Filed 6/7/17
                      CERTIFIED FOR PARTIAL PUBLICATION*


                COURT OF APPEAL, FOURTH APPELLATE DISTRICT

                                      DIVISION ONE

                                STATE OF CALIFORNIA



NANCY BRENNER, Individually and as                 D071094
Executor, etc., et al.,

        Plaintiffs and Appellants,
                                                   (Super. Ct. No. MCC 1300776)
        v.

UNIVERSAL HEALTH SERVICES OF
RANCHO SPRINGS, INC., et al.,

        Defendants and Respondents.


        APPEAL from judgments of the Superior Court of Riverside County,

Sharon J. Waters, Judge. Affirmed.

        Bohm Law Group, Lawrance A. Bohm, Bradley J. Mancusco and Maria E.

Minney for Plaintiffs and Appellants.

        Dummit, Buchholz & Trapp, Scott D. Buchholz and Moira S. Brennan for

Defendant and Respondent Universal Health Services of Rancho Springs, Inc.

        Schmid & Voiles, Denise H. Greer, Sidney J. Martin and Michael C. Ting for

Defendant and Respondent Young H. Lee., M.D.

*      Pursuant to California Rules of Court, rule 8.1110, this opinion is certified for
publication with the exception of parts III.A.2, III.A.4 and III.B.
                                             I.

                                    INTRODUCTION

       Plaintiffs Nancy Brenner, individually and in her representative capacity as

representative of the estate of Dale Brenner, and Zach Brenner, individually,1 appeal

judgments entered in favor of defendants Universal Health Services of Rancho Springs,

Inc., doing business as Southwest Healthcare System - Inland Valley Medical Center

(UHS) and Dr. Young H. Lee, M.D. (Dr. Lee or Lee).

       Dale Brenner, Nancy's husband and Zach's father, was a patient at the Inland

Valley Medical Center for approximately 23 days after he suffered a stroke a few hours

after arriving at the emergency department of the hospital. He was eventually transferred

to another medical facility, where he later died. Approximately a year after Dale

Brenner's death, the plaintiffs sued UHS, Lee, and additional defendants, asserting causes

of action for wrongful death based on medical negligence; retaliation, in violation of

Health and Safety Code section 1278.5; and elder abuse, in violation of Welfare and

Institutions Code sections 15610, et seq. Lee and UHS moved for summary judgment,

which the trial court granted. The trial court thereafter entered judgments in favor of

UHS and Lee.

       On appeal, the plaintiffs contend that the trial court erroneously granted summary

judgment in favor of UHS and Lee. We affirm the court's judgments.




1      When referring to the plaintiffs individually, we refer to them by their first names
for purposes of clarity. We intend no disrespect.
                                             2
                                            II.

                  FACTUAL AND PROCEDURAL BACKGROUND

A. Factual background

       On May 31, 2012, Dale Brenner (Brenner), who was 71 years old at the time, was

brought to the emergency department at the Inland Valley Medical Center, accompanied

by his wife, Nancy, who had been a nurse for over 30 years. Brenner was complaining

about severe shortness of breath, and his blood pressure upon admission to the facility

was 198/100. Brenner's medical history included diagnoses of a previous heart attack,

cardiac disease, insulin dependent diabetes, chronic obstructive pulmonary disease, a

previous stroke (2007), high cholesterol, hypertension, sleep apnea, renal insufficiency,

deep venous thrombosis requiring anti-coagulation medication, and congestive heart

failure, as well as two coronary artery bypass graft surgeries (1990 and 1991) and a

tracheostomy (2007).

       Several hours after Brenner arrived at the emergency department, he suffered a

stroke. He was thereafter admitted to the hospital's Intensive Care Unit (ICU). Brenner

was placed on tube feedings and bi-level positive airway pressure (BiPAP).

       On June 3, 2012, Nancy attempted to reach the Director of Nursing and the CEO

of the hospital to express her concerns regarding the sufficiency of Brenner's care in the

ICU. She also contacted the hospital's case manager office to complain.

       Brenner's condition began to improve, and on June 4, 2012, he was transferred to

the Progressive Care Unit (PCU), which provides a lower level of care than the ICU.

That same day, Nancy made a request at the nurse's station to speak to the nursing

                                             3
supervisor regarding Brenner's positioning and feeding tube issues that had occurred

during the transfer process. The following day, Nancy left messages with a physician,

who she contends failed to return her calls. She also asked to speak with the nursing

supervisor that evening.

       Brenner was transferred back to the ICU on June 7, 2012. Dr. Timothy Killeen

informed Nancy that Brenner was in septic shock and was demonstrating signs of kidney

failure.

       On June 9, Dr. Lee, who specializes in critical care and pulmonology, first saw

Brenner. Lee was covering for Dr. Killeen over the weekend. Dr. Lee noted that Brenner

was in no acute distress and that his vital signs were stable. By June 10, at approximately

noon, however, Dr. Lee noted that Brenner's condition had "significantly deteriorated."

Brenner was short of breath and more "obtunded" (i.e., less alert). Brenner required

continuous BiPAP. Dr. Lee planned to intubate Brenner. Dr. Lee's notes include the fact

that he had been informed by Nancy that Brenner had a history of prior difficult

intubation and had previously undergone an "emergent cricothyroidotomy." Dr. Lee

requested an anesthesiologist to assist with the intubation.

       An anesthesiologist arrived to perform the intubation, but encountered difficulty in

performing the procedure. A surgeon arrived to perform a possible emergency

tracheostomy. Nancy refused to leave the room, even after having been asked to do so

multiple times and being told that a sterile environment was required. The

anesthesiologist was ultimately able to successfully intubate Brenner. He noted that he

believed Brenner may have aspirated prior to intubation.

                                              4
       Later that afternoon, Brenner's diastolic blood pressure dropped. Dr. Lee ordered

that a "PICC" line be placed in order to administer medication to regulate Brenner's blood

pressure. After a radiologist unsuccessfully attempted to place a "PICC" line in Brenner's

arm, a central line was recommended instead. At approximately 3:30 p.m., Dr. Lee

began a procedure to insert a central line into Brenner's right internal jugular vein.

       According to Nancy, she asked Dr. Lee why he was not using an ultrasound to

determine the appropriate placement of the central line. Dr. Lee replied that it was " 'not

necessary.' " He refused to perform the procedure unless Nancy waited outside of the

room. Nancy left the room. Approximately 30 minutes into the procedure, Nancy asked

a nurse whether something had gone wrong. She was told that there had been some

problems during the procedure but that everything was fine.

       According to the nursing notes, Nancy was permitted back in Brenner's room at

approximately 3:50 p.m. There was a dressing over the site of the central line insertion.

No bleeding was indicated from the dressing. According to Nancy, when she returned to

the room, there was blood all over the bedding and she saw the beginning signs of

bruising and swelling around Brenner's neck.

       The following morning, June 11, a nurse noticed a lump on Brenner's neck, and

she checked the central line insertion site. The nurse noted the presence of a hematoma.

She paged Dr. Lee. Dr. Lee then ordered a chest x-ray, which demonstrated that the right

central line catheter was located in the superior vena cava, which, according to an expert,

was the "appropriate position," and that Brenner had not suffered a pneumothorax (i.e., a

punctured lung).

                                              5
       Later that morning, a nurse informed Lee that Brenner's hematoma appeared to be

increasing in size. Lee told the nurse to put a pressure dressing over it. The nurse also

told Lee that Nancy wanted to speak with him. He informed the nurse that he was no

longer on call for Dr. Killeen. The nurse called Dr. Killeen, who told the nurse that he

would call Nancy as soon as he could.

       Also on June 11, 2012, a vascular surgeon evaluated Brennan's neck hematoma. A

CT scan of the area showed the existence of a soft tissue hematoma along the

sternocleidomastoid muscle. The CT scan demonstrated that the hematoma had no

demonstrable effect on the carotid arteries and showed no indication that the carotid

artery had been injured. The surgeon believed that any active bleeding in the area had

stopped, and noted that he would consider operating to drain the hematoma if it continued

to grow or began to impose pressure on Brenner's airway.

       Brenner was treated by Dr. Killeen for another 11 days. At some point, Nancy

requested that Brenner be transferred to Scripps Green Hospital. He was transferred there

on June 22, 2012.

       Prior to Brenner's transfer to Scripps Green Hospital, during the final week he

remained at Inland Valley Medical Center, Nancy met with the hospital's CEO and others

regarding her concerns about Brenner's medical treatment.

       After the transfer to Scripps Green Hospital, a cardiothoracic surgeon evaluated

Brenner for a potential tracheostomy, given Brenner's respiratory failure due to severe

pulmonary disease. Without a tracheostomy, Brenner was facing the potential of being

intubated for a prolonged period. Later, however, the surgeon noted that if Brenner's

                                             6
family wanted him to undergo aggressive care, he would have to be evaluated for laser

therapy at UCSD for treatment of subglottic stenosis (narrowing of the windpipe) before

a tracheostomy could be performed.

