Van Winkle v. Rogers ( 2023 )


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  • Case: 22-30638     Document: 00516897149         Page: 1     Date Filed: 09/15/2023
    United States Court of Appeals
    for the Fifth Circuit
    United States Court of Appeals
    Fifth Circuit
    FILED
    September 15, 2023
    No. 22-30638                            Lyle W. Cayce
    Clerk
    Billy Van Winkle, Jr.,
    Plaintiff—Appellant,
    versus
    James Arthur Rogers; New Prime, Incorporated, doing
    business as Prime, Incorporated; Ace American Insurance
    Company,
    Defendants—Appellees.
    Appeal from the United States District Court
    for the Western District of Louisiana
    USDC No. 6:19-CV-1264
    Before Davis, Southwick, and Oldham, Circuit Judges.
    Leslie H. Southwick, Circuit Judge:
    Plaintiff filed suit against a truck driver, trucking company, and
    insurance company. The claim was that the tread from a tire on Defendants’
    tractor-trailer separated from the tire core and hit Plaintiff’s vehicle on an
    interstate highway. Plaintiff was injured in the resulting crash. Though the
    remnants of the damaged tire were initially saved, they were later destroyed
    as a result of what Defendants claim was simple negligence. The district
    court granted summary judgment in favor of Defendants. On appeal, Plaintiff
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    No. 22-30638
    contends the district court erred in ruling on several motions. The central
    question is whether the district court was correct to hold that there were no
    genuine issues of material fact regarding whether Defendants acted in bad
    faith in destroying the tire. We find there were fact issues. REVERSED
    and REMANDED in part; AFFIRMED in part.
    FACTUAL AND PROCEDURAL BACKGROUND
    On February 6, 2018, Billy Van Winkle, Jr., was driving on an inter-
    state highway in Louisiana when his car was struck by part of a tire that came
    from the tractor-trailer being driven directly in front of him. The resulting
    crash caused serious injuries to Van Winkle and damage to his vehicle. The
    tractor-trailer was owned by Defendant New Prime, Inc. d/b/a Prime, Inc.
    and operated by its employee, Defendant James Arthur Rogers. The tread of
    the failed tire — a refurbished, retread tire manufactured by Prime’s own
    EcoTire facility — separated from the casing or tire core before it hit Plain-
    tiff’s vehicle.
    Rogers reported the crash directly to Prime via the Qualcomm system
    in the tractor-trailer immediately after it occurred. A replacement tire was
    attached at the scene. Prime instructed Rogers to load the tire remnants onto
    the tractor-trailer before he left. The tractor-trailer continued on its route
    until it reached Prime’s facility in Salt Lake City, Utah. What happened to
    the tire remnants is unknown, but Prime stated it was likely they were sold
    for scrap about six weeks after the crash.
    On January 22, 2019, Van Winkle filed a petition for personal injuries
    against Rogers, Prime, and their insurer, Ace American Insurance Company,
    in the 15th Judicial District Court for Acadia Parish, Louisiana. Defendants
    removed the case to the United States District Court for the Western District
    of Louisiana based on diversity jurisdiction.
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    Trial was reset at least twice because of the COVID-19 pandemic and
    a scheduling conflict. On February 18, 2021, three years after the accident
    and two years after suit was filed, Defendants filed their first motion for sum-
    mary judgment. The district court denied Defendants’ motion for summary
    judgment without prejudice in light of Van Winkle’s requests to extend dis-
    covery deadlines.
    Van Winkle amended his complaint on September 29, 2021, reiterat-
    ing his claims for Rogers’s negligence in the operation and care of the tractor-
    trailer and his claim against Prime for vicarious liability. Van Winkle also
    pled a claim against Prime for alleged negligence in the training and supervi-
    sion of Rogers and the care and maintenance of the tractor-trailer and tire.
    Importantly, Van Winkle alleged that Prime “destroyed evidence, specifi-
    cally the retreaded trailer tire that failed,” that Prime “had a duty to preserve
    the failed retreaded tire and intentionally destroyed evidence that was rele-
    vant, irreplaceable, unique and critical to any potential future litigation and
    the degree of fault of Defendants,” and that “this destruction clearly de-
    prived plaintiff of this evidence.”
    The district court rejected Van Winkle’s arguments about the de-
    struction of evidence. It granted summary judgment to Defendants. Van
    Winkle timely appealed the judgment.
    DISCUSSION
    Van Winkle argues that the district court erred in these ways:
    (1) Denying Van Winkle’s motion for sanctions for spoliation of the
    tire evidence. We review a district court’s denial of a motion for sanctions
    for abuse of discretion. Guzman v. Jones, 
    804 F.3d 707
    , 713 (5th Cir. 2015).
