Jeffery Kopplin v. Wisconsin Central Limited ( 2019 )


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  •                                 In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________________
    No. 17-3602
    JEFFERY A. KOPPLIN,
    Plaintiff-Appellant,
    v.
    WISCONSIN CENTRAL LIMITED,
    d/b/a CN,
    Defendant-Appellee.
    ____________________
    Appeal from the United States District Court
    for the Eastern District of Wisconsin.
    No. 16-cv-588 — Pamela Pepper, Judge.
    ____________________
    ARGUED SEPTEMBER 18, 2018 — DECIDED FEBRUARY 1, 2019
    ____________________
    Before SYKES, BARRETT, and ST. EVE, Circuit Judges.
    SYKES, Circuit Judge. Jeffery Kopplin brought two claims
    against the Wisconsin Central railroad under the Federal
    Employers’ Liability Act (“FELA”), 
    45 U.S.C. §§ 51
     et seq.
    Both rest on the same allegation: that Kopplin injured his
    elbow in an effort to operate a broken railroad switch while
    employed by Wisconsin Central. The district court entered
    summary judgment for the railroad in part because Kopplin
    2                                                 No. 17-3602
    could not prove that the broken switch caused his injury.
    While the parties raise several other questions, that alone is
    sufficient to affirm.
    I. Background
    Prior to his injury, Kopplin worked for Wisconsin
    Central as a train conductor. On January 24, 2014, he pulled
    a train into the Fond du Lac yard. To bring the train onto the
    correct track, Kopplin had to get out and “throw” a switch,
    which involves pulling a handle to correctly align the tracks.
    The weather that morning was severe, with below-freezing
    temperatures and 20- to 30-mile-per-hour winds. As a result
    ice and snow had built up inside the switch’s mechanisms.
    Kopplin tried to remove the ice and snow with a simple
    broom—the only tool Wisconsin Central had provided—but
    after straining himself for several minutes, the switch would
    not budge.
    Kopplin claims that this effort was the initial cause of a
    long-term elbow disability, though the evidence is less than
    clear. A video of the incident shows no immediate signs of
    injury. And Kopplin never mentioned any pain symptoms to
    his coworkers until two hours later—time in which he
    continued to perform other physical tasks.
    After his physician diagnosed him with medial and lat-
    eral epicondylitis, Kopplin took time off work to receive
    treatment. Among other things, he received an effective
    pain-relief injection in February. By April the injury had
    fully healed. But in August the pain suddenly reemerged
    when Kopplin tried to drive a riding lawnmower one-
    handed while holding his son. After that his career as a
    conductor was effectively over.
    No. 17-3602                                                   3
    Kopplin then brought two related FELA claims against
    Wisconsin Central, both alleging that the railroad was
    responsible for the broken switch and the injury it allegedly
    caused. The first is a run-of-the-mill negligence claim. The
    second is a negligence per se claim premised on Wisconsin
    Central’s alleged failure to comply with 
    49 C.F.R. § 213.135
    ,
    the regulation that sets national standards for switches.
    Kopplin’s sole causation expert was Dr. Etienne Mejia, who
    testified by deposition that the pain-relief injection Kopplin
    received often provides only temporary relief, which could
    explain the pain’s reemergence. However, Dr. Mejia conced-
    ed that he never investigated whether something other than
    the January 24 incident could have caused the initial injury.
    In fact, he testified that he knew so little about Kopplin’s job
    that it would be mere speculation to say throwing a switch
    even could cause the elbow injury. Moreover, he admitted
    that he did not investigate whether Kopplin’s other physical
    activities—say, riding a lawnmower in a dangerous fash-
    ion—could have caused the renewed elbow problems in
    August.
    For two months after the deposition, Kopplin made no
    attempt to supplement Dr. Mejia’s testimony. But after
    Wisconsin Central moved for summary judgment, Kopplin
    attached to his response a new affidavit by Dr. Mejia. The
    contents of that affidavit were markedly different than the
    deposition testimony. Dr. Mejia definitively stated that the
    January 24 incident caused the elbow injury, explaining that
    the nature of the injury was so clear that there was no need
    to even consider other potential causes. In the end, Kopplin’s
    effort to bolster his causation evidence was in vain. The
    judge refused to consider the affidavit because it contradict-
    ed sworn deposition testimony. And without the affidavit,
    4                                                    No. 17-3602
    she found Dr. Mejia’s testimony unreliable under Daubert v.
    Merrell Dow Pharmaceuticals, Inc., 
    509 U.S. 579
     (1993). As a
    result, Kopplin had no causation evidence at all.
