RILEY, J.
The Fund presents three issues on appeal, which we consolidate and restate as the following single issue: Whether the [Indiana Patient’s Compensation Fund] can introduce evidence concerning the existence and compensable nature of B.O.’s damages after B.O. entered into a settlement with the healthcare provider settling his claim of medical malpractice.
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In this case, B.O. filed a petition to access the Fund after settling with Lutheran. B.O. and the Fund now dispute the evidence that can be properly admitted to determine the amount of excess damages, if any, for which the Fund is statutorily responsible. The Fund posits that the summary judgment prohibiting the introduction of its expert witnesses results in curtailing the Fund’s ability to present evidence to assist the trier of fact in determining the proper measure of damages, if any, to be awarded to B.O. Specifically, the Fund attempts to introduce five expert witnesses who intend to testify that the circumstances surrounding B.O.’s mother’s labor and B.O.’s birth do not support a subsequent diagnosis of spastic diplegia at age four. The experts concurred that B.O.’s leg spasticity is not due to an insult during labor and delivery and at birth, B.O. did not exhibit symptoms consistent with a neurological injury such as cerebral palsy. Based on these testimonies, the Fund contends that B.O. is not entitled to any excess damages. The Indiana State Medical Association favors the Fund’s arguments and advances that the trial court’s summary judgment will have a significant financial impact on the Fund and its participating health care providers. In turn, B.O. counters that because Lutheran settled the underlying cause, the Fund, by operation of the statute, cannot argue liability or causation and may only argue the amount of damages. Therefore, B.O. maintains that the admission of the testimony by the Fund’s experts is improper as it impermissibly encroaches on Lutheran’s liability, which is already established.
Presented as such, we are asked to determine whether the Fund’s argument is a permissible argument regarding the legally compensable nature of the damages sought, a permissible argument about the amount of damages owed to B.O., or an impermissible argument regarding the ultimate question of liability. While precedent exists as to various components of this issue, the precise question to be addressed by this court is a matter of first impression.
In interpreting I.C. § 34-18-15-3, the trial court relied on our opinion in Dillon v. Glover, 597 N.E.2d 971 (Ind. Ct. App. 1992), trans. denied, which imposed the prevailing interpretation of the statute at hand. In Glover, a physician negligently failed to diagnose the plaintiff’s lung cancer from an initial x-ray, and the patient died. Id. at 972. The patient’s estate brought a wrongful death claim against the physician. Id. After settling with the physician for the statutory maximum, the estate then pursued excess damages from the Fund. Id. At the hearing on excess damages, evidence established that had the cancer been diagnosed properly, the patient would have had a thirty percent chance to live five years, rather than the eight percent chance he had when the cancer was actually diagnosed. Id. The Fund argued that because the patient never had a greater than fifty percent chance of survival, the physician did not proximately cause the patient’s death, and the patient’s estate was not entitled to any excess damages. Id.
On appeal, we noted that I.C. § 16-9.5-4-3, the predecessor of I.C. § 34-18-15-3 that contained the same statutory language emphasized above, “is unambiguous, in fact it could be characterized as a paragon of clarity.” Id. at 973. Because of this clarity, we held that [t]he Fund would equate settlement with an admission of negligence, and claims that the issue of whether the health care provider’s negligence proximately caused any damage is properly considered by the trial court. The Statute, however, speaks of settling a health care provider’s liability and provides that the trial court will consider the liability of the health care provider as admitted and established. Id. We continued our analysis by concluding that “[i]t is axiomatic that, before liability can be imposed, there must be proof that the defendant’s negligence proximately caused the plaintiff’s harm. It therefore follows that once liability is established, the issue of proximate cause is decided. Id. However, we advised that the Fund remained free to argue the correct standard of compensation of the injury. Id. at 973-74. The issue presented here—the content of admissible evidence to establish the measure of damages—was thus not addressed.
Cases decided since Glover have generally affirmed the distinction made therein: upon a petition for excess damages from the Fund following a settlement between the claimant and the defendant health care providers, the trial court may not inquire whether the provider was liable for damages, but the court may determine the amount of damages owing to the claimant and may also evaluate the compensable nature of the damages sought by the claimant. See, e.g., Rimert v. Mortell, 680 N.E.2d 867, 871 (Ind. Ct. App. 1997), trans. denied; J.L. v. Mortell, 633 N.E.2d 300, 303-04 (Ind. Ct. App. 1994), trans. denied; Dillon v. Callaway, 609 N.E.2d 424, 426 (Ind. Ct. App. 1993), trans. denied.
Applying this line of precedents, B.O.’s damages per se, i.e., physical injuries as a result of medical malpractice, fall within the purview of statutory compensable damages. However, the evidence the Fund proposes to admit also squarely focuses on Lutheran’s liability issue, positing that B.O.’s spastic diplegia either did not result from any medical malpractice committed by Lutheran during B.O.’s birth or is non-existent. Based on the statutory interpretation of I.C. § 34-18-15-3, as proponed by Glover, this evidence would be inadmissible.
