MAINE SUPREME JUDICIAL COURT                                       Reporter of Decisions
Decision: 2013 ME 104
Docket:   Pen-12-322
Argued:   May 14, 2013
Decided:  December 3, 2013

Panel:      SAUFLEY, C.J., and ALEXANDER, LEVY, SILVER, MEAD, and JABAR, JJ.
Majority:   SAUFLEY, C.J., and LEVY, SILVER, and JABAR, JJ.
Dissent:    ALEXANDER, and MEAD, JJ.


                                  PERRI FRAME

                                         v.

                  MILLINOCKET REGIONAL HOSPITAL et al.

LEVY, J.

       [¶1] Perri Frame appeals from a judgment entered in the Superior Court

(Penobscot County, Anderson J.) dismissing her unsworn notice of claim, filed

pursuant to the Maine Health Security Act (MHSA or Act), 24 M.R.S.

§ 2903(1)(A) (2012), on the ground that the defective notice failed to toll the

applicable statute of limitations. We clarify the effect of a change in the MHSA

and conclude that Frame should be permitted to amend her notice of claim

pursuant to M.R. Civ. P. 15 and to have the amendment relate back to the original

filing date.   Accordingly, we vacate the judgment and remand for further

proceedings.
2

                                I. BACKGROUND

      [¶2] On July 27, 2011, Frame filed an unsworn notice of claim with the

Superior Court alleging that Millinocket Regional Hospital; Daniel C. Herbert,

M.D.; William R. Jenkins, M.D.; Kevin R. Olsen, P.A.C.; Kwaku Owusu, M.D.;

Douglas A. Rhoda, P.A.C. (collectively, the Hospital); and Joseph A. Sardina,

M.D., were negligent in providing her medical care from July 27, 2008, through

August 3, 2008. As required by statute, the Chief Justice of the Superior Court

assigned a prelitigation panel chair.     See 24 M.R.S. § 2852(2) (2012).         On

August 3, 2011, the statute of limitations on Frame’s claim expired. See 24 M.R.S.

§ 2902 (2012) (providing three-year limitations period for actions on professional

negligence). Between September 23, 2011, and October 3, 2011, Frame served her

unsworn notice of claim to each of the appellees.

      [¶3] In October 2011, the Hospital filed its motion to dismiss the notice of

claim, arguing that Frame’s unsworn notice did not toll the statute of limitations.

The panel chair denied the motion and granted Frame ten days to file a sworn

notice of claim that would relate back to the date of her original notice. The

Hospital sought reconsideration, asserting that the panel lacked jurisdiction to grant

permission to amend. The panel chair vacated her earlier order and referred the

case to the Chief Justice of the Superior Court, who specially assigned the case to a

justice of the Superior Court. See 24 M.R.S. § 2853(5) (2012) (“The [prelitigation
                                                                                    3

screening] panel has no jurisdiction to hear or decide, absent the agreement of the

parties, dispositive legal affirmative defenses . . . .”); Gafner v. Down E. Cmty.

Hosp., 1999 ME 130, ¶ 29, 735 A.2d 969 (“Matters appropriately referred to the

Superior Court pursuant to section 2853(5) may include statute of limitation

defenses . . . .”). Frame filed a sworn notice of claim on November 14, 2011.

      [¶4] The Superior Court granted the Hospital’s motion to dismiss, relying

on our decision in Paradis v. Webber Hospital, in which we held that a claimant’s

written notice of claim filed under the MHSA did not toll the statute of limitations

because it was not filed under oath. 409 A.2d 672, 675 (Me. 1979). The court

found that there was no substantial difference between the language of the tolling

provision interpreted in Paradis, 24 M.R.S.A. § 2903 (Supp. 1977), repealed and

replaced by P.L. 1985, ch. 804, § 14 (effective Jan. 1, 1987), and the current tolling

provision applicable to Frame’s petition, 24 M.R.S. § 2859 (2012), and that the

legislative history associated with the revision of the provision did not reflect a

legislative intent to overrule Paradis. In addition, the court denied Frame’s request

to amend her notice of claim to include an oath and have the amendment relate

back to the filing of the original notice pursuant to M.R. Civ. P. 15, stating,

however, that it was “not unsympathetic” to Frame’s position. The court, citing

Garland v. Sherwin, 2002 ME 131, ¶ 8, 804 A.2d 354, reasoned that a notice of
4

claim under the MHSA “is not a ‘pleading’ subject to amendment under Rule 15.”