       An MRI revealed that a significant portion of Brenner's brain tissue had died. Any

surgical intervention as to an occlusion in his left carotid artery, even if successful, would

not have provided Brenner with a decent quality of life. Brenner's treating physicians

recommended to Nancy and Zach that they remove Brenner from life support. They

agreed to do so and to have Brenner transferred to hospice care. Brenner died on June

29, 2012. Brenner's death certificate identifies "ACUTE RESPIRATORY FAILURE" as

the primary cause of death. The death certificate also lists as contributing causes "NON

TRAUMATIC RIGHT NECK HEMATOMA" and "CEREBROVASCULAR

ACCIDENT."

B. Procedural background

       Approximately a year after Brenner died, the plaintiffs filed a complaint against

UHS, Lee, Dr. Nizar Salek, and Dr. Timothy Killeen.2 In the original complaint, the

plaintiffs asserted causes of action for (1) elder abuse, in violation of Welfare and

Institutions Code section 15610, et seq., as to all defendants; (2) retaliation, in violation

of Health and Safety Code section 1278.5, as to all defendants; and (3) "[w]rongful

[d]eath/[m]edical [n]egligence," as to all defendants. In response to a demurrer filed by




2      Drs. Salek and Killeen are not parties to this appeal.
                                               7
Lee, the plaintiffs amended the complaint to allege the same causes of action, but to limit

the elder abuse claim to UHS, alone.

       Lee filed a second demurrer and a motion to strike the plaintiffs' requests for

predeath pain and suffering and punitive damages. UHS also moved to strike the request

for punitive damages from the first amended complaint. The trial court overruled Lee's

second demurrer, but struck from the complaint the plaintiffs' request for damages in the

form of predeath pain and suffering, as well as the request for punitive damages.

       The plaintiffs filed a motion for leave to file a second amended complaint in order

to add a request for punitive damages, pursuant to Code of Civil Procedure section

425.13.

       In late January, 2015, during the time period during which the parties were

briefing the plaintiffs' motion for leave to file a second amended complaint, Lee filed a

motion for summary judgment. The same day, UHS filed a motion for summary

judgment. The motions were set for separate hearings to occur in mid-to-late April 2015.

       On March 16, 2015, the court entered an order denying the motion for leave to

amend to add a request for punitive damages.

       The court held a hearing on Lee's motion for summary judgment in April 2015.

The trial court overruled all of the plaintiffs' evidentiary objections. The trial court

concluded that summary adjudication in favor of Lee was appropriate with respect to the

retaliation claim. The court also determined that the plaintiffs' expert's declaration was

legally insufficient to establish a triable issue of material fact with respect to causation as

to the wrongful death claim. In addition, the court concluded that Lee was entitled to

                                               8
summary adjudication with respect to the claim for retaliation under Health and Safety

Code section 1278.5.

       The court held a hearing on UHS's motion for summary judgment the following

week. The court overruled all of the parties' evidentiary objections, and then turned to

the merits of the summary judgment motion. The court took the matter under submission

at the conclusion of the hearing and ultimately granted the motion in full.

       The trial court entered judgment in favor of Lee on May 29, 2015. The trial court

entered judgment in favor of UHS on June 5, 2015.

       On September 4, 2015, the Court of Appeal, Fourth District, Division Two,

entered an order deeming Nancy's premature notice of appeal to have been a notice of

appeal filed following the entry of judgments. The court also construed the notice to

include Zach, individually, as an appellant and to indicate Nancy's status in appealing

both as an individual, as well as in her representative capacity as representative of

Brenner's estate. The case was subsequently transferred to the Court of Appeal, Fourth

District, Division One on September 13, 2016, per an order of the Supreme Court.3




3      On June 10, 2016, the plaintiffs filed a request for judicial notice in which they
request that this court take judicial notice of three reporter's transcripts from additional
hearings that took place in the trial court:

           (1) The reporter's transcript from an October 7, 2013 hearing on
           Lee's demurrer and motion to strike; (2) The reporter's transcript
           from a November 24, 2014 trial setting conference; and (3) The
           reporter's transcript from a March 6, 2015 hearing on the plaintiffs'
           motion for leave to file second amended complaint to plead punitive
           damages pursuant to Code of Civil Procedure section 425.13.

                                               9
                                             III.

                                       DISCUSSION

A. The trial court properly granted summary judgment in favor of the respondents

       1. Summary judgment standards

       "Summary judgment and summary adjudication provide courts with a mechanism

to cut through the parties' pleadings in order to determine whether, despite their

allegations, trial is in fact necessary to resolve their dispute. [Citations.] A defendant

moving for summary judgment or summary adjudication may demonstrate that the

plaintiff's cause of action has no merit by showing that (1) one or more elements of the

cause of action cannot be established, or (2) there is a complete defense to that cause of

action." (Collin v. CalPortland Co. (2014) 228 Cal.App.4th 582, 587 (Collin).)

       Generally, "the party moving for summary judgment bears an initial burden of

production to make a prima facie showing of the nonexistence of any triable issue of

material fact; if [that party] carries [this] burden of production, [the moving party] causes


       UHS opposed the request for judicial notice, arguing that "[a]ppellants are
attempting to present new information that was not considered by the trial court in ruling
on Inland Valley Medical Center's motion for summary judgment, and was not part of the
documents presented to support their arguments in Appellants' Opening Brief." We
disagree. The reporter's transcripts are from the underlying proceedings. Everything that
occurred during these proceedings was known to, and presumably considered by, the trial
court in making rulings with respect to the case, including rulings addressing the
defendants' motions for summary judgment. The plaintiffs could have sought to augment
the record on appeal to include these transcripts (see Cal. Rules of Court, rule 8.155(a)(1)
["At any time, on motion of a party or its own motion, the reviewing court may order the
record augmented to include: [¶] . . . [¶] (B) A certified transcript—or agreed or settled
statement—of oral proceedings not designated under rule 8.130"]. We see no reason why
judicial notice of these transcripts should not be granted. We therefore grant the request
for judicial notice.
                                             10
a shift, and the opposing party is then subjected to a burden of production of his own to

make a prima facie showing of the existence of a triable issue of material fact." (Aguilar

v. Atlantic Richfield Co. (2001) 25 Cal.4th 826, 850.) In moving for summary judgment,

"all that the defendant need do is to show that the plaintiff cannot establish at least one

element of the cause of action—for example, that the plaintiff cannot prove element X."

(Id. at p. 853.) "A defendant moving for summary judgment or summary adjudication

need not conclusively negate an element of the plaintiff's cause of action. [Citations.]

Instead, the defendant may show through factually devoid discovery responses that the

plaintiff does not possess and cannot reasonably obtain needed evidence." (Collin, supra,

228 Cal.App.4th at p. 587.)

       "After the defendant meets its threshold burden [to demonstrate that a cause of

action has no merit], the burden shifts to the plaintiff to present evidence showing that a

triable issue of one or more material facts exists as to that cause of action or affirmative

defense. [Citations.] The plaintiff may not simply rely on the allegations of its pleadings

but, instead, must set forth the specific facts showing the existence of a triable issue of

material fact. [Citation.] A triable issue of material fact exists if, and only if, the

evidence reasonably permits the trier of fact to find the contested fact in favor of the

plaintiff in accordance with the applicable standard of proof." (Collin, supra, 228

Cal.App.4th at p. 588.)

       "On appeal, the reviewing court makes ' "an independent assessment of the

correctness of the trial court's ruling [regarding summary judgment], applying the same

legal standard as the trial court in determining whether there are any genuine issues of

                                              11
material fact or whether the moving party is entitled to judgment as a matter of law." ' "

(Hesperia Citizens for Responsible Development v. City of Hesperia (2007) 151

Cal.App.4th 653, 658.) Our task is to determine whether a triable issue of material fact

exists. (Collin, supra, 228 Cal.App.4th at p. 588.) In independently examining the

record on appeal "to determine whether triable issues of material fact exist," we

" 'consider[ ] all the evidence set forth in the moving and opposition papers except that to

which objections were made and sustained.' " (Ambriz v. Kelegian (2007) 146

Cal.App.4th 1519, 1530.)

