Doe DE v. The United States of America et al
Filing
67
MEMORANDUM AND ORDER granting in part and denying in part 38 Motion to Dismiss for Lack of Jurisdiction. IT IS THEREFORE ORDERED that defendant's motion to dismiss (Doc. 38) is denied as to Counts I, IV, and V. IT IS FURTHER ORDERED that de fendant's motion to dismiss is granted as to plaintiff's negligent hiring and retention claim, but the court retains jurisdiction over plaintiff's negligentsupervision claim against defendant in Count II. Defendant's motion to dismiss is also granted as to Counts III and VI. IT IS FURTHER ORDERED that defendant Robert McDonald is dismissed as a defendant in this case. Signed by District Judge Carlos Murguia on 5/10/2017. (ydm)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF KANSAS
JOHN DOE D. E.,
Plaintiff,
v.
UNITED STATES OF AMERICA,
ROBERT A. MCDONALD, and
MARK WISNER, P.A.
Defendants.
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Case No. 16-2162
MEMORANDUM AND ORDER
Plaintiff John Doe D. E. brings this case against defendants United States of America, Robert
McDonald (Secretary of the Department of Veterans Affairs), and Mark Wisner, pursuant to the
Federal Tort Claims Act (“FTCA”), 28 U.S.C. §§ 1346(b), 2671 and 38 U.S.C. § 7316(a), (f), alleging
that Wisner conducted an improper and/or unnecessary physical examination of plaintiff and elicited
unnecessary private information. Plaintiff claims that the court has supplemental jurisdiction over his
state claims under 28 U.S.C. § 1367(a). This matter is before the court on defendants United States of
America and McDonald’s Motion to Dismiss. (Doc. 38.) Defendants argue that plaintiff’s Second
Amended Complaint should be dismissed for lack of subject matter jurisdiction and because it fails to
state a claim under Federal Rules of Civil Procedure 12(b)(1) and (6). For the reasons set forth below,
the court grants defendants’ motion in part and denies it in part. Plaintiff does not oppose defendants’
request to dismiss defendant McDonald (Doc. 42, at 1 n.1) and plaintiff’s claims against him are
dismissed.
I.
Factual Background
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Plaintiff is a veteran who sought treatment at the Dwight D. Eisenhower VA Medical Center
(“VA”) located in Leavenworth, Kansas. Wisner treated and provided medical care for plaintiff.
Wisner was a physician’s assistant (“PA”) by the VA, but represented himself to the public as a
medical doctor.
In Count I, plaintiff claims that Wisner practiced and prescribed medicine, including the
performance of physical examinations, under the close supervision of a VA physician. Plaintiff alleges
that Wisner was negligent when he violated the standard of care by conducting an improper and/or
unnecessary examination of plaintiff’s genitals without gloves in October 2013. He claims that Wisner
failed to recognize his own impairment and refer plaintiff to another practitioner. Plaintiff further
alleges that Wisner used his position to elicit unnecessary private information from him and was
negligent when he recommended a prostate exam when plaintiff was under the age of 30. And plaintiff
claims that Wisner’s negligent acts occurred during business hours at the VA hospital and were
reasonably incidental to his employment—making defendant vicariously liable for his acts.
Plaintiff states that Wisner admitted to violating the Physician Assistant Licensure Act
(“PALA”), Kan. Stat. Ann. § 65-28a01, by making inappropriate sexual comments to his patients, not
meeting the appropriate standard of care, failing to keep accurate written medical records, performing
unnecessary testicular and genital exams and other unnecessary contact of his patients for no legitimate
medical purpose, and overmedicated patients.
Plaintiff brings claims of negligent supervision, retention, and hiring against defendant in
Count II. Plaintiff alleges that defendant—via the VA—violated its duty to exercise reasonable care
when it employed, supervised, and retained Wisner. He states that defendant knew or should have
known that Wisner was unable to provide competent medical care to plaintiff and that Wisner
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victimized and was dangerous to other patients. Plaintiff also claims that defendant possessed reason
to believe that employment of Wisner would result in undue risk of harm to plaintiff and other patients.
Plaintiff claims that Wisner was convicted of a sex-related crime that could have been
discovered by the VA had it appropriately investigated Wisner’s record. Plaintiff lists incidents where
Wisner was reported for misconduct and misprescription of medications. Plaintiff alleges that
defendant knew or should have known that Wisner was unable to provide competent medical care to
plaintiff and that he victimized and was dangerous to other VA patients. Plaintiff also claims that
defendant failed to monitor Wisner’s clinical activities to ensure that they were within the authorized
scope of practice and medically appropriate as required by VHA Directive 1063 and/or PALA.
Plaintiff alleges that VA supervisors failed to perform actions required by VHA Handbook 1100.19;
VHA Directive 2012-030, and all preceding regulations; and VHA Directive 2004-029.
Plaintiff also brings claims for negligent infliction of emotional distress, outrage, battery, and
invasion of privacy – intrusion upon seclusion against all defendants.
II.
Legal Standards
A.
Rule 12(b)(1)
Dismissal pursuant to Federal Rule of Civil Procedure 12(b)(1) is appropriate when the court
lacks subject matter jurisdiction over a claim. Plaintiff claims that subject matter jurisdiction exists
and has the burden of establishing it. Port City Props. v. Union Pac. R.R. Co., 518 F.3d 1186, 1189
(10th Cir. 2008). Because federal courts are courts of limited jurisdiction, there is a strong
presumption against federal jurisdiction. Sobel v. United States, 571 F. Supp. 2d 1222, 1226 (D. Kan.
