxygen level had declined to 92%. His pain level was recorded

as two out of ten. The discharge instructions indicated that the “clinical impression” was

“medications side effect.” Other instructions stated, “do not use your medications for 12

hours.”

      {¶10} Groves had to assist Cannon to the car, because he was still tired and sleepy.

Groves took him home and then left for work. When Groves returned home, she found

Cannon in his bed, eyes closed with foam coming from his mouth. Maple Heights police

responded to the 911 call.      Groves allowed them to search Cannon’s room, his

belongings, and the house. The police advised her that Cannon was dead. No pain

medications were discovered.

      {¶11}    The coroner’s report stated Cannon suffered dislocated discs in his back

and a left knee injury due to a fall at work five to six years before. Cannon was
reportedly taking Azithromycin, Methadone, Hydrocodone, and generic ibuprofen.

According to the report, Cannon telephoned Groves at 2:18 p.m. but Groves did not

answer. Groves arrived home at approximately 5:38 p.m. and found Cannon in his room,

face up in bed and unresponsive. The cause of death was acute bronchial pneumonia

caused by acute intoxication by Methadone.

       {¶12} On July 21, 2012, Groves filed a survivorship action for medical

malpractice, and wrongful death. The suit was dismissed pursuant to Civ.R. 41(A), and

refiled February 11, 2014. Generally, Groves asserted that appellees failed to properly

diagnose and treat Cannon for the Methadone overdose, and should have followed the

standard protocol of retaining Cannon for monitoring for 24 hours. Appellees’ position

was that Cannon ingested additional Methadone after leaving the hospital, though no

evidence of Methadone had been located by the police the day of Cannon’s death.

               1.       Relevant Motions in Limine

       {¶13} Groves filed two key evidentiary motions during discovery and pretrial

activities.

                        a.    Prior Emergency Room Visits

       {¶14}        The first motion was to exclude all evidence concerning Cannon’s

estimated 15 visits to local emergency rooms between 2008 and 2011, assertedly for

treatment due to physical injuries. Groves argued that the visits were not relevant to the

malpractice claims per Evid.R. 402, because the providers who attended Cannon at

Marymount did not know the details of those visits. Specifically, Groves asked that
appellees be barred from “offering or presenting any and all evidence that reference in

any way to plaintiff decedent’s, Ben Cannon IV, prior emergency department

encounters.”

      {¶15} Appellees countered that the evidence was admissible to demonstrate

Cannon’s history of knee and back pain and treatment with narcotics and Methadone.

Groves rejected their position and opined that the strategy was, instead, to support their

case by painting Cannon as a drug abuser. By judgment entry issued February 5, 2016,

the trial judge granted the motion “to exclude all evidence concerning decedent’s prior

emergency department encounters.” (“ER Limine.”)

                     b.         Testimony of William Lee Hearn, Ph.D.

      {¶16} William Lee Hearn, Ph.D. (“Hearn”), a forensic toxicologist, provided an

opinion during deposition testimony that Cannon was exhibiting “drug seeking” behavior.

Groves    motioned        the   court   to   limit   Hearn’s   testimony   to   exclude   the

drug-seeking-behavior testimony on the grounds that: (1) the opinion was unsupported by

evidence, and (2) the subject was outside of his field of expertise (“Hearn Limine.”)

Hearn made the statement in spite of the fact that a defense emergency room expert, Dr.

Arthur M. Pancioli (“Dr. Pancioli”) testified during deposition that there was no evidence

in the Marymount emergency room records reflecting that Cannon was a drug abuser,

only that he had taken too much of his prescribed medication.

      {¶17} Appellees asserted that Hearn should be allowed to testify on the drug

abuse issue if Groves’s counsel questioned Hearn about Cannon’s possible motivation for
taking additional Methadone. By judgment entry issued on February 6, 2015, the trial

court granted the motion to limit Hearn’s testimony “regarding substance and drug abuse

opinions.”

