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Mertis v. Dong-Joon Oh

Supreme Court of Pennsylvania
Jun 18, 2024
317 A.3d 529 (Pa. 2024)

Opinion

No. 31 MAP 2023

06-18-2024

Bobbi Ann MERTIS and Joseph Mertis v. Dong-Joon OH, M.D., North American Partners in Anesthesia (Pennsylvania), LLC, Wilkes-Barre Hospital Company, LLC d/b/a Wilkes-Barre General Hospital and Commonwealth Health Appeal of: Dong-Joon Oh, M.D.

David McCaffery Paul, Esq., Berger Lagnese & Paul, LLC, for Amicus Curiae The Pennsylvania Association for Justice. Matthew Daniel Vodzak, Esq., Fowler Hirtzel McNulty & Spaulding, LLP, for Amicus Curiae American Medical Association & PA Medical Society. Grace Elizabeth Doherty, Esq., James Andrew Doherty III, Esq., Scanlon, Howley & Doherty, P.C., Brian Joseph Dougherty, Esq., Kevin Corbett Hayes, Esq., Maureen Murphy McBride, Esq., for Appellant. Jamie Lyn Davis, Esq., Anne Schmidt Frankel, Esq., Stuart Turville O’Neal III, Esq., Burns White LLC, for Appellee Wilkes-Barre Hospital Company, LLC d/b/a Wilkes-Barre General Hospital and Commonwealth Health. Philip Anthony Davolos III, Esq., Melissa Ann Dziak, Esq., Marshall Dennehey Warner Coleman & Goggin, PC, for Appellee North American Partners in Anesthesia (Pennsylvania), LLC. Joseph L. Messa Jr., Esq., Evangelo M. Theodosopoulos, Esq., Messa & Associates, P.C., for Appellee Bobbi Ann Mertis.


Appeal from the Order of the Superior Court dated August 2, 2022, reconsideration denied October 17, 2022, at No. 1547 MDA 2021, Reversing the Order of the Luzerne County Court of Common Pleas, Civil Division, dated October 28, 2021 at No. 9655 of 2017 and Remanding. Tina Polachek Gartley, Judge

David McCaffery Paul, Esq., Berger Lagnese & Paul, LLC, for Amicus Curiae The Pennsylvania Association for Justice.

Matthew Daniel Vodzak, Esq., Fowler Hirtzel McNulty & Spaulding, LLP, for Amicus Curiae American Medical Association & PA Medical Society.

Grace Elizabeth Doherty, Esq., James Andrew Doherty III, Esq., Scanlon, Howley & Doherty, P.C., Brian Joseph Dougherty, Esq., Kevin Corbett Hayes, Esq., Maureen Murphy McBride, Esq., for Appellant.

Jamie Lyn Davis, Esq., Anne Schmidt Frankel, Esq., Stuart Turville O’Neal III, Esq., Burns White LLC, for Appellee Wilkes-Barre Hospital Company, LLC d/b/a Wilkes-Barre General Hospital and Commonwealth Health.

Philip Anthony Davolos III, Esq., Melissa Ann Dziak, Esq., Marshall Dennehey Warner Coleman & Goggin, PC, for Appellee North American Partners in Anesthesia (Pennsylvania), LLC.

Joseph L. Messa Jr., Esq., Evangelo M. Theodosopoulos, Esq., Messa & Associates, P.C., for Appellee Bobbi Ann Mertis.

TODD, C.J., DONOHUE, DOUGHERTY, WECHT, MUNDY, BROBSON, JJ.

OPINION

JUSTICE MUNDY

We granted allowance of appeal to consider the application of Pennsylvania Rule of Civil Procedure 4003.6, which provides:

Rule 4003.6. Discovery of Treating Physician

Information may be obtained from the treating physician of a party only upon written consent of that party or through a method of discovery authorized by this chapter. This rule shall not prevent an attorney from obtaining information from

(1) the attorney’s client,

(2) an employee of the attorney’s client, or

(3) an ostensible employee of the attorney’s client.

Pa.R.Civ.P. 4003.6. Specifically, we must determine whether the first exception to Rule 4003.6 (client exception) permits an attorney to obtain information outside the discovery process from one of the plaintiff’s nonparty treating physicians, who becomes the attorney’s client after another attorney in the same law firm became previously engaged to represent a named defendant physician in the same medical malpractice action. Because we conclude that Rule 4003.6 precludes a law firm rep- resenting a defendant treating physician from obtaining information outside the discovery process from a nonparty treating physician by subsequently entering into an attorney-client relationship with the nonparty treating physician, we affirm the Superior Court.

I. FACTUAL AND PROCEDURAL HISTORY

On August 16, 2017, Bobbi Ann Mertis filed a medical malpractice action against Dr. Dong-Joon Oh, North American Partners in Anesthesia (Pennsylvania), LLC (NAPA), Wilkes-Barre Hospital, and Commonwealth Health. The complaint alleged Dr. Oh negligently administered a femoral nerve block to anesthetize Mertis’s knee prior to her August 17, 2015 ACL reconstruction surgery, which caused a femoral nerve injury. Dr. Oh retained James Doherty, Esq. and Grace Doherty Hillebrand, Esq. from the law firm of Scanlon, Howley & Doherty (Scanlon Howley) to represent him. In April 2018, attorneys Doherty and Doherty Hillebrand entered their appearance for Dr. Oh and his employer, NAPA.

On July 27, 2020, Mertis, represented by Angelo Theodosopoulos, Esq., served a subpoena on Dr. Eugene Kim, the orthopedic surgeon who performed Mertis’s knee surgery, to appear at a discovery deposition. Mertis had not named Dr. Kim as a defendant, although some of the complaint’s allegations were critical of the care he provided. See Second Am. Compl., 3/30/18, at ¶¶ 30, 42 (asserting "Dr. Kim did not identify an anesthetic plan for the procedure," and Dr. Kim did not warn Mertis of the risks of femoral nerve blocks). Additionally, the complaint alleged that "Dr. Kim told Mrs. Mertis that the likely cause of her [post-operative] symptoms was the femoral nerve block." Id. at ¶ 78. After receiving the subpoena, Dr. Kim asked his professional liability insurer to assign Kevin Hayes, Esq. of Scanlon Howley to represent him in this case because Hayes had previously represented Dr. Kim in an unrelated malpractice case. Scanlon Howley informed Dr. Kim that it was already representing Dr. Oh in the matter, and Dr. Kim signed a waiver of any potential conflict of interest. On August 28, 2020, Attorney Hayes then sent an email to Attorney Theodosopoulos stating Dr. Kim had retained him and requesting to reschedule Dr. Kim’s deposition. Attorney Theodosopoulos did not respond, and the deposition was not rescheduled.

On February 8, 2021, Attorney Hayes attended a deposition of a non-party anesthesiology witness, Dr. Anupama Singh. The deposition transcript indicates that Attorneys Hayes and Doherty Hillebrand appeared as counsel for Dr. Oh and NAPA. See Singh Deposition Transcript, 2/8/21 (R.R. at 90a). That same day, after Dr. Singh's deposition, Attorney Theodosopoulos sent a letter to Attorney Hayes, stating in part:

I was surprised when, on August 28, 2018 [sic], you contacted me to advise you represented the plaintiff’s treating, orthopedic surgeon, Eugene Kim, M.D., in this case (correspondence included). Your law firm was never authorized to contact and speak to Dr. Kim.
You also showed up to today’s 11:00 a.m. [Z]oom deposition at 11:20 a.m. for Dr. Oh on behalf of Grace Doherty Hillebrand and your film. Before you left the proceeding at my insistence, you told me you already spoken [sic] to the plaintiff’s treating surgeon, Dr. Kim, in connection with this case.
Your law firm has a clear conflict in continuing to represent the defendant anesthesiologist and plaintiff’s treating orthopedic surgeon. From today’s occurrence, it is also clear that your firm has not set up and communicated to each

other any sort of "Chinese Wall" to isolate and prevent communications between yourself and Mrs. Hillebrand.

