Brooks v. HSHS St. Elizabeth's Hospital et al
Filing
178
ORDER: The 156 Motion for Summary Judgment filed by St. Elizabeth's Hospital of the Hospital Sisters of the Third Order of St. Francis, Lindsay O'Neil, RN, and HSHS Medical Group is GRANTED in part and DENIED in part. The claims of alleged negligence relating to Dr. Donald Crouch are DISMISSED with prejudice. The 154 Motion for Summary Judgment filed by the United States is DENIED. Signed by Chief Judge Nancy J. Rosenstengel on 1/19/2020. (mlp)
Case 3:18-cv-00563-NJR Document 178 Filed 01/19/21 Page 1 of 27 Page ID #2099
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF ILLINOIS
MONIQUE BROOKS,
as Independent Administrator of the
Estate of Roxanne Bradford,
Plaintiff,
v.
Case No. 3:18-CV-563-NJR
HSHS MEDICAL GROUP, INC.,
LINDSAY R. O’NEIL,
UNITED STATES OF AMERICA,
JANE DOE, RN, and ST. ELIZABETH’S
HOSPITAL OF THE HOSPITAL
SISTERS OF THE THIRD ORDER OF
ST. FRANCIS,
Defendants.
MEMORANDUM AND ORDER
ROSENSTENGEL, Chief Judge:
On February 12, 2015, Roxanne Bradford went to the Emergency Room at
St. Elizabeth’s Hospital for abdominal pain. Doctors initially suspected a perforated
bowel, then thickened stool instead. Four days later, Bradford became unresponsive after
suffering a cardiac arrest. Although she was resuscitated, Bradford did not regain
consciousness and subsequently required the use of a ventilator. After spending several
months at a nursing home facility, Bradford died on January 14, 2016.
On January 10, 2018, Bradford’s sister, Monique Brooks, filed a wrongful death
lawsuit in the Circuit Court of St. Clair County, Illinois (Doc. 1-1). The United States of
America subsequently removed the case to federal court under the Federal Tort Claims
Act. The case is now proceeding on the Fourth Amended Complaint (Doc. 89), which
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asserts claims under the Illinois Wrongful Death Act and the Illinois Survival Statute
against Defendants St. Elizabeth’s Hospital of the Hospital Sisters of the Third Order of
St. Francis (“St. Elizabeth’s Hospital”), Lindsay O’Neil, RN, and HSHS Medical Group
(collectively, “the St. Elizabeth’s Defendants”), as well as the United States and Jane Doe.
The United States has moved for summary judgment on the basis of sovereign
immunity (Doc. 154). St. Elizabeth’s Hospital, Lindsay O’Neil, and HSHS Medical Group
(“St. Elizabeth’s Defendants”) have moved for partial summary judgment (Doc. 156). For
the reasons set forth below, the St. Elizabeth’s Defendants’ motion is granted in part and
denied in part. The motion filed by the United States is denied.
FACTUAL BACKGROUND
The following facts are undisputed for the purposes of summary judgment. On
February 12, 2015, Roxanne Bradford, who was 58 years old, was admitted to St.
Elizabeth’s Hospital for abdominal pain (Doc. 154-1 at p. 2). During her initial evaluation,
Bradford was given a CT scan, which the radiologist interpreted as suggestive of a
perforated bowel (Id. at p. 17). A surgeon, Dr. Donald Crouch, then reviewed the CT scan
and concluded that Bradford had severe inspissated, or thickened, stool as opposed to a
perforation and planned for her to receive gentle laxatives with close monitoring for
progression warranting operative intervention (Id. at p. 9). The inpatient family medicine
physicians assigned to Bradford further supplemented this treatment with IV fluids and
antibiotics, as well as medications for pain and nausea (Id. at p. 5, 19). These doctors
included Dr. Anne Nash, an employee of SIHF Healthcare, and Dr. Vincent Tichenor, a
member of the United States Air Force in the second year of a family practice residency
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program at Saint Louis University (Id.).
Plaintiff Monique Brooks, Bradford’s sister, visited Bradford at the hospital three
days later, on February 15, 2015 (Doc. 154-2 at p. 14). At that point, Bradford was able to
have a conversation with Brooks, though her breathing was labored (Id. at p. 15). The next
day, however, a “code” was called because Bradford became unresponsive while being
transferred to a chair by nursing staff (Doc. 169-6 at p. 8). After being resuscitated,
Bradford was placed on a ventilator and admitted to the intensive care unit, remaining
unresponsive to anything but painful stimuli (Id. at pp. 1, 8). Staff at St. Elizabeth’s called
Bradford’s mother and said there was an emergency but gave no details (Id. at pp. 16-17).
Brooks testified that, when she arrived at the hospital, she was not expecting to find her
sister unresponsive and connected to a ventilator and multiple tubes (Id. at p. 19). When
Brooks and her mother tried to get answers, no one was able to explain what happened
(Id. at p. 20). Eventually they were told that Bradford’s heart gave out and she went into
cardiac arrest (Id. at p. 21). A neurologist further told them that Bradford had diffuse
anoxia to her brain and that she was not going to recover (Id. at p. 22).
On February 26, 2015, Bradford was transferred from the ICU at St. Elizabeth’s
Hospital to Saint Louis University Hospital; she then spent several months at a nursing
home facility (Doc. 154-10 at pp. 11-14). On September 24, 2015, the probate court
formally adjudicated Bradford disabled and appointed Brooks the “Guardian of the
person of the disabled adult person, Roxanne Bradford.” (Doc. 169-10). Brooks testified
that she observed Bradford grimacing when being turned or cleaned, and would
sometimes see a tear coming out of her eye (Doc. 169-12 at p. 2). Bradford could make eye
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contact, blink, and occasionally give a crooked smile, but she could not squeeze her hand,
nod her head, or respond to questions (Id.).