              2.     The Trial

       {¶18} On March 20, 2014, trial was scheduled to begin on February 9, 2015.

Interim motions to continue the trial date were rejected.

       {¶19} On February 11, 2015, a judgment entry was issued providing that, due to

the unavailability of the original trial judge, the case was transferred to a visiting judge.

The case was also called for trial on that date.

       {¶20} After an 11-day trial, the jury issued a unanimous verdict in favor of

appellees. Groves motion for a new trial pursuant to Civ.R. 59(A) was grounded on:

(1) irregularities during the proceeding regarding the liminal motions and sanctions

(Civ.R. 59(A)(1)); (2) the verdict was against the weight of the evidence (Civ.R.

59(A)(6)); and (3) an error of law occurring at the trial and brought to the attention of the

trial court by the party making application (Civ.R. 59(A)(9)). Groves also argued the

general premise that the judge had the discretion to grant a new trial for good cause

shown (Civ.R. 59).

       {¶21} Groves appealed the trial court’s denial of the Civ.R. 59 motion. Trial

proceedings relevant to Groves’s assignments of error are delineated thereunder.

II.    STANDARD OF REVIEW
       {¶22}        We apply an abuse of discretion standard to our review of the denial of a

Civ.R. 59 motion for a new trial. Shaw Steel, Inc. v. Ronfeldt Mfg., L.L.C., 8th Dist.

Cuyahoga No. 102665, 2016-Ohio-1117, ¶ 36, citing McCall v. Mareino, 138 Ohio

App.3d 794, 798, 742 N.E.2d 668 (8th Dist.2000). The determination of the necessity for

a new trial lies within the sound discretion of the trial court, and the court’s finding will

not be reversed without a showing that the trial court’s findings constituted an abuse of

discretion because the decision was “arbitrary, unreasonable, or unconscionable.” Id.;

Blakemore v. Blakemore, 5 Ohio St.3d 217, 219, 450 N.E.2d 1140 (1983).

III.   ASSIGNMENTS OF ERROR

       {¶23}        Groves present two assignments of error warranting a new trial: (1) the

trial judge unjustifiably admonished and sanctioned Groves’s counsel after specifically

permitting the allegedly improper questioning relating to the subject matter of the liminal

motions; and (2) the verdict was against the manifest weight of the evidence. We find

that Groves’s first asserted error is determinative here.

       A.      Assignment of Error No. 1: a new trial is warranted because
               the trial judge unjustifiably admonished and sanctioned
               plaintiff-appellant’s counsel after specifically permitting the
               supposedly improper questioning.

               1.       Motions in Limine Sanction

       {¶24} Groves first attacks the issue of procedural irregularity under

Civ.R. 59(A)(1), which provides:

       (A) Grounds. A new trial may be granted to all or any of the parties and on
       all or part of the issues upon any of the following grounds:
              (1) Irregularity in the proceedings of the court, jury,
              magistrate, or prevailing party, or any order of the
              court or magistrate, or abuse of discretion, by which an
              aggrieved party was prevented from having a fair
              trial[.]

       {¶25} During cross-examination towards the end of the trial, and assertedly in an

attempt to discredit Hearn’s testimony based on bias toward the decedent, Groves’s

counsel asked Hearn what assumptions he relied on in forming his opinions.

Specifically, inquiry was made as to whether Hearn “assumed that this young man had a

history of drug seekin[g.]” (Tr. 1359.) The visiting judge overruled defense objections

based on the limine rulings, and allowed the questioning.

       {¶26} Counsel then continued the line of questioning, seeking confirmation by

Hearn that his drug seeking conclusion was not based on the Marymount emergency room

records, because that information was not noted in the records. Groves posited that the

absence of that information in the records not only evidenced a bias by Hearn, it

supported a standard of care violation.