       2. Summary adjudication of the claim for wrongful death as a result of
          medical negligence, as to both UHS and Lee

       Brenner, both in her capacity as representative of her husband's estate and

individually, and Zach Brenner, individually4, assert that the trial court erred in granting



4       Although neither party has raised this issue, it is not clear that all of the named
plaintiffs may properly bring such a claim. The operative pleading titles this cause of
action "Wrongful Death/Medical Negligence." A wrongful death cause of action is a
statutory claim that allows for the compensation of specified heirs of the decedent for the
loss they suffered as a result of the decedent's death. (Code Civ. Proc., §§ 377.60–
377.62; San Diego Gas & Electric Co. v. Superior Court (2007) 146 Cal.App.4th 1545,
1550–1551.) "The right to recover under a wrongful death theory is entirely statutory,
and the wrongful death statutes create a new cause of action that did not exist in the
common law." (Adams v. Superior Court (2011) 196 Cal.App.4th 71, 76 (Adams).)
Code of Civil Procedure section 377.60 specifies who may bring a wrongful death action,
and provides that such an action "may be brought by the heirs of the decedent or a
personal representative on behalf of the heirs of the decedent." (Adams, supra, at p. 76,
italics added.) As a result, "[e]ither the decedent's personal representative on behalf of
the heirs or the specified heirs (either as plaintiffs or joined defendants) may assert the
wrongful death claim—but not both." (Id. at p. 77, italics added.) Thus, it would appear
that Brenner could bring a wrongful death action in her individual capacity, together with
Zach Brenner, or in her capacity as the personal representative of her husband's estate;
she is not entitled to bring such an action in both capacities.
                                             12
summary adjudication of their claims for "Wrongful Death/Medical Negligence" against

Lee and UHS.5 The trial court concluded that Lee and UHS were entitled to summary

adjudication of the claims for wrongful death based on medical negligence because there

was no triable issue of fact regarding the element of causation with respect to this cause

of action.

       As we have noted, "[a] cause of action for wrongful death is . . . a statutory claim.

(Code Civ. Proc., §§ 377.60–377.62.) Its purpose is to compensate specified persons—

heirs—for the loss of companionship and for other losses suffered as a result of a

decedent's death." (Quiroz v. Seventh Ave. Center (2006) 140 Cal.App.4th 1256, 1263

(Quiroz).) " 'The elements of the cause of action for wrongful death are the tort

(negligence or other wrongful act), the resulting death, and the damages, consisting of the

pecuniary loss suffered by the heirs.' " (Ibid., italics omitted.)


       It appears, however, that Brenner may have been attempting to assert a separate
wrongful death claim and/or negligence claim in her capacity as the representative of her
husband's estate in order to seek relief for her husband's "pre-death pain and suffering," in
addition to bringing a claim in her individual capacity for the loss that she personally
suffered as a result of her husband's death. However, the Code of Civil Procedure,
section 377.34 precludes the personal representative of a decedent from recovering
damages for his or her predeath pain and suffering: "In an action or proceeding by a
decedent's personal representative or successor in interest on the decedent's cause of
action, the damages recoverable are limited to the loss or damage that the decedent
sustained or incurred before death, including any penalties or punitive or exemplary
damages that the decedent would have been entitled to recover had the decedent lived,
and do not include damages for pain, suffering, or disfigurement." (Code Civ. Proc.,
§ 377.34.) Indeed, the record demonstrates that the trial court struck the request for
predeath pain and suffering from the operative pleading.
5      Although plaintiffs assert two separate claims for "Wrongful Death/Medical
Negligence" in the operative complaint—one as to UHS and the other as to individual
defendants, including Lee—we will address these claims together, since they raise
substantively identical issues for purposes of this appeal.
                                              13
       In wrongful death actions predicated on medical negligence, the plaintiff must

show that the negligent act is a substantial factor in the causation of the death—that is,

the plaintiff must demonstrate that there was "a 'reasonable medical probability' " that

"the death was 'more likely than not' the result of the negligence." (Bromme v. Pavitt

(1992) 5 Cal.App.4th 1487, 1499, italics added.) " 'The law is well settled that in a

personal injury action causation must be proven within a reasonable medical probability

based upon competent expert testimony. Mere possibility alone is insufficient to

establish a prima facie case.' " (Lattimore v. Dickey (2015) 239 Cal.App.4th 959, 970.)

       Each defendant submitted the declaration of an expert with respect to the issues of

medical negligence in support of their respective motions for summary judgment. UHS

relied on the declaration of Dr. Kenneth Doan, who opined with respect to the element of

causation:

             "Based on my review of the records, and the deposition transcripts
             listed above, and based on a reasonable degree of medical
             probability, the decline and eventual demise of Dale Brenner was not
             caused as a result of the nursing care provided by Inland Valley.
             [¶] . . . [¶] Any alleged injuries sustained by Mr. Brenner were not
             the result of any substandard care provided by the nurses or staff of
             Inland Valley. Furthermore, it is my opinion under the
             circumstances of this case, based on a reasonable degree of medical
             probability, that the care and treatment provided to Dale Brenner by
             the Inland Valley nurses and staff was not a substantial factor in
             causing any alleged harm, injury or damage to him. No act or
             omission of the non-physician staff of Inland Valley involved in the
             care and treatment of Mr. Brenner was a direct or proximate cause of
             injury to Mr. Brenner." (Italics added.)




                                              14
      Dr. Lee relied on the expert opinion of Dr. Russell Klein, who provided a

declaration. Dr. Klein opined with respect to the element of causation as to any harm

Brenner may have suffered:

          "Based on my education, training and experience, and my review of
          the records pertaining to plaintiff, it is my opinion to a reasonable
          degree of medical probability that no act or omission . . . rendered to
          the decedent Dale Brenner by Young H. Lee, M.D., caused or was a
          substantial factor in causing the decedent's death. [¶] . . . It is my
          opinion that the hematoma that developed on the decedent's neck
          following the placement of the central line was not caused by
          inappropriate placement by Dr. Lee. Both the post-central line
          placement x-rays and CT scan show that the central line had been
          placed in the appropriate position by Dr. Lee. [¶] . . . To a
          reasonable degree of medical probability, the right neck hematoma
          developed as an unavoidable complication of the patient being on
          blood thinners while undergoing emergent placement of the central
          line. [¶] . . . [¶] . . . The critical event that caused the decedent's
          death was the large left hemispheric stroke the decedent suffered in
          the emergency room at the time of admission to Inland Valley
          Medical Center prior to Dr. Lee's involvement in the decedent's care.
          [¶] . . . This type of stroke confers a very high short and long term
          mortality, and those who do not die shortly after this type of stroke
          go on to live a crippled and dependent lifestyle in which they are
          unable to speak, understand language, and unable to feed
          themselves. The Scripps Hospital records show that the patient's
          family ultimately elected to withdraw support and placed him on
          hospice because the decedent had made it clear to them he would not
          want this kind of dependent life.

          ". . . Therefore, it is my opinion based on the medical evidence and
          to a reasonable medical probability, that the decedent died as a
          consequence of his large left hemispheric stroke, the usual expected
          complications of aphasia, dysphagia, and possibly aspiration
          pneumonia related to that stroke, and ultimately his family's decision
          to allow him to pass away according to his previously expressed
          wishes."

      On appeal, the plaintiffs take issue with the sufficiency of the expert declarations

submitted by the defendants in support of their motions for summary judgment, arguing

                                            15
that the declarations are "conclusory" and either "without explanation of the basis for [the

expert's] opinion" (as to Dr. Doan's declaration) or not "substantiated by the medical

records" (as to Dr. Klein's declaration). We reject this contention because, as described

above, each of these expert declarations sets forth a factual basis for the expert's opinion.

(See Bushling v. Fremont Medical Center (2004) 117 Cal.App.4th 493, 509 [expert

opinion that there was no malpractice based on review of "pertinent medical records" is

"not an improper conclusion for an expert witness"].) For example, Dr. Klein provided a

lengthy summary of the medical records that he reviewed, including records from Inland

Valley Medical Center, Menifee Valley Medical Center, Scripps Clinic, and Scripps

Green Hospital. He specifically states, as well, that his opinion with respect to causation

is based on his review of these medical records. Similarly, Dr. Doan, who provided a

nine-page declaration, also recited the factual basis of his opinion, and noted that his

opinion is based on his review of Brenner's medical records from these same medical

facilities, as well as Brenner's death certificate and the deposition transcripts in the case.

These expert declarations are not "conclusory," as plaintiffs contend, but rather, provide

adequate explanation regarding the basis for their ultimate opinions.

       Because the defendants produced competent expert declarations showing that

there is no triable issue of fact on the element of causation with respect to the alleged

medical negligence, the burden fell to the plaintiffs to "produce a competent expert

declaration to the contrary." (Bozzi v. Nordstrom, Inc. (2010) 186 Cal.App.4th 755, 761–

762 ["When the moving party produces a competent expert declaration showing there is



                                              16
no triable issue of fact on an essential element of the opposing party's claims, the

opposing party's burden is to produce a competent expert declaration to the contrary"].)