Frame filed a motion to reconsider that was denied, and this appeal followed.1

                                        II. DISCUSSION

         [¶5] We review de novo questions of statutory interpretation, Goudreau v.

Pine Springs Rd. & Water, LLC, 2012 ME 70, ¶ 11, 44 A.3d 315, and whether a

claim is barred by the statute of limitations, Francis v. Stinson, 2000 ME 173, ¶ 56,

760 A.2d 209.         When interpreting a statute, we seek “to give effect to the

Legislature’s intent” by looking at the statute’s plain meaning, construing the

language “to avoid absurd, illogical, or inconsistent results.”                    Savage v. Me.

Pretrial Servs., 2013 ME 9, ¶ 7, 58 A.3d 1138 (quotation marks omitted). We

address Frame’s arguments that (A) her unsworn notice of claim was sufficient to

toll the statute of limitations because the tolling provision of the Act, 24 M.R.S.

§ 2859, has no oath requirement; and (B) she should have been allowed to amend

her notice of claim pursuant to M.R. Civ. P. 15 and have the amendment relate

back to the filing date of the original notice of claim.

A.       The Tolling Provision of the Maine Health Security Act

         [¶6] To evaluate Frame’s first contention—that her unsworn notice of claim

tolled the statute of limitations—we examine the relevant portions of the MHSA in
     1
      Frame’s motion to reconsider was stayed pending removal of her claim against Dr. Sardina to
federal court. Frame later dismissed Dr. Sardina from the litigation and the federal court remanded the
case back to the Superior Court.
                                                                                5

effect at the time of our decision in Paradis, and the corresponding provisions of

the current MHSA enacted in 1986 that govern Frame’s claim.

      [¶7]     The Legislature adopted the MHSA in 1977 to codify the

recommendations by the Commission to Revise Laws Relating to Medical and

Hospital Malpractice Insurance, known as the Pomeroy Commission. L.D. 727,

Statement of Fact (108th Legis. 1977); see also L.D. 1825 (107th Legis. 1975)

(establishing the Commission); Paradis, 409 A.2d at 674 (providing a brief history

of the MHSA). Soon after the MHSA’s enactment, we considered in Paradis the

issue of whether an unsworn notice of claim tolled the statute of limitations.

409 A.2d at 673-74. At the time, the Act had one section that addressed the

requirements for a written notice of claim and the tolling of the statute of

limitations:

      No action for death or injuries to the person arising from any medical,
      surgical or dental treatment, omission or operation shall be
      commenced until at least 90 days after written notice of claim setting
      forth under oath the nature and circumstances of the injuries and
      damages alleged is served personally or by registered or certified mail
      upon the person or persons accused of wrongdoing. Any applicable
      statute of limitations shall be tolled for a period of 90 days from
      service of notice.

24 M.R.S.A. § 2903 (Supp. 1977). Pursuant to this provision, an action was

commenced by the filing of a complaint in the Superior Court only after

compliance with the sworn notice and ninety-day waiting period requirements. In
6

Paradis we construed this provision and concluded that a claimant’s unsworn

written notice did not toll the limitation period. 409 A.2d at 675. We rejected

Paradis’s argument that the statute’s purpose was merely to give notice of a

pending claim and concluded instead that the oath requirement was “more than a

mere technicality,” observing that the oath’s “function is both to make clear the

significance of filing the document itself and to provide a basis for a perjury action

upon proof of falsification.” Id. at 674-75 (citations omitted) (quotation marks

omitted).

        [¶8]    In 1986, the Legislature revised the MHSA in various respects.2

P.L. 1985, ch. 804 (effective July 16, 1986); L.D. 2400, Statement of Fact (112th

Legis. 1986). As revised, three separate sections address the requirements for a

notice of claim and how the statute of limitations is tolled. Section 2853 provides

that an action for professional negligence is commenced by serving a notice of

claim on the defendant and then filing it with the court within twenty days, or by

initially filing “a written notice of claim, setting forth, under oath, the professional

negligence alleged and the nature and circumstances of the injuries and damages

alleged, with the Superior Court.” 24 M.R.S. § 2853(1)(A), (B); see also M.R.