Theodosopoulos’s Letter to Hayes, 2/8/21, at 1 (R.R. at 93a). Attorney Theodosopoulos also sent a materially identical letter to Attorney Doherty Hillebrand. Theodosopoulos’s Letter to Doherty Hillebrand, 2/8/21, at 1 (R.R. at 96a). Neither Attorney Hayes nor Attorney Doherty Hillebrand responded to these letters.

On April 16, 2021, Mertis filed a motion for sanctions to disqualify defense counsel—identified as Attorneys Brian Dougherty, James Doherty, Grace Doherty Hillebrand, Kevin Hayes, and the law firm Scanlon Howley—from representing Dr. Oh and to bar defense counsel’s further ex parte communication with Dr. Kim. Relevant to this appeal, Mertis argued that the attorneys from Scanlon Howley should be disqualified from this case for violating Rule 4003.6 by ex parte communicating with Dr. Kim. Mot. for Sanctions, 4/16/21, at ¶¶ 36-39 (R.R. at 20a-21a). The trial court held argument on the motion at which Attorney Hayes argued there was no violation of Rule 4003.6 because it contains an exception permitting an attorney to communicate with a treating physician who is the attorney’s client. N.T., 8/4/21, at 10 (R.R. at 253a). Further, Attorney Hayes highlighted that Dr. Kim reached out to him to seek representation in response to receiving a subpoena. Id. Attorney Hayes also contended that "Rule 4003.6 was not only intended to protect patient’s [sic] rights of the Plaintiff, but also the rights of Dr. Kim [to] have representation at a deposition in the case where his treatment has been impugned." Id. at 11 (R.R. at 253a).

Regarding his appearance at Dr. Singh’s Zoom deposition, Attorney Hayes explained that based on his relative technological proficiency, the law firm’s staff asked him to get on the Zoom call to notify the attendees that Attorney Doherty Hillebrand would be late because she was involved in another deposition. Id. at 28-29 (R.R. at 257a). Attorney Hayes represented that the deposition did not start, and his involvement was limited to notifying everyone that Attorney Doherty Hillebrand would be joining the deposition when she became available. Id. at 29 (R.R. at 257a). Further, Attorney Hayes argued that it was improper "to raise whether or not we are properly putting up the appropriate separations between our clients, because, in any event, we don’t think there’s a conflict. Even if there was a conflict … it’s on us to resolve that conflict, not Plaintiff’s Counsel, and, respectfully, not the Court." Id., at 29-30 (R.R. at 257-58a).

On October 28, 2021, the trial court denied the motion for sanctions, finding no violation of Rule 4003.6. It explained:

[Mertis] has offered nothing more than unfounded accusations and conclusions concerning the nature and extent of Mr. Hayes’ communications with Dr. Kim and Mr. Hayes’ involvement in the defense of Dr. Oh. There is no evidence to suggest that Attorney Hayes was ever involved in the representation of Dr. Oh or that Grace [Doherty Hillebrand] or James Doherty have had any communications with Dr. Kim or were involved in the representation of Dr. Kim in anyway.
Counsel for Dr. Oh did not seek out Dr. Kim to communicate about [Mertis]. Rather, upon service of the subpoena to attend and testify at a deposition, Dr. Kim asked his insurance carrier to appoint Mr. Hayes to represent him for the deposition.

Tr. Ct. Op., 2/17/22, at 4-5. Based on its conclusion that defense counsel had not violated Rule 4003.6, the trial court denied Mertis’s motion for sanctions. Mertis timely appealed to the Superior Court.

As additional grounds for disqualification, Mertis had argued that defense counsel's concurrent representation of Dr. Oh and Dr. Kim violated Pennsylvania Rule of Professional Conduct 1.7(a), which prohibits a lawyer from undertaking representation of a client that involves a concurrent conflict of interest. Motion for Sanctions, 4/16/21, at ¶¶ 40-52 (R.R. at 21a-23a). The trial court rejected Mertis’s Rule 1.7 argument, and Mertis did not appeal that aspect of the trial court’s order.

71 P.S. §§ 732-101—732-506 ("CAA").

In a unanimous published opinion, the Superior Court reversed the trial court and remanded. Mertis v. Oh, 289 A.3d 532, 534 (Pa. Super. 2022). The Superior Court noted that an order denying a motion to disqualify a law firm from litigation is immediately appealable as a collateral order, its scope of review for disqualification orders is plenary, and its standard of review for interpreting the Rules of Civil Procedure is de novo. Id. at 535 n.1 (citing Rudalarage v. PPL Elec. Utils. Corp., 268 A.3d 470, 478 (Pa. Super. 2022), and Pa. R.A.P. 313 (regarding collateral orders)); id. at 535 n.2 (citing Rudalavage, 268 A.3d at 478 (providing scope of review), and Brawn v. Quest Diagnostics Clinical Labs, Inc., 209 A.3d 386, 389 (Pa. Super. 2019) (stating standard of review)).

Examining Rule 4003.6, the court noted it is a general rule prohibiting ex parte communications between opposing counsel and a party’s treating physician, which "implicitly recognizes the privacy interest underlying the physician-patient relationship and the physician’s duty of loyalty to the patient." Id. at 536 (citing Marek v. Ketyer, 733 A.2d 1268, 1270 (Pa. Super. 1999), appeal denied, 561 Pa. 677, 749 A.2d 471 (2000)). It stated that the rule protects the patient and the physician by permitting opposing counsel to obtain information from a party’s treating physician only through the party’s written consent or an authorized method of discovery. Id.

The Superior Court further recognized that Rule 4003.6 has three exceptions permitting the attorney of a treating physician to obtain information from the client or the client’s actual or ostensible employees who were involved with the patient’s treatment. Id. In this case, the court noted the relevant exception is provided in Rule 4003.6(1), which states that the rule does "not prevent an attorney from obtaining information from (1) the attorney’s client." Id. (quoting Pa.R.Civ.P. 4003.6(1)). The Superior Court framed the issue as whether Scanlon Howley was permitted to have ex parte communications with Dr. Kim because he was now its client. Id. Finding that Rule 4003.6 "envisioned [ ] that a different law firm would represent the treating physician," and not a situation where the same firm represented multiple treating physicians, the court concluded the Rule 4003.6(1) client exception was inapplicable. Id. The Superior Court then reasoned that Scanlon Howley’s concurrent representation of Dr. Oh and Dr. Kim was tantamount to ex parte communication because it provided "the defense access to information that can only be obtained otherwise through authorized discovery that would be limited to material and pertinent information preventing breach of the confidential doctor/patient relationship only to the extent necessary." Id. The court also concluded that neither Dr. Kim’s request to his insurer for Attorney Hayes’s appointment nor deference to Dr. Kim’s choice of counsel could excuse compliance with Rule 4003.6. Id. For these reasons, the Superior Court found Rule 4003.6 was violated and reversed the trial court. Id.

Regarding Mertis’s request for the disqualification of Scanlon Howley based on its violation of Rule 4003.6, the Superior Court noted "this remedy is warranted under limited circumstances." Id. at 537 (citing Rudalavage, 268 A.3d at 478). Because disqualification is available only when there is no other remedy and it is necessary to ensure a fair trial, the Superior Court remanded to the trial court to determine the proper remedy for Appellee’s violation of Rule 4003.6. Id.

II. ISSUE AND STANDARD OF REVIEW

This Court granted allowance of appeal to consider the following issue:

Whether, in an issue of first impression and significant public importance, Pa. R.C.P. 4003.6(1) expressly permits defense counsel in a medical malpractice case to speak with plaintiff’s treating physicians outside the discovery process in circumstances where: (i) Pa.R.C.P. 4003.6(1) expressly allows defense counsel to communicate directly with treating physicians who are firm clients; and (ii) both treating physicians are clients of the law firm in question[.]

Mertis v. Oh, 294 A.3d 1204, 1204-05 (Pa. 2023) (per curiam).

[1] This issue presents a legal question regarding the interpretation of our rules of civil procedure over which our standard of review is de novo and our scope of review is plenary. Marlette v. State Farm Mut. Auto. Ins. Co., 618 Pa. 617, 57 A.3d 1224, 1228 (2012).

