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Akkerman v. Mecta Corp., Inc.

California Court of Appeals, Second District, Sixth Division
May 30, 2007
No. B192109 (Cal. Ct. App. May. 30, 2007)

Opinion


ATZE AKKERMAN, Plaintiff and Appellant, v. MECTA CORPORATION, INC., Defendant and Respondent. B192109 California Court of Appeal, Second District, Sixth Division May 30, 2007

NOT TO BE PUBLISHED

Superior Court County of Ventura, Steven Hintz, Judge, (Super. Ct. No. 206063) (Ventura County)

Moxon & Kobrin and Kendrick Moxon for Plaintiff and Appellant.

Lewis Brisbois Bisgaard & Smith, Gary M. Lape and Joseph C. Owens for Defendant and Respondent.

GILBERT, P.J.

Plaintiff Atze Akkerman appeals an order denying his motion for class certification. He filed an action under the Unfair Competition Law (UCL) (Bus. & Prof. Code §§ 17200, 17500) for deceptive advertising against Mecta Corporation, Inc. (Mecta), the manufacturer of an electro-convulsive therapy (ECT) machine. We conclude, among other things, that the trial court did not abuse its discretion by finding that Akkerman did not establish the elements for class certification. He did not adequately define an ascertainable class, did not show that he could represent it, and did not demonstrate a sufficient community of interest among the class members. The individual factual issues involving each class member's tort restitution claim would predominate over the common questions of law and fact for the class. We affirm.

All statutory references are to the Business and Professions Code unless otherwise stated.

FACTS

Akkerman suffered from severe depression. In 1999, Dr. Joseph Johnson, a psychiatrist at the Santa Barbara Cottage Hospital (SBCH), recommended ECT treatments to alleviate this disorder. Dr. Johnson performed ECT on Akkerman at SBCH, using a Mecta machine. He attached electrodes to Akkerman's head and induced "jolts of electricity to pass between the electrodes." Akkerman claimed that he experienced memory loss and impaired cognitive functioning as a result of the treatments.

The Santa Barbara County Superior Court Action

Akkerman and his wife sued Dr. Johnson and SBCH, alleging tort causes of action for fraud, medical malpractice and loss of consortium. They claimed SBCH gave them patient consent forms which were "out-dated and incomplete," and did not adequately advise them that ECT treatments may cause "irreversible, permanent memory loss." They also sought a UCL injunction on behalf of the public (§§ 17200, 17500) to prevent SBCH from using misleading consent forms for patients seeking ECT.

At the trial on the tort causes of action, the Akkermans proved that Dr. Johnson and SBCH used ECT patient consent forms and informed consent review procedures which did not comply with the standards required by the State Department of Mental Health. The jury found: 1) Dr. Johnson was "negligent in obtaining the informed consent of Atze Akkerman," 2) SBCH "was negligent in performing the informed consent review," but 3) SBCH and Dr. Johnson did not cause injury to the Akkermans.

The court later held a court trial on Akkerman's two remaining causes of action for a UCL injunction against SBCH. In 2005, it issued an injunction against SBCH which ordered it to cease performing ECT without first providing proof that it was using adequate patient consent forms. It also found that the Akkermans did not prove that they "suffered any out of pocket loss as a result of defendant's wrongdoing," and were not entitled to restitution damages.

SBCH appealed to this court. We reversed the order granting the injunction. We noted that Proposition 64 (§ 17204) imposed a new "injury in fact" standing requirement for private plaintiffs seeking UCL injunctions and the Akkermans had not shown that they had suffered an out-of-pocket loss. But we remanded the matter to the trial court to determine whether the Akkermans could meet the new standing requirement. We noted that the Supreme Court held that Proposition 64 does not preclude plaintiffs who lacked or did not prove standing from amending their complaints and substituting new plaintiffs who have standing. (Branick v. Downey Savings & Loan Association (2006) 39 Cal.4th 235, 243.)

The Federal Court Action

The Akkermans sued Mecta in federal court for damages for injuries suffered as a result of the ECT treatments he received at SBCH. They alleged causes of action for strict liability, negligence, breach of warranty and loss of consortium claiming that Mecta knew ECT was dangerous, but misled the public by minimizing or not disclosing the risks of the procedure.

In their fifth and sixth causes of action they sought a class action UCL injunction against Mecta for false and misleading advertising about ECT. (§§ 17200, 17500) In 2004, the federal district court remanded these two UCL class action injunction causes of action to the Ventura County Superior Court, but the federal court retained jurisdiction of the remaining causes of action.

