BRYAN RANES vs. ADAMS LABORATORIES, INC.; ADAMS RESPIRATORY THERAPEUTICS; OWL PHARMACY; FRANK REZNICEK; AMANDA MATHEWS; HY-VEE, INC.; McKESSON CORPORATION; and MICHAEL RINALDI
Annotate this Case
Download PDF
IN THE SUPREME COURT OF IOWA
No. 06–1428
Filed February 5, 2010
BRYAN RANES,
Appellant,
vs.
ADAMS LABORATORIES, INC.; ADAMS RESPIRATORY THERAPEUTICS;
OWL PHARMACY; FRANK REZNICEK; AMANDA MATHEWS; HY-VEE,
INC.; McKESSON CORPORATION; and MICHAEL RINALDI,
Appellees.
Appeal from the Iowa District Court for Appanoose County, E. Richard
Meadows, Jr., Judge.
Plaintiff appeals and defendants cross-appeal from various rulings by
the district court in a toxic-tort case that resulted in the dismissal of the
claims. AFFIRMED.
Curt N. Daniels, Chariton, for appellant.
Stephen R. Eckley of Belin Lamson McCormick Zumbach Flynn, P.C.,
Des Moines, for appellee Adams Laboratories, Inc.
Thomas H. Walton and Kristina M. Stanger of Nyemaster, Goode,
West, Hansell & O’Brien, P.C., Des Moines, for appellees Owl Pharmacy,
Frank Reznicek, and Amanda Mathews.
Kermit B. Anderson and Stacie M. Codr of Finley, Alt, Smith,
Scharnberg, Craig, Hilmes & Gaffney, P.C., Des Moines, for appellee Hy-Vee,
Inc.
2
Patrick H. O’Neill, Jr. of O’Neill & Murphy, LLC, St. Paul, Minnesota,
and William J. Bush of Bush, Motto, Creen, Koury & Halligan, P.L.C.,
Davenport, for appellee McKesson Corporation.
Michael H. Figenshaw of Bradshaw, Fowler, Proctor & Fairgrave, P.C.,
Des Moines, for appellee Michael Rinaldi.
3
CADY, Justice.
In this appeal from various summary judgment rulings by the district
court in a toxic-tort case involving a claim that the ingestion of prescription
medication allegedly containing phenylpropanolamine caused brain injury,
we primarily consider the admissibility of testimony from an expert witness
that the injuries allegedly suffered by the plaintiff were caused by the
ingestion of phenylpropanolamine.
The district court determined the
causation opinion by the expert witness would be inadmissible at trial and
granted summary judgment to the defendants.
On appeal, we affirm the
decision of the district court.
I. Background Facts and Proceedings.
Phenylpropanolamine (PPA) is a drug that was used over the course of
three decades as an ingredient in many cough and cold products, as well as
in appetite-suppressant products. It was approved by the Food and Drug
Administration (FDA) in the 1970s as safe and effective and eventually
became one of the most commonly used drug ingredients in the United
States. It was widely used in both prescription and over-the-counter drugs,
with billions of doses sold each year.
In November 2000, the FDA notified manufacturers and distributors of
drug products containing PPA that
a recent epidemiological study,
conducted by the Yale University School of Medicine in collaboration with
the FDA and manufacturers of PPA, had found a low risk of hemorrhagic
stroke among women who used weight-loss products containing PPA. The
FDA did not initiate a drug recall in response to the study, but recommended
drug companies discontinue marketing products containing PPA. The study
found no increased risk of hemorrhagic stroke among men who used
products with PPA. It also found no increased risk among women who used
cold and cough products containing PPA, but suggested such products
4
presented a possible risk for hemorrhagic stroke in women based on the
increased risk found with weight-loss products. See Walter N. Kernan, et al.,
Phenylpropanolamine and the Risk of Hemorrhagic Stroke, 343 New Eng. J.
Med. 1826, 1826–32 (2000) [hereinafter Kernan].
The FDA recommendation was widely reported to the public by the
news media.
Most manufacturers of the drug products containing PPA
promptly responded to the announcement by discontinuing the distribution
of their products containing PPA, including Adams Laboratories, Inc. and
Adams Respiratory Therapeutics, the manufacturers of a prescription cough
and cold medicine containing PPA called “Aquatab C.” Adams also notified
distributors and customers to return the product. Adams then reformulated
Aquatab C by substituting PPA with pseudophedrine and made the new
product available in March 2001. Aquatab C was distributed for Adams by
McKesson Corporation.
On February 4, 2002, Bryan Ranes ingested Aquatab C. He had gone
to Mercy Medical Center in Centerville with complaints of a sore throat,
congestion, and a stuffy nose.
He was seen by Dr. Michael Rinaldi, who
prescribed three medications, including Aquatab C. Ranes’ mother went to
Owl Pharmacy in Centerville to fill the Aquatab C prescription.
The
pharmacist who filled the prescription was Amanda Mathews.
The
supervising pharmacist at Owl Pharmacy was Frank Reznicek.
Owl
Pharmacy did not have Aquatab C in stock at the time, but obtained it for
Ranes from a nearby Hy-Vee Pharmacy.
Within thirty-five minutes of ingesting a tablet of Aquatab C, Ranes
claimed he began to experience intense and excruciating pain on the left side
of his head and numbness in his left arm and left side of his head. These
symptoms, and many others, allegedly reoccurred after Ranes ingested
additional tablets of Aquatab C.
5
In the months and years that followed, Ranes was seen by a number of
physicians at a number of medical facilities both in and outside Iowa for a
growing number of symptoms and complaints.
The complaints and
symptoms Ranes reported included convulsions, urinary incontinence,
unsteady walk, vision and hearing problems, back and chest pain, diarrhea,
altered taste and smell, muscle spasms, arm pain and weakness, tremors,
numbness, and even the sight of worms crawling out of his hands. Some of
the symptoms predated the ingestion of PPA.
Prior to Ranes’ visit with
Dr. Rinaldi, on November 14, 2001, Ranes was examined at the Centerville
Medical Clinic by Dr. Donald Fraser for multiple complaints of pain in every
body part.
The results of the examination were normal, and Dr. Fraser
believed the complaints may have been attributable to general psychiatric
problems such as hypochondriasis and chronic anxiety.
Following Ranes’ visit with Dr. Rinaldi on February 4, 2002, Ranes
was examined by a variety of physicians. An examination at Mercy Hospital
in Des Moines on February 8, 2002, four days after Ranes was prescribed
Aquatab C, included an MRI of the brain. The MRI was unremarkable, and
the
neurological
examination
by
Dr. Paul
Babikian
was
normal.
Dr. Babikian testified he did not believe Ranes suffered from vasculitis of the
cerebral vascular system. Subsequently, on March 6, 2002, Ranes was seen
by Dr. Hala Shamsuddin, an infectious disease specialist at the University of
Iowa Hospitals and Clinics.
The accompanying neurological examination
was normal, although Dr. Shamsuddin’s records indicate Ranes may have
been suffering from somatization disorder (a multisymptomatic disorder
characterized by multiple physical complaints with no known medical
explanation) and delusions of parasitosis.
