Paul Decker v. GE Healthcare Inc.
Paul DECKER; Karen Decker, Plaintiffs-Appellees, v. GE HEALTHCARE INC.; GE Healthcare AS, Defendants-Appellants
Attorneys
ARGUED: Pierre H. Bergeron, SQUIRE SANDERS (US) LLP, Cincinnati, Ohio, for Appellants. Christopher V. Tisi, Ashcraft & Gerel, LLP, Alexandria, Virginia, for Appellees. ON BRIEF: Pierre H. Bergeron, Squire Sanders (US) LLP, Cincinnati, Ohio, J. Philip Calabrese, Squire Sanders (US) LLP, Cleveland, Ohio, Rebecca K. Wood, Sidley Austin LLP, Washington, D.C., for Appellants. Christopher V. Tisi, Michelle A. Parfitt, Peter T. Anderson, Stephanie L. Gardner, Ashcraft & Gerel, LLP, Alexandria, Virginia, William Hawai, Peter J. Brodhead, Peter H. Weinberger, Spangenberg Shibley & Liber LLP, Cleveland, Ohio, for Appellees.
Full Opinion (html_with_citations)
OPINION
In 2005, in connection with a magnetic resonance imaging procedure (âMRIâ), Paul Decker received a dose of Omniscan, a gadolinium-based contrast agent manufactured by GE Healthcare Inc. and GE Healthcare AS (âGEHCâ). After taking Omniscan, Mr. Decker developed Nephrogenic Systemic Fibrosis (âNSFâ). In 2012, Karen and Paul Decker sued GEHC in the Northern District of Ohio, lodging a host of Ohio products liability claims and other tort claims. The Deckersâ case forms a part of a multidistrict litigation (âMDLâ), managed by Judge Polster. Prior to the Deckersâ case, hundreds of similar cases in the MDL involving GEHC had been settled. This case did not settle and was the first case in the MDL to go to trial. The jury returned a verdict in favor of the Deckers on their failure-to-warn claim, awarding $5 million in damages. GEHC moved for a new trial, which the district court denied. On appeal, GEHC makes a number of disparate arguments against rulings that the district court made applicable to all MDL cases as well as rulings specific to the instant case. GEHC alleges that a new trial is warranted because the district court judge (1) should have recused himself from the trial and its motion for a new trial, (2) made several erroneous evidentiary rulings, which were applicable to all MDL cases, (3) erroneously denied GEHCâs motion for a new trial because insufficient evidence supported the juryâs verdict regarding the causation element of the Deckersâ failure-to-warn claim, and (4) erroneously failed to issue two proposed jury instructions. We affirm.
I.
Gadolinium-based contrast agents (âGBCAâ) are one type of contrast agent used to enhance the quality of images generated in MRIs. There are currently five different GBCAs approved by the FDA for use in MRI procedures in the United States. Omniscan, which is manufactured by GEHC, is one such GBCA. GBCAs, however, can be toxic to patients with impaired kidney function. The district court aptly summarized the background of GBCAs, their potentially adverse health effects, and the FDAâs efforts to eradicate those adverse effects:
Gadolinium is a lanthanide element (rare earth metal) which exhibits high paramagnetism, a form of magnetism occurring only in the presence of an externally applied magnetic field. It is this characteristic that led research scientists to explore its use as-a contrast agent in magnetic resonance scans.
It is undisputed that gadolinium, in its free state, is highly toxic to humans. In order to develop a safe gadolinium-based contrast agent for use in humans, researchers found it necessary to chelate the gadolinium (ie., bind it to a ligand) in order to render it inert during its passage through the body prior to elimination. Of particular concern was its use in renally impaired patients, whose ability to quickly excrete toxic substances is inherently compromised. Because renally-impaired persons might retain the GBCA for longer periods of time than nonrenally impaired persons, *383 the chelateâs stability was considered crucial since retained GBCA might well dechelate, exposing the kidney patient to the toxic effects of gadolinium. Research shows that renally impaired persons do in fact retain GBCAs for a significantly longer period of time than non-renally impaired persons, renally impaired persons retain a significant portion of the gadolinium that is injected into them, and dialysis is not very effective in ridding the body of the unrecovered gadolinium.
Nephrogenic systemic fibrosis, or NSF, was first described in the medical literature in 2000, with the first reported cases going back to 1997. NSF causes fibrosis of the skin, connective tissue and organs throughout the body. It is a painful, progressive and debilitating disease. While the precise pathogenesis of NSF is unknown, it has been reported only in patients who have severe kidney disease and, with the exception of a few reported cases with inconclusive medical histories, has been found exclusively in kidney patients who have had one or more exposures to GBCAs.
In June 2006, the FDA issued a Public Health Advisory notifying healthcare professionals and the public about the risk of NSF following the administration of GBCAs; and in May 2007, the FDA asked GBCA license holders to issue a boxed warning about the risk of NSF in patients with renal failure. The issuance of the âblackbox warning,â along with policies and procedures adopted by healthcare facilities and notice to healthcare providers, have all but led to the eradication of new NSF cases."
In September 2005, Paul Decker, a patient with end-stage renal disease (âESRDâ), underwent an MRI at Riverside Radiology Associates. In connection with the procedure, Mr. Decker received a single dose of Omniscan. Mr. Deckerâs kidneys were impaired when he received the dose of Omniscan, and sometime thereafter he developed NSF.
In February 2012, Paul and Karen Decker sued GEHC in the United States District Court for the Northern District of Ohio, alleging claims under the Ohio Products Liability Act, section 2307.71 et seq. of the Ohio Revised Code, for manufacturing defect, design defect, failure to warn, non-conformance with representations, negligence, breach of express warranty, breach of implied warranty, misrepresentation, fraud, and loss of consortium. The Deckersâ case forms part of an MDL established in 2008 â In re Gadolinium Based Contrast Agents Product Liability Litigation, (MDL No. 1909) (N.D.Ohio) â which was assigned to Judge Dan Polster, who has managed the MDL since 2008. Hundreds of similar cases in the MDL involving GEHC had been settled, including a block of 25 cases involving the same attorneys as in the instant case. Despite multiple attempts at mediation and the active involvement of Judge Polster, the parties in this case did not reach a settlement.