2008).
Motions to dismiss for lack of subject matter jurisdiction generally take one of two forms: (1) a
facial attack on the sufficiency of the complaint’s jurisdictional allegations; or (2) a challenge to the
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actual facts upon which subject matter jurisdiction is based. Holt v. United States, 46 F.3d 1000,
1002–03 (10th Cir. 1995). For a facial challenge, the court accepts the plaintiff’s factual allegations
regarding jurisdiction as true. Id. at 1002. But for a factual attack, the court does not presume that the
plaintiff’s allegations are true. Id. at 1003. Rather, “[a] court has wide discretion to allow affidavits,
other documents, and a limited evidentiary hearing to resolve disputed jurisdictional facts under Rule
12(b)(1). In such instances, a court’s reference to evidence outside the pleadings does not convert the
motion to a Rule 56 motion.” Id.
B.
Rule 12(b)(6)
To the extent this court has subject matter jurisdiction, the court must determine whether
plaintiff’s action is subject to dismissal because it fails to state a claim upon which relief could be
granted. The court grants a motion to dismiss under Federal Rule of Civil Procedure 12(b)(6) only
when the factual allegations fail to “state a claim to relief that is plausible on its face.” Bell Atl. Corp.
v. Twombly, 550 U.S. 544, 570 (2007). Although the factual allegations need not be detailed, the
claims must set forth entitlement to relief “through more than labels, conclusions and a formulaic
recitation of the elements of a cause of action.” In re Motor Fuel Temperature Sales Practices Litig.,
534 F. Supp. 2d 1214, 1216 (D. Kan. 2008). The allegations must contain facts sufficient to state a
claim that is plausible—not merely conceivable. Id. “All well-pleaded facts, as distinguished from
conclusory allegations, must be taken as true.” Swanson v. Bixler, 750 F.2d 810, 813 (10th Cir. 1984);
see also Ashcroft v. Iqbal, 556 U.S. 662, 681 (2009). The court construes any reasonable inferences
from these facts in favor of the plaintiff. Tal v. Hogan, 453 F.3d 1244, 1252 (10th Cir. 2006).
III.
Discussion
Under the FTCA, the United States has waived its sovereign immunity for injuries caused by
the “negligent or wrongful act or omission” of a federal government employee while that employee is
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“acting within the scope of his office or employment, under circumstances where the United States, if a
private person, would be liable to the claimant in accordance with the law of the place where the act or
omission occurred.” 28 U.S.C. § 1346(b). An action under the FTCA is the exclusive remedy for a
plaintiff claiming personal injuries arising out of the negligent conduct of a federal employee, 28
U.S.C. § 2679(b)(1), and federal courts have exclusive jurisdiction over such actions, 28 U.S.C. §
1346(b)(1).
A.
Count I
1.
Scope of Employment
Defendant characterizes Wisner’s conduct as “sexual misconduct.” Applying this
characterization, defendant argues that the court lacks jurisdiction because Wisner’s conduct was not
within the scope of his employment. Sexual battery and/or inappropriate touching are not within the
duties that a PA is hired to perform, defendant argues, and did not further the VA’s business.
Under the FTCA, the United States is liable only for tortious acts committed by employees
“acting within the scope of [their] office or employment.” 28 U.S.C. § 1346(b)(1). “Scope of
employment” is determined by the law of the place where the accident occurred. Fowler v. United
States, 647 F.3d 1232, 1237 (10th Cir. 2011); see also 28 U.S.C. § 1346(b)(1). In Kansas, an
employee acts within the scope of his employment when (1) he performs services for which he has
been employed, or (2) he does anything reasonably incidental to his employment. O’Shea v. Welch,
350 F.3d 1101, 1103 (10th Cir. 2003) (citing Pattern Instructions Kansas 3d 107.06; Williams v. Cmty.
Drive-In Theater, Inc., 520 P.2d 1296, 1301–02 (Kan. 1974)). The test is not whether the employer
expressly authorized or forbid the conduct. Id. Instead, the court asks whether the employer should
have fairly foreseen the conduct from the nature of the employment and the duties relating to it. Id.;
see also Commerce Bank of St. Joseph, N.A. v. State, 833 P.2d 996, 999 (Kan. 1992).
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Plaintiff claims that scope of employment is a factual determination. Generally, this is correct,
but the court may resolve this question as a matter of law when only one reasonable conclusion can be
drawn from the evidence. See Wayman v. Accor N. Am., Inc., 251 P.3d 640, 646 (Kan. Ct. App. 2011)
(citing O’Shea, 350 F.3d 1101).
a.
Slight Deviation Analysis
Plaintiff claims that Wisner’s conduct was within the scope of his employment because it was a
“slight deviation” from his duties. In O’Shea v. Welch, the Tenth Circuit reviewed the Kansas jury
instruction on scope of employment, and determined that it is compatible with the slight deviation
analysis. O’Shea, 350 F.3d at 1106. “Application of the slight deviation analysis allows for more
flexibility and accuracy in the application of the law to each fact scenario. The Kansas pattern jury
instruction[] . . . does not express a bright-line rule but instead illustrates a type of slight deviation rule
which requires a determination of what is reasonably incidental to employment and what conduct
should have been fairly foreseen.” Id.