On December 25, 2015, Bradford was admitted to Memorial Hospital in Belleville,
Illinois, where she was noted to be ill-appearing, lethargic, non-communicative, and nonresponsive except to verbal, tactile, or painful stimulus (Doc. 169-9). Bradford died on
January 14, 2016 (Doc. 169-11).
Brooks, who has a bachelor’s degree in nursing and a master’s degree in public
health, testified that she first contacted an attorney in the fall of 2015 because she wanted
to know what happened to her sister; one day she was talking and interacting with her
sister at St. Elizabeth’s, and the next she was on a ventilator (Doc. 154-2 at pp. 4-5;
Doc. 169-13 at pp. 2, 4). Brooks explained that “[m]y family wanted to know what
happened to my sister, and that was never told to us what exactly happened, why it had
happened.” (Id. at p. 4). Brooks denied wanting to find out who “was responsible” for her
sister’s heart giving out (Doc. 154-3 at p. 12).
PROCEDURAL HISTORY
On January 10, 2018, Brooks filed her initial complaint in this matter as
Independent Administrator of the Estate of Roxanne Bradford in the Circuit Court of St.
Clair County, Illinois (Doc. 1-1). The complaint stated, “this is a medical negligence
wrongful death action pursuant to 740 ILCS 180/1 and 180/2 to recover damages for the
wrongful death suffered by Roxanne Bradford . . . .” (Doc. 1-1 at ¶ 1). It did not specifically
reference the Illinois Survival Act. St. Elizabeth’s Hospital, HSHS Medical Group, Inc.,
Saint Louis University, SIHF Healthcare, Anne Nash, M.D., Vincent Tichenor, M.D.,
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Lindsay R. O’Neil, RN, and Jane Doe, RN, were named as defendants.
The United States removed the case to this district court pursuant to the Federal
Tort Claims Act, 28 U.S.C. § 2679, on March 12, 2018 (Doc. 1). In its Notice of Removal,
the United States certified that Defendant Dr. Tichenor was an employee of the United
States Air Force at the time of the events referenced in the complaint (Doc. 1-2). On May
10, 2018, the United States certified that Dr. Nash and SIHF were acting within the scope
of their employment as deemed employees of the United States at all relevant times
(Doc. 13). As such, they were eligible for Federal Tort Claims Act coverage pursuant to
the Federally Supported Health Centers Assistance Act (FSHCAA) (Id.). Accordingly, the
Court permitted the United States to substitute itself as a defendant for Dr. Tichenor, Dr.
Nash, and SIHF (Docs. 12, 18).
On March 16, 2018, Brooks filed an SF-95 form with the U.S. Department of Health
and Human Services (HHS) believing—based upon the information available to her at
the time—that it was the appropriate agency to put on notice regarding the claims against
Dr. Tichenor, Dr. Nash, and SIHF Healthcare (Doc. 170-8).
On May 25, 2018, the United States moved for summary judgment pursuant to
28 U.S.C. § 2675(a) arguing Brooks failed to exhaust administrative remedies prior to
filing suit (Doc. 17). With regard to Dr. Nash and SIHF, the United States noted that
Brooks did not file an administrative claim with HHS until March 16, 2018, and that the
claim had yet to be decided. The United States also asserted that Brooks had yet to file an
administrative claim with the Air Force as to Dr. Tichenor. In response to that motion for
summary judgment, Brooks informed the Court that her administrative remedies would
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be exhausted on or before September 16, 2018 (Doc. 19), and at that point, the motion
would become moot (Id.). Rather than dismiss Brooks’s claims, the Court stayed its ruling
on the motion for summary judgment filed by the United States to provide Brooks with
the required time to exhaust her administrative claims with the appropriate federal
agencies (Doc. 24). On September 17, 2018, Brooks informed the Court the time for
resolution of her administrative claim had expired insofar as HHS has failed to make final
disposition of the claim within six months after the claim was presented. Accordingly,
her administrative remedies were exhausted. 1
Brooks subsequently moved to amend her complaint several times. It was not until
February 13, 2019, that Brooks moved for leave to amend her complaint a third time to
include claims under the Illinois Survival Act (Doc. 62). She filed the Third Amended
Complaint on May 23, 2019 (Doc. 74). On July 15, 2019, Brooks filed the Fourth Amended
Complaint alleging, for the first time, that Dr. Donald Crouch was an actual and/or
apparent agent of St. Elizabeth’s Hospital and HSHS Medical Group and that Dr. Crouch
negligently rendered medical treatment to Bradford (Doc. 89).
LEGAL STANDARD
Summary judgment is appropriate where “the pleadings, depositions, answers to
interrogatories, and admissions on file, together with the affidavits, if any, show that
On June 27, 2018, Brooks’s counsel requested that HHS transfer a copy of the original Form 95 to the
Department of the Air Force as to Dr. Tichenor pursuant to 28 C.F.R. § 14.2(b)(1) (“When a claim is
presented to [the incorrect agency], that agency shall transfer it forthwith to the appropriate agency, if the
proper agency can be identified from the claim, and advise the claimant of the transfer.”) (see Doc. 27). On
July 10, 2018, HHS stated it was unaware of Vincent G. Tichenor’s employment status and requested that
Brooks’s counsel transfer a copy of the claim to the appropriate agency. On August 7, 2018, counsel sent
the original Form 95 to the United States Air Force. These dates, ultimately, are inconsequential for the
purposes of the Court’s analysis.