This case was the first in the MDL to go to trial. Before the Deckers filed this action, however, the district court made certain rulings that were applicable to all MDL cases, some of which are the subject to GEHCâs appeal in this case. One set of rulings concerned the admissibility of the testimony of certain âgenericâ expertsâ that is, testimony that did not relate specifically to an individual plaintiff. The plaintiffsâ steering committee (âPSCâ) and GEHC designated nineteen generic experts to testify about three issues: (1) the likely causal mechanism of NSF; (2) the existence of gadolinium-naive cases, meaning purported cases of NSF occurring without GBCA exposure; and (3) the presence of gadolinium toxicity signals and *384 whether additional warnings should have been added to the Omniscan label in light of those putative signals. The parties argued over the admissibility of expert testimony on these issues, and the district court addressed those arguments for all MDL cases in two extensive rulings.
First, it was undisputed that Omniscan triggered NSF in ESRD patients; however, the causal mechanism by which Omniscan triggered NSF was disputed. The PSC sought to introduce expert testimony âthat Omniscan most likely causes NSF in renally impaired patients when, due to various processes (for example, transmetalation), the gadolinium becomes dechelated, dissociated, released or freed from the ligand to which it is bound ... [and that t]his dechelation exposes tissue to labile, toxic gadolinium which rapidly bonds elsewhere in the body and begins the fibrotic process leading to NSF.â In short, the PSC proffered expert testimony on the âfree gadolinium theoryâ of the likely causal mechanism of NSF, which is the prevailing theory of NSF causation in the scientific community. By contrast, GEHC sought to introduce the testimony of Benjamin Newton that chelated GBCAs may trigger the fibrotic process leading to NSF. The implication of Newtonâs hypothesis was that the chelated gadolinium in Omniscan and other GBCAs causes NSF and, thus, Omniscan was no more likely to cause NSF than any other GBCA. Proof of the causal mechanism was disputed because, while adverse health effects from âfree gadoliniumâ were foreseeable, adverse health effects from chelated gadolinium were not.
The district court denied GEHCâs motion to exclude the PSCâs experts who advanced the âfree gadolinium theoryâ of the likely causal mechanism of NSF. The district court also reaffirmed this ruling after GEHCâs motion for reconsideration, explaining that âit would allow Plaintiffsâ experts to testify regarding the free (or dechelated) gadolinium theory, a theory that reasonably attempts to explain what happens to the not-insignificant amount of chelated gadolinium (here, Omniscan) that is injected into severely renally impaired persons, is never excreted, and is later found in one form or another in the biopsies of NSF patients.â The district court noted that âmost researchers (including research scientists employed or retained by GEHC) believe that the gadolinium becomes unbound from its ligand during its prolonged retention time in renal patients where it, either alone or newly bound to other substances, may trigger the process leading to NSF.â The district court also allowed Newton to testify about his alternative hypothesis that NSF is caused by chelated gadolinium. The district court concluded that since there was no definitively proven mechanism for NSF causation, both parties could present their respective theories to the jury.
Second, the district court did not permit GEHC experts, including Newton, Sushrut Waikar, and Anthony Gaspari to testify about reports of gadolinium-naive cases of NSF â ie., cases of NSF that allegedly occurred in the absence of GBCA exposure. The district court found that proffered expert testimony about gadolinium-naive cases was based on methodologically flawed studies that did not sufficiently demonstrate the subjectsâ lack of gadolinium exposure. For example, the âCollidge studyâ 1 âdid not examine whether the one NSF patient who had not received a GBCA while undergoing an MRI had un *385 dergone any non-MRI procedures in which a GBCA was used.â And the âWahba study,â 2 âwhich concluded that two patients developed NSF without exposure to a GBCA, did not confirm its findings by testing these patientsâ tissue for the presence of gadolinium.â For the same reason, the district court barred expert testimony as to gadolinium-naive cases of NSF based on the âDeng study.â 3
Third, the district court made several evidentiary rulings on proffered expert testimony concerning pharmacovigilance, the science relating to the collection, detection, and prevention of adverse effects of pharmaceutical products. For example, GEHC moved to exclude the testimony of the PSCâs generic experts â including the testimony of Cheryl Blume â who testified regarding the significance of four adverse event reports (AERs) concerning Omniscan. AERs are reports sent to drug companies that inform the company that a patient experienced a harmful event after taking the companyâs drug. Specifically, GEHC argued that Blumeâs opinion that four specific AERs constituted a âsafety signalâ was inadmissible. The district court denied that motion.
The district court also reviewed the PSCâs motion to exclude testimony of Gaspari concerning his medical analysis of the four AERs. Gaspari submitted an expert report, âthe primary purpose of which was to review the four AERs and determine whether there was any consistency in [these] reports to suggest that exposures to gadolinium based contrast agents (GBCA) resulted in NFD/NSF.â The report included preliminary information about the history of NSF and the difficulties associated with diagnosing it, and â[t]his information formed the basis for his conclusion that the AERs did not support a clinical diagnosis of NSF.â The district court excluded Gaspariâs testimony because his âconclusions are based on incomplete information and therefore do not satisfy the ... requirement that expert testimony be based on sufficient facts or data.â Upon GEHCâs motion for reconsideration, the district court reaffirmed this ruling because (1) whether the four AERs supported a clinical diagnosis of NSF was irrelevant to the question of whether the AERs constituted a safety signal; (2) Gaspari was not an expert in pharmacovigilance; and (3) Gaspari arrived at his safety-signal conclusion without reviewing all of the information GEHC had available to it at the time.
Consistent with its free gadolinium theory of NSF causation, the PSC focused its early discovery efforts on demonstrating that GEHC knew that Omniscan was capable of releasing free gadolinium once ingested. The PSC deposed Robert Muller, a Belgian chemist and GEHC consultant. At his 2010 deposition, Muller produced a copy of an unpublished 1995 GEHC study that suggested that Omniscan did release significant amounts of free gadolinium. The PSC subsequently learned that GEHC had this 1995 study but did not disclose it. The PSC filed a motion for sanctions under Federal Rule of Civil Procedure 37(b) and (c). After a sanctions proceeding, it was revealed that GEHC lost or destroyed some documents relating to Muller. The district court did not impose punitive sanctions or allow an âadverse inference and *386 spoliation instruction.â The district court, however, imposed the following remedies: (1) Mullerâs deposition was admitted in any MDL trial; (2) Mullerâs 1995 study report, along with other documents in the Haldorsen file in which the Muller report was located, was admitted in any MDL trial; (3) PSC experts were permitted to rely on and testify about the contents of the Muller report and the Haldorsen file; and (4) testimony from the sanctions hearing was admissible at trial.