Under the slight deviation analysis, an employee could pursue dual purpose ventures without
the conduct amounting to an entire departure from the scope of employment. Id. at 1107. “An
employee does not cease to be acting within the course of his employment because of an incidental
personal act, or by slight deflections for a personal or private purpose, if his main purpose is still to
carry on the business of his employer. Such deviations which do not amount to a turning aside
completely from the employer’s business, so as to be inconsistent with its pursuit, are often reasonably
expected and the employer’s assent may be fairly assumed.” Id.
The court reviews the following factors to determine whether an employee has engaged in a
slight or substantial deviation: (1) the employee’s intent; (2) the nature, time, and place of the
deviation; (3) the time consumed in the deviation; (4) the work for which the employee was hired; (5)
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the incidental acts reasonably expected by the employer; and (6) the freedom allowed the employee in
performing his job responsibilities. Id. at 1108 (citing Felix v. Asai, 192 Cal. App. 3d 926, 237 Cal.
Rptr. 718, 722 (1987)).
b.
Wisner’s Conduct
Plaintiff claims that Wisner’s tortious conduct was not far removed in time, distance, or
purpose from his normal duties and thus, incidental to his employment at the VA. In his administrative
claim, plaintiff states that he scheduled the October 2013 appointment because he needed to renew a
prescription. According to plaintiff, Wisner performed a physical examination, in which Wisner asked
plaintiff to remove his pants and lay on the table. Without gloves, Wisner placed one hand on
plaintiff’s inner thigh and used the other hand to massage plaintiff’s testicles and penis. During the
examination, Wisner stated “things are looking good down there” and also asked plaintiff about his sex
life. After the physical exam, Wisner told plaintiff he wanted to give him a prostrate exam and to call
his office to schedule an appointment. Plaintiff alleges that he had a similar experience with Wisner in
November 2012 (and in his complaint, he alleges that Wisner’s acts occurred in October of 2013 and
earlier). Plaintiff argues that while Wisner’s acts were improper, they were still in line with his duties
he was hired to perform as a PA.
Plaintiff references several of Wisner’s admissions in his complaint. Wisner admitted to
making inappropriate sexual comments to his patients. Wisner also admitted that he performed
unnecessary testicular and genital examinations and unnecessary contact of his patients for no
legitimate medical purpose.
Still, at this stage, plaintiff has presented a plausible negligence claim that is supported by facts
consistent with the allegations in the complaint. Arguably, Wisner was furthering the VA’s interests in
treating and examining plaintiff, even though it may have been done in excess. Some of Wisner’s
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duties included performing physical examinations on patients. There is no dispute that performing
improper or excessive examinations without gloves—to the extent that Wisner gained personal
satisfaction from these examinations—was a deviation from his duties. But it is plausible that this
deviation was not an entire departure from the scope of Wisner’s employment and was within the
parameters of the duties he was hired to perform. At this time, the court cannot resolve this question as
a matter of law. Any improper examinations occurred during appointments when plaintiff sought
medical treatment from the VA. And plaintiff does not allege that examinations occurred after
business hours or outside of the VA’s building.
Moreover, full physical examinations (including examination of the VA patients’ genitalia and
prostates) are not necessarily unexpected. The failure to wear gloves and/or an excessive number of
examinations might be improper, but this conduct in general is not unforeseeable or unexpected of a
PA hired to treat VA patents. Likewise, obtaining personal information from a patient for diagnosis
and treatment is expected and often necessary for effective treatment. While Wisner’s conduct may
have been unprofessional or forbidden, that is not the test. See O’Shea, 350 F.3d at 1103.
c.
VA Immunity Statute for Intentional Torts
Defendant argues that 28 U.S.C. § 2680(h) bars plaintiff’s claims because the FTCA does not
apply to claims arising out of a battery. The FTCA exempts from the waiver of sovereign immunity
“[a]ny claim arising out of assault, battery, false imprisonment, false arrest, malicious prosecution,
abuse of process, libel, slander, misrepresentation, deceit, or interference with contract rights.” 28
U.S.C. § 2680(h). Under the FTCA’s general provisions, the United States remains immune for claims
arising out of these enumerated intentional torts. See id.
Another exception may apply in the instant case, however: the VA Immunity Statute. This law
allows for a remedy against the United States under the FTCA for damages arising from the provision
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of medical services by health care employees of the VA under 38 U.S.C. § 7316(a)(1), (f). Ingram v.
Faruque, 728 F.3d 1239, 1245–46 (10th Cir. 2013) (citation omitted) (“‘[Section] 2680(h) does not bar
application of the FTCA to [intentional] tort claims arising out of the conduct of VA medical personnel
within the scope of’ 38 U.S.C. § 7316(f).”). Defendant argues again that this exception does not apply
because (1) Wisner was not acting within the scope of his employment when he sexually battered
plaintiff; (2) Wisner’s unnecessary or improper touching was not related or incidental to plaintiff’s
medical treatment; and (3) plaintiff characterized the conduct as intentional and sexually charged.
For the reasons previously set forth, defendant’s arguments fail at this stage of the litigation. Plaintiff
has presented a plausible claim that the VA Immunity Statute applies.
B.
Count II
The court resolves questions of liability under the FTCA in accordance with the law of the state
where the alleged tortious activity took place. Franklin v. United States, 992 F.2d 1492, 1495 (10th
Cir. 1993). Kansas recognizes that negligent hiring and retention or supervision are separate and
distinct torts from respondeat superior. Miller v. Dillard’s Inc., 47 F. Supp. 2d 1294, 1299 (D. Kan.