       {¶27} Hearn responded that he reviewed Kaiser Permanente emergency room

records reflecting repeated requests by Cannon for narcotic prescription refills, and that

information served as the foundation for Hearn’s assumption that Cannon abused drugs.

Hearn also acknowledged that, if Cannon had been confined for 24-hour observation,

required where a patient exhibits clinical symptoms of overdose, his death would not have

occurred.
       {¶28} Appellees vigorously objected, claiming that the emergency room and

Hearn’s motions in limine had been violated. Appellees claimed that they suffered

prejudice, because they were unable to present a comprehensive defense because they

were constricted by the evidentiary limitation rulings. Groves responded that, not only

could appellees have challenged the pretrial rulings at trial, there was no bar to the

introduction by appellees of other evidence fully available. Groves also noted for the

trial court that, in responding to the pretrial motions in limine, appellees failed to

introduce any of the evidence that they were now claiming they would have submitted,

but for the liminal rulings.

       {¶29} Ultimately, appellees’ counsel sought a mistrial based on the asserted

prejudice. In spite of the trial court’s prior rulings allowing the evidence, and noting that

the trial was almost over, the trial court elected to issue a curative instruction effectively

sanctioning Groves’s counsel for violating the in limine rulings, and charged defense

counsel with the task of preparing a curative instruction.

       {¶30} Prior to closing arguments, the trial court informed the jury:

       Now, before the opening arguments or statements of counsel, the court has
       a special instruction to give you before you hear the closing arguments. And
       the special instruction is as follows: Plaintiff’s attorney violated an order of
       the court regarding certain evidence. And as a result of that violation, the
       court instructs you that you may infer that Mr. Cannon’s medical records
       from before May 12, 2011 may have been adverse to plaintiffs and may
       have revealed that Mr. Cannon was a drug seeker.
(Emphasis added.) (Tr. 1797 and 98.) During closing arguments, counsel for appellees

urged the jurors to infer that the evidentiary violations by Groves’s counsel was for

purposes of evidentiary manipulation.

       {¶31} Groves claims prejudice by the sanctions and the accusations by defense

counsel, arguing that it negatively impacted the perspective of the jury and the credibility

of her case, depriving Groves of a fair trial. Groves states that the strategy was not

improper, illegal, or unethical. We agree.

       {¶32} Groves offers that, pursuant to State v. French, 72 Ohio St.3d 446, 650

N.E.2d 887 (1995), the motions precluded Hearn from volunteering the information, but

did not prohibit the attorneys from inquiring during trial because the liminal orders were

not final:

       A “motion in limine” is defined as “[a] pretrial motion requesting [the] court to
       prohibit opposing counsel from referring to or offering evidence on matters so
       highly prejudicial to [the] moving party that curative instructions cannot prevent
       [a] predispositional effect on [the] jury.” Black’s Law Dictionary 1013 (6th
       Ed.1990). The purpose of a motion in limine “is to avoid injection into [the] trial
       of matters which are irrelevant, inadmissible and prejudicial[,] and granting of
       [the] motion is not a ruling on evidence and, where properly drawn, granting of
       [the] motion cannot be error.” Id. at 1013-1014. See State v. Maurer, 15 Ohio
       St.3d 239, 259, 473 N.E.2d 768, 787 (1984).

       A ruling on a motion in limine reflects the court’s anticipated treatment of an
       evidentiary issue at trial and, as such, is a tentative, interlocutory, precautionary
       ruling. Thus, “the trial court is at liberty to change its ruling on the disputed
       evidence in its actual context at trial. Finality does not attach when the motion is
       granted.” Defiance v. Kretz, 60 Ohio St.3d 1, 4, 573 N.E.2d 32, 35, (1991); citing
       State v. Grubb, 28 Ohio St.3d 199, 201-202, 503 N.E.2d 142, 145 (1986).

Id. at 450-451.
       {¶33} Thus, Groves argues that the propriety of the pretrial in limine ruling

surfaces when the situation arises at trial. Further, the ruling is not violated once the trial

court overrules the opposing party’s objections, and allows the evidence as it did in this

case. Id.