    2
      As a result of the amendments, claimants are now required to file their notice of claim with the
court. P.L. 1985, ch. 804, § 12 (effective Jan. 1, 1987) (codified at 24 M.R.S. § 2853 (2012)). At the
time Paradis was decided, however, section 2903 required that notice be “served personally or by
registered or certified mail upon the person or persons accused of wrongdoing.” See 24 M.R.S.A. § 2903
(Supp. 1977). We do not find persuasive Frame’s attempt to distinguish her action of filing her notice of
claim with the court from the action of the claimant in Paradis.
                                                                                                         7

Civ. P. 80M(b)(1) (“A medical malpractice screening panel proceeding shall be

commenced by a notice of claim in the same manner as a civil complaint.”). A

separate section, section 2859, provides that the statute of limitations “is tolled

from the date upon which notice of claim is served or filed in Superior Court until

30 days following the day upon which the claimant receives notice of the findings

of the [screening] panel.” 24 M.R.S. § 2859 (emphasis added).

        [¶9] Frame contends that her unsworn notice of claim was sufficient to toll

the statute of limitations because section 2859 makes no mention of the

requirement that the notice of claim be under oath. This, she asserts, distinguishes

her case from Paradis. We disagree.

        [¶10] A third section of the current Act, section 2903(1), requires claimants

to have “served and filed written notice of claim in accordance with section 2853”

as one of the steps required to commence an action.3 24 M.R.S. § 2903(1) (2012).

Viewing the three relevant sections—sections 2853(1), 2859, and 2903(1)—

together and in context, it is plain that all three refer to the same notice of claim,

and that the notice of claim must be under oath. See Liberty Ins. Underwriters,

   3
      Title 24 M.R.S. § 2903(1)(B) (2012) also requires claimants to comply with the provisions of
subchapter IV-A, 24 M.R.S. §§ 2851-2859 (2012), setting out the requirements for establishing the
mandatory prelitigation screening and mediation panels, including the requirements for notices of claim,
id. § 2853, and the tolling statute, id. § 2859. In addition, section 2903(1)(C) requires claimants to have
determined, prior to commencing an action, that the required time periods provided in section 2859 have
expired. See id. § 2859 (providing that the statute of limitations will be tolled “from the date upon which
notice of claim is served or filed . . . until 30 days following the day upon which the claimant receives
notice of the findings of the panel.”).
8

Inc. v. Estate of Faulkner, 2008 ME 149, ¶ 15, 957 A.2d 94 (noting that the whole

statutory scheme is construed to achieve harmonious result). Accordingly, there is

no substantive difference between the pre-1987 provisions of the MHSA

considered in Paradis and the current statutory requirements that notices of claim

be sworn to in order to toll the statute of limitations. As a matter of stare decisis,

we are bound by our decision in Paradis. Here, as in Paradis, Frame’s unsworn

notice of claim failed to toll the statute of limitations.

B.     Amendment of and Relation Back of an Unsworn Notice of Claim

       [¶11] Frame separately contends that the court erred in not recognizing that

it had the authority to permit her to amend the defective notice of claim by having

it sworn to, and having the amendment relate back to the original filing date in

accordance with M.R. Civ. P. 15.

       [¶12] The Maine Rules of Civil Procedure “govern the procedure . . . in the

Superior Court . . . in all suits of a civil nature whether cognizable as cases at law

or in equity.” M.R. Civ. P. 1. Thus, the Rules of Civil Procedure applied to the

court’s consideration of the Hospital’s motion to dismiss.

       [¶13] Rule 15(a) permits a party to amend its pleading “by leave of court.”

An amended pleading relates back to the date of the original pleading where the

claim asserted in the amended pleading “arose out of the conduct, transaction, or

occurrence set forth or attempted to be set forth in the original pleading.” M.R.
                                                                                                        9

Civ. P. 15(c);4 see also TD Banknorth, N.A. v. Hawkins, 2010 ME 104, ¶ 18 n.5,

5 A.3d 1042 (noting that relation back is “a procedural mechanism to determine

the date of the filing of the initial [pleading], usually employed when the

[pleading] is amended after the expiration of the applicable statute of limitations”);

AFSCME Council 93 v. Me. Labor Relations Bd., 678 A.2d 591, 592 (Me. 1996)

(“To rule that an amended [pleading] may not relate back to the filing date of the

original [pleading], when the original [pleading] must be dismissed, defeats the

very purpose of allowing amended [pleadings] pursuant to M.R. Civ. P. 15.”).