III. OBTAINING INFORMATION FROM PLAINTIFF’S TREATING PHYSICIAN

A. PARTIES’ ARGUMENTS

Dr. Oh (Appellant) argues that the plain meaning of Rule 4003.6 allows an attorney who represents a treating physician to obtain information from the treating physician outside of the formal discovery process. Appellant’s Brief at 14. Appellant contends that Rule 4003.6 is a permissive rule that balances a plaintiff’s medical privacy rights and counsel’s need to communicate with treating physicians involved in litigation. Id. Acknowledging that Rule 4003.6’s general principle is that "information must be obtained through the discovery process," Appellant notes the rule contains three exceptions. Id. Appellant asserts that the first exception, permitting an attorney to obtain information from her client, "clearly applies here." Id. at 15. Appellant insists "[t]here are no restrictions under this provision with regard to a law firm’s ability to communicate with a treating physician in such circumstances." Id.

Appellant faults the Superior Court for sidestepping Rule 4003.6’s plain language and concluding that the rule restricts a law firm from obtaining information from treating physicians who are its clients. Id. Because Rule 4003.6 is unambiguous, Appellant maintains the Superior Court should not have considered the drafter's intent or claims of potential mischief arising from literal application of the rule. Id. at 16. Specifically, Appellant criticizes the Superior Court’s suggestion that the rule was not intended to cover situations where the same law firm represents more than one treating physician. Id. at 17. Instead of modifying the rule by judicial fiat, Appellant claims that if our Court needs to modify the rule to account for this scenario, we should use the ordinary rulemaking process that involves notice and permits comments from the bench and bar. Id. at 18.

Appellant further accuses the Superior Court of engaging in improper fact finding to conclude that he violated Rule 4003.6. Id. at 19. Appellant stresses the trial court found Mertis did not present any evidence that Appellant’s counsel had ex parte communications with Dr. Kim about the case. Id. (citing Tr. Ct. Op., 2/17/22). Instead of crediting this trial court finding, however, Appellant alleges the Superior Court concluded there were facts that amounted to a violation of Rule 4003.6. Id. at 20. Because there are no facts of record to support this conclusion, Appellant argues we should reverse the Superior Court. Id.

Next, Appellant contends there is no authority to disqualify Scanlon Howley for a violation of the discovery rules. Id. at 21. Appellant notes that our Court has cautioned that while disqualification may be necessary to ensure a fair trial, neither trial nor appellate courts have the authority to impose that punishment for a violation of the Rules of Professional Conduct, a power reserved to our Court and the tribunals we establish. Id. at 21-22 (citing Reilly by Reilly v. SEPTA, 507 Pa. 204, 489 A.2d 1291, 1299 (1985); In re Estate of Pedrick, 505 Pa. 530, 482 A.2d 215, 221 (1984)). Additionally, Appellant argues the Superior Court’s conclusion that disqualification may be warranted overlooked Rule of Professional Conduct 1.7, which permits an attorney to represent two clients whose interests conflict as long as the clients give their informed consent. Id. at 22. Because Mertis did not prove an irreconcilable conflict of interest between Dr. Oh and Dr. Kim, Appellant argues that "the Superior Court’s decision regarding ‘mischief that may be created by simultaneous representation of two treating physicians is speculative and unsupported." Id. at 23.

Additionally, Appellant asserts that Mertis waived her right to object to the law firm’s joint representation of the two treating physicians. Id. Appellant explains that Scanlon Howley had been representing him since 2018 and Dr. Kim since 2020, but Mertis waited eight months after learning of the firm’s representation of Dr. Kim to object. Id. Relying on federal case law, Appellant asserts that a delay in filing a motion to disqualify is a basis for denial. Id. at 24. Because Mertis’s delay in filing the motion to disqualify provides an inference that it was filed for tactical reasons, Appellant cautions us against permitting this "gamesmanship" and maintains we should reverse the Superior Court. Id. at 25.

Lastly, Appellant argues we should reverse the Superior Court to reaffirm a litigants’ right to counsel of their choice. Id. at 26. Appellant recognizes that this right is not absolute, but it can be superseded only by a serious breach of an ethical or other duty. Id. Because Dr. Oh’s and Dr. Kim’s choice of counsel should be given deference and because Mertis "likely filed [the motion to disqualify] for tactical purposes," Appellant urges us to reverse. Id. at 27.

In response, Mertis argues that Scanlon Howley’s ex parte communications with Dr. Kim violated Rule 4003.6. Mertis’s Brief at 23. Mertis contends the rule embodies the public policy regarding a patient’s right to privacy in the physician-patient relationship and the physician’s duty of loyalty to the patient. Id. (citing Marek, 733 A.2d at 1270). Further, Mertis insists that ex parte communications between defense counsel and a plaintiff’s treating physician create "the potential for defense counsel to improperly influence the treating physician," which is a substantial concern in this case because Scanlon Howley "manufactured an attorney-client relationship with a treating physician to control the treating physician’s testimony[.]" Id. at 26-27. Accordingly, Mertis contends Rule 4003.6 prohibits obtaining information from a patient’s treating physician without either securing the patient’s written consent or utilizing the formal discovery process. Id. at 23-24. Mertis argues that Appellant has misinterpreted the plain language of Rule 4003.6. Id. at 30. Mertis notes that in Marek, the Superior Court read Rule 4003.6 as a broad ban on ex parte communication to protect the patient’s privacy interest and the physician’s duty of loyalty. Id. (citing Marek, 733 A.2d at 1270). As such, Mertis asserts that Rule 4003.6 is a restrictive rule.

Addressing Appellant’s argument that Rule 4003.6’s client exception applies because Dr. Kim became Scanlon Howley’s client when he retained the firm after he received the subpoena, Mertis highlights that Scanlon Howley represented only Dr. Oh and NAPA when Mertis served the subpoena on Dr. Kim. Id. at 28. This timeline, in Mertis’s view, means that the initial communications between Scanlon Howley and Dr. Kim, when Dr. Kim was unrepresented, violated Rule 4003.6, and Scanlon Howley’s subsequent acceptance of representation of Dr. Kim cannot cure the Rule 4003.6 violation. Id. at 28, 30. Mertis insists that "[n]o court has ever held that Rule 4003.6 permits a law firm that represents a defendant in litigation to communicate privately with a plaintiff’s non-party treating physician, let alone accept representation of the plaintiff’s physician." Id. at 29. Mertis further stresses that Dr. Kim’s medical opinions, expressed to Mertis, were adverse to Dr. Oh because Dr. Kim told Mertis that her injuries were caused by the femoral nerve block. Id. Additionally, Mertis reads Rule 4003.6 as unambiguously providing that "when a law firm already represents a defendant in litigation, the exception to Rule 4003.6(1) permits that law firm to have ex parte communications about the Plaintiff with its client[.]" Id. at 32. In Mertis’s view, once Scanlon Howley undertook representation of Dr. Oh, Rule 4003.6 prohibited Scanlon Howley from communicating with or representing Dr. Kim. Id. at 33. Moreover, Mertis claims that permitting Scanlon Howley to take advantage of the client exception would render Rule 4003.6 meaningless because the firm already had a client in the case and permitting it to then represent a different treating physician to conduct discovery "is an absurd result" that this Court did not intend. Id. at 33-34. For these reasons, Mertis advocates affirmance of the Superior Court’s decision that defense counsel cannot undertake representation of a plaintiff’s treating physician to justify ex parte communications with that physician. Id. at 29.

Refuting Appellant’s accusations that the Superior Court engaged in fact-finding, Mertis claims there is evidence in the record to support the Superior Court. Id. at 34. Mertis notes that it is undisputed that Scanlon Howley had ex parte communications with Dr. Kim about the case before it represented Dr. Kim. Id. Specifically, Mertis explains the record reflects that Scanlon Howley admitted to advising Dr. Kim that it already represented Dr. Oh and to informing Dr. Kim of the complaint’s allegations, which led to Dr. Kim executing a conflict-of-interest waiver. Id. In Mertis’s view, these facts were the basis of the Superior Court’s conclusion that allowing Scanlon Howley to represent Dr. Kim in deposition testimony, while at the same time representing Dr. Oh, is the same as having ex parte communication. Id. at 35 (citing Mertis, 289 A.3d at 536).