A CT scan at Mercy Medical
Center in Des Moines on March 13, 2002, was normal, with no indication of
intracranial hemorrhage.
Ranes was subjected to a multispecialty team
6
evaluation conducted at Mayo Clinic in Rochester, Minnesota, from
March 25, 2002, to April 26, 2002. A CT scan of the brain was normal, and
no neurological disorder was observed by neurologist Dr. Jeffrey Britton.
Doctors could find no indication of a stroke, intracranial hemorrhage, or
seizure. An MRI, MRA, CT scan, and spinal tap conducted at St. Anthony’s
Regional Medical Hospital in Rockford, Illinois, on April 30, 2002, showed no
abnormalities.
St. Anthony’s neurosurgeon Dr. Charles Wright could not
diagnose Ranes with a neurological disorder, but his summary reported
possible significant depression.
Still unsatisfied with the results, Ranes
went to the University of Nebraska Medical Center on August 8, 2002. An
MRI of the brain and an MRA of the heart conducted at the University of
Nebraska Medical Center were normal. A neurological exam conducted at
Creighton Medical Center on September 10, 2002, was normal. Finally, on
November 11, 2003, an examination performed at Washington University
School of Medicine by Dr. Jin-Moo Lee, a stroke neurologist and assistant
professor of neurology, concluded the symptoms displayed by Ranes from
February of 2002 to date were not consistent with a stroke.
Dr. Lee
considered PPA in his analysis and ruled it out due to the absence of stroke
in Ranes’ case.
On March 5, 2004, Ranes filed a lawsuit against multiple individuals
and corporations based on multiple legal claims, including negligence, strict
liability, fraudulent nondisclosure, breach of fiduciary duty, battery, and
infliction of emotional distress.
Underlying each legal claim was an
allegation that the ingestion of Aquatab C supplied by the defendants was
the cause of a brain stroke or other neurological event that resulted in his
myriad ailments.
Ranes continued to seek out medical evaluations after he filed his
lawsuit. In April of 2004, Ranes was examined at the McFarland Clinic in
7
Ames by Dr. Michael Kitchell, a neurologist.
Dr. Kitchell found some
indication of neurological problems, but no evidence of a stroke. Dr. Kitchell
believed, to a reasonable degree of medical certainty, that Ranes’ symptoms
were not associated with PPA. In April and May of 2005, Dr. Terry Rolan
and Dr. Dale Vaslow at the University of Missouri School of Medicine
similarly found Ranes suffered from neurologically related symptoms, but his
problems were not associated with a cerebral hemorrhage. They too did not
believe Ranes’ case was associated with PPA, but rather most likely a
“parainfectious autoimmune event leading to a brain stem encephalitis.”
Dr. Rolan also believed Ranes likely had a psychological aspect to his
problems.
During the course of the legal proceedings, Ranes identified Dr. Mark
Thoman as an expert witness who would testify at trial in support of his
claim that his ailments resulted from a brain stroke or otherwise permanent,
progressively degenerative neurological sequelae caused by the ingestion of
Aquatab C containing PPA. Dr. Thoman is a specialist in toxicology and has
primarily practiced medicine as a pediatrician. He is not a neurologist and
has not authored any reports or articles on the effects of PPA. He is not one
of Ranes’ treating physicians and has never examined him.
Dr. Thoman
agrees that his diagnosis of vasculitis is not supported by any imaging tests
or other medical tests. Dr. Thoman diagnosed Ranes with vasculitis because
he believed Ranes’ continual signs and symptoms are consistent with the
toxic effects of PPA.
The defendants identified Dr. Michael Jacoby, a
neurologist, as one of their expert witnesses for trial. Dr. Jacoby concluded
the symptoms identified by Ranes did not result from a stroke, but were
consistent
with
a
progressive
degenerative
neurological
condition.
Dr. Jacoby agreed with other neurologists who concluded Ranes did not
suffer from vasculitis. He disagreed with Dr. Thoman’s diagnosis.
8
Defendants eventually moved for summary judgment on a variety of
grounds, including the claim that Dr. Thoman was not qualified to render an
opinion that the ingestion of PPA caused Ranes’ alleged injuries, and such
an opinion failed to satisfy the standard of reliability.
The defendants
claimed summary judgment was proper because Ranes could not establish
the causation element of any of his claims without expert opinion evidence.
The motion for summary judgment was preceded by a motion to exclude the
opinion
testimony
of
Dr. Thoman
from
trial.
Ranes
acknowledged
Dr. Thoman was the only witness who would testify at trial that the ingestion
of PPA was a cause of Ranes’ alleged injuries.
However, he claimed
Dr. Thoman was qualified to provide opinion testimony on causation, and
his opinion was reliable and admissible.
In a detailed and well-written decision, the district court found
Dr. Thoman’s testimony on causation should be excluded from trial.
The
court found Dr. Thoman was unqualified to testify about his diagnosis that
Ranes suffered from a neurological injury. It further found the differential
diagnosis methodology used by Dr. Thoman, purporting to link PPA to the
alleged neurological injuries by Ranes, was unreliable under Iowa law and
relevant considerations. The court granted the motion to exclude his opinion
from trial and granted summary judgment for all defendants.
Ranes appealed from the decision by the district court to exclude the
opinion testimony of Dr. Thoman and to grant summary judgment.
Defendants cross-appealed from various prior summary judgment rulings by
the district court.
On appeal, Ranes claims the district court abused its
discretion to exclude the opinion testimony of Dr. Thoman from trial and
erred in granting summary judgment.
9
II. Standard of Review.
We review a trial court’s decision to admit or exclude expert testimony
for an abuse of discretion.
Hyler v. Garner, 548 N.W.2d 864, 868 (Iowa
1996). Thus, we will reverse a decision by the district court concerning the
admissibility of expert opinions only when the record shows “the court
exercised [its] discretion on grounds or for reasons clearly untenable or to an
extent clearly unreasonable.” State v. Maghee, 573 N.W.2d 1, 5 (Iowa 1997).
“A ground or reason is untenable when it is not supported by substantial
evidence or when it is based on an erroneous application of the law.” Graber
v. City of Ankeny, 616 N.W.2d 633, 638 (Iowa 2000). This standard applies
the same to rulings admitting and rulings denying the testimony. Gen. Elec.
Co. v. Joiner, 522 U.S. 136, 142, 118 S. Ct. 512, 517, 139 L. Ed. 2d 508, 517
(1997) (noting federal courts apply abuse-of-discretion standard in reviewing
decisions to admit or exclude expert testimony).
We review a district court decision to grant or deny a motion for
summary judgment for correction of errors at law. Kolarik v. Cory Int’l Corp.,
721 N.W.2d 159, 162 (Iowa 2006).
We examine the record to determine
whether a material fact is in dispute and, if not, whether the district court
properly applied the law. Robinson v. Fremont County, 744 N.W.2d 323, 325
(Iowa 2008). Summary judgment is proper when the plaintiff’s claim lacks
evidence to support a jury question on an essential element of the claim.
