Quinones et al v. Zurich American Insurance Company et al
Filing
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Amended ORDER Granting Defendant's 18 Motion to Dismiss With Leave to Amend. Plaintiffs shall file a first amended complaint on or before July 6, 2018. The hearing date set for June 22, 2018 shall be vacated. Signed by Judge Gonzalo P. Curiel on 7/10/18.(dlg)
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UNITED STATES DISTRICT COURT
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SOUTHERN DISTRICT OF CALIFORNIA
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JAVAN QUINONES; ALEXANDRA
LEGY, a Minor by and through her
Guardian Ad Litem ROSA ALICIA
CABRERA,
Case No.: 18cv467-GPC(MDD)
AMENDED ORDER GRANTING
DEFENDANT’S MOTION TO
DISMISS WITH LEAVE TO AMEND
Plaintiffs,
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v.
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ZURICH AMERICAN INSURANCE
COMPANY, ZURICH NORTH
AMERICA; ESIS, INC.; ESIS
WOODLAND HILLS WC; DOES
ADJUSTER(S) OTHER LEGAL HEIRS
OF LIZZETH CABRERA, Deceased; and
DOES 1 through 100, Inclusive,
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Defendants.
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[Dkt. No. 18.]
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Before the Court is Defendant Esis, Inc.’s motion to dismiss the complaint
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pursuant to Federal Rule of Civil Procedure 12(b)(6). (Dkt. No. 18.) Plaintiffs filed an
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opposition and Defendant filed a reply. (Dkt. Nos. 19, 20.) Based on the reasoning
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below, the Court GRANTS Defendant’s motion to dismiss with leave to amend.
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18cv467-GPC(MDD)
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Procedural Background
The case was removed from state court on March 2, 2018. (Dkt. No. 1.) Plaintiff
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Javan Quinones, son of decedent Lizzeth Cabrera, and Plaintiff Alexandra Legy, a minor
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daughter of decedent Lizzeth Cabrera, appearing by and through her guardian ad litem
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Rosa Alicia Cabrera (collectively “Plaintiffs”) filed a complaint for wrongful
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death/negligence and willful misconduct against Defendants Zurich American Insurance
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Company (“ZAIC”); Zurich North America; Esis, Inc.; and Esis Woodland Hills WC.
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(Dkt. No. 1, Compl.) ZAIC and Esis, Inc. are the only defendants who have appeared in
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the case to date. On May 1, 2018, the Court granted Plaintiffs and ZAIC’s joint motion
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to dismiss. (Dkt. Nos. 10, 12.) On May 18, 2018, Defendant Esis, Inc. filed a motion to
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dismiss arguing Plaintiffs’ claims are barred by the exclusivity provision of the Workers’
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Compensation Act (“WCA”) and California Labor Code (“Labor Code”) section
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4610.3(a). (Dkt. No. 18.)
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Factual Background
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Around June 5, 2007, Decedent Lizzeth Cabrera (“decedent” or “Lizzeth”)
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sustained physical injuries and disabilities from her work activity as a sorter with
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National Beef Packing Co., LLC. (Dkt. No. 1, Compl. ¶ 11.) She suffered injuries to
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her back, both shoulders and knee. (Id.) With legal counsel, Lizzeth filed a worker’s
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compensation claim with the Worker’s Compensation System and Appeals Board
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(“WCAB”) in San Diego, CA. (Id. ¶ 12.) The matter was fully litigated within the
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WCAB. (Id.)
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Lizzeth was diagnosed with major disc herniations, protrusions and bulges,
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foraminal stenosis and narrowing at multiple lumbar levels requiring surgeries. (Id.¶ 13.)
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Around July 20, 2012, Lizzeth underwent a lumbar decompression and fusion of L3
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through S1. (Id. ¶ 14.) Around November 6, 2013, she underwent anthroscopy and
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arthroscopic acromioplasty of the right shoulder in order to correct and alleviate her
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impingement syndrome. (Id. ¶ 15.)