In 2005, after a trial on the four individual damage causes of action, the jury ruled against the Akkermans and the federal court entered judgment for Mecta. In the special verdict form, the jury found that Mecta was not negligent, there was no strict liability and Mecta was not liable on the Akkermans' claim of negligent failure to warn. The Akkermans appealed the federal district court judgment to the Ninth Circuit Court of Appeals.

The Ventura County Superior Court UCL Class Action

In his superior court class action complaint for UCL injunctive relief (§§ 17200, 17500) against Mecta, Akkerman alleged that he had suffered permanent memory loss from his ECT treatments. He said Dr. Johnson recommended ECT and falsely represented that it "was not harmful" and would only result in "some limited memory loss." Akkerman claimed, Dr. Johnson's misrepresentations were brought about, in part, by false information provided to him by Mecta.

He alleged that Mecta violated the UCL by distributing a book for patients and health care providers which said, "'Excellent, objective, studies show no permanent memory loss after ECT, nor any impairment of one's ability to remember. Some minor events which occur just before ECT may be lost in memory, but most ECT patients recall everything quite clearly.'" Akkerman alleged that this was "a false and deceptive statement."

He filed a motion for class certification and defined the class as "all members of the public who have received shock treatment in California from MECTA devices after September of 1997." He sought monetary restitution for the class for the costs of ECT treatments paid by class members, insurers and public agencies. The court denied the motion "based on the inability to determine the class, and for failure to show other elements necessary for class certification."

Motion for Pre-certification Notice to Class Members by Hospitals

Akkerman filed a motion for an order to require the Ventura County Superior Court to order hospitals which performed ECT to send a notice to their ECT patients to advise them about the filing of this class action. The trial court granted this motion. Mecta filed a petition for writ of mandate in this court to vacate the order. We issued an alternative writ of mandate.

But before we could decide the merits of the writ, the trial court reversed itself by denying the motion for this pre-certification notice. It noted that the hospitals were not parties to this action and Akkerman was using the motion in lieu of the more traditional means of giving notice to the class, e.g., through "media notices." It found that the order to hospitals which Akkerman sought "intrudes into an area of medical care which has been granted significant protections by statute. (Welf. & Inst. Code, § 5328.)"

DISCUSSION

I. Class Certification

Akkerman contends the trial court erred by denying his class certification motion. We disagree. "In order to maintain a class action, certain prerequisites must be met, specifically, 'the existence of an ascertainable class and a well-defined community of interest among the class members. [Citation.] The community of interest requirement embodies three factors: (1) predominant common questions of law or fact; (2) class representatives with claims or defenses typical of the class; and (3) class representatives who can adequately represent the class.' [Citation.]" (Kennedy v. Baxter Healthcare Corporation (1996) 43 Cal.App.4th 799, 808 (Kennedy).)

"'Because trial courts are ideally situated to evaluate the efficiencies and practicalities of permitting group action, they are afforded great discretion in granting or denying certification . . . .'" (Sav-On Drug Stores, Inc. v. Superior Court (2004) 34 Cal.4th 319, 326.) "We review the trial court's ruling for abuse of discretion." (Ibid.)

A. An Ascertainable Class and an Adequate Class Representative

Mecta contends denial of class certification was proper because Akkerman failed to adequately define the class and prove that his claims were typical of those within it. We agree. The plaintiff must prove that there is an identifiable group which was harmed by the defendant and that he or she is an adequate class representative. (Kennedy, supra, 43 Cal.App.4th at p. 808.)

In Akkerman's class certification motion he defined the class as "all members of the public who have received shock treatment in California from MECTA devices after September of 1997." But the trial court could reasonably find that this definition was overbroad. Akkerman's causes of action for class relief involve allegations about patients who received ECT after relying on Mecta's misrepresentations about ECT risks. He claims Mecta disseminated a booklet which falsely minimizes the risks of memory loss. But from this, the court could find that the class was narrower than Akkerman's definition as, it would, at most, only involve ECT patients who were deceived by Mecta. Moreover, Akkerman did not show how he could easily identify those who were deceived or distinguish between those patients and 1) patients who relied in whole or in part on their doctor's advice, or 2) those who relied on state mandated ECT patient informed consent forms which disclose the risks. (Welf. & Inst. Code, §§ 5326.2-5326.75; Aden v. Younger (1976) 57 Cal.App.3d 662, 676.) Akkerman does not claim that the state informed consent forms are inadequate. But his class definition is so broad that it includes patients who were properly advised of the risks and those who relied on state approved consent forms.

Akkerman also did not adequately define those who were entitled to restitution or the entities from which the class could seek relief. He initially sought class restitution limited to those who suffered "brain damage and/or memory loss" as a result of ECT. But in his third amended UCL complaint, he sought restitution for all class members without limitation. That, however, would require a windfall award of restitution to all who received ECT even if the procedures were successful and beneficial.