Parish v. Jumpking, Inc., 719 N.W.2d 540, 543 (Iowa 2006).
III. Expert Testimony on Proof of Causation in Iowa.
Generally, we have been committed to a liberal view on the
admissibility of expert testimony. See Leaf v. Goodyear Tire & Rubber Co.,
590 N.W.2d 525, 532 (1999) (citing court’s history of maintaining liberal view
on admissibility). Our broad test for admissibility of expert testimony has
two preliminary areas of judicial inquiry that must be considered before
10
admitting expert testimony. See Iowa R. Evid. 5.702. The court must first
determine if the testimony “will assist the trier of fact” in understanding “the
evidence or to determine a fact in issue.” Id. This preliminary determination
not only requires the court to consider the existence of a reliable body of
“scientific, technical, or other specialized knowledge,” but it also requires the
court to ensure the evidence is relevant in assisting the trier of fact. See
Johnson v. Knoxville Cmty. Sch. Dist., 570 N.W.2d 633, 637 (Iowa 1997)
(stating that, to be relevant, the evidence must be reliable, and reliability is
an implicit requirement of admissibility under Iowa Rule of Evidence 5.702
because “unreliable testimony cannot assist the trier of fact”); see also
Bonner v. ISP Techs., Inc., 259 F.3d 924, 929 (8th Cir. 2001) (“The rule’s
concern with ‘scientific knowledge’ is a reliability requirement, while the
requirement that the evidence ‘assist the trier of fact to understand the
evidence or determine a fact in issue’ is a relevance requirement.”). Second,
the court must determine if the witness is qualified to testify “as an expert by
knowledge, skill, experience, training, or education.” Iowa R. Evid. 5.702.
In assessing the reliability of scientific evidence under the first area of
preliminary inquiry, we essentially utilize an ad hoc approach to decide if the
scientific area of expertise produces results that are reliable enough to assist
the trier of fact. State v. Hall, 297 N.W.2d 80, 85 (Iowa 1980) (rejecting Frye
test of general scientific acceptance).
When the scientific evidence is
particularly novel or complex, however, we have suggested that courts
consider the relevant factors identified by the United States Supreme Court
in Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579, 593–94, 113
S. Ct. 2786, 2796–97, 125 L. Ed. 2d 469, 482–83 (1993). Leaf, 590 N.W.2d
at 532. These factors help assess reliability of expert evidence by evaluating
the scientific validity of the reasoning and methodology as applied to the
facts of the case.
Daubert, 509 U.S. at 592–93, 113 S. Ct. at 2796, 125
11
L. Ed. 2d at 482; see also Bonner, 259 F.3d at 929 (recognizing the purpose
of Daubert factors). These factors are:
(1) whether the theory or technique is scientific knowledge that
can and has been tested, (2) whether the theory or technique
has been subjected to peer review or publication, (3) the known
or potential rate of error, or (4) whether it is generally accepted
within the relevant scientific community.
Leaf, 590 N.W.2d at 533.
The target of the court’s scrutiny is on the
principles and methodologies used to reach the expert’s conclusions, not the
conclusions themselves. Daubert, 509 U.S. at 595, 113 S. Ct. at 2797, 125
L. Ed. 2d 484.
We emphasize that the ad hoc Hall test remains our general approach
to evaluating reliability, but the rapid advancements in science and medicine
have presented particularly unique challenges for courts seeking to ensure
the integrity of scientific evidence used by juries.
This judicial role has
become increasingly difficult and complex, yet important, as the access to
and availability of sources of information and opinions continue to expand.
Thus, we encourage a more expansive judicial gatekeeping function in
difficult scientific cases.
At the same time, it follows that application of
Daubert considerations is not appropriate in cases involving “technical[] or
other specialized knowledge” because such nonscientific evidence is not as
complex.
Johnson, 570 N.W.2d at 639.
As a result, the foundational
showing of reliability for nonscientific evidence is correspondingly lower. See
id. at 637.
For example, we have previously noted the inapplicability of
Daubert to “general medical issues.”
Id. at 638 (quoting Thornton v.
Caterpillar, Inc., 951 F. Supp. 575, 578 (D.S.C. 1997)).
In all circumstances involving expert testimony, the proponent of the
evidence has the burden of demonstrating to the court as a preliminary
question of law the witness’s qualifications and the reliability of the witness’s
12
opinion. Iowa R. Evid. 5.104(a); see State v. Myers, 382 N.W.2d 91, 93 (Iowa
1986); see also McClain v. Metabolife Int’l, Inc., 401 F.3d 1233, 1238 (11th
Cir. 2005). Although it is the province of the jury to evaluate the credibility
of expert witnesses, trial courts have a well-recognized role as guardians of
the integrity of expert evidence offered at trials. See, e.g., 31A Am. Jur. 2d
Expert and Opinion Evidence § 47, at 73 (2002) (“The qualifications of an
expert witness must be carefully scrutinized by the court to guard against a
pseudolearned person or charlatan who may give erroneous testimony or
opinions without a sound foundation.” (citing Webb v. Olin Mathieson Chem.
Corp., 342 P.2d 1094, 1097 (Utah 1959))); Kumho Tire Co. v. Carmichael, 526
U.S. 137, 149, 119 S. Ct. 1167, 1174–75, 143 L. Ed. 2d 238, 251 (1999); see
also Iowa R. Evid. 5.104(a) official cmt.; Leaf, 590 N.W.2d at 534 (noting
“issues of admissibility of expert testimony will be raised prior to trial”).
Like Daubert, the case before us is a toxic-tort case.
The proffered
testimony at issue involves complex medical issues, including the potential
biological effect of PPA on the human body and on Ranes, a corresponding
differential diagnosis, and the alternative diagnosis of a complex neurological
disease. Such testimony is certainly complex, and it has the “potential to
achieve an exaggerated impact on the fact-finding process.”
Leaf, 590
N.W.2d at 534. The facts presented are far from “general,” and unlike the
cases cited in Johnson, the methodology in this case is not “based on
practical experience and acquired knowledge,” but on a somewhat novel
scientific procedure characteristic of “scientific knowledge.” 570 N.W.2d at
638. Additionally, Daubert itself was a toxic-tort case involving a complex
issue of causation. See Daubert, 509 U.S. at 582, 113 S. Ct. at 2791, 125
L. Ed. 2d at 476. Thus, the district court’s application of relevant Daubert
considerations in preliminarily assessing the reliability of Dr. Thoman’s
13
methodology was appropriate under Iowa law as an exercise of the court’s
gatekeeping function. 1
IV. Qualification of an Expert.
A witness is qualified to assist the jury as an expert to resolve a
disputed fact if the witness has adequate “knowledge, skill, experience,
training, or education” on the subject matter in question.
Iowa R. Evid.
5.702. All expert witnesses must be qualified in the area of their testimony
based on one of the five areas of qualification. Yet, a particular degree or
type of education is not needed. Leaf, 590 N.W.2d at 535. Moreover, an
expert does not need to be a specialist in the area of the testimony as long as
the testimony is within the general area of expertise of the witness. Mensink
v. Am. Grain, 564 N.W.2d 376, 379 (Iowa 1997). However, the qualifications
of an expert can only be properly assessed in the context of the issues to be
determined by the fact finder.