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Lizzeth’s spinal condition did not improve, and over time she began having
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recurrent and persistent MRSA infections, abscesses and bed sores due to her continued
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and/or increased lack of mobility. (Id. ¶ 16.) This caused her great pain, stiffness and
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discomfort to her lumbar spine, radiating to her lower extremities, preventing her from
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becoming ambulatory. (Id.) She also fell approximately ten (10) times due to leg
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weakness. (Id.) Around April 8, 2016, Lizzeth's neurosurgeon requested authorization
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for surgery, hospitalization and treatment “including L2-3 interbody spinal fusion with an
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L2-S1 posterior spinal fusion and decompression, removal of previous hardware from
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L3-S1 and re-implantation of hardware at L2-S1; revision laminotomy and resection of
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bony hyperostosis at L3-S1; and exploration of fusions at L3-4.” (Id. ¶ 17.) The
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Utilization Review “determination date” was April 15, 2016. (Id. ¶ 18.)
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Around July 15, 2016, Defendants1 notified Lizzeth’s counsel that the requested
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medical treatment was certified and approved, including pre-operative diagnostics and
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treatment, hospitalization, spinal surgeries and aftercare and that “it met established
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criteria for medical necessity.” (Id. ¶ 19.) Between July 15, 2016 and July 29, 2016,
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Defendants unilaterally cancelled the surgery scheduled for July 29, 2016 disputing the
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location of the surgery because they did not want to pay for transportation from Lizzeth’s
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home in Brawley, CA to Los Angeles, the location of the surgery as it was not “within a
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reasonable geographic location.” (Id. ¶¶ 20, 21.) Lizzeth’s counsel agreed to cover the
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cost of the transportation to and from the surgery. (Id.) Around July 29, 2016, defense
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counsel wrote to Lizzeth’s counsel confirming that she been certified for lumbar spine
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surgery, disputing that Los Angeles was “within a reasonable geographic location”, not
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authorizing the surgery to be performed in Los Angeles and confirming the cancellation
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of the surgery. (Id. ¶ 21.) Around August 25, 2016, Lizzeth’s counsel went to the
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WCAB and obtained a Stipulation and Order to schedule the surgery and a stipulation
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The Complaint references ZAIC and Esis collectively as “Defendants”.
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that “Defendant agrees to provide transportation for the Applicant from L.A. to her home
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in Brawley after the back surgery. Applicant to contact the transportation service (MTI)
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to make arrangements.” (Id. ¶ 22.)
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The surgery was scheduled for October 20, 2016. (Id. ¶ 23.) On or about October
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17, 2016, Lizzeth passed away and the San Diego County Coroner stated the causes of
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death were respiratory failure, septic shock and polymicrobial sepsis. (Id. ¶ 24.)
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Plaintiffs claim that between July 15, 2016 to August 25, 2016, Defendants
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negligently, carelessly, recklessly and unlawfully cancelled a certified and approved
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medical treatment over a non-existent payment of transportation issue causing Lizzeth’s
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counsel to obtain an order reinstituting the surgery and transportation payment, causing a
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nearly three (3) month delay in the surgery, which would have saved Lizzeth’s life, and
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as a result, directly and legally causing the injuries and damages to Plaintiffs. (Id. ¶ 26.)
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Discussion
A.
Legal Standard on Federal Rule of Civil Procedure 12(b)(6)
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Federal Rule of Civil Procedure (“Rule”) 12(b)(6) permits dismissal for “failure to
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state a claim upon which relief can be granted.” Fed. R. Civ. P. 12(b)(6). Dismissal under
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Rule 12(b)(6) is appropriate where the complaint lacks a cognizable legal theory or
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sufficient facts to support a cognizable legal theory. See Balistreri v. Pacifica Police Dep=t.,
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901 F.2d 696, 699 (9th Cir. 1990). Under Rule 8(a)(2), the plaintiff is required only to set
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forth a Ashort and plain statement of the claim showing that the pleader is entitled to relief,”
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and “give the defendant fair notice of what the . . . claim is and the grounds upon which it
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rests.” Bell Atlantic Corp. v. Twombly, 550 U.S. 544, 555 (2007).
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A complaint may survive a motion to dismiss only if, taking all well-pleaded factual
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allegations as true, it contains enough facts to “state a claim to relief that is plausible on its
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face.” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009) (quoting Twombly, 550 U.S. at 570).