       In response to the defendants' expert declarations, the plaintiffs submitted the

expert declaration of Dr. Mehrnaz Hadian. Dr. Hadian identified a number of ways in

which she believed that the care provided by Dr. Lee and the staff at Inland Valley

Medical Center fell below the applicable standard of care. Dr. Hadian also provided a

number of criticisms with respect to the statements, conclusions, and opinions provided

by Dr. Klein. With respect to the issue of causation, Dr. Hadian stated the following:

          "After that transfer [to the Progressive Care Unit], it is my opinion,
          based on the evidence contained in the patient's chart, that Mr.
          Brenner suffered an aspiration event late June 4, 2012 or early June
          5, 2012, which resulted in aspiration pneumonia. This complication,
          which with a reasonable degree of medical certainty happened due to
          tube feeding him while being on BiPAP and/or placing his head flat
          by the nursing staff without stopping the tube feed, severely
          hindered Mr. Brenner's recovery from the stroke. In addition, the
          sustained dangerously high blood sugar levels further impeded the
          healing process, and caused Mr. Brenner additional problems for his
          body to cope with, which was already under great stress. The final
          insult was the complications during the central line placement
          procedure, which was caused by Dr. Lee's breach of the standard of
          care. Accordingly, it is my opinion that Brenner could have
          survived the stroke that he suffered on May 31, 2012, had
          Defendants[ ] collectively not deviated from the standard of care
          during 21 days of hospitalization causing him serious preventable
          complications." (Italics added.)

       As the trial court concluded, Dr. Hadian's opinion regarding causation does not

raise a triable issue of fact with respect to the cause of Brenner's death because it does not

establish anything more than a possibility that Brenner would not have died if any of the

instances of breaches of the standard of care that Dr. Hadian identifies had not occurred.


                                             17
Specifically, Dr. Hadian stated merely that Brenner "could have survived the stroke" if

the defendants, collectively, had not deviated from the standard of care.6

       Again, "[m]ere possibility alone is insufficient to establish a prima facie case."

(Jones v. Ortho Pharmaceutical Corp. (1985) 163 Cal.App.3d 396, 402–403.) "That

there is a distinction between a reasonable medical 'probability' and a medical 'possibility'

needs little discussion. There can be many possible 'causes,' indeed, an infinite number

of circumstances which can produce an injury or disease. A possible cause only becomes

'probable' when, in the absence of other reasonable causal explanations, it becomes more

likely than not that the injury was a result of its action. This is the outer limit of

inference upon which an issue may be submitted to the jury." (Id. at p. 403, italics

added.)

       By stating that Brenner "could have survived" the stroke that he suffered in the

absence of any deviation from the standard of care, collectively, Dr. Hadian does not

opine that Brenner's death was more likely than not the result of any particular negligent

act nor the result of all of the identified negligent acts, collectively. Rather, she offers an

opinion that it is possible that he would have survived the stroke, but for the identified

breaches of the standard of care. Significantly, at the hearing on UHS's motion for

summary judgment, counsel for the plaintiffs indicated that Dr. Hadian had been

unwilling to use the word "would" instead of "could" in her declaration in the relevant


6      We acknowledge that Dr. Hadian presented a number of opinions as to when,
during Brenner's hospitalization, various medical staff deviated from the standard of care.
We assume for purposes of this argument that Dr. Hadian's declaration establishes that
such deviations from the standard of care occurred.
                                              18
statement. In using the word "could," Dr. Hadian opined only that it was possible that

Brenner might have survived, but for the deviations from the standard of care, not that he

would have survived. This is not sufficient to establish that the identified deviations from

the standard of care were more likely than not the cause of Brenner's demise.

       The plaintiffs suggest that the trial court's focus on Dr. Hadian's use of the word

"could" was error, because, they contend, one could reasonably infer from Dr. Hadian's

opinions that any and all of the defendants' conduct "contributed to the death of Mr.

Brenner." Thus, they assert, the trial court's focus on the word "could" amounted to an

"improper weighing of evidence." We disagree. The salient question for purposes of

determining whether there is a material fact in dispute that should be determined by a

jury with respect to causation is whether there is evidence that the asserted breach or

breaches of the standard of care was/were a substantial factor in causing the decedent's

death. In order to survive summary adjudication in the face of evidence presented by the

defendants that the asserted deviations from the standard of care were not a substantial

factor in causing the death, the plaintiffs had to present evidence to establish that there

was something more than a mere possibility that Brenner would have survived, but for

the identified deviations. Dr. Hadian's choice of phrasing was the focus of the trial

court's consideration, not because the trial court was attempting to weigh the evidence,

but because the court was attempting to determine whether Dr. Hadian had provided any

evidence to demonstrate that the alleged deviations in the standard of care were more

likely than not the cause of Brenner's death. As we have explained, Dr. Hadian's



                                              19
description is insufficient to establish anything other than the existence of a possibility

that Brenner would have survived, but for the alleged breaches in the standard of care.

       The plaintiffs' reliance on Uriell v. Regents of University of California (2015) 234

Cal.App.4th 735 (Uriell) is misplaced. Citing to Uriell, the plaintiffs argue that even if

an expert cannot determine "with certainty a sole cause of death, or how long a patient

may have lived absent the negligent conduct, Plaintiffs still meet the threshold necessary

to meet their prima facie burden on causation." In the portion of the opinion that is

published, the Uriell court addresses the defendant's contention that the trial court erred

in instructing the jury with respect to the element of causation in a wrongful death cause

of action. (Id. at p. 742.) Despite presenting a very different issue on appeal, an

examination of the evidence presented in Uriell demonstrates why Dr. Hadian's

declaration is insufficient to create a triable issue of fact with respect to the element of

causation. Specifically, the testimony of the plaintiffs' expert in Uriell was that "to a

reasonable degree of medical probability [the decedent] would have survived 10

additional years if her cancer had been timely diagnosed and treated in 2007." (Id. at p.

735, italics added.) In contrast, Dr. Hadian's declaration stated that Brenner "could have"

survived the stroke if the defendants had provided care that met the applicable standards

of care. Dr. Hadian's statement establishes a possibility that Brenner would have

survived. It is insufficient, however, to establish a probability that he would have.

       We reject the plaintiffs' contention that the trial court erred in concluding that

there was no evidence creating a triable issue of fact on the wrongful death cause of

action because the court failed to consider evidence presented in the death certificate.

                                              20
According to the plaintiffs, the death certificate "provides additional evidence

corroborating Dr. Hadian's opinions as to causation." However, the plaintiffs' description

of the evidence provided by the death certificate is imprecise. Specifically, the plaintiffs

suggest that the death certificate lists "the hematoma, caused by the complications from

the central line placement, as a contributing cause of Mr. Brenner's death." However,

there was no evidence offered with respect to the summary judgment motions to give

meaning to the terms used on the death certificate. Significantly, there was no expert

opinion offered to demonstrate that a "contributing cause" on a death certificate is

equivalent to a "substantial factor" causing a death. We therefore reject the notion that

the death certificate would permit a court to conclude that evidence of the death

certificate, in conjunction with Dr. Hadian's declaration, establishes the existence of a

triable issue of fact with respect to the element of causation.

       We conclude that defendants UHS and Lee have demonstrated that they are

entitled to judgment as a matter of law with respect to the plaintiffs' claim for wrongful

death based on medical negligence. The plaintiffs have not demonstrated, in response to

the defendants' evidence, that a triable issue of material fact exists with respect to the

element of causation.

       3. Retaliation in violation of Health and Safety Code section 1278.5 as to UHS
          and Lee

       The plaintiffs contend that the trial court erred in granting summary adjudication

in favor of the defendants on the cause of action for retaliation, in violation of Health and

Safety Code section 1278.5 (Section 1278.5). Section 1278.5 provides in relevant part:


                                              21
"(a) The Legislature finds and declares that it is the public policy of
the State of California to encourage patients, nurses, members of the
medical staff, and other health care workers to notify government
entities of suspected unsafe patient care and conditions. The
Legislature encourages this reporting in order to protect patients and
in order to assist those accreditation and government entities charged
with ensuring that health care is safe. The Legislature finds and
declares that whistleblower protections apply primarily to issues
relating to the care, services, and conditions of a facility and are not
intended to conflict with existing provisions in state and federal law
relating to employee and employer relations.

"(b)(1) No health facility shall discriminate or retaliate, in any
manner, against any patient, employee, member of the medical staff,
or any other health care worker of the health facility because that
person has done either of the following:

"(A) Presented a grievance, complaint, or report to the facility, to an
entity or agency responsible for accrediting or evaluating the facility,
or the medical staff of the facility, or to any other governmental
entity.

