Webb, M. v. Volvo Cars of North America ( 2016 )


Menu:
  • J-A33020-15
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
    MARK WEBB, AS ADMINISTRATOR FOR                  IN THE SUPERIOR COURT OF
    THE ESTATE OF SABINO WEBB,                             PENNSYLVANIA
    DECEASED
    Appellant
    v.
    VOLVO CARS OF NORTH AMERICA, LLC,
    VOLVO CARS CORPORATION, GRACO
    CHILDREN'S PRODUCTS, INC. (D/B/T/A
    NEWELL RUBBERMAID, INC.), WILLIAM
    JULIAN, AND ANA (WEBB) SOARES
    Appellees                No. 1367 EDA 2014
    Appeal from the Judgment Entered March 26, 2014
    In the Court of Common Pleas of Philadelphia County
    Civil Division at No: 110500208
    BEFORE: FORD ELLIOTT, P.J.E., STABILE, and STRASSBURGER,* JJ.
    MEMORANDUM BY STABILE, J.:                             FILED JUNE 24, 2016
    Appellant, Mark Webb, as administrator for the estate of Sabino Webb,
    appeals from the March 26, 2014 judgment in favor of Appellees Volvo Cars
    of North America, LLC and Volvo Cars Corporation (collectively, “Volvo”), and
    Graco Children’s Products, Inc. (“Graco,” and collectively with Volvo,
    “Appellees”). We vacate and remand.
    The trial court summarized the pertinent facts in its Pa.R.A.P. 1925(a)
    opinion:
    ____________________________________________
    *
    Retired Senior Judge assigned to the Superior Court.
    J-A33020-15
    [Appellant] brought this action before this Court on various
    theories of liability including both negligence and strict product
    liability in an action that would best be described as a
    crashworthiness case. The action arose from a fatal automobile
    collision that occurred on May 4, 2009 between a 1997 Volvo
    Sedan and a Chrysler PT Cruiser at the intersection of Tacony
    Street and Fraley Street. The Additional Defendant, Ana (Webb)
    Soares, was traveling northbound on Tacony Street operating a
    1997 Volvo 850 Sedan when she unfortunately attempted an
    unsafe left-hand turn across traffic onto Fraley Street,
    immediately into the path of an oncoming Chrysler PT Cruiser
    operated by Defendant William Julian. Her Volvo 850 was struck
    on the rear passenger side door by the Chrysler PT Cruiser. At
    the time of the accident, two-month-old Sabino Webb was
    strapped in a SnugRide car seat manufactured by [Graco]. The
    car seat had been placed in the passenger side rear seat of the
    1997 Volvo 850 Sedan right at what became the point of impact
    beside the rear passenger side door.
    [Appellant], Administrator of the Estate of his son, brought
    this action seeking monetary damages for the death of Sabino
    Webb on behalf of himself and the estate. Ana (Webb) Soares,
    the mother of Sabino Webb, was joined to the action as an
    additional defendant (at the time of the accident, Mrs. Webb was
    not yet married to [Appellant] and was known by her maiden
    name, “Ana Soares”). [Appellant] sued, among other named
    parties, [Volvo] and [Graco]. In the case against Volvo, he
    alleged that the 1997 four-door Volvo 850 Sedan was defective
    because [. . .] the Volvo 850 lacked rear door bars to prevent
    side-impact intrusion during side-impact collision. The primary
    allegation against Graco was that the SnugRide car seat should
    have been designed or manufactured with additional padding or
    Styrofoam in the headrest to absorb impact during collision.
    This Court directed a verdict in favor of Defendant William
    Julian at the conclusion of all defense evidence. The Jury
    thereafter returned a verdict in favor of Volvo and Graco.
    Finally, the Jury found in favor of [Appellant] and against
    Additional Defendant Ana (Soares) Webb.
    Trial Court Opinion, 11/10/2014, at 1-2.
    -2-
    J-A33020-15
    A jury trial commenced on November 4, 2013 and concluded on
    November 15, 2013.      At the close of evidence, the trial court directed a
    verdict in favor of defendant William Julian and entered nonsuit on
    Appellant’s negligence and deceptive trade practices causes of action against
    Appellees. Appellant has not appealed those decisions. On November 15,
    2013, the jury entered a defense verdict on Appellant’s strict products
    liability causes of action against Appellees. Appellant filed post-trial motions
    on November 25, 2013.      The trial court heard argument on the post-trial
    motions on March 20, 2014, and entered an order denying relief on March
    24, 2014. The verdict was reduced to judgment on March 26, 2014. This
    timely appeal followed. Appellant raises seven issues for our review:
    1. Whether it was reversible error for the Court to instruct
    the jury that federal standards were relevant after the
    Trial Court dismissed all negligence claims from the
    case and only strict product liability claims remained in
    front of the jury.