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“A claim has facial plausibility when the plaintiff pleads factual content that allows the
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court to draw the reasonable inference that the defendant is liable for the misconduct
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alleged.” Id. “Threadbare recitals of the elements of a cause of action, supported by mere
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conclusory statements, do not suffice.” Id. “In sum, for a complaint to survive a motion
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to dismiss, the non-conclusory factual content, and reasonable inferences from that content,
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must be plausibly suggestive of a claim entitling the plaintiff to relief.@ Moss v. U.S. Secret
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Serv., 572 F.3d 962, 969 (9th Cir. 2009) (quotations omitted). In reviewing a Rule 12(b)(6)
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motion, the Court accepts as true all facts alleged in the complaint, and draws all reasonable
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inferences in favor of the plaintiff. al-Kidd v. Ashcroft, 580 F.3d 949, 956 (9th Cir. 2009).
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Where a motion to dismiss is granted, Aleave to amend should be granted >unless the
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court determines that the allegation of other facts consistent with the challenged pleading
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could not possibly cure the deficiency.=@ DeSoto v. Yellow Freight Sys., Inc., 957 F.2d
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655, 658 (9th Cir. 1992) (quoting Schreiber Distrib. Co. v. Serv-Well Furniture Co., 806
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F.2d 1393, 1401 (9th Cir. 1986)). In other words, where leave to amend would be futile,
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the Court may deny leave to amend. See Desoto, 957 F.2d at 658; Schreiber, 806 F.2d at
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1401.
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B.
Exclusivity Provision of the Workers’ Compensation Act
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Defendant moves to dismiss because Plaintiffs’ claims are barred by the exclusive
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remedy provision of the WCA requiring Plaintiffs to pursue any relief before the WCAB.
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Because the gravamen of the complaint is the delay and refusal to pay compensation
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benefits, it falls within the exclusive province of the WCAB. Plaintiffs argue their claims
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fall within the exception to the exclusive remedy provision under the WCA because
Defendant’s acts of cancelling the surgery is not a “risk reasonably encompassed within
the compensation bargain” and the exclusivity provision does not apply to Defendant, a
third party/independent insurance adjuster.
California’s Workers’ Compensation Act provides for the compensation of
employees injured in the course and scope of their employment. Cal. Lab. Code § 3201.
Workers’ compensation is the “sole and exclusive remedy of the employee or his or her
dependents against the employer.” Cal. Lab. Code § 3602. The WCA defines “employer”
to include “insurer.” Cal. Lab. Code § 3850(b). However, the exclusivity provision does
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not apply to “any person other than the employer” who proximately caused the injury or
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death. Cal. Lab. Code § 3852.2
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California courts follow a two-step analysis to determine whether an injury falls
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within the exclusivity provision. “The first step is to determine whether the injury is
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‘collateral to or derivative of’ an injury compensable by the exclusive remedies of the
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WCA . . . .” Mosby v. Liberty Mutual Ins. Co., 110 Cal. App. 4th 995, 1003 (2003) (citing
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Vacanti, 24 Cal. 4th at 811). “If the injury meets that test, and is thus a candidate for the
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exclusivity rule, the second step is to determine whether the ‘alleged acts or motives that
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establish the elements of the cause of action fall outside the risks encompassed within the
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compensation bargain.’” Id.
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Plaintiffs dispute the second step arguing that ESIS’s rescission of the surgery
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scheduled for July 29, 2016, even though her counsel agreed to pay for the transportation
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costs, is not a “risk reasonably encompassed within the compensation bargain.” (Dkt. No.
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19 at 11.)
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Under the compensation bargain “the employer assumes liability for industrial
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personal injury or death without regard to fault in exchange for limitations on the amount
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of that liability. The employee is afforded relatively swift and certain payment of benefits
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to cure or relieve the effects of industrial injury without having to prove fault but, in
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exchange, gives up the wider range of damages potentially available in tort.” Charles J.