1999) (citing Marquis v. State Farm Fire & Cas. Co., 961 P.2d 1213, 1223 (Kan. 1998)). Liability for
negligent hiring, retention, and/or supervision is not predicated on a theory of vicarious liability, but
instead, liability runs directly from the employer to the person injured. Beam v. Concord Hosp., Inc.,
873 F. Supp. 491, 503 (D. Kan. 1994).
“Negligent supervision includes not only the duty to supervise but also includes the duty to
control persons with whom the defendant has a special relationship including the defendant’s
employees or persons with dangerous propensities.” Marquis, 961 P.2d at 1223. To subject an
employer to liability on a negligent supervision claim,
plaintiff must show “some causal relationship between the dangerous propensity or
quality of the employee, of which the employer has or should have knowledge, and the
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injuries suffered by the third person; the employer must, by virtue of knowledge of [its]
employee’s particular quality or propensity, have reason to believe that an undue risk of
harm exists to others as a result of the continued employment of that employee; and the
harm which results must be within the risk created by the known propensity . . . .”
Kan. State Bank & Trust Co. v. Specialized Transp., Servs., Inc., 819 P.2d 587, 596 (Kan. 1991)
(quoting Hollinger v. Stormont Hosp. & Training Sch. for Nurses, 578 P.2d 1121 (Kan. Ct. App.
1978)).
Kansas recognizes a cause of action for negligent hiring, which is separate and distinct from the
tort of negligent supervision. Lowe v. Surpas Res. Corp., 253 F. Supp. 2d 1209, 1245 (D. Kan. 2003).
“The employer is negligent in hiring or retaining such an employee when the employer knew or should
have known of the employee’s incompetence or unfitness.” Id. (quoting Prugue v. Monley, 28 P.3d
1046, 1049 (Kan. Ct. App. 2001)).
Plaintiff alleges that the VA knew or should have known that Wisner was dangerous and
further that he had a propensity to commit inappropriate acts against plaintiff and other VA patients.
Wisner was an employee of the VA and the VA was responsible for supervising him. Defendant,
however, argues that the discretionary function exception applies to bar the court’s jurisdiction over
plaintiff’s negligent supervision and hiring and retention claims.
1.
Law: The Discretionary Function Exception
The discretionary function exception limits the FTCA’s waiver of sovereign immunity when
the governmental conduct at issue involves an element of judgment or choice. See 28 U.S.C. §
2680(a); Franklin Sav. Corp. v. United States, 180 F.3d 1124, 1130 (10th Cir. 1999). “[T]he
discretionary function exception will not apply when a federal statute, regulation, or policy specifically
prescribes a course of action for an employee to follow.” Franklin Sav. Corp., 180 F.3d at 1130
(quoting Berkovitz v. United States, 486 U.S. 531, 536 (1988)). If the employee has no rightful option
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but to adhere to the directive, then sovereign immunity is waived and the court has jurisdiction to
consider the case. Id.
If a jurisdictional question is intertwined with the merits of the case, the court converts a Rule
12(b)(1) motion to one under Rule 12(b)(6) or Rule 56. See Franklin Sav. Corp., 180 F.3d at 1129–30.
Whether the discretionary function exception applies is such a question. Id.
To avoid dismissal under Rule 12(b)(6), plaintiff must allege facts that place his FTCA claim
facially outside the discretionary function exception. Id. at 1130. The court performs a two-pronged
analysis in determining whether defendant’s conduct falls within the exception. Id. First, the court
decides whether the governmental conduct “is a matter of choice for the acting employee,” because
without an element of judgment or choice, conduct cannot be discretionary. Id. Specifically, the court
considers if there is a federal statute, regulation, or policy “sufficiently specific [and mandatory] to
remove decision[-]making under [it] from the discretionary function exception.” Elder v. United
States, 312 F.3d 1172, 1177 (10th Cir. 2002); see also Franklin Sav. Corp., 180 F.3d at 1131. Second,
if the conduct does involve judgment or choice, the court determines “whether that judgment is of the
kind that the discretionary function exception was designed to shield.” Franklin Sav. Corp., 180 F.3d
at 1130. Congress’s intent in maintaining governmental immunity for discretionary functions was to
“prevent judicial ‘second-guessing’ of legislative and administrative decisions grounded in social,
economic, and political policy through the medium of an action in tort.” Id. (quoting Berkovitz, 486
U.S. at 536–37).
2.
Application: The Discretionary Function Exception
Plaintiff alleges that VA supervisors failed to monitor Wisner’s clinical activities to ensure that
they were within his authorized scope of practice and medically appropriate under both VHA
Directives 1063; 2004-029; 2012-030; and/or PALA, Kan. Stat. Ann. § 65-28a01. He also claims that
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the VA failed to adequately supervise and control Wisner, given his known propensities toward
harming VA patients. Plaintiff further alleges that the VA failed to perform the credentialing
requirements applicable to PAs under VHA Handbook 1100.19.
To overcome the discretionary function exception, the plaintiff must show that the federal
employee’s discretion was limited by a federal statute, regulation, or policy. Sydnes v. United States,
523 F.3d 1179, 1184 (10th Cir. 2008) (emphasis added). The court will not consider the state of
Kansas PALA.
a.
Negligent Supervision
i.
VHA Directive 1063
VHA Directive 1063 mandates specific supervisory actions by Wisner’s supervising physician.
At a minimum, VHA Directive 1063 required Wisner’s supervising physician to be in weekly contact
to discuss clinical management issues and review five randomly selected patient encounter notes each
quarter. Plaintiff alleges that this was not done.