"(B) Has initiated, participated, or cooperated in an investigation or
administrative proceeding related to, the quality of care, services, or
conditions at the facility that is carried out by an entity or agency
responsible for accrediting or evaluating the facility or its medical
staff, or governmental entity.

"(2) No entity that owns or operates a health facility, or which owns
or operates any other health facility, shall discriminate or retaliate
against any person because that person has taken any actions
pursuant to this subdivision.

"(3) A violation of this section shall be subject to a civil penalty of
not more than twenty-five thousand dollars ($25,000). The civil
penalty shall be assessed and recovered through the same
administrative process set forth in Chapter 2.4 (commencing with
Section 1417) for long-term health care facilities.

"(c) Any type of discriminatory treatment of a patient by whom, or
upon whose behalf, a grievance or complaint has been submitted,
directly or indirectly, to a governmental entity or received by a
health facility administrator within 180 days of the filing of the

                                   22
             grievance or complaint, shall raise a rebuttable presumption that the
             action was taken by the health facility in retaliation for the filing of
             the grievance or complaint.

             "(d)(1) There shall be a rebuttable presumption that discriminatory
             action was taken by the health facility, or by the entity that owns or
             operates that health facility, or that owns or operates any other health
             facility, in retaliation against an employee, member of the medical
             staff, or any other health care worker of the facility, if responsible
             staff at the facility or the entity that owns or operates the facility had
             knowledge of the actions, participation, or cooperation of the person
             responsible for any acts described in paragraph (1) of subdivision
             (b), and the discriminatory action occurs within 120 days of the
             filing of the grievance or complaint by the employee, member of the
             medical staff or any other health care worker of the facility."

       Subdivisions (b)(1) and (b)(2) of Section 1278.5 create the statutory prohibition

against discrimination and/or retaliation on the part of a health facility or an entity that

owns a health facility against certain identified individuals—i.e., against a "patient,

employee, member of the medical staff, or any other health care worker of the health

facility."

       According to the plaintiffs, both defendant UHS and defendant Lee unlawfully

retaliated against Brenner as a result of Nancy's complaints to staff at the hospital about

the care her husband was receiving.7




7       The parties do not address Zach's standing to appeal the summary adjudication of
this claim. As the plaintiffs concede, however, there has never been any allegation that
anyone took discriminatory or retaliatory actions against Brenner as a result of
complaints made by Zach. Therefore, although ostensibly both plaintiffs (Zach and
Nancy, in both of her capacities) appeal from the trial court's granting of summary
adjudication of the Section 1278.5 claim in favor of the defendants, it appears that Zach
is not entitled to bring this claim against the defendants even under the theory for
standing that the plaintiffs' proffer with respect to Nancy.
                                                23
              a. Summary adjudication of the statutory retaliation claim asserted
                 against Lee was proper

       After the parties briefed the issues on appeal, another appellate court issued an

opinion interpreting the text of Section 1278.5 and concluding that the statute does not

create a claim as against individual doctors. (See Armin v. Riverside Community

Hospital (2016) 5 Cal.App.5th 810, 832 (Armin) ["We conclude section 1278.5 does not

allow individual doctors to be sued"].) The Armin court explained that subdivision (b) of

Section 1278.5 focuses on health care facilities, and prohibits only facilities from

retaliating against the individuals who fall within the identified groups: "Subdivision (b)

is the operative subdivision, forbidding facilities, and only facilities, from retaliating

against individuals who complain of potentially unsafe care or conditions—even if they

complain to somebody other than a government entity. The civil penalty provision in

subdivision (b) confirms the focus on the hospital-facility, by referring the reader to

statutes regulating nursing homes." (Armin, supra, at pp. 832–833.) We agree with the

Armin court's analysis and interpretation of the statute, adopt it here, and conclude that

the plaintiffs are unable to state a statutory retaliation claim, pursuant to Section 1278.5,

as to defendant Lee because the statute does not create a claim against individual doctors.

              b. Summary adjudication of the statutory retaliation claim asserted
                 against UHS was proper

       We next consider whether summary adjudication of the plaintiffs' claim against

UHS based on Section 1278.5 was appropriate. We conclude that it was, based on our

interpretation of the statute as to those persons whose complaints and/or conduct with

respect to an investigation of a facility fall within its purview.

                                              24
       In addressing this issue, we rely on well-established and familiar principles of

statutory interpretation: "Our primary task in interpreting a statute is to determine the

Legislature's intent, giving effect to the law's purpose. [Citation.] We consider first the

words of a statute, as the most reliable indicator of legislative intent. [Citation.]

' " 'Words must be construed in context, and statutes must be harmonized, both internally

and with each other, to the extent possible.' [Citation.] Interpretations that lead to absurd

results or render words surplusage are to be avoided." ' " (Tuolumne Jobs & Small

Business Alliance v. Superior Court (2014) 59 Cal.4th 1029, 1037.)

       To the extent the statutory language is ambiguous, "we may resort to extrinsic

sources, including the ostensible objects to be achieved and the legislative history." (Day

v. City of Fontana (2001) 25 Cal.4th 268, 272.) "If the statutory language permits more

than one reasonable interpretation, courts may consider other aids, such as the statute's

purpose, legislative history, and public policy." (Coalition of Concerned Communities,

Inc. v. City of Los Angeles (2004) 34 Cal.4th 733, 737; accord, Imperial Merchant

Services, Inc. v. Hunt (2009) 47 Cal.4th 381, 388.) Further, a "statute's every word and

provision should be given effect so that no part is useless, deprived of meaning or

contradictory. Interpretation of the statute should be consistent with the purpose of the

statute and statutory framework." (Fireman's Fund Ins. Co. v. Workers' Comp. Appeals

Bd. (2010) 189 Cal.App.4th 101, 109.) " ' "An interpretation that renders related

provisions nugatory must be avoided [citation]; each sentence must be read not in

isolation but in the light of the statutory scheme [citation]; and if a statute is amenable to



                                              25
two alternative interpretations, the one that leads to the more reasonable result will be

followed." ' " (People v. Kirk (2006) 141 Cal.App.4th 715, 720–721.)

       The parties dispute whether a Section 1278.5 claim lies when the complaints or

grievances made to hospital staff and/or administrators about patient care are made by

someone other than the patient. UHS refers to the portion of the statute that creates the

cause of action—i.e., subdivision (b)—to assert that only a patient who has made a

complaint himself or herself may bring a claim pursuant to Section 1278.5. That

provision does appear to limit the individuals for whom statutory protection has been

granted, since it prohibits discrimination or retaliation against "against any patient,

employee, member of the medical staff, or any other health care worker of the health

facility because that person has" either "[p]resented a grievance, complaint, or report to

the facility, to an entity or agency responsible for accrediting or evaluating the facility, or

the medical staff of the facility, or to any other governmental entity" or "initiated,

participated, or cooperated in an investigation or administrative proceeding related to, the

quality of care, services, or conditions at the facility that is carried out by an entity or

agency responsible for accrediting or evaluating the facility or its medical staff, or

governmental entity." (Section 1278.5, subd. (b)(1) & (2), italics added.) By its terms,

subdivision (b) of section 1278.5 appears to limit a cause of action to any of the listed

individuals who, themselves, have made a complaint or been involved in an investigation

or administrative proceeding.

       However, the plaintiffs point out that subdivision (c) of Section 1278.5, which

creates an evidentiary presumption for purposes of asserting a claim pursuant to the

                                               26
statute, makes reference to a "grievance or complaint" that has been made on "behalf" of

a patient. Specifically, subdivision (c) provides that a rebuttable presumption of

retaliation is created anytime that there is "[a]ny type of discriminatory treatment of a

patient by whom, or upon whose behalf, a grievance or complaint has been submitted,

directly or indirectly, to a governmental entity or received by a health facility

administrator within 180 days of the filing of the grievance or complaint." (Italics

added.) The plaintiffs assert that "[i]t . . . follows that an individual making complaints

on behalf of a patient has standing under the statute." (Italics added.)

       First, we conclude that, contrary to plaintiffs' contention, the reference to "upon

whose behalf" in subdivision (c) of Section 1278.5 does not vest any and all persons who

complain on behalf of a patient with "standing" to bring a claim under Section 1278.5.

Section 1278.5, subdivision (c) does not itself create a statutory cause of action. Rather,

it merely expresses the circumstances under which an evidentiary presumption as to the

existence of retaliation is created. Subdivision (b) of the statute is the provision that

creates the statutory right that may be vindicated. As we have already indicated,

subdivision (b) of Section 1278.5 grants the right to bring an action for discrimination or

retaliation pursuant to the statute solely to the individuals identified in subdivision (b),

i.e., "patient[s], employee[s], member[s] of the medical staff, or any other health care

worker[s] of the health facility" who themselves have made a complaint. Subdivision (b)

does not permit an individual who is not a patient and not an employee, member of the

medical staff, or other health care worker at the facility, but who has complained on

behalf of a patient, to bring a claim for discrimination or retaliation, either against that

                                              27
individual or against the patient. Thus, to the extent that Nancy is attempting to assert a

cause of action on her own behalf (i.e., in her individual capacity), she does not have

standing to do so under the statute because there is no suggestion that Nancy is one of the

identified individuals who may bring a claim under the statute.

