A.H. Ex Rel. Hadjih v. Evenflo Co. , 579 F. App'x 649 ( 2014 )


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  •                                                                FILED
    United States Court of Appeals
    UNITED STATES COURT OF APPEALS       Tenth Circuit
    TENTH CIRCUIT                       September 10, 2014
    Elisabeth A. Shumaker
    A.H., a minor, by and through his parent                                      Clerk of Court
    and next friend, TONY HADJIH; TONY
    HADJIH, individually,
    Plaintiffs – Appellants,                             No. 13-1403
    (D.C. No. 1:10-CV-02435-RBJ-KMT)
    v.                                                               (D. Colo.)
    EVENFLO COMPANY, INC., a
    Delaware corporation,
    Defendant – Appellee.
    ORDER AND JUDGMENT*
    Before BRISCOE, Chief Judge, MCKAY and PHILLIPS, Circuit Judges.
    The Evenflo Discovery Infant 316 Car Seat consists of two-pieces: a snap-in seat (the
    “carrier”) and a base. The car seat can be used in two ways: first, by securing the base
    with the seat belt and then snapping the carrier into it, or, second, by securing the carrier
    itself with the seat belt and not using the base at all.
    On June 10, 2005, four-month-old A.H. was properly restrained in the back seat of the
    Hadjih Family Jeep using the two-piece configuration of the Discovery model, which had
    been properly installed. His mother, Razika Hadjih, misjudged traffic and pulled the Jeep
    * This order and judgment is not binding precedent except under the doctrines of law
    of the case, claim preclusion, and issue preclusion. It may be cited, however, for its
    persuasive value consistent with Federal Rule of Appellate Procedure 32.1 and Tenth
    Circuit Rule 32.1.
    in front of an oncoming truck. The truck struck the passenger side of the Jeep, separating
    A.H.’s carrier, with him strapped in, from the base and sending it airborne into the back
    of the Jeep. The infant boy suffered a skull fracture and a severe traumatic brain injury
    that has left him permanently impaired.
    On his own and A.H.’s behalf, A.H.’s father sued Evenflo, seeking damages under
    several theories, including defective design and failure to warn. Plaintiffs (the “Hadjihs”)
    presented evidence sufficient for the jury to find that Evenflo knew or should have known
    before this accident that Discovery Infant 316 carriers were prone to detach from their
    bases. Even so, the district court directed a verdict for the defendants on the failure-to-
    warn claim. Addressing a separate issue, the district court also allowed a videotaped
    deposition of a defense witness over the Hadjihs’ objection. After a nine-day trial, the
    jury rendered its verdict in favor of Evenflo on the remaining design defect claim.
    After trial, the Hadjihs filed a motion for a new trial, arguing that the court erred in
    directing a verdict on the failure-to-warn claim and in allowing the videotaped
    deposition. The district court denied the motion, and the Hadjihs now present those issues
    on appeal.
    DISCUSSION
    1. Did the district court err by entering a directed verdict on the failure-to-warn
    claim?
    We review de novo a district court’s order granting judgment as a matter of law,
    applying the same standard as the district court applies. See Oja v. Howmedica, Inc., 
    111 F.3d 782
    , 792 (10th Cir. 1997). A district court may grant a motion for judgment as a
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    matter of law on an issue if it finds “that a reasonable jury would not have a legally
    sufficient evidentiary basis to find for the party on that issue.” Fed. R. Civ. P. 50(a). That
    standard is met “only when all the inferences to be drawn from the evidence are so in
    favor of the moving party that reasonable persons could not differ in their conclusions.”
    J.I. Case Credit Corp. v. Crites, 
    851 F.2d 309
    , 311 (10th Cir. 1988) (internal quotation
    marks omitted).