1
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there is no genuine issue as to any material fact and that the moving party is entitled to a
judgment as a matter of law.” FED. R. CIV. P. 56(c); Celotex Corp. v. Catrett, 477 U.S. 317,
322 (1986). The moving party bears the burden of establishing that no material facts are
in genuine dispute; any doubt as to the existence of a genuine issue must be resolved
against the moving party. Adickes v. S.H. Kress & Co., 398 U.S. 144, 160 (1970); Lawrence v.
Kenosha Cty., 391 F.3d 837, 841 (7th Cir. 2004).
DISCUSSION
I.
ST. ELIZABETH’S DEFENDANTS’ MOTION FOR PARTIAL SUMMARY JUDGMENT
A.
Statute of Limitations
1.
The Illinois Survival Act
The St. Elizabeth’s Defendants first argue that Brooks’s claims brought pursuant
to the Illinois Survival Act are barred by a two-year statute of limitations. Bradford died
on January 14, 2016, and the initial complaint in this matter was filed on January 10, 2018.
That first complaint, however, did not assert a claim under the Illinois Survival Act;
neither did her first or second amended complaint. It was not until Brooks moved to
amend her complaint a third time, on February 13, 2019, that she first introduced a claim
under the Illinois Survival Act (see Doc. 62).
Illinois law imposes a two-year statute of limitations with respect to actions arising
out of patient care. 735 ILL. COMP. STAT. § 5/13-212(a). The limitations period begins to
run when the party knows or, through the use of reasonable diligence should have
known, both that an injury or death occurred and that it was wrongfully caused. Id.;
Moon, 67 N.E.3d at 230; Heredia v. O’Brien, 33 N.E.3d 807, 814 (Ill. App. Ct. 2015).
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“The term ‘wrongfully caused’ does not mean knowledge of a specific defendant’s
negligent conduct or knowledge of the existence of a cause of action.” Id. at 230. Rather,
“the term refers to that point in time when the injured person becomes possessed of
sufficient information concerning his injury and its cause to put a reasonable person on
inquiry to determine whether actionable conduct is involved.” Id. at 230-31. “The
question of when a party knew or reasonably should have known both of an injury and
its wrongful cause is one of fact, unless the facts are undisputed and only one conclusion
may be drawn from them.” Id.
Section 13–209(a) of the Illinois Administrative Code addresses survival actions
and provides: “[i]f a person entitled to bring an action dies before the expiration of the
time limited for the commencement thereof, and the cause of action survives: . . . an action
may be commenced by his or her representative before the expiration of that time, or
within one year from his or her death whichever date is the later.” 735 ILL. COMP. STAT.
§ 5/13–209(a). The Illinois Supreme Court has held that the statute of limitations period
in a Survival Act claim is triggered on the date that the decedent discovers the injury.
Moon v. Rhode, 67 N.E.3d 220, 230 (Ill. 2016). This is because a survival action allows for
recovery of damages for injury sustained by the deceased up to the time of death. Id. The
representative steps into the shoes of the decedent and takes the rights of the decedent.
Id. Thus, if the decedent would have been time-barred from pursuing a cause of action if
he or she had survived, the representative is also time-barred. Id.
Section 13-211(c) then provides: “If the person entitled to bring an action, specified
in Sections 13-201 through 13-210 of this Code, at the time the cause of action accrued, is
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. . . under a legal disability, then he or she may bring the action within 2 years after . . .
the disability is removed.” 735 ILL. COMP. STAT. § 5/13-211(c). If the person “is not under
a legal disability at the time the cause of action accrues, but becomes under a legal
disability before the period of limitations otherwise runs, the period of limitations is
stayed until the disability is removed.” 735 ILL. COMP. STAT. § 5/13-211(d). The individual
“need not be adjudicated disabled to have a legal disability.” Mickiewicz v. Generations at
Regency, LLC, 2020 WL 364145, *2 (Ill. App. Ct. Jan. 22, 2020) (quoting Parks v. Kownacki,
737 N.E.2d 287 (Ill. 2000)). Rather, “it is only necessary for the record to contain sufficient
allegations of fact to prove legal disability.” Id. (citing In re Doe, 703 N.E.2d 413 (Ill. App.
Ct. 1998)). The individual’s disability terminates upon his or her death. Id. at *3. Under
the plain language of Section 13-209(a)(1), the decedent’s representative would then have
two years from the death to commence an action. Id.
Here, the record is clear that Bradford became disabled immediately after the
“code” event on February 16, 2015, when she was placed on a ventilator and remained
unresponsive to anything but painful stimuli. That disability was not removed until her
death on January 14, 2016. Thus, under Illinois law, as Bradford’s representative, Brooks
had two years from the date of her death to bring a survival action. Brooks asserts she
did just that when she filed a complaint on January 10, 2018.
Despite the nature of Bradford’s injury, the St. Elizabeth’s Defendants argue that
Brooks’s Survival Act claim actually accrued at the time of Bradford’s injury on February
16, 2015, meaning the statute of limitations for such a claim expired on February 16, 2017.
Given the fact that Bradford was on a ventilator and unresponsive to all but painful
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stimuli, however, the Court finds there is, at the very least, a question of fact as to what
Bradford did or did not know about her injury. See Moon, 67 N.E. 3d at 230 (“In many, if
not most, cases the time at which an injured party knows or reasonably should have
known both of his injury and that it was wrongfully caused will be a disputed question
to be resolved by the finder of fact.”).
