Maley, J. v. Shell Western Exploration ( 2018 )


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  • J-A11021-18
    NON-PRECEDENTIAL DECISION - SEE SUPERIOR COURT I.O.P. 65.37
    JOHN C. MALEY, ANNELIESE MALEY             :   IN THE SUPERIOR COURT OF
    & JOHN J. MALEY                            :        PENNSYLVANIA
    :
    Appellants              :
    :
    :
    v.                             :
    :
    :   No. 874 MDA 2017
    SHELL WESTERN EXPLORATION AND              :
    PRODUCTION, LP (SWEPI, LP); EAST           :
    RESOURCES, INC., AND GRADY                 :
    AUSTIN                                     :
    Appeal from the Judgment Entered May 4, 2017
    In the Court of Common Pleas of Tioga County Civil Division at No(s):
    352-CV-2012
    BEFORE: STABILE, J., NICHOLS, J., and PLATT, J.*
    MEMORANDUM BY NICHOLS, J.:                          FILED DECEMBER 18, 2018
    Appellants John C. Maley, Anneliese Maley, and John J. Maley
    (collectively, Maleys), appeal from the judgment entered in favor of Appellees
    Shell Western Exploration and Production, LP, and East Resources, Inc.
    (collectively, Shell), and against defendant Grady Austin. The Maleys raise
    several issues regarding the authentication and admission of photocopied
    documents purporting to grant Shell rights to oil and gas from the Maleys’
    property, jury instructions, and an alleged request to have the trial court strike
    the deed at issue. We affirm.
    ____________________________________________
    *   Retired Senior Judge assigned to the Superior Court.
    J-A11021-18
    We state the facts and procedural history as presented by the trial court:
    John J. and John C. Maley (father and son) are the owners of
    property consisting of approximately eighty acres in Wellsboro,
    Tioga County, Pennsylvania. John J. Maley’s wife Virginia Lee
    Maley was also a co-owner of the property prior to her passing
    during the pendency of this case and her interest transferred to
    John J. Maley. John C. Maley resides on the property with his wife
    Anneliese Maley and their children, as he did in 2005 when he was
    approached by Grady Austin regarding the possibility of entering
    into an oil and gas lease with East Resources, Inc. Mr. Austin was
    an independent landman working through Long Consulting Group,
    LLC [(Long)] which had been retained by East Resources, Inc. to
    obtain oil and gas leases in the Tioga County area. At first [John
    C.] Maley was reticent to enter into the gas lease but, after
    numerous meetings with Mr. Austin, [John C.] Maley and his
    parents ultimately did sign the gas lease along with a
    memorandum of lease [i.e., the “Shell” document1]. John J. and
    Virginia Maley never met with Mr. Austin and received all their
    information directly from their son prior to signing the lease and
    the memorandum. Shell Western Exploration and Production, LP
    (SWEPI) ultimately purchased the Maley[s’] lease, along with
    thousands of others, and are the current possessors of the lease.
    During the course of the litigation SWEPI became aware, and
    notified all other parties and the court, they were not in possession
    of the original lease and the document they believed to be the
    original lease was actually a copy.[2] They continue to be unable
    to produce the original lease signed by the Maleys.
    ____________________________________________
    1 The Shell document actually consists of two separate documents: an oil and
    gas lease and a memorandum of lease. Consistent with the record, we refer
    to them as a singular document. We also refer to the memorandum of lease
    as a “lease” in disposing of the Maleys’ fourth issue.
    2 The parties do not dispute that the Shell document is a photocopy. N.T. Pre-
    trial Hr’g, 10/7/16, at 29. Indeed, both parties acknowledged as such during
    their respective opening arguments. R.R. at 297a, 298a (citing to the
    reproduced record for the parties’ convenience). As discussed below, the
    central issue in this case is whether the photocopy is an accurate copy of the
    purported lease that the Maleys dispute signing.
    -2-
    J-A11021-18
    The Maleys claim the lease they signed called for the lease to end
    after five years if East Resources, Inc. had not established a well
    producing gas on their property and they were not receiving free
    gas. They assert there was nothing in the lease allowing for
    pooling or unitization.[3] John C. Maley contends Grady Austin
    promised him the lease included these provisions and he would
    have neither signed the lease nor advised his parents to do the
    same if it did not. When John C. Maley received notice from East
    Resources, Inc. they planned to unitize his property and therefore
    triggered the automatic renewal clause of the lease he began
    contacting East Resources, Inc. employees to complain that his
    lease did not contain such a provision. John C. Maley was
    ultimately provided with a copy of his lease but does not believe
    that it is the document he signed. After SWEPI purchased the
    Maleys’ lease John C. Maley continued to insist the lease they had
    was not the document he signed. [John C.] Maley continues to
    insist he did not sign either the lease produced by SWEPI or the
    Memorandum of Lease recorded in the Tioga County Recorder of
    Deeds’ office in the Tioga County Courthouse. Both documents
    were notarized by the notary, Dale Tillinghast, who admits he
    notarized both documents without ever meeting any of the Maleys
    or personally observing them sign the documents. Mr. Tillinghast
    notarized the documents at a Long Consulting Group office at the
    request of Grady Austin.
    John C. Maley, John J. Maley, Virginia Lee Maley, and Anneliese
    Maley initiated the current litigation by filing a complaint in federal
    court in the Middle District of Pennsylvania. The case was
    ultimately removed back to state court and the Tioga County Court
    ____________________________________________
    3 “Unitization refers to the consolidation of mineral or leasehold interests in oil
    or gas covering a common source of supply.” Amoco Prod. Co. v. Heimann,
    
    904 F.2d 1405
    , 1410 (10th Cir. 1990) (footnote and citations omitted). “While
    frequently used interchangeably, the terms ‘pooling’ and ‘unitization’ refer to
    separate procedures. Pooling involves the combination of several small tracts
    of land to meet the spacing requirements for a single well. Unitization refers
    to field-wide or partial field-wide operation of a producing reservoir involving
    multiple adjoining land tracts.” Id. at n.3 (citations omitted). Generally, the
    “unitization clause of an oil and gas lease grants the lessee the power to
    unitize the lessors interest without further consent by the lessor.” Id. at 1411
    (citations and footnote omitted).
    -3-
    J-A11021-18
    of Common Pleas where the Maleys filed a multi-count complaint[4]
    against [SWEPI], Shell Energy Holding GP, LLC, Shell U.S. E&P
    Investments, LLC, Shell Exploration and Production Company,
    Shell Oil Company, East Resources, Inc., Jane and John Doe of
    East Resources in his/her individual and official capacity . . . , Long
    Consulting Group, LLC, Jane and John Doe of Long Consulting
    Group, LLC, Grady Austin, in his individual and official capacity,
    and Dale Til[l]inghast, in his individual and official capacity.[5]
    Trial Ct. Op. at 1-3.
    During discovery, the court issued a scheduling order instructing the
    parties to exchange expert reports by June 30, 2015, among other things.
    Shell produced an initial report by its expert, Khody R. Detwiler, and served a
    supplemental report on or about August 17, 2015.            The Maleys, however,
    elected not to serve interrogatories on Shell regarding any proposed expert
    testimony.
    Prior to trial, the Maleys sought to exclude the Shell document and
    Shell’s expert testimony addressing whether the Maleys wrote the signatures
    reproduced in the Shell document. On June 24, 2016, the trial court permitted
    such testimony but precluded Detwiler from testifying as to whether the Shell
    document was an authentic copy of the lease. R.R. at 323a (Order, 6/24/16
    ____________________________________________
    4 The Maleys raised claims of fraud, fraud in the inducement, negligent
    misrepresentation, interference with prospective contractual relations, loss of
    consortium, breach of contract, and that the lease was void as a matter of
    law, among others.
    5 Long Consulting Group, LLC, Jane and John Doe of Long Consulting Group,
    LLC, Grady Austin, and Dale Tillinghast (collectively “Long”), are not parties
    to this appeal.
    -4-
    J-A11021-18
    (“[The Maleys’] motion requesting the exclusion of the testimony of [Shell’s]
    expert witness is hereby DENIED as to testimony regarding the authenticity
    of the signatures on the document and hereby GRANTED as to whether or not
    the copy is an authentic copy of the original lease.”)). The court also denied
    the motion to the extent the Maleys sought to exclude “any claim, assertion
    or opinion testimony” regarding the Shell document. R.R. at 185a; see also
    R.R. at 233a (Order, 6/24/16 (“[The Maleys’] motion seeking the exclusion of
    testimony regarding the so called ‘Shell Document’ is hereby DENIED.”)).
    At a subsequent pretrial hearing, the trial court explained its June 24th
    order as preventing Detwiler from testifying that the Shell document “is a true
    and correct copy of the lease” signed by the Maleys.         N.T. Pre-trial Hr’g,
    10/7/16, at 26. The trial court stated that Detwiler could still testify that the
    Shell document “appears consistent with copies of other leases.” Id. at 27.6
    The trial court summarized the remainder of the procedural history as
    follows:
    Trial was conducted October 18, 2016[,] through October 25,
    2016. After the close of [the Maleys’] case all participating
    [d]efendants moved for [non-suit, which the trial court granted in
    part and denied in part]. Claims went to the jury against [Shell],
    Long Consulting Group, LLC, and Grady Austin. The jury returned
    a verdict in John C. Maley’s favor as to Defendant Grady Austin in
    the amount of $80,000.00 for negligent misrepresentation and . .
    . against [the Maleys] as to all other counts. [The Maleys] and
    [SWEPI] filed post-trial motions.
    ____________________________________________
    6   We discuss Detwiler’s expert reports and testimony in further detail, infra.
    -5-
    J-A11021-18
    Trial Ct. Op. at 3-4. The trial court denied all post-trial motions and entered
    judgment on the verdict.
    The Maleys timely appealed from the judgment and filed a court-ordered
    Pa.R.A.P. 1925(b) statement.          The trial court filed a responsive Pa.R.A.P.
    1925(a) opinion.7
    The Maleys raise four issues:
    1. Did the trial court abuse its discretion and err as a matter of
    law in denying [the Maleys’] Motion in Limine and admitting the
    “Shell document” without requiring Shell to produce the original
    or authenticate the document as an accurate copy of the original
    lease the Maleys agreed to and signed?
    2. Did the trial court abuse its discretion and err as a matter of
    law in denying [the Maleys’] Motion in Limine to preclude [Shell’s]
    expert testimony, report and exhibits?
    3. Did the trial court err as a matter of law in instructing the jury
    on the “Uniform Photographic Copies of Business and Public
    Records as Evidence Act”?
    4. Did the trial court err as a matter of law in failing to direct the
    Recorder of Deeds to remove the fraudulently notarized
    Memorandum of Lease?
    Maleys’ Brief at 4 (issues reordered to facilitate disposition).
    ____________________________________________
    7  On June 7, 2017, the trial court ordered the Maleys to comply with Pa.R.A.P.
    1925(b) on or before Wednesday, June 28, 2017. The trial court docketed the
    Maleys’ Rule 1925(b) statement on Thursday, June 29, 2017. Although the
    filing appears untimely on its face, the record includes the Maleys’ official
    United States Postal Service Priority Mail envelope, which reflects a mailing
    date of June 27, 2017. See Pa.R.A.P. 1925(b)(1).
    -6-
    J-A11021-18
    Before addressing the Maleys’ arguments, we note our standard of
    review of an order denying a motion for a new trial is whether the trial court
    “committed an error of law or an abuse of discretion.” Joseph v. Scranton
    Times L.P., 
    129 A.3d 404
    , 432 (Pa. 2015) (citation omitted); see also Braun
    v. Wal-Mart Stores, Inc., 
    24 A.3d 875
    , 891-92 (Pa. Super. 2011) (per
    curiam) (citation omitted).8
    I. Evidentiary Issues Regarding the Shell Document
    By way of background, on June 30, 2015, Detwiler prepared his initial
    expert report. The report discussed his findings after comparing the Maleys’
    signatures on the Shell document and their verified, authentic signatures on
    other documents. R.R. at 69a. His report explicitly presumed that the copy
    he reviewed was a true and accurate reproduction of the original. 
    Id.
     at 71a.
    ____________________________________________
    8   The Court has defined abuse of discretion as follows:
    An abuse of discretion may not be found simply because an
    appellate court might have reached a different conclusion than the
    trial court; rather, to constitute an abuse of discretion, the trial
    court ruling must be the product of manifest unreasonableness,
    or partiality, prejudice, bias, or ill-will, or such lack of support so
    as to be clearly erroneous. Consequently, when reviewing the trial
    court’s exercise of discretion, it is improper for an appellate court
    to step into the shoes of the trial judge and review the evidence
    de novo.        As we consistently have emphasized in our
    jurisprudence, where the record does not reflect an abuse of
    discretion by the trial court, the Superior Court may not disturb a
    trial court’s discretionary ruling by substituting its own judgment
    for that of the trial court.
    Polett v. Pub. Comm’cns, Inc., 
    126 A.3d 895
    , 924 (Pa. 2015) (quotation
    marks, brackets, and citations omitted).
    -7-
    J-A11021-18
    Detwiler essentially opined that the Maleys wrote the signatures reproduced
    in the Shell document. 
    Id.
     at 71a-72a.
    Detwiler further concluded that there was no evidence that the Maleys’
    signatures were fraudulently placed on the Shell document. 
    Id.
     at 72a.
    It should be further noted that I found no evidence to substantiate
    or support the position that the signatures . . . were produced
    onto the [Shell document] through some type of transposition
    method (i.e. a “Cut-and-Paste” fabrication - either manually or
    digitally). If the signatures would have been the product of a
    “Cut-and-Paste” fabrication one would normally expect to find
    indicia of the fabrication process such as copying artifacts (i.e
    “trash marks”) or alignment/misalignment issues. In addition, the
    signatures that appear on the [Shell] document are not [identical
    to each other]; as such, there would have to have been multiple
    signature models employed to complete a “Cut-and-Paste”
    fabrication . . . . However, the only way to confirm this position
    would be to conduct a thorough and complete forensic
    examination of the original [Shell document].
    