    2. Whether, per the [Passarello v. Grumbine, 
    87 A.3d 285
    (Pa. 2014)] decision of the Supreme Court,
    Appellees exploited the incorrect federal standard jury
    instruction during closing arguments magnifying the
    Court’s initial error and requiring a new trial.
    3. Whether Appellant’s expert Dr. David Renfroe’s rebuttal
    FMVSS 214 testimony and testing was improperly
    precluded by the Trial Court because the Court
    mistakenly assumed only the U.S. Government could
    perform FMVSS testing.
    4. Whether it was error for the Court to preclude Appellant
    from using Volvo’s own highly relevant advertising
    material to impeach the credibility of Volvo’s corporate
    designee.
    -3-
    J-A33020-15
    5. Whether the Court improperly precluded Appellant from
    calling Volvo’s corporate designees as if on direct,
    thereby arbitrarily dictating to Appellant what witnesses
    he could call in his case in chief.
    6. Whether it was reversible error for the Court to allow
    unqualified defense experts to speculate that the car
    accident in question was not survivable for the
    deceased.
    7. Whether the Court improperly kept defendant Ana
    Webb in the case after she had no reason to be in the
    case.
    Appellant’s Brief at 10.
    Appellant’s first assertion of error challenges the propriety of one of
    the trial court’s jury instructions.1          As noted, Appellant proceeded against
    ____________________________________________
    1
    The following strictures govern our review:
    Our standard of review regarding jury instructions is
    limited to determining whether the trial court committed a clear
    abuse of discretion or error of law which controlled the outcome
    of the case. Error in a charge occurs when the charge as a
    whole is inadequate or not clear or has a tendency to mislead or
    confuse rather than clarify a material issue. Conversely, a jury
    instruction will be upheld if it accurately reflects the law and is
    sufficient to guide the jury in its deliberations.
    The proper test is not whether certain portions or isolated
    excerpts taken out of context appear erroneous. We look to the
    charge in its entirety, against the background of the evidence in
    the particular case, to determine whether or not error was
    committed and whether that error was prejudicial to the
    complaining party.
    In other words, there is no right to have any particular
    form of instruction given; it is enough that the charge clearly
    and accurately explains the relevant law.
    (Footnote Continued Next Page)
    -4-
    J-A33020-15
    Appellees on negligence and strict products liability causes of action.           The
    record therefore contains extensive evidence relevant to all of Appellant’s
    causes of action, including evidence of the involved Volvo 850’s (the
    “Involved Automobile”) and the               Graco   Car   Seat’s (the   “Car   Seat”)
    compliance with Federal Motor Vehicle Safety Standards (“FMVSS”).2
    Appellant argues the FMVSS evidence was relevant only to his negligence
    causes of action, and that the trial court should have instructed the jury to
    disregard that evidence given its entry of nonsuit on all but the strict
    products liability causes of action.         Appellant cites Gaudio v. Ford Motor
    Co., 
    976 A.2d 524
    , 547 (Pa. Super. 2009), appeal denied, 
    989 A.2d 817
    (Pa.
    2010), and Lewis v. Coffing Hoist Div., Duff Norton Co., Inc., 
    528 A.2d 590
    , 593-94 (Pa. 1987), for the proposition that evidence of a product’s
    compliance with government standards is not relevant to a strict products
    liability claim.
    Before we turn to the merits of this issue, we must address Appellees’
    argument that Appellant failed to preserve it. To preserve a challenge to a
    jury instruction, a party must lodge a timely objection. We have held that a
    _______________________
    (Footnote Continued)
    Czimmer v. Janssen Pharm., Inc., 
    122 A.3d 1043
    , 1052 (Pa. Super.
    2015).
    2
    Appellant filed a pretrial motion in limine to exclude all evidence of the
    Appellees’ products’ compliance with government regulations. The trial court
    denied that motion, concluding such evidence was relevant to the negligence
    claims.
    -5-
    J-A33020-15
    trial court’s ruling against a jury charge will preserve the issue for review.
    Faherty v. Gracias, 
    874 A.2d 1239
    , 1249 (Pa. Super. 2005). If the trial
    court rules against a proposed jury charge, the party need not take
    exception to the charge under Pa.R.C.P. No. 227(b). 