       Nor does Nancy have standing, in her individual capacity, to assert any rights that

Brenner, as the patient, may have had pursuant to the statute. As a general rule, a third

party does not have standing to bring a claim asserting a violation of someone else's

rights. (See Powers v. Ohio (1991) 499 U.S. 400, 410 ["In the ordinary course, a litigant

must assert his or her own legal rights and interests, and cannot rest a claim to relief on

the legal rights or interests of third parties"].)8

       However, Nancy has also filed this action as a representative of Brenner's estate.

In this role, she may be able to bring claims for relief based on Brenner's legal rights,

pursuant to the survival statutes. Specifically, Code of Civil Procedure section 377.30

provides: "A cause of action that survives the death of the person entitled to commence

an action or proceeding passes to the decedent's successor in interest . . . and an action

may be commenced by the decedent's personal representative or, if none, by the

decedent's successor in interest." A survivor claim is a claim asserted on behalf of the

victim or decedent. (Quiroz, supra, 140 Cal.App.4th at p. 1281.)9 Therefore, in her role



8       This rule would also prevent Zach, in his individual capacity, from being able to
assert a claim on Brenner's behalf under Section 1278.5.
9       Again, a survivor cause of action is distinct from a cause of action for wrongful
death. Unlike a cause of action for wrongful death, a survivor cause of action is not a
new cause of action that vests in the heirs on the death of the decedent, but is instead a
                                                28
as representative of Brenner's estate, Nancy appears to have "standing" to assert a claim

for Brenner's entitlement to recovery, if such entitlement exists, under Section 1278.5.

       The fact that Nancy may have standing to assert a claim on behalf of Brenner's

estate pursuant to Section 1278.5 does not end our inquiry, however. We must determine

whether UHS is nevertheless entitled to summary adjudication with respect to this claim.

We conclude that the statute does not permit any survivor claim that Nancy may be

bringing on behalf of Brenner's estate arising from an alleged violation of Section 1278.5.

       Specifically, the question that we must address is whether the statute protects a

patient from alleged "retaliation" resulting from complaints made by persons other than

those identified in subdivision (b) of the statute. In other words, does the statute create a

cause of action for discrimination and/or retaliation against a patient that occurs as a

result of a relative, friend, or someone other than the patient, or medical or hospital staff,

making a complaint about the patient's care? As we shall explain, we conclude that the

statute is drawn more narrowly than plaintiffs suggest, and that it does not allow for

recovery under the circumstances presented in this case.

       First, as explained above, subdivision (b) of Section 1278.5, when given its plain

meaning, provides protection, and a cause of action, solely to the person who himself or


separate and distinct cause of action that belonged to the decedent before death, but by
statute, survives that event. (Quiroz, supra, 140 Cal.App.4th at p. 1264.) These claims
are technically asserted by different plaintiffs and seek compensation for different
injuries than the injury asserted in a wrongful death cause of action. (Id. at p. 1278.) The
survival statutes do not create a cause of action, but provide for the postdeath
enforcement of a cause of action on behalf of the decedent. Damages for a survivor
cause of action are limited to those sustained by the decedent or incurred before death.
(Id. at p. 1264.)
                                              29
herself has engaged in the protected whistleblowing activity (i.e., the patient, or employee

or other staff member who presented a grievance complaint or report about patient care,

or initiated, cooperated with, or participated in an investigation about patient care) and

who suffered discriminatory or retaliatory acts by the health care facility as a result of

that whistleblowing activity. The purpose of the statute, as described in subdivision (a)

of Section 1278.5, supports this view of subdivision (b): "[I]t is the public policy of the

State of California to encourage patients, nurses, members of the medical staff, and other

health care workers to notify government entities of suspected unsafe patient care and

conditions." (Italics added.) In order to further the identified public policy, the

Legislature has decided to afford protections to these particular individuals with respect

to their conduct in notifying "government entities of suspected unsafe patient care and

conditions," as well as in notifying the health care facilities, themselves, of suspected

unsafe patient care and conditions. (Section 1278.5, subd. (b).) It is thus clear that

Section 1278.5 has, as its primary focus, the protection of those who engage in what are

considered "whistleblowing" activities. As so interpreted, the protections of subdivision

(b) of section 1278.5 are limited to protecting the identified individuals from

discrimination or retaliation based on their own whistleblowing activity, and not from

discrimination or retaliation based on another person's whistleblowing activity. The

evidence presented on summary judgment demonstrates that the "complaints" on which

the cause of action is based are complaints made by Nancy, who was not a "patient,

employee, member of the medical staff, or any other health care worker of the health

facility" (Section 1278.5, subd. (b)(1)).

                                             30
       However, as the plaintiffs point out, a plain reading of subdivision (c) of section

1278.5 demonstrates that a patient is entitled to an evidentiary presumption in favor of

the existence of retaliation whenever there has been any discriminatory treatment of the

patient undertaken within 180 days of the submission of a grievance or complaint to a

governmental entity, or within 180 days of receipt of a grievance or complaint by a health

facility administrator, when that grievance or complaint was made by the patient or was

made "upon [the patient's] behalf." (Italics added.)10 The plaintiffs contend that the

phrase "upon whose behalf" in subdivision (c) of the statute "is clear on its face that

complaints may be made 'on behalf of' a patient."

       In our view, however, the intersection of subdivisions (b) and (c) of Section

1278.5 is far from "clear." Rather, these subdivisions appear, on their face, to be

contradictory. Subdivision (b) states that only when one of the identified individuals,

including a patient, makes a complaint himself or herself is he or she protected from

discrimination and/or retaliation from a health care facility. For example, subdivision (b)

protects a patient from discrimination or retaliation by the health facility when that

patient makes a complaint about patient care, and also protects an employee of the health

facility from discrimination or retaliation by the health facility when that employee

makes a complaint about patient care. Thus, under the plain text of subdivision (b), a


10      Again, the full text of subdivision (c) of section 1278.5 provides: "Any type of
discriminatory treatment of a patient by whom, or upon whose behalf, a grievance or
complaint has been submitted, directly or indirectly, to a governmental entity or received
by a health facility administrator within 180 days of the filing of the grievance or
complaint, shall raise a rebuttable presumption that the action was taken by the health
facility in retaliation for the filing of the grievance or complaint." (Italics added.)
                                             31
patient or an employee who himself or herself complains about patient care and is

discriminated or retaliated against as a result of making that complaint has a claim under

Section 1278.5 against the health facility that engaged in the discriminatory or retaliatory

act. Subdivision (b), by its plain terms however, does not appear to provide a patient

with a claim for retaliation or discrimination as a result of an employee complaining

about that patient's care. In other words, subdivision (b), by its terms, protects from

discrimination or retaliation only the individual who complains or engages in other

whistleblowing activity.

       Despite the wording of subdivision (b), subdivision (c) of Section 1278.5 appears

to contemplate that a patient may meet his or her evidentiary burden to prove an

entitlement to recover under Section 1278.5 when that patient can show that he or she

complained, or that someone else complained on his or her behalf, and that within 180

days of the making of the complaint, the patient suffered some discriminatory act. Given

that subdivision (b) of the statute envisions that the person protected by the statute, and

the person who is thus entitled to recover for discrimination or retaliation under the

statute, is the person who made a complaint or engaged in other protected activity,

subdivision (c)'s suggestion that a patient is entitled to an evidentiary presumption of

retaliation under the statute even when the patient is not the person who made the

complaint, appears to be in conflict with subdivision (b), at least with respect to the

circumstances under which a patient, as opposed to an employee, staff member or other

health care worker, is entitled to protection under the statute.



                                              32
       When faced with potentially inconsistent statutory provisions, " '[a] court must,

where reasonably possible, harmonize [the] statutes, reconcile seeming inconsistencies in

them, and construe them to give force and effect to all of their provisions. [Citations.]

This rule applies although one of the statutes involved deals generally with a subject and

another relates specifically to particular aspects of the subject.' [Citation.] Thus, when

' "two codes are to be construed, they 'must be regarded as blending into each other and

forming a single statute.' [Citation.] Accordingly, they 'must be read together and so

construed as to give effect, when possible, to all the provisions thereof.' " ' " (Pacific

Palisades Bowl Mobile Estates, LLC v. City of Los Angeles (2012) 55 Cal.4th 783, 805.)