    Id.
     at 72a. In other words, the alleged forger would have needed at least two
    different original signatures by the same author. 
    Id.
    On August 17, 2015, Detwiler prepared a supplemental report, which
    noted that he was provided with several original oil and gas leases for
    unrelated parties. R.R. at 123a. Detwiler was asked to determine whether
    the layout and format of the Shell document was consistent with the layout
    and format of the other original leases. 
    Id.
     at 125a. He concluded that the
    Shell document was consistent with those unrelated original leases. 
    Id.
     at
    126a.
    Detwiler testified about the foregoing at trial, see, e.g., R.R. at 651a,
    684a-85a, 704a, 712a, and Shell moved the Shell document into evidence
    -8-
    J-A11021-18
    without objection. 
    Id.
     at 653a. Copies of the pertinent exhibits were also
    published to the jury, and they could compare the signatures.
    On appeal, the Maleys contend that Shell failed to establish that the
    Shell document complied with all of the elements set forth in Pa.R.E. 803(6),
    the hearsay exception for records of a regularly conducted activity.
    Specifically, the Maleys argue that they presented “sufficient evidence to raise
    a genuine issue of fact regarding the authenticity and trustworthiness of the
    ‘Shell document.’”   Maleys’ Brief at 33.    The Maleys note that the Shell
    document (1) is a photocopy, (2) printed on paper sized differently than the
    lease the Maleys actually signed, (3) contains notarized signatures contrary
    to their undisputed testimony they did not sign before a notary, and (4) does
    not contain handwritten notations, unlike the documents the Maleys claimed
    they actually signed. Id. at 33-34. Additionally, the Maleys contend that the
    photocopy lacks “information about the original from which it was copied,” and
    point out that Shell never produced the original document. Id. at 33-35. The
    Maleys separately fault the trial court for not requiring Shell to authenticate
    the document under Pa.R.E. 902(11), and for accepting the representation of
    Shell’s counsel that the document was authentic. Id. at 39.
    Shell counters that the testimony of Detwiler, its document expert,
    established the Shell document’s authenticity. Shell’s Brief at 21-22. Shell
    contends that the Shell document is not excluded as hearsay under Pa.R.E.
    803(15), as it is a document affecting a property interest.      Id. at 22-23.
    -9-
    J-A11021-18
    Regardless, even if it was subject to Rule 803, Shell argues that the Shell
    document was not admitted for the truth asserted therein, but as rebuttal
    evidence to refute the Maleys’ testimony denying their signing of the
    document. Id. at 23-24.9
    In reply, the Maleys contend that Rule 803(15) does not apply because
    it is limited to statements within the document and not the document itself.
    Maleys’ Reply Brief at 13.10 In their view, Rule 803(15) “does not exempt the
    underlying document from satisfying admissibility requirements.” Id. at 13-
    14.
    We review a trial court’s evidentiary ruling for an abuse of discretion.
    Brady v. Urbas, 
    111 A.3d 1155
    , 1161 (Pa. 2015). “To the degree the issue
    of whether the law has been misapplied involves a purely legal question, it is
    reviewed de novo.” 
    Id.
     (citations omitted). We may also affirm on any basis.
    Mariner Chestnut Partners, L.P. v. Lenfest, 
    152 A.3d 265
    , 277 (Pa. Super.
    2016).
    The Pennsylvania Rules of Evidence closely follow the Federal Rules of
    Evidence.    Pa.R.E. 101 cmt.       Accordingly, we may rely on federal caselaw
    ____________________________________________
    9 Shell also noted that the Shell document had to be admitted in order for the
    Maleys to succeed on their claims for fraud, fraudulent inducement, and
    negligent misrepresentation. The Maleys did not address this apparent
    incongruity.
    10We note that in support, the Maleys reference and purport to quote
    comments to Rule 803(15). See Maleys’ Reply Brief at 13. Those comments,
    however, are not in Rule 803(15).
    - 10 -
    J-A11021-18
    construing the Federal Rules of Evidence to the extent they do not contradict
    the Pennsylvania Rules of Evidence. See NASDAQ OMX PHLX, Inc. v.
    PennMont Secs., 
    52 A.3d 296
    , 303 (Pa. Super. 2012). We may similarly be
    guided by the decisions of other states’ courts “to the degree we find them
    useful and not incompatible with Pennsylvania law.” Eckman v. Erie Ins.
    Exch., 
    21 A.3d 1203
    , 1207 (Pa. Super. 2011) (citation omitted). Additionally,
    we may rely on cases predating the enactment of the Pennsylvania Rules of
    Evidence to the extent they are not contrary. Commonwealth v. Aikens,
    