    (2) Holding Van Winkle’s expert witness did not have sufficient
    knowledge and expertise to testify about the cause of the commercial truck
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    tire failure. Exclusion of expert testimony is reviewed for abuse of discretion.
    In re Complaint of C.F. Bean, L.L.C., 
    841 F.3d 365
    , 369 (5th Cir. 2016).
    (3) Granting Defendants’ motion for summary judgment and (4)
    denying Van Winkle’s motion for partial summary judgment. We review a
    grant of summary judgment de novo. Petro Harvester Operating Co. v. Keith,
    
    954 F.3d 686
    , 691 (5th Cir. 2020). The district court’s construction of the
    amended complaint is reviewed de novo. Ruiz v. Brennan, 
    851 F.3d 464
    , 468
    (5th Cir. 2017).
    (5) Denying Van Winkle’s motion to amend his prior motion in limine
    to exclude Defendants’ surveillance evidence. We review the denial of a mo-
    tion in limine for abuse of discretion and a showing of prejudice. Hesling v.
    CSX Transp., Inc., 
    396 F.3d 632
    , 643 (5th Cir. 2005).
    We analyze the arguments in that order.
    I.     Spoliation of the tire evidence
    “Spoliation of evidence is the destruction or the significant and mean-
    ingful alteration of evidence.” Guzman, 
    804 F.3d at 713
     (quotation marks
    and citation omitted). “We permit an adverse inference against the spoliator
    or sanctions against the spoliator only upon a showing of bad faith or bad con-
    duct.” 
    Id.
     (quotation marks and citation omitted). “Under the spoliation
    doctrine, a jury may draw an adverse inference that a party who intentionally
    destroys important evidence in bad faith did so because the contents of those
    documents were unfavorable to that party.” Whitt v. Stephens Cnty., 
    529 F.3d 278
    , 284 (5th Cir. 2008) (quotation marks and citation omitted). “Bad
    faith, in the context of spoliation, generally means destruction for the pur-
    pose of hiding adverse evidence.” Guzman, 
    804 F.3d at 713
    .
    Van Winkle asserts that Prime’s disposal of the tire under these cir-
    cumstances demonstrates bad faith. The district court denied the motion for
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    sanctions due to spoliation “after an exhaustive review of the arguments and
    evidence.” The court noted it is undisputed that Prime intentionally de-
    stroyed crucial evidence. The court denied the motion for sanctions because,
    “[a]lthough Prime should have preserved the tire, Plaintiff’s arguments that
    Prime intentionally destroyed the tire in bad faith in order to hide adverse
    evidence from Plaintiff are highly speculative.” Nevertheless, the court con-
    cluded that, because “Plaintiff has been prejudiced due to his inability to in-
    spect and test the failed tire,” “the Court will permit Plaintiff to question the
    witnesses in detail as to the destruction of the failed tire” and “to argue what-
    ever inference he urges should be drawn due to the absence of the failed tire.”
    Van Winkle could present only circumstantial evidence to show bad
    faith: (1) Prime’s destruction of the failed tire, knowing that litigation was
    likely; (2) Prime’s failure to maintain records regarding its remanufactured
    tires; (3) Prime’s admission (later withdrawn) that it received a letter of rep-
    resentation from Van Winkle’s counsel 10 days before the tire was destroyed;
    (4) Prime’s withholding of claims notes, made on the day of the crash and 10
    days later, as alleged work product; and (5) Prime’s “deceptive discovery
    tactics, including attempting to hide the identity of the manufacturer of the
    [t]ire for over two years.”
    Van Winkle does not elaborate on the last two arguments. He does
    not explain how defense counsel’s assertion of a privilege more than a year
    after the disposal of the tire tends to show that the tire was thrown away be-
    cause Prime knew it was defective. Likewise, Van Winkle neither provides
    record cites for, nor elaborates on, his assertion that Prime engaged in “de-
    ceptive discovery tactics.” Accordingly, we find these contentions to be im-
    properly briefed and focus instead on his first three arguments for bad faith.
    See Crose v. Humana Ins. Co., 
    823 F.3d 344
    , 351 n.5 (5th Cir. 2016).
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    “A party’s duty to preserve evidence comes into being when the party
    has notice that the evidence is relevant to the litigation or should have known
    that the evidence may be relevant.” Guzman, 
    804 F.3d at 713
    . On the day of
    the accident, Rogers advised Prime that the tractor-trailer “blew” a tire and
    Van Winkle’s vehicle was hit by debris from the tire failure, that Van Winkle
    was injured, that emergency crews were on the way and law enforcement had
    arrived, and that Van Winkle had been taken to the hospital and his car was
    “severely damaged” and towed from the scene of the crash. We agree with
    the district court that this notice was enough to create the obligation to retain
    the tire.
