Court Opinion

ID: 4110334
Source: CourtListenerOpinion
Date Created: 2016-12-22 19:07:29.4998+00
Date Added: 2024-06-11T13:08:59.654426
License: Public Domain

Digitally signed by
                                                                           Reporter of Decisions
                        Illinois Official Reports                          Reason: I attest to the
                                                                           accuracy and integrity
                                                                           of this document
                                Appellate Court                            Date: 2016.12.21
                                                                           10:49:38 -06'00'

                  McChristian v. Brink, 2016 IL App (1st) 152674

Appellate Court    JACQUELINE McCHRISTIAN, Plaintiff-Appellant, v. DALE
Caption            BRINK, D.P.M., Individually and as an Agent and/or Employee of
                   Dale S. Brink, D.P.M., Ltd., and as an Agent and/or Employee of
                   Performance Foot and Ankle Center, L.L.C.; DALE S. BRINK,
                   D.P.M., LTD., a Corporation; and PERFORMANCE FOOT AND
                   ANKLE CENTER, L.L.C., a Corporation, Defendants-Appellees.

District & No.     First District, Fifth Division
                   Docket No. 1-15-2674

Filed              September 30, 2016

Decision Under     Appeal from the Circuit Court of Cook County, No. 09-L-8204; the
Review             Hon. Janet Brosnahan, Judge, presiding.

Judgment           Certified question answered in the negative, with conditions.

Counsel on         Larry R. Rogers and Sean M. Houlihan, of Power Rogers & Smith,
Appeal             P.C., of Chicago, for appellant.

                   James K. Horstman, Rodney E. VanAusdal, and Aimee K. Lipkis, of
                   Cray Huber Horstman Heil & VanAusdal LLC, of Chicago, for
                   appellees.
     Panel                      PRESIDING JUSTICE GORDON delivered the judgment of the
                                court, with opinion.
                                Justice Reyes concurred in the judgment and opinion.
                                Justice Lampkin dissented, with opinion.

                                                   OPINION

¶1         This is a case of first impression concerning the application of the Petrillo doctrine to the
       unique facts of this case. Petrillo v. Syntex Laboratories, Inc., 148 Ill. App. 3d 581, 588 (1986).
       In this interlocutory appeal,1 plaintiff claims that the trial court violated the Petrillo doctrine
       when it permitted ex parte communications between plaintiff’s treating podiatrist and the
       defense counsel of the Performance Foot and Ankle Center, L.L.C., (L.L.C.), which is a
       defendant in this case and of which the podiatrist is a member.2 Plaintiff asks this court a
       question of first impression: whether defense counsel, who represents defendant Dr. Dale
       Brink and defendant Performance Foot and Ankle Center, L.L.C., is prohibited from
       conducting ex parte communications with the plaintiff’s treating podiatrist, Dr. Timothy
       Krygsheld, who is also a member, and in the control group, of defendant L.L.C.
¶2         Plaintiff argues that, under the Petrillo doctrine, ex parte communications are barred
       between plaintiff’s treating podiatrist and defense counsel, in order to preserve the patient’s
       trust and confidence in her podiatrist, as well as to honor the podiatrist’s duty as a fiduciary to
       refrain from helping the patient’s legal adversary.
¶3         Defendants argue that Petrillo does not apply to the treating podiatrist because, as a
       controlling member of the L.L.C. that is sued, he is not a “third party” as understood by
       Petrillo, because plaintiff consented to a lesser degree of privacy rights when she sought
       treatment and subsequently sued the L.L.C., which the treating podiatrist is a member of and
       where the treating podiatrist is in the control group. For the reasons that follow, we answer the
       question asked of this court in the negative, with conditions, and we reverse the order of the
       circuit court.