Alternatively, and in spite of the purpose of the Survival Act—to allow the
representative to step into the shoes of the decedent—the St. Elizabeth’s Defendants
argue that the date Brooks began contacting law firms to review Bradford’s medical
records should be used as the accrual date. Because Brooks began contacting law firms in
the fall of 2015, they argue, the statute of limitations expired in the fall of 2017, well before
the filing of the initial complaint on January 10, 2018. This argument is unsupported by
Illinois law, however, which clearly provides that it is the date the decedent learns of the
injury that triggers the limitations period. See id.
Nevertheless, even though Brooks filed her initial complaint before the statute of
limitations for a survival action expired, as the St. Elizabeth’s Defendants point out, the
complaint did not explicitly mention that it was being filed pursuant to the Survival Act.
Indeed, the first mention of the Survival Act came in the Third Amended Complaint,
which was filed on May 23, 2019 (Doc. 74). Thus, Brooks’s survival claims are still timebarred unless they relate back to the filing of the initial complaint.
“There is no meaningful distinction . . . between Illinois law on relation back and
Federal Rule of Civil Procedure 15(c)(1)(B).” Hahn v. Walsh, 762 F.3d 617, 635 n.37 (7th
Cir. 2014). “Under Illinois law as under federal law, an amendment relates back when it
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arises out of the same transaction or occurrence set up in the original pleading.” Cleary v.
Philip Morris Inc., 656 F.3d 511, 515 (7th Cir. 2011). Even “significant” changes to a
complaint can relate back if the defendant “had fair notice of the substance of the new
allegations from the outset.” Supreme Auto Transp., LLC v. Arcelor Mittal USA, Inc., 902
F.3d 735, 741 (7th Cir. 2018) (citing Knudsen v. Liberty Mut. Ins. Co., 411 F.3d 805, 806 (7th
Cir. 2005)). Fair notice is provided when the original complaint gave the defendant all the
information necessary to prepare a defense to the claim subsequently asserted in the
amended complaint. Schorsch v. Hewlett-Packard Co., 417 F.3d 748, 751 (7th Cir. 2005)
(citing Boatmen’s National Bank of Belleville v. Direct Lines, Inc., 656 N.E.2d 1101, 1107 (Ill.
1995)). The Illinois Supreme Court has adopted the “sufficiently close relationship test,”
pursuant to which, if “there is a ‘sufficiently close relationship’ between the original and
new claims, both in temporal proximity and the general character of sets of factual
allegations and where the facts are all part of the events leading up to the originally
alleged injury,” relation back will apply. Kleronomos v. Aim Transfer & Storage Inc., No. 19
C 01844, 2020 WL 5365976, at *3 (N.D. Ill. Sept. 8, 2020).
The St. Elizabeth’s Defendants argue Brooks’s Wrongful Death Act claims and
Survival Act claims, by their very nature, focus on different injuries to different parties.
While Brooks’s Wrongful Death Act claims focus on Bradford’s death, her Survival Act
claims focus on the injuries experienced during the course of Bradford’s lifetime. Thus,
there is not a sufficiently close relationship between the original and new claims, either
in time or subject matter. In response, Brooks argues that the original complaint sets out
a Survival Act claim, without naming it as such, when it clearly alleges that Bradford
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suffered injury as a result of the negligence of Defendants’ and Defendants’ agents,
servants, and employees. And even if the original complaint is insufficient, the Third
Amended Complaint relates back because it is based on the same core of facts as alleged
in the original complaint.
The Court agrees with Brooks. The original complaint stated that Bradford entered
St. Elizabeth’s Hospital on February 12, 2015, and that Defendants and their respective
agents, servants, and employees treated Bradford as their patient (Doc. 1-1 at ¶ 13). Then,
on February 16, 2015, Bradford “developed a change in circumstances including
symptoms of restlessness, confusion and respiratory difficulty, and thereafter became
nonresponsive; that plaintiff suffered cardiac arrest and a code was called at 1608; that at
1610 an inoperable AED was applied; that at 1617 an operating AED was applied at which
point Roxanne Bradford, decedent, was in atrial asystole; that at 1627 Roxanne Bradford,
decedent, was in atrial systole.” (Id. at ¶ 14). Furthermore, as a result of these events,
Bradford suffered hypoxic ischemic brain injury involving both cerebral hemispheres
and later died on January 14, 2016 (Id. at ¶ 15).
If that were not enough, the complaint goes on to allege, inter alia, that Defendants
negligently failed to monitor, assess, and diagnose Bradford’s change in circumstances,
failed to timely resuscitate her, and failed to maintain and provide operable life-saving
equipment, and that, as a result, Bradford suffered damage, including but not limited to
cardiac arrest, hypoxic ischemic brain damage, conscious pain and suffering prior to
death (Id. at ¶¶ 20-21). Bradford also was required to undergo necessary medical,
therapeutic, hospital, surgical, and skilled nursing care and treatment and became
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obligated to pay for such treatment (Id. at ¶ 22).
These factual allegations clearly gave Defendants fair notice of Brooks’s Survival
Act claims and all information necessary to prepare a defense to the claims subsequently
asserted in the Third Amended Complaint. Any argument that a wrongful death claim
and a survival claim are unrelated because they focus on different injuries to different
parties is unavailing. The original complaint more than sufficiently laid out the facts that
form the basis of Brooks’s Survival Act claims. Therefore, the Third Amended Complaint
relates back to the original complaint, which was timely filed. Defendants’ motion for
summary judgment is denied on these grounds.
2.
Claims Against Dr. Crouch
The St. Elizabeth’s Defendants next argue that Brooks’s claims against Dr. Donald
Crouch are barred by the statute of limitations and the statute of repose. The first time
Brooks asserted any negligence by Dr. Crouch—and that Dr. Crouch was an agent of St.