    990 A.2d 1181
    , 1185 n.2 (Pa. Super. 2010).
    A. Hearsay
    Pennsylvania Rule of Evidence 801 follows:
    (a) Statement. “Statement” means a person’s oral assertion,
    written assertion, or nonverbal conduct, if the person intended it
    as an assertion.
    (b) Declarant. “Declarant” means the person who made the
    statement.
    (c) Hearsay. “Hearsay” means a statement that
    (1) the declarant does not make while testifying at the current
    trial or hearing; and
    (2) a party offers in evidence to prove the truth of the matter
    asserted in the statement.
    Pa.R.E. 801. Thus, “hearsay” is “a person’s oral assertion, written assertion,
    or nonverbal conduct, if the person intended it as an assertion,” made by that
    person out of court and offered into “evidence to prove the truth of the matter
    asserted in the statement.” Pa.R.E. 801(a), (c).
    - 11 -
    J-A11021-18
    There are many situations in which evidence of a statement is
    offered for a purpose other than to prove the truth of the matter
    asserted.
    Sometimes a statement has direct legal significance, whether or
    not it is true. For example, one or more statements may
    constitute an offer, an acceptance, a promise, a guarantee, a
    notice, a representation, a misrepresentation, defamation,
    perjury, compliance with a contractual or statutory obligation, etc.
    Pa.R.E. 801 cmt.11
    ____________________________________________
    11 The note to Federal Rule of Evidence 801(c) similarly states that if “the
    significance of an offered statement lies solely in the fact that it was made, no
    issue is raised as to the truth of anything asserted, and the statement is not
    hearsay.” Fed. R. Evid. 801(c) note (citation omitted). As the comment and
    note states, a written contract has independent legal significance, regardless
    of the veracity of any assertions or statements within the contract. See Fed.
    R. Evid. 801(c) note; Pa.R.E. 801 cmt. In United States v. Iverson, 
    818 F.3d 1015
     (10th Cir. 2016), the United States Court of Appeals for the Tenth
    Circuit, reasoned as follows:
    The issue is whether evidence that the statement was made is in
    itself relevant to a material issue in the case. For example, the
    statement may be the predicate for a defamation claim; if so, the
    statement is not being offered for its truth (it is actionable because
    it is false) and is not hearsay. Or a promise to do something may
    be offered into evidence to prove the existence of a contract even
    if the promisor was insincere in making the promise. The promise
    is not offered into evidence to prove the “truth” of the promisor’s
    statement. The promise itself has independent legal significance,
    so there is no hearsay issue. In both circumstances, the evidence
    of the statement is not being used to prove the truth of some
    assertion but “merely to show that it was actually made.”
    Id. at 1020 (citations omitted); Kepner-Tregoe, Inc. v. Leadership
    Software, Inc., 
    12 F.3d 527
    , 540 (5th Cir. 1994) (holding a contract “has
    legal reality independent of the truth of any statement contained in it. Under
    the objective theory of contracts, the fact that two parties signed a contract
    is enough to create legal rights, whatever the signatories might have been
    thinking when they signed it. The admission of a contract to prove the
    - 12 -
    J-A11021-18
    ____________________________________________
    operative fact of that contract’s existence thus cannot be the subject of a valid
    hearsay objection.” (footnote omitted)). For example, in Consol. Rail Corp.
    v. Thomas, 
    463 N.E. 2d 315
     (Ind. Ct. App. 1984), the Court held the trial
    court did not err by admitting a photocopied contract over a hearsay objection
    because it was offered for “its independent legal significance” and therefore
    was not hearsay. 
    Id. at 320
     (citation omitted); accord, e.g., Stuart v.
    UNUM Life Ins. Co. of Am., 
    217 F.3d 1145
    , 1154 (9th Cir. 2000) (holding
    district court erred by concluding contract was inadmissible hearsay because
    “it is a legally operative document that defines the rights and liabilities of the
    parties in this case.” (citation omitted)); Mueller v. Abdnor, 
    972 F.2d 931
    ,
    937 (8th Cir. 1992) (holding that a contract is not hearsay, particularly
    “evidence of lost profits based on a contract . . . because such evidence
    concerns the existence of the contractual terms rather than an assertion of
    their ‘truth.’” (citation omitted)); United States v. Rubier, 
    651 F.2d 628
    ,
    630 (9th Cir. 1981) (“Facts of independent legal significance constituting a
    contract which is at issue are not hearsay.” (citation omitted)); Padilla v.
    United States, 
    58 Fed. Cl. 585
    , 593 (Fed. Cl. 2003) (holding that when “the
    evidence offered has legal significance independent of the truth of any
    statement contained in it, it is not hearsay.” (citations omitted)); Brooks v.
    Firestone Polymers, LLC, 
    70 F. Supp. 3d 816
    , 825 n.2 (E.D. Tex. 2014)
    (holding that a “contract, however, is not hearsay because it has independent
    legal significance.” (citation omitted)); Crompton Greaves, Ltd. v. Shippers
    Stevedoring Co., 
    776 F. Supp. 2d 375
    , 386 (S.D. Tex. 2011) (same); State
    v. Villena, 
    400 P.3d 571
    , 579 (Haw. 2017) (construing identical Hawaii Rule
    of Evidence 802 and holding licensing letter was not hearsay); Island
    Directory Co. v. Iva’s Kinimaka Enters., Inc., 
    859 P.2d 935
    , 939 (Haw.
    Ct. App. 1993) (holding that it “is well-settled that in a suit for breach of
    contract, the contract allegedly breached is not hearsay and is thus admissible
    into evidence.” (citations omitted)); Deep Keel, LLC v. Atl. Private Equity
    Grp., 
    773 S.E.2d 607
    , 613 (S.C. Ct. App. 2015) (holding that because the
    “loan documents were offered to establish the existence of a contract and the
    terms of that contract,” they were not hearsay under substantially similar
    South Carolina Rule of Evidence 801); McKelvey v. Hamilton, 
    211 P.3d 390
    ,
    396 (Utah Ct. App. 2009) (interpreting identical Utah Rule of Evidence 801
    and rejecting argument that letter accepting offer was “inadmissible hearsay
    because proof of the existence of a contract is based entirely upon the letter’s
    truth,” because letter was non-hearsay act of contract); Bank of Am. NA v.
    Neis, 
    835 N.W.2d 527
    , 541 (Wis. Ct. App. 2013) (citing numerous legal
    authorities for the proposition of “a consensus rule that contracts . . . are not
    hearsay when they are offered only for their legal effect, not ‘to prove the
    truth of the matter asserted’” in construing similar Wisconsin equivalent to
    - 13 -
    J-A11021-18
    A contract may be admitted to establish a claim of fraud, see generally
    Rempel v. Nationwide Life Ins. Co., Inc., 
    370 A.2d 366
    , 372 (Pa. 1977),
    which requires proof of the following:
    (1) a representation; (2) which is material to the transaction at
    hand; (3) made falsely, with knowledge of its falsity or
    recklessness as to whether it is true or false; (4) with the intent
    of misleading another into relying on it; (5) justifiable reliance on
    the misrepresentation; and (6) the resulting injury was
    proximately caused by the reliance.
    Gibbs v. Ernst, 
    647 A.2d 882
    , 889 (Pa. 1994) (footnote omitted).
    A contract may also be evidence of fraud in the inducement, which
    “claims that the representations were fraudulently made and that ‘but for
    them’ he would never have entered into the agreement.” Blumenstock v.
    Gibson, 
    811 A.2d 1029
    , 1036 (Pa. Super. 2002); see generally Rempel,
    370 A.2d at 372. Similarly, a contract could establish a claim for negligent
    misrepresentation,      which     requires     establishing   the   following:   “(1)   a
    misrepresentation of a material fact; (2) made under circumstances in which
    the misrepresenter ought to have known its falsity; (3) with an intent to induce
    another to act on it; and (4) which results in injury to a party acting in
    ____________________________________________
    Rule 801); see also Hydrite Chem. Co. v. Calumet Lubricants Co., 
    47 F.3d 887
    , 892 (7th Cir. 1995) (stating, “it is direct evidence, not hearsay,
    when a party to a dispute over a contract testifies to the offer or the
    acceptance made by the other contracting party.”); see generally David F.
    Binder, Hearsay Handbook § 2:6 (4th ed. 2017) (citing cases for proposition
    that a “written contract has independent legal significance”).
    - 14 -
    J-A11021-18
    justifiable reliance on the misrepresentation.” Bilt-Rite Contractors, Inc. v.
    The Architectural Studio, 
    866 A.2d 270
    , 277 (Pa. 2005) (citation omitted).
    Here, the Shell document was not subject to the hearsay rule. The Shell
    document is a lease that in and of itself has direct, independent legal
    significance, regardless of any statements within the lease. See Pa.R.E. 801
    cmt.; see, e.g., Iverson, 818 F.3d at 1020; Kepner-Tregoe, 
    12 F.3d at 540
    . Contrary to the Maleys’ protestations, Shell did not have to comply with
    Pa.R.E. 803(6) or 803(15). Moreover, admission of the Shell document would
    have assisted proving the Maleys’ claims for fraud, fraud in the inducement,
    and negligent misrepresentation. See Bilt-Rite Contractors, 866 A.2d at
    277; Blumenstock, 
    811 A.2d at 1036
    ; Gibbs, 647 A.2d at 889; see
    generally Rempel, 370 A.2d at 372. For these reasons, the trial court did
    not abuse its discretion in permitting the introduction of the Shell document,
    although we affirm on different reasoning. See Brady, 111 A.3d at 1161;
    Mariner Chestnut Partners, 152 A.3d at 277.
    B. Authentication
    The Maleys also challenge the authenticity of the Shell document, albeit
    in the context of a hearsay exception for business records. We address their
    arguments to the extent they can be construed as a general challenge to the
    Shell document’s authenticity.
    Pennsylvania Rule of Evidence 901 addresses authentication:
    (a) In General. To satisfy the requirement of authenticating or
    identifying an item of evidence, the proponent must produce
    - 15 -
    J-A11021-18
    evidence sufficient to support a finding that the item is what the
    proponent claims it is.
    Pa.R.E. 901(a).12
    Pennsylvania Rule of Evidence 901(b) lists several examples of evidence
    fulfilling section 901(a), including 901(b)(3): “Comparison by an Expert
    Witness or the Trier of Fact. A comparison with an authenticated specimen
    by an expert witness or the trier of fact.” Pa.R.E. 901(b)(3). The comment
    to Rule 901(b)(3) provides as follows:
    . . . When there is a question as to the authenticity of an exhibit,
    the trier of fact will have to resolve the issue. This may be done
    by comparing the exhibit to authenticated specimens. Under this
    rule, the court must decide whether the specimen used for
    comparison to the exhibit is authentic. If the court determines
    that there is sufficient evidence to support a finding that the
    specimen is authentic, the trier of fact is then permitted to
    compare the exhibit to the authenticated specimen.           Under
    Pennsylvania law, lay or expert testimony is admissible to assist
    the jury in resolving the question. See, e.g., 42 Pa.C.S. § 6111.
    ____________________________________________
    12   In Crompton Greaves, the district court explained as follows:
    Because a contract is not hearsay, to be admissible it need only
    be authenticated.       The requirement of authentication or
    identification as a condition precedent to admissibility is satisfied
    by evidence sufficient to support a finding that the matter in
    question is what its proponent claims.           The standard for
    authenticating evidence is low and may be satisfied by evidence
    sufficient to support a finding that the matter in question is what
    its proponent claims.
    Crompton Greaves, 
    776 F. Supp. 2d at 386
     (citations and quotation marks
    omitted).
    - 16 -
    J-A11021-18
    Pa.R.E. 901 cmt. (some citations omitted).13
    A statute also governs the admissibility of expert opinion evidence
    regarding handwriting. 42 Pa.C.S. § 6111.
    (b) Comparison of handwriting.—It shall be competent for
    experts in giving their testimony, under the provisions of this
    section, to make comparison of documents and comparison of
    disputed handwriting with any documents or writing admitted to
    be genuine, or proven to the satisfaction of the judge to be