¶4                                         BACKGROUND
¶5         The issue arises out of a medical malpractice suit which plaintiff Jacqueline McChristian
       filed against defendant Dr. Dale Brink, as well as defendant Dale S. Brink, D.P.M., Ltd., 3 his
       personal corporation; and defendant L.L.C., of which Dr. Brink is a partner. All of the doctors
       in the L.L.C. are podiatrists.
             1
              Pursuant to Illinois Supreme Court Rule 308 (eff. Jan. 1, 2015).
             2
              A podiatrist is not a physician. “[This] State has ‘long recognized podiatrists as a separate and
       distinct profession of healers who are severely limited in their practice and whose educational
       requirements are substantially different than those of physicians,’ and because ‘the treatments utilized
       by the podiatric profession *** are substantially different from those utilized by physicians and
       orthopedic surgeons ***.’ ” Dolan v. Galluzzo, 77 Ill. 2d 279, 281-82 (1979) (quoting Dolan v.
       Galluzzo, 62 Ill. App. 3d 832, 836 (1978)).
            3
              In order to distinguish Dr. Brink from his personal corporation, we refer to him as “Dr. Brink” and
       his personal corporation as “Brink Ltd.”

                                                       -2-
¶6         The complaint alleges that beginning in June 2001, Dr. Brink treated plaintiff for bilateral
       calluses on her feet. On January 29, 2003, he performed a Z-bunionectomy on plaintiff, after
       which an infection developed in her great left toe. The complaint further alleges that, on or
       about May 15, 2003, Dr. Brink recommended that plaintiff obtain a second opinion from Dr.
       Steven Stanos regarding the ulceration of the wounds on her left foot. Initial antibiotic
       treatment was unsuccessful, and the infection continued to worsen. On May 30, 2003, Dr.
       Brink and Dr. Timothy Krygsheld, D.P.M., performed surgery to remove the infected
       hardware that had been implanted in plaintiff’s foot during the Z-bunionectomy. The infection
       did not improve, and on July 14, 2003, the infection necessitated the amputation of plaintiff’s
       great left toe. Subsequently, plaintiff developed chronic regional pain syndrome. Dr.
       Krygsheld is now plaintiff’s treating podiatrist.
¶7         Plaintiff filed her complaint against Dr. Brink, Dale S. Brink, Ltd., and the L.L.C. on
       November 17, 2009. On August 25, 2015, Dr. Brink signed an affidavit, which was attached to
       defendants’ supplemental brief in support of their motion for a protective order, averring that
       he, Dr. Krygsheld, and Dr. Brian Wittmayer are the three managing members of the L.L.C.
¶8         In their answers to plaintiff’s interrogatories, defendants named Dr. Timothy Krygsheld,
       plaintiff’s treating podiatrist, as an expert witness. Defendants stated in their answer that Dr.
       Krygsheld was expected to testify regarding issues of liability, causation, and damages—all
       matters related to his care, treatment, observations, diagnoses, and prognoses of plaintiff.
       Defendants also named Vincent J. Mandracchia, D.P.M., as a controlled expert who was
       expected to testify to the same issues as Dr. Krygsheld.
¶9         Defendants’ motion for a protective order states that, on August 6, 2015, defense counsel
       inquired of plaintiff’s counsel as to whether plaintiff had any objection to defense counsel
       communicating with Dr. Krygsheld, and plaintiff objected on the basis that it violated the
       doctrine set forth in Petrillo, 148 Ill. App. 3d at 588. On August 13, 2015, defendants filed a
       motion for a protective order to allow for ex parte communications between defense counsel
       and Dr. Krygsheld, plaintiff’s treating podiatrist.
¶ 10       The trial court issued a written order on September 14, 2015, permitting defense counsel to
       engage in ex parte communication with Dr. Krygsheld. On September 28, 2015, plaintiff filed
       for leave pursuant to Illinois Supreme Court Rule 308 to appeal the trial court’s grant of the
       protective order, which this court granted on October 28, 2015. This appeal follows.

¶ 11                                           ANALYSIS
¶ 12       This interlocutory appeal requires this court to determine whether defense counsel, who
       represents defendant Dr. Brink and defendant L.L.C., is prohibited from conducting ex parte4
       communications with plaintiff’s treating podiatrist, who is also a member, and in the control
       group, of defendant L.L.C., and to determine the extent of the ex parte communication.
¶ 13       As we already noted, plaintiff argues that, under the Petrillo doctrine, ex parte
       communications are barred between plaintiff’s treating doctor and defense counsel, in order to
       preserve the patient’s trust and confidence in her doctor, as well as to honor the doctor’s duty
       as a fiduciary to refrain from helping the patient’s legal adversary.
           4
             Ex parte communications are defined as any contact between defense counsel and plaintiff’s
       treating doctor outside the formal methods of discovery dictated by supreme court rules. Petrillo, 148
Ill. App. 3d at 587.

