Washington v. Board of Regents of NMSU ( 2022 )


Menu:
  • This decision of the New Mexico Court of Appeals was not selected for publication in
    the New Mexico Appellate Reports. Refer to Rule 12-405 NMRA for restrictions on the
    citation of unpublished decisions. Electronic decisions may contain computer-
    generated errors or other deviations from the official version filed by the Court of
    Appeals.
    IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO
    No. A-1-CA-37913
    MILES WASHINGTON,
    Plaintiff-Appellant,
    v.
    BOARD OF REGENTS OF NEW MEXICO
    STATE UNIVERSITY, in its capacity as the
    Body Corporate for NEW MEXICO STATE
    UNIVERSITY; JOHN DOES 1 through 50,
    inclusive; NATIONAL COLLEGIATE
    ATHLETIC ASSOCIATION; and JOHN
    DOES 51 through 100, inclusive,
    Defendants-Appellees.
    APPEAL FROM THE DISTRICT COURT OF DOÑA ANA COUNTY
    James T. Martin, District Judge
    Bowles Law Firm
    Jason Bowles
    Albuquerque, NM
    Blum Collins, LLP
    Steven A. Blum
    Los Angeles, CA
    for Appellant
    Modrall Sperling
    R.E. Thompson
    Albuquerque, NM
    Bryan Cave Leighton Paisner LLP
    Philip Bartz
    Washington, DC
    Meridyth M. Andresen
    Jessica R. Maziarz
    Phoenix, AZ
    for Appellee National Collegiate Athletic Association
    Wilson Elser Moskowitz Edelman & Dicker LLP
    Scott D. Sweeney
    Denver, CO
    for Amicus Curiae Pop Warner Little Scholars
    Geiger Law Firm, LLC
    Mark P. Geiger
    Albuquerque, NM
    for Amicus Curiae New Mexico Activities Association
    MEMORANDUM OPINION
    IVES, Judge.
    {1}     Plaintiff Miles Washington appeals the district court’s dismissal of his complaint
    against Defendant National Collegiate Athletic Association (the NCAA) with prejudice as
    a sanction, pursuant to Rule 1-041(B) NMRA and Rule 1-037 NMRA. In its order of
    dismissal, the district court concluded that Plaintiff and his counsel “failed to comply and
    cooperate in discovery” on multiple occasions in violation of Rule 1-037. The court
    specifically found that Plaintiff and the lawyers who represented him (1) “failed to attend
    the noticed deposition of Plaintiff,” (2) “failed to attend another deposition,” (3) “failed to
    respond to written discovery properly served upon Plaintiff,” (4) “failed to comply with
    multiple [c]ourt-ordered deadlines,” (5) “refused to respond to Defendants’ counsel[’s]
    numerous attempts to negotiate a deposition schedule,” and (6) “failed to attend a
    [c]ourt hearing.” Significantly, the district court found that the failure of Plaintiff and his
    counsel to attend Plaintiff’s properly-noticed deposition was “willful.” Because Plaintiff
    has not rebutted the presumption that the district court’s order of dismissal is correct, we
    affirm.
    DISCUSSION
    {2}     Plaintiff has failed to adequately develop an argument to support his assertion
    that we should reverse the district court’s dismissal order. We begin with Plaintiff’s
    counsel’s failure to comply with the provision of Rule 12-318(A)(4) NMRA that requires
    every brief in chief to include an argument that states the applicable standard of review.
