Court Opinion

ID: 2742801
Source: CourtListenerOpinion
Date Created: 2014-10-16 05:08:45.661684+00
Date Added: 2024-06-11T10:05:02.944101
License: Public Domain

IN THE COURT OF APPEALS OF THE STATE OF MISSISSIPPI

                                NO. 2013-SA-00654-COA

MISSISSIPPI STATE BOARD OF MEDICAL                                           APPELLANT
LICENSURE

v.

RAY ANTHONY HARRON, M.D.                                                       APPELLEE

DATE OF JUDGMENT:                          03/20/2013
TRIAL JUDGE:                               HON. PATRICIA D. WISE
COURT FROM WHICH APPEALED:                 HINDS COUNTY CHANCERY COURT
ATTORNEYS FOR APPELLANT:                   STANLEY T. INGRAM
                                           TRAVIS JONATHAN CONNER
ATTORNEY FOR APPELLEE:                     EDWARD BLACKMON
NATURE OF THE CASE:                        CIVIL - STATE BOARDS AND AGENCIES
TRIAL COURT DISPOSITION:                   REVERSED THE RULING OF THE BOARD
                                           OF MEDICAL LICENSURE
DISPOSITION:                               REVERSED AND RENDERED: 09/16/2014
MOTION FOR REHEARING FILED:
MANDATE ISSUED:

       EN BANC.

       LEE, C.J., FOR THE COURT:

¶1.    The Mississippi State Board of Medical Licensure (the Board) disciplined Dr. Ray A.

Harron for his involvement in silicosis litigation in Texas, by ordering that he never

attempted to renew his lapsed medical license. As part of the discipline, the Board notified

a national physician’s data bank that Dr. Harron’s actions had the potential to harm patients.

Although Dr. Harron agreed to the discipline, he disagreed that his actions as an expert

witness had the potential to harm patients. He therefore appealed the Board’s action to the

Hinds County Chancery Court. The chancery court reversed the Board’s action, ruling that
it had no jurisdiction, that its ruling lacked substantial evidence, and that its notification to

the physician’s data bank was arbitrary and capricious. The Board has appealed this

decision.

¶2.    Finding reversible error, we reverse and render.

                         FACTS AND PROCEDURAL HISTORY

¶3.    Dr. Harron was issued a medical license in Mississippi in 1995. It lapsed in 2007.

Dr. Harron stopped seeing patients in 1995, and started working for Netherland & Mason

(N&M), a Mississippi company that screened potential plaintiffs for asbestosis and silicosis-

related diseases. In 2001, Dr. Harron shifted focus to screening persons for potential silicosis

claims.

¶4.    The filing of silicosis cases involving thousands of claimants led to the creation of a

multi-district litigation (MDL) proceeding in Texas, styled In re Silica Products Liability

Litigation, 398 F. Supp. 2d 563 (S.D. Tex. 2005). This case, presided over by United States

District Judge Janis Graham Jack, involved 111 cases totaling over 10,000 individual

plaintiffs.1 Id. at 566. A Daubert hearing 2 was held in February 2005, at which Dr. Harron,

and other witnesses, testified.3

       1
        The majority of these plaintiffs were from Mississippi and Alabama. Id. at 674. Of
the 111 lawsuits, 107 were filed in Mississippi. Id. at 573.
       2
           Daubert v. Merrell Dow Pharm. Inc., 509 U.S. 579 (1993).
       3
        Dr. Harron was hired by plaintiffs’ lawyers as a radiologist and “certified B reader.”
A “B” reader is a physician certified by the National Institute for Occupational Safety and
Health as demonstrating proficiency in classifying chest x-rays and in the use of the
International Labor Office (ILO) scale for interpreting chest x-rays for pneumoconiosis and
other diseases. See Woodward v. Dir., OWCP, 991 F.2d 314, 316 n.4 (6th Cir. 1993).

                                               2
¶5.    Dr. Harron was involved in performing “B-reads” or producing diagnosing reports on

6,700 of the claimants in the Texas litigation. He was listed as the diagnosing physician on

2,600 of these claims. Dr. Harron testified about his practices of letting medically untrained

secretaries and typists interpret his reports, insert a diagnosis, stamp his signature on the

reports, and send them out with no review by him. He testified that he “might” have given

a copy of his signature stamp to N&M when he “got behind on typing.” 4 He testified that

“anybody” could have stamped his signature to reports. While being questioned about how

he could diagnose a specific claimant with asbestosis and later diagnose the same claimant

with silicosis based on reading the same x-ray, he asked for a lawyer to represent him, and

all questioning of him was halted by the judge.