Next, Mertis argues that the trial court has the authority to determine the appropriate sanction to remedy Appellant’s violation of Rule 4003.6, which may include disqualification of counsel. Id. Mertis claims that our Court has held that disqualification may be necessary to ensure a fair trial. Id. (citing Phila. v. AFSCME, 503 Pa. 498, 469 A.2d 1051 (1983); Slater v. Rimar, Inc., 462 Pa. 138, 338 A.2d 584 (1975)). In Mertis’s view, "[i]t is simply incongruent with Pennsylvania law to contend that trial courts do not have the power to disqualify counsel in order to remedy an egregious discovery violation when trial courts are already vested with authority to dismiss a claimant’s lawsuit or enter default against a defendant as a discovery sanction under [Pa.R.Civ.P.] 4019." Id. at 36. Because Dr. Kim allegedly has already expressed his medical opinion that the femoral nerve block caused Mertis’s injuries, Mertis notes the risk that private communications between Scanlon Howley as defense counsel and Dr. Kim may be used to influence Dr. Kim’s testimony or dissuade Dr. Kim from testifying. Id. at 37. Further, Mertis argues the cases Appellant cited regarding courts’ authority to disqualify counsel for violations of the Rules of Professional Conduct are inapt because Mertis is not relying on those rules. Id. at 38. Because the harm to Mertis’s privacy interests cannot be undone, she contends disqualification may be an appropriate remedy.

Addressing waiver, Mertis argues her delay between learning Scanlon Howley did not "erect a conflict wall" to screen Attorney Hayes from Dr. Oh's representation and bringing the motion to disqualify was not long enough to waive her rights. Id. at 39-40. Mertis insists she raised her objection "immediately after confirming ex parte communications occurred without any conflict wall in place" and "gave Scanlon Howley six weeks to correct their violation before filing her [m]otion." Id. at 41. Accordingly, Mertis maintains any alleged delay is not sufficient to find waiver.

Refuting Appellant’s choice of counsel argument, Mertis acknowledges that the right to counsel is absolute, but the right to a particular counsel is not absolute and must be balanced with competing interests. Id. at 44-45. Mertis contends that disqualifying Scanlon Howley would not violate either physician’s right to counsel. Id. at 45. If the trial court concludes that Scanlon Howley’s conduct impedes due process or fundamental fairness or violates the Rules of Professional Conduct, Mertis argues the trial court could disqualify the firm. Id. at 46, 48. Mertis further asserts that a violation of Rule 4003.6 may threaten due process or fundamental fairness. Id. at 48 (citing Marek, 733 A.3d at 1268 (awarding a new trial for a Rule 4003.6 violation); Jakobi v. Ager, 45 Pa.D.&C.4th 189, 195 (C.P. Phila. 2000) (disqualifying law firm based on a Rule 4003.6 violation)). Accordingly, Mertis agrees with the Superior Court’s decision to remand for the trial court to determine an appropriate remedy for the Rule 4003.6 violation, which will allow the trial court to "determine the information gleaned from Scanlon Howley’s improper contact with Dr. Kim and fashion an appropriate, remedy, which may include disqualification, mindful of the fact that all parties including Dr. Oh’s codefendants are entitled to a fair trial that due process requires." Id. at 50 (emphasis in original).

In his reply brief, Appellant maintains this case is resolved by the plain language of Rule 4003.6, which "expressly allows" Scanlon Howley’s attorneys to communicate with Dr. Kim and Dr. Oh outside of the discovery process. Appellant’s Reply Brief at 1. Appellant criticizes Mertis for not explaining how the Superior Court’s interpretation of Rule 4003.6 is supported by the rule’s plain language. Id. at 2. Moreover, Appellant notes that Mertis did not claim that Rule 4003.6(1) is ambiguous, and instead resorted to raising other issues, such as the timing of Dr. Kim’s retention of the firm, whether one law firm can represent more than one treating physician in the same case, and the necessity of conflict walls. Id. at 3. Appellant insists that Mertis’s public policy arguments cannot supersede the rule’s plain language. Id. Additionally, Appellant points out that none of the cases Mertis cited involve the Rule 4003.6(1) client exception where a law firm represents two treating physicians. Id. at 5-6. Accordingly, Appellant maintains we should reverse the Superior Court "[b]ecause [Merits] either asks this Court to ignore the plain meaning of Rule 4003.6 or to create a rule that does not exist, in a manner that would destroy the delicate balance between patient privacy and access to information from treating physicians[.]" Id. at 7.

Appellant next argues that Mertis did not refute his argument that the Superior Court engaged in improper fact-finding when it found a violation of Rule 4003.6 without an evidentiary record, Id. at 8. Appellant reminds that the trial court found Mertis adduced no facts to show the nature or extent of Attorney Hayes’s communications with Dr. Kim or of his involvement in Dr. Oh's defense. Id. Because there is no support in the record for Mertis’s allegation that any of the firm’s attorneys engaged in substantive discussions with Dr. Kim before Dr. Kim retained the firm, Appellant maintains that we should reverse the Superior Court. Id. at 8.

Even if Mertis’s Rule 4003.6 interpretation prevails, Appellant asserts that it does not follow that disqualification is the appropriate remedy. Id. at 9. Appellant reiterates his waiver argument, claiming there is no justification for the six-month delay in filing the motion for disqualification. Id. Further, Appellant maintains that Rule 4003.6, as a discovery rule, does not prohibit the same law firm from representing a physician-defendant and a non-party physician in the same case, nor does Rule 4003.6 include disqualification as a remedy. Id. at 10-11. Lastly, even though Appellant acknowledges that disqualification may be necessary to ensure a fair trial, he argues there is no evidence to support Mertis’s claim that Scanlon Howley’s conduct undermines her due process rights. Id. at 12-13. Accordingly, Appellant urges us to reverse the Superior Court based on Rule 4003.6’s plain language. Id. at 13.

B. DISCUSSION

Rule 4003.6 governs obtaining information from a party’s treating physician and provides, as set forth above, as follows:

Rule 4003.6. Discovery of Treating Physician

Information may be obtained from the treating physician of a party only upon written consent of that party or through a method of discovery authorized by this chapter. This rule shall not prevent an attorney from obtaining information from

(1) the attorney’s client,

(2) an employee of the attorney’s client, or

(3) an ostensible employee of the attorney’s client.

Pa.R.Civ.P. 4003.6.

Our Court adopted Rule 4003.6 outside of the ordinary rulemaking publication process on April 29, 1991, explaining "[w]hereas publication of proposed rulemaking would otherwise be required, it has been determined under Rule of Judicial Administration 103(a)(3) that the immediate promulgation of [Rule 4003.6] is required in the interest of justice and efficient administration," and the rule became effective on July 1, 1991. 21 Pa.B. 2337 (May 18, 1991) (per curiam order).