       Reading subdivisions (b) and (c) together, and construing them so as to give effect

to both provisions, we conclude that the most reasonable interpretation of subdivision

(c)'s reference to a grievance or complaint being made "upon [the patient's] behalf" is that

it is referring to a grievance or complaint that has been submitted by one of the other

individuals identified in subdivision (b)—i.e., an "employee, member of the medical

staff, or any other health care worker of the health facility"—on a patient's behalf. We

recognize that in doing so, we must interpret subdivision (b) to mean something slightly

different from what its plain meaning would suggest. Given that subdivision (c), as we

interpret it, creates an evidentiary presumption in favor of a patient against whom

retaliation has occurred when a person who works for or within a health facility makes a

complaint on that patient's behalf, subdivision (b) must be interpreted so as to permit a

cause of action to be brought by any patient against whom a health facility discriminates

or retaliates as a result of the patient or one of the other identified persons (i.e., an

                                               33
employee, member of the medical staff, or any other health care worker of the health

facility) having engaged in whistleblower actions on that patient's behalf. Thus, we

interpret subdivision (b)(1) as prohibiting a health facility from both discriminating or

retaliating against any of the identified individuals as a result of that particular individual

undertaking whistleblowing activity, and also from discriminating or retaliating against a

patient as a result of one of the other identified individuals (i.e., an employee, member of

the medical staff, or other health care worker of the facility) undertaking whistleblowing

activity on behalf of that patient. Such an interpretation fulfills the stated policy of

Section 1278.5 by prohibiting discrimination and/or retaliation against any patient,

employee, member of the medical staff or other health care worker of the health facility

as a result of any patient, employee, member of the medical staff or other health care

worker of the heath facility having engaged in whistleblowing activities surrounding

suspected unsafe patient care and conditions; it also harmonizes the otherwise conflicting

subdivisions at issue in this case.

       Given our interpretation of Section 1278.5, we conclude that defendant UHS is

entitled to judgment as a matter of law with respect to Nancy's survivor claim under

Section 1278.5. The plaintiffs concede that the "complaints" on which they base the

claim were made by Nancy, who was not a "patient, employee, member of the medical

staff, or . . . health care worker of the health facility." Thus, any alleged discrimination or

retaliation that UHS purportedly engaged in as to Brenner does not fall within the




                                              34
provisions of Section 1278.5.11 Summary adjudication of this claim in favor of UHS

was therefore proper.

       4. Elder abuse, as asserted against UHS only

       The plaintiffs contend that the trial court erred in granting summary adjudication

of their cause of action under the Elder Abuse and Dependent Adult Civil Protection Act

(Elder Abuse Act) (see Welf. & Inst. Code, § 15600 et seq.) in favor of defendant UHS.

According to the plaintiffs, they provided "sufficient evidence demonstrating reckless

conduct on behalf of Respondent UNIVERSAL, or at a minimum, a triable issue of fact

as to the conduct" so as to preclude summary adjudication of this claim.


11      Our interpretation of the statute leaves open the question whether an individual
who is acting on behalf of an incapacitated patient in making medical decisions for that
patient pursuant to a heath care directive may be considered to be stepping into the shoes
of the patient and acting as the patient for purposes of Section 1278.5. Although the
plaintiffs mention in their reply brief that Nancy "stated she had power of attorney to
make health decisions for Mr. Brenner," this suggestion is insufficient to allow us to
address this issue on appeal. First, it is clear that the plaintiffs have not raised this legal
argument. Although they mention that Nancy stated that she had power of attorney, the
legal argument that they make on appeal is that this fact supports their position that there
is "no issue that Mrs. Brenner has standing for her complaints brought on behalf of her
husband." This is distinct from a legal argument that Nancy was, essentially, acting in
the role of a "patient" under section 1278.5, subdivision (b)(1), pursuant to a health care
directive.
        Further, even if the plaintiffs had made this legal argument, the only portion of the
record to which they cite would not permit them to avoid summary judgment. This is
because the record reference is to Nancy's declaration in which she states the following:
"The nurse, Leslie, continued to argue with me but I would not back down. I informed
the nurse that I was Dale's power of attorney and decision maker with respect to his
health care." Notably, Nancy does not declare that she was acting pursuant to a health
care directive and was making decisions on Brenner's behalf because he was
incapacitated. Rather, she states merely that she told someone else that she had power of
attorney to make medical decisions. Further, the plaintiffs have not cited to anything else
in the record, such as a copy of any health care directive, that could establish that Nancy
was acting, pursuant to some legal authority, in Brenner's shoes as the patient.
                                              35
       In 1991, "the Legislature added Welfare and Institutions Code section 15657 to the

[Elder Abuse] Act[, which had previously established requirements and procedures for

reporting the abuse of elderly individuals and other dependent adults, as well as

addressed agency investigation and criminal prosecution of abuse cases]. That section

makes available, to plaintiffs who prove especially egregious elder abuse to a high

standard, certain remedies 'in addition to all other remedies otherwise provided by law.' "

(Covenant Care, Inc. v. Superior Court (2004) 32 Cal.4th 771, 779 (Covenant Care),

citing Welf. & Inst. Code, § 15657.) "[A] plaintiff who proves 'by clear and convincing

evidence' that a defendant is liable for physical abuse, neglect, or financial abuse (as these

terms are defined in the Act), and that the defendant has been guilty of 'recklessness,

oppression, fraud, or malice' in the commission of such abuse, may recover attorney fees

and costs." (Covenant Care, supra, at p. 779, italics added.) "On the same conditions, a

plaintiff who brings suit as the personal representative of a deceased elder is partially

relieved of the limitation on damages in a decedent's action imposed by Code of Civil

Procedure section 377.34 and thus may recover damages up to $250,000 for emotional

distress suffered by the decedent prior to death." (Id. at pp. 779–780, citing Welf. & Inst.

Code, § 15657, subd. (b).)12

       The Elder Abuse Act's heightened remedies do not apply to acts of professional

negligence. (Welf. & Inst. Code, § 15657.2; Delaney v. Baker (1999) 20 Cal.4th 23, 31–


12     There appears to be an issue with respect to the individual plaintiffs' standing to
bring this claim, since they, themselves, were not harmed by the alleged abuse. It
appears that only Nancy, in her capacity as the representative of Brenner's estate, would
have standing to bring the claim. The parties have not addressed this issue on appeal.
                                             36
32 (Delaney).) The Elder Abuse Act therefore does not provide liability for simple or

even gross negligence by health care providers. (Sababin v. Superior Court (2006) 144

Cal.App.4th 81, 88.)13 Plaintiffs must plead and prove something more than

negligence—that is, they must plead and prove that the defendant's conduct was reckless,

oppressive, fraudulent, or malicious. (Carter v. Prime Healthcare Paradise Valley LLC

(2011) 198 Cal.App.4th 396, 406.) "The latter three categories involve 'intentional,'

'willful,' or 'conscious' wrongdoing of a 'despicable' or 'injurious' nature." (Delaney,

supra, at p. 31.) Recklessness is "a subjective state of culpability greater than simple

negligence, which has been described as a 'deliberate disregard' of the 'high degree of

probability' that an injury will occur. [Citations.] Recklessness, unlike negligence,

involves more than 'inadvertence, incompetence, unskillfulness, or a failure to take

precautions' but rather rises to the level of a 'conscious choice of a course of

action . . . with knowledge of the serious danger to others involved in it.' " (Id. at pp. 31–

32.) In addition, a plaintiff must also allege and ultimately prove by clear and convincing

evidence that the abuse or neglect resulted in the elder or dependent adult suffering

physical harm, pain or mental suffering. (Welf. & Inst. Code, §§ 15610.07, subds. (a),

(b), 15657.)

       The plaintiffs rely on Dr. Hadian's declaration in support of their contention that

they provided sufficient evidence to demonstrate the existence of reckless conduct on the



13     Gross negligence is defined as the lack of even scant care or an extreme departure
from the ordinary standard of conduct. (City of Santa Barbara v. Superior Court (2007)
41 Cal.4th 747, 754.)
                                              37
part of UHS, or to create a triable issue of fact as to recklessness. For example, they refer

to the fact that Dr. Hadian "opined that the nurses' failures with respect to Mr. Brenner's

dangerously high blood sugar levels, the aspiration event, the nurse's conduct during and

following the central line procedure, and the nurses' failures in dealing with Mrs.

Brenner, and handling her requests to speak with physicians and administrators regarding

her husband's care plan was reckless and contributed to Mr. Brenner's death."