¶6.    At the conclusion of the hearing, the court ruled that Dr. Harron’s proposed expert

testimony (and that of some other doctors) was unreliable and excluded it. Id. at 637-40.

Specifically, the court found that Dr. Harron relied on medical histories performed by

lawyers and nonmedical personnel, which were “so deficient as to not even merit the label.”

Id. at 624; see generally id. at 622-25. The court further found that Dr. Harron’s (and other

doctors’) review of x-rays lacked quality-control measures, id. at 627, and produced results

that were described by other experts as “staggering,” “implausibl[e],” “unsound,” and

“stunning and not scientifically plausible.” Id. at 628-29; see generally id. at 625-29. Judge

Jack found that Dr. Harron

       relied upon occupational/exposure histories and medical histories which fail
       to even merit the title, “history,” let alone meet the generally-accepted

       4
        Judge Jack noted Dr. Harron’s testimony that N&M had a stack of blank reports pre-
signed by Dr. Harron. See In re Silica Prods. Liab. Litig., 398 F. Supp. 2d at 601.

                                              3
       scientific methodology for diagnosing silicosis.

       ....

       With respect to Dr. Harron, he simply ignored the third criterion for
       diagnosing silicosis (i.e., the absence of any good reason to believe that the
       positive radiographic findings are the result of some other condition). . . .

       Perhaps even more stunning was Dr. Harron’s reliance on largely untrained
       secretarial staff to “translate [the ILO form he completed] into English[,]” . .
       . “prepare [his] reports, stamp [his] name on them and send those reports out
       without [him] editing or reviewing them” . . . . Dr. Harron did not read, review
       or even see any of the 99 diagnosing reports . . . bearing his name. This
       “distressing” and “disgraceful” procedure does not remotely resemble
       reasonable medical practice. . . . Not only is this “technique” not generally
       accepted in the scientific community, but it is utterly lacking in any “standards
       controlling the technique’s operation.” [United States] v. Hicks, 389 F.3d 514,
       525 (5th Cir. 2004) (among the reliability factors are “the existence and
       maintenance of standards controlling the technique’s operation; and . . .
       whether the technique has been generally accepted in the scientific
       community”) (citing Daubert, 509 U.S. at 593-94).

       Moreover, as recounted above, the sheer volume of Dr. Harron’s
       asbestosis/silicosis reversals (i.e., reading an x-ray as consistent with
       asbestosis for asbestos litigation and then reading the same individual’s x-ray
       as consistent with silicosis for silica litigation), simply cannot be explained as
       intra-reader variability. . . . Instead, it can only be explained as a product of
       bias – that is, of Dr. Harron finding evidence of the disease he was currently
       being paid to find.

Id. at 637-38 (citations omitted). The court also imposed sanctions against the law firm

tendering Dr. Harron as an expert witness. Id. at 676.

¶7.    In early 2007, the Texas Medical Board instituted disciplinary proceedings against Dr.

Harron based upon his activities in relation to the silicosis litigation. As a result of those

proceedings, Dr. Harron entered into an agreed order dated April 13, 2007, in which he

surrendered his Texas medical license, and agreed not to seek its renewal.

¶8.    In July 2007, the Board also instituted disciplinary proceedings against Dr. Harron.

                                               4
During these proceedings, Dr. Harron entered into an agreed order, approved by the Board

in November 2007, in which he agreed to never seek renewal of his Mississippi medical

license and to pay all costs of the investigation and disciplinary hearings up to $5,000. The

agreed order expressly stated that the results of the proceeding would be reported to the

National Practitioners Data Bank (NPDB), a data bank that monitors disciplinary actions

involving doctors.

¶9.    The Board submitted an Adverse Action Report to the NPDB. In the report a question

was asked: “Is the Adverse Action Specified in This Report Based on the Subject’s

Professional Competence or Conduct, Which Adversely Affected, or Could Have Adversely

Affected, the Health or Welfare of the Patient?” The Board answered “Yes” to this question.

Dr. Harron filed a written dispute with the NPDB, claiming that he acted only as an expert

witness and not in a doctor-patient relationship, and that as a result, his actions could not

have harmed a patient. Dr. Harron then refused to pay the $5,000 in costs.

¶10.   In 2009, the Board held a hearing after which it concluded that Dr. Harron had

violated Mississippi Code Annotated section 73-25-29(8)(d) and (13) (Rev. 2012), as well

as Mississippi Code Annotated section 73-25-83 (Rev. 2012), and reaffirmed its report to the

NPDB. Dr. Harron was again ordered to pay the $5,000 in costs.