VHA Directive 1063 was issued on December 24, 2013. Plaintiff claims that Wisner
committed wrongful acts at his November 2012 and October 2013 appointments. To the extent that
plaintiff’s claims occurred prior to December 24, 2013, VHA Directive 1063 was not the governing
policy.
ii.
VHA Directive 2004-029
Plaintiff also claims that VA supervisors failed to abide by VHA Directive 2004-029.
Although VHA Directive 2004-029 indicates that it expired on July 31, 2009, VHA Directive 1063
rescinded the 2004 version in December 2013. VHA Directive 2004-029 was the federal policy that
the VA was required to follow prior to December 24, 2013.
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VHA Directive 2004-029 required that a supervising physician conduct a structured review of
the assigned PA’s performance every two years at the time of the renewal of the PA’s scope of
practice. Structured reviews and renewal of an uncertified PA’s scope of practice were required to be
conducted annually. The review had to include:
(1) Overall assessment.
(2) Results of departmental/service monitoring and evaluation, drug utilization review,
blood use evaluation, medical record review, or surgical case review or any other
objective quality improvement data available.
(3) The PA’s scope of practice.
The PA’s assigned chief of clinical service was required to monitor the review process and concur.
Plaintiff alleges that the VA failed to comply with the review requirements mandated by VHA
Directive 2004-029. At this stage of the litigation, plaintiff has sufficiently placed his negligent
supervision claim outside the discretionary function exception. The court retains jurisdiction over
plaintiff’s negligent supervision claim.
b.
Negligent Hiring and Retention
Plaintiff also alleges that defendant failed to adequately investigate Wisner’s background and
was negligent in hiring and retaining Wisner as a PA. Specifically, plaintiff alleges that the VA failed
to perform specific actions required by VHA Handbook 1100.19 and VHA Directive 2012-030, which
apply to the “credentialing” of health care professionals, including PAs.1 Both polices outline certain
actions to be taken as part of the credentialing process, which is defined as “the systematic process of
screening and evaluating qualifications and other credentials . . . .” See VHA Handbook 1100.19 §§ 1,
2(d). For example, “[p]roper screening through the [National Practitioner Data Bank-Health Integrity
1
The VHA Handbook 1100.19 and VHA Directive 2012-30 also apply to the “privileging” of health care professionals
(clinical privileging is “the process by which a practitioner, licensed for independent practice . . . , is permitted by law and
the facility to practice independently . . . .”). VHA Handbook 1100.19 § 2(e). However, only the credentialing
requirements apply to PAs. Id. § 3(a).
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and Protection Data Bank (“NPDB-HIPDP”)] is required for applicants” and the information received
should be “considered together with other relevant data in evaluating a practitioner’s credentials.” Id.
§ 13(l)(1). If the screening “shows adverse action or malpractice reports, an evaluation of the
circumstances and documentation” is required and must follow certain guidelines outlined in the
handbook. Id. § 13(l)(6). The provisions in VHA Handbook 1100.19 and VHA Directive 2012-30
identified by plaintiff, however, do not mandate a specific hiring or employment retention decision.
The policies require VA personnel to complete certain specific and mandatory actions, but ultimately
leave the hiring or employment retention decisions to the discretion of VA personnel based on their
review and evaluation of the information collected during the credentialing process.
VHA Directive 2012-30 and VHA Handbook 1100.19 were issued on October 11 and 15, 2012,
respectively. In plaintiff’s complaint, he alleges that in 2011, a VA patient reported Wisner’s
inappropriate conduct to a VA Medical Center case manager. Wisner was employed by the VA prior
to these policies’ enactments; thus, the requirements contained within were not mandated on the VA at
the time it hired Wisner. Although plaintiff alleges that defendant violated VHA Directive 2012-30
and all preceding regulations, plaintiff does not provide the court with a specific federal policy
applicable at the time the VA hired Wisner, and therefore has failed to meet his burden to overcome
the discretionary function exception. See Sydnes, 523 F.3d at 1184.
On the other hand, both VHA Directive 2012-30 and VHA Handbook 1100.19 require
credentialing and verification with respect to reappointment of a PA—both of which relate to the VA’s
retention of Wisner after October 2012.
Although neither party has briefed the issue, there is divided circuit precedent as to whether
plaintiff can “avoid the discretionary-function bar by alleging that” defendant breached certain specific
duties, even though the ultimate decisions “were themselves discretionary.” See Franklin Sav. Corp.,
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180 F.3d at 1132 n.11 (citing divided precedent from other circuits on this issue generally, under which
some courts barred such claims absolutely, while other courts barred the claim, but foresaw exceptions,
and one court allowed such a claim); see also Johnson v. United States, 949 F.2d 332, 339–40 (10th
Cir. 1991) (rejecting plaintiff’s argument that certain allegedly non-discretionary tasks of gathering
and communicating information about an accident should be separated from the discretionary decision
by the National Park Service of how to conduct the rescue of an injured mountain climber, as the
former tasks were “inextricably tied” to the latter discretionary decision, leaving “[n]o meaningful way
. . . to consider the nature of [the former non-discretionary] acts apart from the total rescue decision”).