He claimed that the class was entitled to restitution for the money Mecta received from class members. But the class members paid hospitals for ECT treatments, not Mecta. The hospitals are not parties to this action. Mecta manufactured the device, it did not perform ECT. Akkerman did not identify any class member who allegedly paid Mecta for ECT therapy.

Akkerman also alleged that he was an adequate class representative for patients who were deceived by Mecta. But he does not claim that he ever read or received the Mecta booklet or that Mecta deceived him. Instead, his pleading named the doctor who told him the ECT procedure was safe, and who had relied "in part" on information from Mecta. He attached to his certification motion records from his Santa Barbara action. But from this, the trial court could find that Akkerman's individual claim involved medical malpractice, not Mecta false advertising. Because that cause of action differs substantially from the typical claims of class members who allegedly relied on Mecta's booklet, the court could find that Akkerman was not an adequate representative for that class. (Trotsky v. Los Angeles Fed. Sav. & Loan Assn. (1975) 48 Cal.App.3d 134, 146.)

Yet, even if Akkerman sought to represent a class of ECT patients who were allegedly misled by doctors who had read Mecta's booklet, the result would not change. That class would be too amorphous for certification. It would depend on the individual determinations of potentially thousands of medical "intermediaries" who are not defendants or parties to this action and whose advice would necessarily "vary" for each patient. (Rose v. Medtronics, Inc. (1980) 107 Cal.App.3d 150, 157.)

Moreover, the trial court could also find that Akkerman had no standing to file a UCL action. Private plaintiffs may not file UCL actions unless they have suffered injury in fact and had lost money or property as a result of defendant's conduct. (§ 17204; Californians for Disability Rights v. Mervyn's LLC (2006) 39 Cal.4th 223, 227.) But in the Santa Barbara case, Akkerman did not prove damages as a result of his doctor's failure to advise him about ECT risks. Nor did he show that he suffered an out-of-pocket loss. In the federal case the jury found that he was not entitled to damages and Mecta did not mislead him. The trial court could rely on the federal trial court decision in deciding that Akkerman was not a proper class representative. (Martin v. Martin (1970) 2 Cal.3d 752, 761-762 [federal trial court decisions against a party are binding on California courts until they are overturned by a federal appellate court under the federal doctrine of res judicata which California courts must apply].) But even had Akkerman met the requirements of defining a class and showing he could represent it, certification was properly denied for other reasons.

B. Individual tort issues predominating over common questions of fact and law

Akkerman sought restitution damages for class members who paid for ECT procedures and had relied on Mecta's alleged fraudulent misrepresentations. But class actions for tort liability "present a multitude of problems." (Kennedy, supra, 43 Cal.App.4th at p. 810.) Damages may "'. . . vary widely from claim to claim, creating a wide disparity in claimants' damages and issues of defendant liability, proximate cause, liability of skilled intermediaries, comparative fault . . . .' [Citation & Fn. omitted.]" (Ibid.) Moreover, "a class action cannot be maintained if each individual's right to recovery depends on facts peculiar to that individual. [Citation.]" (Id. at p. 809.) "'[I]f a class action "will splinter into individual trials," common questions do not predominate and litigation of the action in the class format is inappropriate.' [Citation.]" (Ibid.)

Akkerman claims the "common issues predominate over any possible individual issues" and therefore class relief is appropriate. But the trial court could reasonably find that "the individual questions to be decided" on restitution were too variable and complex for class relief. (Kennedy, supra, 43 Cal.App.4th at p. 809.) Akkerman sought class relief to require Mecta to reimburse class members, insurance companies and public entities which paid for ECT treatments. But there is no uniform rate for the cost of ECT. It varies for each patient. Some of these costs would include physicians' services. The reasonableness and necessity of these services could vary for each case and expert testimony could be required.

The insurers and public entities which paid for ECT treatments are not parties to this action and are not members of the class. They paid directly to hospitals which are also not parties to this action. The trial court could reasonably infer that evidence from these nonparties would be essential to prove restitution. But Akkerman did not show that these nonparties agreed that restitution was owed. Bringing them into this action to prove individual claims would add such burden and complexity for class members that it would defeat the purpose of a class action. (Kennedy, supra, 43 Cal.App.4th at pp. 809-810.)

Moreover, each class member would have to prove their individual claim for restitution by establishing reliance and causation. This would involve proof of: 1) whether they relied on Mecta's brochure, 2) documents from other sources, or 3) whether they relied on a combination of information, 4) whether they were in fact deceived, or 5) whether they would have requested ECT, notwithstanding knowledge of all the risks.

