Full opinion text
Justice Willett delivered the opinion of the Court. A decade ago, we observed: “While the medical privileges are important in promoting free discussion in the evaluation of health care professionals and health services, the right to evidence is also important, and therefore privileges must be strictly construed.” In this original proceeding — involving a heart surgeon who claims his former hospital retaliated against him for joining a competing hospital — we must determine whether either the medical committee privilege or the medical peer review committee privilege protects certain documents from disclosure. The trial court concluded the documents sought were discoverable, and the court of appeals denied relief, prompting the parties resisting production to seek mandamus relief here.. We hold that some of the documents are protected, and we conditionally grant mandamus relief as to them. But we are unconvinced that the remainder of the documents are confidential under either privilege. BACKGROUND Plaintiffs Miguel A. Gomez, III, M.D. and Miguel A. Gomez, M.D., P.A. (collectively, “Dr. Gomez”) filed suit against defendants. Memorial Hermann Hospital System, Memorial Hermann Physician Network, Michael P. Macris, M.D., Michael P. Macris, M.D., P,A., and Keith Alexander; (collectively, “defendants” or “Memorial Hermann”) on September 17, 2012. Dr. Gomez’s original petition asserted causes of action for business disparagement, defamation,' tortious interference with prospective business relations, and improper restraint of trade under the Texas Free Enterprise and Antitrust Act of 1983 (“TFEAA”). . Dr. Gomez is a cardiothoracic surgeon who practiced at Memorial Hermann Memorial City Medical Center (“Memorial City”) from 1998 until 2012 when he resigned his privileges with Memorial City. During his years of practice at Memorial City, Dr. Gomez .built a reputation in the “West Houston and Katy community” for “quality patient care, technical excellence, and outstanding professionalism in heart and general surgery.”' Dr. Gomez’s “skills and specialized abilities” for patients who require heart and general surgeries range from “ ‘basic’ open heart surgery to advanced robotic-assisted surgical procedures.” Robotic, .heart surgery “eliminates the need to mechanically crack open a patient’s chest.” Robotic heart surgery always, involves significantly less recovery time than its non-robotic surgical analogue, and depending on the particular procedure, can spare the patient up to six days of recovery time in the hospital. Robotic heart surgery therefore has the potential to save an individual patient $50,000 or more in medical expenses. In the Houston medical community, Dr. Gomez “pioneer[ed] implementation of ‘off-pump’ surgery and robotic-assisted heart surgeries.” Memorial City heavily promoted robotic heart surgery as well as Dr. Gomez himself — the only heart surgeon at Memorial City who was capable of performing robotic heart surgeries. The hospital invested in a million dollar “DA VINCI” machine, and spent significant advertising dollars promoting the robotic-assisted surgical procedures. Referrals from other physicians are extremely important to surgeons and specialists. The primary means for a physician “to build his practice is ... actually going out on his own to doctor’s offices, meeting the doctors, [and] developing relationships” in order to get referrals from physicians. The success of a surgeon’s practice depends ■ on his ability to attract referrals, and cardiologists are a cardiovascular surgeon’s primary referral source. In turn, the surgeon’s decision to perform his surgeries at one hospital over another directly impacts the profitability of the hospitals. In 2009, another hospital — Methodist West Houston Hospital — was in the process of opening, which caused a change in the atmosphere at Memorial City. There was a growing fear at Memorial City that staff would leave to go to Methodist West. Around this time, the then-CEO of Memorial City and the Chief of Staff met with at least one of Memorial City’s physicians, Dr. Jo Pollack, in order to express disapproval of Dr. Pollack’s pattern of referring her patients to non-affiliated facilities and physicians. According to Dr. Pollack’s affidavit, she was told she would be “committing political suicide” and her practice “could be in jeopardy” if she did not refer her patients to the Memorial City affiliated medical oncologists, radiation oncologists and imaging. Memorial City also began holding “Town Hall” meetings in order to “gain information about who wanted to leave and to attempt to persuade people to stay at Memorial City.” Of the heart surgeons who practiced at Memorial City, Dr. Gomez was the first to agree to practice at Methodist West. Dr. Gomez asserts that, because of his complaints about staffing and equipment dysfunctions as well as Memorial City’s priorities regarding patient care, Memorial City knew he would perform his surgeries at Methodist West in the future. Consequently, despite having invested heavily in promoting robotic-assisted heart surgery, Memorial City would no longer be the sole Houston hospital offering robotic-assisted heart surgeries. Memorial City faced sharing, or worse, losing that distinction to Methodist West. When the defendants learned that Dr. Gomez was willing to associate himself with Methodist West, the defendants began conducting a “whisper campaign” against Dr. Gomez. According to Dr. Gomez, the purpose of the campaign was “to cast doubt on robotic heart surgery procedures,” throughout the entire city of Houston and “evaporate” the “robotic heart surgery market.” If the campaign was successful, it would inoculate Memorial City from the advantage Methodist West would otherwise gain from the ability to offer the superior procedure. Rumors began spreading across the Memorial City campus that Dr. Gomez was “having problems” with his mortality rate, and the marketing director at Memorial City did an “about-face” regarding Dr. Gomez. Portia Willis, who was then employed in Memorial City’s marketing department, had scheduled speaking engagements and other promotional engagements for Dr. Gomez on behalf of Memorial City. But amidst the rumors, Ms. Willis was told not to push forward with any type of marketing or promotion of Dr. Gomez indefinitely. Although the reasons for the marketing hiatus were not explained, Ms. Willis had the impression that the move was related to the rumors that Dr. Gomez was “a crappy surgeon.” By this point, rumors had become “rampant” that Dr. Gomez “wasn’t the surgeon that [the Hospital workers] thought he was,” and the hospital’s employees began to wonder how much longer Dr. Gomez’s practice could endure. At a “Cardiovascular and Thoracic CPC” meeting on November 1, 2011, Dr. Macris displayed “false data and statements regarding Dr. Gomez’s practice and mortality rates of his patients to an entire room filled with Dr. Gomez’s professional colleagues, intending that it be thereafter widely disseminated.” The presentation “create[d] the appearance that patients were more likely to die in Dr. Gomez’s care.” Dr. Macris had “manipulated” the presented data, eschewing generally accepted methodologies for proper peer review comparison as well as basic scientific principles. Although the “true” peer review committee at Memorial Hermann intervened and ultimately determined Dr. Macris’s comparative data could not be relied upon for any