    This requirement serves an important purpose; the standard of review is the foundation
    on which every analysis of an appellate issue is built. The standard of review is of even
    greater significance where, as here, it requires the appellate court to defer to the trial
    court. In this case, the question is whether the district court abused its discretion. See
    Lewis ex rel. Lewis v. Samson, 
    2001-NMSC-035
    , ¶ 13, 
    131 N.M. 317
    , 
    35 P.3d 972
    (recognizing that the standard of review for discovery sanctions imposed under Rule 1-
    037 is abuse of discretion but that appellate courts review sanction orders that result in
    dismissal more closely than other types of sanctions); Lowery v. Atterbury, 1992-NMSC-
    001, ¶ 11, 
    113 N.M. 71
    , 
    823 P.2d 313
     (recognizing that the standard of review for Rule
    1-041(B) sanctions is an abuse of discretion). Plaintiff does not recite this deferential
    standard of review or acknowledge in any other manner that we may not simply
    substitute our view for the district court’s. Counsel compound this major briefing
    deficiency with another: failure to comply with the provision of Rule 12-318(A)(4) that
    requires every brief in chief to include citations to legal authority. In the section of
    Plaintiff’s brief in chief addressing the sanction issue, counsel do not cite any legal
    authority whatsoever, even though there is ample authority addressing the topic of
    discovery sanctions. Plaintiff’s counsel do not mention either of the provisions of the
    Rules of Civil Procedure on which the district court relied. And Plaintiff’s counsel do not
    cite—much less discuss—even one of the several precedential opinions in which our
    Supreme Court and this Court have interpreted and applied the relevant provisions of
    those procedural rules. By making an argument that is completely untethered from
    governing law, counsel have failed to present an issue for our review. See Guest v.
    Berardinelli, 
    2008-NMCA-144
    , ¶ 38, 
    145 N.M. 186
    , 
    195 P.3d 353
    .
    {3}   In sum, Plaintiff’s counsel have not performed basic tasks that are essential to
    adequately developing an appellate argument, and precedent from our Supreme Court
    teaches that there are sound reasons for us not to perform those tasks for counsel:
    To rule on an inadequately briefed issue, this Court would have to develop
    the arguments itself, effectively performing the parties’ work for them. This
    creates a strain on judicial resources and a substantial risk of error. It is of
    no benefit either to the parties or to future litigants for this Court to
    promulgate case law based on our own speculation rather than the
    parties’ carefully considered arguments.
    Elane Photography, LLC v. Willock, 
    2013-NMSC-040
    , ¶ 70, 
    309 P.3d 53
     (citation
    omitted). Without developing an argument in support of his claim of error, Plaintiff
    cannot carry his burden of rebutting the ordinary appellate presumption that the district
    court’s order of dismissal is correct. See State v. Aragon, 
    1999-NMCA-060
    , ¶ 10, 
    127 N.M. 393
    , 
    981 P.2d 1211
    . We therefore affirm.
    {4}    Having concluded that a party’s briefing suffers from fatal flaws, we would
    ordinarily decline to discuss whether that party’s claim of error has merit. However,
    because the dissent concludes that Plaintiff’s claim of error has merit, we briefly and
    generally explain why we disagree.1 A willful violation of a discovery order may warrant
    1The dissent asserts that Plaintiff’s briefing suffices to allow us to address the merits. Dissent ¶ 12. To be
    clear, we discuss the merits to counter the analysis supplied by the dissent, which—unlike Plaintiff’s
    briefs—applies the standard of review and New Mexico law regarding discovery sanctions to the facts of
    this case. Although counsel for Plaintiff were not obligated to make the case for reversal as skillfully as
    our esteemed colleague has in her dissent, we believe counsel were obligated to, at a bare minimum,
    apply the law to the facts.
    a sanction, such as dismissal with prejudice, that denies the violating party an
    opportunity to be heard on the merits. See United Nuclear Corp. v. Gen. Atomic Co.,
    
    1980-NMSC-094
    , ¶ 202, 
    96 N.M. 155
    , 
    629 P.2d 231
    . Plaintiff concedes this but argues
    (for the first time in his reply brief)2 that the district court erred by concluding that the
    failure to appear for Plaintiff’s deposition was willful. To violate a rule willfully, a party
    need not have wrongful intent; a “conscious or intentional failure to comply” suffices.