    genuine, and the evidence of such experts respecting the same
    shall be submitted to the jury as evidence of the genuineness or
    otherwise of the writing in dispute.
    (c) Comparison of signatures.—It shall be competent for
    experts in formulating their opinions to the court and jury to place
    the genuine and disputed signatures or writing in juxtaposition,
    and to draw the attention of the jury thereto; and it shall
    furthermore be competent for counsel to require of an expert a
    statement of the principles on which he has based his work, the
    details of his work, and his opinion that the results are important
    to the point at issue, or the reasoning, analysis and investigation
    by which he has arrived at his opinion.
    (d) Jury question.—The opinions of the witnesses to handwriting
    being submitted as competent testimony to the jury, the final
    determination as to whether any particular handwriting is genuine
    or simulated shall remain, as heretofore, a question for the jury
    on all the evidence submitted.
    42 Pa.C.S. § 6111(b)-(d).
    ____________________________________________
    13Pennsylvania Rule of Evidence 902(11), upon which the Maleys rely, states
    that a document is self-authenticating if it fulfills the requirements of Pa.R.E.
    803(6), which sets forth a hearsay exception for records of a regularly
    conducted business activity. See Pa.R.E. 902(11); see also Pa.R.E. 803(6).
    We note that self-authentication is not the only method of authentication.
    - 17 -
    J-A11021-18
    Initially, no party disputes that the Shell document is a photocopy.14
    The Maleys asserted they did not actually sign the original lease from which
    the copy was purportedly made, i.e., the Shell document.          In contrast,
    Detwiler opined both in his expert reports and at trial that assuming the Shell
    document was an accurate reproduction, the Maleys actually signed the
    original lease.    See, e.g., R.R. at 71a-72a, 651a.   Detwiler compared the
    undisputed authentic signatures of the Maleys with the signatures on the Shell
    document. See, e.g., R.R. at 651a. More critically, Detwiler testified that the
    layout and format of the Shell document is comparable to the layout and
    format of authentic leases. See, e.g., R.R. at 126a, 684a-85a.
    Given the low threshold for authentication evidence, see Crompton
    Greaves, 
    776 F. Supp. 2d at 386
    , the trial court properly permitted the
    evidence to be considered by the jury. See Brady, 111 A.3d at 1161. The
    jury was aware of the parties’ respective positions regarding the Shell
    document and the Maleys’ signatures.15 The Shell document was admitted
    into evidence without objection and published to the jury for their evaluation.
    R.R. at 653a. It was left to the jury to make the ultimate determination as to
    the genuineness of the Maleys’ signatures and the Shell document. See 42
    ____________________________________________
    14There was a brief discussion as to whether the Shell document is a first or
    subsequent-generation copy, i.e., a copy of a copy.
    15Because we conclude the Shell document was not hearsay, we need not
    address the Maleys’ contention of error under Pa.R.E. 902(11).
    - 18 -
    J-A11021-18
    Pa.C.S. § 6111(d); Pa.R.E. 901 cmt. Accordingly, we perceive no abuse of
    discretion by the trial court in letting the Shell document go to the jury.
    C. The Best Evidence Rule
    The Maleys raise a third argument in support of their issue that the trial
    court impermissibly admitted the Shell document. They posit that Shell was
    required to produce the original document under Pa.R.E. 1002. Maleys’ Brief
    at 40.   No statute, the Maleys insist, exempted Shell from producing the
    original lease. Id. In the Maleys’ view, they presented sufficient evidence
    that the Shell document should have been precluded under Pa.R.E. 1003. Id.
    at 42. Such evidence, according to the Maleys, included their testimony that
    the Shell document was not the lease they signed, id. at 43, and evidence
    that the Shell document could have been altered without detection. Id. at 46.
    The Maleys similarly argue that Shell failed to provide sufficient secondary
    evidence that the photocopy was an accurate duplicate of the original. Id. at
    48.
    Pennsylvania Rule of Evidence 1002 states that an “original writing,
    recording, or photograph is required in order to prove its content unless these
    rules, other rules prescribed by the Supreme Court, or a statute provides
    otherwise.” Pa.R.E. 1002. The comment to Rule 1002 provides as follows:
    This rule corresponds to the common law “best evidence rule.”
    The rationale for the rule was not expressed in Pennsylvania
    cases, but commentators have mentioned four reasons justifying
    the rule.
    - 19 -
    J-A11021-18
    (1) The exact words of many documents, especially operative or
    dispositive documents, such as deeds, wills or contracts, are so
    important in determining a party’s rights accruing under those
    documents.
    (2) Secondary evidence of the contents of documents, whether
    copies or testimony, is susceptible to inaccuracy.
    (3) The rule inhibits fraud because it allows the parties to examine
    the original documents to detect alterations and erroneous
    testimony about the contents of the document.
    (4) The appearance of the original may furnish information as to
    its authenticity.
    Pa.R.E. 1002 cmt. (citations omitted).16
    Pennsylvania Rule of Evidence 1004 states as follows, in relevant part:
    An original is not required and other evidence of the content of a
    writing, recording, or photograph is admissible if:
    (a) all the originals are lost or destroyed, and not by the proponent
    acting in bad faith;
    Pa.R.E. 1004. The comment notes that “[w]hen the proponent of the evidence
    alleges that it is lost, there should be evidence that a sufficient search was
    made.” Id. cmt. (citation omitted).
    Pennsylvania Rule of Evidence 1008 discusses the role of the jury when
    one or more of the following issues are raised:
    ____________________________________________
    16 Pennsylvania Rule of Evidence 1003 provides that a “duplicate is admissible
    to the same extent as the original unless a genuine question is raised about
    the original’s authenticity or the circumstances make it unfair to admit the
    duplicate.” Pa.R.E. 1003.
    - 20 -
    J-A11021-18
    Ordinarily, the court determines whether the proponent has
    fulfilled the factual conditions for admitting other evidence of the
    content of a writing, recording, or photograph under Rule 1004 or
    1005.[17] But in a jury trial, the jury determines—in accordance
    with Rule 104(b)[18]—any issue about whether:
    (a) an asserted writing, recording, or photograph ever existed;
    (b) another one produced at the trial or hearing is the original; or
    (c) other evidence of content accurately reflects the content.
    Pa.R.E. 1008.
    One treatise noted the following with respect to the interaction between
    Rules 1002, 1003, and 1004.
    Pa.R.E. 1002 requires the party seeking to prove the content of a
    writing, recording or photograph to offer the original of the
    writing, recording or photograph. In some cases production of the
    original is excused. For example, under Pa.R.E. 1003 a duplicate
    is admissible to the same extent as the original. Pa.R.E. 1004 and
    1005 are exceptions to Pa.R.E. 1002.            Under these rules
    production of the original is excused and the contents of a writing,
    recording or photograph may be proven by other evidence
    provided that the requirements of these Rules are met. Ordinarily
    this is a preliminary question to be decided by the court under
    Pa.R.E. 104. But under Pa.R.E. 1008, in a jury trial, the jury
    determines—in accordance with Rule 104(b)—any issue about
    whether (a) the writing, recording or photograph ever existed; (b)
    the one produced at trial is the original; or (c) other evidence of
    content accurately reflects the content. This means that the court
    should make a preliminary determination of whether the
    ____________________________________________
    17Pennsylvania Rule of Evidence 1005 discusses copies of public records. See
    Pa.R.E. 1005. No party has argued the rule applies here.
    18 Pennsylvania Rule of Evidence 104(b) follows: “(b) Relevance That
    Depends on a Fact. When the relevance of evidence depends on whether a
    fact exists, proof must be introduced sufficient to support a finding that the
    fact does exist. The court may admit the proposed evidence on the condition
    that the proof be introduced later.” Pa.R.E. 104(b).
    - 21 -
    J-A11021-18
    proponent has offered sufficient evidence to support a finding of
    the facts required by Pa.R.E. 1004 or 1005. If not, the evidence
    is excluded. If the court finds that the evidence is sufficient to
    support a finding of the facts required by Pa.R.E. 1004 or 1005,
    the evidence is admitted and the jury decides whether the writing,
    recording or photograph ever existed, the one produced at trial is
    the original, or the evidence of content accurately reflects the
    content of the original.
    Leonard Packel & Anne Bowen Poulin, 1 West’s Pa. Practice, Evidence § 1008-
    1 (4th ed. 2013).
    The importance of the jury’s role in resolving authenticity was addressed
    in United States v. Hatfield, 
    685 F. Supp. 2d 318
     (E.D.N.Y. 2010).            In
    Hatfield, a criminal case, the government wished to bar the defendant from
    introducing a duplicate copy of a purportedly fraudulent original document,
    citing Fed.R.Evid. 1003.19 Hatfield, 
    685 F. Supp. 2d at 319-20
     (summarizing
    the government’s position that because the original was fraudulent, the
    defendant should be barred from introducing a copy at trial). The district court
    disagreed, reasoning that because the government had expressly “den[ied]
    that an authentic original [document] ever existed,” the copy must be
    admitted. 
    Id. at 320
    .20
    ____________________________________________
    19 “A duplicate is admissible to the same extent as the original unless a
    genuine question is raised about the original’s authenticity or the
    circumstances make it unfair to admit the duplicate.” Fed.R.Evid. 1003.
    20   The Hatfield court reasoned as follows:
    Under Federal Rule of Evidence 1008(a), “when an issue is raised”
    regarding “whether the asserted writing ever existed,” the “issue
    - 22 -
    J-A11021-18
    Here, we agree with the discussion of the interaction of the Article X
    evidentiary rules set forth in 1 West’s Pa. Practice, Evidence § 1008-1, as well
    as the rationale of the courts that have addressed this precise evidentiary
    issue: given the Maleys’ position that the Shell document was fabricated, the
    question of whether the Shell document was an authentic copy was a fact
    ____________________________________________
    is for the trier of fact to determine.” This is because “it is often
    true that these questions determine outcome” and “few would
    doubt that the jury should decide whether a written [document]
    existed for purposes of deciding the case on the merits.”
    Christopher B. Mueller and Laird C. Kirkpatrick, 5 FED. EVID. §
    10:40 (3d ed.). Consequently, the jury, and not the Court, must
    determine whether the [document at issue] is genuine. And,
    accordingly, [the defendant] must be permitted to introduce both
    a copy of the [document], and any evidence he has supporting
    the [document’s] legitimacy. See Hill v. City of Houston, 
    235 F.3d 1339
     (Table), 
    2000 WL 1672663
    , *7 (5th Cir. 2000)
    (unpublished) (given Rule 1008, “the question of whether exhibit
    eight is a fake or rather, authentic copy was a fact question which
    was properly submitted to the jury”); Tinley v. Poly–Triplex
    Technologies, Inc., 07–CV–1136, 
    2009 WL 812150
    , *7 (D. Colo.
    Mar. 26, 2009) (permitting copy of agreement to be admitted into
    evidence, despite genuine questions concerning whether an
    original ever existed, because “evidence suggesting that the
    Tinley Agreement never existed, as well as the credibility of the
    parties’ testimony regarding the existence of the Tinley
    Agreement are questions for the jury to decide under Rule 1008”).
    The Government may, of course, attack the legitimacy of the
    [document], and the credibility of any evidence [the defendant]
    uses to try to substantiate it. But “these questions go to the
    weight, rather than the admissibility of the evidence.” Tinley,
    
