Opinion
Docket No. 47369.
Decided August 18, 1981. Leave to appeal applied for.
Lopatin, Miller, Bindes, Freedman, Bluestone, Erlich Rosen (by Steven G. Silverman), for plaintiff.
Foster, Swift, Collins Coey, P.C. (by David H. Aldrich), for defendant O'Connor.
Stanton, Bullen, Nelson, Moilanen Klaasen, P.C. (by Charles A. Nelson and William J. Braaksma), for defendant Cornwell.
Best, Arnold, Gleeson Best, P.C. (by Dennis L. Viglione), for defendant hospital.
We adopt the facts of this case as they are presented by our brother BURNS in his dissent.
There is a difference of opinion among judges of the Court of Appeals as to whether the requirement of the R. Hood-McNeely-Geake Malpractice Arbitration Act (MAA), MCL 600.5040 et seq.; MSA 27A.5040 et seq., that one member of the three-member arbitration panel be a hospital administrator or physician violates a patient's due process rights. Two recent cases from this Court addressed this issue and held that that requirement does not infringe unconstitutionally upon the due process right to a hearing before a fair and impartial tribunal. See Judge CYNAR'S opinion in Morris v Metriyakool, 107 Mich. App. 110; 309 N.W.2d 910 (1981), and Brown v Siang, 107 Mich. App. 91; 309 N.W.2d 575 (1981).
We find the reasoning in Brown, supra, to present the better view on the issue sub judice. Based upon the reasoning presented there and in Morris, supra, we affirm the trial court's decision.
Affirmed.
R.H. CAMPBELL, J., concurred.
The instant case arises out of medical treatment rendered to plaintiff's decedent from August, 1975, to December 20, 1977. During this period of time, the decedent was admitted to the Jackson Osteopathic Hospital on three separate occasions. Prior to receiving treatments on each of these occasions, he signed arbitration agreements which provided that any claims or disputes arising out of the services rendered him by the defendant hospital, its employees, or its staff of independent doctors would be subject to arbitration. The provisions of these agreements were those that are required by the R. Hood-McNeely-Geake Malpractice Arbitration Act (MAA), MCL 600.5040 et seq.; MSA 27A.5040 et seq.
In March, 1979, plaintiff, as administratrix of the estate of her deceased husband, filed a medical malpractice suit against the defendant doctors and hospital alleging that the defendants' failure to diagnose and treat a carcinoma of the lung condition from which her decedent was suffering caused his eventual death.
Defendants moved for accelerated judgment pursuant to GCR 1963, 116.1(2), on the ground that the court lacked subject matter jurisdiction over this case due to the fact that plaintiff's decedent had signed valid arbitration agreements. In response to this motion, plaintiff raised a number of issues pertaining to the constitutionality of the MAA. Subsequently, the lower court entered orders granting defendants' motion for accelerated judgment and dismissing plaintiff's action. On August 21, 1979, plaintiff filed a demand for arbitration against defendant with the American Arbitration Association, which is being held in abeyance pending this appeal.
Plaintiff now appeals the lower court's orders granting accelerated judgment to defendants.
The dispositive issue raised by plaintiff in this appeal concerns whether the provisions of the MAA which require one member of the three-member arbitration panel to be a hospital adminsistrator or physician violated plaintiff's constitutional right to a hearing before an impartial tribunal.
I am not persuaded by defendants' claim that the arbitration agreement signed by plaintiff's decedent was a private one that cannot be challenged on due process grounds because it does not have a sufficient nexus to state action.
The arbitration panel created by the statute clearly functions in a judicial capacity because it is an alternative to a jury or bench trial. MCL 500.3053(1); MSA 24.13053(1) forbids malpractice insurers to offer malpractice insurance to any hospital in this state unless the policy requires the hospital to offer patients the option to arbitrate claims. Further, not only is the arbitration procedure established by statute, but also is the composition of the panel. Therefore a sufficient nexus with the state is present.
This follows from cases that have held a due process analysis appropriate where the sole state action in a case was an attempt to enforce in the courts of that state a racially restricted property covenant. See Barrows v Jackson, 346 U.S. 249; 73 S Ct 1031; 97 L Ed 1586 (1953). If adequate state action can be found where the only connection with the state is through enforcement of an agreement by the courts, then there is a sufficient nexus in this case where both the court enforcement of the arbitration panel's decision and the legislative determination of the composition of the panel are present.