legitimate purpose, the defendants continued to disseminate the manipulated data within the medical community. This spread the false impression of Dr. Gonfez’s practice. After Dr. Gomez’s abilities were assessed in the cardiology section meeting, his “referral patterns were ruined,”-and he lost his status as one of the most sought-after surgeons. At a January 2012 meeting, Mr. Alexander publicly ridiculed Dr. Gomez’s skills as a heart surgeon. Mr. Alexander let the physicians, nurses, and administrators in the room “know that he had targeted Dr. Gomez because of his affiliation with Methodist West.” Mr. Alexander “made clear ... he would not tolerate physicians taking business to Methodist West.” Destroying Dr. Gomez’s reputation “served as a preemptive; warning” to other physicians considering., an affiliation with Methodist West. Dr. Gomez brought suit on the claims described above and moved to compel the production of certain documents. Memorial Hermann asserted the documents were protected from discovery under the medical committee privilege and the medical peer review committee privilege. Following an in camera inspection, the trial court ordered Memorial Hermann to produce certain documents. After the court of appeals denied Memorial Hermann’s petition for writ of mandamus, Memorial Her-mann sought mandamus relief in this Court. DISCUSSION I. Standard of review “Mandamus is proper when the trial court erroneously orders the diselo-sure of privileged information because the trial court’s error cannot be corrected on appeal.” Pleading -and . producing evidence-establishing-the existence of a privilege is the burden of the party seeking to avoid discovery.. The party asserting the privilege must establish by testimony or affidavit a prima facie case for the privilege. The party need produce “only the ‘minimum quantum of evidence necessary to support a rational inference that the allegation, of fact, is true,’ ” and tender the documents to the trial court, at which point, “the trial court must conduct an in camera inspection of [the] documents before deciding to compel production.” Á reviewing court may not substitute its judgment for that of the trial court regarding “the resolution of fact issues or matters committed to the trial court’s discretion.” “The scope of discovery and the admission of evidence is principally within the discretion of the trial court.” The relator must establish that the trial court failed to reach the only reasonable conclusion on such matters. A less deferential standard applies to the trial court’s determination of the legal principles governing the discovery, however. II. The trial court did not abuse its discretion in holding that the “anti-competitive action” exception to the medical peer review committee privilege applied. A. Under certain circumstances, the medical peer review committee privilege limits the accessibility of the records of, proceedings of, and communications to a medical peer review committee. A medical peer review committee includes “a committee of a health care entity [including a hospital licensed under Chapter 241 or 577 of the Health and Safety Code] ... or the medical staff of a health care entity” that (1) “operates under written bylaws” approved by either the policy-making or governing board of the health care entity, and (2) “is authorized to evaluate the quality of medical and health care services or the competence of physicians.” “All proceedings and records of a medical peer review committee are confidential, and all records of, determinations of, and communications to a committee are privileged and are not discoverable, with certain exceptions.... ” The provision of confidentiality extends, to the committee’s initial, and subsequent credentialing decisions, as well as to documents “generated” by a committee or “prepared by or at the direction of the committee for committee purposes.” The minutes :and recommendations of the committee-as well as the committee’s inquiries about a physician to outside sources and responses.thereto are also protected. However, “simply passing a document through a peer review committee does not. make it privileged.” The privilege does not prevent a party from discovering from a nonprivileged source material tliat has been presented to the committee. Texas Occupations Code section 160.007’s provisions “expressly delineate and limit the circumstances under which the -records of and communications to a peer review committee may [or must].be accessed.” The committee may disclose its records and proceedings, and communications made by the committee to other medical peer review committees, appropriate governmental agencies, national accreditation bodies, the Texas Medical Board, and another state’s board' of registration or licensing of physicians. The committee may disclose to a physician under its review confidential information relevant to the matter without waiving confidentiality. The committee must provide the physician with a written copy of its recommendation and final decision for certain actions, including, those that could result. in “censure, suspension, restriction, limitation, revocation, or denial of membership or privileges in a health care entity.” Certain parties are entitled to use the confidential information in their defense or in rebuttal to such a defense. Otherwise, the records and determinations of a medical peer review committee, as well as communications to the committee, are “not subject to subpoena or discovery and [are] not admissible as evidence in any civil judicial or administrative proceeding without waiver of the privilege of confidentiality executed in writing by the committee.” However, under certain circumstances, the information may not be -confidential, in which case it would not be subject to a privilege. For example, the “records made or maintained in the regular course of business by a hospital \,. [or] medical organization” are not covered by section 160.007 and therefore are not confidential under that section. In addition; section 160.007(b) provides a limited exception to confidentiality for proceedings, records, ' or communications that are -relevant to an anticompetitive action. The anticompeti-tive action exception provides in full: If a judge make'á a preliminary'finding that a proceeding or record of a medical peer review committee or a' communication made to the committee is relevant to an anticompetitive action, or to ⅞ civil rights proceeding brought • under 42 U.S.C. Section 1983, the proceeding, record, or communication is not confidential to the extent-it is considered relevant. The parties dispute the applicability of this exception. B. The committees at issue are medical peer review committees. As an initial matter, Dr. Gomez disputes that Memorial Hermann proved the relevant.committees are medical peer review committees. The trial court found “that the anticompetitive exception to the medical peer review committee privilege applies,” which inherently implies a finding that the relevant committees were medical peer review committees.. Dr. Gomez argues that Memorial Hermann failed to establish that the investigations were performed for the purpose of quality assessment, or that the committee was established by bylaws. ■With one exception, the medical peer review committee privilege affords confidential status to the records of, proceedings of, and communications to a medical peer review committee regardless of whether