    Id. Prior to
    the charging conference, Appellant submitted a proposed
    instruction:
    You have heard evidence that Volvo and Graco’s products
    were compliant with testing required by the Federal Motor
    Vehicle Safety Standards. The purpose of the Federal Motor
    Vehicle Safety Standards is to establish minimum performance
    standards for automotive safety; they do not establish the
    standard of conduct required under the common law. You may
    not find for Volvo or Graco simply because their products
    passed Federal Motor Vehicle Safety Standards.
    Appellant’s Second Amended Proposed Jury Instructions, 11/11/2013, at 5
    (emphasis added; footnotes omitted).       The record indicates that the trial
    court entered nonsuit on Appellant’s negligence claims after Appellant
    submitted this charge, but prior to the charging conference.
    The parties debated Appellant’s proposed instruction at the November
    14, 2013 charging conference.       The debate was not a model of clarity.
    Appellant confirmed his belief that the final sentence of the proposed charge
    was “standard Pennsylvania law.” N.T. Trial, 11/14/2013, at 152. Appellant
    did so despite the trial court’s entry of nonsuit on the negligence claims prior
    to the charging conference.       Appellees quote Appellant’s statement in
    support of their waiver argument.
    -6-
    J-A33020-15
    Later, however, Appellant clearly argued that government standards
    were not relevant in a strict products liability claim:
    [Graco’s Counsel]: Your Honor, though, I think the law is
    that they can consider it in terms of whether or not the product
    is defective.
    THE COURT:     Of course, but that’s what the instruction
    says.
    [Graco’s Counsel]: Well, it doesn’t say that. It just says
    that there’s evidence of compliance, the purpose is to establish a
    minimum performance. There’s nothing in here about, if the
    performance is met that’s evidence of lack of defect, but not
    presumptive evidence.
    THE COURT: Why don’t we include that in then?
    [Appellant’s Counsel]: Wait, Your Honor, we can’t because
    under Gaudio federal standards should be completely out with
    regard to under strict liability.
    THE COURT: That’s not what Gaudio says.
    [Appellant’s Counsel]: I believe it does, Your Honor.        It
    precluded reference entirely to federal standards.
    THE COURT: No, I have it right here. It doesn’t say it
    can’t be mentioned, it says you can’t use it to prove it. As I
    understand, it’s simple evidence to consider.
    [Graco’s Counsel]:      Right, it’s evidence to consider if it’s
    non-defective.
    N.T. Trial, 11/14/2013, at 152-53.
    Thus, it appears Appellees argued for a phrasing of the jury instruction
    more favorable to their defense.      The trial court concluded by stating its
    understanding of the law and offering a compromise:
    THE COURT: And that is, frankly, if it’s raised by the
    plaintiff, the defendant in their case in chief can’t introduce it,
    -7-
    J-A33020-15
    but it can be used as evidence if it’s raised by the plaintiff and it
    was raised by the plaintiff.
    So here’s what I’d like – can we come up with some
    language that you all will agree with for this instruction
    compliance with governmental standards because everyone
    agrees that just because something meets the minimum
    standard doesn’t mean that you still can’t find for the plaintiff?
    [Graco’s Counsel]: I would suggest something to the
    effect of, You may consider evidence of compliance with the
    standard in your determination of whether or not the products
    are defective. However, you may not find for Volvo or Graco
    simply because their products passed the standard.
    THE COURT: I don’t think anyone disagrees with that.
    [Appellant’s Counsel]: Based on discussions, that’s fine.
    THE COURT: Resubmit.
    
    Id. at 153-54.
      Appellees rely on the trial court’s apparent belief that it
    reached a compromise, and Appellant’s statement, “that’s fine,” to support
    their waiver argument.
    The following day, immediately prior to the jury charge, the following
    exchange occurred regarding Appellant’s revised proposed instruction:
    [Appellant’s Counsel]:   And then our last one is the
    Government compliance instruction.        We talked about this
    yesterday, I think Your Honor pulled out half of one of our
    sentences, and I don’t know job [sic] if we reached it.
    THE COURT: I don’t have it. Unfortunately, I had so much
    paper here.
    [Appellant’s Counsel]: Second paragraph on there, and I
    think the issue when it was finally resolved is, Graco, Volvo
    produced language that it’s relevant, I think to the design, but I
    am not sure what their language was.
    THE COURT: Yes, I think you indicated it should not
    come in, at all.
    -8-
    J-A33020-15
    [Appellant’s Counsel]: Yes, Your Honor ruled on that.
