Case Law[2022] ZASCA 107South Africa
Frantzen v Road Accident Fund (331/2021) [2022] ZASCA 107; [2022] 3 All SA 657 (SCA); 2023 (1) SA 52 (SCA) (15 July 2022)
Supreme Court of Appeal of South Africa
15 July 2022
Headnotes
Summary: Delict – personal injury claim – factual causation – cause and effect – whether soft tissue injury of neck and back sustained in motor vehicle accident caused involuntary muscle movement disorder – expert witness’ reliance on medical literature – application of criteria from literature employed as a tool to establish a link between involuntary muscle movement and trauma – logical and reasonable explanation by expert witness required.
Judgment
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## Frantzen v Road Accident Fund (331/2021) [2022] ZASCA 107; [2022] 3 All SA 657 (SCA); 2023 (1) SA 52 (SCA) (15 July 2022)
Frantzen v Road Accident Fund (331/2021) [2022] ZASCA 107; [2022] 3 All SA 657 (SCA); 2023 (1) SA 52 (SCA) (15 July 2022)
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sino date 15 July 2022
THE
SUPREME COURT OF APPEAL OF SOUTH AFRICA
### JUDGMENT
JUDGMENT
Reportable
Case
no: 331/2021
In
the matter between:
M
A L
FRANTZEN
APPELLANT
and
THE
ROAD ACCIDENT
FUND
RESPONDENT
Neutral citation:
Frantzen v Road Accident
Fund
(Case no 331/2021)
[2022] ZASCA 107
(15 July 2022)
Coram:
ZONDI, CARELSE and MABINDLA-BOQWANA JJA and MEYER and PHATSHOANE AJJA
Heard:
20 May 2022
Delivered:
15 July 2022
Summary:
Delict – personal injury
claim – factual causation –
cause and effect – whether soft tissue injury of neck and back
sustained in motor
vehicle accident caused involuntary muscle
movement disorder – expert witness’ reliance on medical
literature –
application of criteria from literature employed
as a tool to establish a link between involuntary muscle movement and
trauma –
logical and reasonable explanation by expert witness
required.
### ORDER
ORDER
On
appeal from:
Gauteng Division of the High Court, Pretoria
(Collis J, sitting as a court of first instance):
The
appeal is dismissed with costs.
### JUDGMENT
JUDGMENT
Mabindla-Boqwana
JA (Zondi and Carelse JJA and Meyer and Phatshoane AJJA concurring)
Introduction
[1]
The appellant, Mr M A L Frantzen, instituted a claim against the
respondent,
the Road Accident Fund, for the payment of compensation
for damages resulting from bodily injury caused by a motor vehicle
accident
in which he was involved on 8 April 2007 (the 2007
accident). It is common cause that he sustained a soft tissue injury
of the
neck, commonly known as whiplash injury, in the 2007 accident.
It is also common cause that the appellant suffers from an
involuntary
movement disorder, dystonia. The core issue between the
parties is whether the dystonia was caused by the peripheral trauma
to
the appellant’s neck, the whiplash injury. The Gauteng
Division of the High Court, Pretoria (the high court) determined that
question of factual causation first and separately from the other
questions in the action. It found that a causal link between
the 2007
accident and the movement disorder had not been established, and
granted the appellant leave to appeal to this Court.
Background
facts
[2]
The appellant was 34 years old at the time of the accident and
practiced
as an advocate until he was rendered incapacitated by
continuous episodes of dystonia. Dystonia results from an abnormality
or
damage in the regions of the brain that control movement. This
abnormality causes muscles in the affected parts of the body to move
uncontrollably or involuntarily. The onset of the appellant’s
dystonia occurred approximately 10 months after the 2007 accident.
[3]
Prior to the 2007 accident, the appellant had been involved in two
other
motor vehicle accidents. These occurred in 2003 and 2004/2005
respectively. He sustained whiplash neck injuries in those accidents
as well. In the 2003 accident he also suffered a mid-back injury. The
pain caused by those earlier whiplash injuries, however,
resolved
within a few weeks of each accident and he resumed his normal daily
work without any difficulty. It is the 2007 accident
which, it is
alleged, presented dramatic changes to the appellant’s life,
which progressively led to his permanent incapacitation.
[4]
The 2007 accident occurred while the vehicle which the appellant
drove
was stationary at a traffic light and another vehicle collided
into its rear. The appellant alighted from the vehicle and exchanged
information with the driver of the other vehicle. After about 30
minutes he started feeling nauseous and drove himself to the Eugene
Marais Hospital (Eugene Marais). He also felt some pain in his neck,
as a result of which x-rays were taken. He was, however, not
admitted
but merely given medication. The following day he felt pain in his
back (ie his shoulder blades in the mid-thoracic area)
and went for
physiotherapy. He also consulted his brother, an orthopaedic surgeon,
who examined him. Because his back and neck
pain got worse, his
brother gave him two to three infiltrations. Each infiltration
brought him pain relief for approximately half
a day, after which the
pain recurred. He returned to work after a few days but found that he
was unable to work for more than two
hours, as standing up activated
the pain.
[5]
He later went on holiday but spent most of the time in bed, as he
could
not move due to the neck and back pain. He stopped working for
a while, during which time he attended physiotherapy sessions, which
did not bring him much pain relief. His neck became intensely stiff
and tight, which also worsened the thoracic pain. Stress also
exacerbated his pain and discomfort. He, therefore, decided to stop
the physiotherapy. He, however, resumed the physiotherapy sessions
when he went back to work during the last three to four months of
2007, since the pain persisted. His brother referred him for
x-rays
and an MRI scan, from which he noted some ‘neck disc bulges’
which were not severe enough to justify surgery.
His brother also
gave him standard pain medication, which did not help him much.