¶11.   Dr. Harron appealed this decision to the Hinds County Chancery Court. The

chancellor remanded for further hearings on whether the parties had come to a full agreement

in the agreed order.

¶12.   Rather than proceed on the original agreed order, the parties agreed to start the

disciplinary process anew. New charges were filed, charging Dr. Harron with violations of:

                                             5
Section 73-25-29(8)(d) – unprofessional conduct which includes but is not
limited to, being guilty of any dishonorable conduct or unethical conduct likely
to deceive, defraud or harm the public;

Section 73-25-29(9) – refusal of a licensing authority of another state or
jurisdiction to issue or renew a license to practice medicine and/or having
restrictions imposed on a license to practice medicine in another state or
jurisdiction;

Section 73-25-29(10) – surrender of a license to practice medicine in another
state or jurisdiction while under disciplinary investigation by any of those
authorities or bodies for acts or conduct similar to acts or conduct which would
constitute grounds for action;5 and

Section 73-25-83(a) – unprofessional conduct as defined in the physician

5
    Mississippi Code Annotated section 73-25-29 (Rev. 2012) provides:

The grounds for the nonissuance, suspension, revocation or restriction of a
license or the denial of reinstatement or renewal of a license are:

....

(8) Unprofessional conduct, which includes, but is not limited to: . . .

         (d) Being guilty of any dishonorable or unethical conduct likely to
         deceive, defraud or harm the public.

(9) The refusal of a licensing authority of another state or jurisdiction to issue
or renew a license, permit or certificate to practice medicine in that jurisdiction
or the revocation, suspension or other restriction imposed on a license, permit
or certificate issued by such licensing authority which prevents or restricts
practice in that jurisdiction, a certified copy of the disciplinary order or action
taken by the other state or jurisdiction being prima facie evidence thereof,
notwithstanding the pendency of any appeal.

(10) Surrender of a license or authorization to practice medicine in another
state or jurisdiction or surrender of membership on any medical staff or in any
medical or professional association or society while under disciplinary
investigation by any of those authorities or bodies for acts or conduct similar
to acts or conduct which would constitute grounds for action as defined in this
section.

                                        6
       licensure and disciplinary laws pursuant to section 73-25-29.6

¶13.   At the hearing conducted in January 2012, Dr. Harron admitted his prior testimony

at the Daubert hearing but defended his actions as not being the practice of medicine. He

admitted that he had pleaded the Fifth Amendment in testifying before congressional

hearings on the silicosis mass-tort litigation, and he volunteered that he was the target of an

ongoing criminal grand-jury investigation in New York involving asbestosis.

¶14.   At the conclusion of the hearing, the Board found Dr. Harron guilty of:

              Count three – unprofessional conduct likely to deceive, defraud or harm
       the public, including but not limited to, pre-signing blank ILO forms and
       allowing them to be filled out at a later date (without further review);

              Count four – unprofessional conduct likely to deceive, defraud or harm
       the public, including but not limited to, allowing or otherwise instructing non-
       medically trained, non-allied health care personnel to interpret medical records
       and render medical diagnosis under his signature or signature stamp;

              Counts five and six – having restrictions imposed on his license to
       practice medicine in another state or jurisdiction while under disciplinary
       investigation by a state licensure board in response to allegations related to
       conduct in silica litigation.7

       6
           Section 73-25-83(a) provides:

       The board shall have authority to deny an application for licensure or other
       authorization to practice medicine in this state and to discipline a physician
       licensed or otherwise lawfully practicing within this state who, after a hearing,
       has been adjudged by the board as unqualified due to one or more of the
       following reasons:

       Unprofessional conduct as defined in the physician licensure and disciplinary
       laws, pursuant to Section 73-25-29 . . . .
       7
          The Board found Dr. Harron not guilty of charges related to his “capitulation” in
letting the lawyers and screening company insert language in his reports that he relied upon
a physical examination in his diagnosis when he did not, and in letting individuals with no
medical training take the claimants’ histories.

                                              7
¶15.   By order dated January 19, 2012, the Board permanently barred Dr. Harron from

renewing his medical license and ordered him to pay the costs of the investigation, up to

$10,000. The Board’s order stated that its previous answer on the NPDB form that Dr.

Harron’s actions could have adversely affected the health or welfare of the patient would

remain unchanged.

¶16.   Dr. Harron appealed this January 19, 2012 order to the Hinds County Chancery Court.