    Van Winkle also argues Prime had actual notice that he had retained
    an attorney before the tire was destroyed, and that disposing of the tire with
    such notice is bad faith. Prime disputes this. Van Winkle relies on a letter
    from his counsel dated March 8, 2018, addressed to Prime’s claims manager,
    Kevin French, and sent by e-mail. According to Prime, its counsel initially
    took the letter at face value and admitted in discovery responses that this let-
    ter had been received. French’s deposition, though, French testified that
    both the e-mail address and the physical address for the letter were incorrect
    and that he never received the email or the letter. The email server for Van
    Winkle’s counsel reflected that the e-mail transmitting the letter had not
    been delivered. Given these facts, Defendants moved for leave to withdraw
    their admission that they received the letter. The trial court granted the mo-
    tion to withdraw. There was no error in allowing the withdrawal, as there is
    no evidence that counsel’s letter was received by Prime before the tire rem-
    nants were discarded. Nonetheless, as we already explained, the district
    court determined Prime was on notice from the events at the time of the ac-
    cident that the tire would likely be relevant to a claim by the injured driver.
    Prime, of course, failed to retain the tire. Following the crash, the tire
    scraps were loaded onto Prime’s truck at the accident scene. They were
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    discarded some time after the truck reached Prime’s Salt Lake City facility,
    40 days and 1,600 miles later. There is no bad faith in the destruction of
    evidence if, “at the time [the alleged spoliator] disposed of this potential ev-
    idence, it was unaware that it might be relevant to [the plaintiff’s] claims.”
    King v. Ill. Cent. R.R., 
    337 F.3d 550
    , 556 (5th Cir. 2003). Alternatively, a
    moving party “would have . . . a stronger argument for spoliation [if she
    could] prove that the [evidence was] destroyed after [the spoliator] had no-
    tice of their relevance to her claim.” Russell v. Univ. of Tex. of Permian Basin,
    
    234 F. App’x 195
    , 208 (5th Cir. 2007). When Prime disposed of the tire, it
    was fully aware of the relevance of the tire to a potential claim.
    Prime has no evidence of what actually happened to the remnants of
    the tire. It proposes that, likely, a Prime employee discarded or sold the tire
    scraps when the truck reached Salt Lake City. A Prime representative, des-
    ignated under Federal Rule of Civil Procedure 30(b)(6), was deposed and
    stated it was a customary practice to dispose of a tire that had reached the
    end of its useful life and that the blown-out tire was unusable. Defendants
    insist that bad faith is not established merely through loss of evidence in the
    ordinary course of business or through the defendant’s adherence to stand-
    ard operating procedures in destroying the evidence. See Vick v. Tex. Emp’t
    Comm’n, 
    514 F.2d 734
    , 737 (5th Cir. 1975); Coastal Bridge Co. v. Heatec, Inc.,
    
    833 F. App’x 565
    , 573–74 (5th Cir. 2020).
    We already mentioned that there is no direct evidence of what hap-
    pened to this tire following the crash. During oral arguments, Defendants’
    counsel could not explain why the tire was transported to Prime’s Salt Lake
    City facility. Counsel would not state why Prime would have had the tire
    remnants retrieved from the side of the road following the blowout, though
    he acknowledged that “a conceivable purpose” for removing the tire was to
    preserve it. Prime’s corporate counsel, designated under Rule 30(b)(6), tes-
    tified during a deposition that, although Prime does not have a written policy
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    to preserve its equipment that causes an injury, “[i]f [Prime] think[s] it’s go-
    ing to be part of litigation, yes, we do our best to preserve it.” In contrast,
    Prime’s appellate counsel during oral arguments stated that Prime has no
    policy governing situations where, like here, a Prime tire is involved in an
    accident. Instead, preservation is “a case-by-case” determination. Counsel
    also stated that Prime did not have the equivalent of a designated storage area
    at its facility in Salt Lake City in which such damaged tires are kept. All of
    this is simply an assertion by Prime that it has no actual knowledge of what
    happened to the tire and an admission that it has no formal preservation or
    retention policies.
    Defendants rely on two of our prior opinions in which we found that
    companies’ adherence to standard operating procedures shielded them from
    an adverse inference of spoliation. See Vick, 514 F.2d at 737; Schreane v. Bee-
    mon, 
    575 F. App’x 486
    , 490–91 (5th Cir. 2014). We find both cases to be
    distinguishable.
    In the opinion that is precedential, we found no evidence of bad faith
    when the records the plaintiff sought were destroyed pursuant to the defend-
    ant’s regulations governing disposal of inactive records. Vick, 514 F.2d at
    737. “There was indication here that the records were destroyed under rou-
    tine procedures without bad faith and well in advance of [the plaintiff’s] ser-
    vice of interrogatories.” Id. We explained that “[m]ere negligence is not
    enough, for it does not sustain an inference of consciousness of a weak
    case.” Id. (quoting MCCORMICK, EVIDENCE § 273 at 660–61 (1972)).