       {¶34} We have previously held that a pretrial liminal motion is preliminary, and

it is “subject to reconsideration by the trial court at the time such evidence is relevant at

trial.” Williams v. State, 8th Dist. Cuyahoga No. 98741, 2013-Ohio-1040, ¶ 13, citing

French, supra. Appellees’ cite of our holding in Quellos v. Quellos, 96 Ohio App.3d 31,

643 N.E.2d 1173 (8th Dist.1994), is not determinative here. In that dog-bite case, during

opening arguments, the appellees referenced appellant’s conduct around dogs, evidence

that had been excluded by pretrial order. Id. at 43. The trial court issued a curative

instruction that the jury was to disregard the statement. Id.

       {¶35}    The jury entered a verdict for the appellees. On appeal, we rejected

Groves’s arguments that evidentiary liminal violations constituted reversible error.

However, we did reverse and remand on the ground that the verdict was against the

manifest weight of the evidence. Our cautionary statement to appellees regarding

compliance with the trial court’s orders on remand, id. at 42, was dicta and did not

constitute this court’s position on the preliminary nature of pretrial motions.

       {¶36}      A pretrial liminal ruling is interlocutory, and remains so until the

unsuccessful party challenges the ruling during trial. At that point, the trial judge may
reassess the propriety of its initial holding in light of the current circumstances of the

case.

        “[I]t is only a preliminary interlocutory order precluding questions being
        asked in a certain area until the court can determine from the total
        circumstances of the case whether the evidence would be admissible. When
        sustained, losing counsel should make a proffer of the otherwise excluded
        evidence at the proper time during the trial and have a second determination
        or hearing by the court as to its admissibility.”

State v. Maurer, 15 Ohio St.3d 239, 259, 473 N.E.2d 768, 787 (1984), fn. 14, quoting

Palmer, Ohio Rules of Evidence 446, Rules Manual (1984).

        {¶37} This court discussed the preliminary nature of motions in limine in Vespoli

v. Encompass Ins. Co., 8th Dist. Cuyahoga No. 94305, 2010-Ohio-5359. Vespoli argued

the trial court erred in granting the motion in limine filed by his insurer, appellee

Encompass Insurance Co., to exclude all evidence relating to his shoulder injury. Id. at ¶

1. Encompass sought to limit the evidence based on inadequacies in Vespoli’s expert’s

opinion. The trial court granted the motion. Id. at ¶ 5.

        {¶38} A visiting judge was assigned to the case and a bench trial ensued. Vespoli

proffered evidence of the shoulder injury in light of the pretrial motion in limine. Id. at ¶

10. After a brief discussion regarding the adequacy of the expert testimony, the trial

court refused to admit the evidence based on the notion that he was bound by the prior

judge’s ruling. We first observed that:

        “[A] proponent who has been temporarily restricted from introducing
        evidence by virtue of a motion in limine, must seek the introduction of the
        evidence by proffer or otherwise at trial in order to enable the court to make
        a final determination as to its admissibility and to preserve any objection on
        the record for purposes of appeal.” Collins v. Storer Communications, Inc.,
       65 Ohio App.3d 443, 584 N.E.2d 766 (1989); State v. Grubb, 28 Ohio St.3d
       199, 503 N.E.2d 142 (1986).

Vespoli at ¶ 14.

       {¶39} We then explained that the proffer properly presented the opportunity for the

trial court to rule on the preliminary order in the context of the proceedings. However,

“instead of exercising its independent discretion, the trial court declined to admit the

evidence solely upon its mistaken believe that it was ‘bound’ by the prior ruling.”     Id. at

¶ 17. We reversed and remanded the case for a new trial. Id.