    In this diversity case, Colorado state law governs the substantive issues. See, e.g.,
    Pacheco v. Shelter Mut. Ins. Co., 
    583 F.3d 735
    , 737 n.4 (10th Cir. 2009). To survive a
    motion for a directed verdict, the Hadjihs had to present evidence of three elements: “(1)
    the existence of a duty on the part of the defendant to warn buyers of any dangers that
    were known or should have been known, (2) breach of that duty by the defendant, and (3)
    injury to the plaintiff resulting from that breach.” Grasmick v. Otis Elevator Co., 
    817 F.2d 88
    , 90 (10th Cir. 1987).1
    After reviewing the record, we conclude that the Hadjihs presented sufficient
    evidence on each element of a failure-to-warn claim to warrant submission of the claim to
    the jury.
    1
    The Colorado jury instruction on negligent failure to warn states: “If a
    (manufacturer) (seller) of (an article) (a product) knows or in the exercise of reasonable
    care should know that (1) the use of the (article) (product) may be harmful or injurious to
    a (consumer) (user), and (2) that risk of harm or injury is not obvious to a reasonable
    (consumer) (user), then the (manufacturer) (seller) must use reasonable care to warn the
    (consumer) (user) of the risk of harm or injury if a reasonably careful person would under
    the same or similar circumstances. The failure to do so is negligence.” CJI-Civ. 4th 14:19
    (4th ed.). The Hadjihs tendered a similar instruction to the district court in this case. R.
    vol. 1, at 254.
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    First, plaintiffs introduced evidence that Evenflo had a duty to warn of the dangers of
    carrier/base separation. A seller has a duty to “give adequate warning of an unreasonable
    danger not obvious to the user which the seller knows or should know is involved in the
    use of a product.” Bailey v. Montgomery Ward & Co., Inc., 
    635 P.2d 899
    , 899–900 (Colo.
    Ct. App. 1981); see also Palmer v. A.H. Robins Co., Inc., 
    684 P.2d 187
    , 198 (Colo. 1984)
    (a seller has a duty to warn if it knows or should know about an unreasonable danger
    associated with its product and that danger is not obvious to users). A breach of this duty
    constitutes negligence.
    Here, the Hadjihs introduced evidence sufficient for the jury to find that Evenflo knew
    or should have known before the accident that carriers had sometimes separated from
    their bases in the Discovery Infant 316 car seat. Evenflo knew that customers had
    reported 74 incidents in which a Discovery carrier had separated from its base.2 It also
    knew that at least one separation had occurred in testing when the car seat had been
    dropped from a height of three feet. In fact, evidence showed that Evenflo recalled a later
    model of the Discovery with the same latch mechanism connecting the carrier and base
    because of the separation hazard. The Hadjihs also introduced evidence that the danger of
    separation was not obvious to product users. The three Discovery users who testified at
    trial all said they believed the seat was safe before using it. Finally, the Hadjihs presented
    evidence that a warning would have been feasible. The Manual contained numerous other
    warnings, including the “risk” of eating a lollipop while riding in the car seat.
    2
    The 74 incidents involved both the Discovery 316 model and a later model, the
    390/391, but Evenflo offered testimony that the latch connecting the carrier and base on
    the two models was the same.
    -4-
    In light of the evidence the Hadjihs presented at trial, the district court concluded that,
    construing the evidence in favor of the plaintiffs, there was a “fairly well-established
    history of detachments in similar car seats, substantially similar car seats, substantially
    similar situation and accidents.” R. vol. 5, at 1484.
    Second, plaintiffs introduced evidence that Evenflo breached its duty to warn. It’s
    undisputed that the Hadjihs read the Discovery owner’s manual soon after purchasing the
    car seat and that Evenflo did not provide any warning about the separation hazard.
    Third, plaintiffs introduced evidence that injury resulted from the breach. Both Hadjih
    parents testified that if they had been warned about the danger of the Discovery seat
    separating from its base, they would either have not used the seat at all or, at the very
    least, not used it with its base. Instead, absent a warning, they secured A.H. in the
    Discovery seat using the base. The evidence shows that the seat belt held the base to the
    Jeep’s back seat during the crash, while the carrier separated, bounced, and flew into the
    rear cargo area. Both of the Hadjihs’ experts testified that the latch failure caused A.H.’s
    injuries.