the individual record, proceeding, or communication relates to a peer review action. Memorial Hermann submitted the committees’ bylaws as well as affidavits stating that the committees engaged in peer review. Although Dr. Gomez points us tb evidence to the contrary, the trial court had sufficient evidence before it to make a reasonable finding that the committees are medical peer review committees: We will not disturb that finding. C. An “anticompetitive action” is one that requires proof of a net negative impact on competition within a defined market. The trial court found that the documents at issue “are relevant to an anti-competitive action.” Before we can resolve the parties’ dispute regarding the correctness of this finding, we must first determine the meaning of the statutory phrase “relevant to an anticompetitive action.” ■ Statutory construction is a question of law we review de novo. Our objective is to determine and give effect to the Legislature’s intent, and “the truest manifestation of what lawmakers intended is what they enacted.” Proper construction requires reading the statute as a whole rather than interpreting provisions in isolation. “[C]ourts should not give an undefined statutory term a meaning out of harmony or inconsistent with other provisions, although it might be susceptible of such a construction if standing alone.” “We presume that the Legislature chooses a statute’s language with care,” and we will not ignore the statute’s use of a term that carries a “particular meaning.” “Privileges are not favored in the law and are strictly construed.” Neither section 160.007 nor any other peer review committee privilege that incorporates the phrase “anticompetitive action” defines the term. Black’s Law Dictionary defines “anticompetitive” as “[h ]aving a tendency to' reduce or eliminate competition” in contrast to the term procompetitive. Procompetitive is in turn defined as “[i]ncreasing, encouraging, or preserving competitipn,” Competition itself is defined as “[t]he struggle for commercial advantage; the effort or action of twp pr more commercial interests to obtain .the same business from .third parties.” The dictionary also notes that the term anticompetitive “describes the type of conduct or circumstances generally targeted by antitrust laws,” although the statement is “not purely definitional.” This framework accurately maps out the meaning afforded the term “anticompetitive” in court decisions in the antitrust context. As ■ noted by the Supreme Court of the United States, to restrain competition is the “very essence” of every agreement and regulation of trade, Therefore, regarding restraints of trade, “[t]he true test of legality is whether the restraint imposed is such as merely regulates and perhaps thereby promotes competition or whether it is such as may suppress or even destroy competition.” As such, an “abbreviated or ‘quick-look’ analysis” is appropriate only when “an observer •with even a rudimentary understanding of economics could conclude that the arrangements in question would have an anticom-petitive effect on customers and markets.” The goal of judicial scrutiny of restraints on trade is to “distinguish[ j between restraints with anticompetitive effect that are harmful to the consumer and restraints stimulating competition 'that are in the consumer’s best interest.” Judicial scrutiny in other areas of antitrust law confirms that the antitrust laws were designed as a “consumer welfare prescription” that requires consideration of both anticompetitive and procom-petitive effects. Thus, proof that a firm’s dominant position is the “consequence' of a superior product, business acumen, or his: toric accident” — circumstances that either benefit the consumer or are outside the firm’s control — will defeat a claim of monopoly. Claims of attempted monopolization require the further showing that the defendant “pose[s] a danger of monopolization,” because judging unilateral conduct absent actual potential to achieve a monopoly would “risk that the antitrust laws will dampen the competitive zeal of a single aggressive entrepreneur.” Similarly, in scrutinizing a proposed merger, the “economic efficiencies produced by the merger must be "weighed against anticompetitive consequences in the final determination whether the net effect on competition is substantially adverse.” Ultimately, the “use of the word ‘competition’ [is] a shorthand for the invocation of the benefits of a competitive market,” and antitrust law acknowledges that “it is sometimes difficult to distinguish- robust competition from conduct with long-run anticompetitive effects.” We have no trouble holding that the Legislature intended, the term “anticom-petitive” ip section 160.007 to denote an overall substantially adverse effect on competition, rather than the existence of some negative effects. However, we reject Memorial Hermann’s characterization of the term “anticompetitive action” as synonymous with “antitrust action.” Although we agree that the term anticompetitive “describes the type of conduct or circumstances generally targeted by antitrust laws,” the term itself is broader because the law of antitrust does not encompass all conduct that could substantially lessen competition in a particular market. For example, certain conduct — regardless of its overall impact on competition — is immune from antitrust law under the state action doctrine, the exemption for political activity, or the exemptions, both implicit and explicit, for labor unions. The terms anticompetitive and antitrust are therefore not inherently coextensive, and we cannot ignore the Legislature’s use of the broader term, particularly in juxtaposition to section 160.007(b)’s specificity regarding its application to civil rights proceedings. However, this does not mean that a litigant may. successfully rely on subsection (b) simply by adding a gratuitous allegation that the conduct at issue is anticompetitive. Section 160.007(b) requires a “preliminary finding that a proceeding or record of a medical peer review committee :or a communication made to the committee is relevant to an anticompeti-tive action” and provides that “the proceeding, record, or communication is not confidential to the, extent it is considered relevant.” Relevance cannot be determined in isolation of the elements of an asserted cause of action. Dr. Gomez’s contrary construction treats the terms action and conduct as synonymous, but as we have previously noted, this Court has “equated ‘action’ with ‘suit.’ ” Although we have not previously-discussed the meaning of the word action in this particular context, we have held that generally the term is “synonymous with ‘suit,’ which is a demand of one’s rights in court.” Had the Legislature intended the focus to be on the defendant’s conduct apart from any asserted cause of action, it would have been more natural to say “an anticompetitive act” or “anticom-petitive conduct.” But the Legislature chose the term “action,” which is a well-established legal term of art synonymous with lawsuit. This meaning also better fits the parallelism of the phrases “anti-competitive action” and “a civil rights proceeding” in subsection (b). At any rate, the exception’s reference to relevance confirms that the Legislature intended the term action to refer to a “civil or criminal judicial proceeding.” Our rules of evidence provide that evidence is relevant if “it has any tendency to make a fact more or less probable than it would be without the evidence” and if that “fact is of consequence in determining the action.” A purely voluntary showing that the defendant’s conduct is anticompetitive cannot constitute a fact of consequence in a lawsuit — the limited waiver of confidentiality for proceedings, records, and communications “relevant to an anticompeti-tive action” can only apply if the plaintiff asserts a cause of action that requires proof of anticompetitive conduct or effects. In light of the rarity of claims that require proof of a net anticompetitive effect, as a practical matter, our interpretation will not greatly expand the scope of an “anticompetitive action” beyond valid antitrust claims. However, our caselaw has already identified at least one cause of action that potentially falls within the interstice between anticompetitive and antitrust — tortious interference with prospective business relations. As we have previously held, recovery for tortious interference with a prospective business relation requires a plaintiff to “prove that the -defendant’s conduct was independently tortious or wrongful” as an element of the cause of action. Thus, even without asserting a cause of action under the TFEAA, a plaintiff who asserts that a defendant’s conduct is independently wrongful because it violates the laws of antitrust would, as part of proving the violation, be required to show a negative effect on competition. Such a plaintiff would still need to plead a valid antitrust violation, however, he would not need to plead a valid antitrust claim.. The TFEAA grants a private- right of action to bring suit, but only to persons “whose business or property has been injured by reason of any conduct declared unlawful” in the Act. This requires a plaintiff to prove “antitrust'injury, which is to say injury of the type the antitrust laws were intended to prevent and that flows from that which makes defendants’ acts unlawful.” Furthermore, ¡permissible recovery is limited to “actual damages sustained” as a result of the unlawful conduct. The damages must “reflect, the" anticompetitive effect either of the violation or of anticompetitive acts made possible by the- violation” — in other.words, “the type of loss that the claimed violations of the antitrust laws would be likely to cause.” In contrast, tortious interference with business relations “provides a remedy ■for injurious conduct that other tort actions .might not reach ... but only for conduct'that -is already recognized’’to be wrongful under-the common law or by statute.” Thus, in Wal-Mart Stores, Inc. v. Sturges, we provided the example of “a defendant who threatened a customer with =bodily harm ¡if he did business--with the plaintiff.” We stated that such a defendant would be liable because the defendant’s “conduct toward-the customer—assault-r-was independently tortious,” even though the plaintiff would not be able to sue the defendant for the assault itself. In sum, we hold that the exception to the medical peer review committee privilege for . anticompetitive actio,ns applies when the plaintiff asserts a cause of action that requires proof that the conduct at issue has “a tendency to reduce or eliminate competition” that is not offset by countervailing proeompetitive justifications. i D. Subsection (b) requires a plaintiff to plead, not present evidence of, an anticompetitive action. We also reject Memorial Her-mann’s contention that section 160.007(b) conditions its exception to confidentiality on the plaintiffs satisfaction of an eviden-tiary burden. The Legislature knows how to provide this type of gatekeeping function, and subsection (b) is devoid of any language indicating intent to do so. The statute does not reference expert reports, affidavits, or categories of evidence to be considered. Significantly, other than requiring a “preliminary finding” that the material be “relevant to an anticompetitive action,” subsection (b) contains no indication of a threshold quantum of proof. Determinations of potential relevancy or privilege typically -do not require a litigant to produce evidence on the merits of his claim — as opposed to the merits of the privilege. Furthermore, it is counter to the notion that “[a]ffording parties full discovery promotes the fair resolution of disputes by ¡the judiciary,” to condition access to documents that could substantiate a plaintiffs claim- on the plaintiffs ability to substantiate his claim without the documents’’aid. Although Memorial. Hermann’s concern that plaintiffs may circumvent the privilege through artful pleading is a compelling one, defendants are not left without protection.. First, by permitting defendants to recover costs incurred from defending against frivolous or bad faith pleadings, section 160.008(c) discourages the addition; of. groundless allegations of injury to competition. Second, nothing in- section 160.007 prevents defendants from seeking, as they do in all civil cases, to limit discovery on the grounds that “the discovery sought is unreasonably cumulative or duplicative, or is obtainable] from some other source that is more convenient, less burdensome, or less expensive.” Defendants may also assert that “the burden or expense of the proposed discovery outweighs its likely benefit, taking into account the needs of the case ... the importance of the issues -at stake in the litigation, and the importance of the proposed discovery in resolving the issues.” Defendants may also seek protective orders to protect themselves “from undue burden, unnecessary expense, harassment, annoyance, or invasion of personal, constitutional, or property rights.” Finally, because the statute provides that inforrhation “is not confidential to the extent it is considered relevant,” the exception’s scope is still narrower than the otherwise applicable scope of discovery, which permits discovery of information that “appears reasonably calculated to lead to the discovery of admissible evidence.” Defendants may further limit the scope of discovery through the judicious use of special exceptions, which are “the appropriate vehicle ... by which an adverse party may force clarification of vague pleadings,” thereby narrowing the range of facts that will be of consequence in the action. As such, we hold that judges are to determine a subsection (b) “preliminary finding” on the basis of the plaintiffs pleadings. We now turn to the application of subsection (b) to Dr. Gomez’s pleadings. E. Dr. Gomez pleadéd an anticom-petitive action. Dr. Gomez alleged that the defendants intentionally interfered with his “longstanding and continuous relationships with referring physicians in the- West Houston and Katy medical community” and that' the defendants’ acts constituted a “concerted effort ,. to restrain competition in and monopolize- surgical procedures.” Dr. Gomez also asserted that the defendants’ acts “constitute illegal monopolization, attempted monopolization, and/or conspiracy to monopolize under applicable Texas law.” Memorial Hermann does not dispute that Dr. Gomez alleged that Memorial Hermann violated the TFEAA, but rather, argues Dr. Gomez failed to plead a valid antitrust claim. Memorial Hermann challenges the sufficiency of Dr. Gomez’s allegations, taken as true, to establish (1) a legally cognizable injury to competition, and (2) an adverse effect on competition in the relevant market. The crux of Memorial Hermann’s argument is its contention that caselaw overwhelmingly