A. Overview of Analysis. In this case, the disputed factual issue is
whether the PPA contained in Aquatab C medication caused the plaintiff’s
injuries.
The district court in this case examined the issue in terms of
“general” and “specific” causation. Courts have commonly bifurcated toxictort-causation analysis into two separate but related parts:
causation and specific causation.
general
See David E. Bernstein, Getting to
Causation in Toxic Tort Cases, 74 Brook. L. Rev. 51, 52–53 ns.4, 6 (2008)
[hereinafter Bernstein]; see also Henricksen v. ConocoPhillips Co., 605
F. Supp. 2d 1142, 1155 (E.D. Wash. 2009) (“Courts in toxic tort cases often
separate
the
1Federal
causation
inquiry
into
general
causation
and
specific
Rule of Evidence 702 was amended following the Supreme Court’s holding
in Daubert and is consistent with Daubert’s holding. See 3 David L. Faigman, et al., Modern
Scientific Evidence: The Law and Science of Expert Testimony § 22:8 & n.2, at 127–28 (2008–
2009 ed.). Because we determine Daubert principles should apply in this case, we proceed
with our analysis using relevant authority that applies and interprets Federal Rule of
Evidence 702.
14
causation.”); Anderson v. Hess Corp., 592 F. Supp. 2d 1174, 1178 (D.N.D.
2009); In re Rezulin Prods. Liab. Litig., 369 F. Supp. 2d 398, 401–02
(S.D.N.Y. 2005); Bourne ex rel. Bourne v. E.I. Dupont de Nemours & Co., 189
F. Supp. 2d 482, 485 (S.D. W. Va. 2002); 3 David L. Faigman, et al., Modern
Scientific Evidence: The Law and Science of Expert Testimony § 21:2 & n.1, at
8 (2008–2009 ed.) [hereinafter Faigman] (“Cause-in-fact in toxic tort cases is
usually thought of as two separate issues: general causation and specific
causation.”). General causation is a showing that the drug or chemical is
capable of causing the type of harm from which the plaintiff suffers.
Mary Sue Henifin, et al., Reference Guide on Medical Testimony, in Reference
Manual on Scientific Evidence 439, 444 (Fed. Judicial Ctr. 2d ed. 2000)
[hereinafter Henifin].
Specific causation is evidence that the drug or
chemical in fact caused the harm from which the plaintiff suffers. Id. One
scholar has traced American courts’ usage of the bifurcated causation
See Joseph Sanders, The
analysis to a 1983 Agent Orange case.
Controversial Comment C: Factual Causation in Toxic-Substance and Disease
Cases, 44 Wake Forest L. Rev. 1029, 1048 n.5 (2009) (referring to In re
“Agent Orange” Prod. Liab. Litig., 570 F. Supp. 693, 695 (E.D.N.Y. 1983)).
The Third Restatement of Torts has recognized this relatively recent common
practice as a “device[] to organize a court’s analysis” and not as additional
elements of the tort. Restatement (Third) of Torts: Liability for Physical and
Emotional Harm § 28 cmt. c, at 405 (2010).
The Restatement authors
supplement their explanation by asserting factual causation is a necessary
element in every tort case; the “general and specific” language has simply
become more prevalent in toxic-tort cases.
See id. at 402 (“The special
problem in these cases, however, is proving the connection between a
substance and development of a specific disease. In all of these cases, the
requirement to prove factual causation remains the same[.]”). The primary
15
difference between toxic-tort cases and other types of tort cases is that, in
nontoxic-tort cases, both general and specific causation are often easily
proven with the same evidence. Id. (noting when a plaintiff is injured in an
automobile accident, for example, “potential causal explanations other than
the collision are easily ruled out [i.e., specific causation]; common experience
reveals that the forces generated in a serious automobile collision are
capable of causing a fracture [i.e., general causation]”).
This bifurcated analysis has not been explicitly used as the standard
in Iowa. However, due to its general acceptance among scholars and courts
of other jurisdictions, as well as the relative ease of application the analysis
offers to courts examining complex issues of causation, we believe it is
appropriate for courts to use the bifurcated causation language in toxic-tort
cases.
In the toxic-tort case before us, both types of causation must be
proven, and expert medical and toxicological testimony is unquestionably
required to assist the jury.
Consequently, Ranes offered the testimony of
Dr. Mark Thoman to not only show the effects that PPA is capable of
producing, but also that the PPA contained in Aquatab C actually caused the
neurological injuries alleged by Ranes.
The relevant expert or experts on causation in toxic-tort cases must be
qualified to testify competently to both general and specific causation. See
Hyler, 548 N.W.2d at 868 (recognizing “[t]he witness must be qualified to
answer the particular question propounded”).
Yet, we have previously
determined “there is no requirement that the expert be able to express an
opinion with absolute certainty.
A lack of absolute certainty goes to the
weight of the expert’s testimony, not to its admissibility.” Johnson, 570
N.W.2d at 637 (citation omitted). Thus, the plaintiff’s expert must only be
qualified to offer a theory of causation for the jury’s consideration, not
absolute certainty. There must be evidence that would permit a reasonable
16
person to conclude the drug probably caused the injury claimed. With this
in mind, we turn to consider the “knowledge, skill, experience, training or
education” of Dr. Thoman.
B. Qualification of Dr. Thoman.
Dr. Thoman is a toxicologist.
Toxicologists study the nature, effects, and detection of poisons and
specialize in the treatment of poisoning.
Commonly accepted traits of a
qualified expert in toxicology include a degree in toxicology (a recently
developed postgraduate program at many universities), certification by the
American Board of Toxicology, and membership in professional toxicological
organizations, such as the Academy of Toxicological Sciences. Bernard D.
Goldstein & Mary Sue Henifin, Reference Guide on Toxicology, in Reference
Manual on Scientific Evidence 401, 415–17 (Fed. Judicial Ctr. 2d ed. 2000)
[hereinafter Goldstein & Henifin].
Dr. Thoman appears to be qualified to testify about the effects of PPA
on the human body, including common symptoms of PPA poisoning, and
whether
those
effects
appeared
in
the
plaintiff’s
medical
records.
Dr. Thoman holds a medical degree, is certified by the American Board of
Medical Toxicology, and is a member of a variety of national toxicology
associations.
The record also reflects that Dr. Thoman has extensive
experience in the practice of toxicology.
Although Dr. Thoman has not
personally conducted a study involving PPA, it is the commonly accepted
practice of toxicologists to review the relevant research literature and
treatises before rendering an expert opinion. See Goldstein & Henifin at 415.
Dr. Thoman testified that he reviewed numerous case studies in medical
journals before arriving at his conclusion. Thus, the district court did not
abuse its discretion by concluding Dr. Thoman was qualified to render an
opinion on general causation, and we proceed to consider whether
17
Dr. Thoman was also qualified to opine that PPA probably caused the
specific harm alleged in this case.