    The Hadjihs presented evidence of duty, breach, and resulting injury, but the district
    court took the failure-to-warn claim away from the jury. In summary fashion, it said,
    “This is a design case. And it doesn't make any sense for [Evenflo] to warn when they're
    putting out a product whose very purpose is two-seat configuration to warn people that
    they had better use a single base for their configuration. That goes against the very nature
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    of what was being sold, and that isn't what failure-to-warn cases are about. Dismissed.”3
    R. vol. 5, at 1481.
    We disagree. By design, the Discovery model could be used with or without the
    “convenience” base. Although we don’t share the view that this is dispositive, a warning
    about the risk of using the two-piece configuration would not necessarily have
    undermined the purchase or use of the product—it is not a “statement not to use the
    product at all.” Appellee’s Br. at 24. Instead, the warning would simply have allowed
    consumers to decide based on full information when or whether to trade added safety for
    added convenience.
    On appeal, Evenflo argues that the Hadjihs failed to provide evidence of a specific
    element of a failure-to-warn claim. In particular, Evenflo argues that to establish a
    failure-to-warn claim, a plaintiff must show that a warning would have made the product
    safe. Response Br. at 21. Here, it says, a warning would not necessarily have eliminated
    the risk of separation because consumers could still have used the two-piece
    configuration when they wanted the added convenience.
    It is true that the purpose of a warning is to make the use of a product safe or at least
    safer. In Hiigel v. General Motors Corp., 
    544 P.2d 983
    , 988 (Colo. 1975) (internal
    3
    Perhaps because the district court’s statement was so succinct, we have trouble
    understanding it. It seems to say that if a product’s “very purpose” includes a dangerous
    option, the manufacturer needn’t warn, because that’s what it intended to sell. The district
    court offered no clarification in its order denying the Hadjihs’ Motion for New Trial. It
    dealt with the issue in a footnote, saying, “Plaintiffs argue as a second ground for a new
    trial that the Court improperly directed a verdict on their failure to warn claim. The trial
    record will speak for itself as to the Court’s basis for that decision, and I do not find any
    cause to expand on the Court’s reasoning here.” R. vol. 1, at 233.
    -6-
    quotations omitted), the Colorado Supreme Court said, “The warning should be such that
    if followed would make the product safe for users.” And in Armentrout v. FMC Corp.,
    
    842 P.2d 175
    , 181 (Colo. 1992) (internal quotations omitted), the court said, “The
    purpose of a warning is to ensure that an otherwise dangerous product is used in a
    reasonably safe manner.”
    These cases stand for the proposition that where a manufacturer has a duty to warn,
    the warning must make the use of the product reasonably safe. But reasonably safe does
    not mean free from any danger. Evenflo’s reading of Colorado law would allow sellers to
    keep silent about any latent dangers that cannot be wholly mitigated. Colorado courts
    have not condoned such a view.
    For example, in Bailey v. Montgomery Ward & Co., Inc., 
    635 P.2d 899
    , 899–900
    (Colo. Ct. App. 1981), a buyer purchased “tube” tires from Montgomery Ward.
    Montgomery Ward installed the new tires over tubes from the old tires but did not warn
    the buyer of the danger inherent in that practice. A few months later, the right rear tire of
    the buyer’s car blew out, and the driver was injured. The buyer sued, but the only issue
    put before the jury was whether Montgomery Ward was negligent in mounting new tires
    over old tubes, and the jury determined it was not. The trial court refused to instruct the
    jury on the buyer’s theory that negligence could be predicated on Montgomery Ward’s
    failure to warn consumers of the danger inherent in installing new tires over old tubes.
    The appeals court reversed and remanded for a new trial on that claim, concluding, “[A]n
    injured user of [a] product may proceed on the theory that the seller has the duty to give
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    adequate warning of an unreasonable danger not obvious to the user which the seller
    knows or should know is involved in the use of a product.” 
    Id. at 900
    .
    By making manufacturers reveal the risks involved in the use of a product, the law
    enables consumers to make informed decisions about how and when to use a product.
    This is particularly true in our case where there are two ways to use the Discovery car
    seat: one way is safer; the other way, more convenient. With full information, the
    consumer can choose when to opt for safety and when to opt for convenience.