Preceding Rule 4003.6’s adoption, our trial courts had disapproved of unauthorized ex parte contacts between defense counsel and a plaintiff’s treating physician in a line of cases beginning with Alexander v. Knight, 25 Pa.D.&C.2d 649 (C.P. Phila. 1961), aff’d per curiam, 197 Pa.Super. 79, 177 A.2d 142 (1962). The Alexander Court reasoned that a physician, who is in a confidential and fiduciary relationship to a patient, owes the patient a "duty of total care," which includes a duty to assist the patient in litigation and refuse to help the opposing party. Alexander, 25 Pa.D.&C.2d at 655. While the physician also "owes a duty to conscience to speak the truth; he need, however, speak only at the proper time." Id. Based on this, the Alexander Court condemned the defense representative, a physician employed by the defense to interview plaintiffs’ physicians and to secure a report, for inducing the plaintiff’s treating physician to breach his confidential relationship to his patient by giving a report to defense counsel without his patient’s permission. Id. Several trial court decisions followed Alexander’s refusal to permit ex parte contact between defense counsel and the patient’s treating physician, emphasizing a physician’s duty of confidentiality to a patient. See Hoffmeyer v. Pell, 23 Pa.D.&C.3d 448, 453-54 (C.P. Somerset 1982) (denying the defense’s request for an ex parte interview with the plaintiff’s treating physician and noting that formal deposition protects the patient and the physician); Freyer v. Travelers Indem. Co., 15 Pa.D.&C.3d 649, (C.P. Westmoreland 1980) (rejecting the defendant’s motion to compel the plaintiff to submit to an examination conducted by the plaintiff’s treating physician due to the chilling effect on potential patients); Nicholson v. Polcyn Estate, 12 Pa.D.&C.3d 561, 569 (C.P. Lancaster 1979) (recognizing a cause of action against a treating physician for the unauthorized disclosure of confidential information); Shea v. McCadden, 46 Pa.D.&C.2d 560, 563 (C.P. Del. 1969) (denying defendants request to have the plaintiff submit to an examination conducted by the treating physician who the defendants subsequently employed due to the confidential relationship).

A federal district court, applying Pennsylvania law, predicted that our Court, "if confronted with the issue, would at least require reasonable notice to a plaintiff or his counsel before defense counsel may communicate with plaintiff’s treating physician." Manion v. N.P.W. Med. Ctr. of N.E. Pa., Inc., 676 F. Supp. 585, 595 (M.D. Pa. 1987) (emphasis in original). The district court explained that the prohibition on ex parte contact is rooted in the public policy of protecting the confidentiality of the physician-patient relationship, and it is distinct from the statutory physician-patient privilege in 42 Pa.C.S. § 5929. Id. at 593. Further, the court noted that only the patient can waive the bar on ex parte communications. Id. at 594. The court found the rationale underlying the ex parte communication prohibition was persuasive, stating it encourages patients to speak openly with their physicians, it provides safeguards against the discovery of irrelevant information, and it avoids the potential for improperly influencing the physician. Id. at 594-95 (positing that "[a]n unauthorized ex parte interview could disintegrate into a discussion of the impact of a jury’s award upon a physician’s professional reputation, the rising cost of malpractice insurance premiums, the notion that the treating physician might be the next person to be sued, and other topics which might influence the treating physician’s views."). Based on the Alexander line of cases, decisions from other jurisdictions, and the rationale of the prohibition, the Manion Court held that defense counsel must provide reasonable notice to the plaintiff before contacting the treating physician. Id. at 595.

See Petrillo v. Syntex Labs., Inc., 148 Ill. App.3d 581, 102 Ill.Dec. 172, 499 N.E.2d 952 (1986); Stempler v. Speidell, 100 N.J. 368, 495 A.2d 857 (1985).

Rule 4003.6 was never published for comment from the bench, bar or the public. 21 Pa.B. 2337 (May 18, 1991). Unlike most of the Rules of Civil Procedure, it is not accompanied by an historical note or comments to its various provisions. We should refer Rule 4003.6 to the Civil Procedural Rules Committee for its consideration and modification if found necessary after review and public comment.

The analysis of the Alexander line of trial court decisions and Manion, however, was subsequently rejected in Holtzman v. Zimmerman, 47 Pa.D.&C.3d 608 (C.P. Cumberland 1988), and Moses v. McWilliams, 379 Pa.Super. 150, 549 A.2d 950 (1988), allocatur denied, 521 Pa. 631, 558 A.2d 532 (1989). In Holtzman, the trial court concluded there was no public policy prohibiting ex parte communication with a treating physician. Holtzman, 47 Pa. D.&C.3d at 626-27. The trial court opined that the Alexander line of cases "envisioned a concept of confidentiality and a fiduciary relationship between physician and patient which is not found in any statute." Id. Similarly, the trial court criticized Manion for relying "on numerous general statements of the Pennsylvania trial courts for which we find no legal precedent or Pennsylvania public policy to support." Id. at 626. Because the legislature had not imposed any restrictions on physicians’ abilities to engage in ex parte communication or to serve as an expert witness for the defense, the Holtzman Court held that "physicians are to be treated like any other witness" absent a contrary legislative directive. Id. at 627.

Moreover, in Moses, the Superior Court found there was no cause of action for a treating physician’s breach of physicianpatient confidentiality based on the physician’s ex parte communication with defense counsel in which the physician revealed information that he gained while treating the plaintiff. Moses, 549 A.2d at 953-54. The court found it significant that the statute codifying the physician-patient privilege, 42 Pa.C.S. § 5929, states that the privilege ceases to apply when the patient brings a civil action for personal injuries. Id. at 955. Further, the court could not find any ethical considerations or medical licensing statutes that precluded disclosing confidential information after the patient files a lawsuit. Id. at 956. In the court’s view, providing physicians immunity from liability for disclosing confidential information relevant to a malpractice claim aided in finding the truth and in disposing meritless claims at the earliest possible time. Id. at 958-59. Expounding on the benefits of ex parte interviews, the court opined that they "are less costly and easier to schedule than depositions, are conducive to candor and spontaneity, are a cost-efficient method of eliminating non-essential witnesses in a case where a plaintiff might have a number of treating physicians, and allow both parties to confer with the treating physicians." Id. at 959 (footnote omitted). Even though it endorsed ex parte interviews with treating physicians, the court noted they must be "limited to that which is pertinent and material to the underlying litigation" or they would be inadmissible at trial. Id. Subsequently, a federal district court applying Holtzman and Moses "reject[ed] the notion of a public policy in Pennsylvania prohibiting ex parte contact with treating physicians, as set forth in Manion." MacDonald v. U.S., 767 F. Supp. 1295, 1300 (M.D. Pa. 1991).

The district court issued its opinion on June 28, 1991, after our Court had adopted Rule 4003.6 but before it became effective. Its opinion does not mention Rule 4003.6.

Having been offered no other interpretation, I will accept this second sentence as creating an exception to the general rule, although this is a lot to take away from the phrase "This rule shall not prevent[.]" Pa.R.C.P. 4003.6. Again, this is the problem with a new rule that was not vetted through public comment. It is also not even clear that the rule came from the Civil Procedural Rules Committee.

Following Holtzman, Moses, and MacDonald, Rule 4003.6 became effective. In the first appellate case to apply Rule 4003.6, the Superior Court in Marek held that a treating physician’s violation of Rule 4003.6 warranted a new trial. Marek, 733 A.2d at 1270. There, the plaintiff’s treating physician communicated with defense counsel ex parte in response to defense counsel’s request for his impressions of the case and then testified at trial as a defense expert. Id. at 1269. The Marek Court stated Rule 4003.6 prohibited a treating physician from providing the opposing party with any information without the patient’s written consent outside of the formal discovery process. Id. at 1270. The court opined that Rule 4003.6 reflects "the recognized privacy interest underlying the physician-patient relationship and the physician’s duty of loyalty to the patient." Id. Echoing the Alexander line of cases and Manion, the court continued that ex parte communication may result in inquiry into irrelevant aspects of the patient’s mental or physical health or history, may implicate physicians in tort liability for breach of privacy, and may permit defense counsel to improperly influence the physician or dissuade the physician from testifying. Id. Even though a patient waives the physician-patient privilege by filing a lawsuit, the Marek Court found "this waiver does not permit unfettered disclosure," and "Rule 4003.6 regulates the manner in which defense counsel obtains information from the plaintiff’s treating physician." Id. The court continued:

Rule 4003.6 is clear in its directive. Only upon consent or through a method of authorized discovery may information be obtained from a party’s treating physician. These procedures protect both the patient and the physician by ensuring that adverse counsel will not abuse the opportunity to contact or interrogate the physician privately. When formal discovery is undertaken in the presence of a patient’s counsel it can be assured that Irrelevant medical testimony will not be elicited and confidences will not be breached, preserving the trust which exists between doctor and patient.

Id. Because Rule 4003.6 was violated when the plaintiff’s treating physician communicated ex parte with defense counsel without the plaintiff’s consent and then testified as an expert at trial, the Superior Court awarded a new trial. Id.