    Quite differently, Prime was on notice that parts of the tire — the most
    crucial piece of evidence to a potential lawsuit — caused an accident. Why
    the tire separated was a fact question that would need answering, and Prime
    was on notice of the need from the accident itself and the injuries to Van
    Winkle. The disappearance of the tire remnants did not occur long after the
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    accident; the relevance of the tire was known. Prime speculates that the tire
    remnants were accidentally sold or destroyed pursuant to its ordinary course
    of business, though the company knew the evidence should be preserved.
    We disagree with the district court that this shows only negligence.
    The need for the material from the tire to be preserved was critical. There
    was evidence that Prime had its own recapping operation on or near the Salt
    Lake Facility, and those tires were used on Prime’s tractor-trailers. The fail-
    ure of a company in the business both of recapping tires and then using them
    on its vehicles to have policies in place to preserve evidence such as this, and
    its inability to produce any actual evidence of what happened to the tire, cre-
    ates a fact question on bad faith. See Rimkus Consulting Grp., Inc. v. Cam-
    marata, 
    688 F. Supp. 2d 598
    , 620, 643–44 (S.D. Tex. 2010) (finding the evi-
    dence created a fact question for the jury on bad faith when “[t]he defend-
    ants’ proffered reasons and explanations for [destroying the evidence] are in-
    consistent and lack record support”).
    In the second opinion, which is non-precedential, there was no dispute
    that the prison surveillance videotape the plaintiff sought was erased.
    Schreane, 575 F. App’x at 490. The government presented an affidavit from
    an electronics technician at the prison who explained the prison’s policy. Id.
    The relevant cameras automatically recorded over surveillance video after 15
    to 30 days unless a prison official identified specific footage relating to an in-
    cident warranting investigation. Id. at 489–90. Additionally, the court found
    there was no evidence that any prison official viewed the video footage before
    the cameras automatically erased it. Id. at 491. There was no knowledge on
    the part of the prison authorities that the video was needed until after the
    erasures. Id. Prison officials preserved and produced the recording of the
    few minutes of the assault being investigated, but not the time leading up to
    it. Id. at 489–90. Conversely, here, Prime preserved and produced nothing.
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    Another of our cases, cited by neither party on appeal, is likewise dis-
    tinguishable. See King, 
    337 F.3d at 556
    . In that case, we found no evidence
    of bad faith when, at the time the defendant disposed of potential evidence,
    “it was unaware that it might be relevant to [the plaintiff’s] claims.” 
    Id.
     The
    plaintiff did not notify the defendant that the evidence sought, a railroad sig-
    nal at a crossing, malfunctioned at the time of the accident, nor did the plain-
    tiff request access to the defendant’s records or the signal. 
    Id.
     It was not
    until nearly three years after the destruction of the signal that the plaintiff
    first informed the defendant that he was seeking recovery based on the al-
    leged signal malfunction. 
    Id.
     Further, the defendant “presented evidence
    showing that it disposed of the documents and the signal for innocuous rea-
    sons.” 
    Id.
     The records were maintained for one year pursuant to a federal
    regulation and then “destroyed as a part of routine file maintenance.” 
    Id.
    The signal was destroyed several months after the accident when the defend-
    ant, as part of an overall system upgrade, installed a new signal and sold the
    old one as scrap. 
    Id.
    In contrast, Prime asserts that it likely destroyed the tire scraps six
    weeks after the accident, though it had been immediately notified that the tire
    would be at the center of any litigation stemming from the accident. Moreo-
    ver, unlike the defendant in King, Prime has no actual knowledge of what
    happened to the tire scraps.
    We agree with another circuit court, in the context of spoliation, that
    “bad faith is a question of fact like any other.” Bracey v. Grondin, 
    712 F.3d 1012
    , 1019 (7th Cir. 2013) (quotation marks and citation omitted). If a genu-
    ine dispute of material fact exists as to bad faith, a jury should make that de-
    termination. One circuit court agreed with giving the issue of bad faith to
    jurors:
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    We conclude that the district court acted within its discretion
    in permitting the jury to draw an adverse inference if it found
    that [the spoliator] caused destruction or loss of relevant evi-
    dence. Rather than deciding the spoliation issue itself, the dis-
    trict court provided the jury with appropriate guidelines for
    evaluating the evidence.
    Vodusek v. Bayliner Marine Corp., 
    71 F.3d 148
    , 157 (4th Cir. 1995). Another
    circuit court found no error when the district court issued a permissive ad-
    verse inference jury instruction to allow the jury to resolve the genuine dis-
    putes of material fact concerning spoliation. GN Netcom, Inc. v. Plantronics,
    Inc., 
    930 F.3d 76
    , 81–85 (3d Cir. 2019).