The chancery court ruled that the Board lacked jurisdiction to discipline a doctor for

testifying as an expert witness in another state, and as a consequence, the Board lacked

substantial evidence to revoke Dr. Harron’s license. The chancellor also ruled that the

Board’s action in telling NPDB that Dr. Harron’s actions could have harmed a patient was

arbitrary and capricious since the Texas Board had answered that same question “No.” The

chancellor finally ruled that Dr. Harron’s due-process rights had not been violated in the

hearing before the Board.8

¶17.   The issues we consider on appeal are: (1) whether the Board had jurisdiction to

discipline Dr. Harron for his activities as an expert witness in Texas, and whether its decision

was based on substantial evidence, and (2) whether the Board’s findings were arbitrary and

capricious.9

       8
        The chancery court order mistakenly references the Board’s order dated September
17, 2009. This was an earlier order, and the final Board order appealed to the chancery court
was the Board’s January 19, 2012 order. It is this 2012 Board ruling that is the subject of
this appeal.
       9
        Although both parties brief the issue of whether the use of hearsay at the Mississippi
State Board of Medical Licensure hearing deprived Dr. Harron of due process, this issue is
not properly before this Court. Dr. Harron did not cross-appeal the chancellor’s ruling that
he was not denied due process at the hearing. Dr. Harron’s failure to cross-appeal this ruling

                                               8
                                 STANDARD OF REVIEW

¶18.   Under Mississippi’s Constitution, our courts do not undertake de novo retrial of

matters on appeal from administrative agencies. This is because “[o]ur courts are not

permitted to make administrative decisions and perform the functions of an administrative

agency.” Miss. State Bd. of Nursing v. Wilson, 624 So. 2d 485, 489 (Miss. 1993) (citation

omitted). Under our standard of review, “[t]he only grounds for overturning administrative

agency action by the appellate process is that the state agency has acted capriciously,

unreasonably, arbitrarily; has abused its discretion[;] or has violated a vested constitutional

right of a party.” Id. (citation omitted). “[T]here is a rebuttable presumption in favor of the

action of an administrative agency and the burden of proof is upon one challenging its

action.” Id. (citation omitted). In Mississippi Board of Nursing v. Hanson, 703 So. 2d 239

(Miss. 1997), our supreme court stated: “This Court has given great deference to the

decisions of administrative agencies, believing that they know best how to police their own,

especially when the board sitting in judgment is comprised of fellow practitioners.” Id. at

243.

                                        DISCUSSION

removes it from appellate review. See Lindsey v. Lindsey, 612 So. 2d 376, 378 (Miss. 1992).
In any event, Dr. Harron’s own admissions corroborated the reliability of the Daubert
hearing transcript and Judge Jack’s opinion. See Howell v. Miss. Emp’t Sec. Comm’n, 906
So. 2d 766, 771 (¶11) (Miss. Ct. App. 2004) (“Howell himself corroborated [a memo
containing hearsay introduced at hearing.]”); see also McClinton v. Miss. Dep’t of Emp’t
Sec., 949 So. 2d 805, 814 (¶29) (Miss. Ct. App. 2006) (“[I]f hearsay, even if not
corroborated in the traditional sense, is highly probative because it has strong indicia of
reliability, it can at least in many situations be substantial evidence.”). As we note hereafter,
Dr. Harron personally admitted to all the relevant evidence at the Board hearing.

                                               9
       I.       JURISDICTION

¶19.   The chancellor ruled that the Board had no jurisdiction to discipline Dr. Harron

because his actions were as an expert witness and he was not engaged in the practice of

medicine. The chancellor further ruled that, because he was not practicing medicine, the

Board lacked substantial evidence to “strip away” his medical license.

¶20.   Dr. Harron’s position is that giving expert testimony is not the “practice of medicine”

and that the Mississippi Board has no authority to discipline a doctor for any action not

constituting the actual practice of medicine.

¶21.   Dr. Harron first contends that Mississippi State Board of Medical Licensure

Administrative Code Part 2635, Chapter 8 improperly attempts to regulate the testimony of

medical experts. Since the Board did not proceed under this authority, it has no relevance

to this proceeding. The Board proceeded directly under the statutory authority of Mississippi

Code Annotated sections 73-25-29 and 73-25-83.

¶22.   The Board’s administrative role in administering discipline is not limited to review

of a licensee’s abilities as a physician to practice medicine as defined in section 73-25-33.10

It extends beyond that, for example, to issues relating to habitual drug use, conviction of a

       10
            Section 73-25-33 provides in relevant part:

       The practice of medicine shall mean to suggest, recommend, prescribe, or
       direct for the use of any person, any drug, medicine, appliance, or other
       agency, whether material or not material, for the cure, relief, or palliation of
       any ailment or disease of the mind or body, or for the cure or relief of any
       wound or fracture or other bodily injury or deformity, or the practice of
       obstetrics or midwifery, after having received, or with the intent of receiving
       therefor, either directly or indirectly, any bonus, gift, profit or compensation.