[6]
In January 2008, while he was sitting up and dictating notes, his
left
shoulder and left arm pulled up and he could not get them
straight. His elbow became flexed. The problem lasted for about three
hours. His brother gave him another infiltration in his back and
prescribed further medication. Two days later, a similar incident
occurred and his brother changed his medication. According to Dr
Johannnes Smuts, a neurologist who gave expert evidence on behalf
of
the appellant, this picture was suggestive of torticollis (a
spasmodic contraction of the muscles of the neck) and the appellant’s
abnormal posture was very different from the muscle spasms that he
had developed up to that point.
[7]
A major
attack happened on 17 February 2008,
[1]
while the appellant was sitting in a vehicle. He could not move, his
body seemed not to be stiff or tight this time but everything
felt
‘loose’, so that he could not move his arms or legs and
he could not talk. He was effectively unable to control
his voluntary
movements and his father and wife had to carry him into the house.
This episode took one and a half hours before
he could voluntarily
move again. Thereafter, he experienced residual stiffness for one and
a half days, with a feeling of nausea
and haziness. He had to be
driven to work by other advocates as he was too stiff to drive.
[8]
Yet another episode occurred while at a coffee shop with a colleague.
It was so severe that the appellant fell over the table and collapsed
onto his colleague. He had to be carried to his office and
was taken
to Eugene Marais where he was admitted for four to five days and
referred for an MRI scan. Thereafter, he was referred
to Little
Company of Mary Hospital to consult a neurologist, Dr Duim. The MRI
scan and angiogram which were done showed no abnormality.
He had to
be sedated in order to receive physiotherapy treatment. He also
consulted a neurosurgeon, Dr du Plessis, who advised
him that the
pins and needles which he apparently experienced at that time and
some of the spasms could be related to his neck
injury but that there
were pains and spasms which could not be explained by that injury. A
decision was then taken to have him
admitted to the DBC Training
Centre in Centurion, for rehabilitation.
[9]
During the period of his admission, the appellant became very ill. He
could not open his eyes or talk but simply made groaning and moaning
sounds. He remained fully conscious while all his muscles were
tight
with a constant pattern of movement changes when the neck and head
would flex to the right and the right side of his body
flexing in
relation to the trunk and arm. During these attacks his speech
slurred and his mouth pulled to one side.
[10]
A lumbar puncture was performed to exclude multiple sclerosis. He was
also placed on antipsychotic
medication by a psychiatrist.
Rehabilitation worsened the situation as with all exercises he would
develop more spasms, attacks
or contortions in the paravertebral part
of his body. To continue with his exercises or rehabilitation, he was
given more infiltrations
into his back. He decided to stop the
psychiatric medication, since he believed that that medication
worsened his condition.
[11]
The episodes would be triggered by someone touching him, bright
light, loud sounds and
vibrations. Similar attacks were also
witnessed by the expert witnesses while examining him. All the
doctors excluded epilepsy
as a condition from which he suffered.
Although he kept his practice open for a year, he was not actually
working due to the profusion
of the episodes. His colleagues took
over all of his work until 2009 when his practice could no longer
continue. Since then he
stayed at home looking after the birds that
he bred and he involved himself in art collection, which has been his
hobby. He could
not play with his children; that also triggered his
episodes of involuntary movements. He was referred to Professor C M
van der
Meyden, a neurologist, who diagnosed him as suffering from
dystonia. Professor van der Meyden referred him to Dr Smuts, a
neurologist
and movement specialist at Wilgers Hospital. The
appellant developed depression and at some stages experienced
suicidal ideations.
Expert
Evidence
[12]
The appellant did not testify at the trial but called Dr Smuts as an
expert witness. The
respondent called Dr Percy Miller, a
neurosurgeon, and Dr Donald Birrell, an orthopaedic surgeon, as its
expert witnesses.
[13]
Drs Smuts
and Miller prepared a joint minute containing points of agreement and
dispute. The experts agreed on many issues, including
the fact that
the appellant suffered from dystonia. The main difference between
them related to the issue of factual causation.
According to Dr
Smuts, the appellant’s clinical picture (on which the experts
agreed) had a direct temporal relation to the
2007 accident and the
neck injury, whilst Dr Miller was of the opinion that it did not. The
experts agreed that the medical history
could be drawn from Dr
Miller’s report which was more detailed and very precise in
terms of specific time intervals.
[2]
It is important to deal with their evidence in some detail.
[14]
I deal first with Dr Smuts’s evidence. Dr Smuts prepared three
reports dated 16 February
2009 (first report), 18 February 2016
(second report) and 28 January 2020 (third report) respectively. In
relation to dystonia,
he stated the following in his first report:
‘
The
clinical picture of torticollis, blepharospasm and oromandibular
movements can in combination only be described as cranio cervical
dystonia.
There
are difficult issues related to the dystonia; although dystonia has
been described in association with head injury all cases
were in
severe head injury most often when there was haemorrhage in the basal
ganglia. In this instance there has been no head
injury of any
significance. The second dilemma is that dystonia by its very nature
is a sustained muscle contraction. In the case
of this patient the
dystonia comes in attacks. There are a number of dystonia syndromes
that are episodic in nature [and] are well-known
but very rare. I
could not find any reference of any of these syndromes that can be
related to injury of [the] brain or neck.
A
second possible explanation is that he developed a movement disorder
due to exposure to medication used for treatment of his cervical
muscle spasms; this is known as tardive dyskinesia. In my experience
tardive dyskinesia is usually also a sustained movement which
can
vary considerabl[y] depending on several factors.
A
final possibility namely a psychogenic movement disorder should
always be considered. In this regard he was consulted by 2
psychiatrists
and in the case of Dr Steenkamp he explicitly stated to
me that his opinion is that the movement disorder is of an organic
rather
than a psychogenic origin.
Video
material of these attacks was also shown to a group of neurologists
with a special interest in movement disorders and the
opinion was no
different from what has been stated above the opinion was divided
between a very atypical dystonia or a psychogenic
condition. With no
objective tests remaining the opinion of the psychiatrist and the
stereotypical pattern of the attacks is therefore
considered dystonic
in nature.’