The district court found Dr. Thoman was not qualified to testify that
PPA caused Ranes’ specific injuries because Dr. Thoman is not a neurologist,
and he purported to include a neurological diagnosis as the foundation of his
opinion. The district court considered Dr. Thoman’s testimony as an offer of
proof that Ranes suffered from vasculitis. However, we believe the inquiry is
narrower.
Although Dr. Thoman is not a specialist in neurology, he may
nevertheless be qualified to offer an expert opinion on the cause of Ranes’
alleged injury if he otherwise has adequate knowledge, skill, experience, or
training that would aid the jury in deciding if Ranes’ injuries were in fact
caused by PPA. An expert’s qualification “should always relate to his or her
background, education, and experience, rather than to a label which may be
applied to a profession or trade.”
Evidence § 41, at 66–67 (2002).
31A Am. Jur. 2d Expert and Opinion
Indeed, our rule of evidence does not
include a requirement for how the qualifications to testify should be
obtained, and our previous cases have held “[t]he criteria for qualifications
under rule 702 . . . are too broad to allow distinctions based on whether or
not a proposed expert belongs to a particular profession or has a particular
degree.”
Hutchison v. Am. Family Mut. Ins. Co., 514 N.W.2d 882, 887–88
(Iowa 1994).
Once qualified adequately as a toxicologist by education,
background, and experience, the expert may render an opinion on specific
causation by applying a scientifically valid methodology to the facts of the
case. See Goldstein & Henifin at 419. Thus, Dr. Thoman is not unqualified
to give an opinion on specific causation in this case solely because he is not
a neurologist.
The evidence in this case showed Dr. Thoman has read literature on
the effects that PPA potentially has on the human brain.
Dr. Thoman’s
18
clinical experiences as a physician and toxicologist have generally made him
familiar with the biological effects of sympathomimetics such as cocaine,
amphetamine,
and
PPA.
As
a
board-certified
medical
toxicologist,
Dr. Thoman was certainly qualified to discuss the potential effects of PPA on
the human body, but Dr. Thoman was also qualified to offer an analysis of
PPA’s potential effects on Ranes.
Consequently, we next turn to consider
whether Dr. Thoman’s analysis in this case was scientifically sound.
In
doing so, we must decide whether the district court abused its discretion by
excluding Dr. Thoman’s testimony as unreliable.
V.
Reliability of the Scientific Knowledge of a Qualified Expert.
Dr. Thoman offered a differential diagnosis to show both general and
specific causation in this case.
In order to determine whether this
differential diagnosis is reliable, we must first decide whether a sufficiently
reliable scientific foundation existed for Dr. Thoman’s decision to “rule in”
PPA as a potential cause of Ranes’ alleged injuries. We begin by scrutinizing
Dr. Thoman’s opinion on general causation because his differential diagnosis
rests on the necessary assumption that the underlying methodology used to
rule PPA in as a cause is sound. Failure to reliably “rule in” the defendant’s
drug as a cause of the injuries in a particular case is commonly fatal to
plaintiffs seeking to survive summary judgment in toxic tort cases.
See
Faigman § 21:2, at 9 (“[A] failure to lay a sufficient general causation
predicate is often cited as grounds for excluding an expert’s differential
diagnosis testimony.”); id. § 21:6, at 25 (“The ‘rule in before ruling out’
position of Cavallo [v. Star Enter., 892 F. Supp. 756 (E.D. Va. 1995), aff’d in
relevant part, 100 F.3d 1150, 1159 (4th Cir. 1996)] presumes that at least in
toxic tort cases a differential diagnosis, no matter how well done, can rarely,
by itself, prove general causation.”); see also Hollander v. Sandoz Pharms.
Corp., 289 F.3d 1193, 1210–11 (10th Cir. 2002) (“In order to ‘rule in’ Parlodel
19
as a scientifically plausible cause of Ms. Hollander’s stroke, the Hollanders’
experts would need to present reliable evidence that the drug can cause
strokes . . . .”); Meister v. Med. Eng’g Corp., 267 F.3d 1123, 1130 (D.C. Cir.
2001) (no causal link between silicone breast implants and scleroderma,
thus no liability); Raynor v. Merrell Pharms. Inc., 104 F.3d 1371, 1376 (D.C.
Cir. 1997) (“[T]estimony on specific causation had legitimacy only as followup to admissible evidence that the drug in question could in general cause
birth defects.
That first step, establishing a link between Benedectin and
human birth defects (general causation) is missing here.”); Kolesar v. United
Agri Prods., Inc., 412 F. Supp. 2d 686, 697 (W.D. Mich. 2006) (explaining
that a valid differential diagnosis entails excluding alternative causes of a
disease to arrive at a conclusion); Coastal Tankships, U.S.A., Inc. v.
Anderson, 87 S.W.3d 591, 609–10 (Tex. App. 2002) (“In the toxic-tort
context, a plaintiff must establish general causation for a differential
diagnosis to be relevant to show specific causation.”). Due to the inherent
logic in the “rule in before ruling out” approach, and the intricate ties in this
case between Dr. Thoman’s differential diagnosis of causation and proof of
general causation, we will begin our reliability analysis with a discussion of
general causation.
A. Overview of Reliability Under General Causation Analysis. Rule
5.702 places a gatekeeping function with the district court to “[ensure] that
evidence submitted to the jury meets [the rule’s] criteria for relevance and
reliability.”
Bonner, 259 F.3d at 929.
factually sensitive analysis.
Id.
The evaluation of reliability is a
The amount of foundation necessary to
show reliability necessarily increases with the complexity of the case and the
corollary likelihood the expert testimony will have a substantial impact on
the fact finder.
Johnson, 570 N.W.2d at 637.
Yet, reliability should be
assessed by examining the expert’s “ ‘principles and methodology, not . . .
20
the conclusions that they generate.’ ”
Bonner, 259 F.3d at 929 (quoting
Daubert, 509 U.S. at 595, 113 S. Ct. at 2797, 125 L. Ed. 2d at 484).
As
applied to this case, the expert’s methodology underlying his opinion must
be evaluated both as to general and specific causation. See id. at 931–32
(reviewing expert’s methodology in arriving at conclusion with respect to
both types of causation). Thus, we will review the reliability of Dr. Thoman’s
methodology in reaching a conclusion on each type of causation.
B. Reliability of Dr. Thoman’s Testimony.
In order to establish
general causation, Ranes must show PPA is capable of causing the injuries
he claims.
See Henifin at 469 (“The third step [in determining external
causation] is to demonstrate that the medical and scientific literature
provides
evidence
that
in
some
circumstances
the
exposure
consideration can cause the outcome under consideration.
under
This step is
synonymous with establishment of general causation.”). Problems can often
arise in showing reliability of causation testimony in toxic-tort cases because
of the “uncertainties concerning the mechanisms by which medical
conditions develop from [exposure to a toxic substance] and the difficulties of
ruling out other potential causes of those conditions.” 4 Jack B. Weinstein
& Margaret A. Berger, Weinstein’s Federal Evidence § 702.06(c)(i), at 702–
127 (Joseph M. McLaughlin ed., 2d ed. 2009).