    This theory that a product can be rendered reasonably safe by fully advising
    consumers of risk-reducing options was endorsed by the Colorado Supreme Court in
    Camacho v. Honda Motor Co., Ltd., 
    741 P.2d 1240
     (Colo. 1987). In Camacho, a plaintiff
    sustained leg injuries in a motorcycle crash. He sued the manufacturer, Honda, alleging
    that the motorcycle was unreasonably dangerous because the motorcycle was not
    equipped with “crash bars” that could have protected a rider’s legs during a crash. Id. at
    1241. The trial court granted summary judgment to Honda, but the Colorado Supreme
    Court reversed.
    Addressing Camacho’s failure-to-warn claim, the court said, “The purpose of a
    warning is to ensure that an otherwise dangerous product is used in a reasonably safe
    manner.” Id. at 1248. It presumed, without deciding, that “the Honda motorcycle was
    unreasonably dangerous or was rendered unreasonably dangerous by a failure to warn.”
    Id. (emphasis added). Then, it said, “Arguably, a warning that injury-reducing crash bars
    were available as optional equipment or as add-on equipment would render an otherwise
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    unreasonably dangerous motorcycle reasonably safe.” Id. In support of that proposition,
    the court cited Wagner v. International Harvester Co., 
    611 F.2d 224
    , 231 (8th Cir. 1979).
    In Wagner, the Eighth Circuit concluded that a manufacturer’s duty to supply a safe
    product might have been satisfied if it had offered rollover protection as an option for a
    crawler tractor that the manufacturer knew could not be used as intended without a risk of
    rollovers. The court accepted the theory that “the purchaser of multi-use equipment
    knows best the dangers associated with its particular use, and so it should determine the
    degree of safety provided. That is to say, the purchaser may be in the best position to
    make the cost-benefit analysis implicit in the principles of general negligence.” 
    Id.
    Similarly, here, under the Hadjihs’ theory of the case, Evenflo knew that using the
    two-piece configuration presented a risk of separation. In our view, a warning that the
    one-piece configuration is a safer alternative could render an otherwise unreasonably
    dangerous product reasonably safe. Like the hypothetical warning in Camacho, the
    warning here would not by itself have eliminated any risk present when the base was
    used. But had Evenflo disclosed its known information about the separation risk, the
    Hadjihs could have then decided whether to eliminate the risk by using the carrier
    without the base or by finding a different product. They could have weighed the added
    risk of using the base against the inconvenience of having to strap in the carrier each time
    with the seat belt.
    The Hadjihs presented sufficient probative evidence on the elements of a failure-to-
    warn claim to submit it to the jury. They are not required to show that a warning would
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    necessarily have eliminated all risk inherent in the product. Thus, the district court erred
    in directing a verdict on the failure-to-warn claim.
    Evenflo argues that even if the district court erred, the error was harmless because the
    jury found in favor of Evenflo on the design-defect claim. As mentioned, we fail to see
    how one follows the other. A jury might find that a product does not have a design defect
    but that it still needs appropriate warnings to make it reasonably safe. For example, the
    court in Vista Resorts, Inc. v. Goodyear Tire & Rubber Co., 
    117 P.3d 60
    , 71 (Colo. App.
    2004), found that the jury was properly instructed that “[a] product not otherwise
    defective in its manufacture or design becomes defective and unreasonably dangerous if
    adequate warnings or instructions for use are not provided.” See also Anderson v. Heron
    Eng’g Co., 
    604 P.2d 674
    , 676 (Colo. 1979) (“[A] product which is free of manufacturing
    and design defects nonetheless may be defective and unreasonably dangerous if not
    accompanied by adequate instructions and warnings.”). Here, the jury could have found
    that the separation risk did not constitute a design defect but that the separation risk did
    create a duty to warn.