    2009 WL 812150
     at *7.
    Hatfield, 
    685 F. Supp. 2d at 320
    ; see Dietrich v. Bauer, 
    126 F. Supp. 2d 759
    , 764 (S.D.N.Y. 2001) (holding that conflicting expert witness testimony
    regarding authenticity of exhibit established a “dispute of fact as to the
    authenticity of the document,” which was properly left for the jury).
    - 23 -
    J-A11021-18
    question properly left for the jury. See, e.g., Hatfield, 
    685 F. Supp. 2d at 320
    ; Dietrich, 
    126 F. Supp. 2d at 764
    . Shell could not produce the original
    lease. The parties have not referred this Court to any evidence of record of
    bad faith. See Pa.R.E. 1004(a).      Thus, without evidence of bad faith, the
    mere fact that Shell (or one of its corporate predecessors who had possessed
    the original) lost or destroyed the original lease at issue is insufficient to bar
    Shell from attempting to introduce a photocopy, subject to applicable legal
    authorities.
    In the case before us, Shell provided expert witness testimony on the
    authenticity of the Maleys’ signatures and the format and layout of the Shell
    document, as compared to other authentic leases.         Such expert testimony
    conflicted with the Maleys’ testimony that they did not sign the original lease.
    Thus, it was for the jury to weigh the credibility of the conflicting testimony.
    See, e.g., Hatfield, 
    685 F. Supp. 2d at 320
    ; Dietrich, 
    126 F. Supp. 2d at 764
    .   But that determination is necessarily a question of weight and not
    admissibility. See Hatfield, 
    685 F. Supp. 2d at 320
    . Accordingly, we discern
    no abuse of discretion with the trial court’s decision to admit the Shell
    document and not exclude it under the best evidence rule, as well as permit
    the jury to resolve the question of fact. See Pa.R.E. 1008; Brady, 111 A.3d
    at 1161; see, e.g. Hatfield, 
    685 F. Supp. 2d at 320
    ; Dietrich, 
    126 F. Supp. 2d at 764
    ; R.R. at 651a, 684a-85a; Leonard Packel & Anne Bowen Poulin, 1
    West’s Pa. Practice, Evidence § 1008-1 (4th ed. 2013).
    - 24 -
    J-A11021-18
    II. Preclusion of the Testimony of Shell’s Expert Testimony
    Initially, we reiterate that the Maleys did not serve interrogatories on
    Shell regarding any proposed expert testimony.         Shell produced Detwiler’s
    reports and he testified at trial regarding his conclusions. We quote from the
    disputed trial testimony, which was during Shell’s direct examination of
    Detwiler:
    [Shell’s counsel]: Now, did you do anything else to determine
    whether there may have been any alterations to the questioned
    documents?
    [Detwiler]: One of the other things we did -- the rest of this chart
    goes through more illustrations like this, but one of the other
    things, in particular with the oil and gas lease, was when you
    examined the document from the reverse side, more specifically
    the signature page, some things copied through on the document
    that I looked at. Again, the document that I examined at Attorney
    Mercer’s office was a color photocopy. But when you examine the
    reverse side of the signature page, you can actually see that the
    bleed-through[21] bled through and it was copied over into the
    document that I examined. And I do have a brief illustration,
    which will help you understand that, but the other thing that
    copied through was also the notarial stamp; so, this is consistent
    ____________________________________________
    21   Detwiler defined bleed-through as follows:
    Bleed-through is more of a generic term that we would use in the
    field; but bleed-through occurs when you write on the surface of
    a page. The best example I can give you is my five-year-old using
    a Sharpie on a coffee table. When you write through and you turn
    the page over you can see where it bled through and you’re just
    hoping that it didn’t get on something. So, that is what bleed-
    through is, in a generic sense. And when I examined this
    document, even though it was a photocopy, the photocopier
    picked up the presence of what appears to be bleed-through on
    the reverse side of the signature page.
    R.R. at 693a.
    - 25 -
    J-A11021-18
    with the document that I examined being a photocopy of a
    document that contained original writing with respect to the
    signatures, and the notarial stamp and the notarial act itself where
    the names were written in. But, again, like I said, I have an
    illustration that will help you understand this...
    N.T. Detwiler, 10/21/16, at 62. The Maleys did not object.
    Shell subsequently asked Detwiler to discuss an addendum he had
    prepared—specifically,   a   document        comparison   chart—to   Detwiler’s
    supplemental report. The addendum purports to be a pristine and marked-up
    copies of the signature page of the lease at issue, as reproduced below:
    - 26 -
    J-A11021-18
    In response to a query by the Maleys’ counsel, Shell’s counsel stated
    the above addendum was prepared “earlier this month,” N.T. Detwiler,
    10/21/16, at 67, i.e., a few weeks before trial began.22 The Maleys objected
    as follows:
    [Maleys’ counsel]: I would object it’s not timely. The deadline for
    the expert reports was a certain time and clearly, I mean, asking
    questions about this, and I object to the additional information.
    The expert reports should be the four corners of what was
    produced in June and August 2015.
    The court: Do you want to respond [Shell’s counsel]?
    ____________________________________________
    22 Detwiler later testified it was prepared sometime in the week before trial.
    N.T. Detwiler, 10/21/16, at 82. Shell should have, but did not, file an
    amended or supplemental pretrial memorandum referencing this exhibit,
    given its use during Detwiler’s direct examination.
    - 27 -
    J-A11021-18
    [Shell’s counsel]: Your Honor, it, it is – it’s not going beyond the
    scope of the expert report. It is additional explanation to the Jury
    to support the conclusion of the supplemental report.
    The court: I’ll allow it.
    N.T. Detwiler, 10/21/16, at 68.
    Detwiler then testified that bleed-through on the photocopy was
    evidence that the Maleys’ signatures were not fraudulently placed on the
    original source of the photocopy:
    [Shell’s counsel]: Well, before we get into an analysis of of [sic]
    that bleed-through, what does the presence of bleed-through tell
    you?
    [Detwiler]: The presence of bleed-through, even on a photocopy,
    tells you that, even though you can’t say it’s a true and accurate
    reproduction of the original, you can certainly say that the
    document itself that was copied, it copied a document that
    contained original writing at some point in time. So, that’s what
    the bleed-through tells you is that there was original writing on
    whatever it was that was copied.
    Q: Now, can you explain for the Jury that bleed-through that you
    were talking about using [the addendum]?
    A: Sure. If you look at the very first page; what I’ve done here is
    just a reproduction on the left-hand side of the signature page. I
    just -- more or less the bottom half, it’s not the entire page, on
    the left-hand side. On the right-hand side is actually an image of
    the reverse of that signature page. And then if you turn to page
    two; again, on the left-hand side is a reproduction of the reverse
    side, and I’ve highlighted three boxes in gray and I’ve enlarged
    them off to the right. And I’ve placed a bunch of small red arrows
    that show, on this document, which would actually be toner, but
    it was a reproduction of what appears to be consistent with bleed
    -through based on where the document demonstrated these
    characteristics. Again, surrounding the signatures, surrounding
    the texts and the notarial act, where their names were written
    out; and then, again, with the actual notary stamp on the bottom,
    - 28 -
    J-A11021-18
    where it was stamped through and you can see it coming through.
    ...
    *     *      *
    Q: Now, what -- how does this support a conclusion that the
    signature block wasn’t somehow cut out of one document and and
    [sic] pasted on to the memorandum of lease?
    A: Sure. If the memorandum of lease would have been a a [sic]
    cut and paste fabrication and these signatures were cut out of
    something else, they would have been cut out in original format,
    because we do have bleed-through coming through, so you can
    see that. If the signatures were cut out in original format from
    the original document then pasted together, because it’s a color
    photocopy, that’s a very good quality, the document that I
    examined, you would certainly be able to see either tape marks
    or Wite-Out or anything else where those marks would be. So,
    again, this just provides further evidence that I could find no
    evidence to support the proposition that the documents could
    have been a cut and paste.
    Id. at 69-72.     The Maleys did not object to the addendum’s admission as
    Shell’s exhibit nine. Id. at 78; see also R.R. at 877a-79a (Shell’s exhibit
    nine).
    Subsequently, on cross-examination, Detwiler testified that he found no
    evidence that the Shell document was not a true and accurate reproduction of
    the original lease at issue, but he could not confirm that without examining
    the lost original:
    [Maleys’ counsel]: And your assumption that those photocopies
    were a true and accurate reproduction of the original document,
    that’s what your report is clarifying; isn’t that correct?
    [Detwiler]: No, I could find no evidence that they weren’t. But,
    again, without access to the original there’s no way to confirm
    that, which is what it says on the following page [of his initial
    expert report]. Page 4 [of] 7: However, the only way to confirm
    - 29 -
    J-A11021-18
    this position would be to conduct a thorough and complete
    forensic examination of the original [Shell] document[].
    N.T. Detwiler, 10/21/16, at 83.         Detwiler also reiterated that he was
    comparing signatures, id. at 84, could only testify that the signatures were
    written on a document, id. at 85, and found no evidence that the signatures
    were artificially placed. Id. at 86.
    On appeal, the Maleys raise several arguments regarding the trial
    court’s decision to permit Detwiler to testify based on the original and
    supplemental reports. Maleys’ Brief at 63. In the Maleys’ view, the original
    report was prejudicial and confusing for two reasons. First, the Maleys argue
    the report presumed that the Shell document was an accurate reproduction of
    the original. Id. at 64. Second, the report, according to the Maleys, was
    substantially limited to evaluating the signature page. Id. at 65-66. Thus, in
    the Maleys’ view, the report “was unfairly prejudicial and confusing to the jury
    to permit Detwiler to give testimony on the ‘Shell document’ without first
    establishing it was a relevant and authentic copy of the original lease the
    Maleys’ signed.” Id. at 66.
    The Maleys similarly assail the foundations of Detwiler’s supplemental
    report.   Specifically, the Maleys claim that because the report merely
    compared the margins and spacing of the Shell document against other
    comparable leases, an expert report was unnecessary. Id. at 66-67.
    In addition, the Maleys argue that the trial court erred by permitting
    Detwiler to testify beyond the fair scope of both of his reports.     Id. at 69
    - 30 -
    J-A11021-18
    (citing Pa.R.C.P. 4003.5(c)). Specifically, the Maleys allege that during his
    testimony, Detwiler used a demonstrative exhibit and testified about “bleed-
    through”, which the Maleys claim was not discussed in Detwiler’s reports. Id.
    at 73-74.   The Maleys therefore conclude they were prejudiced by unfair
    surprise.
    Shell counters by initially arguing that Detwiler’s testimony assisted the
    jury because it pertained directly to the Maleys’ claim that their signatures
    were improperly placed on the lease at issue. Shell’s Brief at 47. In any
    event, Shell contends that Detwiler’s testimony did not violate the fair scope
    requirement of Pa.R.C.P. 4003.5(c), because the rule does not apply. Shell
    explains that in their view, Rule 4003.5(c)’s fair scope restriction “applies only
    when an expert’s report has been developed” via interrogatories or court-
    ordered discovery.    Id. at 48.   Because the Maleys did not pursue either
    option, Shell argues Rule 4003.5(c) does not apply. Id. at 49.
    But even presuming Rule 4003.5(c) applied, Shell continues, Detwiler’s
    bleed-through testimony fell within the scope of his supplemental report. Id.
    at 51. Shell argues that Detwiler was retained to identify any evidence that
    the Maleys’ signatures were fabricated.        Id. at 52. Detwiler’s testimony
    regarding the bleed-through, Shell concludes, falls within that scope. Id. at
    53-54.
    - 31 -
    J-A11021-18
    The standard of review is whether the trial court abused its discretion
    by permitting the expert testimony. See Brady, 111 A.3d at 1161; accord
    Rost v. Ford Motor Co., 
    151 A.3d 1032
    , 1042 (Pa. 2016).
    Pennsylvania Rule of Evidence 702 addresses expert testimony:
    A witness who is qualified as an expert by knowledge, skill,
    experience, training, or education may testify in the form of an
    opinion or otherwise if:
    (a) the expert’s scientific, technical, or other specialized
    knowledge is beyond that possessed by the average layperson;
    (b) the expert’s scientific, technical, or other specialized
    knowledge will help the trier of fact to understand the evidence or
    to determine a fact in issue; and
    (c) the expert’s methodology is generally accepted in the
    relevant field.
    Pa.R.E. 702. “An opinion is not objectionable just because it embraces an
    ultimate issue.”     Pa.R.E. 704.      A “trial court may exclude expert opinion
    testimony if the probative value of the testimony is outweighed by the
    potential to cause confusion or prejudice.”23 Green v. Pa. Hosp., 123 A.3d
    ____________________________________________
    23   One treatise explains:
    Prejudice, of course does not mean detrimental to a party’s case
    but rather an undue tendency to suggest decision on an improper
    basis. Exclusion is based on the concern that the evidence would
    cause the jury to base its decision on something other than the
    legal propositions relevant to the case or would divert the jury’s
    attention away from their duty of weighing the evidence
    impartially. Evidence may be admitted despite its prejudicial
    character if its probative value and importance to the case warrant
    it.
    - 32 -
    J-A11021-18
    310, 325 (Pa. 2015) (citations omitted); see Pa.R.E. 403. This Court has also
    held that “the trial court will not be reversed in ruling upon the admissibility
    of testimony to the ultimate issue in the case unless the trial court clearly
    abused its discretion and actual prejudice occurred.” Childers v. Power Line
    Equip. Rentals, Inc., 
    681 A.2d 201
    , 210 (Pa. Super. 1996) (internal brackets
    and citation omitted).
    Pennsylvania Rule of Civil Procedure 4003.5 addresses discovery of
    expert testimony:
    Rule 4003.5. Discovery                  of   Expert   Testimony.   Trial
    Preparation Material
    (a) Discovery of facts known and opinions held by an expert,
    otherwise discoverable under the provisions of Rule 4003.1 and
    acquired or developed in anticipation of litigation or for trial, may
    be obtained as follows:
    (1) A party may through interrogatories require
    (A) any other party to identify each person whom the
    other party expects to call as an expert witness at trial
    and to state the subject matter on which the expert is
    expected to testify and
    (B) subject to the provisions of subdivision (a)(4),[24] the
    other party to have each expert so identified state the
    substance of the facts and opinions to which the expert
    is expected to testify and a summary of the grounds for
    each opinion. The party answering the interrogatories
    ____________________________________________
    Leonard Packel & Anne Bowen Poulin, 1 West’s Pa. Practice, Evidence § 403-
    1 (4th ed. 2013) (internal quotation marks and footnotes omitted).
    24This subdivision pertains to privileged communications not pertinent here.
    See Pa.R.C.P. 4003.5(a)(4).
    - 33 -
    J-A11021-18
    may file as his or her answer a report of the expert or
    have the interrogatories answered by the expert. The
    answer or separate report shall be signed by the expert.
    *       *    *
    (c) To the extent that the facts known or opinions held by an
    expert have been developed in discovery proceedings under
    subdivision (a)(1) or (2)[25] of this rule, the direct testimony of
    the expert at the trial may not be inconsistent with or go beyond
    the fair scope of his or her testimony in the discovery proceedings
    as set forth in the deposition, answer to an interrogatory,
    separate report, or supplement thereto. However, the expert
    shall not be prevented from testifying as to facts or
    opinions on matters on which the expert has not been
    interrogated in the discovery proceedings.
    Pa.R.C.P. 4003.5(a), (c) (emphasis added). 26           “The purpose of [Pa.R.C.P.
    4300.5(a)(1)(B)] is to avoid unfair surprise by enabling the adversary to
    prepare a response to the expert testimony.” Woodard v. Chatterjee, 
    827 A.2d 433
    , 441 (Pa. Super. 2003) (citation omitted).
    The purpose of Pa.R.C.P. 4003.5(c) “is to prevent incomplete or fudging
    of reports which would fail to reveal fully the facts and opinions of the expert
    or his grounds therefor. In other words, the fair scope rule favors the liberal
    ____________________________________________
    25 This subdivision provides that “[u]pon cause shown, the court may order
    further discovery by other means, subject to such restrictions as to scope and
    such provisions concerning fees and expenses as the court may deem
    appropriate.” Pa.R.C.P. 4003.5(a)(2).
    26As the comment to the rule states, counsel “may be well advised to
    conduct his discovery broadly, by paraphrasing the language of 4003.5(a),
    which will require the expert to state all his opinions and grounds, thus
    preventing surprise testimony at trial concerning grounds never raised
    during the discovery.” Pa.R.C.P. 4003.5(a) cmt.
    - 34 -
    J-A11021-18
    discovery of expert witnesses and disfavors unfair and prejudicial surprise.”
    