        [¶14]      However, Rule 15(c) applies expressly to the amendment of

“pleadings,” and a notice of claim is not a pleading as that term is employed in

Rule 15(c). See M.R. Civ. P. 7(a). Nonetheless, we have previously suggested that


  4
      M.R. Civ. P. 15(c) provides:

        (c) Relation Back of Amendments. An amendment of a pleading relates back to the
        date of the original pleading when

                (1) relation back is permitted by the law that provides the statute of limitations
                applicable to the action, or

                (2) the claim or defense asserted in the amended pleading arose out of the
                conduct, transaction, or occurrence set forth or attempted to be set forth in the
                original pleading, or

                (3) the amendment changes the party or the naming of the party against whom a
                claim is asserted if the condition of paragraph (2) of this subdivision is satisfied
                and, within the period provided by Rule 3 for service of the summons and
                complaint, the party to be brought in by amendment (A) has received such notice
                of the institution of the action that the party will not be prejudiced in maintaining
                a defense on the merits, and (B) knew or should have known that, but for a
                mistake concerning the identity of the proper party, the action would have been
                brought against the party.
10

courts may have the authority in certain circumstances to permit the relation back

of amendments to motions. See Lee v. Maier, 1999 ME 62, ¶¶ 14-16, 728 A.2d

154. The question we must decide is whether, like pleadings and motions, a notice

of claim may be subject to amendment that relates back to the date that the notice

was originally filed. There are compelling reasons to answer this question in the

affirmative.

       [¶15] First, Rule 81(f) grants the court the discretion to apply the Civil

Rules when appropriate under the circumstances to govern the management and

processing of a case: “When no procedure is specifically prescribed, the court

shall proceed in any lawful manner not inconsistent with the Constitution of the

State of Maine, these rules or any applicable statutes.” The Rules of Civil

Procedure therefore allow the court the discretion to permit a plaintiff to amend a

notice of claim and have the amendment relate back to the filing of the original

notice in a manner consistent with Rule 15(c). See 24 M.R.S. § 2853(5); M.R. Civ.

P. 1, 81(f).

       [¶16]   Second, we have previously recognized that the relation-back

principle embodied in Rule 15(c) may be applied to permit the correction of a

timely but defective filing. We recognized this very possibility in Garland v.

Sherwin, the case cited by the trial court. In Garland, the claimant argued that

application of Rule 15(c) allowed amending the original notice of claim filed
                                                                                                            11

within the statute of limitations to include a second defendant. See 2002 ME 131,

¶¶ 5, 6, 8, 804 A.2d 354.                Although we recognized that Rule 15(c) did not

expressly apply to an amended notice of claim, we analyzed the amendment in

accordance with the criteria set forth in Rule 15(c) and concluded that the

amendment should not relate back pursuant to Rule 15(c)(2) because it did not

arise out of the same conduct, transaction or occurrence that was the subject of the

original notice.5 See id. ¶ 8.

        [¶17] Third, permitting the Superior Court to apply Rule 15(c) to Frame’s

defective notice is consistent with our prior treatment of the details of a notice of

claim as directory and not mandatory if the failure to strictly comply with the

notice requirements did not prejudice the opposing party. In Givertz v. Maine

Medical Center, we stated:

        [T]he details of the notice of claim, its verification and service, which
        are not of the very essence of giving notice of intended legal action
        and which, if not in strict compliance with the statute, would not
        prejudice the rights of interested parties . . . are to be regarded as
        directory, [rather than] mandatory . . . .