GEHC moved for clarification of the order and requested that the district court re'consider its determination that testimony from the sanctions hearing was admissible at trial. In that motion, GEHC sought to exclude the deposition testimony of Patrick Murphy, GEHCâs Rule 30(b)(6) witness. The district court provided that testimony from the sanctions hearing was admissible at trial only if relevant to proving a plaintiffs case. It further suggested during a January 14, 2011 teleconference that counsel work out a stipulation to the operative facts of the destroyed and missing documents. The district court subsequently stated that if the parties could not reach an agreement over a stipulation, the court would permit introduction of the excerpts of Murphyâs deposition testimony proposed by the plaintiffs, and should GEHC believe that these excerpts would not present an accurate picture of what occurred regarding the documents, GEHC could introduce additional evidence. Accordingly, the district court denied GEHCâs motion to strike plaintiffsâ designation of Murphy as a testifying witness.
With respect to the instant case, on August 15, 2012, the district court ordered that â[a]ll prior rulings by the Court in this MDL relating to expert witnesses will remain in effect.â Despite the district courtâs evidentiary rulings, GEHC filed a notice in this case identifying Gaspari as one of the generic experts it intended to call to testify âconsistent withâ his initial and supplemental generic expert reports. Plaintiffs responded by filing a motion to strike Gaspariâs supplemental report in its entirety. The district court barred Gaspariâs testimony regarding the occurrence of NSF in the absence of GBCA exposure because Gaspari disregarded the previous rulings on the issue and because he cited and adopted his prior report including every article the district court specifically and unambiguously excluded as unreliable. The district court also excluded Gaspariâs testimony about pharmacovigilance matters because he was not an expert on pharmacovigilance.
Prior to trial, GEHC also sought to revisit the district courtâs previous rulings on testimony concerning gadolinium-naive cases. In response, the district court noted that unlike the methodologically flawed studies it reviewed in its evidentiary rulings, one purported case of gadolinium-naive NSF did not suffer from the same defects. This was âPatient 5â in the 2010 âLemy study.â However, the district court held that this patientâs seeming contraction of NSF without a known GBCA exposure was not relevant unless GEHC produced an expert who analyzed both Mr. Decker and Patient 5 in the Lemy study and determined that the conditions of the two of them were so similar that it was probable that Mr. Deckerâs NSF was not caused by his 2005 Omniscan.
At the final pretrial conference, the Deckers sought to introduce excerpts from Murphyâs deposition concerning missing or destroyed documents. Over GEHCâs objection, the district court ruled that those excerpts were admissible but âdeliberately stay[ed] away from letting this jury know that we had this whole sanctions issue because it is not relevant.â At trial, Murphyâs testimony was straightforward. *387 Murphy testified to the following: (1) the Muller report was produced late; (2) a âfour to five inchâ stack of documents segregated from a file cabinet by a GEHC scientist, Saebo, was missing; and (3) three additional documents, also dealing with Muller, were missing and destroyed.
During trial, the significance of the AERs was hotly disputed. GEHC had sought a special jury instruction with respect to AERs:
You have also heard testimony and seen exhibits relating to âadverse event reportsâ (also known as âAERsâ).... AERs only provide notice to a manufacturer that a negative reaction occurred around the time that a drug was administered; they do not prove that the reaction was actually a side effect or caused by the drug administration.
Although the district court initially planned to give this instruction, upon further review and consideration, the court deleted the instruction from the final jury charge because âthe instruction singles out one type of evidence, and adds, rather than minimizes, confusion.â The district court reasoned that âthere has been plenty of testimony about what they are and how they are used ... [and] no witness has testified that you can use an AER to show that Omniscan caused any illness or medical condition described in those AERs and besides, it doesnât matter because those patients are not, are not the plaintiffs.â GEHC also requested that the court instruct the jury on the facts the district court found at the conclusion of the sanctions proceedings in 2010 and January 2011. Specifically, GEHC requested that the court instruct the jury:
You have heard testimony that some documents relating to gadolinium or Omniscan were lost or discarded. While the specific contents of these documents remain unknown,- it is unlikely that the documents are essential to proving any of Plaintiffsâ claims, or that their absence prejudices Plaintiffs.
Although the district court previously had held that excerpts of Murphyâs deposition testimony that certain documents were produced and destroyed were admissible, the court declined to issue GEHCâs proposed instruction because an instruction âwould be giving [the issue of the lost or discarded documents] a lot more importance than it has had in this trial.â
On March 22, 2013, after twelve days of testimony and two days of deliberation, a jury returned a verdict in favor of the Deckers. Although the jury found for GEHC on the design defect and nonconformance to representation claims, the jury found for plaintiffs on the failure-to-warn claim, unanimously determining that GEHC knew or should have known about the risks that Omniscan presented to patients with renal impairment but failed to warn adequately the medical communityâ including Mr. Deckerâs radiologist, Phillip Shaffer, who administered the contrast dye â about those risks. The jury awarded Mr. Decker $4,500,000 in compensatory damages â $1,000,000 for economic loss and $3,500,000 for noneconomic loss â and Mrs. Decker $500,000 for loss of consortium. The district court entered judgment on March 28, 2013.
Following the verdict, plaintiffs sought prejudgment interest. Under Ohio law plaintiffs that prevail at trial are entitled to prejudgment interest if they made a good faith effort to settle the case before trial and defendant, by contrast, did not do so. See Ohio Rev.Code § 1343.03(C)(1). This decision is usually made by the trial judge following the verdict. See Singer v. Celina Group, No. 94-CA-0333, 1995 WL 495427 (Ohio Ct.App. May 30, 1995). In this case, however, Judge Polster sua sponte recused himself from ruling on *388 plaintiffsâ motion. Judge Polster explained that he âwas so heavily involved in mediating a resolution of this case that [he] would likely [have been] a witness to a litigated dispute involving the partiesâ settlement effortsâ and that he was ânot allowed to act as both a judge and a witness.â Judge Polster emphasized that his recusal applied only to the discrete issue of plaintiffsâ motion for prejudgment interest âand nothing more.â Plaintiffsâ motion for prejudgment interest was reassigned to Judge Donald Nugent, who held a hearing on the motion on October 8, 2013. On November 21, 2013, Judge Nugent denied the motion, finding that counsel for both parties carefully and rationally evaluated the case and followed the recommendations of the court and that neither party failed to act in good faith during settlement negotiations.