                                                10
felony involving moral turpitude, obtaining a license by fraud, unprofessional conduct, and

the requirement that licensees possess good moral character.

¶23.    Contrary to the chancellor’s ruling, the Board’s jurisdiction to discipline doctors is not

limited to situations where the doctor is actually practicing medicine on a particular patient.

For example, in Montalvo v. Mississippi State Board of Medical Licensure, 671 So. 2d 53,

57-58 (Miss. 1996), the Board’s action in refusing to reinstate the license of a physician who

had been convicted in federal court of money laundering was upheld.

¶24.    Citing Reeves v. Claiborne County Board of Education, 828 F.2d 1096, 1100 (5th Cir.

1987), Dr. Harron contends that statements made in legal proceedings are “absolutely

privileged” and protected by the First Amendment. Implicit in this argument is that none of

the admissions he made in the Daubert hearing could be used against him by the Board.

¶25.    The “privilege” cases Dr. Harron cites all deal with defamation-type actions. None

of the cases suggest that a witness’s statements cannot be used against him in other contexts.

Dr. Harron’s testimony at the Daubert hearing was not privileged and was admissible against

him as a party admission under Mississippi Rule of Evidence 801(d)(2)(A) (“A statement is

not hearsay if: . . . [t]he statement is offered against a party and is (A) the party’s own

statement . . . .”).

¶26.    Dr. Harron cites two Mississippi Attorney General Opinions for the proposition that

giving expert testimony in another state does not constitute the practice of medicine in

Mississippi. In Miss. Att’y Gen. Op., 93-0088, 1993 WL 207359, Morgan (May 18, 1993),

the Attorney General issued an opinion that doctors issuing pre-certification opinions, outside

the State of Mississippi, concerning insurance coverage for upcoming medical procedures

                                               11
were not practicing medicine in Mississippi. The opinion stated:

       Out of state utilization review, as we understand it, involves a physician who
       is not present in Mississippi, does not examine a patient in Mississippi, and
       does not give medical advice or perform medical services in Mississippi. It is
       our opinion that under such conditions such review does not constitute practice
       of medicine in Mississippi.

Id. In Miss. Att’y Gen. Op., 95-0610, 1995 WL 779738, Bradshaw (Dec. 8, 1995), the

Attorney General opined that out-of-state doctors who are engaged in “tele-medicine” by

“interpreting x-rays, CAT scans, MRI’s and similar radiological workups, which have been

communicated to that physician through either computer modum or via satellite,” but “who

[are] not physically practicing medicine in the State of Mississippi, [are] not ‘practicing

medicine’ as defined by Section 73-25-33 and therefore [are] not required to be licensed by

the Mississippi State Board of Medical Licensure.”

¶27.   The Attorney General’s opinions are not relevant because those doctors were not

licensed to practice medicine in Mississippi and subject to the Mississippi State Board of

Medical Licensure. Dr. Harron, on the other hand, was licensed in Mississippi and subject

to the Board’s oversight responsibilities.

¶28.   Under section 73-25-29(8)(d), the relevant question is whether Dr. Harron’s activities

in the Texas litigation were “likely to deceive, defraud or harm the public.” Although the

statute is not limited to the “Mississippi public,” it bears noting that a great many of the

patients targeted for Dr. Harron’s unprofessional diagnoses were from Mississippi. Section

73-25-29(8)(d) authorizes the Board to regulate any Mississippi-licensed physician whose

conduct (medical, ethical, or otherwise) poses a threat of harm to the public.

¶29.   Dr. Harron relies on Missouri Board of Registration for the Healing Arts v. Levine,

                                             12
808 S.W.2d 440 (Mo. Ct. App. 1991). In Levine, the Missouri Board of Medical Licensure

sought to discipline a doctor because on two occasions he gave false answers under oath

when testifying as a medical expert. Id. at 441. The Missouri Board argued that Levine’s

actions violated a Missouri statute providing that “the Board may cause a complaint to be

filed against a physician for: . . . Incompetency, misconduct, gross negligence, fraud,

misrepresentation or dishonesty in the performance of the functions or duties of any

profession licensed or regulated by this chapter . . . .” Id. (emphasis added). The Missouri

court found:

       [U]nder the plain language of “function” and “duty,” testifying as a non-
       treating medical expert is not an “obligatory task,” nor “a moral or legal
       obligation,” nor even an act “expected of” a person. This court holds that
       acting as a non-treating expert medical witness does not constitute the practice
       of medicine or the function or duty of a licensee and that Levine is not subject
       to discipline under [the Missouri statute].