establishes that a claim for an injury to a single physician at a single hospital is insufficient. We disagree with Memorial Her-mann’s characterization of Dr. Gomez’s allegations as well as its characterization of the law. We “construe the TFEAA in harmony with federal antitrust caselaw to promote competition for consumers’ benefit.” “Because our own caselaw is limited, we rely heavily on the jurisprudence of the federal courts.” The TFEAA declares that “[e]very contract, combination, or conspiracy in restraint of trade or commerce is unlawful,” and that “it is unlawful for any person to monopolize, attempt to monopolize, or conspire to monopolize any part of trade or commerce.” As discussed above, however, the TFEAA does not operate as a qui tam provision, but rather limits the ability to bring suit under the TFEAA to persons “whose business or. property has been injured by reason of any conduct declared unlawful in Subsection (a), (b), or (c) of Section 15.05 of [the] Act.” Thus, courts have held that standing to pursue an antitrust suit exists only if a plaintiff shows (1) injurydn-faet, an injury to the plaintiff proximately caused by the defendant’s conduct; (2) antitrust injury; and (3) proper plaintiff status, which assures that other parties are not better situated to bring suit. On its own, the elimination of a single competitor does not constitute proof of an anticompetitive effect for every market and context. Claims of improper restraint of trade require a plaintiff to “plead ... a reduction of competition in thé market in general and not mere injury to their own positions as competitors in the market.” However, it is also well established that the United States Supreme Court has “forbfidden] as a matter of law, a defense based upon a claim that only one small firm, not competition itself, had suffered injury,” because “[m]onopoly can as surely thrive by the elimination of such small businessmen, one ata time, as it'can by driving them out in large groups.” “In order to successfully allege injury to competition, a ... claimant may not merely recite the bare legal con-elusion that -■ competition has been restrained unreasonably.” At a minimum, the claimant must “sketch the outline of the -antitrust violation with allegations of supporting factual .detail.” Whether the practice constitutes an improper restraint of trade will depend upon whether the plaintiffs allegations “suggest[ ] a market in which the removal of [a single competitor] from.the pool of competing sellers would adversely and unreasonably affect overall competitive conditions.” Under the rule of reason,, courts consider “a variety of factors, including ‘specific information about the relevant business, its condition before and after the restraint was imposed, -and the restraint’s history, nature, and effect.’ ” As such, “the adequacy of a physician’s contentions regarding the effect on , competition is typically resolved after, discovery, either on summary judgment or after trial.” A successful claim of monopoly requires proof of “(1) the possession of monopoly power in the relevant market and (2) -the willful acquisition or maintenance of that power as distinguished from growth or development as a consequence of a superior product, -business acumen, or historic accident.” “The term ‘relevant market’ encompasses notions of geography as well as product use, quality, and description-. The geographic market extends to the ‘area of effective competition’ ..'. where buyers can turn for alternate sources of supply.” Demonstrating attempted monopolization requires proof “(1) that the defendant has engaged in predatory or anticompetitive conduct with (2) a specific intent to monopolize and (3) a dangerous probability of achieving monopoly power.” Under either claim, it is “necessary to consider the relevant market and the defendant’s ability to' lessen or destroy competition .in that market.” However, the disposition of the question of “a dangerous probability of achieving monopoly power” is “typically one that is not resolved at the pleading stage unless it is clear on the face of the complaint that the ‘dangerous probability standard cannot be .met as a matter of law.” Here, Dr. Gomez is not complaining that the defendants have prevented him from obtaining privileges at any of the hospitals in the area, but rather that the defendants have prevented him from obtaining referrals. According to Dr. Gomez’s petition, the number one source of referrals for a cardiovascular surgeon is a cardiologist, and his ability to compete — regardless of whether he has staff privileges with one hospital or another — is contingent upon his reputation with those cardiologists. The alleged injury to Dr. Gomez’s reputation is therefore not confined to a. single hospital, particularly if Dr. Gomez is.able to show that Memorial Hermann, has the capacity to impact a substantial number of the market’s cardiologists’ willingness to refer patients to him. Dr. Gomez also alleges that by disseminating false information about his mortality rate, Memorial Hermann cast doubt on robotic heart surgery procedures throughout Houston, inoculating itself from competition from a -medical service that Memorial Hermann could no longer offer. The deposition excerpts attached to and quoted in Dr. Gomez’s petition suggest that “referral patterns changed” and that Dr. Gomez used to be the “Number One” physician, but that following the conduct at issue, another physician, a Dr. Gibson, received more referrals. Dr.' Gomez also suggests in his briefing that Dr. Macris may have improperly benefitted from' an increase in patients due to Dr. Gomez’s decrease in patients. Dr. Gomez alleges that as a result of the loss of trust in robotic heart surgery, patients would incur $50,000 or more in' medical expenses due to longer hospital stays. ■ Dr. Gomez also disputes the existence of any procompetitive’ justifications for presenting manipulated mortality data. As Dr. Gomez has not yet had an opportunity to obtain full discovery, we are not in a position to predict whether he will ultimately be able to sustain his burden of proof on these issues, however, his petition sufficiently alleges an injury to competition under the TFEAA. As for Memorial Hermann’s arguments regarding Dr. Gomez’s identification of a relevant market in which the alleged injury to competition occurred, we hold that Dr. Gomez’s petition sufficiently pleads viable markets. . It may be unlikely that the relevant market for a valid injury to competition can be limited to the market for robotic-assisted heart surgery. For exam-pie, if Memorial Hermann does not have a heart surgeon capable of performing those surgeries, then Memorial Hermann could not have hoped to capture the patients who would otherwise have gone to Dr. Gomez. On the other hand, if those patients are willing to substitute traditional heart surgery procedures, then a cross-elasticity of demand between the two types of procedures must exist, in which - case review of the competitive impact cannot be limited to robotic-assisted heart procedures. However, although the trial court noted that Dr. Goniez alleged that Memorial Hermann’s actions “impacted the referral market for heart surgeons specializing in robotic-assisted heart surgeries in Houston,” the trial court did not base its conclusion that the anticompetitive exception applied on a finding of a particular market. Dr. Gomez’s petition alleges multiple