GEHC moved for a new trial, to alter or amend the judgment, and for remittitur. GEHC argued, inter alia, that (1) the Deckers failed to prove the element of causation on their failure-to-warn claim, (2) the courtâs decision not to give a jury instruction about AERs unfairly prejudiced GEHC, and (3) because Judge Polster recused himself from ruling on the Deckersâ post-trial motion for prejudgment interest, he should never have presided over the trial. The district court rejected those arguments in separate opinions and denied the motion on July 25, 2013. On August 23, 2013, GEHC timely appealed the March 28, 2013 judgment entry, including all interlocutory orders rendered final by the final judgment, and the district courtâs postjudgment orders, including the orders regarding recusal, the May 7, 2013 order awarding plaintiffs 50% of the amount they billed, and the July 25, 2013 order denying GEHCâs motion for a new trial and to alter or amend the judgment. After the Deckersâ motion for prejudgment interest was denied on November 21, 2013, GEHCâs notice of appeal became effective. See Fed. R.App. P. 4(a)(4)(B)ÂŽ.
II.
On appeal, GEHC makes various arguments in support of its contention that the district court erred in denying its motion for a new trial. Each argument fails.
A.
First, GEHC argues that Judge Polsterâs sua sponte recusal from ruling on the Deckersâ motion for prejudgment interest requires vacatur of the judgment and a new trial. Relatedly, GEHC suggests that since Judge Polster recused himself from ruling on the prejudgment-interest motion, he should have also recused himself from ruling on GEHCâs Rule 59 motion. The district court rejected these arguments in two opinions and orders denying GEHCâs motion for a new trial. We review a district courtâs denial of a motion for a new trial for abuse of discretion. Nolan v. Memphis City Schs., 589 F.3d 257, 264 (6th Cir.2009) (citing Morgan v. N.Y. Life Ins. Co., 559 F.3d 425, 434 (6th Cir.2009)). âReversal is only warranted if the Court has a âdefinite and firm conviction that the trial court committed a'clear error of judgment.â â Id. (quoting Barnes v. Owens â Coming Fiberglas Corp., 201 F.3d 815, 820 (6th Cir.2000)). Furthermore, â[t]his court will affirm a district judgeâs decision not to recuse himself pursuant to 28 U.S.C. § 455(a) unless it constitutes an abuse of discretion.â United States v. Howard, 218 F.3d 556, 566 (6th Cir.2000) (citing Union Planters Bank v. L & J Dev. Co., 115 F.3d 378, 382 (6th Cir.1997)).
GEHC contends that 28 U.S.C. § 455 prohibits piecemeal recusal and, therefore, the district courtâs recusal with respect to plaintiffsâ motion for prejudgment interest entailed recusal from all other rulings in *389 the case, including GEHCâs motion for a new trial. Under § 455(a), â[a]ny justice, judge, or magistrate judge of the United States shall disqualify himself in any proceeding in which his impartiality might reasonably be questioned.â 28 U.S.C. § 455(a). Section 455(d)(1) states that a â âproceedingâ includes pretrial, trial, appellate review, or other stages of litigation.â This court has yet to interpret these provisions to determine whether § 455 permits partial recusals.
GEHC cites In re Aetna Casualty and Surety Co., 919 F.2d 1136 (6th Cir.1990) (en banc), as support for its favored position. Aetna, however, did not hold that § 455 prohibits partial recusals. In Aetna, a chief district court judge had recused himself from seven eases, which had been consolidated, because his daughter worked for a firm that participated in four of the cases. See id. at 1137. Upon knowing that the cases would not be tried together, the judge reentered the remaining three cases. Id. at 1137-38. Aetna moved for disqualification, the district court denied that motion, and Aetna petitioned for a writ of mandamus from the Sixth Circuit. See id. at 1137. This court granted that petition, holding that the judge should have recused himself âfrom making decisions in any of the consolidated FDICAetna cases.â Id. at 1145. Even if his daughterâs firm were not of counsel in the three cases the district judgeassigned to himself, this court explained, because a decision on the merits might have constituted law of the case, involved collateral estoppel, or served as persuasive precedent, § 455(b) warranted his disqualification. See id. at 1143, 1146. This court also vacated the judgeâs grant of partial summary judgment because âthe risk of undermining the publicâs confidence in the judicial process [was] significant.â See id. at 1145-46 (citing Liljeberg v. Health Servs. Acquisition Corp., 486 U.S. 847, 864, 108 S.Ct. 2194, 100 L.Ed.2d 855 (1988)). Aetna straight-forwardly addressed a disqualification motion under § 455(b). It did not concern the instant, specific issue of whether § 455 permits a limited, partial sua sponte recusal in an appropriate case.
Other circuit courts have expressed contrary views on the matter of partial recusals. The majority view approves partial recusals as an important case-management "device. See, e.g., Ellis v. United States, 313 F.3d 636, 642 (1st Cir.2002) â(âToday, we make that approval explicit: we hold that a judge may, in an appropriate case, decide certain issues and recuse himself or herself as to others.â); Pashaian v. Eccelston Props., Ltd., 88 F.3d 77, 84-85 (2d Cir.1996) (holding that district court did not err in deciding a motion before effecting recusal and that such was âa practical and appropriate resolutionâ); United States v. Kimberlin, 781 F.2d 1247, 1258-59 (7th Cir.1985) (finding no abuse of discretion where the trial judge issued a limited recusal order); but see United States v. Feldman, 983 F.2d 144, 145 (9th Cir. 1992) (â[W]hen a judge determines that recusal is appropriate it is not within his discretion to recuse by subject matter or only as to certain issues and not others.â).
We join the majority view that 28 U.S.C. § 455(a) does not categorically prohibit partial recusal. Construing § 455(a), we find that the reasons for questioning judicial impartiality in one âproceedingâ of a case do not necessarily obtain in every âproceedingâ of that case. See 28 U.S.C. § 455(d)(1). Rather, in the appropriate instance, partial recusal serves the interests of case management and judicial economy. See, e.g., Ellis, 313 F.3d at 642 (finding that the judgeâs partial recusal âwas a valid exercise of judicial authorityâ and âconstituted a sound method of deal *390 ing with the prickly problem of balancing the demands of section 2255 â a statute that evinces a strong preference for post-conviction review by the judge who presided at the defendantâs trial â with the demands of the recusal statute, 28 U.S.C. § 455(a)â).