Elizabeth’s and HSHS Medical Group—was when she filed her Fourth Amended
Complaint on July 15, 2019. The treatment rendered by Dr. Crouch, however, took place
on February 12 and 13, 2015. Thus, they argue, the four-year Illinois statute of repose
expired, at the very latest, in February 2019—five months before Brooks first added her
allegations involving Dr. Crouch on July 15, 2019 (Doc. 89).
The St. Elizabeth’s Defendants further contend the claims involving Dr. Crouch in
the Fourth Amended Complaint cannot relate back to the original complaint because they
were not part of the same conduct, transaction, and occurrence set forth in the initial
complaint. While the original complaint focused solely on the code event of February 16,
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2015, the Fourth Amended Complaint asserted an entirely new theory of liability: that
Dr. Crouch was negligent with regard to his general surgery consult to Bradford on
February 12 and 13, 2015. Because Brooks’s initial claims did not provide Defendants with
sufficient notice of her subsequent claim involving Dr. Crouch, the claims in the Fourth
Amended Complaint cannot relate back.
Brooks, in response, argues the original complaint should not be read so
mechanically. Referencing Rule 8 of the Federal Rules of Civil Procedure, Brooks asserts
the original complaint put Defendants on notice of her claim against Dr. Crouch. And
even if the original complaint is deficient, the Fourth Amended Complaint relates back
to the initial complaint.
In the initial complaint, Brooks alleged that on or about February 12, 2015,
Bradford was admitted to the hospital and that defendants, through their agents,
servants, and employees, undertook to treat Bradford as their patient through February
26, 2015 (Doc. 169-1 at ¶ 13). The remainder of the complaint, however, focuses on the
events of February 16, 2015. Dr. Crouch is never mentioned by name, and Bradford’s
treatment prior to February 16, 2015, is not discussed. Even liberally construing the initial
complaint, it insufficiently describes any allegations involving Dr. Crouch. Thus, for
Brooks’s claims in the Fourth Amended Complaint to be timely, they must relate back to
the initial complaint.
As previously discussed, Illinois adheres to the “sufficiently close relationship”
test, whereby “new factual additions will be considered to relate back where there is a
‘sufficiently close relationship’ between the original and new claims, both in temporal
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proximity and in the general character of the sets of factual allegations and where the
facts are all part of the events leading up to the originally alleged injury.” Porter v. Decatur
Mem’l Hosp., 882 N.E.2d 583, 592 (Ill. 2008). But where the original and amended facts are
separated by a significant lapse of time, or if the two sets of facts are different in character
or led to different injuries, then the amendment is considered distinct and will not relate
back. Simpkins v. HSHS Med. Grp., Inc., 93 N.E.3d 542, 550 (Ill. App. Ct. 2017). “The
criterion of relation back is whether the original complaint gave the defendant enough
notice of the nature and scope of the plaintiff’s claim that he shouldn’t have been
surprised by the amplification of the allegations of the original complaint in the amended
one.” Neita v. City of Chicago, 830 F.3d 494, 498 (7th Cir. 2016) (quoting Santamarina v. Sears,
Roebuck & Co., 466 F.3d 570, 573 (7th Cir. 2006)). To determine whether the defendant had
such notice, courts should consider the full record, including depositions and exhibits.
Simpkins, 93 N.E.3d at 550.
Here, the record does not support the relation back of Brooks’s claims with regard
to Dr. Crouch. Although the original complaint does state that Bradford was admitted on
February 12, 2015, and that Defendants and their employees and agents cared for her, the
remainder of the complaint concerns Defendants’ response to Bradford’s cardiac arrest
and code event on February 16, 2015. The Court agrees with the St. Elizabeth’s
Defendants that Brooks’s claim concerning a surgical consult performed by Dr. Crouch
three days prior to Bradford’s cardiac arrest and code is not part of the same conduct,
transaction, and occurrence as that set forth in her initial complaint. Because Brooks’s
claims regarding Dr. Crouch’s conduct, which occurred on February 12 and 13, 2015, was
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not filed until July 15, 2019, and it does not relate back to the original complaint, they are
barred by the statute of limitations and statute of repose. See 735 ILL. COMP. STAT. § 5/13212(a). Those claims will be dismissed. 2
B.
Actual and Apparent Agency
Defendants next argue summary judgment should be granted in favor of St.
Elizabeth’s Hospital and HSHS Medical Group because Brooks is unable to establish a
claim of actual or apparent agency regarding treatment rendered by Dr. Tichenor and Dr.
Nash. Brooks does not dispute the lack of actual agency, so the Court’s analysis focuses
solely on the doctors’ apparent agency.
“In Illinois, a hospital may be liable vicariously for the medical or professional
negligence of a non-employee treating physician if there is an apparent agency
relationship between the hospital and the treating physician.” Rusinowski v. Vill. of
Hillside, 19 F. Supp. 3d 798, 811 (N.D. Ill. 2014) (citing Gilbert v. Sycamore Mun. Hosp., 622
N.E.2d 788, 794 (Ill. 1993)). Under this doctrine, unless a patient knew or should have
known that the physician providing treatment was an independent contractor, the
hospital may be held liable for the negligent acts of that physician. Williams v. Tissier, 2019
WL 6905935, 2019 IL App (5th) 180046, ¶ 30, appeal denied, 144 N.E.3d 1209 (Ill. 2020).
In Gilbert, the Illinois Supreme Court established three elements necessary to
establish a hospital’s vicarious liability under the doctrine of apparent agency: (1) the
hospital, or its agent, acted in a manner that would lead a reasonable person to conclude
Because the claims involving Dr. Crouch are dismissed, the Court need not address Defendants’
argument that summary judgment should be entered in their favor with respect to Brooks’s claims
concerning any alleged acts and/or omissions on the part of Dr. Crouch for lack of expert testimony.