459 A.2d 548, 554 (Me. 1983).

   5
      Contrary to the Hospital’s contentions, M.R. Civ. P. 5(f) does not require a different result. Rule
5(f) directs that a clerk “will not docket” and “shall” return “as incomplete” filings that are “not signed, or
are not accompanied at the time of filing by a legally required element, including but not limited to” a
required fee, envelope, summary sheet, or the filing attorney’s Maine Bar Registration Number. As such,
Rule 5(f) did not prohibit docketing of Frame’s notice of claim, because her attorney signed it. Further,
Rule 5(f) addresses signatures, filing fees, and other legal requirements related to the mechanics of
docketing and filing. It does not require the clerk to reject a signed but unsworn notice of claim, nor does
it preclude docketing of filings for every statutory defect that gives rise to a defense or affirmative
defense. Cf. M.R. Civ. P. 12(b), (c).
12

      [¶18] There is no reason to conclude that permitting Frame’s amended,

sworn notice of claim to relate back to the original filing would prejudice the

Hospital. No new parties or claims were added with the amended sworn notice of

claim. The parties have not yet presented their case to the screening panel or

conducted any discovery. Frame promptly filed the amended sworn notice of

claim, within four months of the original filing. Frame has not yet sought to file a

complaint for professional negligence, and the now-sworn notice provides the

Hospital with a basis for a perjury action against Frame.

      [¶19] Further, permitting an amended notice of claim to cure the defect

caused by the unsworn notice is consistent with the purposes of the MHSA. An

amendment that cures a technical defect fulfills the statutory objectives of deciding

claims on their merits and encouraging the early withdrawal of meritless claims.

See 24 M.R.S. § 2851(1); see also Dutil v. Burns, 1997 ME 1, ¶ 5, 687 A.2d 639

(recognizing that dismissal of claim for a “failure to comply with the statutory

prerequisites for maintaining an action for professional negligence . . . is akin to a

dismissal for insufficient service of process or lack of subject matter jurisdiction,

and does not serve as an adjudication of the merits.”). Permitting Frame to assert

her claim under oath will encourage truthfulness and, on the facts of this case,

would not add substantial delay to a resolution of the claim on the merits.
                                                                                    13

      [¶20] Finally, the United States Supreme Court’s decision in Edelman v.

Lynchburg College, 535 U.S. 106 (2002), provides persuasive support for the

proposition that Frame should have been permitted to amend her notice of claim

under the circumstances of this case. In Edelman, the Supreme Court upheld a

regulation by the Equal Employment Opportunity Commission permitting an

otherwise timely filer to verify a charge outside the statute of limitations and have

it relate back to the filing date of the original, defective charge. See id. at 108-09,

118. The Supreme Court observed that “[w]here a statute . . . requires an oath,

courts have shown a high degree of consistency in accepting later verification as

reaching back to an earlier, unverified filing.” Id. at 116 (footnotes omitted). The

Court reasoned that it would be “passing strange” not to permit relation back just

because the proceeding was not in federal court.           Id.   Further, where the

verification provision served to limit meritless claims, permitting relation back to

cure the defective charge would not significantly undermine this goal, provided

that the amended filing occurred before the defendant had to respond to the merits

of the charge. See id. at 115-16.

      [¶21] Edelman’s reasoning regarding an administrative proceeding applies

with equal strength here. It would be “passing strange” to preclude application of

Rule 15(c) to proceedings before the Superior Court.              Further, permitting

amendment of the defective notice of claim does not significantly undermine the
14

oath requirement because a complainant must still comply with 24 M.R.S.

§ 2903(1) before filing the complaint, and the Superior Court retains jurisdiction to

consider the appropriate sanction, if any, for the filing of an unsworn claim.

See 24 M.R.S. § 2853(5).

       [¶22] The ultimate purpose of our procedural rules is to secure justice. The

court, in concluding that it lacked the authority to permit Frame to amend her

notice of claim, poignantly observed: “Reasonable people could doubt the wisdom

of imposing such a harsh and unfair result on a party for making such a relatively

minor procedural mistake.” Because we have not considered application of Rule

15(c) to a notice of claim since the 1986 amendment to the MHSA, the Superior

Court cannot be faulted in failing to anticipate that, as revised, the MHSA supports

applying the Civil Rules under the circumstances presented here. We conclude

that neither the MHSA nor the Rules of Civil Procedure compel a harsh and unfair

result in this case.

       [¶23] The Hospital argues that our decision in Paradis interpreting the

original MHSA, 24 M.R.S.A. §§ 2501-2905 (Supp. 1977), and the principle of

stare decisis should act as a bar to permitting the amendment of the notice of claim

in this case. It is true that there is no substantial difference between the previous

and current statutory requirements requiring that a notice of claim be under oath.