In this case, Judge Polster declined to rule on the Deckersâ motion for prejudgment interest, which requires a showing of the prevailing partyâs good faith effort to settle and the non-prevailing partyâs lack of such an effort. See O.R.C. § 1343.03(C)(1). Because Judge Polster âwas so heavily involved in mediating a resolution of this case that [he] likely [would have been] a witness to a litigated dispute involving the partiesâ settlement efforts,â and because Judge Polster was not allowed to act as both a judge and a witness, see Fed.R.Evid. 605, he held that any ruling on the Deckersâ motion would have been improper. Judge Polster also explained that from the beginning of the MDL in 2008 he had been extensively involved in mediating resolutions and that over six hundred cases had been resolved, a majority with his direct assistance. Because cases remained in the MDL, including several cases in which GEHC was a party, Judge Polster was concerned that a ruling on GEHCâs good faith in pursuing pre-trial settlement might have impaired his ability to assist in settling the remaining MDL cases. Unlike the district court judge in Aetna, Judge Polsterâs limited recusal avowedly was not based on any financial conflict, any other conflict, or any actual or perceived bias or prejudice to either party, and had no bearing on his impartiality as a trial judge. The specific reasons for Judge Polsterâs delimited recusal, especially his first-hand knowledge of the partiesâ settlement efforts, simply are not implicated in his subsequent rulings, including his denial of GEHCâs motion for a new trial. Accordingly, we hold that Judge Polsterâs decision not to recuse himself from ruling on GEHCâs Rule 59 motion was not an abuse of discretion.
Nor does Judge Polsterâs recusal from ruling on the Deckersâ motion for prejudgment interest require vacatur and a new trial. GEHC argues that the recusal indicated an appearance of partiality and argues that vacatur of the judgment and a new trial are necessary to maintain public confidence in the judiciary. GEHC suggests that because recusal is warranted where a judge acquires âa deep-seated favoritism or antagonism that would make a fair judgment impossible,â Liteky v. United States, 510 U.S. 540, 555, 114 S.Ct. 1147, 127 L.Ed.2d 474 (1994), an impartial observer could conclude that Judge Polsterâs recusal arose from such an antagonism, and, therefore, vacatur and a new trial are necessary to maintain the appearance of impartiality and the public confidence in the judiciary. GEHC also suggests that Judge Polsterâs concern over his impartiality as to the Deckersâ motion for prejudgment interest demonstrates a lack of impartiality that arose before trial.
GEHC overstates the case. First, Judge Polsterâs recusal was not from the entire case but only from the Deckersâ motion for prejudgment interest. Second, he gave motion-specific reasons for recusal, citing his firsthand knowledge of the partiesâ settlement efforts and his concern that ruling on the Deckersâ motion would undermine his ability to mediate other settlements in the MDL. Third, he avowed that his limited recusal was not due to any financial conflict or to any actual or perceived bias toward either party. GEHC has not shown otherwise. Therefore, the reasons for Judge Polsterâs recusal from the Deckersâ prejudgment interest motion are specific to that motion, do not impugn his impartiality or the appearance thereof *391 with respect to the jury trial or any other proceeding, and simply do not count in favor of his disqualification from the entire case. Vacatur and a new trial are not required to ensure the appearance of impartiality and public confidence in the judiciary. Accordingly, Judge Polster did not abuse his discretion in holding that recusal from the Deckersâ motion for prejudgment interest does not require a new trial.
B.
Next, GEHC argues that the district court erred in several evidentiary rulings and that these errors warrant a new trial. We review a district, courtâs decision to deny a motion for a new trial for an abuse of discretion, and â[t]o the extent the motion for new trial was based on an erroneous evidentiary ruling, the evidentiary ruling, too, is evaluated under the abuse-of-discretion standard.â Cummins v. BIC USA, Inc., 727 F.3d 506, 510 (6th Cir.2013) (citing United States v. Morales, 687 F.3d 697, 701-02 (6th Cir.2012)). âThe district court has broad discretion to determine questions of admissibility; an evidentiary ruling is not to be lightly overturned.â Id. (citing Nolan, 589 F.3d at 265). âAn erroneous evidentiary ruling amounts to reversible error, justifying a new trial, only if it was not harmless; that is, only if it affected the outcome of the trial.â Id. (internal citation omitted).
GEHC asserts several challenges to the district courtâs evidentiary rulings. In Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579, 113 S.Ct. 2786, 125 L.Ed.2d 469 (1993), and Kumho Tire Co. v. Carmichael, 526 U.S. 137, 119 S.Ct. 1167, 143 L.Ed.2d 238 (1999), the Supreme Court set forth the standard for admissibility of expert â testimony under Federal Rule of Evidence 702. The Courtâs ârequirement that âany and all scientific testimony or evidence admitted [be] not only relevant, but reliable,â ... âentails a preliminary assessment of whether the reasoning or methodology underlying the testimony is scientifically valid and of whether that reasoning or methodology properly can be applied to the facts in issue.ââ Champion v. Outlook Nashville, Inc., 380 F.3d 893, 907 (6th Cir.2004) (alteration in original) (quoting Daubert, 509 U.S. at 589, 592-93, 113 S.Ct. 2786). âIn short, under Daubert and its progeny, a party proffering expert testimony must show by a âpreponderance of proof that the expert whose testimony is being offered is qualified and will testify to scientific knowledge that will assist the trier of fact in understanding and disposing of relevant issues.â Sigler v. Am. Honda Motor Co., 532 F.3d 469, 478 (6th Cir.2008) (internal citation omitted).
We review the district courtâs decision to admit or exclude the testimony of a partyâs expert witness for abuse of discretion. Kumho Tire, 526 U.S. at 152, 119 S.Ct. 1167; Sigler, 532 F.3d at 478. As the Supreme Court explained in Kumho Tire, â[t]he trial court must have the same kind of latitude in deciding how to test an expertâs reliability, and to decide whether or when special briefing or other proceedings are needed to investigate reliability, as it enjoys when it decides whether or not that expertâs relevant testimony is reliable.â 526 U.S. at 152, 119 S.Ct. 1167. The abuse of discretion standard âapplies as much to the trial courtâs decisions about how to determine reliability as to its ultimate conclusion.â Id. Accordingly, the district court has âbroad latitudeâ to determine âwhether Daubertâs specific factors are, or are not, reasonable measures of reliability in a particular case.â Id. at 153, 119 S.Ct. 1167.
1.