Next, in Alwine v. Sugar Creek Rest, Inc., 883 A.2d 605 (Pa. Super. 2005), the Superior Court concluded that Marek did not mandate a new trial when a treating physician testified at trial after communicating ex parte with defense counsel, which "may have been a violation of Rule 4003.6[.]" Alwine, 883 A.2d at 611. The Alwine Court distinguished Marek on the grounds that the treating physician in Marek testified as an expert witness, whereas the treating physician in Alwine did not offer expert or opinion evidence. Id. Additionally, the Alwine Court found that the record did not show that the treating physician’s testimony was prejudicial or affected the verdict. Id.

The only other appellate case to consider Rule 4003.6 was the Commonwealth Court's decision in Pennsylvania State University v. Workers' Compensation Appeal Board (Sox), 83 A.3d 1081 (Pa. Cmwlth. 2013). In Sox, the employer argued that the exception in Rule 4003.6(2), which states the rule does not prohibit an attorney from obtaining information from an employee of the attorney’s client, enabled the employer’s counsel to have ex parte contact with the employee’s treating physicians who were also employed by the employer. Sox, 83 A.3d at 1093. The Commonwealth Court noted that the Rules of Civil Procedure are not controlling in workers’ compensation cases, but they may be persuasive. Id. Rejecting the employer’s argument, the Commonwealth Court explained that the policy concerns in Marek applied, particularly "the potential for defense counsel to seek to influence improperly the physician" because the employer listed the treating physicians, its employees, as testimonial witnesses. Id. at 1094. Accordingly, the Commonwealth Court refused to read the exception in Rule 4003.6(2) as favoring ex parte communications in workers’ compensation proceedings between a claimant’s employer and the claimant’s treating physicians where the employer also employs the treating physicians. Id. With this background in mind, we consider whether Rule 4003.6(1) permits defense counsel to communicate with the plaintiff’s treating physicians without the plaintiff’s consent and outside the discovery process. In construing the Rules of Civil Procedure, our object is to "ascertain and effectuate the intention of the Supreme Court" by giving effect to all a rule’s provisions. Pa.R.J.A. 108(a)-(b); see also Pa.R.Civ.P. 126(b) (stating that courts construe the Rules of Civil Procedure according to the principles in Pa.R.J.A. 104-115). "When the words of a rule are clear and free from all ambiguity, the letter of it is not to be disregarded under the pretext of pursuing its spirit." Pa.R.J.A. 108(b). When a rule is not explicit, we consider a nonexclusive list of factors to ascertain the drafting Court’s intent. Pa.R.J.A. 108(c).

[2, 3] Rule 4003.6 provides the general standard that "[i]nformation may be obtained from the treating physician of a party only upon written consent of that party or through a method of discovery authorized by this chapter." Pa.R.Civ.P. 4003.6. It then lists three relationships in which the rule does not prevent an attorney from obtaining information from a treating physician, i.e., when a treating physician is the attorney’s client or when a treating physician is an actual or ostensible employee of the attorney’s client. Pa. R.Civ.P. 4003.6(1)-(3). We conclude that Rule 4003.6’s plain language places a restriction on an attorney’s ability to obtain information from a treating physician, except when the treating physician is the attorney’s client or an actual or ostensible agent of the attorney’s client. Neither party offers a different interpretation or argues that the rule is ambiguous. Compare Appellant’s Brief at 14 (characterizing Rule 4003.6 as providing "three exceptions from the general rule that the information must be obtained through the discovery process") with Mertis’s Brief at 23-24 (stating Rule 4003.6 provides "defense counsel may only obtain information from a plaintiff’s treating physician by securing the written consent of the plaintiff or through an authorized method of discovery"). The dispute in this case is how Rule 4003.6 applies to the facts in which Scanlon Howley and Attorney Doherty Hillebrand represented the defendant-physician, Dr. Oh, and subsequently Scanlon Howley and Attorney Hayes accepted the representation of the plaintiff’s nonparty treating physician, Dr. Kim.

Because Attorney Doherty Hillebrand represented Dr. Oh in this medical malpractice case, Rule 4003.6 precluded her from obtaining information from any of Mertis’s treating physicians, including Dr. Kim, without obtaining Mertis’s written consent or engaging in an authorized method of discovery, except Rule 4003.6(1) allowed her to obtain information from her client, Dr. Oh, without obtaining such consent or using an authorized method of discovery. As Attorney Doherty Hillebrand was a member of the law firm Scanlon Howley, this restriction extended to all the law firm’s attorneys, including Attorney Hayes. Accordingly, we conclude that at the time Dr. Kim contacted Attorney Hayes, Attorney Hayes was precluded from ex parte obtaining information from Dr. Kim because Attorney Hayes was associated with the law firm representing Dr. Oh. At that point, the plain language of Rule 4003.6 provides that the only means by which Attorney Hayes could have obtained information from Dr. Kim was by obtaining Mertis’s written consent or by utilizing an authorized method of discovery. The client exception in Rule 4003.6(1) does not apply here because Dr. Kim was not Attorney Hayes’s client at the time the rule restricted Attorney Hayes’s ability to obtain information from Dr. Kim, and the rule does not provide that an attorney subject to Rule 4003.6’s restriction may enter an attorney-client relationship in order to obtain information from a treating party’s physician.

[4] Moreover, under Pennsylvania law, "[c]onfidential information gained by one member of a law firm is imputable to other members of the same law firm." Estate of Pew, 440 Pa.Super. 195, 655 A.2d 521, 545 (1994); see also Pa.R.P.C. 1.10. Under this principle, when Attorney Hayes obtained information from Dr. Kim, it was imputed to Attorney Doherty Hillebrand, who was prohibited from obtaining that information by Rule 4003.6. Contrary to the trial court’s finding, Mertis did not need to show that Attorneys Doherty Hillebrand and Hayes actually shared information because they were attorneys in the same firm, and it is imputable. There is nothing in the record that would preclude this imputation. Accordingly, we agree with the Superior Court that permitting Scanlon Howley to represent both Dr. Oh and Dr. Kim was equivalent to ex parte communication because the dual representation "give[s] the defense access to information that can only be obtained otherwise through authorized discovery[.]" Mertis, 289 A.3d at 536.

[5] We do not offer an opinion on whether an effective screen may serve as a defense to the imputation of confidential information. However, in this case, there is no evidence that Scanlon Howley had a screen in place. In their responses in opposition to the motion to disqualify, neither Dr. Oh nor Dr. Kim pled as a response or sought to establish as a defense that there was a screen in place. To the contrary, the record reflects that Attorney Hayes appeared at a deposition of a nonparty physician witness, Dr. Singh, in place of Attorney Doherty Hillebrand. Even accepting Attorney Hayes’s explanation that he appeared only to notify the participants that Attorney Doherty Hillebrand would join as soon as she became available, it nonetheless shows Scanlon Howley did not have a screen in place to keep the representation of Dr. Oh isolated from the representation of Dr. Kim. Scanlon Howley’s staff did not know it was improper to contact Attorney Hayes regarding anything involving Dr. Oh’s representation. Moreover, Attorney Hayes acquiesced to appearing at the deposition, which shows he was not observing any screen to keep himself isolated from any participation in Dr. Oh’s representation. While we express no opinion on whether a proper screen would have permitted Attorney Hayes to obtain information from Dr. Kim without violating Rule 4003.6, we observe that the record shows Scanlon Howley did not have such a screen in place.

The Pennsylvania Rules of Professional Conduct define "screened" as "the isolation of a lawyer from any participation in a matter through the timely imposition of procedures within a firm that are reasonably adequate under the circumstances to protect information that the isolated lawyer is obligated to protect under these Rules or other law." Pa. R.P.C. 1.0(k).

Whether the physician-clients of Scanlon Howley waive the conflict of interest under Pa.R.Prof.C. 1.7 arising from their concurrent representation because of their potential adversity is irrelevant to the interpretation of Rule 4003.6.