    Id.
     (brackets, internal quotation marks, and citations omitted). The comment
    to Rule 4003.5(c) provides:
    Where the full scope of the expert’s testimony is presented in the
    answer to interrogatories or the separate report, as provided in
    subdivisions (a)(1) and (2), this will fix the permissible limits of
    his testimony at the trial. But, if the inquirer limits his inquiry to
    one or more specific issues only, the expert is free to testify at
    trial as to any other relevant issues not included in the discovery.
    Therefore, what happens at the trial may depend upon the
    manner in which the expert is interrogated. The inquirer
    may be well advised to conduct his discovery broadly, by
    paraphrasing the language of 4003.5(a), which will require the
    expert to state all his opinions and grounds, thus preventing
    surprise testimony at trial concerning grounds never raised during
    the discovery.
    Pa.R.C.P. 4003.5 cmt. (emphasis added).
    In Barrick v. Holy Spirit Hosp. of the Sisters of Christian Charity,
    
    32 A.3d 800
    , 810 (Pa. Super. 2011) (en banc), this Court explained the strict
    scope of non-party expert interrogatories:
    Our Supreme Court has interpreted how Pa.R.C.P. 4003.5
    interacts with the general scope of discovery, announcing that
    Pa.R.C.P. 4003.5 should be read to restrict the scope of all
    discovery from non-party witnesses retained as experts in trial
    preparation. Thus, according to our Supreme Court, any request
    for discovery not covered under Pa.R.C.P. 4003.5(a)(1) shall be
    channeled through the Rule’s cause shown criterion.
    Under Pa.R.C.P. 4003.5(a)(1), the rule allows a party to submit
    interrogatories to any other party, requiring the opposition to
    identify each of their expert witnesses as well as “to have each
    expert so identified state the substance of the facts and opinions
    to which the expert is expected to testify and a summary of the
    grounds for each opinion.” Pa.R.C.P. 4003.5(a)(1). . . . We also
    underscore that Pa.R.C.P. 4003.5(a)(1) narrowly defines the
    substantive inquiries that a party may require an opposing expert
    - 35 -
    J-A11021-18
    to answer in an interrogatory. As this section of the rule specifies,
    a party may only require opposing experts to state the facts and
    opinions to which they are expected to testify and to summarize
    the grounds for each such opinion. Any other interrogatory, aside
    from these two specific inquiries, exceeds the scope of the plain
    language contained within Pa.R.C.P. 4003.5(a)(1). Consequently,
    as indicated by our Supreme Court’s construction of Pa.R.C.P.
    4003.5, to obtain further discovery regarding the testimony of an
    expert witness by means other than this narrowly defined set of
    interrogatories, a party must show cause and acquire a court order
    for the additional discovery.
    Barrick, 
    32 A.3d at 809-10
     (emphases in original and internal quotation
    marks and citations omitted).
    Initially, the Maleys’ argument, at heart, is that Detwiler should have
    been precluded from testifying because the reports forming the basis of his
    expert conclusions were purportedly prejudicial and confusing. All parties, the
    trial court, and the jury were well aware that one of the issues was whether
    the Maleys’ signatures were fraudulently placed on the Shell document.
    Detwiler’s reports, which formed the basis of his expert testimony, addressed
    the former. See Pa.R.E. 704. Indeed, as we discussed above, 42 Pa.C.S. §
    6111 permitted Detwiler’s expert testimony on handwriting. See 42 Pa.C.S.
    § 6111. Based on the foregoing, we decline to hold that the trial court abused
    its discretion by holding that the Maleys’ allegations of undue prejudice would
    have caused the jury to base its decision on an improper basis. See Childers,
    
    681 A.2d at 210
    .
    Further, we decline to address whether Detwiler’s bleed-through
    testimony fell within the fair scope of either of his reports. We do so because
    - 36 -
    J-A11021-18
    the Maleys failed to propound any interrogatories appropriately directed to
    Shell’s experts, such as Detwiler. See Pa.R.C.P. 4003.5 & cmt. Absent court
    order, interrogatories are the only means to discover the facts and opinions
    of an expert’s testimony. See Barrick, 
    32 A.3d at 809-10
    . Thus, the Maleys’
    decision to not send expert interrogatories meant Detwiler was not precluded
    from testifying about bleed-through—a matter “on which the expert has not
    been interrogated in the discovery proceeding.”     See Pa.R.C.P. 4003.5(c).
    Further, to the extent the Maleys challenge the addendum, they failed to
    object to its admission.   N.T. Detwiler, 10/21/16, at 78. For these reasons,
    no relief is due.
    III. Instructing the Jury on the Uniform Photograph Copies of
    Business and Public Records as Evidence Act, 42 Pa.C.S. § 6109
    The Maleys next claim that the trial court erred in issuing a jury
    instruction based on Section 6109. Shell responds that the Maleys waived this
    issue because they failed to contemporaneously object when the instruction
    was given, but regardless, the claim lacks merit.
    A. Waiver of Jury Charge Issue
    “Whether [a party] waived their challenge to the jury instruction
    presents a question of law for which our standard of review is de novo; our
    scope of review is plenary.” Passarello v. Grumbine, 
    87 A.3d 285
    , 291 n.4
    (Pa. 2014) (citations omitted). “Our courts have made clear that an appellant
    must make a timely and specific objection to a jury instruction to preserve for
    review a claim that the jury charge was legally or factually flawed.” Braun,
    - 37 -
    J-A11021-18
    
    24 A.3d at 968
     (citation omitted); see generally Pa.R.C.P. 227.            As the
    Pennsylvania Supreme Court noted:
    It has long been the law in this Commonwealth that in order to
    preserve for appellate review an issue concerning the correctness
    of a trial court’s charge to the jury, the complaining party must
    submit a specific point for charge or make a timely, specific
    objection to the charge as given.
    Broxie v. Household Fin. Co., 
    372 A.2d 741
    , 743 (Pa. 1977).
    In Shinal v. Toms, 
    162 A.3d 429
     (Pa. 2017) (plurality), the plaintiffs
    filed a brief in opposition to the defendant’s proposed jury charge. 
    Id.
     at 451
    n.26. The court overruled the objection. 
    Id.
     Following a defense verdict, the
    plaintiffs “again raised the issue in a timely post-trial motion.” 
    Id.
     A majority
    of the Shinal Court held that by “lodging a specific objection to the proposed
    charge, and challenging the charge in their post-trial motion, the [plaintiffs]
    preserved their objection.” 
    Id.
     Furthermore, according to the Shinal Court,
    at the hearing on the plaintiffs’ post-trial motion, the trial court addressed the
    jury charge issue, considered the issue preserved, and held it lacked merit.
    