First, GEHC argues that the district court erred because âit refused to exclude *392 Plaintiffsâ expertsâ speculation that âfreeâ gadolinium is to' blame.â The district court rejected GEHCâs argument that plaintiffsâ experts must be prohibited from giving testimony about the free gadolinium theory of NSF causation because the precise pathogenesis of NSF is unknown. The district court found:
Published studies, and GEHCâs own studies, show that the recovery of GBCAs from kidney patients takes significantly longer than non-kidney patients and is far from complete. Numerous techniques (e.g., radio-labeling in rats and mice, SEM/EDS, ICP-MS, SIMS and SXFRS in human NSF tissue samples) employed by a multitude of research scientists unrelated to this litigation have demonstrated the in vitro and in vivo dechelation of GBCAs. Many studies show that Omniscan is more prone to dechelation than other GBCAs. When dechelated, gadolinium is available to bond with other endogenous substances in blood and tissue. Gadolinium is found in the biopsied tissue of NSF patients.
The dominant theory is that dechelation occurs through transmetalation (simply, a chemical reaction involving the exchange of ligands between two metal centers), although there are other theories including that dechelated (or, free) gadolinium has a proliferative effect on human dermal fibrosis and gadoliniumâs propensities as a calcium blocker triggers the fibrotic process. In any event, given the wealth of evidence on causation â that is, the rapid emergence and decline of NSF associated with the rise and fall of its use in renally impaired persons, the presence of gadolinium in the tissue of NSF patients, the known toxicity of gadolinium, and the majority view in the published and peer reviewed studies and articles [is] that dechelated gadolinium causes NSF.
Therefore, the district court concluded:
The free gadolinium theory passes reliability muster under Daubert because it is based on research conducted by scientists and doctors performing animal studies, in vitro studies, in vivo studies, human clinical studies and retrospective case studies along with review of the relevant published scientific and medical studies; the theory has been subjected to publication and peer review; the theory has been generally accepted in the relevant scientific and medical community; the Plaintiffsâ experts have adequately accounted for obvious alternative explanations; and the research of Plaintiffsâ experts relates not only to their review of the literature but to matters growing naturally or necessarily out of research they have conducted independent of this litigation.
Reviewing GEHCâs motion for reconsideration, the district court again found that plaintiffsâ experts could testify regarding the âfree (or dechelated) gadolinium theoryâ because it was âa theory that reasonably attempts to explain what happens to the not insignificant amount of chelated gadolinium (here, Omniscan) that is injected into severely renally impaired persons, is never excreted, and is later found in one form or another in the biopsies of NSF patients.â The district 'court found that â[s]ince it is beyond dispute that gadolinium is not a trace element normally found in the body, and that gadolinium is highly toxic to humans, most researchers (including research scientists employed or retained by GEHC) believe that the gadolinium becomes unbound from its ligand during its prolonged retention time in renal patients where it, either alone or newly bound to other substances, may trigger the process leading to NSF.â Reviewing *393 GEHCâs motion to exclude testimony pertaining to the free gadolinium theory in the Decker trial, the district court found that the passage of time had ânot diminished that theory, but strengthened it.â The district court cited the 2012 American College of Radiology Manualâs statement that âit is now generally accepted that GBCA exposure is a necessary factor in the development of NSF.â
For the reasons articulated by the district court, testimony about the free gadolinium theory of NSF was admissible under Daubert and its progeny. Accordingly, the district court did not abuse its discretion when it refused to exclude plaintiffsâ expertsâ testimony that free (deehelated) gadolinium is a cause of NSF.
2.
Second, GEHC states that the district court erred by excluding the opinion testimony of Gaspari about AERs and the difficulty of diagnosing NSF. The district court concluded in several rulings that because Gaspari was not a pharmacovigilance expert, he was not qualified to testify reliably as to the significance of the AERs. The district court found that Gaspariâs deposition testimony made clear that he is not an expert in pharmacovigilance, noting that Gaspari ârepeatedly testified that this sole assignment was to review, as a dermatologist, the four AERs ... and to determine whether there were any consistencies or inconsistencies between those AERs, and whether they supported a clinical diagnosis of NSF,â not whether they constituted a safety signal. Furthermore, the district court found Gaspariâs testimony regarding the significance of the AERs unreliable because AERs are only useful when assessed in the context of available data and Gaspari reached his conclusion âwithout reviewing all the information GEHC had available to it at the time.â
GEHC also contends that the district court violated Daubert by permitting plaintiffsâ pharmacovigilance expert, Blume, to testify about AERs and safety signals. The district court held that Blumeâs opinion that four AERs constituted a safety signal was admissible. It noted that Blume received her Ph.D. in Pharmacology and Toxicology, is the president of Pharmaceutical Development Group, Inc., a consulting firm specializing in pharmaceutical development and registration, has held executive positions in pharmaceutical companies over a twenty-year period, and âhas designed, .executed, and interpreted preclinical and clinical studies associated with pharmaceutical product development.â The district court also noted that another federal court addressing Blumeâs ability to testify on AERs as a safety signal declined to exclude her methodology. See In re Viagra Prods. Liab. Litig., 658 F.Supp.2d 950, 961-62 (D.Minn.2009).
GEHC argues that â[b]ecause Blume is not a medical doctor, she is not qualified to assess the clinical significance of these AERs, and the court should have limited her testimony [that four AERs were signals for NSF].â The district court rejected the converse argument when it excluded the testimony of Gaspari, a board-certified dermatologist, that the four disputed AERs did not constitute a safety signal. The district court reasoned:
The question of whether these AERs constituted a safety signal requires someone with expertise in pharmacovigilance. The expert must determine whether, given all the information available to GEHC at the time, the AERs gave rise to a safety signal alerting GEHC to the risks associated with administering Omniscan, particularly to the renally impaired. Hence, whether the four AERs supported a clinical diagnosis of NSF is irrelevant to the ques *394 tion of whether the AERs constituted a safety signal.
The district court concluded that because Blume was a pharmacovigilance expert, irrespective of whether she was a medical doctor, she was qualified to reliably testify as to the significance of the AERs. Conversely, the district court concluded that because Gaspari was not a pharmacovigilance expert, even though he was a medical doctor, he was not qualified to testify reliably regarding the significance of the AERs. The district court did not abuse its discretion in reaching either conclusion.
3.