service markets, including the market for surgical procedures, the heart surgery market, and the referral market. Precisely because Dr. Gomez alleged so many different potential markets for his claims — as Memorial Hermann itself complains— the flaw at this stage can only be with the state of evidence regarding the relevant market and not with Dr. Gomez’s pleadings. The same criticism applies to Memorial Hermann’s complaints about Dr. Gomez having alternatively pleaded different geographies for the relevant market for services. Finally, Dr. Gomez’s allegations suggest that Memorial Hermann targeted not only his own ability to compete for surgeries, but also Methodist West’s competitive position. Dr. Gomez claims the destruction of his reputation served to deter Memorial Hermann’s other physicians from practicing at Methodist West or from referring patients to physicians who are not'affiliated with Memorial Hermann. Dr. Gomez’s allegations, taken as true, suggest that Memorial Hermann may have attempted to (1) intimidate a number of physicians from making referrals to specialists at Methodist West, thus cutting off Methodist West’s patient base, and (2) intimidate other doctors — Methodist West’s “supply” for its services — from practicing at Methodist West. Even if Dr. Gomez himself would not have .standing to bring a suit under the TFEAA based on antitrust injury, to. Methodist West, Dr. Gomez could rely on the violation to show that the interference with his prospective business relations was independently wrongful. . We hold that Dr. Gomez’s petition presents multiple viablé anticompetitive actions. F. The trial court did not abuse its discretion in making a preliminary finding that the documents in question are relevant to the anticompetitive actions pleaded by Dr. Gomez. The trial court ordered Memorial Her-mann to produce a number of documents. We review the trial court’s preliminary finding of relevance to each set of documents in the sealed record for an abuse of discretion. Memorial Hermann argues that the various categories of documents are not relevant, to Dr. Gomez’s- alleged anticompeti-tive action because (1) a number of the documents-predate November 2011, which Dr. Gomez identified in his deposition as the relevant time period for the case; (2) Dr. Gomez’s action involves the purportedly improper publication of false material through different peer review committees, but he has not alleged that the documents themselves were publicly disseminated; (3) certain documents do not discuss individu,al or aggregated physician mortality rates, instead focusing on physician volume; (4) certain documents do not refer to Dr. Gomez; and (5) with regard to one particular slide, the slide is not relevant to any actionable antitrust conduct under Texas law. We 'conclude that the majority of the documents in the sealed record, are relevant to essential elements of the anticom-petitive causes of actions that Dr. Gomez has asserted. Before discussing the relevance of otherwise protected documents, however, we note that some of the documents included in the sealed record do not qualify for protection under the medical peer review committee privilege. Any affidavits prepared for and submitted to the trial court are neither records nor proceedings of the committees 'at issue nor communications to that committee. They therefore receive no-- protection under either the medical peer review committee privilege or the medical committee, privilege. The committee bylaws attached as exhibits to the affidavits also do not qualify as a record of, proceeding of, or communication to the committee, and are therefore not protected. However, the remaining documents in the sealed record are records or proceedings of the committees, or communications to the committee. Dr. Gomez alleges that Memorial Hermann manipulated and disseminated data on his mortality rates in order to harm his ability to compete for surgical procedures as well as to intimidate other doctors from defecting to Methodist West. As such, the withheld documents are relevant if they would tend to make more or less probable Dr. Gomez’s allegations that Memorial Hermann disseminated manipulated data on Dr. Gomez’s mortality rates, that the dissemination caused Dr. Gomez’s referral rates to decline, or that other doctors were fearful that they could also be targeted in such a fashion. These fact issues are at the core of Dr. Gomez’s claims that Memorial Hermann violated the TPEAA and ‘tortioiisly interfered with his prospective business relations. A number of the documents at issue are relevant because they either contain data on mortality rates of cardiovascular surgeons, discuss obtaining or direct others to obtain mortality rates of cardiovascular surgeons, establish plans to review mortality data, or reference appropriate parameters for calculating mortality data. Even if Memorial Hermann never published some of the documents that contain data on mortality rates, the data eould still be relevant to the veracity of any data that Memorial Hermann did publish, particularly if discrepancies appeared between the different reports of the data. Similarly, evidence establishing that Memorial Her-mann did not follow what it knew to be the appropriate parameters for calculating mortality data could support an inference that Memorial Hermann intended to cast doubt on Dr. Gomez’s ability as a surgeon. The documents discussing physician volume are relevant. Memorial Hermann’s argument that these documents lack any discussion of Dr. Gomez’s mortality rates does not negate the documents’ potential relevance to Dr. Gomez’s allegations that he suffered a loss of referrals. The documents could also tend to prove or disprove a corresponding increase in referrals to Memorial Hermann’s other physicians, which could support Dr. Gomez’s allegations that Memorial Hermann violated the TFEAA. Furthermore, although the data on physician volume predates the time period in which Dr. Gomez alleges his referral rate declined, such data could still provide a baseline for measuring the effect of the alleged conduct. Documents relating to referral patterns, either of particular physicians or Memorial Hermann itself, are also relevant for the same reasons. We note that the data on mortality and physician volume are associated with assigned numbers rather than the names of particular physicians in a number of the documents. However, although Memorial Hermann would be free to' present- evidence suggesting that the code effectively concealed the physicians’ identities, the existing overlap between some of the'coded and un-coded documents is ■ sufficient to support a preliminary finding that the presentations’ audiences as well as a judicial fact finder would be able to understand which physicians? rates and volumes appear in the documents. Other documents 'are relevant because they discuss Memorial Hermann’s plans to differentiate itself from other hospitals’ cardiovascular surgery departments. This focus could make more or less probable the likelihood that Dr. Gomez’s unique services were of sufficient importance to provide the impetus for the alleged improper conduct. Another category of relevant documents consists of maps that identify the locations of doctors or hospitals in the surrounding geographic area, and maps demarcating the geographic areas from which Memorial Hermann draws its patients. ' Because they provide a basis for determining the