    Id.
     (citing Jones v. Montefiore Hosp., 
    431 A.2d 920
    , 923 n.5 (Pa. 1981),
    in support of the proposition that “[a]lthough no specific objection was made
    at trial to the charge given, appellants’ exception to the trial court’s refusal to
    charge as requested . . . was sufficient to put that charge before us for
    appellate review.”); accord Jones v. Ott, 
    191 A.3d 782
    , 791 n.13 (Pa. 2018)
    (plurality) (majority of Court agrees jury charge issue preserved when party
    - 38 -
    J-A11021-18
    files proposed jury instructions, obtains trial court ruling, and raises issue in a
    post-trial motion).
    Here, similar to the plaintiffs in Shinal, the Maleys objected to the
    instruction at issue at the charging conference. N.T. Trial Anneliese Maley,
    10/18/16, at 81 (“I strongly oppose any ruling or any instruction that says
    Pennsylvania says a copy’s acceptable”), 85; see also id. at 90. Although
    the Maleys did not explicitly object when the court actually issued the disputed
    instruction or before the jury began its deliberations, identical to the plaintiffs
    in Shinal, the Maleys also filed a post-trial motion reiterating their challenge
    to the jury instruction. See Shinal, 162 A.3d at 451 n.26; R.R. at 907a-08a;
    accord Jones, 191 A.3d at 791 n.13. Identical to the trial court in Shinal,
    the instant trial court addressed it on the merits in its Rule 1925(a) decision.
    See id.   Moreover, Shell has not referred this Court to any binding legal
    authority requiring counsel to not only object at the charging conference, but
    also object “contemporaneously,” i.e., at the time “the instruction is given to
    the jury.” Shell’s Brief at 40. For these reasons, we decline to find waiver.
    B. Merits of Jury Charge Issue
    Before summarizing the Maleys’ arguments, we reproduce the following
    exchange from the parties’ charging conference:
    [Maleys’ counsel]: Your Honor, I’m wondering if you could explain
    to me how putting a charge about Pennsylvania Law says a copy’s
    acceptable, when the issue in this case is that the Plaintiffs are
    saying the copy that you produced is not the document I signed.
    You’re sending the message that the copy is something that can
    - 39 -
    J-A11021-18
    be used to enforce an agreement that these people say they never
    entered. So, I’m, I’m really --
    The court: -- well, the law does allow that. If, if this Jury
    determines -- they’re going to determine credibility, they’re going
    to determine who they believe, they’re going to determine
    whether the Maleys were fraudulently induced to enter into this -
    -
    [Maleys’ counsel]: -- okay --
    The court: -- what is purported to be this lease?
    [Maleys’ counsel]: Yes.
    The court: All right?
    [Maleys’ counsel]: So, how does the instruction that says
    Pennsylvania allows copies going to assist in that? Or because –
    The court: -- I’ll tell you what, if you can assure me you’re not
    going to argue to the Jury that the absence of the copy supports
    the fraud, then I don’t have to advise the Jury of the law.
    [Maleys’ counsel]: I don’t understand. The, the absence of the
    copy?
    The court: If you’re not -- if you’re telling me you’re not going to
    argue -- essentially, [Shell’s counsel], I assume, is making a
    preemptive argument that you’re going to argue, to the Ladies
    and Gentleman of the Jury, that because [Shell] doesn’t have the
    original document, they should find in favor of your client.
    [Maleys’ counsel]: Right.
    The court: That does not fairly represent the law. That, in fact,
    leaves the Jury without the appropriate law and invites them to
    make a decision that is directly counter to the law in Pennsylvania.
    [Maleys’ counsel]: Wait a second, I don’t - I, I -- I am not following
    how instructing the Jury that says, the law in Pennsylvania says a
    copy is okay – my clients are saying the copy that has been
    produced is not the copy they signed. It’s not the document they
    signed. It’s not a copy that belongs to their efforts and their ways.
    - 40 -
    J-A11021-18
    To say that a copy is okay implies that the copy is something my
    client signed. If the Jury’s role is to decide whether or not my
    clients prevailed or not --
    The court: -- which it is --
    [Maleys’ counsel]: -- stating that Pennsylvania Law does not
    require an original; is that what -- can you read it out to me,
    because I think --
    The court: -- it is based -- it’s based on the statute.
    [Maley’s counsel]: The Business Record Statute?
    The court: It’s based on the statute of Title 42 § 6109(b):
    “Pennsylvania Law allows a company to make a photocopy of a
    document and use that photocopy to the same extent as it would
    use the original. A company that has made such a photocopy is
    not required to keep the original document. Moreover, the
    photocopy is as admissible in evidence as the original itself.”
    [Maley’s counsel]: Except, Your Honor --
    The court: -- now, that’s not been admitted,[27] so I won’t give the
    last part of that.
    [Maleys’ counsel]: But, Your Honor, the issue with that is there’s
    nothing in there about authenticity. When a company destroys
    the original, they got some kind of record of authenticity,
    something that shows that the document that they’ve got is
    authentic. So, you know, that’s talking about invoices and, you
    know, large volumes of things where there’s not a lot of question
    about the terms. This particular document is term sensitive.
    Every single word matters. And to imply that a copy is the same
    as, or can replace the original, as if the original can be destroyed
    -- basically saying: well, [Shell’s corporate designee] testified to
    that that’s an appropriate business practice. I find that -- it causes
    me a huge amount of concern, Your Honor.
    ____________________________________________
    27We presume the court misspoke or was referencing the original lease
    because the Shell document was admitted into evidence. See Maleys’ Trial
    Ex. 4; Shell’s Trial Ex. 5.
    - 41 -
    J-A11021-18
    The court: And I understand that, but, honestly, that’s not the
    question before the -- that’s a question for the legislature. That’s
    not a question for this Court, nor a question for the Jury.
    [Maleys’ counsel]: I think that the instruction that you’re about to
    give will give the wrong impression, because it sounds like it
    doesn’t matter -- if a company keeps the original document, it’s
    okay to just show up with something that’s in their file, so that
    someone in Mr. Maley’s position can never ever succeed, because
    the company just has to have the original. I mean, excuse me --
    [The court]: -- that’s not true, he can, he can -- your clients can
    prevail, if you can convince the Jury that, in fact, the fraud that
    you’ve alleged occurred. . . . -- the fraud that you’ve alleged is
    that the lease -- is that this, the document they purport to be the
    lease is not the lease.
    [Maley’s counsel]: Right.
    [The court]: All right?
    [Maleys’ counsel]: Right.
    [The court]: You’re entitled to present whatever evidence you can,
    but you’re not entitled to argue to the Jury: because they don’t
    have the original, you should find that they have defrauded my
    clients and then hoodwink the Jury, or prevent the Jury from
    acquiring – or expect me to prevent the Jury from having the
    knowledge that, in fact, there is a statute that provides, that
    permits companies to do this.
    R.R. at 748a-52a.
    Subsequently, the trial court reiterated that it was going to prevent the
    Maleys from arguing that because Shell was unable to provide the original
    “wet ink” document, the jury could presume a fraud occurred. Id. at 754a.
    (“I will not couch the situation of arguing to the Jury that: because we didn’t
    get the lease -- because you can’t see the wet ink lease, you can just, Ladies
    - 42 -
    J-A11021-18
    and Gentleman, go down there and presume that a fraud occurred. That,
    that’s your burden. You’ve got to prove that.”). Maleys’ counsel responded
    as follows:
    [Maleys’ counsel]: Your Honor, what about the fact that there’s
    no, nothing in these instructions that requires there to be any
    authenticity involved with the business record? In other words,
    will you include something that at least says the business records
    need to be authentic first before they’re copied and destroyed?
    The court: What do you mean authentic?
    [Maleys’ counsel]: I mean original documents that are connected
    to the action and the person they purport to be connected to.
    Once a business has a way to establish authenticity, I can see
    making, you know, doing a copy and having their chain of, your
    chain of custody, or something like that, that shows what they
    did. That would make sense. But to just do an -- you know, like,
    you don’t have to have a -- a copy works -- it leaves a whole piece
    out where my clients are really prejudiced by that instruction.
    The court: Okay.
    [Maleys’ counsel]: So, I would like there to be something about
    the authenticity of these, Your Honor.
    The court: All right. I appreciate your remarks. I will consider
    them as we, as we go through this.
    Id. at 755a.
    Following the conference, the parties gave their closing arguments. The
    Maleys argued that the Shell document is a photocopy and emphasized the
    importance of having an original. N.T. Closing Arguments, 10/21/16, at 6, 9-
    10. The Maleys emphasized that they did not sign the Shell document. Id.
    at 13.
    - 43 -
    J-A11021-18
    The trial court instructed the jury that “Pennsylvania law does allow a
    company to make a photocopy of a document and use the photocopy to the
    same extent as it would use the original.       A company that has made a
    photocopy is not required to keep the original document.”           N.T. Jury
    Instructions, 10/21/16, at 24, R.R. at 791a.
    The Maleys contend that the court erred by overruling their objections
    to the jury instruction regarding the Photographic Copies Act. Maleys’ Brief at
    52.   In their view, there was insufficient basis to invoke the act and thus
    instruct the jury. Id. Specifically, the Maleys contend that under the Uniform
    Business Records as Evidence Act, 42 Pa.C.S. § 6108, Shell had the burden of
    establishing the trustworthiness of the photocopy, but failed to fulfill that
    burden.   Id. at 54-55.   The Maleys reiterate that the lease was notarized
    without the notary witnessing the signatures and that the original lease was
    printed on the letter-sized paper. Id. at 56.
    In sum, the Maleys insist as follows:
    [the charge] went to the most fundamental issues in the case:
    that Shell did not have the original lease and the “Shell document”
    was not the original lease the Maleys’ agreed to and signed. The
    trial court essentially told the jury that [Shell] had no
    responsibility to preserve the Maleys’ lease in its original
    condition. [Shell was] not required to explain why they did not
    produce the original lease document. Nor were they required to
    prove that the photocopy was an accurate reproduction of the
    Maleys’ original lease. The erroneous instruction misled the jury
    to believe that the “Shell document” was equivalent to the Maleys’
    original lease. The jury was further misled to believe that the
    “Shell document” which contains inter alia fraudulent
    notarizations, was not a basis to find fraud or negligence against
    - 44 -
    J-A11021-18
    [Shell]. Since the photocopy is considered the same as the
    original there can be no harm.
    Id. at 61-62.
    Shell counters that the trial court’s instruction was proper and even
    assuming otherwise, the issuance of the instruction was harmless error.
    Shell’s Brief at 43. Shell explains the instruction was proper because it had
    overcome the Maleys’ prior arguments that the lease was hearsay and lacked
    proper authentication. Id. As for harmless error, Shell points out that the
    court did not order “the jury that it had to accept the [l]ease as valid or
    enforceable.”   Id.    Rather, according to Shell, the instruction properly
    conveyed to the jury that the absence of an original lease did not permit the
    jury to presume liability. Id. at 44-45.
    The standard of review follows:
    In reviewing a claim regarding error with respect to a specific jury
    charge, we must view the charge in its entirety, taking into
    consideration all the evidence of record to determine whether or
    not error was committed. If we find that error was committed,
    we must then determine whether that error was prejudicial to the
    complaining party. Error will be found where the jury was
    probably misled by what the trial judge charged or where there
    was an omission in the charge which amounts to fundamental
    error.
    Error in a charge is sufficient ground for a new trial, if the charge
    as a whole is inadequate or not clear or has a tendency to mislead
    or confuse rather than clarify a material issue. A charge will be
    found adequate unless the issues are not made clear to the jury
    or the jury was palpably misled by what the trial judge said or
    unless there is an omission in the charge which amounts to
    fundamental error. A reviewing court will not grant a new trial on
    the ground of inadequacy of the charge unless there is a
    prejudicial omission of something basic or fundamental.
    - 45 -
    J-A11021-18
    The court is vested with substantial discretion in fashioning the
    charge and may select its own language cognizant of the need to
    adequately apprise the jury of the law as it applies to the evidence
    adduced at trial. Unless the language the court chose incorrectly
    states the law or mischaracterizes the evidence in a way that
    prejudiced the jury’s consideration and thereby undermined the
    accuracy of the verdict, we will not interfere with the court’s
    exercise of discretion.
    Braun, 
    24 A.3d at 968
     (citations omitted). “The purpose of a jury charge is
    to clarify the legal principles at issue. Thus, a jury instruction will be upheld
    if it accurately reflects the law and is sufficient to guide the jury in its
    deliberations.” Machado v. Kunkel, 
    804 A.2d 1238
    , 1244 (Pa. Super. 2002)
    (citation omitted).
    The instruction was based on the Photographic Copies Act, which follows
    in pertinent part:
    If any business institution . . . in the regular course of business or
    activity, has kept or recorded any memorandum, writing, entry,
    print, representation, or combination thereof, of any act,
    transaction, occurrence or event, and in the regular course of
    business has caused any or all of the same to be recorded, copied
    or reproduced by any photographic, photostatic, microfilm,
    microcard, miniature photographic, or other process which
    accurately reproduces or forms a durable medium for so
    reproducing the original, the original may be destroyed, in the
    regular course of business, unless its preservation is required by
    law. Any such reproduction in order to comply with this section
    must accurately reproduce all lines and markings which appear on
    the original. Such reproduction, when satisfactorily identified, is
    as admissible in evidence as the original itself in any judicial or
    administrative proceeding, whether the original is in existence or
    not, and an enlargement or facsimile of such reproduction is
    likewise admissible in evidence if the original reproduction is in
    existence and available for inspection under direction of the
    tribunal. The introduction of a reproduced record, enlargement or
    facsimile does not preclude admission of the original.
    - 46 -
    J-A11021-18
    42 Pa.C.S. § 6109(b).28
    Section 6109 is a statutory analogue to Pa.R.E. 1002, as each permits
    the use of a copy in place of an original. See Pa.R.E. 1002; see generally
    Leonard Packel & Anne Bowen Poulin, 1 West’s Pa. Practice, Evidence § 1002-
    1 (4th ed. 2013).       Just because section 6109 permits the admission of a
    duplicate does not mean the duplicate is not subject to Pennsylvania Rule of
    Evidence 1003.
    Pennsylvania Rule of Evidence 1003 states that a “duplicate is
    admissible to the same extent as the original unless a genuine question is
    raised about the original’s authenticity or the circumstances make it unfair to
    admit the duplicate.”       Pa.R.E. 1003.      As the comment to the rule notes,
    “various Pennsylvania statutes have treated some accurate copies as
    admissible,” including copies of business records under Section 6109.           Id.
    cmt.
    The extension of similar treatment to all accurate copies seems
    justified in light of modern practice. . . . As a result, Pa.R.E. 1003
    should tend to eliminate purely technical objections and
    unnecessary delay. In those cases where the opposing party
    raises a genuine question as to authenticity or the fairness of using
    a duplicate, the trial court may require the production of the
    original under this rule.
    ____________________________________________
    28 The statute was enacted in 1976, prior to the 1998 adoption of the
    Pennsylvania Rules of Evidence. The comment to Section 6109 states that it
    is substantially similar to 28 P.S. §§ 141 and 143, the statutory predecessors,
    which were enacted in 1951. 42 Pa.C.S. § 6109 cmt.
    - 47 -
    J-A11021-18
    Id. cmt.
    One treatise discusses the interplay between Rule 1003, i.e., under the
    facts of this case, 42 Pa.C.S. § 6109, and Rule 1008:
    There is some question about how the rule will operate, at least
    in some situations. Assume that a witness testifies that a
    document is a photocopy of the original document. The photocopy
    would be admissible as a duplicate under Pa.R.E. 1003. But
    assume that the opposing party objects and offers a witness who
    will testify that the alleged original document never existed or that
    the alleged duplicate’s content is different than the original. The
    photocopy would not be admissible under the common law rule,
    but the outcome is not clear under Pa.R.E. 1003. If this testimony
    presents a genuine question as to the authenticity of the original,
    Pa.R.E. 1003 seems to suggest that the photocopy is not
    admissible. However, Pa.R.E. 1008 seems to suggest that this
    type of issue is to be resolved by the jury. Probably, the court
    should follow the approach provided in Pa.R.E. 1008 and decide
    only whether there is sufficient evidence to support a finding that
    the photocopy is a duplicate of the original. If not, the alleged
    duplicate should be excluded. If the court finds there is sufficient
    evidence to support a finding that it is a duplicate, the court should
    admit the alleged duplicate and leave the question of authenticity
    to the jury. This result would be consistent with Pa.R.E. 104(b).
    Leonard Packel & Anne Bowen Poulin, 1 West’s Pa. Practice, Evidence § 1003-
    1 (4th ed. 2013); see also id. § 1008-1.
    Here, no party disputes that the Shell document was a copy. All parties,
    the court, and the jury were aware that the original lease was lost and the key
    issue was whether the photocopied Shell document accurately depicted the
    original lease. See, e.g., N.T. Closing Arguments, 10/21/16, at 6, 9-10, 13;
    Maleys’ Trial Ex. 4; Shell’s Trial Ex. 5. The disputed jury instruction generally
    tracks the language of section 6109.          Compare N.T. Jury Instructions,
    10/21/16, at 24, with 42 Pa.C.S. § 6109. Because it accurately reflects the
    - 48 -
    J-A11021-18
    law, we cannot conclude the trial court erred in its framing of the jury charge
    on the Photographic Copies Act. See Machado, 
    804 A.2d at 1244
    .
    Additionally, the instruction did not mislead the jury into believing it
    must accept the photocopy as authentic. The instruction advised the jury that
    a company is permitted to use a photocopy and is not required to keep an
    original.   See N.T. Jury Instructions, 10/21/16, at 24, R.R. at 791a.     The
    disputed instruction did not—contrary to the Maleys’ arguments—instruct the
    jury that the Shell document was “equivalent to the Maleys’ original lease.”
    See Maleys’ Brief at 61-62.
    Moreover, even assuming the court erred by either issuing the
    instruction or by omitting an additional instruction about authenticity, we
    discern nothing in the charge that ultimately undermined the accuracy of the
    jury’s verdict.    See Braun, 
    24 A.3d at 968
    .    Both parties introduced the
    photocopied Shell document into evidence. See Maleys’ Trial Ex. 4; Shell’s
    Trial Ex. 5.      Both parties presented testimony and evidence addressing
    whether the Shell document was an accurate, authentic duplicate of the
    original.   See, e.g., R.R. at 651a, 684a-85a.     It was left for the jury to
    ascertain whether the Shell document was, in fact, an accurate depiction of
    the original lease.    See Pa.R.E. 1008; Hatfield, 
    685 F. Supp. 2d at 320
    ;
    Dietrich, 
    126 F. Supp. 2d at 764
    ; Leonard Packel & Anne Bowen Poulin, 1
    West’s Pa. Practice, Evidence §§ 1004-1, 1008-1 (4th ed. 2013). The jury
    elected to reject the Maleys’ claim that the Shell document was not the lease
    - 49 -
    J-A11021-18
    the Maleys signed and that their signatures were fraudulently placed on the
    Shell document. For these reasons, we perceive no error, let alone prejudicial
    error, that would warrant the grant of a new trial. See Braun, 
    24 A.3d at 968
    .
    IV. Failure to Order the Recorder of Deeds to Remove Fraudulent
    Lease
    Briefly, by way of background, following the jury’s verdict, the Maleys’
    counsel stated the following:
    [Maleys’ counsel]: Your Honor, I have a question with regard to
    the equitable relief that we’ve asked for in this case; and, in
    particular, the, the underlying Shell document that we, we would
    ask this Court to recognize the Jury’s finding and make a
    determination as to whether the [pertinent Shell document] that
    have been filed in the Recorder of Deeds Office can be removed,
    or found to -- I’m not sure of the exact terminology, but to have
    that record corrected.
    R.R. at 802a. The court deferred its ruling pending the filing of a formal motion
    and response by the parties. 
    Id.
    The Maleys subsequently filed a post-trial motion requesting, among
    other things, that the trial court award equitable relief in the form of
    compelling Shell to execute the following:
    a) surrender the “[S]hell document”; (b) file appropriate
    documentation with the Tioga County Recorder of Deeds
    confirming that any oil and gas lease (including “units”) between
    the [Maleys] and [Shell] is void; and (c) file appropriate
    documentation with the Tioga County Recorder of Deeds
    withdrawing the memorandum of lease filed February 9, 2006,
    which was falsely notarized by Dale Tillinghast and which the
    [Maleys] denied signing.
    - 50 -
    J-A11021-18
    R.R. at 881a; 
    id.
     at 888a. The Maleys requested a new trial in the alternative.
    