In Franklin Savings Corp., the Tenth Circuit acknowledged the issue, but expressed no opinion on the
legal viability of such a claim because the plaintiffs’ “complaint did not attribute any harm to the
breach of a specific mandate to draft memoranda, as opposed to a failure to perform the discretionary
function of weighing options.” Id. at 1132 n.11, 1133. Here, plaintiff alleges that had defendant
followed the
specific, non-discretionary requirements [in VHA Handbook 1100.19 and VHA
Directive 2012-30], [it] would have discovered Wisner’s sex-related criminal
conviction. As a result, the VA . . . negligently retained [Wisner] each time it failed to
properly evaluate him prior to reappointments.
(Doc. 42, at 21–22 (citation omitted).)
The court finds the analysis in Johnson persuasive. While the VA policies mandate an
investigation, documentation, and review of the circumstances, the VA still retains discretion to (1)
continue employment with no change; (2) restrict clinical privileges; or (3) deny reappointment and/or
terminate. See, e.g., VHA Handbook 1100.19 §§ 13k(4), m(4)(e), and r. Although plaintiff’s retention
claim is tied to specific, non-discretionary requirements of evaluating the circumstances, the VA’s
ultimate decision with respect to retaining or terminating Wisner was discretionary.
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Even though plaintiff fails under Berkovitz’s first prong, he may still overcome the
discretionary function exception by demonstrating that the nature of the actions taken does not
implicate public policy concerns, or is not susceptible to policy analysis. See Sydnes, 523 F.3d at
1185. With respect to the second prong of Berkovitz, the court considers whether the judgment
exercised by the government official is of the kind that the discretionary function exception was
designed to shield. 486 U.S at 536. Decisions regarding employment and termination are precisely the
types of administrative actions the discretionary function exception seeks to shield. Sydnes, 523 F.3d
at 1185–86 (“[E]mployment and termination decisions are, as a class, the kind of matters requiring
consideration of a wide range of policy factors, including ‘budgetary constraints, public perception,
economic conditions, individual backgrounds, office diversity, experience, and employer intuition.’”)
(citation omitted).
The court is mindful that plaintiff’s retention issue is a close call, but the case law is clear: the
court applies an objective test. See Franklin Sav. Corp., 180 F.3d at 1141 (“The inquiry necessary to
decide whether this case involved ‘negligent, good-faith conservation’ or ‘intentional, bad-faith
liquidation’ would entail the type of judicial second-guessing which led the Gaubert Court to hold that
courts need not consider officials’ actual decisionmaking in FTCA cases.”) (quoting United States v.
Gaubert, 499 U.S. 315, 325 (1991)). The purpose of the discretionary function exception to the wavier
of sovereign immunity is to dismiss a FTCA claim at the earliest possible stage of the litigation and
spare the government from discovery and trial expense. See generally Franklin Sav. Corp., 180 F.3d
at 1138 (comparing FTCA claims to qualified immunity claims). Under the guidance of Berkovitz and
Franklin Sav. Corp., the discretionary function exception to the waiver of sovereign immunity applies
to plaintiff’s negligent hiring and retention claim presented in Count II. The court lacks jurisdiction
over this portion of Count II.
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C.
Count III
Plaintiff brings a claim of negligent infliction of emotional distress against defendant.
Plaintiff alleges that Wisner’s examination was committed with reckless disregard for plaintiff. He
also alleges that Wisner’s conduct was extreme and outrageous as well as the direct and proximate
cause of plaintiff’s foreseeable mental distress. Plaintiff’s injuries include: past, present, and future
shame, humiliation, medically significant emotional distress, lost enjoyment of life, lost sleep, and
anger. Plaintiff alleges that his mental distress was extreme, severe, medically diagnosable, and
significant such that no reasonable person should be expected to endure it.
Defendant claims that plaintiff has failed to show a qualifying physical injury to support a
claim for negligent infliction of emotional distress under Kansas law.
“In Kansas, the elements of a claim for negligent infliction of emotional distress include a
qualifying physical injury.” Majors v. Hillebrand, 349 P.3d 1283, 1285 (Kan. Ct. App. 2015).
However, the “physical injury rule is inapplicable where the injurious conduct is willful or wanton, or
the defendant acts with intent to injure.” Id. (citing Hoard v. Shawnee Mission Med. Center, 662 P.2d
1214, 1219–20 (Kan. 1983)).
Plaintiff acknowledges that he must show a qualifying physical injury, but responds that he
pleaded that Wisner’s conduct was willful and wanton—specifically, Wisner acted with reckless
disregard for plaintiff. If plaintiff’s theory is to be accepted, it is not clear how the negligence claim
would be anything but a reiteration of plaintiff’s outrage claim, which asserts liability on the basis of
Wisner’s reckless disregard of plaintiff’s well-being.
Generally, negligence has no application to willful or wanton wrongs. Anspach v. Tomkins
Indus., Inc., 817 F. Supp. 1499, 1509 (D. Kan. 1993) (citing Bowman v. Doherty, 686 P.2d 112, 114
(Kan. 1984). “Wanton conduct is distinguished from a mere lack of due care by the fact that the actor
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realized the imminence of injury to others from his acts and refrained from taking steps to prevent the
injury. This reckless disregard or complete indifference rises substantially beyond mere negligence.”
Bowman, 686 P.2d at 118.
Plaintiff does not take the position that defendant is liable for simple negligent infliction of
emotional distress (arising out of conduct that was not wanton). To the extent plaintiff’s negligence
claims are not based upon Wisner’s intentional or wanton conduct, in the absence of contemporaneous
resultant physical injury, his negligent infliction of emotional distress claim cannot stand. See Patton
v. Entercom Kansas City, L.L.C., No. 13-2186-DDC-JPO, 2014 WL 2557908, at *10–12 (D. Kan. June
6, 2014) (rejecting plaintiff’s negligent supervision claim where plaintiff alleged she felt upset, shaken,
embarrassed, humiliated, and insulted, and that she experienced sleeplessness, anxiety, shortness of
breath, and feeling more emotional and irritable) (citing Schweizer-Reschke v. Avent, Inc., 874 F. Supp.