Compare 24 M.R.S.A. § 2903 (Supp. 1977), with 24 M.R.S. § 2853(1) (2012).
                                                                                                           15

What has changed, and the reason why our decision in Paradis does not control

our decision here, is the addition of mandatory, judicially sponsored prelitigation

screening.6

        [¶24] As a result of the 1986 revision of the MHSA, the document that

commences an action for professional negligence is the notice of claim itself, and

not the filing of a complaint. Compare 24 M.R.S.A. § 2903 (Supp. 1977), with

24 M.R.S. §§ 2853(1), 2903(1)(A) (2012). As a consequence, the filing of the

notice of claim commences an action and invokes the jurisdiction of the Superior

Court long before a complaint is ever filed.7 See 24 M.R.S. § 2853(1), (5). As

revised, the Act also provides that once an action is commenced, the Superior

Court has jurisdiction to determine motions raising affirmative defenses. See id.

§ 2853(5); M.R. Civ. P. 12(c). This includes the authority to act on the defense

that the claimant has not complied with the statutory procedures required by

   6
       These changes are largely the result of the following amendments to the Act: P.L. 1985, ch. 804,
§ 12 (effective Jan 1, 1987) (codified as amended at 24 M.R.S. §§ 2851-2859 (2012)) (establishing
prelitigation screening panels and the governing rules and procedures, and making screening mandatory
absent agreement of the parties); P.L. 1989, ch. 361, § 6 (effective June 19, 1989) (codified as amended at
24 M.R.S. § 2853(5) (2012)) (granting the Superior Court authority to hear motions raising affirmative
defenses prior to the submission of the case to the panel); P.L. 1989, ch. 827, § 4 (effective April 10,
1990) (codified as amended at 24 M.R.S. § 2859 (2012)) (providing that the statute of limitations is tolled
upon service or filing of the notice of claim); P.L. 1991, ch. 505, §§ 1, 6 (effective Oct. 9, 1991) (codified
as amended at 24 M.R.S. §§ 2853(1), 2903(1)(A) (2012)) (providing that a notice of claim commences an
action for professional negligence).
   7
     Previously, the service of a notice of claim initiated a mandatory ninety-day wait period before a
claimant could file a complaint. The wait period now occurs after the prelitigation screening procedure
and has been shortened to thirty days. Compare 24 M.R.S.A. § 2903 (Supp. 1977), with 24 M.R.S.
§ 2859 (2012).
16

section 2853(1) or that the case is time-barred under the applicable statute of

limitations. See Gafner v. Down E. Cmty. Hosp., 1999 ME 130, ¶ 29, 735 A.2d

969 (“Matters appropriately referred to the Superior Court pursuant to section

2853(5) may include statute of limitations defenses [and] allegations of failed

notice . . . .”). Thus, unlike the 1977 version of the Act considered in Paradis,

pursuant to the current law, the court’s authority begins with the filing of a notice

of claim and continues uninterrupted throughout the prelitigation screening

process, even though the filing of a complaint for professional negligence does not

occur until after prelitigation screening has been completed.8                       See 24 M.R.S.

§§ 2853(1), (5), 2903(1)(B). At the time that Paradis was decided, the service of a

notice of claim did not commence prelitigation screening, invoke the Superior

Court’s jurisdictional authority, or implicate the Rules of Civil Procedure.

         [¶25] Moreover, the policy considerations that underlay our decision in

Paradis do not apply here. In Paradis, the plaintiff never sought to amend the

unsworn notice of claim, see 409 A.2d at 673-74, and we had no reason to address

that possibility in our opinion. We concluded that the oath requirement was crucial

to the functioning of the mandatory wait period to “weed out doubtful claims and

encourage[] the settlement of meritorious ones.” Id. at 674 (quoting the Pomeroy

     8
      However, the Superior Court’s authority is limited during the pendency of the screening procedure,
and it may not render a judgment on the merits until the panel makes its determination. See Gafner, 1999
ME 130, ¶¶ 23-24, 735 A.2d 969.
                                                                                  17

Commission’s study). We expressed concern for making “clear the significance of

filing the document itself” and providing “a basis for a perjury action.” Id. at 675.