    United Nuclear Corp., 
    1980-NMSC-094
    , ¶ 203 (internal quotation marks and citation
    omitted). Having carefully reviewed the record, we believe the evidence reasonably
    supports the conclusion that the violation at issue was conscious or intentional. See
    Pub. Serv. Co. of N.M. v. Diamond D Constr. Co., 
    2001-NMCA-082
    , ¶ 36, 
    131 N.M. 100
    , 
    33 P.3d 651
    . We recognize that one of the California lawyers representing Plaintiff
    invited the district court to conclude that responsibility for the deposition belonged to
    Plaintiff’s local counsel in New Mexico, who had become unresponsive. But the district
    court was not required to accept that excuse. The court was instead free to conclude,
    based on the arguments and evidence presented, that the failure of Plaintiff and his
    legal team to appear for his deposition was willful. Considering this significant, willful
    violation together with the other violations, dismissal of Plaintiff’s complaint with
    prejudice was within the range of sanctions that the district court had discretion to
    impose under New Mexico law. Neither Plaintiff nor the dissent cites any legal authority
    that prohibits dismissal with prejudice under circumstances like these. And with respect
    to the choice of an appropriate sanction within the legally allowed range, we should be
    especially wary of substituting our judgment, formed at a distance based on a cold
    record, for the judgment that the district court made from a vantage point far closer to
    the parties and the lawyers and their behavior throughout the course of the litigation.
    The question presented is not “whether we would have chosen a more moderate
    sanction,” United Nuclear Corp., 
    1980-NMSC-094
    , ¶ 385 (internal quotation marks and
    citation omitted), but instead whether the district court chose a sanction that is out of
    legal or logical bounds. The court did not do so here, in our view.
    CONCLUSION
    {5}     We affirm.
    {6}     IT IS SO ORDERED.
    ZACHARY A. IVES, Judge
    The dissent also asserts that we have “entertain[ed]” the merits “cursorily.” Dissent ¶ 12. Although we
    have devoted substantial time and effort to considering Plaintiff’s arguments, such as they are, as well as
    the arguments in the dissent, we have intentionally declined to fully explain why we have concluded that
    those arguments do not support reversal. Our decision not to provide a more fulsome explanation was
    driven by the important principles that our Supreme Court summarized in Elane Photography, 2013-
    NMSC-040, ¶¶ 70-71. Writing a more extensive opinion would waste scarce judicial resources, and we
    wish to avoid the hazards of issuing an opinion (even one with only persuasive value) that addresses, in
    any detail, the merits of arguments that Plaintiff’s counsel failed to make.
    2Appellate courts in New Mexico generally do not address issues raised for the first time in reply briefs.
    Mitchell-Carr v. McLendon, 
    1999-NMSC-025
    , ¶ 29, 
    127 N.M. 282
    , 
    980 P.2d 65
    .
    I CONCUR:
    JACQUELINE R. MEDINA, Judge
    SHAMMARA H. HENDERSON, Judge (dissenting).
    HENDERSON, Judge (dissenting).
    {7}     I respectfully dissent from the majority opinion on three bases. First, while I
    acknowledge the deficiencies in Plaintiff’s brief in chief with regard to the issue of
    dismissal as a sanction, I cannot agree, under the facts of this case, that this reason
    alone is sufficient to swiftly affirm the district court. Second, in my view, the district
    court’s sua sponte dismissal of Plaintiff’s strict liability claim with prejudice as a
    sanction—a claim it had already dismissed on different grounds nearly three years
    earlier—was unduly punitive. And third, because I would reverse the district court’s
    second dismissal of Plaintiff’s strict liability claim as a sanction, I would necessarily
    address its first dismissal of this claim—the other basis of Plaintiff’s appeal—and
    remand on this issue, as the district court failed to employ the correct legal standard to
    Plaintiff’s strict liability claim. I explain my position after providing a brief background of
    the case and the facts giving rise to this appeal.
    {8}     Plaintiff is a former member of the New Mexico State University football team. In
    April 2015, he filed a complaint for strict liability and negligence against Defendant and
    others alleging that he sustained injuries during football practice, resulting in
    quadriplegia. Defendant moved to dismiss the complaint pursuant to Rule 1-012(B)(6)
    NMRA,3 arguing, among other things, that college football is not an abnormally
    dangerous4 activity, thus precluding recovery on a theory of strict liability, and that even
    if it was, recovery on both strict liability and negligence would be barred pursuant to the
    doctrine of assumption of the risk.
    {9}      In August 2015, the district court held a hearing and dismissed Plaintiff’s strict
    liability claim with prejudice, reasoning as a matter of law that college football is not an
    inherently dangerous activity such that strict liability is a viable cause of action. The
    3Defendant’s motion to dismiss does not cite Rule 1-012(B)(6) directly. However, the motion cites
    authority premised on this rule, and Plaintiff responded accordingly.