Id. at 443.

¶30.   Levine is distinguishable because the Missouri statute differed in a critical way from

the Mississippi statute applied to Dr. Harron. The Missouri statute limited discipline to cases

involving “[i]ncompetency, misconduct, gross negligence, fraud, misrepresentation or

dishonesty in the performance of the functions or duties of any profession licensed . . . .” Id.

at 41 (emphasis added). In contrast, Dr. Harron was charged under section 73-25-29(8)(d),

which is more broadly written. It authorizes the Board to administer discipline based on

“[u]nprofessional conduct, which includes but is not limited to: [b]eing guilty of any

dishonorable or unethical conduct likely to deceive, defraud or harm the public.” Id. There

is no requirement in the Mississippi statute that the conduct occur while engaged in the

                                              13
practice of medicine.

¶31.   Dr. Harron also relies on McDonnell v. Commission on Medical Discipline, 483 A.2d

76 (Md. 1984). In McDonnell, the court construed a Maryland statute that prohibited

“[i]mmoral conduct of a physician in his practice as a physician . . . . ” Id. at 78 (emphasis

added). The court held that the Maryland Medical Commission had no authority to discipline

a doctor, who was a defendant in a medical-malpractice action, for his intimidating telephone

calls to witnesses against him, because this was not conduct occurring in his practice as a

physician. Id. at 81.

¶32.   The Maryland statute at issue in McDonnell limited the board’s authority to cases of

“[i]mmoral conduct of a physician in his practice as a physician.” McDonnell, 483 A.2d at

78 (emphasis added and citation omitted). Unlike Mississippi’s statute, it limited discipline

to the actual practice of medicine.

¶33.   The chancellor noted that “[t]he charges against Dr. Harron involve his work as an

expert witness and not as a treating physician to any specific patient.” This ignores that Dr.

Harron’s testimony was as a physician. He was the actual diagnosing physician on a great

many of the claims. Even though Dr. Harron testified: “[I]t’s a legal standard and not a real

diagnosis,”11 he was presented as the diagnosing physician on 2,600 claims. He specifically

testified at the Daubert hearing that each diagnosis was based upon: “I feel within a

reasonable degree of medical certainty that this individual has [the particular disease].”

(Emphasis added). He testified that he stood by his diagnoses. Under direct questioning

       11
            In re Silica Prods. Liab. Litig, 398 F. Supp. 2d at 635.

                                               14
from the district judge, referring to his reports claiming each person had silicosis, Dr. Harron

was asked: “Is this the diagnosis to be relied upon by other medical people and the patient?”

Dr. Harron answered: “Yes.”        His participation in the Texas litigation included his

diagnosing patients.

¶34.   Dr. Harron argues that the only constraint on his testimony as an expert witness was

Mississippi Rule of Evidence 702, and not statutes relating to the regulation of physicians.12

The chancellor agreed, framing the issue and its resolution as follows:

       Dr. Harron contends that he was performing his duties as an expert witness and
       is not subject to Section 73-25-33 of the Mississippi Code. This Court agrees
       with Dr. Harron. Dr. Harron was not performing work as a physician; he was
       providing testimony as an expert witness and offering his trained opinion, not
       medical opinion, in the case before the Texas Court. Thus, this Court finds
       that the Mississippi Board lacks substantial evidence to strip away Dr.
       Harron’s medical license in Mississippi because of expert testimony given.

(Emphasis added).

¶35.   The chancellor erred in assuming that there is a difference in this case between an

“expert” opinion and a “medical” opinion. As Judge Jack noted:

       It is also readily apparent that the failure of the challenged doctors to observe
       the same standards for a “legal diagnosis” as they do for a “medical diagnosis”
       renders their diagnoses in this litigation inadmissible under Rule 702. As both
       the Supreme Court and the Fifth Circuit have directed: “The district court’s
       responsibility ‘is to make certain that an expert . . . employs in the courtroom
       the same level of intellectual rigor that characterizes the practice of an expert
       in the relevant field.’” Skidmore v. Precision Printing & Pkg., Inc., 188 F.3d
       606, 618 (5th Cir. 1999) (quoting Kumho Tire Co., Ltd. v. Carmichael, 526
       U.S. 137, 152 (1999)).

In re Silica Prods. Liab. Litig., 398 F. Supp. 2d at 634 (parallel citations omitted).