When no scientific basis
exists for conclusively identifying causation between the plaintiff’s medical
condition and the alleged wrong, medical experts recognize certain protocols
to permit an opinion on causation to be expressed in terms of a reasonable
medical certainty. Id. at 702–128.
The proffered evidence by Ranes on general causation was based
primarily on case studies and case reports on the association between PPA
and incidents of diagnosed stroke or vasculitis. Dr. Thoman did not conduct
his own study on the effects of PPA on Ranes or on any other patients.
21
Thus, with Daubert considerations in mind, we assess the validity of
Dr. Thoman’s methodology based on the research and literature available to
him.
The district court examined whether Dr. Thoman’s theory is “scientific
knowledge that can and has been tested” and whether the theory or
technique “has been subjected to peer review or publication.” We have also
highlighted one particular factor in our previous case law:
“proof of
acceptance of the theory or technique in the scientific community.”
Leaf,
590 N.W.2d at 534. As the district court correctly points out, there is no
dispute Dr. Thoman’s personal theory that PPA can cause progressive,
degenerative neurological symptoms, based on studies suggesting PPA may
cause risk of stroke and vasculitis, has not been published or subjected to
peer review.
The main considerations under scrutiny are whether
Dr. Thoman’s theory “is scientific knowledge that can and has been tested”
and whether his methodology is generally accepted in the fields of medicine
and toxicology.
Normally, general causation can be satisfied in part by
medical and scientific literature supporting the conclusion that a drug is
capable of causing the relevant injury. See Henifin at 469. However, the
scientific value of various studies must be considered to fully understand the
evidence an expert is justified in relying upon in any particular causation
methodology.
Dr. Thoman relied on two different types of studies in formulating his
general causation opinion:
a case-control study and case reports (also
referred to as “case studies”). Dr. Thoman did not use any clinical trials. In
epidemiological parlance, clinical trials are considered the “gold standard”
for determining the relationship between a drug and a health outcome. See
Michael D. Green et al., Reference Guide on Epidemiology, in Reference
Manual on Scientific Evidence 333, 338 (Fed. Judicial Ctr. 2d ed. 2000). In
22
clinical trials, participants are divided into two groups: one group is exposed
to the substance under study and the other group, a “control group,” is left
unexposed. Id. Yet, clinical trials are not commonly available for the study
of harmful toxins because ethical constraints preclude it.
See id. at 339
(observing “[w]hen an agent’s effects are suspected to be harmful, we cannot
knowingly expose people to the agent”).
Thus, medical experts are
accustomed to using other methods of arriving at a causation opinion.
One such alternative method is to consider relevant case-control
studies.
Case-control studies “measure and compare the frequency of
exposure in the group with the disease (the ‘cases’) and the group without
the disease (the ‘controls’). . . . [C]ase-control studies begin with individuals
who are selected based on whether they have the disease or do not have the
disease . . . .” Id. at 340. Experts assess the validity of using these studies
in a particular case according to the studies’ direct relevance to the injuries
alleged in a case and according to the studies’ known sources of error. See
id. at 354; see also In re Rezulin, 369 F. Supp. 2d at 426 (noting “ ‘[e]ven if
an expert’s proposed testimony constitutes scientific knowledge, his or her
testimony will be excluded if it is not scientific knowledge for purposes of the
case’ ” (quoting In re Paoli R.R. Yard PCB Litig., 35 F.3d 717, 743 (3d Cir.
1994))).
Dr. Thoman used one case-control study—the Yale study in the
New England Journal of Medicine—in his general causation analysis.
The
study concluded PPA was likely to cause hemorrhagic stroke in women, but
also concluded “[a]n analysis in men showed no increased risk of
hemorrhagic stroke in association with the use of cough or cold remedies
containing phenylpropanolamine.” Kernan at 1826. Dr. Thoman reasoned,
from this study, PPA can likely cause stroke, and since Ranes likely suffered
a “stroke-like event,” this study tended to show a relevant causal connection.
23
This study is simply not relevant to the case before us. It excludes men and
only references hemorrhagic stroke in women. Moreover, the study does not
describe an injury following PPA ingestion called “stroke-like event.” In fact,
stroke does not appear to be the injury at issue in this case at all.
Dr. Michael
Jacoby,
a
neurologist,
testified
“[t]here
is
no
medically
recognized ‘death-like’ condition of brain cells . . . [and] there is no such
recognized medical condition as a stroke-like event . . . .”
Dr. Thoman
acknowledged he deferred to neurologists to determine whether a stroke in
fact occurred, and all eight neurologists involved with Ranes’ case refuted
the diagnosis of stroke.
Dr. Thoman did not attempt to explain his
extrapolation from the study’s reference to “stroke” to Ranes’ so-called
“stroke-like event,” involving a progressive neurologic degeneration.
As
such, this case-control study is not relevant to the injuries alleged in this
case and cannot be the basis of any general causation opinion.
Next, the record shows Dr. Thoman relied heavily upon several case
reports from various sources. Case reports are reports in medical journals
describing clinical events involving one individual or a few individuals. See
Henifin at 474. The reports may show, among other things, an association
between a specific exposure and a disease or injury. Id. Case report results
are often confirmed or dismissed later by clinical trials or case-control
studies. Id. Because unconfirmed case reports lack controls, they do not
provide as much useful information to medical experts in directly assigning
causation as controlled epidemiological studies.
Id. at 475.
As a result,
“[c]ausal attribution based on case studies must be regarded with caution.”
Id. As the eleventh circuit has articulated,
case reports are merely accounts of medical events. They reflect
only reported data, not scientific methodology. . . .
. . . Even these more detailed case reports, however, are
not reliable enough, by themselves, to demonstrate the causal
24
link the plaintiffs assert that they do because they report
symptoms observed in a single patient in an uncontrolled
context. . . . As such, while they may support other proof of
causation, case reports alone ordinarily cannot prove causation.
Rider v. Sandoz Pharms. Corp., 295 F.3d 1194, 1199 (11th Cir. 2002).
Many courts, like the eleventh circuit, have found expert opinions
based in part on case studies and reports and in part by other data and
individual research to be reliable. See id.; see also Goldstein & Henifin at
475 & n.132. On the other hand, courts generally conclude, as the district
court concluded in this case, that a bare analogy from case reports to the
injuries alleged in a particular case is unreliable. See McClain, 401 F.3d at
1253–54; In re Rezulin, 369 F. Supp. 2d at 426–27; Lennon v. Norfolk & W.
Ry., 123 F. Supp. 2d 1143, 1151–53 (N.D. Ind. 2000).
While there is no
requirement that a medical expert cite published epidemiological studies on
general causation to make a reliable conclusion, the methodology used by
the expert becomes suspect when it is only supported by case reports of
limited use to the medical field.