    2. Was Kiser unavailable to testify?
    The district court admitted the videotaped deposition of Randolph Kiser, an expert
    witness, over the objection of the plaintiffs. After trial, the plaintiffs moved for a new
    trial in part based on the videotaped deposition. The court reaffirmed its earlier ruling that
    the admission was proper because Kiser was “unavailable” as defined by Rule 32(a)(4) of
    - 10 -
    the Federal Rules of Civil Procedure. The Hadjihs challenge both the decision at trial and
    the denial of their motion for new trial.
    We review the district court’s decision allowing the deposition testimony of an
    “unavailable witness” for abuse of discretion, and we examine de novo the district
    court’s interpretation of the federal rules. Garcia-Martinez v. City and County of
    Denver, 
    392 F.3d 1187
    , 1190 (10th Cir. 2004). We review the court’s denial of a rule
    59(a) motion for abuse of discretion as well. Elm Ridge Exploration Co. v. Engle, 
    721 F.3d 1199
    , 1216 (10th Cir. 2013).
    Deposition testimony is normally inadmissible hearsay, but Federal Rule of Civil
    Procedure 32 creates an exception. Angelo v. Armstrong World Indus., 
    11 F.3d 957
    , 962–
    63 (10th Cir. 1993). Rule 32(a)(4) provides:
    (4) Unavailable Witness. A party may use for any purpose the deposition of a
    witness, whether or not a party, if the court finds:
    ...
    (B) that the witness is more than 100 miles from the place of hearing or trial or is
    outside the United States, unless it appears that the witness's absence was
    procured by the party offering the deposition.
    It is undisputed that Kiser was more than 100 miles from the Denver courthouse. He
    lives and works in Georgia. The key inquiry, then, is whether “it appear[ed] that the
    witness’s absence was procured by the party offering the deposition.” Rule
    32(a)(4)(B). The trial court found that Kiser’s “absence was not procured by Evenflo.
    He moved to Georgia when he took a job there.” R. vol. 1, at 249. The Hadjihs argue that
    the court erred because the “appearance of procurement” existed and the court admitted
    the deposition even though Evenflo did not rebut it. Reply Br. at 22.
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    The Hadjihs argument is based on the concern that the district court expressed at trial
    about Evenflo’s claim that Kiser was unavailable to testify live. Counsel for Evenflo
    represented that Kiser “no longer works with” Evenflo. R. vol. 5, at 1484. The court then
    asked if Evenflo could get him to court, and it said it wanted an “honest, candid answer.”
    R. vol. 5, at 1485. Evenflo’s counsel said he would “ask him if I can get him here . . . I
    don’t control him. I can tell you tomorrow, but I have the video ready to go.” R. vol. 5, at
    1485–86. The court then got Kiser’s phone number and had the courtroom deputy call.
    There was no answer. Id. at 1491. The defense began its case, and then later in the day
    the court allowed the videotaped deposition to be played for the jury. Id. at 1554.4 The
    next morning the court asked again, “What’s the story with Mr. Kiser?” Id. at 1567.
    Defense counsel represented that he had spoken to Kiser and that he could not travel to
    testify because he was working with a competitor.
    After trial, the Hadjihs moved for a new trial in part based on the videotaped
    deposition. In its order, the court provided an extensive accounting of the relevant facts
    and dates. The court found that “notwithstanding Mr. Kiser’s change of employment
    from Evenflo to an Evenflo competitor, Mr. Kiser remained willing to cooperate with
    Evenflo and its counsel in the present case. . . I am satisfied that Evenflo could have
    called him as a live witness had it wished to.” R. vol. 1, at 245. The court also found “that
    the scenario as it played out from Mr. Kiser’s departure to the conclusion of the trial was
    4
    The substance of Kiser’s testimony addressed why Evenflo decided to recall the
    Discovery 390/391 model and why Discovery 316 was not recalled.
    - 12 -
    substantially driven by strategic and tactical considerations.” Id. at 246. But, the court
    found there was strategizing by the plaintiffs as well:
    [W]hen plaintiffs’ counsel were informed of Evenflo’s decision not to call
    Mr. Kiser as a live witness, their initial reaction was not to object but
    instead to set about the task of exchanging or re-exchanging with Evenflo’s
    counsel designations of portions of the deposition that they wished to have
    presented. They did not express any objection until Tuesday, the start of the
    second trial week. I infer that there was some strategizing occurring on their
    side as well.