Dr
Smuts accordingly reached the following conclusion:
‘
Based
on the afore mentioned information the opinion is that the movement
disorder is a form of tardive dyskinesia which resulted
from
medication used to treat the cervical problem that resulted from the
accident.’
[15]
In his second report, Dr Smuts referred to statements by two
neurosurgeons, Drs du Plessis
and Marus, whom the appellant had
consulted. Dr Marus made the following remark:
‘
Trauma
has been associated with movement disorders. These usually relate to
significant brain injuries associated with damage of
the basal
ganglia. It is clear that no head injury occurred and therefore it
would not be a cause for his movement disorder. .
.
The
role of peripheral injury in the development of these form of
movement disorders remains uncertain. . .
Injury
of all sorts may result in development of abnormal movements that are
secondary to psychological factors. In many situations
it is
extremely difficult to separate these abnormal movements from unusual
or organic dyskinesias.’
[16]
In relation to dystonia, Dr Smuts concluded that:
‘
Post-traumatic
dystonia as a diagnostic entity remains a subject of debate. In
patients with cervical dystonia there is often significant
illness or
injury prior to the onset of their cervical dystonia.
This
patient however presents with attacks or episodes of dystonia rather
than a persistent movement. This type of presentation
is seen in a
condition known as paroxysmal kinesigenic dystonia. While dystonia
occurring after trauma is well documented, paroxysmal
exercise-induced dystonia occurring after trauma has only been
described in one documented case I could find described. This is
therefore a very rare presentation, but not impossible. An
alternative possibility would be that this is a psychogenic disorder.
Functional or psychogenic movement disorders are common and
disabling, and often difficult to diagnose.
Given
the long duration and persistent nature of the disorder in this
patient it is my opinion that this is a post-traumatic dystonic
disease that rendered the patient severely impaired. Paying so much
attention to the semantics regarding the type and precise cause
of
this condition serves little purpose and it is far more important to
consider this a permanent condition. Since this is time
related to
the accident and trauma, this must be considered the precipitating
cause of his disability.’
[17]
In his third report, Dr Smuts simply described what paroxysmal
movement disorders are and
mentioned that they were rare. He further
made an observation that ‘[d]ue to the rarity of these
disorders, it is senseless
to try and dig up literature references
about the possible link of trauma to this particular case’. He
concluded as follows:
‘
My
opinion is that this happened in direct temporal relation to the
accident, it persisted over many years, basically unaltered
and this
has had disastrous effects on this man and his career.
Proof
of a link or not to the accident, is in my opinion more than the
stated facts, it will remain pure speculation.’
[18]
In
evidence, Dr Smuts testified that his initial impression was that the
appellant most likely suffered from tardive dyskinesia,
[3]
which was the only condition, in his clinical experience, that
presented like the appellant’s. What changed from the three
possible diagnoses, as detailed in his three reports, which I have
quoted above, was additional reading that he had done and new
additional documentation that became available in the literature.
This new information classified the criteria for the post-traumatic
dystonia. This, he testified, was not available in 2009 (which is
when he prepared his first report), but became available only
in 2011
and the later publication in 2014, by an author known as Dr Joseph
Jankovic, a very prominent person within the movement
disorder
societies in the world.
[19]
The criteria used for diagnosis, as per the literature by Dr Jankovic
(the Jankovic criteria)
consisted of three requirements. Firstly,
there must be trauma that is significant enough to warrant treatment
within the period
of at least two weeks; secondly, the dystonia must
develop within one year from the period of trauma; and thirdly, the
injury must
be anatomically related to where the dystonia presents
itself. Dr Smuts testified that he felt confident that the condition
of
the appellant conformed to this ‘current’ definition
of post-traumatic dystonia and therefore decided that it was the
most
likely possibility for the cause of the appellant’s medical
condition.
[20]
Dr Smuts further testified that he still could not exclude the
possibility that ‘the
type that the appellant presented with
was a type of dyskinesia’. The appellant, however, had not been
exposed to any medication
for many years. In the majority of cases
when a patient stopped taking medication, while the dystonia did not
go away, it would
get better. As to the psychiatric aspect, the
majority of the psychiatrists that the appellant consulted with came
to the conclusion
that the condition was not a primarily psychiatric
disorder and he accepted that. He had not completely ruled out the
genetic link
because when he first saw the appellant, very few of the
genetic tests were available at the time. Only the DYT test was
available
and it came back as negative. Over the years, however, more
tests became available and locally there was a laboratory from which
a batch of genetic tests could be ordered. However, those were quite
expensive and very often unrevealing. Another alternative
would be to
export blood samples to the United States of America, to get a more
complete test. That still left another potential
question which had
been raised in the literature, that in many diseases one might carry
a genetic defect that may develop a disease.
However, for that to
happen, there needed to be a trigger event. In this regard, a patient
may present with a certain form of illness
and upon testing, the rest
of the family may be unaffected. The converse may also be true. Upon
extensive questioning, no history
of dystonia was found in the
appellant’s family.
[21]
Turning to Dr Miller’s evidence, in his report he excluded any
direct psychiatric
aspect to the appellant’s dystonia. He also
did not think that the appellant suffered from epilepsy. He observed
that just
about everyone (in the medical literature) agreed that
dystonia would develop after a severe head injury which involved
lesions
to the thalamus or the basal ganglia. Even non-traumatic
dystonia was related to some abnormality in the basal ganglia area of
the brain. Dystonia very rarely may develop from neck pathology.
While the appellant may have had neck and even thoracic pain for
two
to three days after the accident, any long-standing pain was most
likely as a result of dystonia, not whiplash. It was unlikely
that a
soft tissue injury would still be present after so many years taking
into consideration the following: that the appellant
was, after the
accident, not injured enough to go to the hospital; he alighted the
vehicle and exchanged information with the other
driver; and the
dystonia first occurred 10 or 11 months later; whereas, with regard
to the 2005 accident, the injury lasted only
two weeks and then
disappeared.