2
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that the individual who was alleged to be negligent was an employee or agent of the
hospital; (2) where the acts of the agent create the appearance of authority, the plaintiff
must also prove that the hospital had knowledge of and acquiesced in them; and (3) the
plaintiff acted in reliance upon the conduct of the hospital or its agent, consistent with
ordinary care and prudence. Gilbert, 622 N.E.2d at 795.
The first two elements require proof that the hospital “held itself out” in a manner
that would lead a reasonable person to believe the doctors were employees. Knighten v.
United States, No. 06 C 1318, 2008 WL 5244475, at *3 (N.D. Ill. Dec. 16, 2008) (citing Gilbert,
622 N.E.2d at 796). The hospital need not make an explicit representation that the doctors
worked there. Id. Rather, the element is satisfied if the hospital holds itself out as a
medical care provider and fails to inform the plaintiff that independent contractors
provide the medical services. Id.
The “justifiable reliance” element may be satisfied if the plaintiff relied upon the
hospital itself to provide care, rather than a specific physician. Williams, 2019 WL 6905935,
2019 IL App (5th) 180046 at ¶ 29. “Courts have recognized a significant distinction
between cases where the plaintiff is seeking care from the hospital itself and cases where
the plaintiff is merely looking to the hospital as a place where the plaintiff’s personal
physician provides care and treatment.” Id. (citing Gilbert, 622 N.E.2d at 796).
1. The St. Elizabeth’s Defendants’ Consent Form and the “Holding Out”
Elements
Illinois courts have held that executed consent forms disclosing that physicians are
not employees of the hospital are “almost conclusive” in determining whether a hospital
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should be held liable for the medical negligence of an independent contractor. Steele v.
Provena Hosps., 996 N.E.2d 711, 734 (Ill. App. Ct. 2013). “The existence of a signed consent
form containing a clear, concise, and unambiguous ‘independent contractor’ disclaimer
is an important fact to consider in evaluating the ‘holding out’ element, but it is not
dispositive.” Williams, 2019 WL 6905935, 2019 IL App (5th) 180046 at ¶ 33.
Here, the St. Elizabeth’s Defendants primarily rely on the consent form signed by
Roxanne Bradford when she was admitted to the hospital to demonstrate Bradford was
on notice that the medical professionals she would encounter were independent
contractors and not employees of the hospital.
Indeed, the two-page consent form signed by Bradford contained a bolded
provision on the first page stating: “physicians on the staff of this hospital, including
the attending physician(s), are not employees or agents of the hospital, but rather, are
independent contractors . . . .” A space for Bradford’s initials immediately after this
provision is blank (Doc. 157-9). The second page of the consent form contains two
additional provisions requiring the patient’s initials, one for “Personal Valuables” and
one for payment authorization (Id.). Bradford initialed these provisions and signed and
dated the signature line, which stated: “I have read the terms and conditions cited on
both pages 1 and 2 of the consent form. This form has been explained to me and I
understand its contents and significance.” (Id.). Defendants also note that Bradford
signed the identical consent form just two months prior. On that consent form, Bradford
initialed the independent contractor provision (Doc. 157-11).
In response, Brooks argues there is a genuine issue of material fact as to whether
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Bradford even read or acknowledged the specific independent contractor disclosure
language in the consent form, given that her initials are missing from that provision. And
even if she had read the provision, it is ambiguous.
In Williams, an Illinois appellate court found the exact same language in another
St. Elizabeth’s Hospital consent form to be insufficient to put the plaintiff on notice that
her physician was an independent contractor. In that instance, the wording above was
not bolded and was in a small font size. 3 Id. at ¶ 10. The Williams court also found that
the language itself—the exact same language present in the consent form signed by
Bradford—was not clear and concise, stating:
In the first paragraph of the St. Elizabeth’s form, the patient authorizes “my
physician” and “any other physicians who may attend me” to provide
treatment. The second paragraph contains the independent contractor
disclosure, stating that “attending physicians” are independent contractors
and are not employees and that “physicians on staff” are not employees of
the hospital. There is no reference to “my physician” in the second
paragraph. The second paragraph does not state that “my physician” is an
“attending physician” or a “physician on staff.” The document does not
expressly state that the patient’s personal physician was an independent
contractor. . . . [T]he St. Elizabeth’s Consent for Treatment form did not
notify the patient in clear, concise, and express language that the physicians
who were going to treat the plaintiff at St. Elizabeth’s were independent
contractors.
Id. at ¶ 41. The court also noted that, like here, the independent contractor clause was just
one of multiple provisions for the authorization for release of information, the liability
waiver for personal valuables, and the guarantee of account. These ambiguities, along
with other evidence including hospital signage, the location of the doctor’s office (in the
The Court is unable to determine what font size was used on the consent form signed by Bradford, but
it appears to be larger than the 8-point font used in Williams.
3
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hospital’s medical park), screenshots of the hospital’s website, and the plaintiff’s own
testimony that she researched the hospital’s services, led the court to conclude that
whether the St. Elizabeth’s disclosure provided meaningful notice to plaintiff that her
doctor was an independent contractor was a material issue of fact. Id. at ¶ 46.
In this case, the independent contractor disclosure contains the same language
disapproved of by the Illinois Court of Appeals. While one line of the language in
Bradford’s form was bolded, she also did not initial the provision. On this basis alone,
the Court finds there is a genuine issue of material fact as to whether Bradford was aware
that the physicians who treated her were not employees of St. Elizabeth’s Hospital or
HSHS Medical Group. Additionally, Brooks has submitted evidence that the St.