    4Plaintiff’s complaint alleges that “college football is an inherently and/or abnormally dangerous activity”
    but makes reference only to the six factors set out in the Restatement (Second) of Torts § 520 (1977) to
    determine whether an activity is abnormally dangerous. The same is true of his briefing on appeal. We
    recognize that “inherently” and “abnormally” are often used interchangeably, though “an important
    distinction” exists between the two. See Saiz v. Belen Sch. Dist., 
    1992-NMSC-018
    , ¶ 22, 
    113 N.M. 387
    ,
    
    827 P.2d 102
    . Indeed, a three-prong test that differs from the factors articulated in the Restatement
    (Second) of Torts § 520 for abnormally dangerous activities is used to determine whether an activity is
    inherently dangerous. See Gabaldon v. Erisa Mortg. Co., 
    1999-NMSC-039
    , ¶ 13, 
    128 N.M. 84
    , 
    990 P.2d 197
    . Because Plaintiff did not request that his claim below be subject to the test for inherently dangerous
    activities, and likewise does not request that this Court view his strict liability claim through this lens on
    appeal, I proceed with the assumption that Plaintiff only intended to allege that college football is an
    abnormally dangerous activity, and offer no analysis as to whether it may be an inherently dangerous
    activity.
    district court allowed Plaintiff’s negligence claims to proceed. At Plaintiff’s request, the
    district court granted leave for Plaintiff to apply for an interlocutory appeal. This Court
    denied Plaintiff’s application.
    {10} At some point during the litigation, Plaintiff’s local counsel fell ill and became
    unreachable by Plaintiff’s out-of-state counsel, Defendant’s counsel, and the district
    court. As a result of local counsel’s unresponsiveness and the impact it had on the
    discovery process, Defendant moved to dismiss “all remaining claims” as a sanction. In
    response, Plaintiff sought to dismiss his negligence claims against Defendant and
    requested the district court “enter final judgment on his strict liability cause of action” in
    order to pursue an appeal on the legal question of whether college football is an
    abnormally dangerous activity. Defendant did not oppose Plaintiff’s desire to dismiss the
    remaining claims.
    {11} The district court held a hearing on Defendant’s motion, at which time the parties
    detailed difficulties in the discovery process, due, at least in part, to local counsel’s
    illness and unreachability. Plaintiff reiterated his desire to dismiss the remaining claims
    voluntarily against Defendant and requested the district court enter a final judgment so
    that he could pursue an appeal on the strict liability claim. Defendant noted that
    because Plaintiff agreed to dismiss his remaining claims, the sole issue before the
    district court at the hearing was whether Defendant was able to recover litigation costs
    from Plaintiff, as requested in its motion to dismiss. Based on Plaintiff’s “failure to
    comply and cooperate in discovery,” the district court dismissed both the strict liability
    claim and the remaining negligence claims with prejudice as “the ultimate sanction” that
    it could impose, though it had already dismissed Plaintiff’s strict liability claim with
    prejudice some thirty-two months earlier. Plaintiff filed this appeal.
    {12} The majority disposes of the case solely on deficient briefing. Yet, the briefing
    provided is sufficient for the majority to entertain—albeit cursorily—the merits of
    Plaintiff’s claim that the district court improperly imposed dismissal with prejudice of an
    already dismissed claim. It is true, as the majority notes, that deficient briefing can
    “create[] a strain on judicial resources and a substantial risk of error” if the appellate
    court must engage in “speculation” and “develop the arguments itself.” Elane
    Photography, 
    2013-NMSC-040
    , ¶ 70; Maj. Op. ¶ 3. But, that is not the case here. While
    Plaintiff’s brief in chief suffers from significant shortcomings, it does not leave his
    position unclear or put this Court in a place to “guess at what [his] arguments might be.”
    Elane Photography, 
    2013-NMSC-040
    , ¶ 70 (internal quotation marks and citation
    omitted). For this reason, I believe the merits of Plaintiff’s contention that dismissal as a
    sanction was improper should be explored, and I do so here.