[22]
The most compelling reason why there was no connection between the
dystonia and the 2007
accident, according to Dr Miller, was simply
that the appellant never had the clinical sign or picture of a
significant head injury
of any type at all. The MRI and angiogram
were both normal. According to these, there was no evidence of any
focal or chronic injury
to the brain which could have produced or
precipitated the problem. To develop dystonia on a post-traumatic
basis, one would have
had to have, at the very least, a moderate or
most likely a severe to very severe head injury. The severe
impairment of the appellant’s
life was an organic brain problem
and not related to the neck at all, in Dr Miller’s view.
[23]
There were, however, cases recorded in the medical literature where
cervical and shoulder
injuries had been reported to produce dystonia
either acutely, or in some cases on a chronic basis, after six to
twelve months.
The situation was controversial, because while all of
the literature agreed that head injuries produced dystonia, 50 per
cent of
the literature did not mention neck or shoulder injuries
producing dystonia at all. The other 50 per cent mentioned acute or
chronic
dystonia, following a single or a repetitive neck injury. It
seemed that dystonia after a cervical or shoulder injury was
exceedingly
rare. On the other hand, if regard were to be had to the
incidences of pre-existing trauma in patients with dystonia,
approximately
5 to 20 per cent of cases would have had some form of
trauma in the background, excluding those with obvious head injuries.
[24]
Dr Miller further opined that given the common occurrence of minor to
moderate neck trauma
in the general population, it may be that the
trauma in cases of people who develop dystonia was merely incidental
and not a causal
finding. This was why 50 per cent of the literature
did not even mention neck trauma as a pre-existing factor in some
cases of
dystonia; almost all of the literature mentioned head
injuries and cranial trauma as a precursor of dystonia in some cases.
Even
in non-traumatic cases of dystonia, the disorder is classically
one of brain dysfunction. Thus, after the exclusion of genetic
dystonia, the most common causes of dystonia are tardive or
idiopathic and non-genetic. If there were to be any association
between
cervical trauma or a whiplash and dystonia, it was a very
rare phenomenon, and for that reason alone, the odds were that the
appellant
had developed secondary or idiopathic dystonia.
[25]
According to Dr Miller, the neck injury of 2007 or the previous two
neck injuries in 2003
and 2004/2005 were purely incidental phenomena,
particularly since thousands and millions of whiplash injuries
produced no overt
or untoward effects of this type at all. In
addition, almost all cases of dystonia began in middle age (which,
according to him,
was in the mid-thirties), which the appellant was
approaching (at dystonia onset). Also, the appellant was given no
psychiatric
or antipsychotic medication until 2008 when his clinical
situation was well advanced.
[26]
Furthermore, post-whiplash dystonias were usually not supposed to be
worse after exercise,
while the appellant’s dystonia was
precipitated by exercise. Most importantly, post-whiplash, a
post-traumatic cervical dystonia,
involved only the neck, whereas the
appellant’s clinical picture was not only related to the neck,
but was facial, ophthalmic,
laryngeal, truncal, brachial, or hemi-
dystonia, thus making it exceedingly unlikely that this dystonia was
related to the whiplash
injury. The appellant’s case was a more
generalised type of dystonia, in Dr Miller’s view.
[27]
Dr Miller testified that he had experience with neck injuries and was
to a certain extent
acquainted with dystonia because from 2007 to
2014 he performed treatment called deep brain stimulation, which is
one of the treatments
for certain types of dystonia. In over 40
years’ experience he had seen hundreds of thousands of cases
with neck injuries
and none had claimed that their neck injuries
(whiplash) presented a dystonic picture. Furthermore, 15 to 40 per
cent of those
who had whiplash injuries experienced the problem for
two to three weeks, which would make it easy for them to fit in with
the
first requirement of the abovementioned Jankovic criteria. Much
of what is in the criteria commonly happened in whiplash cases.
[28]
The appellant did not only have focal or cervical dystonia, he
actually collapsed during
the episodes. This was because he had
dystonia that involved the trunk where it would flex very badly. He
also had a laryngeal
dystonia. So, it was not only the neck, the face
and eyes that were involved. Dr Miller had also observed the
appellant during
his examination presenting with these movements. The
appellant could not breathe properly, he could not sit upright and
had to
be lifted from the floor after he fell.
[29]
Finally, Dr Miller testified that the appellant did not tell him
about the 2003 accident.
The appellant only informed him about the
2005 and 2007 accidents. The possibility of the dystonia being caused
by the cumulative
effect of injuries resulting from the three
different accidents would not be a strange phenomenon, according to
Dr Miller. Dr Birrell’s
evidence did not take the matter any
further. And so, nothing further needs to be said in this regard.
[30]
Having analysed the evidence, the high court found:
‘
In
applying the [Jankovic] criteria and the whiplash injury sustained by
the plaintiff; post-accident the plaintiff would have presented
with
only post-whiplash dystonia, whereas in the case of the plaintiff he
however suffers from a more generalized type of dystonia.
Thus, on
the criteria formulated by Dr Jankovic, it does not appear as if the
onset of movement disorder is related to the site
of the injury, i.e.
his neck.’
Factual
causation
[31]
In
answering the question of factual causation it must be shown that
‘but for’ the 2007 accident the appellant would
not have
suffered from dystonia.
[4]
The
enquiry is whether it was more probable than not that the involuntary
movements suffered by the appellant were caused by the
accident.
[5]
This question need not be answered with absolute certainty but must
be established on a balance of probabilities.
Approach
to expert evidence
[32]
The correct
approach in evaluating expert evidence was laid down in
Michael
and Another v Linksfield Park Clinic (Pty) Ltd and Another
(
Linksfield
),
[6]
where this Court held:
‘
.