    The judge addressed several other questions, including
    the extent to which regulations promulgated under the
    Federal Railroad Safety Act define the standard of care for
    FELA actions and the extent to which 
    49 C.F.R. § 213.5
    (a)
    imposes a notice requirement for negligence per se claims.
    Because the failure to prove causation is fatal to both FELA
    claims, see Walden v. Ill. Cent. Gulf R.R., 
    975 F.2d 361
    , 364 (7th
    Cir. 1992), we need not reach those issues here.
    II. Discussion
    We review a summary judgment de novo, asking wheth-
    er the movant has shown “that there is no genuine dispute
    as to any material fact.” Hansen v. Fincantieri Marine Grp.,
    LLC, 
    763 F.3d 832
    , 836 (7th Cir. 2014) (quotation marks
    omitted). We review the exclusion of the affidavit “for abuse
    of discretion, giving the trial judge much deference.” Buckner
    v. Sam's Club, Inc., 
    75 F.3d 290
    , 292 (7th Cir. 1996). Finally,
    “we review de novo a district court’s application of the
    Daubert framework. If the district court properly adhered to
    the Daubert framework, then we review its decision to
    exclude (or not to exclude) expert testimony for abuse of
    discretion.” C.W. ex rel. Wood v. Textron, Inc., 
    807 F.3d 827
    ,
    835 (7th Cir. 2015) (citations omitted).
    We start with the admissibility of Dr. Mejia’s affidavit.
    As the judge explained, a party may not “create an issue of
    fact by submitting an affidavit whose conclusions contradict
    prior deposition or other sworn testimony.” Buckner, 
    75 F.3d at 292
    . The affidavit here contradicts Dr. Mejia’s testimony in
    No. 17-3602                                                       5
    at least two ways. First, Dr. Mejia was asked at his deposi-
    tion whether “there could be other various causes of this
    type of condition” besides the January 24 incident. He
    answered unequivocally, “Yes.” But then in his affidavit,
    Dr. Mejia wrote that there was no need to consider other
    causes because “[t]he etiology and diagnosis [were] clear”
    that “the patient suffered from left traumatic medial epicon-
    dylitis as a result of the injury of January 24, 2014.” That
    clearly contradicts his original statement that other causes
    could be at play.
    Second, Dr. Mejia was asked at his deposition whether
    throwing a switch “seem[ed] like the kind of activity that
    could lead to the tendinosis,” and he answered, “It would be
    speculation on my part … .” That admission is squarely at
    odds with his affidavit’s definitive conclusion that Kopplin
    injured his elbow throwing the switch. See 
    id. at 293
     (exclud-
    ing a supplemental affidavit’s detailed description of a fact
    when the affiant had disclaimed knowledge of that same fact
    at her deposition).
    To be sure, we have carved out several exceptions to the
    general rule barring contradictory supplemental affidavits.
    None apply here. For instance, we’ve said that a party may
    offer an affidavit in response to a summary-judgment mo-
    tion “to clarify ambiguous or confusing testimony.” Bank of
    Ill. v. Allied Signal Safety Restraint Sys., 
    75 F.3d 1162
    , 1171 (7th
    Cir. 1996). Yet nothing about Dr. Mejia’s deposition testimo-
    ny was ambiguous or confusing: without qualification, he
    said that other factors could have caused this condition.
    Similarly, while we have held that an affidavit may contra-
    dict sworn deposition testimony if “it is based on newly
    discovered evidence,” 
    id. at 1172
    , even Kopplin concedes
    6                                                 No. 17-3602
    that Dr. Mejia received all of the materials supporting his
    affidavit before his deposition. Finally, a new affidavit may
    be appropriate if the earlier testimony was “the result of a
    memory lapse.” Cook v. O’Neill, 
    803 F.3d 296
    , 298 (7th Cir.
    2015). Kopplin argues that this exception applies because
    Dr. Mejia did not have the full medical record at his finger-
    tips during the deposition itself. But nothing in Dr. Mejia’s
    responses indicates that he was struggling to recall what
    those records said. To the contrary, his responses were direct
    and honest admissions that he never considered certain
    issues at all.
    Even if the affidavit were perfectly consistent with
    Dr. Mejia’s prior statements, a larger problem remains. In
    essence the affidavit sets forth a brand new expert opinion
    on a topic beyond the scope of anything in Dr. Mejia’s prior
    disclosures. In his original expert report, Dr. Mejia discussed
    Kopplin’s treatment history and prognosis but never ex-
    plained how the switch actually caused the disability. The
    issue surfaced for the first time—at least to any meaningful
    degree—in the affidavit itself. By then, the time had long
    passed to disclose a new report on a previously unexplored
    topic: Kopplin attached it as an exhibit to his summary-
    judgment response on June 27, 2017, months after the district
    court’s December 30, 2016 deadline for Kopplin’s expert
    reports. See FED. R. CIV. P. 26(a)(2)(D) (“A party must make
    [expert] disclosures at the time and in the sequence that the
    court orders.”).