    THE COURT: Right.
    [. . .]
    THE COURT: The thing is, if we don’t have the negligence
    charge we could have avoided the Federal standards altogether,
    right?
    [Appellant’s Counsel]: Yes, Your Honor.
    THE COURT:        And the case would have been three days
    shorter.
    [Appellant’s Counsel]: Likely.
    N.T., 11/15/2013, at 37-38 (emphasis added).
    The trial court charged the jury as follows:
    Jurors, you have heard evidence that Volvo and Graco
    products were compliant with testing required by the Federal
    Motor Vehicle Safety Standard. The purpose of the Federal
    Motor Vehicle Safety Standard is to establish minimal
    performance standards for automotive safety. You may not find
    for Volvo or Graco simply because their products passed several
    motor vehicle safety standards.
    
    Id. at 182.
    In light of all of the foregoing, we conclude Appellant sufficiently
    preserved his objection in accord with Faherty. During the November 14,
    2013 charging conference, which was Appellant’s first opportunity to address
    the jury charge after the nonsuit on the negligence claims, Appellant argued
    the FMVSS evidence was no longer relevant. The record of the November
    15, 2013 conference confirms that the trial court understood Appellant’s
    objection to FMVSS evidence, but chose to permit the jury to consider it.
    -9-
    J-A33020-15
    Appellant’s counsel’s comments at the November 15, 2013 conference
    confirm that Appellant submitted an instruction he believed was in accord
    with the trial court’s ruling of one day earlier. We conclude that Appellant
    sufficiently preserved this issue for appellate review.           We now turn to the
    merits.
    Given the prevailing precedent at the time of trial, the trial court
    plainly erred in permitting the jury to consider the FMVSS evidence in
    connection with Appellant’s strict product liability claims.             Evidence of a
    product’s    compliance      with    government       standards    is   irrelevant   and
    inadmissible in a strict products liability action under section 402A of the
    Restatement (Second) of Torts.3                
    Gaudio, 976 A.2d at 543
    .        For that
    ____________________________________________
    3
    Section 402A provides:
    (1) One who sells any product in a defective condition
    unreasonably dangerous to the user or consumer or to his
    property is subject to liability for physical harm thereby caused
    to the ultimate user or consumer, or to his property, if
    (a) the seller is engaged in the business of selling such a
    product, and
    (b) it is expected to and does reach the user or consumer
    without substantial change in the condition in which it is sold.
    (2) The rule stated in Subsection (1) applies although
    (a) the seller has exercised all possible care in the
    preparation and sale of his product, and
    (Footnote Continued Next Page)
    - 10 -
    J-A33020-15
    proposition, Gaudio (like the instant matter, a crashworthiness case) relied
    on our Supreme Court’s opinion in Lewis.            In Lewis, the Supreme Court
    explained, “[N]egligence concepts have no place in a case based on strict
    liability.” 
    Lewis, 528 A.2d at 593
    . The Lewis court further reasoned that
    evidence of industry standards in a defective design case “go to the
    reasonableness of the [manufacturer’s] conduct in making its design choice.”
    
    Id. at 594.
        “[S]uch evidence would have created a strong likelihood of
    diverting the jury’s attention from the [product] to the reasonableness of the
    [manufacturer’s] conduct in choosing its design.” 
    Id. Lewis, in
    turn, relied on Azzarello v. Black Bros. Co., 
    391 A.2d 1020
    (Pa. 1978), overruled, Tincher v. Omega Flex, Inc., 
    104 A.3d 328
    (Pa. 2014). The Lewis Court summarized Azzarello as follows:
    Besides holding that a product is defective when it leaves
    the suppliers’ control lacking any element necessary to make it
    safe for its intended use, we also concluded, if not expressly,
    then certainly by clear implication, that negligence concepts
    have no place in a case based on strict liability.
    
    Lewis, 528 A.2d at 593
    .           Lewis also cited with approval to Lenhardt v.
    Ford Motor Co., 
    683 P.2d 1097
    (Wash. 1984): “The Lenhardt Court also
    observed that if a manufacturer’s product has design attributes which make
    _______________________
    (Footnote Continued)
    (b) the user or consumer has not bought the product from
    or entered into any contractual relation with the seller.
    Restatement (Second) of Torts § 402A (1965).
    - 11 -
    J-A33020-15
    it unsafe for its intended use, there is no relevance in the fact that such a
    design is widespread in the industry.”               
    Id. at 594.