Lastly, GEHC proposes that the district court violated Daubert because it excluded key rebuttal evidence proffered by GEHCâs experts about cases of NSF in the absence of GBCA exposure. GEHC contends that the testimony concerning gadolinium-naive NSF cases is both reliable and relevant, as GEHC sought to introduce it ânot to dispute causation, as the court presumed, but to rebut Plaintiffsâ theory of foreseeability.â âIn excluding this evidence,â GEHC argues, âthe district court unfairly deprived the jury of critical rebuttal explaining why a link between GBCAs and NSF was not foreseeable or as obvious as Plaintiffs suggest.â GEHC particularly objects to the district courtâs ruling regarding the irrelevance of the Lemy study in the instant case.
In excluding GEHCâs proffered-expert testimony regarding reports of gadolinium-naive cases of NSF as unreliable, the district court meticulously analyzed the studies on which the proffered testimony was based. The district court concluded that these studies, particularly the Collidge, Wahba, and Deng studies, were methodologically flawed because they did not definitively confirm the lack of exposure of GBCAs. Accordingly, the district court determined that expert testimony regarding gadolinium-naive cases of NSF was unreliable. The court also cited the 2012 American College of Radiology Manual, stating that âit is now generally accepted that GBCA exposure is a necessary factor in the development of NSF.â The district court did not abuse its discretion in its rulings concerning GEHCâs proffered expert testimony about gadolinium-naive cases of NSF.
Nor did the district court abuse its discretion when it refused to admit expert testimony about Patient 5 in the Lemy study unless the expert had examined both the patient and Mr. Decker and had determined that the conditions of the two of them are so similar that it was probable that Mr. Deckerâs NSF was not caused by his 2005 Omniscan dosage. GEHC suggests that testimony about Patient 5 is relevant to show that the causal link between GBCAs and NSF was not foreseeable. But the Lemy study, which concerned a potential gadolinium-naive case of NSF, was published in 2010. Hence, it is not clear how the specific case of Patient 5 in the Lemy study was relevant to GEHCâs ability to foresee the risk that GBCAs, including Omniscan, presented to renally-impaired patients. The district court did not err in refusing to admit it. In sum, because the.district court did not err in the evidentiary rulings that GEHC challenges, a new trial is not required on that basis.
â C.
GEHC next argues that the district court erred in denying a new trial because the Deckers failed to show that an inadequate warning proximately caused Mr. Deckerâs NSF. âA new trial is appropriate when the jury reaches a âseriously erroneous result as evidenced by (1) the verdict being against the [clear] weight of *395 the evidence; (2) the damages being excessive; or (3) the trial being unfair to the moving party in some fashion, i.e., the proceedings being influenced by prejudice or bias.â â Cummins v. BIC USA, Inc., 727 F.3d 506, 509 (6th Cir.2013) (quoting Static Control Components, Inc. v. Lexmark Intâl, Inc., 697 F.3d 387, 414 (6th Cir. 2012)). â[N]ew trials are not to be granted on the grounds that the verdict was against the weight of the evidence âunless that verdict was unreasonable.â â Barnes, 201 F.3d at 820-21 (citing Holmes v. City of Massillon, 78 F.3d 1041, 1047 (6th Cir.' 1996)). âThus, if a reasonable juror could reach the challenged verdict, a new trial is improper.â Id. at 821 (citing Holmes, 78 F.3d at 1048). â â[C]ourts are not free to reweigh the evidence and set aside the jury verdict merely because the jury could have drawn different inferences or conclusions or because judges feel that other results are more reasonable.â â Id. (alternation in original) (quoting Duncan v. Duncan, 377 F.2d 49, 52 (6th Cir.1967)). Again, â[t]his court reviews a district courtâs decision to deny a motion for a new trial for an abuse of discretion.â Id. at 820 (citing Logan v. Dayton Hudson Corp., 865 F.2d 789, 790 (6th Cir.1989)). â
During trial, the Deckers presented evidence of what GEHC knew in September 2005 â when Mr. Decker received a dose of Omniscan â indicating the drug was harmful to patients with impaired renal function. This evidence included chemistry, toxicology, and human studies, some of which were conducted by GEHC staff and consultants but left unpublished and undisclosed to regulatory agencies. The evidence also included four AERs.
On appeal, GEHC offers three arguments for its contention that a new trial is warranted on the failure-to-warn claim. Two of these arguments target any âbut forâ causal relationship between the warning it issued and Mr. Deckerâs injury. First, GEHC argues that even if it had issued a more informative warning, Mr. Deckerâs doctors would have nevertheless administered Omniscan. GEHC points to the testimony of Geoffrey Wiot, a partner in the radiology practice where Mr. Decker received Omnisean. Wiot testified that an improved warning âwould have made no differenceâ without knowing about the relationship between Omniscan and NSF, a relationship that GEHC contends was unknown until 2006. GEHC emphasizes that Wiot âmade decisions about which GBCAs to use and what policies to follow on a practice-wide basis.â.
Yet.Phillip Shaffer was the radiologist in charge of Mr. Deckerâs MRI. Even assuming an improved warning would not have caused Wiot to include a different contrast dye in the dispensary in 2005, Shaffer decided whether to administer a GBCA for Deckerâs MRI. Shaffer testified that an improved warning would have caused Mr. Decker to receive a different treatment. Regarding Mr. Deckerâs treatment, Shaffer said that âI probably wouldnât have used the contrast if I knew these things were all true.â
Second, GEHC suggests that because the 2005 label was substantially similar to an improved warning suggested by Blumeâs testimony, an improved label would not have caused Mr. Decker to receive a different treatment. By contrast, the Deckers offered Blumeâs testimony, which catalogued the various ways in which an improved label would have departed from the 2005 label. Blume testified that the 2005 Omniscan label failed to capture GEHCâs knowledge of the risk of gadolinium toxicity to renally impaired patients. According to Blume, the label did not âreflect the data [GEHC] generated in multiple studies with patients with impaired renal function,â which showed that *396 such patients retained high levels of gadolinium weeks after receiving a dose of Omniscan. Blume also testified that the label' did not inform doctors that gadolinium had the risk of being retained in an unchelated state, meaning that it was no longer bound to the ligand that helped ensure safe passage through the patientâs body. According to Blume, the label should have also mentioned the four AERs and the symptoms suffered by the patients , in those reports. Blume also explained that the 2005 label, which contained a precaution for patients with impaired kidney function, served as the label for all contrast dyes, including iodine based contrast agents, and did not reflect the specific, long-term, debilitating effects of gadolinium. Most significantly, Blume testified that GEHC should have placed a contraindication on the label for patients with severe renal impairment, which would have warned doctors against administering Omnisean to such patients. This testimony is sufficient to support a reasonable jurorâs verdict as to the Deckersâ failure-to-warn claim.