                                                     -3-
¶ 14      Defendants argue that Petrillo does not apply to Dr. Krygsheld because, as a controlling
       member of the L.L.C., he is not a “third party” as understood by Petrillo, because plaintiff
       consented to a lesser degree of privacy rights when she sought treatment and subsequently
       sued a medical corporation, where he is a member and part of its control group.

¶ 15                                     A. Standard of Review
¶ 16       Illinois Supreme Court Rule 308 provides a remedy of permissive appeal from
       interlocutory orders where the trial court has deemed that they involve a question of law as to
       which there is substantial ground for difference of opinion and where an immediate appeal
       from the order may materially advance the ultimate termination of the litigation. Ill. S. Ct. R.
       308 (eff. Jan. 1, 2015). We apply a de novo standard of review to legal questions presented in
       an interlocutory appeal brought pursuant to Rule 308. Simmons v. Homatas, 236 Ill. 2d 459,
       466 (2010). De novo consideration means that we perform the same analysis that a trial judge
       would perform. Khan v. BDO Seidman, LLP, 408 Ill. App. 3d 564, 578 (2011).

¶ 17                          B. Doctor-Patient and Attorney-Client Privileges
¶ 18        In the case at bar, the parties ask this court, in effect, to triage two well-established
       privileges: (1) the doctor-patient privilege and (2) the attorney-client privilege. The parties
       interpret the principles set forth in Petrillo differently; therefore, we will discuss this case and
       its progeny in depth.
¶ 19        Petrillo was a landmark decision on doctor-patient privilege. In Petrillo, the minor plaintiff
       filed a product liability suit against Syntex Laboratories, Inc., alleging that he was injured from
       consuming one of its infant formulas. Petrillo, 148 Ill. App. 3d at 585. Against the trial court’s
       order, defense counsel attempted to have an ex parte communication with one of the plaintiff’s
       treating doctors, and the trial court found counsel in contempt of court. Petrillo, 148 Ill. App.
3d at 584. The appellate court in Petrillo found that ex parte communications between a
       plaintiff’s treating doctor and defense counsel are barred as a matter of public policy, for they
       compromise the “sanctity” of the doctor-patient relationship. Petrillo, 148 Ill. App. 3d at 588.
       The court found that, in obtaining information or evidence, the defense attorney was restricted
       to the “regular channels of discovery,” including, but not limited to, written interrogatories and
       depositions. Petrillo, 148 Ill. App. 3d at 587. The appellate court based its reasoning on two
       pillars of public policy: (1) that doctors must abide by their code of ethics, preserving the
       confidentiality and trust vital to the doctor-patient relationship, and (2) that ex parte
       communications impair doctors’ fiduciary duties to their patients. Petrillo, 148 Ill. App. 3d at
       588.
¶ 20        In support of the confidential doctor-patient relationship, the appellate court stressed that
       “ ‘every patient has a right to rely upon [his doctor’s] warranty of silence.’ ” (Emphasis in
       original.) Petrillo, 148 Ill. App. 3d at 592 (quoting Hammonds v. Aetna Casualty & Surety Co.,
       243 F. Supp. 793, 801 (1965)). When patients file suit, they do not nullify this warranty, they
       do not implicitly consent to their doctors revealing medical confidences to parties beyond the
       normal bounds of discovery, and they do not authorize doctors to divulge their information in
       ex parte communications with their legal adversaries. Petrillo, 148 Ill. App. 3d at 591. That is,
       the confidential doctor-patient relationship endures, even where the patient initiates a lawsuit
       and assents to disclosure of pertinent information through traditional methods of discovery.
       Petrillo, 148 Ill. App. 3d at 591.