      Absent further
    development in this area of law, a brief consideration of Gaudio and Lewis
    would be the end of the matter. The FMVSS evidence was inadmissible in
    strict liability claims under Gaudio and Lewis, and strict liability claims were
    all that remained when the trial court submitted the case to the jury.
    We must now consider whether our Supreme Court’s recent opinion in
    Tincher, specifically its overruling of Azzarello, affects the instant case.
    Appellees argue that Tincher, by implication, overruled the prohibition of
    industry or government standards evidence in a strict liability design defect
    case. Appellant and Amicus4 argue that Gaudio and Lewis remain good law
    after Tincher. In Tincher, the plaintiffs sued the defendant manufacturer
    in negligence and strict liability alleging, among other things, defectively
    designed corrugated steel tubing.              
    Tincher, 104 A.3d at 335-36
    .   The
    plaintiffs alleged the steel tubing, which delivered natural gas to a gas
    fireplace in their home, melted after a lighting strike and ignited the natural
    gas inside. 
    Id. The resulting
    fire caused significant damage to the plaintiff’s
    home and personal property. 
    Id. Prior to
    trial, the defendant filed a motion
    in limine asking the trial court to apply Sections 1 and 2 of the Restatement
    ____________________________________________
    4
    This Court granted leave to the Pennsylvania Association for Justice to file
    an Amicus Curiae brief.
    - 12 -
    J-A33020-15
    (Third) of Torts5 to plaintiffs’ strict liability claim. 
    Id. at 336.
    The defendant
    argued, in accord with the Third Restatement, that plaintiff had the burden
    to prove an alternate, safer design. 
    Id. at 341.
    The defendant argued that
    the Third Restatement makes foreseeability of harm relevant to a strict
    ____________________________________________
    5
    Section One provides:
    One engaged in the business of selling or otherwise
    distributing products who sells or distributes a defective product
    is subject to liability for harm to persons or property caused by
    the defect.
    Restatement (Third) of Torts: Prod. Liab. § 1 (1998).
    Section Two provides:
    A product is defective when, at the time of sale or distribution, it contains a
    manufacturing defect, is defective in design, or is defective because of
    inadequate instructions or warnings. A product:
    (a) contains a manufacturing defect when the product
    departs from its intended design even though all possible care
    was exercised in the preparation and marketing of the product;
    (b) is defective in design when the foreseeable risks of
    harm posed by the product could have been reduced or avoided
    by the adoption of a reasonable alternative design by the seller
    or other distributor, or a predecessor in the commercial chain of
    distribution, and the omission of the alternative design renders
    the product not reasonably safe;
    (c) is defective because of inadequate instructions or
    warnings when the foreseeable risks of harm posed by the
    product could have been reduced or avoided by the provision of
    reasonable instructions or warnings by the seller or other
    distributor, or a predecessor in the commercial chain of
    distribution, and the omission of the instructions or warnings
    renders the product not reasonably safe.
    Restatement (Third) of Torts: Prod. Liab. § 2 (1998).
    - 13 -
    J-A33020-15
    products liability claim.      
    Id. at 342-43.
             In other words, the defendant
    believed the reasonableness of its conduct must inform the analysis of the
    strict products liability claim against it. 
    Id. at 344.
    Under Azzarello, the
    trial court must make a threshold determination of whether a product is in
    an unreasonably dangerous defective condition.                  
    Id. at 367.
            The jury
    determines the veracity of the factual allegations in the plaintiff’s complaint.
    
    Id. The Tincher
           Court    noted    that     Section   402A     of   the    Second
    Restatement is not a comfortable fit for design defect claims.                  
    Id. at 371.
    Section 402A relieves plaintiffs of the burden of proving the absence of due
    care during the manufacturing process. 
    Id. In design
    cases, however, “the
    character of the product and the conduct of the manufacturer are largely
    inseparable.” 
    Id. at 371
    (quoting Phillips v. Crickett Lighters, 
    841 A.2d 1000
    , 1015 (Pa. 2003) (Saylor, J. concurring)).                    The Tincher Court
    overruled Azzarello because it is too difficult, in practice, to separate
    negligence from strict liability.      
    Id. at 376.
           Instead, the Supreme Court
    devised a test whereby the plaintiff must provide proof, “in the alternative,
    either of the ordinary consumer’s expectations or of the risk-utility of a
    product.” 
    Id. at 401.
    The risk-utility standard is derived from negligence
    concepts.      
    Id. at 403.
         Other         states   adopting    the    consumer
    expectations/risk-utility standards have shifted the burden of proof to the
    defendant in the latter. 