. . [W]hat is required in the evaluation of such evidence is to
determine whether and to what extent their opinions advanced are
founded on logical reasoning. That is the thrust of the decision in
the medical negligence case of
Bolitho v City and Hackney Health
Authority
[1997] UKHL 46
;
[1998] AC 232
(H.L.E)). With the relevant
dicta
in
the speech of Lord Browne-Wilkinson we respectfully agree.
Summarised, they are to the following effect.
The
court is not bound to absolve a defendant from liability for
allegedly negligent medical treatment or diagnosis just because
evidence of expert opinion, albeit genuinely held, is that the
treatment or diagnosis in issue accorded with sound medical practice.
The court must be satisfied that such opinion has a logical basis, in
other words that the expert has considered comparative risks
and
benefits and has reached “a defensible conclusion” (at
241G-242B).’
[33]
The
fact that a body of professional opinion is almost universally held
would not make the opinion reasonable, if it disregarded
an obvious
risk that could have been prevented. In this regard, this Court
further stated in
Linksfield
:
[7]
‘
A defendant can
properly be held liable
, despite the support of
a body of professional opinion sanctioning the conduct in issue, if
that body of opinion is not capable
of withstanding logical analysis
and is therefore not reasonable
. However
,
it will seldom be right to conclude that views genuinely held by a
competent expert are unreasonable. The assessment of medical
risks
and benefits is a matter of clinical judgment which the court would
not normally be able to make without expert evidence
and
it
would be wrong to decide a case by simple preference where there are
conflicting views on either side, both capable of logical
support
.
Only where expert opinion cannot be logically supported at all will
it fail to p
rov
ide “the benchmark
by reference to which the defendant’s conduct falls to be
assessed” (at 243A-E
).’ (My emphasis.)
[34]
Further,
there is a difference between scientific and judicial measures of
proof. This difference was highlighted in the Scottish
case of
Dingley
v The Chief Constable, Strathclyde Police
,
[8]
as follows:
[9]
‘
One cannot
entirely discount the risk that, by immersing himself in every detail
and by looking deeply into the minds of the experts,
a judge may be
seduced into a position where he applies to the expert evidence the
standards which the expert himself will apply
to the question whether
a particular thesis has been proved or disproved -
instead of
assessing, as a judge must do, where the balance of probabilities
lies on a review of the whole of the evidence
.’ (My
emphasis.)
[35]
Expert
evidence must be weighed as a whole and it is the exclusive duty of
the court to make the final decision on the evaluation
of expert
opinion. Isolated statements made by experts should not too readily
be accepted, ‘especially when dealing with
a field where
medical certainty is virtually impossible’.
[10]
With these principles in mind, I now turn to the evaluation of the
evidence.
Assessment
of the evidence
[36]
In
advancing his opinion on the accident being the cause of the
appellant’s dystonia, Dr Smuts relied on an article titled,
Movement
disorders induced by peripheral trauma
[11]
authored by José Cláudio Nobrega and others (
Nobrega
),
who adopted the criteria devised by Dr Jankovic. This was sourced
from Dr Jankovic’s earlier article,
Post-traumatic
movement disorders: central and peripheral mechanisms
[12]
(
Jankovic
1
),
which advanced a case that peripheral trauma may cause dystonia and
proposed a criteria of classifying cases in establishing
the cause
and effect relationship between the two.
[37]
Before I
deal with Dr Smuts’s evidence in relation to this article, I
need to say a word about what the law says in relation
to an expert’s
reliance on literature. It is perfectly acceptable for an expert to
rely on medical literature, including
a published article. The expert
must, however, by reason of their own training, affirm the
correctness of the statements made in
the article, at least in
principle, and such work relied upon must be written by a person of
established repute or proved experience
in that field.
[13]
[38]
It is
apparent from the reading of the high court’s judgment that it
considered
Jankovic
1
. This
article and another,
Can
peripheral trauma induce dystonia and other movement disorders?
Yes!
[14]
(
Jankovic
2
),
also authored by Dr Jankovic, were attached as annexures to the
notice of appeal. Both articles are cited in
Nobrega
.
From the reading of the record, the two Dr Jankovic articles were not
canvassed in evidence. This is important, because they are
the source
of the hypothesis postulated by
Nobrega
upon which Dr Smuts relied, and they express the criteria in terms
more nuanced than
Nobrega
.
[39]
We were informed that the judge in the high court was furnished with
a copy of
Jankovic 1
after the completion of the evidence, but
before delivery of the judgment. Dr Smuts testified that Dr Jankovic
is well known in
the movement disorder professional community. This
is evident from the three articles placed before us.
[40]
Dr Jankovic’s expertise in the field as well as the weight to
be attached to the
article(s) before the high court were not
seriously challenged by the respondent. Apart from the issues being
tamely put to the
expert witnesses in evidence, the issue does not
seem to have been contentious in the high court. Furthermore, while
Dr Miller
questioned the Jankovic criteria, he did not seem to
dispute his reputation, as Dr Jankovic was not known to him. I have
no difficulty
in accepting that Dr Jankovic is a well-known scientist
in regard to movement disorders, the bigger issue is around the
controversy
of his hypothesis, which he acknowledged was not
universally embraced. In
Jankovic 2
, he observes:
‘
A
cause-and-effect relationship between brain injury and subsequent
movement disorder is well established, but the existence of
such a
relationship following peripheral injury has not yet been universally
accepted. Because movement disorders usually occur
without any
history of prior trauma, and as trauma is usually not associated with
movement disorders, some skeptics argue that
the relationship between
trauma and the subsequent movement disorder is purely
coincidental.’
[15]
[41]
As appears
from
Nobrega
,
Jankovic
2
’s
postulation was apparently disputed. In this regard, it cites an
article,
Can
peripheral trauma induce dystonia? No!
,
authored by W J Weiner.