                                                    -4-
¶ 21        In the case at bar, plaintiff supports her argument using the holding provided in Petrillo.
       The Petrillo court found that when a treating doctor is not named as a defendant in the medical
       malpractice suit, and his care and treatment is not the basis of the suit, his ex parte contact with
       defense counsel is barred, whether or not such contact is harmless or only potentially harmful,
       due to the mere existence of the doctor-patient relationship. Therefore, plaintiff argues for a
       clear hierarchy of doctor-patient privilege over attorney-client privilege. In other words,
       plaintiff believes that the defendant-doctor’s right to defend his L.L.C. does not eclipse the
       doctor-patient privilege. Plaintiff also cites a litany of cases, which have embraced Petrillo to
       its fullest extent. E.g., Karsten v. McCray, 157 Ill. App. 3d 1, 14 (1987) (barring a doctor’s
       testimony after the doctor engaged in ex parte communications with defense counsel, despite
       the fact that the doctor-patient relationship existed only prior to the plaintiff’s injury); Mondelli
       v. Checker Taxi Co., 197 Ill. App. 3d 258, 261 (1990) (finding the doctor-patient privilege was
       violated at the time of an ex parte conference between the plaintiff’s treating doctor and
       defense counsel, regardless of what information was actually revealed).
¶ 22        Defendants, on the other hand, stress the significance of preserving the attorney-client
       privilege. In Consolidation Coal Co. v. Bucyrus-Erie Co., 89 Ill. 2d 103, 120 (1982), our
       Illinois Supreme Court examined the various tests to determine which communications
       between employees and agents of a corporation and their legal counsel are privileged.
       Consolidation Coal Co., 89 Ill. 2d at 120. The supreme court adopted the control group test
       that has been applied in the federal system, and further explained the qualifications of a control
       group member, finding that “an employee whose advisory role to top management in a
       particular area is such that a decision would not normally be made without his advice or
       opinion, and whose opinion in fact forms the basis of any final decision by those with actual
       authority, is properly within the control group. However, the individuals upon whom he may
       rely for supplying information are not members of the control group.” Consolidation Coal Co.,
89 Ill. 2d at 120. Dr. Krygsheld is one of three managing members of the L.L.C., and so not
       only is his opinion sought by top management, but he is also a member of top management
       himself. Dr. Krygsheld is a decision maker, and his communications with his legal counsel is
       privileged.5

           5
             Defendants compare the case at bar to Kendall v. Liesen, No. 13 C 3529, 2013 WL 5375527 (N.D.
       Ill. Sept. 25, 2013), an unreported case. However, we will not cite an unreported case. State Farm
       Mutual Automobile Insurance Co. v. Progressive Northern Insurance Co., 2015 IL App (1st) 140447,
       ¶ 101 (“[W]e will not cite an unreported case.”); Skokie Castings, Inc. v. Illinois Insurance Guaranty
       Fund, 2012 IL App (1st) 111533, ¶ 15 (“an unreported case” is “not binding on any court”); People v.
       Moore, 243 Ill. App. 3d 583, 584 (1993) (“the decision was unreported and of no precedential value”).
       “Unreported decisions have no precedential value, and this is even more true for decisions from foreign
       jurisdictions.” American Family Mutual Insurance Co. v. Plunkett, 2014 IL App (1st) 131631, ¶ 38;
       Burnette v. Stroger, 389 Ill. App. 3d 321, 329 (2009); West American Insurance Co. v. J.R.
       Construction Co., 334 Ill. App. 3d 75, 82 (2002) (a “foreign, unreported decision *** is of no
       precedential value”). Specifically, with respect to unpublished federal cases, this court has held that
       they do not carry any authority before an Illinois court. Lyons v. Ryan, 324 Ill. App. 3d 1094, 1107 n.11
       (2001) (“unreported federal court orders” are not “any kind of authority before an Illinois court”);
       Sompolski v. Miller, 239 Ill. App. 3d 1087, 1093 (1992) (“we decline” to follow “an unreported Federal
       district court decision”).

                                                       -5-
¶ 23        This attorney-client privilege is “a two-way street, protecting both the client’s
       communications to the attorney and the attorney’s advice to the client.” People v. Radojcic,
       2013 IL 114197, ¶ 40. The attorney-client privilege recognizes that “ ‘advocacy depends upon
       the lawyer being fully informed by the client’ ” (Center Partners, Ltd. v. Growth Head GP,
       LLC, 2012 IL 113107, ¶ 31 (quoting Fischel & Kahn, Ltd. v. Van Straaten Gallery, Inc., 189
Ill. 2d 579, 585 (2000), quoting Upjohn Co. v. United States, 449 U.S. 383, 389 (1981))),
       including the client’s right to formulate trial strategy, and the right to have a “full and frank
       consultation.” Consolidation Coal Co., 89 Ill. 2d at 117-18. Defendants argue that preventing
       Dr. Krygsheld, a control member of defendant L.L.C., from communicating with defense
       counsel infringes on his ability to protect his corporation and formulate a defense to the
       lawsuit. Without allowing the ex parte communication, the L.L.C. may face serious legal and
       financial repercussions.