    Id. at 408
    (citing Barker v. Lull Eng’g Co., 573
    - 14 -
    J-A33020-15
    P.2d 443, 445 (Cal. 1978)). That is, if the plaintiff alleges a strict liability
    cause of action based on the risk-utility standard, the defendant bears the
    burdens of production and persuasion to prove the product in question is not
    defective in design.   
    Id. The Supreme
    Court declined to address whether
    the burden-shifting rule would apply in Pennsylvania. 
    Id. at 409.
    The Tincher Court also declined to address the retroactive effect of its
    holding. The two questions before the Supreme Court were (1) whether to
    adopt the Restatement (Third) of Torts for products liability claims, and (2)
    whether the adoption of the Restatement should apply retroactively.
    Answering the first question in the negative, the Supreme Court declined to
    address the second.     The Supreme Court ruled that the defendant was
    entitled to the benefit of the Court’s overruling of Azzarello, since they
    presented that argument to the trial court and preserved it on appeal. 
    Id. at 410.
      The Supreme Court did not address whether the defendant was
    entitled to judgment notwithstanding the verdict, a new trial, or other relief.
    
    Id. To summarize,
    Azzarello, with its strict prohibition on introducing
    negligence concepts into strict products liability claims, is no longer the law
    in Pennsylvania. The rule presently at issue—the prohibition of government
    or industry standards evidence in a strict products liability case—clearly has
    its genesis in the now-defunct Azzarello regime. The Lewis and Gaudio
    Courts both relied primarily on Azzarello to support the preclusion of
    - 15 -
    J-A33020-15
    government     or   industry   standards   evidence,     because   it   introduces
    negligence concepts into a strict liability claim.     According to Appellees, it
    follows that the trial court did not err in permitting the jury to consider the
    FMVSS evidence in connection with Appellant’s strict liability claims.
    Appellant and Amicus note that the Tincher Court did not make its holding
    retroactive, and that Tincher cited Lewis and Gaudio but did not overrule
    either case.   Thus, Appellant and Amicus argue that Lewis and Gaudio
    remain binding.
    We conclude that the overruling of Azzarello does not provide this
    panel with a sufficient basis for disregarding the evidentiary rule expressed
    in Lewis and Gaudio. While it is clear after Tincher that the firm division
    between strict liability and negligence concepts no longer exists, it is not
    clear that the prohibition on evidence of government or industry standards
    no longer applies. Lewis, in particular, noted that a defective design could
    be widespread in an industry.      
    Lewis, 528 A.2d at 594
    .          The Tincher
    opinion does not undermine that rationale for excluding governmental or
    industry standards evidence. Furthermore, Tincher expressed two theories
    of strict products liability—consumer expectations and risk-utility.         It is
    possible that government/industry standards evidence could be admissible
    under both theories, one and not the other, or neither. It is also possible
    that the admissibility of such evidence will depend upon the circumstances of
    a case.   The Tincher Court noted the possibility of shifting the burden of
    - 16 -
    J-A33020-15
    production and persuasion to the defendant under the risk-utility theory.
    This burden shift, if it becomes law, may provide defendants a basis to
    advocate for the admissibility of government or industry standards evidence
    in risk-utility cases.
    These contingencies illustrate that Tincher will affect every stage of
    future products liability cases.    Post-Tincher, parties must tailor their
    pleadings, discovery, and trial strategy to one or both of the new theories of
    liability. We believe the continued vitality of the prohibition on government
    and industry standards evidence is a question best addressed in a post-
    Tincher case.
    We note that here, unlike in Tincher, Appellees were not advocating
    for the overruling of binding precedent. Appellees’ arguments, and the trial
    court’s decision, rest on a misunderstanding of those cases, and/or an
    erroneous belief that Appellant’s negligence causes of action opened the
    door for the admissibility of FMVSS evidence despite the trial court’s entry of
    nonsuit on the negligence claims. Appellant, in bringing both negligence and
    strict liability claims, did not open the door to FMVSS evidence in the strict
    liability claims. The FMVSS evidence came in because it was relevant to the
    negligence claims. Perhaps Appellant risked jury confusion in the event all
    of his claims survived to be decided by a jury, or perhaps not. Regardless,
    that was a strategic choice for Appellant to make. See 
    Tincher, 104 A.3d at 406
    (“[T]he plaintiff is the master of the claim in the first instance.”). After
    - 17 -
    J-A33020-15
    nonsuiting the negligence claims, the trial court could and should have
    instructed the jury to disregard the FMVSS evidence.            We are unable to
    conclude, given the complexity of this case and the prominence of the
    FMVSS evidence, that the trial court’s error was harmless. The trial court’s
    erroneous jury instruction requires a new trial.