    Courts in this circuit have sent such fact questions to the jury before.
    For instance, a panel of this court affirmed a district court’s adverse infer-
    ence jury instruction, permitting jurors to determine bad faith. See Union
    Pump Co. v. Centrifugal Tech. Inc., 
    404 F. App’x 899
    , 906 & n.4 (5th Cir.
    2010). The instructions there allowed an inference that the destroyed evi-
    dence would have been detrimental to the defendants’ case if jurors “deter-
    mined that the evidence was in the control of the defendants, that they had
    an obligation to preserve it, that the destroyed evidence was relevant to the
    litigation, and that the evidence was destroyed intentionally and in bad
    faith.” 
    Id.
     at 903–04. The district court there declined to rule on the plain-
    tiff’s motions for sanctions, for an adverse inference instruction, and for sum-
    mary judgment with respect to its spoliation claims. Id. at 903. Instead, the
    district court “decided that evidence regarding spoliation can be presented
    to, and the issue will be decided by, the jury. The issue of sanctions shall be
    addressed by the Court after the jury returns its verdict.” Id. (quotation
    marks and alterations omitted). This court did not disturb those procedures.
    Id. at 904-07.
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    Likewise, we have cited with approval a district court’s decision to
    give “both parties the freedom to put forward evidence about document de-
    struction” and to defer a decision on whether a spoliation instruction is war-
    ranted until the close of trial. See BCE Emergis Corp. v. Cmty. Health Sols. of
    Am., Inc., 
    148 F. App’x 204
    , 219 (5th Cir. 2005).1
    Turning to this case, we find there is sufficient circumstantial evi-
    dence to create a genuine dispute of material fact as to whether Defendants
    destroyed the tire in bad faith. Plaintiff should be permitted a jury instruction
    that if jurors find bad faith, they may infer that the destroyed evidence would
    have been adverse to Prime’s defense in this suit.
    Our holding, that bad faith in this case is a fact question that should be
    sent to the jury upon a showing of a genuine dispute, does not indicate that
    district courts should freely give such an issue to the jury. We emphasize that
    the need to do so here stems from the following circumstantial evidence:
    Prime destroyed the most crucial piece of evidence just weeks after learning
    that its tire may have caused a car accident; Prime cannot explain why it
    transported the tire to its Salt Lake facility or what happened to the tire fol-
    lowing the accident; and Prime cannot demonstrate it had any formal preser-
    vation or retention policy for its equipment, like tires, that may have caused
    an injury. These circumstances create a fact question on bad faith, necessi-
    tating a jury determination.
    1
    Other district courts in the Fifth Circuit also have permitted similar adverse
    inference jury instructions when the evidence generated a fact question on a spoliator’s bad
    faith. See, e.g., Cornejo v. EMJB, Inc., No. SA-19-CV-01265-ESC, 
    2021 WL 4526703
    , at *5
    (W.D. Tex. Oct. 4, 2021) (“Although the Court agrees that there is no direct evidence
    establishing [the spoliator’s] bad faith, a jury could nonetheless infer some degree of
    culpability based on several pieces of circumstantial evidence.”); Rimkus, 
    688 F. Supp. 2d at 620
    , 643–44.
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    The district court abused its discretion in denying Van Winkle’s mo-
    tion for sanctions for spoliation.
    As a result of our holding, we will remand to the district court. That
    impacts several of the issues that have been raised. We address only those
    that might still have relevance on remand.
    II.    Van Winkle’s expert
    Federal Rule of Evidence 702 provides the following:
    A witness who is qualified as an expert by knowledge, skill, ex-
    perience, training, or education may testify in the form of an
    opinion or otherwise if: (a) the expert’s scientific, technical, or
    other specialized knowledge will help the trier of fact to under-
    stand the evidence or to determine a fact in issue; (b) the testi-
    mony is based on sufficient facts or data; (c) the testimony is
    the product of reliable principles and methods; and (d) the ex-
    pert has reliably applied the principles and methods to the facts
    of the case.
    Experience alone can provide a sufficient foundation for expert testi-
    mony. FED. R. EVID. 702, Advisory Committee Notes on 2000 Amend-
    ments. “Rule 702 does not mandate that an expert be highly qualified in or-
    der to testify about a given issue. Differences in expertise bear chiefly on the
    weight to be assigned to the testimony by the trier of fact, not its admissibil-
    ity.” Huss v. Gayden, 
    571 F.3d 442
    , 452 (5th Cir. 2009).
    Van Winkle argues the district court abused its discretion in limiting
    the testimony of his commercial trucking and safety expert, Roger Allen. Van
    Winkle insists Allen is qualified to testify concerning the issues in this case.