¶ 24                               C. Limitations of the Petrillo Doctrine
¶ 25       Defendants argue for a narrow reading of Petrillo by relying on Burger v. Lutheran
       General Hospital, 198 Ill. 2d 21, 50-60 (2001). In Burger, the Illinois Supreme Court
       interpreted the Petrillo doctrine to mean that a treating doctor may not engage in ex parte
       communications with third parties about the plaintiff’s medical care. Burger, 198 Ill. 2d at 45.
       While the events in Burger occurred in a hospital, defendants argue that an L.L.C. medical
       group is similar to a hospital for the purposes of this claim. Defendants cite Burger to support
       the contention that a patient seeking care from a medical corporation has consented to reduced
       privacy rights, and should expect intraorganization communications regarding care. Defendant
       also claims that, like a hospital, these intraorganization communications do not qualify as
       third-party communications under Petrillo.
¶ 26       Further, communications among members of a medical group including their attorney are
       not disclosures to third parties. Petrillo finds that the doctor-patient relationship demands that
       information remain “undisclosed to third parties” (Petrillo, 148 Ill. App. 3d at 590), which the
       supreme court in Burger interpreted to mean “parties who otherwise would not possess the
       information absent the disclosure.” Burger, 198 Ill. 2d at 57. The supreme court concluded:
       “The hospital is not a third party with respect to its own medical information, which is
       compiled by the hospital’s own caregivers.” Burger, 198 Ill. 2d at 57. Although the L.L.C. is
       not a hospital, it is a corporation which provides medical care as a group. When plaintiff
       decided to seek the care and treatment of a different doctor within the same medical group, she
       created a conflict of interest, which was worsened when she filed suit against the corporation
       of which both her legal adversary and her current treating doctor were managing members.
       “The knowledge of or notice to an officer of a corporation generally is imputed to the
       corporation.” People ex rel. Daley v. Warren Motors, Inc., 114 Ill. 2d 305, 320 (1986).
       Plaintiff’s medical information was already in the L.L.C.’s possession when she was Dr.
       Brink’s patient, long before she filed suit. Dr. Krygsheld, as one of three managing members of
       the L.L.C., is not a third party to the information of his own corporation. See Burger, 198 Ill.
2d at 57; Lombardo v. Reliance Elevator Co., 315 Ill. App. 3d 111, 120 (2000).
¶ 27       Thus, it makes sense to conclude that, once a plaintiff sues a doctor, the plaintiff
       necessarily waives some of the protections afforded him by the doctor-patient privilege, and
       the accused doctor would be severely hampered in his ability to defend himself if he did not
       have the right to speak with his lawyer privately. This also applies to podiatrists who, although

                                                   -6-
       not sued directly, are part of the control group of the corporate entity that is sued. If we were to
       find that doctors who are part of the control group are bound by the doctor-patient privilege
       and that they could not have ex parte communications with their lawyers, then we would be
       finding that doctors who are sued in any capacity are bound by this privilege. We cannot make
       that conclusion here. Petrillo does not preclude ex parte communications with the individuals
       who serve as the corporate heads and who are decision makers of the accused medical or
       podiatry corporation.