    Without the affidavit the Daubert analysis is relatively
    straightforward. Under Daubert the court considers “wheth-
    er the expert is proposing to testify to (1) scientific
    knowledge that (2) will assist the trier of fact to understand
    No. 17-3602                                                   7
    or determine a fact in issue.” 
    509 U.S. at 592
    . The ultimate
    question is whether the expert’s approach is scientifically
    valid, which requires a careful examination of its “eviden-
    tiary relevance and reliability.” 
    Id.
     at 594–95. The focus is on
    the expert’s methodology, not his ultimate conclusions. See
    
    id. at 595
    .
    Both relevance and reliability are problems here. As to
    reliability, the judge identified a number of causation ques-
    tions that Dr. Mejia conceded he never considered. Each
    concession significantly undermined the validity of his
    methods. The most troubling were his admissions that he
    never considered whether factors other than the switch
    could have caused the initial injury in January, nor whether
    other factors could have caused the renewed symptoms in
    August. The judge found this unacceptable, and that was not
    an abuse of discretion. See Brown v. Burlington N. Santa Fe Ry.
    Co., 
    765 F.3d 765
    , 773–74 (7th Cir. 2014) (faulting an expert’s
    differential etiology not just for failing to “rule in” the
    alleged cause but also for failing to “rule out” other potential
    causes).
    As to relevance, only one of the opinions Dr. Mejia gave
    at his deposition is even probative of causation: his testimo-
    ny that the pain may have resurfaced in August because the
    pain-relief injection Kopplin received often wears off. That
    is, Dr. Mejia had one theory for how the January injury
    could have had long-term effects. Even that is a partial
    theory because he admitted that he did not know whether
    throwing the switch could have caused the January injury in
    the first place. He testified that it would be “speculation” to
    say one way or another. Because Dr. Mejia’s opinion is only
    8                                                   No. 17-3602
    marginally relevant, there is little reason to think that his
    testimony would be helpful to the trier of fact.
    Kopplin has two final objections. First, he argues that
    even without the affidavit and despite all the problems with
    Dr. Mejia’s deposition testimony, he should prevail because
    the injury’s origin is obvious. It is true that we do not require
    expert testimony when causation is so clear that “a layper-
    son can understand what caused the injury.” Myers v. Ill.
    Cent. R.R. Co., 
    629 F.3d 639
    , 643 (7th Cir. 2010). For example,
    a pedestrian hit by a truck would generally not need an
    expert to prove the cause of his broken leg. See 
    id.
     But this
    case is much different. There are several steps between
    Kopplin’s effort to fix the switch and his long-term disabil-
    ity, and none is clear. For instance, take the fact that the
    injury resurfaced when Kopplin attempted to hold his son
    while riding a lawnmower. To put it mildly, we are skeptical
    that the average layperson knows whether operating heavy
    machinery one-handed can contribute to medial and lateral
    epicondylitis. And because it would not be obvious to a
    layperson, expert testimony was indeed necessary.
    Second, Kopplin insists that his claims should survive
    because Wisconsin Central’s expert Dr. Jan Bax noted in a
    report that “Mr. Kopplin sustained a work-related strain to
    his left-elbow on January 14.” But that one stray line does
    very little work. To start, the report never says that the
    broken switch caused the injury. It says only that the injury
    was “work-related,” which could refer to a number of
    different things. The report also oddly says the injury began
    on January 14, ten days before Kopplin operated the broken
    switch. Moreover, Dr. Bax faces many of the same problems
    as Dr. Mejia—namely, that there is no evidence he consid-
    No. 17-3602                                                9
    ered whether other factors may have caused the injury. In
    fact, there is no evidence at all that Dr. Bax’s testimony
    would have been admissible under Daubert. Perhaps the
    greatest flaw is that he never said a word about the
    reemergence of the injury in August. One way or another,
    Kopplin still needs admissible expert testimony that the
    January 24 incident caused a long-term disability. That
    report is not it.
    As mentioned, causation is a necessary element of every
    FELA claim. See Walden, 
    975 F.2d at 364
    . So Kopplin’s failure
    to present reliable expert testimony on that issue is fatal.
    AFFIRMED.