See Bloomquist v. Wapello County, 500
N.W.2d 1, 5 (1993) (noting “while epidemiological evidence is helpful, it
should not be held to be an absolute requirement in establishing
causation”); see also Bonner, 259 F.3d at 929–31 (noting the general rule
and finding the expert’s subsequent reliance on case reports in addition to
other facts reliable). We likewise believe it is important to the integrity of
expert evidence presented to a jury that case reports are not given more
weight in the courtroom than they would ordinarily be given in the medical
field. Although generally “ ‘the factual basis of an expert opinion goes to the
credibility of the testimony, not the admissibility,’ . . . if an expert’s opinion
is ‘so fundamentally unsupported . . . it can offer no assistance to the jury
. . .,’ ” it must be excluded. Hose v. Chicago Nw. Transp. Co., 70 F.3d 968,
974 (8th Cir. 1995) (quoting Loudermill v. Dow Chem. Co., 863 F.2d 566, 570
25
(8th Cir. 1988)); see also Laurie Kratky Dorè, 7 Iowa Practice: Evidence
§ 5.703:1, at 625 (2009) (“Without reference to some facts pertinent to the
matter in issue, an expert cannot state an opinion that will be of assistance
to the trier of fact.”). Here, the case reports used by Dr. Thoman to support
general causation were not only unaccompanied by additional reliable
methodology and facts, but the disorders addressed in the case reports
described symptoms different from the symptoms experienced by Ranes.
Thus, we proceed to examine these deficiencies.
Dr. Thoman attempted to support the case study conclusions by
offering his own clinical experience with children and some adults in whom
exposure to PPA caused headaches, photophobia, ataxia, chest pain,
weakness, and inappropriate behavior.
these
symptoms
substance.
disappeared
when
Yet, in Dr. Thoman’s experience,
the
patient
stopped
taking
the
In contrast, Ranes’ symptoms not only continued after he
stopped taking Aquatab C, but multiplied. Dr. Thoman made no attempt to
offer an independent analysis in tandem with the case study to explain the
differences between Ranes’ symptoms and existing cases of PPA-induced
injury.
Instead, Dr. Thoman continuously testified there were no existing
case reports that tended to show a patient with or without a diagnosis of
vasculitis had the same symptomology as Ranes. This analysis amounts to a
bare case report analogy, with no accompanying facts or circumstances to
support the analogy. Moreover, if Dr. Thoman had taken his opinion in this
case to a medical journal for publication, it would be in the form of another
case report related to PPA, not a clinical trial or case-control study.
See
McClain, 401 F.3d at 1254. Reasonable medical experts would not rely upon
the presented anecdotal information, standing alone, as providing a
sufficient scientific basis to support the view that PPA causes vasculitis in
males in light of the lack of controls, details, and further analysis.
26
Similarly, courts should not admit opinions based upon unreliable
methodology.
Dr. Thoman sought to sidestep criticism that the case reports
described disorders dissimilar to the disorder suffered by Ranes by
diagnosing Ranes with vasculitis and then connecting this diagnosis with
those particular case reports tending to show a specific instance of vasculitis
may have been caused by the ingestion of PPA.
This analysis, of course,
does not aid in establishing the reliability of the case reports to support
causation because a diagnosis of a disorder does not constitute additional
evidence of causation of the disorder. A diagnosis of vasculitis relates to a
description of the disorder, not additional scientific methodology or evidence
to make the case reports reliable proof of a causal link between PPA and
vasculitis. In the end, Dr. Thoman merely described his own isolated case
report. He does not advance the reliability of his opinion that PPA can cause
vasculitis.
Moreover, the diagnosis of vasculitis made by Dr. Thoman gives rise to
additional
concerns
normally
addressed
in
the
analysis
of
specific
causation. 2 Even assuming there was reliable evidence that PPA can cause
vasculitis, such an opinion is relevant only if Dr. Thoman meets the
foundational standards to diagnosis Ranes with vasculitis. If PPA can cause
vasculitis in men, then part of specific causation requires a showing that the
2In
toxic-tort cases, both general and specific causation address the link between a
drug and a disorder. The evidence to support general causation, however, normally focuses
on the science that shows a causal connection between drugs and disorders in people. In
turn, this science further tends to define the scope or range of disorders linked to the drug.
Thus, if reliable science supports a causal connection between a specific drug and a
particular brain disorder, the plaintiff completes the general causation analysis by alleging
he or she suffered from that brain disorder. The evidence to support specific causation
generally focuses on facts specific to a particular case that show a drug was an actual cause
of the disorder suffered by the plaintiff. Thus, supporting evidence not only pertains to the
cause of disorder, but also relates to a diagnosis of the disorder.
27
disorder suffered by the plaintiff is vasculitis. The diagnosis of vasculitis by
Dr. Thoman is critical to the analysis because he was the only physician to
diagnose Ranes with the disorder.
C. Reliability
Under
Specific
Causation
Analysis.
Specific
causation in toxic-tort cases examines whether the toxin at issue could have
reasonably caused the plaintiff’s specific alleged injuries.
As noted
previously, a differential diagnosis in a proper specific causation analysis
assumes the toxin at issue is capable of causing the outcome under
consideration. See Goldstein & Henifin at 469–70. A differential diagnosis
involves “ruling in” specific causes, followed by a process of elimination, and
“the final suspected ‘cause’ remaining after this process of elimination must
actually be capable of causing the injury.”
Cavallo, 892 F. Supp. at 771.
Since Ranes has failed to reliably show PPA is an external factor to be “ruled
in” to a differential causation diagnosis, it follows he cannot establish PPA
caused his specific injuries.
Additionally, even assuming PPA could be “ruled in” to a differential
causation diagnosis to support the specific causation of the claimed
disorder, Ranes must first show he suffered from the disorder alleged.
Although doctors are ordinarily qualified to render a medical diagnosis, both
the parties presented evidence that vasculitis is a rare disease that is
difficult to diagnose.
In the context of this complex toxic-tort case, and
mindful of the complicated nature of the alleged disease at issue, we proceed
to analyze the admissibility of Dr. Thoman’s diagnosis testimony under our
legal principles and the relevant Daubert considerations.
1. Qualification of Dr. Thoman as a diagnosing medical expert.
In
Dr. Thoman’s deposition, he concluded Ranes suffered from PPA-induced
vasculitis
because
his
symptoms
were
consistent
with
symptoms
characteristic of vasculitis. Vasculitis is the inflammation of blood vessels.
28
Dr. Jacoby testified vasculitis is “a very rare disorder,” complex and difficult
to
diagnose,
with
symptoms
that
are
often
fatal
if
left
untreated
appropriately. As we have said before, the ability of a witness to testify is
determined according to the specific issue presented. Tappe ex rel. Tappe v.
Iowa Methodist Med. Ctr., 477 N.W.2d 396, 402 (Iowa 1991). The plaintiff
bears the burden of proving the expert is qualified under rule 5.702. Myers,
382 N.W.2d at 93.
Here, the issue is whether Ranes suffered from the effects of vasculitis.
The plaintiff presented no evidence that Dr. Thoman has knowledge, skill,
experience, training, or education suitable to an expert testifying about a
neurological diagnosis of a complex nature.