¶ 28                                           D. Conditions
¶ 29       “ ‘[T]he recognition of a privilege does not mean that it is without conditions or
       exceptions. The social policy that will prevail in many situations may run foul in others of a
       different social policy, competing for supremacy.’ ” Consolidation Coal Co., 89 Ill. 2d at 117
       (quoting Clark v. United States, 289 U.S. 1, 13 (1933)). This case is being decided on the
       narrow facts presented.
¶ 30       What we want to accomplish in every case is to balance the competing privileges at issue in
       the interest of justice. In doing so, we have taken into consideration Petrillo and its progeny,
       and have also considered that the purpose of the attorney-client privilege is to encourage and
       promote a meaningful consultation between a client and his attorney so that the attorney can
       formulate an appropriate defense to the lawsuit without prejudicing the rights of the plaintiff.
       However, the ex parte communication we are granting to defendants is not without conditions
       and must be considered the exception, rather than the rule. Waste Management, Inc. v.
       International Surplus Lines Insurance Co., 144 Ill. 2d 178, 190 (1991).
¶ 31       Defendant designated Dr. Krygsheld as an expert witness as to liability and as a treating
       podiatrist as to the nature and extent of the injuries incurred by plaintiff as a result of
       defendants’ negligence. In order to provide plaintiff with the ability to obtain Dr. Krygsheld’s
       testimony before an ex parte communication with the corporate attorney concerning only the
       nature and extent of her injuries, we provide plaintiff the opportunity to take his deposition6 on
       that issue only, without allowing any prior ex parte communication by the defense. After that
       deposition has concluded, defense counsel will have the opportunity to have ex parte
       communications with the witness concerning the liability and causation aspect of the case.
       This ex parte communication will concern the issue as to whether any of the other corporate
       employees or principals deviated from the standard of care in their care and treatment of
       plaintiff and its resulting causation. That liability portion of the deposition of Dr. Krygsheld
       will take place on another date unless the parties agree otherwise. The liability and causation
       portion will occur only after the witness has reviewed and signed the injury deposition
       pursuant to Illinois Supreme Court Rule 207 (eff. Jan. 1, 1996) so that the witness may speak
       freely with counsel for defendant L.L.C., of which he is a member. By barring ex parte
       communications until after the injury deposition, we afford plaintiff the opportunity to secure
       Dr. Krygsheld’s testimony on damages without coaching by defense counsel, and to have her
       privacy interests adequately protected without unnecessarily impinging upon Dr. Krygsheld’s
       right to assistance of counsel for the corporate entity on the liability and causation issue.

          6
           Plaintiff should have the option of taking a discovery or evidentiary deposition of the witness.

                                                     -7-
¶ 32                                          CONCLUSION
¶ 33       The question that was addressed to this court was: does Petrillo prohibit a defense counsel,
       who represents a defendant podiatrist and defendant L.L.C., from conducting ex parte
       communications with plaintiff's treating podiatrist, who is a member of and in the control
       group of the L.L.C.? The trial court permitted defense counsel to speak to plaintiff's treater and
       designated expert for liability and causation concerning all aspects of the litigation. We reverse
       that order and prohibit defense counsel from having any ex parte communication with Timothy
       Krygsheld, D.P.M., until plaintiff had the opportunity to take the doctor's deposition on the
       issue of the nature and extent of her injury. After the deposition is completed and signed,
       defense counsel may have ex parte communications with the doctor concerning the issues of
       negligence and causation.

¶ 34      Certified question answered in the negative, with conditions.

¶ 35       JUSTICE LAMPKIN, dissenting.
¶ 36       I respectfully dissent. I would answer the certified question in the affirmative and reverse
       the trial court’s order that granted defendants’ motion to engage in ex parte communications
       with Dr. Krygsheld. Petrillo held that ex parte conferences between defense counsel and a
       plaintiff’s treating physician are prohibited as against public policy because they jeopardize
       the sanctity of the confidential and fiducial physician-patient relationship. Petrillo, 148 Ill.
       App. 3d at 588. Although the factual situation in Petrillo is distinguishable from the instant
       case, I believe the reasoning behind Petrillo is equally applicable here. Accordingly, I would
       find that Petrillo prohibits defense counsel, who represents defendants Dr. Brink and
       Performance Foot and Ankle Center, L.L.C. (PFAC), from conducting ex parte
       communications with plaintiff’s treating physician, Dr. Krygsheld, who is a managing member
       of PFAC.
¶ 37       Plaintiff’s medical malpractice claim alleged that she sustained permanent injuries as a
       result of Dr. Brink’s January 2003 Z-bunionectomy, after which plaintiff developed an
       infection. In May 2003, Drs. Brink and Krygsheld removed the infected hardware that had
       been implanted in plaintiff’s foot, and thereafter plaintiff saw Dr. Krygsheld for post-surgical
       appointments. Dr. Krygsheld is not named as a defendant. He is a managing member of PFAC,
       along with Drs. Brink and Wittmayer. There is no dispute that defendant Dr. Brink, and not Dr.
       Krygsheld, is the physician for whose conduct defendant PFAC is allegedly liable.
¶ 38       Illinois public policy favors the existence of a confidential and fiduciary relationship
       between the physician and the patient, and this policy is reflected in the medical profession’s
       code of ethics and the fiduciary relationship between physicians and patients. Id. at 587-88.
       Application of Petrillo here would encourage a continuing dialogue between patients and their
       physicians, whereas a holding that Petrillo does not apply would greatly discourage
       unconstrained communication between a patient being treated at a medical entity and the
       physician actually treating that patient. See Ritter v. Rush-Presbyterian-St. Luke’s Medical
       Center, 177 Ill. App. 3d 313, 317 (1988). Furthermore, the application of Petrillo here would
       not prevent PFAC from communicating with the physician allegedly responsible for plaintiff’s
       injuries, and thus would not prevent PFAC from defending itself from liability. Id. at 317-18
       (the hospital’s right to defend itself does not justify an abrogation of the physician-patient
       privilege when the hospital sought to communicate with employee-physicians whose conduct