       Notably, the plaintiffs fail to provide any record citations to support their

assertions about the state of the record with respect to whether there is evidence to

support a finding of recklessness. An appellant who fails to cite accurately to the record

forfeits the issue or argument on appeal that has been presented without the proper record

reference(s). (City of Lincoln v. Barringer (2002) 102 Cal.App.4th 1211, 1239 (City of

Lincoln).) Indeed, California Rules of Court, rule 8.204(a)(1)(C) provides that each brief

must "[s]upport any reference to a matter in the record by a citation to the volume and

page number of the record where the matter appears." (Italics added.) The purpose of

this rule is to enable appellate justices and staff attorneys to locate relevant portions of

the record expeditiously. (City of Lincoln, supra, at p. 1239, fn. 16.) Given the lack of

record references in plaintiffs' briefing with respect to this argument, we could therefore

decline to consider the plaintiffs' argument with respect to their Elder Abuse Act claim.14

       However, even considering the merits of the plaintiffs' contentions with respect to

the conduct on the part of the nurses at Inland Valley Medical Center that the plaintiffs'


14    The plaintiffs do not address this issue in their reply brief. Therefore, the
argument is presented only in the opening brief.
                                              38
maintain would support a factual determination of recklessness to support their claim for

elder abuse, we conclude that summary adjudication of this claim is appropriate. Our

independent review of Dr. Hadian's declaration demonstrates that she concluded that the

following conduct by the nurses amounted to "reckless" conduct or a "deliberate

disregard" for Brenner's health and safety: (a) "not promptly seeking to start the insulin

drip"; (b) "leaving Mr. Brenner's blood sugar levels so dangerously high, without

intervention, or without seeking an effective treatment plan from a physician in order to

intervene"; (c) "not documenting such a serious complication in [Brenner's] chart

[regarding Dr. Hadian's opinion that Dr. Lee had punctured Brenner's carotid artery

during the central line placement procedure]"; and (d) "consciously deciding not to take

action for such an extended period of time that potentially could result in a

cardiopulmonary arrest is akin to reckless conduct [regarding the management of

Brenner's 'respiratory distress' for a 24 hour time period between June 9, 2012 and June

10, 2012]."

       We take these evidentiary statements in order. With respect to the contention that

nurses did "not promptly seek[ ] to start the insulin drip," Dr. Hadian asserts that after the

"orders were given to start the insulin drip on June 7, 2012, which required Mr. Brenner

to be transferred back to the ICU, the nursing staff delayed for at least 8 hours to transfer

Mr. Brenner and start the insulin drip." Dr. Hadian's conclusory assertion that the timing

of Brenner's transfer was a result of "nursing staff" decisions is not supported by any

reference to evidence from the medical records on which she bases her opinions. Further,

even though Dr. Hadian asserts that this delay "could cause serious health consequences,

                                              39
or even death," she does not conclude that this specific incident did result in any serious

health consequence to Brenner. At most, Dr. Hadian concluded that "the sustained

dangerously high blood sugar levels further impeded [Brenner's] healing process, and

caused Mr. Brenner additional problems for his body to cope with, which was already

under great stress." This is insufficient to create an issue of fact with respect to whether

this conduct resulted in actual physical harm, pain, or mental suffering to Brenner.

       With respect to Dr. Hadian's conclusion that the nurses at Inland Valley Medical

Center engaged in reckless conduct by "leaving Mr. Brenner's blood sugar levels so

dangerously high, without intervention, or without seeking an effective treatment plan

from a physician in order to intervene," as the trial court noted, the law limits the scope of

practice of nurses and requires that they implement treatments ordered by physicians and

not practice medicine themselves. (See Bus. & Prof. Code, §§ 2725 [describing scope of

nursing practice], 2726 [nurses not authorized to practice medicine or surgery].) The

medical records on which the experts based their opinions demonstrate that Brenner was

seen by physicians daily throughout his stay at Inland Valley Medical Center. There is

nothing in the medical records that would support Dr. Hadian's suggestion that Brenner's

blood sugar levels were not known to the treating physicians, or that the nurses failed to

follow these physician's orders, or that the nurses may be held legally responsible for not

seeking a different treatment plan from that indicated by the treating physicians. Further,

Dr. Hadian does not opine that Brenner's blood sugar levels during his stay actually

caused him any identified physical harm, pain, or mental suffering. Again, Dr. Hadian

concluded, with respect to the blood sugar levels, only that "the sustained dangerously

                                             40
high blood sugar levels further impeded [Brenner's] healing process, and caused Mr.

Brenner additional problems for his body to cope with, which was already under great

stress."

       With respect to Dr. Hadian's conclusion that a nurse was reckless in "not

documenting such a serious complication in [Brenner's] chart," in reference to Dr.

Hadian's conclusion that Dr. Lee had punctured Brenner's carotid artery during the central

line placement procedure, Dr. Hadian's opinion is again fundamentally problematic. Dr.

Hadian has no personal knowledge as to whether, even if one presumes that Dr. Lee did

puncture the carotid artery, the nurse was aware that a puncture had occurred. Dr.

Hadian's opinion assumes that certain things occurred in the room that day, but the

medical records do not support these assumptions. More importantly, Dr. Hadian does

not state anywhere in her declaration that the nurse's conduct with respect to "not

documenting" any carotid artery puncturing caused Brenner physical harm, pain, or

mental suffering.

       Finally, we conclude that Dr. Hadian's determination that the nurses "consciously

deciding not to take action [with respect to Brenner's 'respiratory distress'] for such an

extended period of time [i.e., between June 9, 2012 and June 10, 2012] that potentially

could result in a cardiopulmonary arrest is akin to reckless conduct" is insufficient to

avoid summary adjudication of the elder abuse cause of action. Again, Dr. Hadian does

not state that this "reckless conduct" actually resulted in cardiopulmonary arrest or

otherwise caused Brenner physical harm, pain, or mental suffering. Rather, she states

that such conduct "could result in a cardiopulmonary arrest." Thus, Dr. Hadian's

                                             41
declaration is insufficient to create a triable issue of fact with respect to the elder abuse

cause of action based on the alleged conduct by the nurses at Inland Valley Medical

Center.

       We therefore conclude that the trial court property granted summary adjudication

of the elder abuse cause of action in favor of UHS.

B. Given that the trial court properly granted summary judgment in favor of the
   defendants on appeal, we need not consider plaintiffs' final contention, related to an
   earlier ruling by the trial court

       Prior to the defendants moving for summary judgment, the plaintiffs moved to

amend the first amended complaint to add a request for punitive damages pursuant to

Code of Civil Procedure section 425.13, subdivision (a). This statutory provision

requires a plaintiff to seek leave of court before being permitted to request punitive

damages arising from the alleged professional negligence of a healthcare provider. (Code

Civ. Proc., § 425.13, subd. (a).)15 In order to obtain leave of court to amend the pleading

to include a request for punitive damages, a plaintiff must file supporting affidavits

showing a substantial probability that the plaintiff will prevail on the request for punitive

damages pursuant to section 3294 of the Civil Code. (Code Civ. Proc., § 425.13, subd.

(a).) Section 3294 of the Civil Code, in turn, permits exemplary damages only where


15     "The legislative intent in enacting section 425.13 was to provide a pretrial hurdle
to punitive damages claims against health care providers . . . '[T]he Legislature added
section 425.13 . . . due to . . . policy concerns " 'that unsubstantiated claims for punitive
damages were being included in complaints against health care providers.' " [Citations.]
The effect of section 425.13 is to add additional protections against such claims, " 'by
establishing a pretrial hearing mechanism by which the court would determine whether
an action for punitive damages could proceed.' " ' " (Cryolife, Inc. v. Superior Court
(2003) 110 Cal.App.4th 1145, 1157–1158.)
                                              42
"[i]n an action for the breach of an obligation not arising from contract, . . . it is proven

by clear and convincing evidence that the defendant has been guilty of oppression, fraud,

or malice." Thus, an award of punitive damages "requires both a tort action and a finding

of 'oppression, fraud, or malice.' " (Myers Building Industries, Ltd. v. Interface

Technology, Inc. (1993) 13 Cal.App.4th 949, 961.)

       The trial court denied the plaintiffs' motion to amend to add a request for punitive

damages pursuant to Code of Civil Procedure section 425.13, subdivision (a). Plaintiffs

contend on appeal that the court erred in denying them leave to amend the operative

complaint to seek punitive damages against the defendants.

       Given our conclusion that the trial court properly granted summary judgment with

respect to all of the claims asserted against the defendants involved in this appeal, there

are no remaining substantive tort claims that could provide the "tort action" to form the

basis for a punitive damage award. We therefore need not consider whether the trial

court erred in denying the motion to amend the operative pleading to seek punitive

damages.




                                              43
                                       IV.

                                 DISPOSITION

     The judgments are affirmed as to defendants UHS and Lee.



                                                                AARON, J.

WE CONCUR:

HUFFMAN, Acting P. J.

HALLER, J.




                                       44