Vacanti, M.D., Inc. v. State Comp. Ins. Fund, 24 Cal. 4th 800, 811 (2001) (quoting
Shoemaker v. Myers, 52 Cal. 3d 1, 16 (1990)). To determine whether the injury falls
outside the “risk reasonably encompassed within the compensation bargain”, courts look
at whether the injury falls within a “narrow exception” to the WCA’s exclusive jurisdiction
as announced in Unruh v. Truck Ins. Exchange, 7 Cal. 3d 616 (1972). Id. at 819-20. “This
exception focuses on the alleged acts or motives that establish the elements of the cause of
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“The claim of an employee, including, but not limited to, any peace officer or firefighter, for
compensation does not affect his or her claim or right of action for all damages proximately resulting
from the injury or death against any person other than the employer.” Cal. Lab. Code § 3852.
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action and considers whether these acts or motives constitute ‘a risk reasonably
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encompassed within the compensation bargain.’” Id. “When determining whether the
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exception applies to a cause of action, courts first determine whether the alleged acts that
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give rise to that cause of action are “of the kind that [are] within the compensation bargain.”
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Id. at 820.
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In Unruh, the California Supreme Court recognized a narrow exception to the
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WCAB’s exclusivity rule and held that the plaintiff could bring a civil action against the
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insurer for assault and intentional infliction of emotional distress and related punitive
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damages based on the tortious acts of Defendant insurer’s agent. Unruh, 7 Cal. 3d at 630.
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In Unruh, the plaintiff injured her back while working with her employer, underwent four
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surgeries and her condition deteriorated.
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investigator, to assess her work-related injury. Id. at 621. Baker misrepresented his
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identity to the plaintiff, caused her to become emotionally involved with him, and induced
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her to cross rope and barrel bridges at Disneyland where another person secretly filmed her
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while Baker violently shook the bridges. Id. When the video was played at a hearing with
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the WCAB, the plaintiff suffered a physical and mental breakdown requiring
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hospitaliziation. Id.
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Id. at 620.
The insurer hired Baker, an
The court allowed her claims to go forward for assault and intentional infliction of
emotional distress against the insurer based on Baker’s acts. Id. at 630. Recognizing that
investigation of insurance claims is an important role of the insurer in a worker’s
compensation claim, id. at 627, the “deceitful course of conduct in its investigations which
causes injury to the subject of the investigation” makes the insurer liable as “person other
than the employer” within the meaning of section 3852 as it stepped out of its role as an
insurer. Id. at 630-31. “Only when the entity commits tortious acts independent of its role
as a provider of workers’ compensation benefits may an employee maintain a private cause
of action under Unruh.” Marsh & McLennan, Inc. v. Superior Ct., 49 Cal. 3d 1, 10 (1989).
The California Supreme Court in Vacanti explained that insurer activity, such as
payment of benefits and claims investigation that is intrinsic to the workers’ compensation
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claims process is a risk contemplated by the compensation bargain. Vacanti, 24 Cal. 4th
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at 821; see also Mitchell v. Scott Wetzel Services, Inc., 227 Cal. App. 3d 1474 (1991)
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(WCA holds exclusive jurisdiction over injured employee's allegations of insurer
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misrepresentations and perjury in connection with claims handling). Therefore, any denial
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or objection to claims for benefits, misconduct stemming from the delay, or
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“discontinuance of payments” are considered a normal part of the claims process and to be
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addressed by the WCAB.
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claims alleging that an insurer unreasonably avoided or delayed payment of benefits have
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been barred even though the insurer committed fraud and other misdeeds in the course of
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Vacanti, 24 Cal. 4th at 821. Similarly, “statutory and tort
doing so.” Id.
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In Vacanti, the California Supreme Court held that the abuse of process and fraud
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claims alleging that the defendant insurer misused the claims process by “making frivolous
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objections, filing sham petitions and documents with the WCAB, issuing unnecessary
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subpoenas, and improperly threatening to depose plaintiffs’ physicians” fell within the
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exclusivity provision as the alleged acts relate to normal insurer activity of processing and
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paying claims. 24 Cal. 4th at 823. It also went further holding that even regulatory crimes
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do not “violate the employee’s expectations or go against the limits of the compensation
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bargain.” Id. at 824 (allegations of crimes under Insurance Code sections 1871 and 1871.4
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fall within exclusivity provision) (citing Up–Right, Inc. v. Van Erickson, 5 Cal. App. 4th
579, 582–584 (1992) (criminal violations of child labor laws do not support an exception
to exclusivity). However, the court noted that intentional crimes against the employee by
means of violence and coercion would fall outside the exclusion provision.