    {13} Appellate review of the dismissal of claims with prejudice, pursuant to Rules 1-
    037(D) and 1-041(B), is for an abuse of discretion, though our scrutiny must be stronger
    because dismissal is a particularly extreme sanction. See Lewis, 
    2001-NMSC-035
    , ¶ 13;
    Lowery, 
    1992-NMSC-001
    , ¶ 9; United Nuclear Corp., 
    1980-NMSC-094
    , ¶ 385. “An
    abuse of discretion occurs when a ruling is clearly contrary to the logical conclusions
    demanded by the facts and circumstances of the case.” Sims v. Sims, 
    1996-NMSC-078
    ,
    ¶ 65, 
    122 N.M. 618
    , 
    930 P.2d 153
    . The district court’s dismissal of a case as a sanction
    “must be based on its conclusions about a party’s conduct and intent, [and] implicit in
    the standard of review is the question of whether the court’s findings and decision are
    supported by substantial evidence.” Enriquez v. Cochran, 
    1998-NMCA-157
    , ¶ 20, 
    126 N.M. 196
    , 
    967 P.2d 1136
    . “Substantial evidence is such relevant evidence as a
    reasonable mind might accept as adequate to support a conclusion.” Diamond D Const.
    Co., 
    2001-NMCA-082
    , ¶ 36.
    {14} To dismiss a case with prejudice as a sanction, it is necessary that the district
    court evaluate “the violating party’s conduct weighed against the underlying principles
    that cases should be tried on their merits and that dismissal is so severe a sanction that
    it must be reserved for the extreme case and used only where a lesser sanction would
    not serve the ends of justice.” Lujan v. City of Albuquerque, 
    2003-NMCA-104
    , ¶ 11, 
    134 N.M. 207
    , 
    75 P.3d 423
    . Indeed, this Court has held that in cases where discovery
    violations are at issue, the district court may only dismiss the case “when a party shows
    flagrant bad faith and callous disregard for one’s discovery duties.” Chavez v. Bd. of
    Cnty. Comm’rs of Curry Cnty., 
    2001-NMCA-065
    , ¶ 44, 
    130 N.M. 753
    , 
    31 P.3d 1027
    .
    Thus, “we must be mindful of the nature of the conduct and level of culpability found by
    the [district] court and whether the [district] court’s sanction appears more stern than
    necessary in light of the conduct prompting the sanction.” Enriquez, 
    1998-NMCA-157
    , ¶
    20.
    {15} My review of the record leads me to the conclusion that the district court
    improperly imposed dismissal with prejudice as a sanction for Plaintiff’s litigation
    conduct. At the time that Defendant moved to have “all remaining claims”5 dismissed as
    a sanction for Plaintiff’s litigation conduct, only the negligence claim remained.
    Moreover, following Defendant’s motion to dismiss, Plaintiff agreed to voluntarily
    dismiss his only remaining claim (negligence)—a course of action that Defendant
    agreed to. Defendant subsequently alerted the district court that, due to the parties’
    agreement, the sole issue for decision at the hearing on the motion to dismiss was
    whether an award of litigation costs in favor of Defendant was appropriate. However,
    rather than simply ruling on the question before it, the district court, of its own accord,
    dismissed Plaintiff’s remaining claim and his strict liability claim with prejudice, despite
    having already dismissed Plaintiff’s strict liability claim with prejudice nearly three years
    earlier.
    {16} In light of the parties’ agreement to dismiss Plaintiff’s sole remaining claim
    (negligence) and Defendant’s position that the district court need only rule on the
    recovery of litigation costs, I do not address the imposition of dismissal as a sanction for
    discovery misconduct as it relates to this claim, as the decisive issue in this case is the
    punitive dismissal of Plaintiff’s previously dismissed strict liability claim. See Crist v.
    Town of Gallup, 
    1947-NMSC-012
    , ¶ 14, 
    51 N.M. 286
    , 
    183 P.2d 156
     (stating that
    appellate courts need not address questions unnecessary for the resolution of the
    5At the time of the events at issue, Plaintiff also had an active negligence claim against another party.
    That party is not named in this appeal. For simplicity, I refer only to the negligence claim against
    Defendant.
    case), superseded by statute on other grounds as stated in Hoover v. City of
    Albuquerque, 
    1954-NMSC-043
    , ¶ 5, 
    58 N.M. 250
    , 
    270 P.2d 386
    .