    Id.
     The Maleys did not request the trial court to order the Recorder of Deeds
    to strike the documents. 
    Id.
    On appeal, the Maleys claim that Tillinghast admitted to violating the
    Uniform Acknowledgement Act (UAA) 29 —by not personally observing the
    Maleys sign the lease. Thus, for the first time on appeal, the Maleys assert
    the trial court should have ordered the Recorder of Deeds to remove it.
    Maleys’ Brief at 78-79. According to the Maleys, the trial court denied their
    ____________________________________________
    29   21 P.S. § 351. The UAA states in pertinent part:
    All deeds, conveyances, contracts, and other instruments of
    writing wherein it shall be the intention of the parties executing
    the same to grant, bargain, sell, and convey any lands,
    tenements, or hereditaments situate in this Commonwealth, upon
    being acknowledged by the parties executing the same or proved
    in the manner provided by the laws of this Commonwealth, shall
    be recorded in the office for the recording of deeds in the county
    where such lands, tenements, and hereditaments are situate.
    Every such deed, conveyance, contract, or other instrument of
    writing which shall not be acknowledged or proved and recorded,
    as aforesaid, shall be adjudged fraudulent and void as to any
    subsequent bona fide purchaser or mortgagee or holder of any
    judgment, duly entered in the prothonotary’s office of the county
    in which the lands, tenements, or hereditaments are situate,
    without actual or constructive notice unless such deed,
    conveyance, contract, or instrument of writing shall be recorded,
    as aforesaid, before the recording of the deed or conveyance or
    the entry of the judgment under which such subsequent
    purchaser, mortgagee, or judgment creditor shall claim.
    21 P.S. § 351.
    - 51 -
    J-A11021-18
    alleged request because Shell was a bona fide purchaser, but they identify
    several reasons that Shell is not a bona fide purchaser. Id. at 79-81.
    Pennsylvania Rule of Appellate Procedure 302 states that “[i]ssues not
    raised in the lower court are waived and cannot be raised for the first time on
    appeal.” Pa.R.A.P. 302(a). “It is well settled that issues not raised below
    cannot be advanced for the first time in a 1925(b) statement.” Irwin Union
    Nat’l. Bank & Trust Co. v. Famous, 
    4 A.3d 1099
    , 1104 (Pa. Super. 2010).
    Similarly, a failure to present authority demonstrating entitlement to relief
    results in waiver. Price v. Pa. Prop. & Cas. Ins. Guar. Ass’n, 
    795 A.2d 407
    , 412 (Pa. Super. 2002); see also Pa.R.A.P. 2119(a).
    Here, the Maleys have argued that the trial court erred by not ordering
    the Recorder of Deeds to remove the alleged fraudulent deed. Maleys’ Brief
    at 78-79. The Maleys did not raise that request for relief with the trial court
    below. Rather, the Maleys contended that the trial court compel Shell to file
    appropriate documents to have the Recorder of Deeds void the lease. R.R. at
    881a, 888a. It is one thing for a trial court to order a party to file appropriate
    documents. It is a different thing entirely for a trial court to directly compel
    another governmental entity to remove a public record. 30         Therefore, the
    Maleys waived this issue because they are requesting relief for the first time
    ____________________________________________
    30   This is not an action to quiet title.
    - 52 -
    J-A11021-18
    on appeal that they did not seek from the trial court. See Famous, 
    4 A.3d at 1104
    .31 In any event, the Maleys have not identified any legal authority in
    their brief permitting the trial court to order the Recorder of Deeds to strike
    the lease at issue. See Price, 
    795 A.2d at 412
    . For these reasons, the Maleys
    have not established entitlement to relief for this issue. 32      Based on the
    foregoing, we perceive no abuse of discretion by the trial court and therefore
    affirm the judgment below.
    Judgment affirmed.
    Judgment Entered.
    Joseph D. Seletyn, Esq.
    Prothonotary
    Date: 12/18/2018
    ____________________________________________
    31 We acknowledge that the trial court addressed the issue on its merits in its
    Pa.R.A.P. 1925(a) decision. But a trial court’s decision to address an
    unpreserved issue does not save it for appellate review. See Dilliplaine v.
    Lehigh, 
    322 A.2d 114
    , 116 (Pa. 1974) (“Appellate court consideration of
    issues not raised in the trial court results in the trial becoming merely a dress
    rehearsal.”).
    32 Moreover, the Maleys have not identified where in the record that the court
    held the lease was void. Thus, it remains unclear to this Court whether the
    Maleys have fulfilled the predicates for requesting the trial court to order the
    Recorder of Deeds to strike a deed. Further, even assuming the lease is “void”
    as to John C. Maley, the Maleys have not addressed the validity of the lease
    as to John J. Maley, the other lessor. The rights and liabilities, if any, of John
    J. Maley have not been addressed. No trier of fact has concluded that John J.
    Maley was improperly compelled or induced to sign the lease.
    - 53 -
    

Document Info

Docket Number: 874 MDA 2017

Filed Date: 12/18/2018

Precedential Status: Precedential

Modified Date: 12/18/2018

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