In this case, prelitigation screening implements several additional measures that

serve this function, including a longer prelitigation period, discovery during

prelitigation screening, the presentation of evidence at the panel hearing, and the

panel’s determination of liability.    See 24 M.R.S. §§ 2852(6), 2853(4), (7),

2854(1), 2855 (2012). Permitting an amended, sworn notice of claim to relate

back to the filing date of an unsworn notice of claim does not undermine these

goals, provided that, as is true here, the claimant cures the defect without

undermining the integrity of the prelitigation screening panel hearing and before

the filing of a complaint pursuant to section 2903(1). In fact, Frame’s filing of an

amended, sworn notice of claim will ensure that she appreciates the significance of

the filing and has provided a basis for a perjury action at this early stage in the

proceedings before the screening panel hearing.

      [¶26] In short, Paradis does not control the question of whether after the

1986 revision of the MHSA, the court may, in a manner consistent with

M.R. Civ. P. 15(c), permit Frame to amend her notice of claim and have the

amendment relate back to the date the notice was originally filed.
18

C.    Conclusion

      [¶27]   We conclude that the court erred in determining that it lacked

authority to permit Frame to amend her unsworn notice of claim and have the

amendment relate back to the original filing date for purposes of tolling the statute

of limitations pursuant to 24 M.R.S. § 2859.          Where, as is the case here,

prelitigation screening has not yet occurred and there is no reason to conclude that

a defendant will be prejudiced if an amendment is permitted, the amendment

should be granted.

      The entry is:

                      Judgment vacated. Remanded for entry of an
                      order (1) permitting Frame to amend her notice of
                      claim with the amendment relating back consistent
                      with M.R. Civ. P. 15(c), and (2) denying the
                      Hospital’s motion to dismiss.




MEAD, J., with whom ALEXANDER, J., joins, dissenting.

      [¶28] I respectfully dissent. Although I agree with the Court’s conclusions

that there are no substantive differences between the pre-1987 version of the

relevant provision of the Maine Health Security Act, 24 M.R.S.A. § 2903

(Supp. 1977), and the current version, and as a matter of stare decisis, we are

bound by our decision in Paradis v. Webber Hosp., 409 A.2d 672 (Me. 1979), I
                                                                                   19

disagree with the Court’s ultimate conclusion that Paradis does not control our

decision.

      [¶29] The Maine Health Security Act (MHSA or Act) became effective in

1977 to codify the recommendations of a study undertaken by the Commission to

Revise the Laws Relating to Medical and Hospital Malpractice Insurance, known

as the Pomeroy Commission. L.D. 727, Statement of Fact (108th Legis. 1977);

L.D. 1825 (107th Legis. 1975) (establishing the commission); see also Paradis,

409 A.2d at 674 (providing a brief history of the MHSA). Shortly after the

MHSA’s enactment, we considered the issue of whether an unsworn notice tolls

the statute of limitations. See Paradis, 409 A.2d 672. At the time, the Act

combined within one section the provisions concerning the commencement of an

action, the written notice of claim, the service of the claim, and tolling the statute

of limitations, providing:

      No action for death or injuries to the person arising from any medical,
      surgical or dental treatment, omission or operation shall be
      commenced until at least 90 days after written notice of claim setting
      forth under oath the nature and circumstances of the injuries and
      damages alleged is served personally or by registered or certified mail
      upon the person or persons accused of wrongdoing. Any applicable
      statute of limitations shall be tolled for a period of 90 days from
      service of notice.

P.L. 1977, ch. 492, § 3 (effective Oct. 24, 1977) (codified at 24 M.R.S.A. § 2903

(Supp. 1977)). We held that the claimant’s written notice failed to toll the statute
20

of limitations because it was not filed under oath. Paradis, 409 A.2d at 675. We

concluded that the oath requirement was consistent with the statute’s plain

meaning and expressly rejected the plaintiff’s argument “that the statutory purpose

was merely to give notice of a pending claim.” Id. at 674-75. Instead, we stated

that the oath requirement was more than a “mere technicality,” observing that the

oath’s “function is both to make clear the significance of filing the document itself

and to provide a basis for a perjury action upon proof of falsification.” Id. at 675

(citation omitted).

      [¶30] As noted above, I agree with the Court’s conclusions that there are no

substantive differences between the pre-1987 version of section 2903 of the MHSA

and the current version. See Court’s Opinion ¶ 10. Under either version of the

statute, however, the rule is the same—a claimant’s failure to file a written notice

under oath does not toll the statute of limitations. See Paradis, 409 A.2d at

674-75. Thus, at the time when Frame requested leave of court to amend her

notice and have it relate back to the original filing, the statute of limitations had

already run. Applying the Paradis principles, she was left in the position of a party

who seeks leave of court to file a claim after the statutory period for filing had

expired.