feasibility of alternatives for patients in the area, these documents— in conjunction with expert testimony— could make a particular geographic market for Dr. Gomez’s claims under the TFEAA more or less probable. On the other hand, Exhibit B to E. Leticia Míreles’ affidavit, which consists of án email to a number of persons, is not relevant to Dr. Gomez’s allegations. The body of the email does not include any information that would make any of Dr. Gomez’s allegations.more or less probable. Although the email includes an attachment, nothing before us suggests. that a record of the sending of this particular attachment to a number of persons would make Dr. Gomez’s allegations more or less probable, because the attachment itself does not contain any data about Dr. Gomez or a relevant competitive market. This email, appearing on pages 365-68 of the sealed record, is therefore not relevant to an anticompetitive action, and retains its protection under the medical peer review committee privilege; In addition, the documents appearing on pages 119, 122-23, 129-30, 135, 138, 140, 142, 145, 154-55, 160-61, 166-67, 174-75, 180-81, 188-89, 195-98, and 243 of the sealed record also retain their protection under the medical peer review committee privilege. These documents do not discuss any data on mortality rates, physician volume, or referral pattern. Nor do they discuss plans to disseminate such data, any staffing concerns of the hospital, or the competitive positions of the hospital or Dr. Gomez. These documents lack any apparent relevance to Dr. Gomez’s claims, and we .hold the trial court therefore abused its discretion in compelling Memorial Her-mann to produce them. However, the trial court did not abuse its discretion in making a preliminary finding that the other materials in the record are relevant to an anticompetitive action. We therefore turn to whether these documents enjoy any residual protection under the medical committee privilege. III. When both are applicable, the anti-competitive exception to the medical peer review committee privilege limits the provision of confidentiality under the medical committee privilege. This question is contingent on the extent to which overlapping provisions of two different statutes can concurrently operate. To the extent possible, we will construe the different provisions in a way that harmonizes rather than conflicts. When the provisions are irreconcilable, the general rule is that the terms of the later-enacted’statute should control. However, conflicts between general and specific provisions favor the specific, and when the literal terms Of the two provisions cannot both be true, the terms of the specific provision ordinarily will prevail. We will construe the general provision as controlling only when the manifest intent is that the general provision will prevail and the general provision is also the later-enacted statute. Section 161.031 of the Health and Safety Code broadly defines a “medical committee” to include “any committee, including a joint committee” of certain types of entities-, including “a hospital” or “a medical organization.” Medical committees may be “appointed ad hoc to conduct a specific investigation or established .,. under the bylaws or rules of the organization or institution.” The records and proceedings of a medical committee are governed by section 161.032 of the Health and Safety Code. With the exception of “records maintained in the regular course of business by a hospital ... [or] medical organization,” medical committees and their members may use the committee’s records and proceedings “only in the exercise of proper committee functions.” Subject to the same exception, the “records and proceedings of a medical committee are confidential and are not subject to court subpoena.” Section 161.032 of the Health and Safety-Code suggests that medical committees are at least potentially distinct from medical peer review committees. However, the definitions of the two committees" contain significant overlap. Provided that the other statutory requirements are 'met, the definition of a medical peer review committee includes committees' “of a health care entity, the governing board of a health care entity, or the medical staff of a health care entity.” But any “entity ... that provides or pays- for medical care or health services” and “follows a formal peer review process to further quality medical care or health care” will be considered a health care entity. As such, although the committees of some health care entities may-not be medical committees, every committee- of every entity listed in the-definition of a medical committee that “follows a formal peer review process to further quality medical care or health care” will be considered a medical peer' review 'committee — unless the committee does not “operatet] under written bylaws approved by the policy-making board or the' governing board of the health care entity.” By 'extension, no medical committée that satisfies these two additional provisions necessary to be deemed a medical peer review committee can credibly claim that its records' and proceedings are not governed by section 160.007 of the Occupations Code. Here, because Memorial Hermann stipulated- that the relevant committees are medical peer review committees,- the documents at issue cannot be considered, confidential under section 161.032(a) of the Health and Safety Code without ignoring section 160.007 of the Occupations Code. Memorial Hermann’s argument that a document should enjoy the combined protection of all applicable privileges relies on our previous references to section 161.032 of the Health and Safety Code and section 160.007 of the Occupations Code as “the medical committee, privilege” and “the medical peer review committee privilege,” respectively. However, the statutes themselves confer confidentiality on records and proceedings — not the committee itself. Because the records and proceedings here are subject to both sections, both sections’ provisions regarding confidentiality apply. That the records and proceedings of some medical peer review committees may not be considered records and proceedings of a medical committee — or the reverse- — has no bearing on the question before us, because such documents would never be subject to both sections. Because the documents áre subject to both sections, any reconcilable provisions will apply in concert. For example, a medical committee that is also a medical peer review committee could not use its records or proceedings in the. exercise of-improper committee functions simply because section 16Q.007 does not explicitly forbid it. By the same token, a dual medical committee and medical peer review committee could not rely on the provision of confidentiality in section 161.032(a) to shirk its duty under section 160.007(d) to provide a physician with a written copy of its recommendation to suspend the physician’s privileges. However, a record or proceeding is either confidential or not; it cannot be both. As we have' already discussed at length, the majority of the documents that Dr. Gomez seeks are relevant to' an anti-competitive action. Because Memorial Hermann has stipulated that those documents are the records and proceedings of a medical peer review committee, section 160.007(b) provides that those documents are “not confidential to the extent [they are] considered relevant.” It is impossible to reconcile that provision with a provision