Elizabeth’s website states it “is fortunate to have excellent physicians, representing over
40 medical specialties, serving our patients throughout Southern Illinois.” (Doc. 169-25).
Dr. Tichenor and Dr. Nash wore scrubs or casual work attire indistinguishable from St.
Elizabeth’s employees (Doc. 159-15; Doc. 159-16). And St. Elizabeth’s supplied the doctors
with a St. Elizabeth’s identification badge with their name on it (Doc. 169-16).
Construing these facts in a light most favorable to Brooks, the Court finds that
there is a genuine issue of material fact as to whether St. Elizabeth’s held out Dr. Tichenor
and Dr. Nash as its apparent agents.
2. Justifiable Reliance
As discussed above, the “justifiable reliance” element of apparent agency may be
satisfied if the plaintiff relied upon the hospital itself to provide care, rather than a specific
physician. Williams, 2019 WL 6905935, 2019 IL App (5th) 180046 at ¶ 29. This element
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requires far less discussion, as it is undisputed that Bradford went to the Emergency
Room due to stomach pains and was admitted to the hospital. She did not go to St.
Elizabeth’s to see any particular doctor, and the evidence in the record indicates that
Bradford did not know Dr. Tichenor or Dr. Nash prior to her admission. Accordingly, the
Court finds that the justifiable reliance element is met.
Because Brooks has met the third element of the apparent agency test and there is
a genuine issue of material fact as to the first and second elements, the St. Elizabeth’s
Defendants are not entitled to summary judgment on the issue of apparent agency with
regard to Dr. Tichenor and Dr. Nash.
II.
UNITED STATES OF AMERICA’S MOTION FOR SUMMARY JUDGMENT
The United States moves for summary judgment on the basis of sovereign
immunity, arguing that Brooks’s administrative claims to HHS and the Air Force were
untimely and cannot be saved by the Westfall Act’s Savings Clause (Doc. 154).
Generally, the United States is entitled to sovereign immunity unless it has
expressly consented to suit. Federal Deposit Insurance Corp. v. Meyer, 510 U.S. 471, 475
(1994). The FTCA includes an express waiver of immunity, permitting suit against the
United States “for money damages . . . for injury or loss of property, or personal injury or
death caused by the negligent or wrongful act or omission of any employee of the
Government while acting within the scope of his office or employment.” 28 U.S.C.
§ 1346(b)(1). Under the Public Health Service Act (PHSA), as amended by the Federally
Supported Health Centers Assistance Act (FSHCAA), 42 U.S.C. § 233, the FTCA also
applies to federally supported health centers, their employees, and certain contractors—
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here, Dr. Nash and SIHF—who are deemed to be employees of the Public Health Service
(“PHS”) for the purpose of medical malpractice suits. 42 U.S.C. § 233(g)(1)(A). Once a
person is deemed an employee of PHS, the FTCA provides the exclusive remedy for
alleged malpractice. 42 U.S.C. § 233(a); see also Hui v. Castaneda, 559 U.S. 799,809 (2010).
A mandatory condition of the sovereign immunity waiver within the FTCA,
however, is that a plaintiff must first present her claim in writing to the appropriate
federal agency within two years after her claim accrues. 28 U.S.C. §§ 2401(b) and 2675(a).
A claim under the FTCA accrues when “(A) an individual actually knows enough to tip
him off that a governmental act (or omission) may have caused his injury; or (B) a
reasonable person in the individual’s position would have known enough to prompt a
deeper inquiry.” See Blanche v. United States, 8l I F.3d 953, 958 (7th Cir. 2016).
Here, the United States argues that Brooks’s claims accrued on the date of
Bradford’s death, January 16, 2016, 4 and, thus, her administrative claims presented to
HHS on March 16, 2018, and to the Air Force on August 7, 2018, were untimely.
As further noted by the United States, however, Congress has carved out an
exception to the FTCA’s two-year statute of limitations for presenting an administrative
claim to the appropriate agency. “[T]he Westfall Act—Congress’s 1988 amendment to the
FTCA—established a procedure by which an FTCA action that is filed in the wrong forum
(such as the state court here) will be removed by the Attorney General to federal district
court, at which point the United States is substituted as defendant, the case is dismissed
The United States also suggests the Court could find the accrual date to be the date of Bradford’s “code”
event but ultimately concedes the claims accrued on the date of Bradford’s death.
4
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for failure to exhaust administrative remedies, and the plaintiff gets a second chance to
file the FTCA claim with the appropriate federal agency.” Huertero v. United States, 601 F.
App’x 169, 171 (3d Cir. 2015) (citing 28 U.S.C. § 2679(d)). Under the Westfall Act’s Savings
Clause, a plaintiff’s FTCA claim will not be time-barred as long as it: (1) would have been
timely had it been filed on the date that the wrongly filed action was brought; and (2) is
presented to the correct federal agency within 60 days of the federal district court’s
dismissal of the wrongly filed action. Id.
Here, because Brooks filed her state court action within two years of Bradford’s
death, albeit in the wrong court, the first part of the test is satisfied. It is the second part
of the test, the United States argues, that fails. The United States argues the Westfall Act’s
Savings Clause is inapplicable in this case because it only applies to cases that are
dismissed pursuant to 28 U.S.C. § 2675(a) for failure to administratively exhaust. But here,
the Court did not dismiss the case. Instead, the Court stayed its ruling on the motion for
summary judgment on the issue of exhaustion because Brooks was in the process of
exhausting her administrative claims (Doc. 17). Then, once her claims were exhausted,
the Court permitted Brooks to amend the complaint to add her FTCA claims (see Docs.