1187, 1196–97 (D. Kan. 1995) (rejecting plaintiff’s claim for negligent infliction of emotional distress
where plaintiff alleged she suffered vomiting, diarrhea, anxiety, shortness of breath, rapid heartbeat,
and tightness of breath). The court therefore dismisses Count III.
D.
Count IV
In Kansas, the court determines two threshold requirements for the tort of outrage: “(1) whether
the defendant’s conduct may reasonably be regarded as so extreme and outrageous as to permit
recovery; and (2) whether the emotional distress suffered by the plaintiff was of such extreme degree
the law must intervene because the distress inflicted was so severe that no reasonable person should be
expected to endure it.” Smith v. Welch, 967 P.2d 727, 733 (Kan. 1998). Plaintiff must show: (1)
Wisner’s conduct was intentional or in reckless disregard of plaintiff; (2) the conduct was extreme and
outrageous; (3) there was a causal connection between Wisner’s conduct and plaintiff’s mental
distress; and (4) plaintiff’s mental distress was extreme and severe. Id.
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Defendant argues that plaintiff’s claims are standard boilerplate allegations and also that
plaintiff never claimed his mental distress was debilitating. But plaintiff alleges that Wisner acted in
reckless disregard of plaintiff’s well-being, resulting in medically significant, extreme, and severe
emotional distress. In his invasion of privacy claim, plaintiff states that as a result of Wisner’s
conduct, he suffered long-lasting, medically significant emotional distress that required medical
treatment. Plaintiff also claims that Wisner’s conduct was “extreme and outrageous by any reasonable
standard . . . in any community of America, and goes beyond the bounds of decency[,] so as to be
regarded as utterly atrocious and intolerable in civilized society.” (Doc. 31, at 16.) It is plausible from
the pleadings that plaintiff obtained medical treatment for the emotional distress he suffered as a result
of Wisner’s reckless conduct. At this stage, the court assumes that the pleadings are true and makes all
inference in favor of plaintiff. Plaintiff’s claim of outrage is plausible.
E.
Count V
Under Kansas law, a medical examination of the body of a person is a technical invasion of
privacy, battery, or trespass, regardless of its result, unless the person or some authorized person
consents to it. Smith, 967 P.2d at 732. “Ordinarily, as applied to a surgical operation, the distinction
‘between an unauthorized operation amounting to assault and battery on the one hand, and negligence
such as would constitute malpractice on the other, is that the former is intentional while the latter is
unintentional.’” Id. (quoting Hershey v. Peake, 223 P. 1113, 1114 (Kan. 1924)). In Kansas, assault,
battery, and sexual battery are intentional civil injuries and are also separate and distinct statutory
crimes. Id.
Plaintiff sufficiently alleges that Wisner performed a technical invasion of privacy, or a battery,
when he conducted an improper and unnecessary examination that was beyond the scope of any
legitimate medical purpose. Plaintiff did not knowingly consent to such an examination.
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As addressed above, plaintiff presents a plausible claim that Wisner was acting within the
scope of his employment at the October 2013 appointment, and the court has jurisdiction over
plaintiff’s battery claim.
F.
Count VI
Kansas recognizes an invasion of privacy claim based upon a defendant’s intrusion upon
seclusion. Lowe v. Surpas Res. Corp., 253 F. Supp. 2d 1209, 1236–37 (D. Kan. 2003) (citing Moore v.
R.Z. Sims Chevrolet-Subaru, Inc., 738 P.2d 852, 856 (Kan. 1987)) “[A] plaintiff must establish the
existence of two conditions: ‘First, something in the nature of an intentional interference in the solitude
or seclusion of a person’s physical being, or prying into his private affairs or concerns, and second, that
the intrusion would be highly offensive to a reasonable person.’” Id. at 1237 (quoting Moore, 738 P.2d
at 857. To be liable, the defendant must place himself physically, or by means of his senses, within
plaintiff’s zone of privacy. Ali v. Douglas Cable Commc’ns, 929 F. Supp. 1362, 1382 (D. Kan. 1996).
“Consequently, it is both the manner of intrusion as well as the nature of the information acquired that
must rise to the level of being highly offensive to a reasonable person.” Id.
Plaintiff claims that Wisner intentionally interfered with his seclusion when he “pried into his
personal affairs and concerns by asking him about his personal life, sexual activities[,] and genitalia
during [the] examination.” (Doc. 31, at 31.) Plaintiff argues that Wisner’s conduct was intrusive such
that a reasonable person would be offended; but plaintiff also maintains that Wisner’s offensive
inquiries served the VA’s interest because the questioning could have obtained medically relevant
information.
Plaintiff’s position on his claim of invasion of privacy is inconsistent with his allegations that
Wisner was acting within the scope of his employment. As previously stated, it is reasonable to expect
that an appointment with a PA to renew pain medication would include questions about the patient’s
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personal life and a full physical examination. Plaintiff is correct in that a VA patient would have a
heightened interest in privacy concerning his medical treatment and sexual information; however, the
fact that Wisner asked plaintiff about his sex life is not unreasonable. Plaintiff does not allege that
Wisner publicized plaintiff’s personal information. If Wisner’s inquiries were offensive and
unreasonable, then he would not have been acting within the scope of his employment—a position that
plaintiff opposes. See generally O’Shea, 350 F.3d at 1107 (a slight deviation does not amount to
turning aside completely from the employer’s business, so as to be inconsistent with its pursuit, and is
often reasonably expected). The court finds that plaintiff’s invasion of privacy claim is not plausible.