[16]
What is contained in this article, or other views critiquing the
Jankovic criteria, were regrettably not placed in evidence as
a way
of balancing the opinions and in helping to assess the logical basis
and reasonableness of the hypotheses.
[42]
Furthermore,
while
Nobrega
endorses the notion that peripheral trauma may induce movement
disorders, they conclude that ‘additional experimental studies
[were] needed to further clarify the mechanisms possibly involved in
abnormal movement production and the ways in which a peripheral
lesion could affect basal ganglia activity’. It is not clear
whether any further experimental studies were done, or whether
Dr
Jankovic’s views and criteria had become universally accepted,
since the last of the articles presented to us was published
in 2002.
It has been held, however, that the lack of general acceptance of a
scientific theory may not be the basis to reject it,
without
more.
[17]
[43]
Dr Smuts’s testimony that the information was not available in
2009 (when he compiled
his fist report) is puzzling. His testimony
was that this information was only published in 2011 and later in
2014. He repeated
this a few times in his evidence. This is
undoubtedly incorrect, as the earliest article was published in 1994
and the one he relied
on in 2002.
[44]
It is also perplexing that Dr Smuts, being a specialist in movement
disorders, would only
discover in 2020 the phenomenon described by Dr
Jankovic, shortly before the trial, when, from the reading of the
articles, the
concept had been the subject of debate for many years
before. I say so, because in his last report, dated 28 January 2020,
Dr Smuts
concluded that proof of a link or not to the accident would
remain a pure speculation. In his evidence he disavowed some of his
previous findings and conceded that he had changed his mind many
times over the years. He even made a concession that he was wrong
and
did not understand paroxysmal non-kinesigenic dyskinesia, which is a
condition he had concluded, in one of his reports, that
the appellant
suffered from. This may lend credence to the assertion made by Dr
Miller in the joint minute that Dr Smuts, like
he (Dr Miller), did
not have clinical experience of the causal relationship between
peripheral trauma and a motor vehicle accident;
an occurrence which
both experts agree was very rare. That is not to say that he was not
an expert in movement disorders in general.
[45]
Nonetheless, what is to be tested is the logical basis and
reasonableness of Dr Smuts’s
latest opinion, in which he
embraced the Jankovic criteria. In this context, Dr Smuts’s
evidence must be viewed as a whole.
This, together with Dr Miller’s
counter-opinion. Dr Miller conceded that he was not an expert in
movement disorders, although
he had experience in neck injuries and
performed deep brain stimulation in some dystonia patients. He also
conducted research on
the current subject. The relevant expertise of
both experts in relation to their evidence is kept in mind.
[46]
Dr
Jankovic’s view that trauma to the central nervous system can
cause tremors and dystonia is well established.
[18]
He further suggests that movement disorders can also be produced by
peripheral trauma. In his view ‘[a]lthough initially
challenged, the concept of peripherally induced movement disorders is
becoming more accepted’. He also argues that this hypothesis
is
growing in support.
[47]
As already
indicated, Dr Jankovic admits that the cause-and-effect relationship
in cases of movement disorders following peripheral
trauma is less
apparent, but that some clinicians have raised the possibility that
injury to the peripheral nervous system can
also produce the movement
disorders.
[19]
To minimise the
possibility of coincidence, he and others proposed the following
criteria for diagnosis, stated in
Jankovic
1
:
[20]
‘
(1)
Injury must have been severe enough to cause local symptoms
persisting for at least 2 weeks or requiring medical evaluation
within 2 weeks after the peripheral injury, (2) the onset of movement
disorder must have occurred within a few days or months (up
to 1
year) after the injury, and (3) the
onset
of movement disorder
must have been anatomically related to the site of injury.’ (My
emphasis.)
[48]
In
Jankovic 2
, the third criterion is expressed in the
following terms: ‘the
initial manifestation
of the
movement disorder is anatomically related to the site of injury’.
The articulation of this third criterion is couched
in slightly
different terms by
Nobrega
, which is the article the experts,
and in particular Dr Smuts, relied on in their evidence. It
articulates this requirement as
follows:
‘
3.
The abnormal movements should be
anatomically related to the site
of the injury
. Moreover, the causal relationship should be
supported by the absence of other causes capable of producing the
same symptoms, presence
of reflex sympathetic dystrophy and poor
response to conventional treatment.’ (My emphasis.)
[49]
From this passage, it will be observed that the expressions ‘onset’
or ‘initially’
are absent from the description of the
criterion. This is significant, because, according to
Jankovic 2
:
‘
In
many cases, the movement disorder
starts
locally
in the injured region
but
may later
spread to involve adjacent and ipsilateral body parts, eventually
crossing over to the contralateral side. When a movement disorder
occurs within a few days after injury, the cause-and-effect
relationship is relatively easy to appreciate, but such an
association
becomes less obvious as the latency between injury and
onset of the movement disorder increases. Although most studies
insist on
a relatively short (˂ 1 year) delay between trauma and
the initial appearance of dystonia, some investigators accept the
diagnosis
of post-traumatic, peripherally induced dystonia after a
latency as long as several years.’
[21]
(My emphasis.)
Significantly,
Dr Smuts made no mention of this distinction, and in particular the
stage of the dystonia, in which the criterion
relates. This is
because he relied on an article that used different wording to that
which is contained in the Jankovic articles.
[50]
Dr Jankovic
accepts that there are limitations to the criteria he proposes, in
that not all patients who satisfy the criteria can
be confirmed with
absolute certainty to have a peripherally induced movement disorder,
alternatively it is possible that some patients
whose movement
disorders are causally related to peripheral injury do not fulfil all
of these criteria.
[22]
[51]
Nobrega
argues that there are reasons to suggest that a direct
mechanical effect upon the peripheral nervous system may not itself
cause
abnormal movements. Instead, a traumatic injury may exhibit an
indirect effect precipitating or aggravating a pre-existing
subclinical
dysfunction. This article suggests that the low incidence
of peripherally induced movement disorders compared to the large
incidence
of traumatic events in the general population suggests that
some predisposing factor may be present before the trauma. Commonly
associated factors are: family history of essential tremor and/or
dystonia; premature birth; perinatal hypoxia; delayed psychomotor
development; and use of neuroleptic drugs.