    Allen testified that his opinion was based on his 62 years of hands-on experi-
    ence in the trucking business, “not counting that I’ve been around trucks all
    my life.” The district court noted: (1) “Allen is qualified to offer expert opin-
    ions under Rule 702 with respect to the applicable safety regulations and
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    practices governing the commercial trucking industry”; (2) Allen has exten-
    sive experience driving all types of gasoline and diesel engine trucks, tractors,
    trailers and buses; (3) Allen has “extensive experience in the commercial
    trucking industry, including safety regulations and practices”; and (4)
    “courts have accepted Allen as an expert in commercial trucking safety
    standards and practices in similar cases.” Van Winkle contends the district
    court improperly focused on Allen’s “little experience or specialized
    knowledge with respect to tire retreading or tire failures.”
    The district court held Allen did not have the expertise to offer opin-
    ions on the key liability issues in this case. These are the issues: (1) “the
    mechanics or cause of the tire failure”; (2) “the tire retreading process”; (3)
    “the normal life expectancy of the tire”; (4) “the extent to which that tire
    failure resulted from a defect in the tire”; and (5) whether “a manufacturing
    defect caused the [tire] failure.”2 The court accordingly excluded his opin-
    ions on defect and causation. The district court quoted Allen’s testimony as
    to his lack of qualification regarding tire manufacturing, tire retreading, tire
    failures, and accident reconstruction:
    Q:      Have you ever worked for a tire manufacturer?
    A:      No, sir, I have not.
    Q:      Have you ever worked for a company that manufactures
    retreaded or recapped tires?
    A:      No, sir.
    Q:      Have you ever consulted with a company that recaps or
    retreads tires?
    A:      No, sir.
    ***
    2
    The district court held Allen would be permitted to give the following opinions:
    (1) general background testimony on federal regulations; (2) quoting and referring to
    relevant safety regulations; (3) general (non-regulatory) industry safety standards and
    practices; and (4) whether Defendants complied with industry standards and practices.
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    Q:     Do you have any educational background in the manu-
    facturing of tires?
    A:     No, sir.
    ***
    Q:     Have you ever been involved in the process of retread-
    ing or recapping a tire?
    A:     I already answered that. No, sir.
    ***
    Q:     Have you ever been involved in the manufacturing of a
    tire?
    A:     Already answered that. No, sir.
    ***
    Q:     Have you published any materials as it relates to the re-
    treading and recapping of tires?
    A:     No, sir. I am in the trucking business, not the retreading
    — but I want to know, every time I had a blowout, why
    it happened so I can make sure it didn’t happen again,
    sir.
    Q:     Have you ever presented on the topic of retreading and
    recapping tires?
    A:     I’m not qualified to do that, sir. I am qualified to know
    what tires look like and the condition they’re required
    to be kept in to be safe for myself and everybody around
    me, sir.
    Allen himself admitted his lack of qualification and expertise. Accord-
    ingly, Van Winkle has not shown the district court abused its discretion in
    limiting Allen’s expert testimony. Of course, our holding that a factual issue
    of bad faith is for the jury creates a possible source of evidence favorable to
    Van Winkle’s claims. Whether a different expert, or different expertise, is
    properly offered as to that evidence is for the district court to determine
    should the need to do so arise.
    15
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    No. 22-30638
    III.   Defendants’ motion for summary judgment
    Summary judgment is appropriate only if the movant shows that
    “there is no genuine dispute as to any material fact and the movant is entitled
    to judgment as a matter of law.” FED. R. CIV. P. 56(a). In deciding whether
    a fact issue has been created, “the inferences to be drawn from the evidence
    must be viewed in the light most favorable to the nonmoving party.” Terre-
    bonne Parish Sch. Bd. v. Columbia Gulf Transmission Co., 
    290 F.3d 303
    , 310
    (5th Cir. 2002). “Credibility determinations, the weighing of the evidence,
    and the drawing of legitimate inferences from the facts are jury functions, not
    those of a judge.” Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 255 (1986).
    The district court stated three independent grounds for granting De-
    fendants’ motion for summary judgment. We discuss all three.
    First, the district court determined Van Winkle forfeited his negli-
    gence claims because his opposition to summary judgment did not address
    those claims on the merits. Van Winkle’s opposition made no effort to show
    that Rogers as driver of the tractor-trailer or Prime had knowledge of an un-
    reasonably dangerous condition in the tire as required by Article 2317.1 of the
    Louisiana Civil Code. Instead, Van Winkle’s opposition to the motion cited
    evidence that the tire had been thoroughly and properly inspected by Rogers
    for signs of damage, proper inflation, proper alignment, and sufficient tread.