F.
Statute of Limitations
Plaintiff’s claims stem from medical treatment he received in October 2013 and earlier.
Plaintiff filed his administrative claim on June 24, 2015. He referenced treatments in November 2012
and October 2013. While plaintiff’s specific 2013 visits are within the FTCA’s two-year statute of
limitations period, defendant argues that plaintiff’s claims occurring before June 24, 2013, are timebarred.
The FTCA provides that a tort claim against the United States “shall be forever barred” unless
it is presented to the “appropriate Federal agency within two years after such claim accrues” and then
brought to federal court “within six months” after the agency acts on the claim. 28 U.S.C. § 2401(b);
United States v. Kwai Fun Wong, 135 S. Ct. 1625, 1629 (2015). In Kwai Fun Wong, the United States
Supreme Court resolved a split among the circuits and held that the time limitations contained in §
2401(b) are not jurisdictional. Id. at 1632–33. “The time limits in the FTCA are just time limits,
nothing more.” Id. at 1633. Taking into account Kwai Fun Wong’s holding, other district courts have
determined that the plaintiff’s failure to comply with the FTCA’s statute of limitations is an affirmative
defense, which the defendant has the burden of establishing. See, e.g., Saofaigaalii v. United States,
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No. 14-00455 SOM/KSC, 2016 WL 3527095, at *6 (D. Haw. June 23, 2016); Crowder v. Hansen, No.
15-CV-3216 (MJD/HB), 2016 WL 4870621, at *7 (D. Minn. July 29, 2016). Because the issue is
being presented on a motion to dismiss under Rules 12(b)(1) and (6), the defense must appear on the
face of the complaint. See Richmond, Fredericksburg & Potomac R. Co. v. Forst, 4 F.3d 244, 250 (4th
Cir. 1993) (“A motion under Rule 12(b)(6) is intended to test the legal adequacy of the complaint, and
not to address the merits of any affirmative defenses. In the limited circumstances where the
allegations of the complaint give rise to an affirmative defense, the defense may be raised under Rule
12(b)(6), but only if it clearly appears on the face of the complaint.”).
“The general accrual rule for FTCA claims is the “injury-occurrence rule,” where the tort
claim accrues on the date of injury.” Bayless v. United States, 767 F.3d 958, 964 (10th Cir. 2014).
The “discovery rule” is an exception and applies to “‘protect plaintiffs who are blamelessly unaware of
their claim because the injury has not yet manifested itself or because the facts establishing a causal
link between the injury and the medical malpractice are in the control of the tortfeasor or otherwise not
evident.’” Id. (quoting Diaz v. United States, 165 F.3d 1337, 1339 (11th Cir. 1999)). In cases
applying the discovery rule, the date of accrual is when a reasonably diligent plaintiff knows or should
have known of both the existence of and cause of the injury. Id.
Plaintiff claims that he was unaware of Wisner’s misconduct or his emotional injury until the
VA contacted “Wisner victims.” (Doc. 42, at 27.) According to plaintiff, his emotional injury
occurred when he had knowledge that Wisner’s intent may have been to exploit plaintiff as well as
treat him.
Defendant maintains that plaintiff has not shown that he could not have reasonably known of
his injury at the time of Wisner’s improper examinations and questioning. Defendant states that the
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information plaintiff received was likely a letter mailed to plaintiff by the VA alerting him to Wisner’s
misconduct. But this letter does not specifically identify plaintiff or refer to plaintiff’s care.
At this stage, the court finds that defendant—as opposed to plaintiff—has not met its burden.
Defendant fails to show how plaintiff was aware of his emotional injury prior to the VA releasing
information that indicated that Wisner’s physical examinations were improper. The court does not find
as a matter of law that the discovery rule is inapplicable to save plaintiff’s claims from the two-year
statute of limitations under § 2401(b).
IV.
Conclusion
The court has jurisdiction to review plaintiff’s claims for negligence, battery, and outrage
against defendant under vicarious liability. Plaintiff has adequately alleged that Wisner was acting
within the scope of his employment and plaintiff’s claims are plausible. But the court finds that
plaintiff’s claims for negligent infliction of emotional distress and invasion of privacy are not plausible
under Kansas law. The court also has jurisdiction to review plaintiff’s negligent supervision claim
against defendant. However, the discretionary function exception precludes the court’s jurisdiction to
review plaintiff’s negligent hiring and retention claim.
IT IS THEREFORE ORDERED that defendant’s motion to dismiss (Doc. 38) is denied as to
Counts I, IV, and V.
IT IS FURTHER ORDERED that defendant’s motion to dismiss is granted as to plaintiff’s
negligent hiring and retention claim, but the court retains jurisdiction over plaintiff’s negligent
supervision claim against defendant in Count II. Defendant’s motion to dismiss is also granted as to
Counts III and VI.
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IT IS FURTHER ORDERED that defendant Robert McDonald is dismissed as a defendant in
this case.
Dated this 10th day of May, 2017, at Kansas City, Kansas.
s/ Carlos Murguia____________
CARLOS MURGUIA
United States District Judge
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