    We address Appellant’s remaining assertions of error to the extent
    they may be relevant on remand. Appellant’s third assertion of error is that
    the trial court improperly excluded expert rebuttal testimony.           Appellant
    sought to have his expert, Dr. David Renfroe (“Dr. Renfroe”), testify that he
    replicated the FMVSS 214 testing and the Volvo failed it.                Appellant
    purportedly offered this evidence as rebuttal evidence, but the trial court
    refused to admit it, concluding it was an untimely addition to Dr. Renfroe’s
    expert report. Given our conclusion that the FMVSS evidence is not relevant
    to Appellant’s remaining strict liability claims, this issue is moot.
    Appellant’s fourth argument is that the trial court erred in refusing to
    admit into evidence various Volvo advertisements touting the safety of
    several   Volvo   models    other   than   the   Volvo   850.      The   excluded
    advertisements reflect that Volvo’s 960 model contained rear door safety
    bars, as the Volvo 850 shoud have, according to Appellant.                    The
    advertisements touted the door bars as safety enhancements. Admission or
    exclusion of evidence rests within the sound discretion of the trial court, and
    we will not reverse the court absent and abuse of discretion or error of law.
    - 18 -
    J-A33020-15
    McManamon v. Washko, 
    908 A.2d 1259
    , 1268 (Pa. Super 2006), appeal
    denied, 
    921 A.2d 497
    (Pa. 2007).
    The trial court permitted testimony on the issue, but excluded the
    advertisements. Volvo witnesses testified that the bars enhanced the safety
    of the Volvo 960 but would have posed dangers in the Volvo 850. Thus, the
    trial court permitted Appellant to establish, through examination of Volvo
    personnel, Volvo’s belief that the rear door bars on the Volvo 960 enhanced
    its safety.   Admission of an advertisement stating the same thing would
    have been cumulative. See Pa.R.E. 403 (relevant evidence may be excluded
    if it is needlessly cumulative).    We discern no abuse of discretion in
    excluding the advertisements from evidence.
    Next, Appellant argues the trial court erred in quashing a subpoena
    issued to several Volvo witnesses. Appellant sought permission to call the
    subject witnesses and examine them during his case-in-chief. Volvo filed a
    motion to quash the subpoena. Our review of the record indicates that the
    trial court denied Volvo’s motion as moot during argument of the parties’
    motions in limine.    N.T. Motions, 11/4/2013, at 49.       Subsequently, it
    appears Appellant agreed to wait until Volvo’s case-in-chief to examine the
    witnesses in question.    N.T. Trial, 11/7/2013, at 5-6.      Several of the
    witnesses were international and were not scheduled to arrive until the
    following week. 
    Id. Under the
    Rules of Appellate Procedure, the appealing
    party bears the burden of informing this Court of the place of preservation of
    - 19 -
    J-A33020-15
    an issue presented on appeal. Pa.R.A.P. 2117(c). We are unable to discern
    from the record whether Appellant properly preserved this issue. The trial
    court deemed Volvo’s motion to quash as moot, and Appellant apparently
    agreed that cross examination of Volvo’s witnesses would be satisfactory.
    Were we to reach the merits of this issue, we would find it lacking in merit.
    As the trial court observed, the evidence Appellant seeks through the
    subpoena would have been cumulative of evidence Appellant garnered from
    the witnesses Volvo produced at trial.
    Next, Appellant argues the trial court erred in permitting Appellees’
    expert witnesses to testify that the victim would not have survived the
    accident even with rear door bars in the Volvo 850 or additional head
    restraint padding in the Car Seat. We observe:
    Whether a witness has been properly qualified to give
    expert witness testimony is vested in the discretion of the trial
    court. It is well settled in Pennsylvania that the standard for
    qualification of an expert witness is a liberal one.       When
    determining whether a witness is qualified as an expert the court
    is to examine whether the witness has any reasonable
    pretension to specialized knowledge on the subject under
    investigation.
    Wexler v. Hecht, 
    847 A.2d 95
    , 98-99 (Pa. Super. 2004), affirmed, 
    928 A.2d 973
    (Pa. 2007)
    Volvo presented the expert testimony of Deborah R. Marth, and Graco
    presented the expert testimony of Dr. Catherine Corrigan, both of whom are
    experts   in   biomechanics.   Appellant     argues   that   their   opinions   on
    survivability went beyond the scope of their expert qualifications, because
    - 20 -
    J-A33020-15
    they are not medical experts.          We disagree.      Dr. Marth testified that her
    education    included,       among   other     things,   a    doctorate   in   biomedical
    engineering. N.T. Trial, 11/13/14 (morning session), at 69. She described
    biomedical engineering as the “study of the human body in motion, and how
    accidents or crashes can occur, and how injuries can be inflicted upon
    them.”     