      [¶31] Medical malpractice actions in Maine are based in statute, and, as

discussed above, so is the relevant statue of limitations which “should be construed
                                                                                  21

strictly in favor of the bar which it was intended to create, and not liberally.”

Nuccio v. Nuccio, 673 A.2d 1331, 1334 (Me. 1996) (quoting Duddy v. McDonald,

148 Me. 535, 538, 97 A.2d 445 (1953)). The court should not lightly expand

constraints that are dictated by statute.

      [¶32] I do not reach the issue of whether medical malpractice notices are

pleadings for purposes of Rule 15, other than to note that we have expressly

limited its application to pleadings. See Lee v. Maier, 1999 ME 62, ¶¶ 14-15,

728 A.2d 154 (“By its terms . . . M.R. Civ. P. 15(c)(2) only applies to pleadings.”).

Nor do I consider whether such amended notices could appropriately “relate back”

if filed in a timely fashion. The operation of the statute and the application of the

Paradis case produce an inevitable result: the defective and inadequate notice of

claim was ineffective to toll the statute of limitations.

      [¶33] I do not disagree that this result can be perceived as harsh. The

approach and analysis undertaken in the Edelman case arguably allows a more

flexible and forgiving result. However, in Paradis, this Court had the opportunity

to fashion a flexible and forgiving approach, but declined to do so.

      [¶34] If the Legislature had determined that the holding of Paradis was too

harsh, it could have expressly uncoupled the notice and oath requirements when it

amended the Act. See, e.g., Stockly v. Doil, 2005 ME 47, ¶ 14, 870 A.2d 1208

(“The Legislature is presumed to be aware of the state of the law and decisions of
22

this Court when it passes an act.”); Taylor v. Town of Orono, 585 A.2d 807,

808-809 (Me. 1991) (holding that defective notice can be excused if there is

substantial compliance with the Maine Tort Claims); Townsend v. Me. Bureau of

Pub. Safety, 404 A.2d 1014, 1016 (Me. 1979) (noting that the Legislature avoided

the harsh results of prior cases that held that a gradually occurring injury was

non-compensable by deleting the accident requirement); Michaud v. N. Me. Med.

Ctr., 436 A.2d 398, 403 (Me. 1981) (Wathen, J., dissenting) (“In . . . areas when

the legislature has wished to temper the harsh results of similar provisions, they

have demonstrated that they are capable of doing so expressly.”). Instead, the

Legislature clearly endorsed our earlier interpretation, as evidenced by the

continuity in language used after the amendments with only a minor restructuring

of the statutory section at issue.

      [¶35] I would conclude that we are bound by our previous holding in

Paradis. Here, as in Paradis, Frame’s unsworn notice of claim failed to toll the

statute of limitations. Unless we take the extraordinary step of overruling this

Court’s earlier precedent, potential medical malpractice claimants remain on notice

that strict compliance is required with all procedural elements of the MHSA.

      [¶36]    I would affirm the decision of the Superior Court granting the

Hospital’s motion to dismiss.
                                                                                 23

___________________________________

On the briefs:

        Samuel M. Pollack, Esq., Pollack & Flanders, LLP, Boston, Massachusetts,
        for appellant Perri Frame

        Mark G. Lavoie, Esq, and Jennifer A.W. Rush, Esq., Norman, Hanson &
        DeTroy, LLC, Portland, for appellees Millinocket Regional Hospital, Daniel
        C. Herbert, William R. Jenkins, Kevin R. Olsen, Kwaku Owusu, and
        Douglas A. Rhoda

        Richard L. O’Meara, Esq., Murray, Plumb & Murray, Portland, for amicus
        curiae Maine Trial Lawyers Association


At oral argument:

        Anthony L. Gray, Esq., Pollack & Flanders, LLP, Boston, Massachusetts,
        for appellant Perri Frame

        Christopher C. Taintor, Esq., for appellees Millinocket Regional Hospital,
        Daniel C. Herbert, William R. Jenkins, Kevin R. Olsen, Kwaku Owusu, and
        Douglas A. Rhoda



Penobscot County Superior Court docket number CV-2011-117
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