    Id. at 247. The court concluded that Kiser was unavailable as defined by Rule 32(a)(4):
    It is undisputed that Mr. Kiser was more than 100 miles from this
    courthouse. He lives and works in Georgia, and there has been no
    suggestion that he was within 100 miles of Denver during the second week
    of this trial. His absence was not procured by Evenflo. He moved to
    Georgia when he took a job there after leaving Evenflo (which is
    headquartered in Ohio) in July 2012.
    Id. at 249.
    The Hadjihs argue that the district court abused its discretion when it allowed the
    videotaped deposition to be played because it did not know if Kiser was truly an
    “unavailable witness” under Rule 32(a)(4). It suggests that the court’s repeated inquiries
    demonstrate that it had concerns that Kiser’s absence may have been procured by
    Evenflo.
    The Hadjihs’ argument fails because, as the district court recognized, there is a
    difference between procuring a witness’s absence and electing not to procure his
    - 13 -
    attendance.5 See 8A Charles Alan Wright et al., Federal Practice and Procedure § 2146
    n. 12 (3d ed. 2013).
    In Carey v. Bahama Cruise Lines, 
    864 F.2d 201
    , 204 (1st Cir. 1988), the First Circuit
    considered a similar argument. In that case, it was undisputed that the witnesses in
    question were more than 100 miles from the place of trial, but the plaintiffs argued that
    the absence of the witnesses was procured by the defendant. The court rejected that
    argument because the plaintiffs offered no evidence to support their allegation that the
    defendant “actively took steps to keep the deponents from setting foot in the courtroom.
    Under the case law interpreting Rule 32, the mere fact that the deponents are employed
    by the defendant and that there is an identity of interest between the deponents and their
    employer is not enough to trigger exclusion because procuring absence and doing nothing
    to facilitate presence are quite different things.” 
    864 F.2d at 204
    .
    The Hadjihs rely on Fairfield v. Dwek, 
    970 F.2d 990
    , 995 (1st Cir. 1992), where the
    First Circuit affirmed the refusal to admit a deposition under Rule 32(a)(4), based partly
    on a finding that a party had failed to explain why he could not appear. But that case is
    not on point because there the appellate court simply said it was not an abuse of
    discretion for the district court to refuse to admit the deposition. Here, by contrast, the
    Hadjihs are asking us to find it was an abuse of discretion for the district court to admit
    the deposition.
    5
    As the district court said, “[E]ven assuming that Evenflo in fact could have procured
    his presence, there is a difference between procuring an otherwise available witness’
    absence to avoid his appearance and electing not to procure the attendance of a witness
    who is not within the 100-mile radius.” R. vol. 1, at 249.
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    The Hadjihs also argue that the district court made an error of law when it did not
    give the word “appears” its full weight as used in Rule 32(a)(4)(B). The Hadjihs argue
    that the record shows that it appeared to the district court that the witness’s absence was
    procured, so Kiser should not have been considered an unavailable witness. But, even if
    we were to give “appears” the emphasis the Hadjihs want, the record shows only that the
    district court suspected that Evenflo could procure Kiser’s live testimony had it wanted
    to, not that it affirmatively procured his absence.
    In sum, both during and after trial, the district court carefully considered whether
    Evenflo should have been allowed to present the Kiser deposition to the jury. In the
    district court’s judgment, it did not appear that Evenflo had affirmatively procured
    Kiser’s absence and both sides agreed he was more than 100 miles away. Thus, Kiser was
    “unavailable” under Rule 32(a)(4)(B). We cannot say that ruling was an abuse of
    discretion.
    CONCLUSION
    For the reasons discussed above, we affirm the district court’s decision to allow the
    videotaped deposition of Kiser to be played for the jury, but we reverse and remand for a
    new trial on the merits of the Hadjihs’ failure-to-warn claim.
    ENTERED FOR THE COURT
    Gregory A. Phillips
    Circuit Judge
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