Id.; see
Mosby, 111 Cal. App. 4th at 999 (holding claims fell within the exception because the
insurer stepped out of its role as an insurer and took on the role of “bad cop,” explaining
that a “malicious, false accusation of workers’ compensation fraud against a claimant is
not part of the normal workers’ compensation claims process.”).
In addition, in Vacanti, as to the Cartwright Act claim for restraint of trade, the court
held that claim would fall under the exception to the exclusivity rule because the allegation
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was not a normal part of the claims process as typically only an insurer and insured are
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involved in the claims process and a conspiracy to influence falls outside the exclusivity
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provision. Id. at 824. It also stated that RICO violations always fall under the exception.
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Id. at 826.
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In this case, the question is whether the rescission of Lizzeth’s surgery due to
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transportation costs, even though her counsel indicated he would pay for them, “falls
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outside of the risks encompassed within the compensation bargain.” Plaintiffs’ allegations
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concern Defendant’s cancellation of a previously certified and approved surgery by
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Defendant due to transportation costs. According to the complaint, Defendant approved
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the medical treatment but would not authorize the surgery in Los Angeles because it was
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not “within a reasonable geographic location.” (Dkt. No. 1, Compl. ¶¶ 19-21.) The reasons
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for Defendant’s cancelling the surgery become questionable because Lizzeth’s counsel
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agreed to pay for the transportation expenses. However, despite the tragic death of Lizzeth,
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the gravamen of Plaintiffs’ causes of action for wrongful death and willful misconduct
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concern decisions relating to the form, location and timing of medical treatment that
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Lizzeth would receive. Based on California caselaw, the Court concludes that these
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decisions are ones that involve a “risk reasonably encompassed within the compensation
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bargain.” See Vacanti, 24 Cal. 4th at 820-21; see Nelson v. American Casualty Co. of
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Reading Pa., No. CV 08-1943 SJO(Ex), 2008 WL 11338483, at *1, 3 (C.D. Cal. June 2,
2008) (claim that defendant insurer wrongfully delayed authorization to pay for liver
transplant surgery causing death of the insured was barred by the exclusivity provision of
the WCA). Thus, Plaintiffs’ claims are barred as they fall within the exclusivity provision
of the WCA.
Next, Plaintiffs argue that the exclusivity provision does not apply to an
independent/third party adjuster and primarily cite to the dissent’s reasoning in Marsh, 49
Cal. 3d at 8. However, their argument is foreclosed by the majority opinion in Marsh.
In Marsh, the plaintiff argued that an independent claims administrator is “any
person other than the employer” under Labor Code section 3852 and therefore, her claims
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fell outside the exclusive remedy provision of the WCA relying on the reasoning in Dixon
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v. Claims Admin. Servs., Inc., 178 Cal. App. 3d 1184 (1986). The California Supreme
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Court in Marsh disagreed and rejected the holding in Dixon where the court of appeals held
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that a civil action may not be maintained against an independent claims administrators for
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refusal to pay compensation benefits as they are not considered “employers” as defined by
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the WCA but considered “any person[s] other than the employer.” Id. at 10. In Marsh, the
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court rejected Dixon’s literal meaning of “employer” under sections 3850 and 3852 and
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held that claims against “independent insurance claims administrators and adjusters hired
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by their self-insured employers that unreasonably delay or refuse to pay compensation
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benefits” fall within the exclusive remedy provision of the WCA. Id.
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Here, the complaint does not allege whether Esis is an insurance adjuster or a claims
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administrator. In opposition, Plaintiffs claim that Esis is an independent insurance adjuster
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while Defendant described itself as a claims administrator. Notwithstanding the absence
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of any allegation as to Esis’s role, whether it was an insurance adjuster or claims
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administrator, its act of cancelling the surgery due to the costs of transportation falls within
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the exclusivity provision of the WCA. Accordingly, the Court GRANTS Defendant’s
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motion to dismiss the complaint as barred by the exclusive remedy provision of the WCA.
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C.