24, 33). Accordingly, under its plain language, the Savings Clause does not apply in this
case and cannot excuse Brooks’s untimely administrative claims. The United States
further states that the Court “is bound by this result.”
To understand why the Court did not “dismiss” Brooks’s wrongly filed claims
requires a brief discussion of the procedural status at that time. Brooks filed her state
court action on January 10, 2018, naming Dr. Tichenor, Dr. Nash, and Southern Illinois
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Healthcare Foundation, among others, as defendants. The United States subsequently
removed the case to this court on March 12, 2018, under the FTCA. Apparently realizing
for the first time that these defendants were federal employees, Brooks immediately filed
an administrative claim with HHS on March 16, 2018. The United States then waited until
May 25, 2018, to file its motion for summary judgment the issue of exhaustion (Doc. 17).
On June 28, 2018, in response to that motion, Brooks informed the Court that she filed her
administrative claim with HHS on March 16, 2018, and it would therefore be exhausted
on September 16, 2018 (Doc. 19). At that point, the motion for summary judgment would
be moot (Id.). Therefore, the Court, in the interest of judicial economy, declined to dismiss
Brooks’s claims against the United States and instead stayed its ruling on the motion to
give Brooks time to complete the exhaustion process. Once she exhausted, the Court
permitted Brooks to amend her to complaint to raise, for the first time, her FTCA claims.
To now find that Brooks’s administrative claim was untimely because the Court
did not dismiss her claims against the United States—after completing discovery and
numerous depositions—would defeat the purpose of the Court’s earlier actions. While
the Court elected not to “dismiss” the claims, it also took no action on them while Brooks
was completing the exhaustion process. Once the administrative claims were exhausted,
the state law claims against the United States were dismissed and Brooks properly raised
her claims under the FTCA. Because any procedural misstep here was the fault of the
Court and not Brooks, the Court declines to penalize her by refusing to apply the Savings
Clause of the Westfall Act.
Next, the United States argues the Savings Clause is categorically inapplicable to
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FTCA claims involving deemed employees of the PHS—here, Dr. Nash and SIHF—
because such claims arise under the PHSA. The United States claims the Supreme Court
in Hui held that the PHSA only incorporates the remedy provisions of the FTCA. The
Savings Clause at § 2679(d)(5), however, is not a remedy provision but rather a
procedural provision regarding administrative exhaustion. Therefore, the PHSA does not
incorporate the Savings Clause.
In support of this argument, the United States cites Hui, which held that the PHSA
precludes Bivens actions against PHS employees personally for constitutional violations
arising out of their official duties. Hui v. Castaneda, 559 U.S. at 809. But Hui did not discuss
the Savings Clause of the Westfall Act. See id.
The only other case cited by the United States is Knapp v. United States, Dep’t of
HHS, No.3:18-1422,2020WL969624, at *6-8 (M.D. Pa. Feb. 28,2020), in which—the United
States asserts—the district court granted summary judgment for the United States in a
federally supported health center FTCA action after noting the government’s argument
that the PHSA does not incorporate the Savings Clause. But even the district court in
Knapp recognized that the Supreme Court in Hui “did not decide the issue of whether the
Westfall Act’s Savings Clause applied to an action against PHS officers and employees.”
Id. And on appeal, the Third Circuit found the Westfall Act did not apply to save the
plaintiffs’ claims because the plaintiffs never presented their claim to any Federal agency;
rather, they faxed and hand delivered the SF-95 form to a county health center. Knapp v.
United States , Dep’t of Health & Human Servs., No. 20-1537, 2020 WL 6582141, at *3 (3d Cir.
Nov. 10, 2020). Moreover, the original state court action had not been dismissed and was
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still pending. Id. The Third Circuit did not hold that the Westfall Act’s Savings Clause
does not apply to deemed employees of the PHS. Thus, it is simply inapposite to compare
Knapp to the facts of this case.
The more persuasive position is that presented by Brooks, i.e., that courts have
simply operated on the presumption that the Westfall Act applies in FSHCAA cases. For
example, in Arroyo v. United States, HHS had deemed the subject health center and its
employees to be employees of the PHS, pursuant to the FSHCAA. Arroyo v. United States,
656 F.3d 663, 666 (7th Cir. 2011). In discussing the statute of limitations, the Seventh
Circuit noted that the FTCA’s two-year limitation period is “loosened by the Act’s savings
provision.” Id. at 668. Thus, the Seventh Circuit was acting under the presumption that
the Savings Clause was operative in cases against deemed employees of the PHS.
The Court acts under the same presumption here. With no affirmative authority
to the contrary, the Court finds that the Westfall Act’s Savings Clause applies to Brooks’s
claims against Dr. Nash and SIHF. Because the Savings Clause preserves Brooks’s claims
against Dr. Tichenor, Dr. Nash, and SIHF, the Court need not address the argument
regarding equitable tolling. The Motion for Summary Judgment filed by the United States
is denied.
CONCLUSION
For these reasons, the Motion for Summary Judgment filed by St. Elizabeth’s
Hospital of the Hospital Sisters of the Third Order of St. Francis, Lindsay O’Neil, RN, and
HSHS Medical Group (Doc. 156) is GRANTED in part and DENIED in part. The claims
of alleged negligence relating to Dr. Donald Crouch are DISMISSED with prejudice. All
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other claims remain pending.
The Motion for Summary Judgment filed by the United States (Doc. 154) is
DENIED.
IT IS SO ORDERED.
DATED: January 19, 2021
____________________________
NANCY J. ROSENSTENGEL
Chief U.S. District Judge+
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