Third, adverting to the juryâs verdict on the Deckersâ design defect claim, GEHC argues that the jury rejected the conclusion that Omniscan should have been contraindicated in 2005. In its opening brief, GEHC does not sufficiently elaborate on the part the juryâs design defect verdict plays in its argument against the failure-to-warn claim. In its reply brief, however, GEHC explains that the juryâs design defect conclusion prevents the Deckers from arguing that any warning should have included a contraindication that would have caused Mr. Decker to receive a different treatment. Blumeâs testimony as to contraindication is only one way in which Blume explained that GEHC could have issued an improved warning that would have caused Mr. Decker to receive a different treatment. And âcourts are not free to reweigh the evidence and set aside the jury verdict merely because the jury could have drawn different inferences or conclusions.â Barnes, 201 F.3d at 821 (internal citation omitted) (quotation marks â˘omitted).
Therefore, the district court correctly concluded that the Deckers produced sufficient evidence to support the juryâs verdict and did not abuse its discretion in concluding that a reasonable juror could find that GEHCâs failure to warn caused Mr. Deckerâs NSF.
D.
Next, GEHC contends that a new trial is required because the district court failed to give two proposed jury instructions. â[T]o the extent the motion for new trial was based on the courtâs refusal to give a requested jury instruction, the refusal is reviewed for abuse of discretion.â Cummins, 727 F.3d at 510 (citing Taylor v. TECO Barge Line, Inc., 517 F.3d 372, 387 (6th Cir.2008)). âA district courtâs refusal to give a jury instruction constitutes reversible error if (1) the omitted instruction is a correct statement of the law, (2) the instruction is not substantially covered by other delivered charges, and (3) the failure to give the instruction impairs the requesting partyâs theory of the case.â Id. (quoting Taylor, 517 F.3d at 387).
First, GEHC' argues that the district courtâs refusal to give a limiting instruction with respect to the AERs â namely, that the AERs did not âprove that the [negative] reaction [described therein] was actually a side effect or caused by the drug administrationâ â unfairly prejudiced its defense. GEHC believes that, absent this limiting instruction, the jury likely considered the AERs for an improper purpose as proof of causation. The district court pointed out, however, that âGEHC pre *397 sented no evidence challenging the fact that Mr. Decker had NSF, or the fact that his NSF was caused by the single dose of Omniscan administered to him in 2005.â Thus, the district court found that a limiting instruction would have been confusing and, for that reason, properly refused to issue it.
It is far from clear that the district courtâs refusal to give the proposed instruction on the AERs impaired GEHCâs theory of the case. The significance of the AERs concerned the notice GEHC had regarding the risks of Omniscan, not the causal relationship between Omniscan and NSF. Hugo Flaten, GEHCâs director of global pharmacovigĂźance, among other experts, explained the context and limits of the AERs. Flaten testified that pharmaeovigilanee concerns the identification and evaluation of safety signals and that even one, two, or three AERs may represent a safety signal. Further, the Deckersâ experts did not rely on the AERs to prove a causal relationship between Omniscan and NSF. Blume relied on the AERs to prove notice of a safety signal. In her testimony, Blume emphasized that she did not state that the AERs proved causation. The Deckersâ toxicology expert, Laura Plunkett, did not rely on the AERs to conclude that NSF is gadolinium poisoning. And the Deckersâ nephrology expert, Derek Fine, did not rely on the AERs to support his conclusion that gadolinium causes NSF. Because the district court correctly found that GEHCâs proposed AER instruction would have been confusing, the district court did not abuse its discretion in refusing to give it. Nor did it abuse its discretion in denying that this refusal constituted the basis for a new trial.
Lastly, GEHC argues that the district courtâs refusal to issue an instruction regarding the lost or discarded documents warrants a new trial. Relatedly, GEHC contends that the district court erred in admitting evidence and argument of discovery conduct at trial.
Neither argument has merit. First, the district courtâs evidentiary ruling, which GEHC suggests requires a new trial, is reviewed for abuse of discretion. See Cummins, 727 F.3d at 510. The district court did not abuse its discretion in admitting Murphyâs. limited testimony as to missing or destroyed documents relating to Muller. In ruling this testimony admissible, the district court noted that it was curtailing Murphyâs testimony so as to permit the relevant fact that there were potentially gaps in the evidence without prejudicing GEHC:
The main discussion is that certain documents were destroyed and when they were destroyed and thatâs a fact, and [Murphy] is not saying who did it or why, whyâwhy it happened or what. None of that, none of that is simply coming in. Simply that the facts, the facts are correct. So it may be relevant here. So Iâm allowing the excerpts.
Murphyâs testimony was limited to the fact that the Muller report was produced late, a âfour to five inchâ, stack of documents segregated from a file cabinet by Saebo was missing, and three additional documents, dealing with Muller, were destroyed.
The district courtâs refusal to.issue a limiting instruction that the destroyed or missing documents were unlikely essential to proving any of the Deckersâ claims is not an abuse of discretion. The court was careful not to overemphasize the importance of the fact that GEHC lost or destroyed documents relating to Mullerâs deposition and study, declining to give GEHCâs proposed instruction because it âwould be giving [the issue of the lost or *398 discarded documents] a lot more importance than it has had in this trial.â The district court's failure to issue this instruction did not impair GEHCâs theory of the failure-to-warn claim. See Cummins, 727 F.3d at 510.
III.
For the foregoing reasons, we affirm the district courtâs judgment entry and denial of GEHCâs motion for a new trial.
. Collidge, TA, Thomson, PC, Mark PB, et ah, Gadolinium-Enhanced. MR Imaging and Nephrogenic Systemic Fibrosis: Retrospective Study of a Renal Replacement Therapy Cohort, 245 RADIOLOGY 168-175 (2007).
. Wahba IM, Simpson EL, White K., Gadolinium Is Not The Only Trigger For Nephrogenic Systemic Fibrosis: Insights From Two Cases And Review Of The Recent Literature, 7 AM. J. OF TRANS., 1-8 (2007).
. Deng, A., et al., Nephrogenic Systemic Fibrosis with a Spectrum of Clinical and Histopathological Presentation: A Disorder of Aberrant Dermal Remodeling, J CUTAN. PATHOL. (2009).