    {17} Defendant correctly notes that the district court has the authority to revisit
    interlocutory rulings, like dismissals that do not dispose of a party’s claims in their
    entirety, when appropriate. See Melnick v. State Farm Mut. Auto. Ins. Co., 1988-NMSC-
    012, ¶ 5, 
    106 N.M. 726
    , 
    749 P.2d 1105
     (noting that an interlocutory ruling “leaves the
    case in the [district] court for further proceedings” and that “the [district] court may revise
    or rescind an interlocutory order at any time before entry of a judgment that concludes
    the litigation”); Barnett v. Cal M Inc., 
    1968-NMSC-159
    , ¶ 7, 
    79 N.M. 553
    , 
    445 P.2d 974
    (noting the district court’s ongoing jurisdiction over cases without final judgments and its
    power to revise its rulings); see also Rule 1-054(B) NMRA (providing that “any order . . .
    that adjudicates fewer than all the claims . . . does not end the action as to any of the
    claims . . . and may be revised at any time before the entry of a judgment adjudicating
    all the claims”); cf. Ulibarri v. State of N.M. Corr. Acad., 
    2006-NMSC-009
    , ¶ 17, 
    139 N.M. 193
    , 
    131 P.3d 43
     (noting that a district court may reconsider a partial grant of
    summary judgment since such a ruling is interlocutory); Thompson v. Potter, 2012-
    NMCA-014, ¶ 5, 
    268 P.3d 57
     (“The denial of a summary judgment motion is an
    interlocutory order and may be reconsidered by the district court at any time before final
    judgment.”). Even so, I cannot adopt the majority’s view that such an action was not an
    abuse of discretion in this case.
    {18} I view the district court’s decision to dismiss the strict liability claim as a sanction
    as inappropriate, particularly because it had dismissed this claim nearly three years
    earlier. Indeed, the district court ordered “[d]ismissal of the entire action with prejudice
    as a sanction, including dismissal of Plaintiff’s strict liability claim . . . for . . . discovery
    misconduct.” I reject this reasoning. I recognize that the district court found that failure
    to attend certain depositions by Plaintiff’s counsel was “willful” and that it sought to
    impose “the ultimate sanction” for this conduct. Presumably, however, the discovery
    process during which any misconduct occurred was tailored to Plaintiff’s negligence
    claim, as Plaintiff’s strict liability claim was dismissed with prejudice on Rule 1-012(B)(6)
    grounds only four months after Plaintiff filed the complaint. See Rule 1-012(B) (providing
    that dismissal for “failure to state a claim upon which relief can be granted” must be
    based on the pleadings alone).
    {19} The majority makes much of two things: (1) the district court’s use of the word
    “willful” in its order dismissing Plaintiff’s entire case with prejudice as a discovery
    sanction; and (2) the absence of “any legal authority that prohibits dismissal with
    prejudice under circumstances like these.” Maj. Op. ¶¶ 1, 4. To be clear, these
    circumstances, as I understand them, comprise a case where discovery for Plaintiff’s
    strict liability claim was no longer active because that claim was dismissed by the district
    court nearly three years prior, yet the district court reached back, without prompting by
    Defendant, to again dismiss Plaintiff’s strict liability claim with prejudice, this time as a
    discovery sanction.
    {20} First, while the majority correctly sets out the “test of willfulness” quoted in United
    Nuclear Corp., 
    1980-NMSC-094
    , ¶ 203, Maj. Op. ¶ 4, it ignores our duty to “be mindful
    of the nature of the conduct and level of culpability found by the [district] court and
    whether the [district] court’s sanction appears more stern than necessary in light of the
    conduct prompting the sanction,” Enriquez, 
    1998-NMCA-157
    , ¶ 20. The root of
    discovery noncompliance in this case is the disappearance of Plaintiff’s local counsel.