Nevertheless, very recently, in the re-evaluation of Glover and its progeny in Atterholt v. Herbst, 902 N.E.2d 220 (Ind. 2009), reh’g granted, 907 N.E.2d 528 (Ind. 2009), our supreme court provided us with clear and different guidelines to settle the issue before us today. Herbst involved proportional damages pursuant to the Restatement (Second) of Torts, § 323, and turned on the degree of initial risk that is aggravated by the medical malpractice, rather than a demand for full damages. In Herbst, a patient’s physician misdiagnosed fulminant myocarditis as pneumonia, and the patient died. Id. at 221. The patient’s estate sued the doctor and others for medical malpractice resulting in wrongful death. Id. After settling, the estate filed an action against the Fund, seeking the maximum in excess damages. Id. At trial, the trial court excluded evidence tendered by the Fund that appeared to establish that even with proper care, the patient had less than a ten percent chance of surviving the myocarditis. Id. at 222. On appeal, we affirmed the trial court’s exclusion of the evidence. Id.
Our supreme court reversed, holding that when a claimant seeks excess damages from the [Fund] after obtaining a judgment or settlement from a health care provider in a medical malpractice case, the Fund may introduce evidence of the claimant’s preexisting risk of harm if it is relevant to establish the amount of damages, even if it is also relevant to liability issues that are foreclosed by the judgment or settlement. Id. at 221 (emphasis added); see also opinion on reh’g, 907 N.E.2d at 528. Commencing its analysis, the Herbst court noted our decision in Glover where we held that evidence concerning the health care provider’s negligence was impermissible as “the settlement established liability, which included the issue of whether the physician’s negligence proximately caused the patient’s damages.” Herbst, 902 N.E.2d at 223. Because Glover concluded that the Fund was free to argue regarding the correct standard for compensation of the injury, the Herbst court noted that, as such, Glover did not address the “extent of damages.” Id.
Continuing its analysis, the supreme court clarified that the issue left open in Glover was decided in Mayhue v. Sparkman, 653 N.E.2d 1384 (Ind. 1995). Id. Adopting Section 323 of the Restatement (Second) of Torts, the court explained that when a plaintiff proves negligence and an increase in the risk of harm due to the medical malpractice, the jury is permitted to decide whether the malpractice was a substantial factor in causing the harm suffered by the plaintiff. Id. As such, in a Mayhue claim, evidence of harm is relevant to establish the health care provider’s liability.
Noting that the Mayhue holding was consistent with Glover, the Herbst court stated that although the Fund in Glover was precluded from challenging liability, it was free to contest the trial court’s finding as to damages, presumably by offering evidence of the patient’s underlying risk of harm. Id. The court concluded that “[r]elevance is not an either-or proposition. Evidence of increased risk of harm can be relevant to both causation under Mayhue and valuation of damages.” Id. at 224. Although B.O. does not bring a claim of proportional damages before us, but rather requests full damages, we find the supreme court’s holding in Herbst persuasive and applicable to the instant cause. While pursuant to I.C. § 34-18-15-3, Lutheran’s liability and proximate causation are deemed established by the underlying settlement with B.O., the extent of the excess damages is still before us and contested by the Fund. Based on the recent developments in the case law, it follows logically that evidence of the extent of this injury which is sought to be recovered from the Fund is properly admissible before the trial court.
Our holding today is in line with the plain and unambiguous language of Indiana Code section 34-18-15-3, which allows each injured person to obtain excess damages to cover the costs of his or her injury while limiting the amount of damages that a health care provider may have to pay. Thus, the statute does not compel malpractice insurance carriers to factor in additional unpredictable costs that would be incurred if the statutory cap were tied to possible multiple injuries resulting from an occurrence of malpractice. McCarty v. Sanders, 805 N.E.2d 894, 899 (Ind. Ct. App. 2004). Accordingly, the statute achieves the twin goals of the MMA: compensating those injured by malpractice while at the same time assuring that malpractice insurance will remain available to health care providers. See id.
An award of excess damages by the Fund is not automatic and the statute appears to recognize the potential for no excess damages following settlement with the health care provider. Specifically, the language of the statute itself directs the trial court to determine “the amount, if any,” to be paid from the Fund. See I.C. § 34-18-15-3. As the supreme court observed in Herbst, if the claimant would have died regardless of the treatment he received, “although causation in fact is no longer in issue, the damages would be zero because the negligent act increased the probability of death [or injury] by zero percent.” Herbst, 902 N.E.2d at 224.
Health care providers in Indiana may settle medical malpractice claims for a multitude of reasons, like concerns over the complexity of the case that might make it difficult for a jury to understand the issues, the weaknesses in a case that may be raised by members of the medical review panel notwithstanding a favorable opinion, and the relative cost of defending a medical malpractice claim through extensive scientific, medical, and other expert testimony. The admission of liability and acceptance of proximate cause by way of a settlement between the claimant and the health care provider does not obligate the Fund to compensate claimants for damages that are of a non-compensable nature. See Dillon, 597 N.E.2d at 973. As such, the Fund cannot be precluded from introducing relevant evidence on the compensable nature and event of a claimant’s injury merely because the health care provider elected to settle the underlying medical malpractice claim and liability has been established by operation of I.C. § 34-18-15-3. Holding otherwise would force health care providers to litigate the compensable nature and extent of the alleged injury in the underlying action or forfeit the Fund’s ability to present such evidence in calculating the amount of excess damages, if any, recoverable in the secondary action against the Fund. Therefore, we reverse the trial court and conclude that, here, the Fund can present evidence allegedly establishing that B.O. does not have spastic diplegia or that his symptoms are not due to an insult at birth.
DARDEN, J., and BARNES, J., concur.