[52]
In the end,
Nobrega
suggests that although in some instances
the association between trauma and movement disorders might be
coincidental, the close
temporal and anatomical relationships
frequently observed by them and others suggest a cause-and-effect
phenomenon. Suggesting
further that the phenomenon that peripheral
trauma can alter sensory input and induce central cortical and
sub-cortical reorganisation
to generate abnormal movements has gained
scientific support.
Evidence
relating to the application of the Jankovic criteria
[53]
The application of the first two ground rules of the criteria to the
appellant’s
dystonic picture present no difficulties. As to the
first requirement, his trauma appears to have caused pain in the neck
and back
and required medical evaluation within two weeks after the
accident. He, therefore, fulfils that criterion. As Dr Miller
testified,
however, most people who sustain whiplash after a motor
vehicle accident would easily fit into this rule.
[54]
As regards the second criterion, both experts agree that the onset of
the dystonia was
approximately 10 months after the 2007 accident.
Again, there is no argument about the fulfilment of this rule, as Dr
Jankovic
gives the delayed onset a period of up to a year.
[55]
Complications arise with the application of the third criterion. It
will be recalled that
Dr Jankovic suggests that the onset or the
initial manifestation of the movement disorder must have been
anatomically related to
the site of the injury. In terms of the
expert reports,
on 17 February 2008,
the
appellant experienced a major attack while sitting in a motor
vehicle. He could not move, everything felt ‘loose’,
so
that he could not move his arms and legs and he could not talk. He
had to be carried by his father and wife into the house.
This lasted
for one and a half hours. He later experienced residual stiffness and
felt nauseous. This lasted for a couple of days.
He was too stiff to
drive and had to be driven to work by colleagues.
[56]
The next episode happened at a coffee shop when he fell over the
table and collapsed over
his colleague. He had to be carried to the
office and was also taken to hospital. At the hospital he had
episodes of stiffness,
pain in the neck, and he would be bunched up
and tight in all of the muscles, the neck, head, arm and trunk would
flex and his
speech would be slurred.
[57]
It appears from Dr Miller’s report that the appellant was told
by Dr du Plessis,
a neurosurgeon he consulted before he was referred
to Dr Smuts, that the pins and needles in his arms and some spasms
may be related
to the neck, but ‘there were problems with the
pain and the spasms which could not be explained by the neck’,
and the
decision at that stage was to refer him for rehabilitation.
[58]
Unfortunately,
Dr Smuts did not separate the timelines relating to the onset of the
dystonia and the progression of the condition
after the initial
manifestation, when applying the Jankovic criteria, as he ought to
have done. This is more so, because the appellant’s
condition
became more severe and spread out as the years progressed, as Dr
Jankovic says often happens.
[23]
[59]
Applying the third requirement indiscriminately, Dr Smuts simply
stated in his examination-in-chief
that ‘[y]ou cannot bump your
toe and develop a measure of blepharospasm and say that that is
related to one another because
your eyes and your toes are not linked
in such a manner. But, if you develop the dystonia in a region where
the trauma took place
that is important’.
[60]
Unfortunately, Dr Smuts was not asked to explain why the appellant’s
entire body,
including the legs and the trunk, was affected, and how
those body parts were anatomically related to the region of the
injury
that was caused by the accident, ie the neck and back. In
cross-examination he was asked about the appellant’s dystonic
condition
at onset, which indicated that he could not move and that
he froze. Dr Smuts simply responded:
‘
That
is what [the appellant] stated there, yes. However, . . . there is
something that is maybe very important to state here that
in the
initial phases when the patient presented with these things (a) he
was very frightened, (b) nobody really understood what
was going on.’
[61]
I am of the view, however, that this answer does not adequately
account for these symptoms.
This is because the next episode at the
coffee shop presented itself in a similar manner when the attack
occurred. Counsel for
the respondent read from the medical history
narrated by the appellant, which added that the appellant was dizzy,
had the facial
muscles pulled downwards, was nauseous, had a speech
slur, and became completely limp. Dr Smuts’s reply was that
that was
not how whiplash injuries normally presented; that those
symptoms looked like a movement disorder; and also what would not
normally
be seen in classical idiopathic dystonia.
[62]
Counsel for the respondent took Dr Smuts through the narration of the
medical history by
the appellant over a couple of months since the
first episode in February 2008. In all of those the appellant had
stated that he
had muscle spasms and twisting over the entire body
which led to complete limpness and included heavy breathing and
slurring speech.
[63]
Dr Smuts did not directly answer the question about the different
types of abnormal muscle
movements that the appellant experienced
(which occurred in 2008), which were pointed out to him by the
respondent’s counsel.
He simply referred to different
impressions he had and clinical findings he had made over a period of
time. He did not explain
how abnormal movements in different body
parts were related to the neck injury encountered in the accident.
[64]
In cross-examination, Dr Smuts appeared to suggest that the
appellant’s dystonia
was generalised and atypical, which was
his first concern. He testified that a classical presentation of
idiopathic dystonia was
focal in form.
Jankovic
2
, however, states that the
post-traumatic cervical dystonia, which usually occurs between three
to 12 months, is similar to the
phenotype of non-traumatic,
idiopathic, cervical dystonia.
Dr Smuts’s second concern
was that the appellant was a completely healthy person who had an
accident and after medical intervention
ended up the way he did. To
him, that was more than a coincidence.