       12
         This is so, despite the fact that he was testifying in a Texas court, where Mississippi
Rule of Evidence 702 has no application.

                                              15
¶36.   Although the Board has authority to discipline a doctor for his actions outside the

actual practice of medicine, Dr. Harron was, in fact, providing medical services to 2,600

patients. He was not simply testifying as an outside consultant with no connection to a

patient, as when a doctor testifies as an expert on the standard of care. He was testifying as

the diagnosing physician for thousands of patients. He issued reports claiming that each

patient whose x-rays he reviewed was suffering from silicosis. In Wasserman v. Board of

Regents of the University of the State of New York, 182 N.E.2d 264 (N.Y. 1962), a doctor

argued that his license could not be revoked because his acts in submitting fraudulent reports

to a plaintiff’s attorney did not involve the “practice of medicine.” Id. at 266. The New

York court disagreed, stating: “The preparation of medical reports for various purposes has

always been regarded as a necessary part of medical practice, and it makes no difference

whether false reports are submitted directly to the patient, attorney, or the insurance company

on behalf of the patient.” Id.

¶37.   We find that the Board had jurisdiction to discipline Dr. Harron for his actions in

diagnosing thousands of patients with silicosis.

¶38.   We further find that the Board’s actions were based on substantial evidence. Dr.

Harron admitted to the conduct the Board found to violate counts three and four of the

charging affidavit. He admitted that: (1) his diagnoses were meant to be relied upon by other

medical people and patients (count three); and (2) he allowed non-professionals to pre-stamp

his signature on reports, prepare/translate his findings on the reports, and publish his reports

without his final review and approval (count four).

¶39.   Although Dr. Harron attempts to distinguish a “legal” opinion from a “medical”

                                              16
opinion, he was not offered as a legal expert; he was offered as a medical expert. His

medical license gave him the privilege of offering that opinion. That license comes with a

responsibility to his profession and the public at large, which the Board is empowered to

oversee.

¶40.   Counts five and six involved discipline imposed by the Texas Medical Board. Dr.

Harron did not deny counts five and six (having surrendered his license and having been

disciplined by the Texas licensing authority).         The chancellor acknowledged this.

Concerning these counts, the chancellor stated: “This Court does not ignore the undisputed

facts that Dr. Harron’s license was restricted in another state.” This alone gives the Board

the power to discipline Dr. Harron.

¶41.   The chancellor, however, held that this was not important because:

       Dr. Harron was not performing work as a physician. He was providing
       testimony as an expert witness and was offering his trained opinion, not
       medical opinion, in the case before the Texas Court. The Court is of the
       opinion that the Mississippi Board acted in a whimsical manner, ignoring the
       fact that Dr. Harron was testifying as to his opinion as an expert witness[,] not
       as a practicing physician.

(Emphasis added).

¶42.   This ruling ignores the fact that Dr. Harron’s “expert” opinion was based upon his

being a physician. Common sense dictates that, if he had prefaced his opinion by saying

“speaking only as a layman, or as a legal expert, I believe the claimants suffer from X

disease,” the reports he issued would have been worthless. It is because he was a physician

that his opinion was being offered. The chancellor’s view that the entity created to protect

the public from injurious practices by physicians has no authority to act – because a court

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also has the ability under the rules of evidence to exclude baseless opinions – is erroneous.

With the privilege of holding a valid medical license in Mississippi comes statutory oversight

of the Board.

¶43.   The Board’s discipline, based upon Dr. Harron’s “unprofessional” conduct, was

explicitly authorized by the statutes under which the Board proceeded – sections 73-25-29

and 73-25-83 – and was based on substantial evidence.

       II.      ARBITRARY AND CAPRICIOUS FINDINGS

¶44.   The chancellor ruled that the Board’s actions were arbitrary and capricious because

the Board answered the NPDB question about potential harm to a patient “Yes,” while the

Texas Medical Board answered the question “No.”

¶45.   Citing Adams v. Harron, 191 F.3d 447 (4th Cir. 1999) (unpublished), Dr. Harron

claims that the Board should not have reported to NPDB that his actions could have

adversely affected a patient because he had no doctor-patient relationship with the plaintiffs

in the MDL litigation and therefore no duty to them. In Adams, Dr. Harron was hired to

interpret x-rays of potential plaintiffs in asbestosis cases.     He found cancer on one

individual’s x-ray and informed the lawyer but did not inform the individual. The individual

subsequently died of cancer. Dr. Harron was sued by the widow of the individual for

medical malpractice.     The court determined that Dr. Harron had no doctor-patient

relationship with the deceased and therefore no medical-malpractice liability. Id. at *3.