       {¶40}    In the instant case, appellees, the unsuccessful parties on the pretrial

motions, did not challenge the pretrial rulings that they argue impeded their ability to

present their case. In fact, the record reflects that, during questioning of Groves earlier in

the case, appellee Marymount inquired about the prior emergency room visits, without

proffer, regarding the ER Limine:

       [Marymount counsel]:         The Kaiser records — and I believe counsel has
                                    indicated that they’re going to introduce the
                                    Kaiser records into evidence — shows some
                                    over 20 visits that Ben had to either emergency
                                    rooms or urgent cares in a three-year time —

(Tr. 1232.)    Groves objected, a side bar ensued.       Questioning proceeded regarding

whether Groves was present during Cannon’s visits to Kaiser over the prior three years,

then moved on to the night of the emergency room visit.

       {¶41} Groves’s questioning of Hearn, after the emergency room exchange during

Groves’s cross-examination, triggered the objections by appellees regarding Groves’s
violation of the pretrial orders. The trial court overruled the objections three times, and

allowed questioning to proceed.

       {¶42} Appellees successfully argued to the trial court, and repeatedly state in

their briefs, that they refrained from introducing the liminal evidence, impeding their

defense, based on the pretrial rulings. Thus, they insist that a trial court’s sanction was

required. We find; however, that in light of the preliminary nature of the pretrial orders,

Groves was not responsible for the legal strategy of appellees.         Appellees, in fact,

brought up the liminal evidence during questioning of Groves, and later complained of

the acts of Groves, leading to the sanction.

       {¶43} The curative instruction was, at the trial court’s direction, prepared by

counsel for appellees. The trial court, reciting the instruction to the jury immediately

before closing arguments, specifically stated that the “Plaintiff’s attorney violated an

order of the Court regarding certain evidence.” (Emphasis added.) That directive is;

however, incorrect, because the trial court was not bound by the prior court orders.

Vespoli, 8th Dist. Cuyahoga No. 94305, 2010-Ohio-5359, ¶ 17. The stated penalty for

counsel’s alleged misconduct was a directive from the trial court that, “the court instructs

you that you may infer that Mr. Cannon’s medical records from before May 12, 2011 may

have been adverse to plaintiffs and may have revealed that Mr. Cannon was a drug

seeker.”

       {¶44} In light of our findings, we reject appellees’ argument that the invited error

doctrine applies in this case. Rhodes v. Rhodes Indus., Inc., 71 Ohio App.3d 797, 806,
595 N.E.2d 441 (8th Dist.1991). The record does not support a claim that Groves is

seeking to take advantage of an error that Groves invited or caused. Id.

IV.    CONCLUSION

       {¶45}   We determine that, based on the record and applicable case law, the

conduct of Groves’s counsel was not illegal or unethical, nor did it impede appellees from

challenging the motions at any point during the proceedings as case law provides. See,

e.g., Vespoli, supra. As a result, the “curative instruction” served to inform the jury that

Groves’s counsel violated the trial court order regarding evidence, possibly to cover up

Cannon’s drug-seeking activity, supporting appellees’ position in the case.

       {¶46} Therefore, we find that the trial court abused its discretion in denying

Groves’s motion for a new trial pursuant to Civ.R. 59(A)(1) and (9). Our findings on the

first assignment of error make the remaining error moot. Accordingly, the verdict is

vacated and the case is remanded for a new trial.

       {¶47} This cause is reversed and remanded to the lower court for further

proceedings consistent with this opinion.

       It is ordered that appellant recover from appellee costs herein taxed.

       The court finds there were reasonable grounds for this appeal.

       It is ordered that a special mandate issue out of this court directing the common

pleas court to carry out this judgment into execution.
      A certified copy of this entry shall constitute the mandate pursuant to Rule 27 of

the Rules of Appellate Procedure.



___________________________________________
ANITA LASTER MAYS, JUDGE

PATRICIA ANN BLACKMON, P.J., and
FRANK D. CELEBREZZE, JR., J., CONCUR