    Id. Dr. Marth
    testified that the addition of a door bar in the
    Involved Vehicle would not have reduced or mitigated the victim’s injury.
    
    Id. at 90.
    Dr. Corrigan testified that “[t]he field of biomechanics is the
    applications of principles of mechanical engineering to the human body. So I
    analyze how forces create movement, and how forces create injury.” N.T.
    Trial, 11/14/13 (morning session), at 13. “[T]he primary focus of the area
    of biomechanics is understanding from a physics perspective exactly how the
    injuries occur.”      Id.6     Ultimately, Dr. Corrigan testified that additional
    padding in the Car Seat head restraint would not have reduced the force to
    the victim’s head. 
    Id. at 57.
    We discern no merit in Appellant’s argument. Neither witness offered
    medical testimony regarding the cause of the victim’s death. Rather, they
    offered their opinions on the forces that caused the victim’s injuries—a
    subject well within their areas of expertise.                Both experts testified that
    ____________________________________________
    6
    We observe that Appellant did not object to the qualifications of either
    witness.
    - 21 -
    J-A33020-15
    Appellant’s proposed alternate designs would not have reduced the forces
    that caused the victim’s injuries. The trial court did not abuse its discretion
    in permitting this testimony. See, e.g., Pa. Trust Co. v. Dorel Juvenile
    Grp., Inc., 
    851 F. Supp. 2d 831
    , 838-39 (E.D.Pa. 2011) (biomechanical
    engineer qualified to testify as to the cause of injuries in a car accident;
    expert identifying the cause of an injury need not be a medical doctor).
    Finally, Appellant argues the trial court erred in declining to enter a
    directed verdict in favor of additional defendant Ana Webb, thereby leaving
    her on the verdict slip. As noted above, Ana Webb was the victim’s mother
    and the driver of the Involved Vehicle.        Defendant William Julian and
    Appellees filed cross claims against Ana Webb for negligence.        Appellant
    argues Ana Webb should have been dismissed from the case after the trial
    court directed a verdict in favor of Julian and entered nonsuit on Appellant’s
    negligence claims against Appellees. Appellant argues the trial court erred
    in submitting a verdict slip to the jury asking whether Ana Webb’s conduct
    contributed to the victim’s injuries, because the Appellant’s only remaining
    causes of action sounded in strict liability against Appellees.      Appellant
    argues this error entitles him to a new trial. Volvo argues the trial court’s
    action was proper because Appellees were entitled to contribution from Ana
    Webb in the event of a verdict against them.
    The record reveals that Appellant failed to preserve this issue in his
    post-trial motion. Appellant referenced the issue in a single sentence in the
    - 22 -
    J-A33020-15
    brief in support of his post-trial motion. We have held that omitting an issue
    from a post-trial motion but referencing it in a subsequent brief results in
    waiver. Empire Trucking Co. v. Reading Anthracite Coal Co., 
    71 A.3d 923
    , 932 (Pa. Super. 2013). “Appellant first raised the issue in its brief in
    support of the post-trial motion.              Pursuant to Pa.R.C.P. [No.] 227.1,[7]
    grounds for post-trial relief must be set forth in a post-trial motion. If not,
    those grounds are waived.” 
    Id. In summary,
    we have concluded that Appellant is entitled to a new
    trial on his strict liability claims.          We have concluded that Appellant’s
    remaining arguments are moot, waived, or lacking in merit. We therefore
    vacate the judgment and remand for further proceedings consistent with this
    memorandum.
    Judgment vacated. Case remanded. Jurisdiction relinquished.
    President Judge Emeritus Ford Elliott joins this memorandum.
    Judge Strassburger files a concurring memorandum.
    ____________________________________________
    7
    “[P]ost-trial relief shall not be granted unless the grounds therefor [. . .]
    are specified in the motion.” Pa.R.C.P. No. 227.1(b)(2).
    - 23 -
    J-A33020-15
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 6/24/2016
    - 24 -
    

Document Info

Docket Number: 1367 EDA 2014

Filed Date: 6/24/2016

Precedential Status: Non-Precedential

Modified Date: 12/13/2024