    According to Van Winkle, the only reasonable explanation was a manufactur-
    ing defect. The district court found that the opposition effectively aban-
    doned any negligence claims and attempted to transform the case into a man-
    ufacturing defect claim under the Louisiana Products Liability Act
    (“LPLA”), LA R.S. 9:2800.51, et seq. Van Winkle does not appear to chal-
    lenge this finding on appeal; instead, he explains why a valid LPLA claim ex-
    ists.
    16
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    No. 22-30638
    Our allowing the issue of bad faith to go to jurors potentially changes
    the evidentiary foundation for the claims. Issues of causation will need to be
    addressed anew on remand.
    Second, the district court found that Van Winkle’s Amended Com-
    plaint failed to plead a manufacturing defect claim under the LPLA. Under
    the LPLA, a product may be deemed “unreasonably dangerous” in one of
    four ways: construction or composition, design, inadequate warning, or non-
    conformity with an express warranty. LA R.S. 9:2800.54(B). The plaintiff
    can prove a construction defect by showing that, at the time it left its manu-
    facturer’s control, the defendant’s “product deviated in a material way from
    the manufacturer’s specifications or performance standards for the product”
    or “deviated in a material way from . . . otherwise identical products manu-
    factured by the same manufacturer.” LA R.S. 9:2800.55.
    When Defendants filed their second motion for summary judgment
    after nearly three years of litigation, Van Winkle’s opposition expressly
    raised for the first time a manufacturing defect claim under the LPLA. The
    district court held the Amended Complaint did not plead an LPLA claim and
    refused to allow the untimely claim:
    The Court finds the foregoing statements are insufficient to
    give Defendants “fair notice of what the . . . claim is and the
    grounds upon which it rests.” Plaintiff does not include any
    allegations indicating that any defect in the failed tire existed at
    the time it left Prime’s control, or that the tire deviated from
    Prime’s normal specifications and performance standards, or
    from other identical tires manufactured by Prime. And while
    not necessarily dispositive, nowhere in the Complaint does
    Plaintiff use the term “products liability,” nor does he cite to
    the LPLA. Indeed, it is only by implication and reading the
    Complaint in the broadest possible manner that one can infer
    that Plaintiff is alleging Prime is a “manufacturer” under the
    LPLA. The Court therefore finds that the Complaint reflects
    17
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    No. 22-30638
    only the claims addressed in Defendants’ motion, and Plaintiff
    did not plead the claim he now asserts.
    We disagree. The Amended Complaint references a “defect,” the
    “manufacture[r]” of the tire, and the “unsafe or unreasonably dangerous”
    condition of the tire.3 The Amended Complaint thus uses the key legal lan-
    guage for each element of a manufacturing defect claim under the LPLA, put-
    ting Defendants on notice of a manufacturing defect claim. This is sufficient
    to satisfy the pleading requirements of Federal Rule of Civil Procedure 8,
    particularly as “it is unnecessary to set out a legal theory for the plaintiff’s
    claim for relief.” Johnson v. City of Shelby, Miss., 
    574 U.S. 10
    , 12 (2014) (quo-
    tation marks and citation omitted).
    Third, the district court found that, alternatively, even if it considered
    Van Winkle’s LPLA claim, summary judgment would still be proper. The
    district court reasoned that Van Winkle introduced no evidence as to the
    tire’s specifications or how the tire supposedly deviated from them, or how
    that deviation supposedly created an unreasonably dangerous condition that
    caused the tire to fail. See LA R.S. 9:5800.55.
    We see the potential for a different evidentiary dynamic on remand
    because a fact issue exists as to whether Defendants disposed of the tire in
    bad faith. If the trier of fact finds a bad faith motive, Van Winkle is entitled
    to an adverse inference that Defendants destroyed the tire because they knew
    3
    Van Winkle alleged that: (1) “the tire failed when the tread of the tire completely
    separated from the tire core or casing”; (2) Prime “failed to exercise reasonable care in the
    manufacture, inspection, maintenance, and repair” of the tractor-trailer and the tire; (3)
    “the condition of [the] retreaded tire was unsafe or unreasonably dangerous”; (4) the tire
    was “an unreasonably dangerous thing” containing a “defect which caused Plaintiff’s
    damages”; (5) the tire “had not been properly manufactured and maintained before the
    ‘blow out’”; and (6) the tire “was unsafe, had an unreasonably safe condition and/or was not
    fit for its intended purpose.” In his Amended Complaint, Van Winkle repeatedly alleged
    that Defendants were liable for the improper “manufacture” of the tire.
    18
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    No. 22-30638
    it was unfavorable to them. The possibility of such an inference makes it im-
    possible to determine the validity of the district court’s alternative decision
    for granting summary judgment. “[A]n inference of spoliation, in combina-
    tion with some (not insubstantial) evidence for the plaintiff’s cause of action,
    can allow the plaintiff to survive summary judgment.” Whitt, 
    529 F.3d at 285
    .