                                                   -8-
       was not a basis for liability as provided for in the complaint); Morgan v. County of Cook, 252
Ill. App. 3d 947, 954 (1993) (the defendant hospital is included within the physician-patient
       privilege when the patient attempts to hold the hospital vicariously liable for the conduct of the
       treating physician, and the patient has impliedly consented to the release of his medical
       information to the hospital’s attorneys); Aylward v. Settecase, 409 Ill. App. 3d 831, 837 (2011)
       (where a patient intended to hold his treating physician and a medical clinic, which was the
       physician’s employer, liable for the physician’s alleged negligence, the clinic could not engage
       in ex parte communications with its employees pursuant to the physician-patient privilege
       unless and until the actions of the clinic’s employees were alleged to be a basis for the patient’s
       injuries).
¶ 39        The holdings in Ritter and Morgan are applicable in the instant case, notwithstanding the
       enactment of certain provisions of the Hospital Licensing Act (HLA) (210 ILCS 85/6.17(d),
       (e) (West 2000)) that created a Petrillo exception for hospitals. See Burger v. Lutheran
       General Hospital, 198 Ill. 2d 21 (2001) (the statutory provisions of the HLA concerning the
       authorized limited communication between the hospital’s counsel and medical staff members
       regarding a patient’s care, even though those staff members were not named as defendants in
       the patient’s lawsuit, were constitutional); In re Medical Malpractice Cases in the Law
       Division, 337 Ill. App. 3d 1016, 1023-25 (2003) (within the narrow parameters set forth in
       subsections 6.17(d) and (e) of the HLA, a defendant hospital’s counsel and employees and
       agents responsible for peer review, defense of claims and risk management may communicate
       ex parte with the hospital’s employees or affiliates who provided health care or treatment to the
       plaintiff patient even though such care or treatment was not alleged to be the cause of the
       patient’s injuries). This HLA statutory exception applies only to hospitals, and there is no basis
       to extend this exception by judicial fiat to L.L.C.s or corporations when the legislature clearly
       declined to do so.
¶ 40        “At the very heart of every fiduciary relationship, including that between a patient and his
       physician, there exists an atmosphere of trust, loyalty, and faith in the discretion of a
       fiduciary.” Petrillo, 148 Ill. App. 3d at 595. The fiduciary relationship between the physician
       and the patient requires, at the very minimum, that the patient who files suit has a right to rest
       assured that the physician will act in good faith while at the same time complying with
       court-ordered discovery. Id. When a patient files suit, he implicitly “consents only to the
       release of his medical information (relative to the lawsuit) pursuant to the methods of
       discovery authorized by Supreme Court Rule 201(a) [citation]. A patient certainly does not, by
       simply filing suit, consent to his physician discussing that patient’s medical confidences with
       third parties outside court-authorized discovery methods, nor does he consent to his physician
       discussing the patient’s confidences in an ex parte conference with the patient’s legal
       adversary.” (Emphasis in original.) Id. at 591.
¶ 41        Here, Dr. Krygsheld was not the allegedly negligent physician. Thus, the physician-patient
       privilege applies because PFAC and Dr. Brink are not prevented from defending themselves in
       the lawsuit. Plaintiff sued because of the negligent treatment allegedly administered by Dr.
       Brink. Plaintiff did not waive her privilege as to treatment given by Dr. Krygsheld, her
       subsequent treating physician. Although the physician-patient privilege will eventually be
       broken, it should only occur pursuant to formal discovery methods. PFAC does not show what
       information that could be obtained in an ex parte discussion with Dr. Krygsheld could not be
       obtained via discovery pursuant to Illinois Supreme Court Rule 201(a) (eff. July 1, 2014). See