stating that the same documents “are confidential and are. not subject to court subpoena.” Section 160.007 is both the later enacted statute as well as the more specific regarding when records and proceedings are confidential. We therefore hold that the records and proceedings of a dual medical committee and medical peer review committee do not enjoy any greater confidentiality under section 161.032(a) than they do under section 160.007(b). CONCLUSION We hold that the trial court abused its discretion in ordering Memorial Hermann to produce pages 119, 122-23, 129-30, 135, 138, 140, 142, 145, 154-55, 160-61, 166-67, 174-75, 180-81, l$8-89, 195-98, 243, and 365-68 of the sealed record. We conditionally grant Memorial Hermann’s writ of mandamus, directing the trial court to modify its discovery order insofar as the order compelled production of those documents. We are confident the trial court will comply, and the writ will issue only if it does not. In all other respects, Memorial Hermann’s petition for writ of mandamus is denied. . In re Living Ctrs. of Tex,, Inc., 175 S.W.3d 253, 258 (Tex.2005).' . Memorial Hermann Hospital System is a business entity organized under the laws of the State of Texas that controls and manages a number of hospitals, out-patient facilities, and other health care service centers throughout the Houston Metropolitan area, including Memorial Hermann Memorial City Medical Center. . Michael P. Macris, M.D., P.A. is á professional association organized under the laws of Texas, and Michael P. Macris, M.D. is its principal officer. . Mr. Alexander is the Chief Executive Officer of Memorial Hermann Memorial City Medical Center. . Memorial City is one of Memorial Hermann Hospital System’s medical campuses. . The facts described in’ this section are drawn from allegations in Dr. Gomez’s live petition and attached exhibits. They are presented in the light most favorable to the trial court’s finding. . At the time of the meeting, Dave Jones was the CEO of Memorial City and Dr. Joel Abra-mowitz was the Chief of Staff. Shortly after the meeting took place, Mr. Alexander became CEO. . Dr. Gomez disputes whether the committee to which Dr. Macris presented the data falls within the definition of a medical peer review committee. . In re Mem’l Hermann Hosp. Sys., 2014 WL 866069 (Tex.App.-Houston [1st Dist.] March 4, 2014, orig. proceeding). . In re E.I. DuPont de Nemours & Co., 136 . ,S.W.3d 218, 222 (Tex.2004). . State v. Lowry, 802 S.W.2d 669, 671 (Tex.1991); Jordan v. Court of Appeals for Fourth Supreme Judicial Dist., 701 S.W.2d 644, 648-49 (Tex.1985). . In re Living Ctrs. of Tex., Inc., 175 S.W.3d at 261; Lowry, 802 S.W.2d at 671. . In re E.I. DuPont de Nemours & Co„ 136 S.W.3d at 222 (quoting Tex. Tech. Univ. Health Scis. Ctr. v. Apodaca, 876 S.W.2d 402, 407 (Tex.App.-El Paso 1994, writ denied)). . Walker v. Packer, 827 S.W.2d 833, 839-40 (Tex.1992). . Flores v. Fourth Court of Appeals, 777 S.W.2d 38, 41 (Tex.1989). . Id. . Walker, 827 S.W.2d at 840 ("In determining whether the trial court abused its discretion in the present case, we treat the trial court’s erroneous denial of the requested discovery on the sole basis of Russell as a legal conclusion to be reviewed with limited deference to the trial court,”); see also Marathon Oil Co. v. Moye, 893 S.W.2d 585, 589 (Tex.App.-Dallas 1994, orig. proceeding) ("When a trial court’s interpretation of discovery law is at issue, we treat the trial court's order as a legal conclusion. We review the legal conclusion with limited deference to the trial court.”). . Tex. Occ. Code § 151.002(a)(8); see also id. § 151.002(a)(5) (defining “Health care entity”). . In re Univ. of Tex, Health Ctr. at Tyler, 33 S.W.3d 822, 825 (Tex.2000); see also Tex Occ. Code § 160.007(a) ("Except as otherwise provided by this súbtitle, each proceeding or record of a medical peer review committee is confidential, and any communication-made to a medical peer review committee is privileged.”). . Mem'l Hosp.-The Woodlands v. McCown, 927 S,W.2d 1, 3-5 (Tex.1996). . Id. at 10; see also In re Living Ctrs. of Tex., Inc., 175 S.W.3d at 257. . In re Living Ctrs. of Tex., Inc., S.W.3d at 257. . Id. . Id. at 260; McCown, 927 S.W.2d at 10. . Irving Healthcare Sys. v. Brooks, 927 S.W.2d 12, 16 (Tex.1996). . Tex. Occ. Code § 160.007(c); see also id. § 151.002(a)(1) (“ ‘Board’ means the Texas Medical Board.”). . , Id. § 160.007(d). . Id. . See id. § 160.007(f). . Id. § 160.007(e). . Tex. Health" & Safety Code § 161.032(f). However, the fact that a committee reviewed such records is protected. See In re Living Ctrs. of Tex., 175 S.W.3d at 2$7 (“The peer review privilege protects the products of the peer review process: reports, records (including those produced for the committee's review as part of the investigative review process), and deliberations.”); Brooks, 927 S.W.2d at 18. . Tex. Occ. Code § 160.007(b). . See id. § 151.002(a)(8)(B). . Compare id. § 151.002(a)(7) (defining medical peer review) with id. § 151.002(a)(8) (defining medical peer review committee). . Tex. Occ. Code § 160.007(b). . Tex. Dep’t of Transp. v. Needham, 82 S.W.3d 314, 318 (Tex.2002). . Liberty Mut. Ins. Co. v. Garrison Contractors, Inc., 966 S.W.2d 482, 484 (Tex.1998). . Combs v. Roark Amusement & Vending, L.P., 422 S.W.3d 632, 635 (Tex.2013). . Tex. Dep't of Transp. v. City of Sunset Valley, 146 S.W.3d 637, 642 (Tex.2004). . Needham, 82 S.W.3d at 318. . TGS-NOPEC Geophysical Co. v. Combs, 340 S.W.3d 432, 439 (Tex.2011). . Jordan, 701 S.W.2d at 647. . See, e.g., Tex. Occ. Code §§ 261.051 (dental peer review committee); 202.454(b) (podia-tric peer review committee); 564.103(b) (pharmacy peer review committee). . Black’s Law Dictionary 113 (l0th ed. 2014). . Id. at 1400. . Id. at 344. . Id. at 113. . See id. at xxxii (noting that “[b]ullets are used to separate definitional information (before the bullet) from information that is not purely definitional (after the bullet), such as encyclopedic information or usage notes”). . Bd. of Trade of City of Chi. v. United States, 246 U.S. 231, 238, 38 S.Ct. 242,-62 L.Ed. 683 (1918). . Id.; see also State Oil Co. v. Khan, 522 U.S. 3, 10, 118 S.Ct. 275, 139 L.Ed.2d 199 (1997) ("Although the Sherman Act, by its terms, prohibits, every agreement ‘in restraint .of trade,’ this Court has long recognized that Congress intended to outlaw only unreasonable restraints.”); F.T.C. v. Ind. Fed’n of Dentists, 476 U.S. 447, 459, 106 S.Ct. 2009, 90 L.Ed.2d 445 (1986) ("Absent some countervailing procompetitive virtue — such as, for example, the creation of efficiencies in the operation of a market or the provision of goods and services ... — such an agreement limiting consumer choice by impeding the ‘ordinary give and take of the market place’ cannot be sustained under the Rule of Reason.”); United States v. Trans-Missouri Freight Ass’n, 166 U.S. 290, 342, 17 S.Ct. 540, 41 L.Ed. 1007 (1897) ("The necessary effect of the agreement is to restrain trade or commerce, no matter what the intent was on the part of those who signed it.”). . Cal Dental Ass’n v. F.T.C., 526 U.S. 756, . 770, 119 S.Ct. 1604, 143 L.Ed.2d 935 (1999). . Leegin Creative Leather Prods., Inc. v. PSKS, Inc., 551 U.S. 877, 886, 127 S.Ct. 2705, 168 L.Ed.2d 623 (2007), . Nat’l Collegiate Athletic Ass’n v. Bd. of Regents of Univ. of Ok., 468 U.S. 85, 107, 104 S.Ct. 2948, 82 L.Ed.2d 70 (1984) (internal quotation marks omitted). See also Tex. Bus. & Comm. Code § 15.04 (“The purpose