    While it may be true that in the proceedings below, Plaintiff is the only one that
    articulated with specificity the particular reasons for local counsel’s disappearance, i.e.,
    severe illness and resulting issues from medication, the fact that local counsel became
    unreachable by all interested parties is undisputed. It is also undisputed that Defendant
    did not move for dismissal of Plaintiff’s strict liability claim as a sanction, as that claim
    had been dismissed long before the relevant events here. Lastly, it is undisputed that
    instead of affording Defendant the relief requested and unopposed by Plaintiff, i.e.,
    dismissal of Plaintiff’s negligence claim, the district court went considerably further,
    reaching back to reconsider the dismissal of a claim it had already dismissed nearly
    three years earlier.
    {21} In my view, these realities undermine the majority’s position that on-point legal
    authority is necessary to reverse the district court’s order, when in fact, the standard of
    review this Court is supposed to employ in a situation like this requires determination of
    whether the district court’s conclusion can be accepted by reasonable minds. See
    Diamond D Const. Co., 
    2001-NMCA-082
    , ¶ 36 (setting out the definition of substantial
    evidence); Enriquez, 
    1998-NMCA-157
    , ¶ 20 (noting that appellate review for substantial
    evidence is “implicit in the standard of review” for an abuse of discretion in cases where
    a discovery sanction is at issue). Under this standard, I fail to see how dismissal without
    prejudice of an already dismissed claim for which discovery was not being conducted as
    a discovery sanction is congruous with the undisputed conduct giving rise to the
    discovery noncompliance at issue here—noncompliance occurring wholly in the
    discovery process for Plaintiff’s negligence claim that the parties agreed to dismiss. To
    be sure, I am not suggesting that the district court cannot exercise discretion to review
    an interlocutory order. Rather, it is my position that the district court abused its
    discretion by imposing a sanction that was neither tailored to the discovery conduct at
    issue nor designed to “serve the ends of justice.” Lujan, 
    2003-NMCA-104
    , ¶ 11. For
    these reasons, I must dissent from the majority opinion on this issue.
    {22} As noted above, because I would reverse on this basis, I necessarily address the
    district court’s first dismissal of the strict liability claim on Rule 1-012(B)(6) grounds.
    Rule 1-012(B)(6) provides for dismissal for “failure to state a claim upon which relief can
    be granted.” This Court conducts a de novo review of the district court’s dismissal of a
    claim under Rule 1-012(B)(6). Madrid v. Vill. of Chama, 
    2012-NMCA-071
    , ¶ 12, 
    283 P.3d 871
    . “A motion to dismiss a complaint for failure to state a claim upon which relief
    can be granted merely tests the legal sufficiency of the complaint.” McNutt v. N.M. State
    Trib. Co., 
    1975-NMCA-085
    , ¶ 25, 
    88 N.M. 162
    , 
    538 P.2d 804
    . Thus, appellate review
    “assume[s] the veracity of all properly pleaded allegations in the complaint.” Davis &
    Assocs., Inc. v. Midcon, Inc., 
    1999-NMCA-047
    , ¶ 20, 
    127 N.M. 134
    , 
    978 P.2d 341
    . Rule
    1-012(B)(6) motions to dismiss offer a “drastic remedy” and should be “infrequently
    granted.” Rummel v. Edgemont Realty Partners, Ltd., 
    1993-NMCA-085
    , ¶ 9, 
    116 N.M. 23
    , 
    859 P.2d 491
    .
    {23} Strict liability may be based on either abnormally or inherently dangerous
    activities, each of which has a separate test to determine if the activity at issue qualifies
    as abnormally or inherently dangerous. Compare Apodaca v. AAA Gas Co., 2003-
    NMCA-085, ¶¶ 13, 15, 
    134 N.M. 77
    , 
    73 P.3d 215
    , with Gabaldon, 
    1999-NMSC-039
    , ¶¶
    2, 19. “[T]he determination of whether an activity is abnormally dangerous is a question
    of law for a court to decide.” Apodaca, 
    2003-NMCA-085
    , ¶ 15. New Mexico has adopted
    the six factors set out in the Restatement (Second) of Torts § 520 to determine whether
    an activity is abnormally dangerous. Apodaca, 
    2003-NMCA-085
    , ¶¶ 15, 21. They are as
    follows:
    (a) existence of a high degree of risk of some harm to the person, land or
    chattels of others;
    (b) likelihood that the harm that results from it will be great;
    (c) inability to eliminate the risk by the exercise of reasonable care;
    (d) extent to which the activity is not a matter of common usage;
    (e) inappropriateness of the activity to the place where it is carried on; and
    (f) extent to which its value to the community is outweighed by its
    dangerous attributes.