Also unpersuasive is defendants' claim that due process is not violated by the MAA because a malpractice claim is not a life, liberty, or property interest protected by the Due Process Clause. Defendants contend that this is true because the Legislature has the power to completely extinguish a cause of action or create a new one. While it may be true that the Legislature possesses power to create and abolish causes of action, plaintiff does not claim in this suit that she is being denied her interest in a cause of action. Rather, she claims that the interest at stake in this case is her right of access to a fair and impartial tribunal. This is a right that is within the penumbra of interests protected by the Due Process Clause.
Defendants' most persuasive argument is that no deprivation has occurred by the enactment of the MAA because the provisions of this act establish arbitration as an alternative to a trial by court or jury at the option of the patient.
In pertinent part, MCL 600.5042; MSA 27A.5042 provides:
"(1) A person who receives health care in a hospital may execute an agreement to arbitrate a dispute, controversy, or issue arising out of health care or treatment rendered by the hospital. A person receiving emergency health care or treatment may be offered the option to arbitrate but shall be offered the option after the emergency care or treatment is completed.
"(2) The agreement to arbitrate shall provide that its execution is not a prerequisite to health care or treatment.
"(3) The agreement to arbitrate shall provide that the person receiving health care or treatment or his legal representative, but not the hospital, may revoke the agreement within 60 days after discharge from the hospital by notifying the hospital in writing."
As is evident from this section of the MAA, the decision to submit to arbitration and to waive the constitutional right to trial is distinctly a voluntary one on behalf of the person receiving health care treatment.
The arbitration agreement form approved by the Michigan Commissioner of Insurance provides:
"I understand that this hospital and I by signing this document agree to arbitrate any claims or disputes (except for disputes over charges for services rendered) which may arise in the future out of or in connection with health care rendered to me during this hospital stay and/or emergency room visit by this hospital, its employees and those of its independent staff doctors and consultants who have agreed to arbitrate.
"I understand that Michigan Law gives me the choice of trial by judge or jury or of arbitration. I understand that arbitration is a procedure by which a panel that is either mutually agreed upon or appointed decides the dispute rather than a judge or jury. I freely choose arbitration, and I agree that a judgment of any circuit court may be rendered upon any award or determination made pursuant to this agreement. I also understand that any arbitration will be conducted in accordance with Michigan Law and the Michigan Medical Arbitration Rules, as approved by the Commissioner of Insurance.
"I understand that this agreement to arbitrate is binding on me and all my agents, representatives and heirs and assigns, as well as on this hospital, its employees and those of its independent staff doctors who have agreed to arbitrate.
"I certify that I have read this agreement or have had it read to me and that I fully understand its content and execute this agreement of my own free will. I have received a complete copy of the booklet which explains this agreement.
"THIS AGREEMENT TO ARBITRATE IS NOT A PREREQUISITE TO HEALTH CARE OR TREATMENT, AND MAY BE REVOKED WITHIN 60 DAYS AFTER DISCHARGE BY NOTIFICATION IN WRITING TO: [THE FACILITY RENDERING CARE]."
Thus, the arbitration agreement does not indicate the composition of the arbitration panel and the fact that it will contain a physician as one of its members.
In order for the waiver of a constitutional right to be effective, the waiver must be an intentional and voluntary relinquishment of a known right. People v Jaworski, 387 Mich. 21; 194 N.W.2d 868 (1972), People v Brewer, 88 Mich. App. 756; 279 N.W.2d 307 (1979). The fact that the person receiving care acknowledges receiving a copy of the booklet which explains the arbitration agreement does not make this relinquishment of a constitutional right to trial a known, intelligent, or voluntary one, absent evidence that the booklet was read and understood by the patient prior to the time that the arbitration agreement was signed.
Where the law requires a knowing, voluntary, and intelligent waiver of a constitutional right this Court cannot presume that the patient waiving the right has either read the booklet or, if he has, that it was understood. Thus, although the arbitration agreement does state unambiguously that the person signing it is waiving the right to a trial, because that agreement does not make as clear the composition of the arbitration panel, the waiver of a constitutional right to trial cannot be said to be informed or voluntary.
The crucial question relevant to ascertaining whether the MAA violates due process is whether the arbitration panel created by the statute is a fair and impartial one. Michigan appellate courts have considered the composition of an arbitration panel or hearing board as it relates to due process in other contexts.