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California Labor Code section 4610.3(a)
Defendant also argues that Plaintiffs’ causes of action based on California Labor
Code section 4610.3(a) fail because it does not apply to their claim. Plaintiffs assert they
have sufficiently alleged a violation of Labor Code section 4610.3(a) because by
implication, if she was scheduled for surgery on July 29, 2016, she would have already
undergone “pre-operative diagnostics and treatment.” Alternatively, if the Court disagrees,
they seek leave of Court to amend the complaint to include additional facts that treatment
had already begun when Defendant cancelled the surgery.
Section 4610.3(a) states that,
an employer that authorizes medical treatment shall not rescind or modify
that authorization after the medical treatment has been provided based on
that authorization for any reason, including, but not limited to, the
employer's subsequent determination that the physician who treated the
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employee was not eligible to treat that injured employee. If the authorized
medical treatment consists of a series of treatments or services, the employer
may rescind or modify the authorization only for the treatments or services
that have not already been provided.
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Cal. Lab. Code § 4610.3(a).
The complaint alleges that on April 8, 2016, Lizzeth’s neurosurgeon requested
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authorization for surgery, hospitalization and treatment, and on July 15, 2016, Lizzeth
was notified that the request was certified and approved. (Dkt. No. 1, Compl. ¶¶ 17, 19.)
Between July 15, 2016 and July 29, 2016, Defendant unilaterally canceled the surgery set
for July 29, 2016. (Id. ¶¶ 20-21.) The complaint does not allege that medical treatment
was provided prior to Defendant’s cancellation of the surgery. Therefore, Plaintiffs fail
to state a claim under Labor Code section 4610.3(a), and the Court also GRANTS
Defendant’s motion to dismiss on this ground.
D.
In the event the Court grants Defendant’s motion to dismiss, Plaintiffs seek leave
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of court to amend the complaint to add a cause of action for intentional infliction of
emotional distress and to add factual allegations that medical treatment was provided
prior to Defendant’s cancellation of the surgery in violation of Labor Code section
4610.3(a). Defendant objects.
As to whether there has been a violation of Labor Code section 4610.3(a), because
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Plaintiffs can cure the deficiencies in the complaint, Plaintiffs are granted leave to file a
first amended complaint.3 See De Soto, 957 F.2d at 658.
As to Plaintiffs’ request to add a claim for intentional infliction of emotional
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Leave to Amend
distress, they fail to explain why leave to amend should be granted. In its reply,
Defendant argues that Plaintiffs seek to include a cause of action for intentional infliction
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The parties have not addressed whether an independent cause of action under Labor Code section
4610.3(a) may be maintained despite the exclusivity provision of the WCA.
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of emotional distress in order to allege extreme and outrageous conduct so that the
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exception to the exclusivity provision applies. But Defendant contends that motive is not
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relevant to the determination of exclusivity. Because Defendant has raised the issue, the
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Court addresses Plaintiffs’ request.
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Claims are barred under the exclusive remedy provision where the alleged acts are
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part of a normal workers’ compensation claims process or where the motive behind the
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alleged acts does not violate a “fundamental policy of this state.” Vacanti, 24 Cal. 4th at
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812. While the parties raised the issue whether the alleged acts are part of the normal
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claims process, Plaintiff did not challenge Defendant’s motion on whether the motive
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element violates a fundamental public policy. As explained in Vacanti, “any inquiry into
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an employer’s motivation is undertaken not to determine whether the employer
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intentionally or knowingly injured the employee, but rather to ascertain whether the
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employer’s conduct violated public policy and therefore fell outside the compensation
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bargain.” Id. at 823 (quoting Fermino v. Fedco, Inc., 7 Cal. 4th 701, 714-15 (1994)).
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This exception to “quite limited.” Id. (no exclusivity bar on claims for disability
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discrimination, wrongful termination in violation of public policy, and whistleblower
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claim). Because Plaintiffs could plausibly allege facts that the motive behind the alleged
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act is a violation of public policy, the Court GRANTS Plaintiffs leave to add a claim for
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intentional infliction of emotional distress. Accordingly, the Court GRANT Plaintiffs’
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request seeking leave amend the complaint.
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Conclusion
Based on the above, the Court GRANTS Defendant’s motion to dismiss with leave
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to amend. Plaintiffs shall file a first amended complaint on or before July 6, 2018.
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The hearing date set for June 22, 2018 shall be vacated.
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Dated: July 10, 2018
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