In addition, the ECT treatments were recommended by each class member's doctor. Each doctor had the intervening and independent duty to disclose the risks of the procedure under the doctrine of informed consent. (See Welf. & Inst. Code, §§ 5326.2-5326.75.) But "[t]he concept of informed consent is a complex one . . . ." (Brown v. Regents of the University of California (1984) 151 Cal.App.3d 982, 990.) It involves "such issues as what information was supplied to each patient, what the emotional condition of each patient was, what each patient's understanding of the information . . . was, and whether there was a necessity of dispensing with the requirement of informed consent due to emergency conditions." (Ibid.) "The extent of a physician's duty to disclose is directly controlled by the unique situation of each patient." (Id. at pp. 990-991.) "Since this duty will necessarily vary from case to case, . . . individual issues will predominate over common questions." (Id. at p. 991.)

C. The Efficiency of Class Action Relief as Applied to this Case

A trial court may deny certification where the class action would be impractical or inefficient. (Sav-On Drug Stores, Inc. v. Superior Court, supra, 34 Cal.4th at p. 326.) Here the court could reasonably find that certification of a class action seeking restitution only for the costs of the ECT procedure would be inefficient. Class members who allegedly relied to their detriment on Mecta information and suffered brain damage could not receive complete relief in this action. They would only receive restitution for the comparatively small cost of the procedure. They would have to file separate individual actions to recover the more substantial portion of their damages for their injuries. This would result in splitting the damage causes of action and a multiplicity of proceedings. The more efficient procedure would be to litigate all restitution and damages issues together in separate individual actions. (Rose v. Medtronics, Inc., supra,107 Cal.App.3d at p. 157.)

As to class injunctive relief, Akkerman did not show why it was necessary to certify a class to obtain an injunction to stop the Mecta practices. (Frieman v. San Rafael Rock Quarry, Inc. (2004) 116 Cal.App.4th 29, 38.) Plaintiffs who prove they have standing and a meritorious case may seek injunctive relief on behalf of the public by using "the streamlined provisions of the UCL" without the need to certify a class. (Ibid.)

II. Denial of the Pre-certification Order Directed to Hospitals

Akkerman contends the trial court erred by denying his motion to require that a pre-certification notice be sent by hospitals to notify ECT patients about the class action. We disagree. A court order requiring a doctor to identify his or her psychiatric patients intrudes into an area protected by physician-patient confidentiality and the constitutional right of privacy. (Welf. & Inst. Code, § 5328; Smith v. Superior Court (1981) 118 Cal.App.3d 136, 140-141.) Even a party who shows a compelling need for such disclosure may not obtain it without proving that there are no other "less intrusive means of accomplishing" the result. (Scull v. Superior Court (1988) 206 Cal.App.3d 784, 791.) "When the right to disclosure clashes with a privilege, the court is required to 'indulge in a careful balancing' of the need for disclosure against the fundamental right of privacy. [Citation.]" (Id. at p. 790.)

Here the trial court properly weighed the factors in support of and against the issuance of this order. It noted that the hospitals were not parties to this case and had objected to the order on physician-patient confidentiality grounds. The California Hospital Association (CHA) opposed the motion on the grounds that: 1) such an order would be "unreasonably burdensome," 2) sending notices to the last known address of former ECT patients could compromise their privacy because many of them had moved, and 3) identifying ECT patients in the class would be difficult because many hospitals do not exclusively use Mecta machines and rely on ECT devices from a variety of manufacturers. These concerns were substantial. The court weighed them and found that Akkerman had other more traditional and less intrusive methods to notify the class. There was no abuse of discretion.

We are not persuaded by Akkerman's speculation that the trial court's order was based on its supposition about how this court would rule on the writ petition. The trial court had more than sufficient grounds to deny class certification, however this court may have ruled on the writ petition.

We have reviewed Akkerman's remaining contentions and conclude that he has not shown reversible error.

The order is affirmed. Costs on appeal are awarded to respondent.

We concur: YEGAN, J., COFFEE, J.


Summaries of

Akkerman v. Mecta Corp., Inc.

California Court of Appeals, Second District, Sixth Division
May 30, 2007
No. B192109 (Cal. Ct. App. May. 30, 2007)
Case details for

Akkerman v. Mecta Corp., Inc.

Case Details

Full title:ATZE AKKERMAN, Plaintiff and Appellant, v. MECTA CORPORATION, INC.…

Court:California Court of Appeals, Second District, Sixth Division

Date published: May 30, 2007

Citations

No. B192109 (Cal. Ct. App. May. 30, 2007)