Dr. Thoman is undisputedly
neither a qualified neurologist, nor one of Ranes’ treating physicians. The
diagnosis of vasculitis does not fall within his general area of expertise. See
Hunter v. Bd. of Trs., 481 N.W.2d 510, 520 (Iowa 1992) (“[T]he witness need
not be a specialist in the particular area of testimony so long as the
testimony
falls
within
the
witness[’s]
general
area
of
expertise.”).
Additionally, no evidence was offered to reveal sufficient experience,
knowledge, or training to show Dr. Thoman was qualified to render such a
complex diagnosis.
2. Reliability of methodology used by Dr. Thoman.
Dr. Thoman’s
purported methodology in reaching his diagnosis was also unreliable.
In
making a clinical diagnosis, it is common practice among medical experts to
perform a differential diagnosis 3 by developing a “list of all the possible
3The
phrase “differential diagnosis” is used by the medical profession to refer to two
different processes: the process of determining the disease responsible for causing a
particular patient’s symptoms in a specific case, and the process of determining the cause of
a diagnosed disease in a specific case. Henifin at 443. Some courts and expert witnesses
use the phrase “differential etiology” to identify the process of determining causation and
“differential diagnosis” for the process of diagnosing disease because the term “etiology”
refers to the cause of disease, but this distinction is not by the medical profession. Id. The
same scientific process may be used in both general and specific causation analyses, and
29
diseases that could produce the observed signs and symptoms,” then
comparing the expected clinical findings for each of the possible diseases
with the patient’s actual symptoms and test results.
See Goldstein &
Henifin at 463. Although the process of medical diagnosis is not an exact
science, there does appear to be a medically accepted method of arriving at a
diagnosis in any given case.
See generally id. at 463–64 (describing the
process for clinical diagnosis). Probabilities of disease are combined with a
physician’s “knowledge of the frequency of signs and symptoms in a given
disease and competing diseases to progressively modify and ultimately arrive
at their view of the likelihood of the disease under consideration.” See id. at
467.
In this case, Dr. Thoman departed from a recognized medical process
of diagnosing disease. First, evidence was presented to show Dr. Thoman
did not consider the variety of diseases that tend to mimic the symptoms of
vasculitis. Instead of considering the negative imaging results for vasculitis,
Dr. Thoman dismissed all neurological tests performed over the course of
three years as faulty. Of course, all diagnostic imaging tests that would have
likely revealed inflammation to support the vasculitis, including an
angiogram, were performed on Ranes and showed no abnormalities. Yet, a
diagnosis of vasculitis, while seemingly far-fetched, is not impossible.
Indeed, diagnostic imaging tests are known to be limited by potential error.
See Goldstein & Henifin at 458.
Dr. Vaslow testified that “standard MRI
sequences may fail to detect acute stroke in 10 to 20 percent of patients.”
MRIs with diffusion and profusion weighted imaging are more accurate at
detecting stroke. While Ranes was tested with an MRI machine within days
here, we use it to refer to the process by which Dr. Thoman arrived at his diagnosis of
vasculitis, a disease. We use the phrase “differential diagnosis” in this opinion the same
way the medical profession uses it in order to maintain clarity and consistency.
30
of the first headache following prescribed dosages of Aquatab C, Dr. Vaslow
could not determine whether the machine used at that time was an MRI with
a diffusion and profusion weighted imaging. It is the plaintiff’s burden to
demonstrate it is more likely than not that the imaging technology in this
case was too inaccurate to detect Ranes’ alleged brain lesion, and such
evidence does not appear on the record.
Notwithstanding, the state of the technology used to diagnose Ranes is
only one of many potential considerations in diagnosing a patient.
Importantly, Dr. Thoman’s diagnosis of vasculitis and subsequent brain cell
death was premised solely on Ranes’ degenerative symptoms. Dr. Thoman
did not perform a proper differential analysis to arrive at his diagnosis of
vasculitis.
Instead, Dr. Thoman summarily dismissed as many as eight
mimicking conditions due to his lack of background and experience in
diagnosing neurological diseases.
Several other neurologists, including
Dr. Babikian, dismissed vasculitis as a diagnosis in the course of their
individual differential diagnoses. In the end, the record shows Dr. Thoman
relied only on symptoms Ranes reported to tie the case reports he located to
Ranes’ case.
This analysis is clearly inconsistent with the accepted
methodology. Expert analysis that discusses only the evidence the expert
believes will advance the plaintiff’s position, and ignores a large amount of
information that calls the expert’s theory into question, cannot be considered
reliable. See In re Rezulin, 369 F. Supp. 2d at 425–26.
Regardless of the reasons or motives for Dr. Thoman to diagnose
Ranes with vasculitis in order to reach his opinion that PPA is capable of
causing the injuries alleged by Ranes, the methodology he used to diagnose
vasculitis is contrary to the methodology described by the scientific
literature. Our standard for admission of expert evidence does not seek to
exclude scientific hypotheses merely because they are “novel” or “unusual.”
31
However, “scientific knowledge” implies the opinion is based on more than
unsupported speculation. Daubert, 509 U.S. at 590, 113 S. Ct. at 2795, 125
L. Ed. 2d at 481.
Although scientists do not purport to assert facts they
believe are immutably true, “in order to qualify as ‘scientific knowledge,’ an
inference or assertion must be derived by the scientific method. Proposed
testimony must be supported by appropriate validation—i.e., ‘good grounds,’
based on what is known.” Id. The courtroom must not be an arena “for
scientific guesswork, even of the inspired sort. Law lags science; it does not
lead it.” Rosen v. Ciba-Geigy Corp., 78 F.3d 316, 319 (7th Cir. 1996). As
such, we cannot conclude the district court abused its discretion in refusing
to admit Dr. Thoman’s diagnosis of vasculitis. 4
VI. Conclusion.
We conclude the district court did not abuse its discretion by finding
Dr. Thoman did not practice a reliable methodology in reaching his opinion
that the ingestion of PPA was the cause of Ranes’ alleged injuries.
Consequently, Ranes failed to offer sufficient evidence to generate a factual
question for the jury on the issue of causation to support his cause of action,
and the district court properly granted summary judgment.
Because the
summary judgment dismissed the case against all defendants, we need not
address any remaining issues in the case, and we do not consider the issues
presented in the cross-appeals by defendants.
AFFIRMED.
All justices concur except Wiggins, J., who takes no part.
4Prior to submission of this case, the plaintiff offered a “Notice of Additional
Authority” for consideration. Generally, courts may consider authority outside the record in
interpreting statutes and legislative facts. However, the facts the plaintiff proposes to
include are evidentiary, not legal, in nature and will therefore be excluded from our
discussion. Even assuming the facts offered are not precluded, such evidence would not
support the plaintiff’s efforts to establish the reliability of Dr. Thoman’s methodology in this
case due to Dr. Thoman’s unqualified and unreliable process in diagnosing Ranes with
vasculitis.
Some case metadata and case summaries were written with the help of AI, which can produce inaccuracies. You should read the full case before relying on it for legal research purposes.
This site is protected by reCAPTCHA and the Google Privacy Policy and Terms of Service apply.