    We reverse the district court’s grant of summary judgment.
    IV.       Van Winkle’s motion for partial summary judgment
    Van Winkle sought summary judgment on two affirmative defenses by
    Defendants, those of third-party fault and sudden emergency. The district
    court denied Van Winkle’s motion, citing Rogers’s testimony that the blow-
    out occurred when he hit a “pretty good sizable bump” in the road.
    We first consider the affirmative defense of third-party fault. For the
    custodian of a highway, such as the State of Louisiana, to be held liable for
    third-party fault, Defendants must prove that (1) the State had custody of the
    thing which caused Van Winkle’s damages, (2) the thing was defective be-
    cause it had a condition which created an unreasonable risk of harm, (3) the
    State had actual or constructive notice of the defect and failed to take correc-
    tive measures within a reasonable time, and (4) the defect was a cause-in-fact
    of Van Winkle’s injuries. See Boothe v. Dep’t of Transp. & Dev. & Par. of E.
    Baton Rouge, 
    285 So. 3d 451
    , 456–57 (La. 2019).
    As the district court noted, “no evidence has been presented to the
    Court by Defendants that any third party or non-party knew or should have
    known about any defect in the roadway that caused the accident.” Thus,
    Defendants did not carry their burden on summary judgment of showing that
    the sole cause of the crash was the fault of any third party. The district court
    erred in holding otherwise. The court should have foreclosed use of that de-
    fense at trial.
    19
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    No. 22-30638
    Van Winkle does not explain, however, how the district court erred in
    denying summary judgment on Defendants’ other defense of sudden emer-
    gency or unforeseen act. He does not even recite the elements of the defense
    or cite any caselaw to support his general assertion that the district court
    erred. Thus, Van Winkle has abandoned this argument on appeal for failure
    to brief it. See Crose, 
    823 F.3d at
    351 n.5.
    We accordingly reverse the district court’s denial of Plaintiff’s motion
    for partial summary judgment as to Defendants’ affirmative defense of third-
    party fault. We do not disturb the district court’s judgment regarding De-
    fendants’ affirmative defense of sudden emergency.
    V.     Van Winkle’s motion to amend his prior motion in limine to exclude
    Defendants’ surveillance evidence
    Finally, Van Winkle appeals the district court’s denial of his motion
    to exclude video surveillance evidence. Defendants conducted the surveil-
    lance five months after the discovery deadline and did not disclose the video
    until seven months after the discovery deadline and one month before trial.
    As the district court ruled, though, the parties agreed to the timing of this
    disclosure by opting into the procedures of the Lafayette Division of the
    Western District. The district court concluded, “[t]he parties in this matter
    ‘agree[d] to opt into the former procedure for surveillance evidence’” and,
    “[t]herefore, Defendants were not required to disclose surveillance evidence
    prior to the discovery deadline set forth in the governing scheduling order.”
    The district court’s former procedure for surveillance evidence per-
    mits the disclosure of surveillance evidence “21 days before [the] pretrial
    conference.” Van Winkle asserts these procedures “conflict[] with this
    court’s holding that surveillance is substantive, not impeachment, evi-
    dence,” citing Chiasson v. Zapata Gulf Marine Corp., 
    988 F.2d 513
    , 517 (5th
    Cir. 1993). The Chiasson court, however, held that the particular surveillance
    20
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    No. 22-30638
    in that case was substantive rather than impeachment evidence, not that all
    surveillance is substantive evidence. 
    Id.
     at 517–18. Van Winkle offers no ex-
    planation as to how Defendants’ surveillance is substantive evidence. More
    importantly, in Chiasson, the court took issue with the fact that the surveil-
    lance was not disclosed until trial was underway and that the district court
    did not allow the plaintiff to view the surveillance videotape before it was
    played to the jury. 
    Id. at 514, 517
    . In contrast, Defendants here disclosed the
    surveillance a month before trial, so Van Winkle had notice. Accordingly,
    Chiasson does not assist Van Winkle. The district court did not abuse its dis-
    cretion in rejecting his argument that the surveillance was untimely.
    Van Winkle’s second argument has merit. The district court’s one-
    paragraph order did not analyze his alternative argument that the surveillance
    footage was unfairly prejudicial and misleading under Federal Rule of Evi-
    dence 403. Van Winkle avers the district court’s ruling unfairly prevents him
    from challenging the substance of the surveillance evidence before trial under
    Rule 403. We agree and remand for the district court to conduct the Rule
    403 analysis.
    Judgment for Defendants is REVERSED and REMANDED in
    part and AFFIRMED in part.
    21
    

Document Info

Docket Number: 22-30638

Filed Date: 9/15/2023

Precedential Status: Precedential

Modified Date: 9/16/2023