In Crampton v Dep't of State, 395 Mich. 347; 235 N.W.2d 352 (1975), the Supreme Court held that the composition of a license appeal board violated a plaintiff's due process right to a fair and impartial tribunal where the plaintiff was forced to submit his case to a two-member board composed of a representative of the Secretary of State and a police officer from the city where the plaintiff resided. The Court opined that appeal board panels on which a full-time enforcement officer is represented are not sufficiently fair and impartial to judge a law enforcement dispute between a citizen and police officer. See also Withrow v Larkin, 421 U.S. 35; 95 S Ct 1456; 43 L Ed 2d 712 (1975), and Ward v Monroeville, 409 U.S. 57; 93 S Ct 80; 34 L Ed 2d 267 (1972).
The Crampton Court identified four situations in which a judge or decision maker is disqualified on due process grounds from hearing a case without a showing of actual bias: where the judge (1) has a pecuniary interest in the outcome of the dispute, (2) has been a target of personal abuse or criticism from a party in the case before him, (3) is enmeshed in other matters involving one of the parties, or (4) might have prejudged the case because of prior participation as an accuser, investigator, factfinder, or initial decision maker.
In this case, plaintiff argues that the arbitration panel created by the MAA violates due process because one member of that panel is a physician who has a pecuniary interest in the outcome of any arbitration matter. In general, a pecuniary interest in the outcome of litigation has been sufficient to warrant the finding that a decision maker cannot be fair or impartial, even absent proof of actual bias, where the evidence indicates that the decision maker is in a situation that would offer great temptation to the decision maker not to decide the matter in controversy on its merits. See Gibson v Berryhill, 411 U.S. 564; 93 S Ct 1689; 36 L Ed 2d 488 (1973), Ward, supra, Tumey v Ohio, 273 U.S. 510; 47 S Ct 437; 71 L Ed 749; 50 ALR 1243 (1927).
Defendants argue in this case that the pecuniary interest that a physician member of the arbitration panel may be subject to is so speculative and remote that there is little chance of bias. Indeed, courts in other states have so held. Woods v Holy Cross Hospital, 591 F.2d 1164 (CA 5, 1979), Parker v Children's Hospital of Philadelphia, 483 Pa. 106; 394 A.2d 932 (1978), State ex rel Strykowski v Wilkie, 81 Wis.2d 491; 261 N.W.2d 434 (1978). However, it would be naive on our part to close our eyes to the fact that the increasing numbers of medical malpractice claims and the attendant spiraling medical malpractice insurance costs will be affected by the manner in which arbitration claims are settled. The relationship between malpractice claims and malpractice insurance is direct and substantial, and plaintiff's proofs include evidence that an individual doctor's insurance rates are dependent upon the total number of malpractice claims and not upon the individual physician's malpractice experience.
Thus, the direct pecuniary interest of a physician-arbitration member in the amount of an award if any, is neither remote nor insubstantial. Further, we should not discount the fact that members of the medical profession are not likely to have neutral feelings on the topic of medical malpractice claims as is evident by the reluctance of physicians to testify in medical malpractice actions. Halldin v Peterson, 39 Wis.2d 668; 159 N.W.2d 738 (1968). See also Spidelson, Medical Malpractice Cases and the Reluctant Expert, 16 Cath U L Rev 158 (1966).
In view of the foregoing, I am not inclined to believe that a person receiving health care treatment can knowingly, voluntarily, and intelligently waive his or her right to a trial without being apprised adequately of the nature of the composition of the arbitration panel. Further, because I do not believe that I can sever from the MAA that part of this act that requires one member of the arbitration panel to be a physician, a requirement that violates due process, I would hold that act to be unconstitutional.
My opinion in this matter was written some months before this Court released its opinions in Morris v Metriyakool, 107 Mich. App. 110; 309 N.W.2d 910 (1981), and Brown v Siang, 107 Mich. App. 91; 309 N.W.2d 575 (1981). Thus, I did not have the benefit of reflecting on the wisdom of those opinions when I wrote my own. Nonetheless, I have since reviewed them and, unlike the majority here, I am not persuaded by their logic. Like the majority opinion in this case, those cases do not give sufficient deference to this country's long-cherished right to trial before a jury or the right to have one's case heard before a tribunal that does not have even the slightest semblance of bias.
I would reverse and remand for trial.