[65]
Dr Smuts appears to have simply moved from the position that because
there was a neck injury
sustained as a result of the 2007 accident by
a person (the appellant) who was previously healthy, it was highly
probable that
that caused the dystonia. He, however, did not explain
how the generalised abnormal movements were anatomically connected to
the
neck injury sustained in the accident. This is an omission and
was important, because, as the Jankovic articles explain, the cause
and effect in movement disorders, where the onset is delayed, becomes
less obvious than when the movement disorder occurs a few
hours or
days after the injury. That is the reason why the criteria were
developed. It was to minimise the possibility that the
peripheral
injury and subsequent movement disorder were linked by coincidence.
This is especially so, because the whiplash- induced
dystonia is
rare. I accept that, rarity is not the basis to reject Dr Smuts’s
opinion. However, compliance with the Jankovic
safeguards is the
issue. It has been accepted that even in circumstances like these, a
spontaneous onset, excluding the genetics
and other probable causes,
is not a strange phenomenon as qualifiedly conceded by Dr Smuts in
cross-examination.
[66]
In all
these circumstances, as tragic as the appellant’s condition is,
I am impelled to find that the
Linksfield
[24]
test was not met. Consequently, it has not been shown, on a balance
of probabilities, that the soft tissue injury of the neck and
back
that the appellant sustained in the 2007 accident was causally
connected to the involuntary movement disorder that manifested
10
months later. With other probable causes, ie use of medication,
genetics and psychogenic origin being excluded, it is more probable
than not that the dystonia was idiopathic and the whiplash sustained
in the accident was simply a coincidence. The judgment of
the high
court therefore should stand.
[67]
What remains to be determined is the issue of costs. There is, in my
view, no reason to
depart from the general rule that costs should
follow the event and that the successful party is awarded costs as
between party
and party. However, even though the respondent employed
the services of two counsel, it is not entitled to such a costs
order,
in my view. This Court lamentably derived little benefit from
the engagement of two counsel in this matter.
[68]
In the circumstances, the following order is made:
The
appeal is dismissed with costs.
N
P MABINDLA-BOQWANA
JUDGE
OF APPEAL
Appearances
For
appellant:
J S M Güldenpfennig SC (with M Upton)
Instructed
by:
DVDM Attorneys, Pretoria
Honey
Attorneys, Bloemfontein
For
respondent: S J
Myburgh (with J C van Eeden)
Heads
of argument by A B Rossouw SC (with S J Myburgh)
Instructed
by:
Mohulatsi Attorneys Incorporated, Pretoria
Bezuidenhouts
Incorporated, Bloemfontein
[1]
The date is erroneously recorded as 17 January 2008 in Dr Smuts’s
first report.
The
17 February 2008 date accords with the medical history as recorded
by the respondent’s expert witness, Dr Miller, with
which the
experts agreed, and with the narration by the appellant as put to Dr
Smuts in evidence. The background f
acts
are drawn from the joint minute prepared by the experts, the expert
reports as well as the testimonies they gave in court.
[2]
Dr Smuts confirmed this in his evidence.
[3]
‘T
ardive
dyskinesia is a neurological disorder characterized by involuntary
uncontrollable movements especially of the mouth, tongue,
trunk, and
limbs and occurring especially as a side effect of prolonged use of
antipsychotic drugs (such as phenothiazine).’
See
Merriam-Webster online, available at
https://www.merriam-webster.com/dictionary/tardive%20dyskinesia
,
accessed on 14 July 2022. It is described in the joint minute
of
the experts
as
a condition caused by exposure to a multitude of medications.
[4]
Life
Healthcare Group (Pty) Ltd v Dr Suliman
[2018] ZASCA 118
;
2019 (2) SA 185
(SCA) para 12.
[5]
Ibid para 16.
[6]
Michael
and Another v Linksfield Park Clinic (Pty) Ltd and Another
[2001]
ZASCA 12
;
[2002] 1 All SA 384
(A) paras 36-37.
[7]
Ibid
para 39.
[8]
Dingley
v The Chief Constable, Strathclyde Police
[2000]
UKHL 14
; 2000 SC (HL) 77 at 89D-E.
[9]
See also
Maqubela
v S
[2017]
ZASCA 137
;
2017 (2) SACR 690
(SCA) para 5, where this Court held
that ‘
[t]he
scientific measure of proof is the ascertainment of scientific
certainty, whereas the judicial measure of proof is the assessment
of probability’.
[10]
Life
Healthcare Group
fn
4 para 15.
[11]
J C Nobrega, C R Campos, J C Limongi, M J Teixeira, and T Y Lin
‘Movement disorders induced by peripheral trauma’
(2002)
Arq
Neuropsiquiatr
60(1):17-20 (
Nobrega
).
[12]
J
Jankovic ‘Post-traumatic movement disorders: central and
peripheral mechanisms’ (1994)
Neurology
44 (11): 2006-2014 (
Jankovic
1
).
[13]
Menday
v Protea Assurance Co Ltd
[1976] 1 All SA 535
(E)
;
1976 (1) SA 565
(E) at 569G, endorsed by the Constitutional Court in
Van
der Walt
v
S
[2020]
ZACC 19
;
2020 (2) SACR 371
(CC);
2020 (11) BCLR 1337
(CC)
para 31
.
[14]
J Jankovic ‘Can peripheral trauma induce dystonia and other
movement disorders? Yes!’ (2001)
Mov
Disord
16(1): 7-12 (
Jankovic
2
).
[15]
Ibid at 7.
[16]
W J Weiner ‘Can peripheral trauma induce dystonia? No!’
(2001)
Mov
Disord
16(1): 13-22, cited in footnote 18 of
Nobrega
.
[17]
Oppelt
v Head: Health, Department of Health Provincial Administration:
Western Cape
[2015] ZACC 33
;
2016 (1) SA 325
(CC);
2015 (12) BCLR 1471
(CC) para
40.
[18]
Jankovic
1
fn
12.
[19]
Ibid.
[20]
Ibid.
[21]
Jankovic
2
at
8.
[22]
Jankovic
2
at 7.
[23]
Jankovic
2
at
8.
[24]
See fn 6.
sino noindex
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