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       Petrillo, 148 Ill. App. 3d at 597 (Neither the time nor expense involved in deposing a treating
       physician “creates such hardship that it is necessary for us to carve an exception into the
       well-established rules of discovery.”). Because the alleged negligence occurred during Dr.
       Brink’s treatment, PFAC is not hindered in preparing an adequate defense to the lawsuit.
       PFAC’s counsel is able to consult with two of the three managing members of PFAC outside
       the framework of formal discovery. I fail to see the difficulty or prejudice defendants claim
       exists in preventing ex parte communication with Dr. Krygsheld. Any concerns defendants
       may have about lacking particular input from Dr. Krygsheld concerning this litigation does not
       warrant a court allowing defense counsel to speak ex parte with him.
¶ 42       Defendants argue that Petrillo is distinguishable because Dr. Krygsheld is both plaintiff’s
       treating physician and a managing member of PFAC. This distinction, however, does not
       warrant the creation of an exception to Petrillo for medical entities organized as L.L.C.s and/or
       corporations and their staff or control groups. In plaintiff’s medical malpractice claim against
       PFAC and Dr. Brink, the particular negligence of Dr. Brink is the subject of the litigation. Dr.
       Krygsheld is not in the same situation as Dr. Brink. Dr. Krygsheld neither participated in nor
       was responsible for the alleged negligent treatment that plaintiff received. Under the present
       lawsuit, Dr. Krygsheld is not in danger of being held personally liable. Any fears of
       repercussions to the value of the L.L.C. medical corporation of which Dr. Krygsheld is but one
       of the three managing members should not alter the physician-patient privilege. Incorporation
       gives economic advantages to professionals in forming a medical practice and should not be
       used as a means to violate a patient’s confidences and alter existing statutory and common law.
       See Testin v. Dreyer Medical Clinic, 238 Ill. App. 3d 883, 895 (1992), vacated on other
       grounds sub nom. Almgren v. Rush-Presbyterian-St. Luke’s Medical Center, 162 Ill. 2d 205
       (1994) (order was not appealable where counsel did not pursue contempt sanction). A financial
       tie between the treating physician and the corporate defendant does not counterbalance the
       fundamental interests patients enjoy in the patient-physician relationship. Although the facts of
       this case are uniquely different from Petrillo and its progeny, the confidences known by Dr.
       Krygsheld are no different from those of other treating physicians.
¶ 43       I disagree with the majority’s assertion that plaintiff necessarily waived some of the
       protections afforded by the physician-patient privilege because she “created a conflict of
       interest” when she received treatment from multiple doctors within the same medical group
       and then filed suit against the medical group and the single negligent doctor. Supra ¶ 26. The
       majority’s critical observation of plaintiff’s conduct also would have to apply to physicians
       who create a similar so-called “conflict of interest” by organizing their medical groups as
       corporations and L.L.C.s. Although the majority answers the certified question in the negative,
       it essentially concedes the error of its position that Petrillo does not bar ex parte
       communications with Dr. Krygsheld by invading the province of the trial court and sua sponte
       issuing a discovery order to limit defense counsel’s ex parte communications with Dr.
       Krygsheld.
¶ 44       The public has an established and beneficial interest in both the fiducial and confidential
       qualities of the physician-patient relationship, and the public has an interest in having those
       qualities safeguarded from conduct that places them in jeopardy. Because ex parte conferences
       threaten the sanctity of the physician-patient relationship while producing no additional
       information (other than that which is already obtainable through the regular methods of
       discovery), I would conclude that public policy prohibits ex parte communications between

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counsel for a medical entity that is not a hospital and a treating physician who is within the
control group of the medical entity but whose actions are not alleged to be a basis for the
patient’s injuries.

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