Mertis filed the motion to disqualify on April 16, 2021, approximately 68 days after Attorney Hayes appeared at Dr. Singh’s February 8, 2021 deposition. Dr. Oh has not argued how that specific delay prejudiced him, other than generally asserting it was for tactical purposes to have Dr. Oh’s counsel disqualified. Under these circumstances, we decline to find that Mertis waived her objection to a Rule 4003.6 violation.

This is in addition to the conflict of interest, irrelevant to Rule 4003.6, that arises from the potential adversity of the two clients.

Ultimately, if we conclude Rule 4003.6 permits the conduct in this case, such interpretation would turn Rule 4003.6(1) into a loophole for one attorney in a law firm to represent a defendant doctor and another attorney in the same law firm to represent a plaintiff’s treating physician concurrent- ly. Such reading would undermine the rule and allow attorneys in law firms to have unrestricted access to information from the treating physician. As related to this case, there would be nothing preventing a medical malpractice insurance carrier from sending all the plaintiff-patient’s treating physicians for representation to the same law firm representing a defendant physician to circumvent Rule 4003.6. When the same law firm represents the defendant treating physician and other treating physicians, the concern that one or more of the physicians may be improperly influenced or dissuaded from testifying is heightened. See Marek, 733 A.2d at 1270. As highlighted in Marek, the prohibition on ex parte communications protects "the recognized privacy interest underlying the physician-patient relationship and the physician’s duty of loyalty to the patient," prevents the disclosure of irrelevant information about the patient’s medical history, insulates physicians from potential tort liability, and guards against defense counsel attempting to improperly influence the physician or to dissuade the physician from testifying. Id. The concerns expressed in Marek are present in this case. Here, because Attorneys Doherty and Doherty Hillebrand represented a named defendant physician, Rule 4003.6 precluded them from communicating ex parte with any of the plaintiff’s other treating physicians. Attorney Hayes, an attorney in the same law firm as Attorneys Doherty and Doherty Hillebrand, cannot obtain information from a treating physician as the rule’s prohibition was imputed to all the firm’s attorneys. Otherwise, attorneys in a law firm representing a defendant physician would be able to circumvent Rule 4003.6 by simply involving another of the firm’s attorneys to represent a treating physician. We cannot endorse the "no restrictions" approach to Rule 4003.6(1) that Appellant advocates because it would eviscerate the plain language restriction of Rule 4003.6 in the context of attorneys from the same law firm representing a defendant physician and a patient’s treating physicians.

We decline to address Appellant’s arguments that disqualification of the attorneys and law firm is not an available sanction for a Rule 4003.6 violation and would impinge on his right to choice of counsel. The issue of the proper remedy for a Rule 4003.6 violation is outside the scope of the question upon which we granted discretionary review. We granted review to interpret Rule 4003.6, not to determine the appropriate remedy for a violation of Rule 4003.6. See Marion v. Bryn Mawr Trust Co., 288 A.3d 76, 93 (Pa. 2023) (declining to address an issue outside the scope of the grant of allowance of appeal). Because the Superior Court remanded to the trial court to determine the appropriate remedy, and we did not grant review regarding the remedy, it is not necessary for us to resolve whether disqualification is a permissible sanction to decide the issue upon which we granted review.

IV. CONCLUSION

[6, 7] For these reasons, we conclude that a law firm representing a defendant treating physician cannot obtain information from a nonparty treating physician without the patient’s written consent or through an authorized method of discovery. The Rule 4003.6(1) client exception does not permit a law firm to obtain information from a nonparty treating physician by entering into an attorney-client relationship with that physician when the law firm’s attorneys were already prohibited from obtaining information from that physician under Rule 4003.6 prior to entering such attorney-client relationship. Accord- ingly, the order of the Superior Court is affirmed.

Jurisdiction relinquished.

Chief Justice Todd and Justices Dougherty, Wecht and Brobson join the opinion.

Justice Donohue files a concurring opinion.

JUSTICE DONOHUE, concurring

I concur in the result reached by the Majority.

In my view, the Rules of Professional Conduct inform our interpretation of Pennsylvania Rule of Civil Procedure 4003.6 ("Rule 4003.6"). As this Court explained in interpreting Section 303 of the Commonwealth Attorneys Act1a in Synthes USA HQ, Inc. v. Commonwealth, 289 A.3d 846 (Pa. 2023), we do not overlook that the attorneys before the Court are attorneys bound by the Pennsylvania Rules of Professional Conduct ("Pa.R.Prof.C.") when interpreting statutes which squarely address the attorney-client relationship. Id. at 864. When addressing the operation of Rule 4003.6 in this case involving an attorney’s conduct with regard to protected information from a party’s treating physician, I would frame the interpretation of Rule 4003.6 by taking into account the conflict of interest and imputation principles embodied in Pa.R.Prof.C. 1.7 and 1.10 ("Rule 1.7" and "Rule 1.10," respectively).

In Synthes, we granted oral argument on a direct appeal of a tax determination by the Office of the Attorney General ("OAG") to address, inter alia, the OAG’s authority to take a legal position which conflicted with the legal position of the Department of Revenue. Synthes, 289 A.3d at 866. The Department advanced one interpretation of a tax provision, while the OAG appeared before the Commonwealth Court and advanced the opposite interpretation. We addressed and interpreted the CAA, which we concluded provides a mechanism for the OAG to take a position on behalf of the Commonwealth contrary to that of an executive branch agency. Id. However, we further recognized that the CAA regulated the practice of attorneys related to concurrent representation, a unique type of attorney-client relationship regulated by the Rules of Professional Conduct. We therefore found it "important to frame the conclusion with an eye to the interplay with the Rules of Professional Conduct." Id.

As we stated in that case, "[m]embership in the bar of this Court inherently carries with it the obligation of admitted attorneys to consult our promulgated Rules of Professional Conduct to guide their practice. The Rules provide a framework for the ethical practice of law." Id. Indeed, the Commonwealth Court expressed discomfort with the OAG’s assertion of a legal position directly adverse to its client, the Department of Revenue. Id. at 852 n.13 (citing Synthes USA HQ, Inc. v. Commonwealth, 236 A.3d 1190, 1202 (Pa. Commw. 2020) (Brobson, J., concurring) (expressing the view that the OAG "overstepped its authority under the [CAA] by assuming the mantles of both counsel and client") (internal footnote omitted)). We observed that the lower court’s consternation stemmed "from its understanding of the organic role that the Rules [of Professional Conduct] play in all of an attorney’s professional undertakings." Id. at 867. While we recognized that the Rules of Professional Conduct did not establish substantive legal rights in any party, we also recognized "this Court’s constitutional authority to oversee the con- duct of members of our bar." Id. at 866 & n.38. We therefore drew attention to the clear ethical guidance provided by the Rules of Professional Conduct in the scenario presented under the CAA: the OAG, as counsel with two clients (the Commonwealth and the Department of Revenue) with conflicting interests, had the duty to advise the Department of Revenue of the conflict, a result which conformed to both the statutory procedure and the Rules of Professional Conduct. Id. at 867.

Likewise, in this case involving the interpretation of Rule 4003.6, where access to the party-patient’s medical information depends on the existence of an attorneyclient relationship, our analysis should be guided by the organic role of the Rules of Professional Conduct in professional undertakings. We maintain the exclusive authority to supervise the conduct of attorneys. We promulgate both the Rules of Professional Conduct and the Rules of Civil Procedure. It is highly unlikely that, in writing Rule 4003.6, we were addressing attorney conduct in a way that is divorced from the Rules of Professional Conduct.2a Given that both this discovery rule and the Rules of Professional Conduct are products of this Court’s making, this case presents an even more compelling scenario than in Synthes for interpreting the discovery rule at issue with reference to the Rules of Professional Conduct.

The discovery rule at issue provides:

Rule 4003.6. Discovery of Treating Physician

Information may be obtained from the treating physician of a party only upon written consent of that party or through a method of discovery authorized by this chapter. This rule shall not prevent an attorney from obtaining information from:

(1) the attorney’s client,

(2) an employee of the attorney’s client, or

(3) an ostensible employee of the attorney’s client.