¶46.   But the Board did not proceed against Dr. Harron for medical malpractice. Rather,

the discipline was imposed because of Dr. Harron’s unprofessional conduct, as defined in

sections 75-25-29 and 73-25-83. The unprofessional conduct was Dr. Harron’s opinion that

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each plaintiff whose x-rays he examined, a great many of whom were Mississippi residents,

in fact suffered from silicosis. These reckless claims could have had an adverse effect on the

patient. Dr. Harron had the opportunity, and exercised it, to inform NPDB that his diagnosis

came only in the context of serving as an expert witness and that these were not his personal

patients. Nothing about this notification to NPDB makes the Board’s discipline of Dr.

Harron arbitrary or capricious.

¶47.   The chancellor noted that the Texas Medical Board answered “No” to the question in

the NPDB report as to whether Dr. Harron’s actions “Adversely Affected, or Could Have

Adversely Affected, the Health or Welfare of the Patient.” The chancellor ruled that the

Mississippi Board’s answer “Yes” to this question was arbitrary and capricious because it

was based on the same evidence before the Texas Board.

¶48.   The record on appeal contains the Texas Board’s order, but it does not contain a copy

of the proceedings leading to that order. As previously stated, the Mississippi Board had the

benefit of Dr. Harron’s admissions before it that: (1) his diagnoses were meant to be relied

upon by other medical people and patients (count three); and (2) that he allowed non-

professionals to pre-stamp his signature on reports, prepare/translate his findings on the

reports, and publish his reports without his final review and approval (count four). Since

these practices could have harmed the patients, the Board could rely on Dr. Harron’s own

testimony to answer the question “Yes.”

¶49.   There can be no real dispute that misdiagnosing someone with having a deadly disease

such as silicosis has the potential to harm that person. As Judge Jack noted:

       Then there is the toll taken on the misdiagnosed Plaintiffs. If these Plaintiffs

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       truly have abnormal x-rays, then the radiographic findings may be caused by
       a number of conditions other than silicosis. And when the diagnosing doctors
       fail to exclude these other conditions, it leaves the Plaintiffs at risk of having
       treatable conditions go undiagnosed and untreated.

       In the case of the Plaintiffs who are healthy, at least some of them can be
       expected to have taken their diagnoses seriously. They can be expected to
       have reported the diagnoses when applying for health insurance and life
       insurance—potentially resulting in higher premiums or even the denial of
       coverage altogether. They can be expected to report the diagnoses to their
       employers and to the Social Security Administration. And they can be
       expected to report the diagnoses of this incurable disease to their families and
       friends.

       These people have been told that they have a life-threatening condition . . . .
       When dealing with this MDL and its 10,000 Plaintiffs, it is easy to forget that
       “statistics are human beings with the tears wiped off.” . . . But it should not
       be forgotten that a misdiagnosis potentially imposes an emotional cost on the
       Plaintiff and the Plaintiff’s family that no court can calculate.

In re Silica Prods. Liab. Litig., 398 F. Supp. 2d at 636 (citation omitted).

¶50.   Furthermore, the chancellor’s ruling that it was arbitrary and capricious of the Board

to answer the “potential harm” question differently from the Texas Medical Board strips the

Board of its statutory duty to serve as an independent finder of fact. Even if faced with the

exact same facts, the Board has the authority, and the duty, to adjudicate its disciplinary cases

independently of what some other state’s medical board might do.

¶51.   We recognize that some of the patients Dr. Harron diagnosed with silicosis may

actually have that disease. That does not excuse his unprofessional conduct in cranking out

thousands of reports diagnosing the disease with no real attempt to differentiate those who

actually have the disease from those with some remote possibility of having the disease. His

actions attacked the integrity of the legal system, had at least the potential to harm his

claimant/patients, and were a discredit to his profession, and to his Mississippi medical

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license.

¶52.   The chancery court erred in ruling that the Board lacked jurisdiction and further erred

in ruling that the Board lacked substantial evidence to discipline Dr. Harron and that its

ruling was arbitrary and capricious. Accordingly, we reverse and render.

¶53. THE JUDGMENT OF THE CHANCERY COURT OF HINDS COUNTY IS
REVERSED AND RENDERED. ALL COSTS OF THIS APPEAL ARE ASSESSED
TO THE APPELLEE.

     IRVING AND GRIFFIS, P.JJ., BARNES, ISHEE, ROBERTS, CARLTON,
MAXWELL AND FAIR, JJ., CONCUR. JAMES, J., CONCURS IN PART AND
DISSENTS IN PART.

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