    Id. ¶ 21 (quoting Restatement (Second) of Torts § 520).
    {24} My review of the transcript of the hearing on Defendant’s motion to dismiss and
    the district court’s subsequent written order offer little insight into the district court’s legal
    conclusion on this issue. Indeed, at the hearing, the district court did not analyze
    Plaintiff’s claim under the six factors to determine whether an activity is abnormally
    dangerous as argued by Plaintiff and outlined above. Rather, the district court, with no
    elaboration, appeared to only employ the three-prong test adopted in Gabaldon to
    determine whether an activity is inherently dangerous. See 
    1999-NMSC-039
    , ¶ 13. The
    district court’s written order makes reference, without analysis, to Restatement (Second)
    of Torts § 520, and otherwise relies on “the reasons that appear in the existing record.”
    Thus, nowhere in the record are the Restatement factors analyzed as required. See
    Restatement (Second) of Torts § 520 cmt. f (noting that every factor must be analyzed
    and that each is “of importance”).
    {25} In light of this, the record is insufficient to compel meaningful review on this
    issue. The Restatement standard for abnormally dangerous activities that New Mexico
    has adopted requires the district court to ascribe to each factor listed above such weight
    as is warranted based “upon the facts in evidence.” Restatement (Second) of Torts §
    520 cmt. l; see also Apodaca, 
    2003-NMCA-085
    , ¶ 19 (noting the applicability of the six
    factors from the Restatement (Second) of Torts § 520). Furthermore, it is necessary to
    reiterate that we have never held that only certain activities can qualify as abnormally
    dangerous, particularly if the “facts warrant” extension of this qualification to additional
    situations. Apodaca, 
    2003-NMCA-085
    , ¶ 19. If the district court is unable to clearly
    articulate the facts on which it based its ruling, meaningful appellate review is also
    elusive. See Ruiz v. City of Albuquerque, 
    1978-NMCA-015
    , ¶ 40, 
    91 N.M. 526
    , 
    577 P.2d 424
     (stating that while Rule 1-012 does not require the district court to enter findings of
    fact and conclusions of law, “[i]t is of assistance to this Court to know the reasons why a
    final order is granted or denied below”); see also Salcido v. Farmers Ins. Exch., 2004-
    NMCA-006, ¶ 19, 
    134 N.M. 797
    , 
    82 P.3d 968
     (noting that even where a rule does not
    require findings of fact from the district court, this Court “encourage[s] all district courts
    to request and enter factual findings to facilitate meaningful review”).
    {26} For these reasons, I would remand on the legal question of whether college
    football is an abnormally dangerous activity such that strict liability is a viable cause of
    action, and instruct the district court to employ the correct legal standard applicable to
    Plaintiff’s claim and to do so in a manner that permits meaningful appellate review.
    {27} Finally, I note that Defendant’s invitation to consider Plaintiff’s standing and
    assumption of the risk is premature. If these defenses were applicable, Defendant could
    choose to properly raise them in the proceedings below. However, the district court did
    not rule on these questions and thus, they are not properly before this Court for
    appellate review at this juncture. See Luginbuhl v. City of Gallup, 
    2013-NMCA-053
    , ¶
    41, 
    302 P.3d 751
     (stating that, in the absence of consideration or ruling by the district
    court, an issue “is not properly before this Court”).
    {28} To summarize, I would reverse the district court’s second dismissal of Plaintiff’s
    strict liability claim with prejudice as a discovery sanction. Further, I would remand this
    case to the district court with instructions that it utilize the legal standard applicable to
    abnormally dangerous activities in ruling on Defendant’s Rule 1-012(B)(6) motion to
    dismiss Plaintiff’s strict liability claim. Because the majority affirms on the district court’s
    discovery sanction and does not reach the district court’s dismissal of Plaintiff’s strict
    liability claim on Rule 1-012(B)(6) grounds, I respectfully dissent.
    SHAMMARA H. HENDERSON, Judge