Pa.R.C.P. 4003.6.

The first sentence announces a general rule intended to protect from disclosure information about a party-patient held by a treating physician so that such information can only be obtained upon written consent of the party or through an authorized method of discovery. This general rule and its purpose are clear — no consent, no disclosure unless the information is made available through a procedure that allows for the participation of the party-patient’s attorney.

The interpretative problem arises from the second sentence of Rule 4003.6: "This rule shall not prevent an attorney from obtaining information from … (1) the attorney’s client[.]" The parties as well as the Majority read this as an exception to the general rule. Their reading of this sentence translates to: except that the attorney for a treating physician of a party can obtain information from a treating physician of a party without the written consent of that party and without using an otherwise authorized method of discovery.3a Thus, in the context of this case, Dr. Oh’s retention of Attorneys Doherty, who practiced in the law firm of Scanlon Howley, and Dr Oh’s communication of information about his patient, Mertis, to the attorneys complied with Rule 4003.6, even without Mertis’ consent or authorized method of discovery.

The question is whether the law firm of Scanlon Howley, through another of its attorneys Kevin Hayes, may concurrently represent another of Mertis’ treating physicians, Dr. Kim, without violating Rule 4003.6. In my view, the answer is no.

Rule 4003.6 would be violated by the concurrent representation of the two treating physicians. As a result of the concurrent representation, Scanlon Howley’s attorneys owe a duty of loyalty to both treating physicians to represent both physicians zealously and fully. The problem here is that fulfilling this duty requires counsel to consider the patient’s medical information acquired from one physician for the benefit of the other physician’s representation. As such, it is inevitable that the confidentiality of the party-patient’s medical information is jeopardized by the concurrent representation by the law firm of two treating physicians. See Pa.R.Prof.C. 1.10 cmt. [2] (stating that "a firm of lawyers is essentially one lawyer for purposes of the rules governing loyalty to the client … [and] each lawyer is vicariously bound by the obligation of loyalty owed by each lawyer with whom the lawyer is associated"). Information acquired from Dr. Kim that is helpful to Dr. Oh’s defense of the malpractice case against him by Mertis is freely available for use in that defense without the consent of the patient and without resort to authorized means of discovery in which the patient’s counsel can participate, in violation of the general prohibition in Rule 4003.6.4a

The Rules of Professional Conduct contemplate the utilization of screening procedures to allow certain otherwise problematic representations by law firms. The Rules of Professional Conduct explain the procedures and their meaning:

Rule 1.0. Terminology

* * *
(k) "Screened" denotes the isolation of a lawyer from any participation in a matter through the timely imposition of procedures within a firm that are reasonably adequate under the circumstances to protect information that the isolated lawyer is obligated to protect under these Rules or other law.

Pa.R.Prof.C. 1.0(k). However, pursuant to Rule 1.10, screening is only available in limited circumstances and is not permitted to allow problematic concurrent representations. See Pa.R.Prof.C. 1.10(b)(1)-(2).

As is evident, my analysis of the exception to the general rule of Rule 4003.6 is dependent upon the imputation of the conflict from one attorney to all of the attorneys in the law firm in which that attorney practices. Rule 1.10 provides in pertinent part:

(a) While lawyers are associated in a firm, none of them shall knowingly represent a client when any one of them practicing alone would be prohibited from doing so by Rules 1.7, or 1.9, … [.] Pa.R.Prof.C. 1.10(a) ("Imputation of Conflicts of Interest: General Rule"). Further, Rule 1.7 provides in pertinent part:

Rule 1.7. Conflict of Interest: Current Clients

(a) Except as provided in paragraph (b), a lawyer shall not represent a client if the representation involves a concurrent conflict of interest. A concurrent conflict of interest exists if:

* * *

(2) there is a significant risk that the representation of one or more of the clients will be materially limited by the lawyer’s responsibilities to another client, a former client or a third person or by a personal interest of the lawyer.

* * *

(b) Notwithstanding the existence of a concurrent conflict of interest under paragraph (a), a lawyer may represent a client if:

(1) the lawyer reasonably believes that the lawyer will be able to provide competent and diligent representation to each affected client;

(2) the representation is not prohibited by law;

(3) the representation does not involve the assertion of a claim by one client against another client represented by the lawyer in the same litigation or other proceeding before a tribunal; and

(4) each affected client gives informed consent.

Pa.R.Prof.C. 1.7(a)(2) & (b) (emphasis added).

Under Rule 1.10, the concurrent representation of Mertis’ treating physicians by Scanlon Howley is a conflict of interest under Rule 1.7(a)(2) because the representation of both treating physicians is materially limited by the lawyers’ responsibilities to Mertis who is entitled to protection of information in the possession of her treating physicians.5a As explained, it is the subsequent retention of Dr. Kim as a client that triggers the violation of Rule 4003.6. The representation of Dr. Kim cannot be salvaged by Rule 1.7(b) because the representation is prohibited by the general rule in Rule 4003.6. See Pa.R.Prof.C. 1.7(b)(2) (providing that lawyer may represent a client, notwithstanding a conflict of interest if, inter alia, "the representation is not prohibited by law"). Further, screening procedures cannot be implemented to allow the representation.

Our interpretation of Rule 4003.6, which deals with the consequences of an attorney-client relationship, is informed by the Rules of Professional Conduct. Pursuant to the principles embodied in Rule 1.10, when an attorney practices in a law firm, the consequences of any attorney’s representation must be viewed as consequences to the law firm. Pa.R.Prof.C. 1.10 cmt. [2] ("The rule of imputed disqualification stated in paragraph (a) gives effect to the principle of loyalty to the client as it applies to lawyers who practice in a law firm. Such situations can be considered from the premise that a firm of lawyers is essentially one lawyer for purposes of the rules governing loyalty to the client, or from the premise that each lawyer is vicariously bound by the obligation of loyalty owed by each lawyer with whom the lawyer is associated[]"). The attorneys defending their approach to representation of Dr. Oh and Dr. Kim under Rule 4003.6 agree that here, the attorneys and their law firms are indistinguishable. Scanlon Howley submits that Rule 4003.6 "provides guidance on when and how a law firm may obtain information from a plaintiff’s treating physician during discovery." Dr. Oh’s Brief at 14 (emphasis added). In defending the concurrent representation of Dr. Oh and Dr. Kim, Scanlon Howley interprets the phrase "the attorney’s client" in the exception to Rule 4003.6 as providing that "a law firm may communicate with a plaintiff’s treating physician where that physician is a law firm client." Id. at 15 (emphasis added). Scanlon Howley is of the view that "[t]here are no restrictions under this provision with regard to a law firm’s ability to communicate with a treating physician in such circumstance." Id. But, in promulgating Rule 4003.6, we did not authorize law firms to engage in concurrent representation of treating physicians to access a patient’s medical information. Nor did we create an exception to the conflict and imputation principles of Rules 1.7 and 1.10.

Mertis likewise refers to the "law firm, Scanlon Howley" as entering their appearance, Mertis’ Brief at 10, and to the law firm satisfying the attorney’s client exception, not the individual attorneys, id. at 32.

The concurrent representation of more than one treating physician by attorneys in a law firm is prohibited because the conflict arising from the patient’s confidential medical information provided by two separate clients to an attorney in the firm is imputed to all of the attorneys in the firm. In this ease, Rule 4003.6 was violated because the information obtained from Dr. Kim was available in the defense of Dr. Oh without the party-patient’s consent or through authorized discovery.

I would affirm the Superior Court.


Summaries of

Mertis v. Dong-Joon Oh

Supreme Court of Pennsylvania
Jun 18, 2024
317 A.3d 529 (Pa. 2024)
Case details for

Mertis v. Dong-Joon Oh

Case Details

Full title:BOBBI ANN MERTIS AND JOSEPH MERTIS v. DONG-JOON OH, M.D., NORTH AMERICAN…

Court:Supreme Court of Pennsylvania

Date published: Jun 18, 2024

Citations

317 A.3d 529 (Pa. 2024)